Monday, September 30, 2019

Can Exercise Make Kids Smarter Essay

I do feel exercise does and could make kids smarter. This article is mainly about scientist testing kids and animals to see how they react and their knowledge after exercising for certain amounts of time. In the article they prove scientifically that exercise has no real change on I. Q. and intelligence levels. Then they tested it and then made the pets and animals run some kind of test and instantly they scored went up just a little at least. Exercise I think just gets your mind working and thinking and that’s all that helps the scores. In my life I feel that when I get up a little early and do some quick activities my brain and mind are ready to think for the rest of the day. So I agree with the idea in this article. This article I think is truly about how exercise changes and helps the life of young people and animals. I feel exercise should be at least done every other day for at least 1 hour. Usually just getting up and exercising means you miss one game of x box or you miss one TV show, but in the big picture of life it is important to exercise. To the scientific part I think exercise gives you a mind set that your mind is fresh and clear and that’s why the scientific test don’t pick up a simple thing like that. Well I do feel exercise if nothing else sets your mind set and tells you you CAN do well on the test and comprehend a lot more that without exercise. This article helped me realize a lot about exercise and how sometimes scientific test are not as accurate as what they seem.

Sunday, September 29, 2019

Do Personality Traits Predict Behaviour?

Do personality traits predict behaviour? The trait approach to personality is focused on differences between individuals. After type theorists such as Sheldon, who focused on body parts to determine temperament, and lexical researchers such as Galton who provided the first dictionary of words to describe behaviour, the principles underpinning trait theory were first outlined by Gordon Allport (1937). He found that one English-language dictionary alone contained more than 4,000 words describing different personality traits and suggested that it is how the traits come together that produces the uniqueness of all individuals. Rather than relying on intuition or subjective judgement as did Freud and many other neo-Freudians, trait theorists used objective measurements to examine their constructs. The use of factor analysis was a major breakthrough in the trait approach and Raymond Cattell was the first to make the use of this to reduce the lists of traits to a smaller number. This marked the beginning of the search to discover the basis structure of personality. This essay will discuss the issues surrounding the use of personality measures such as Eysencks personality questionnaire (EPQ) and Costa and Mc Crae’s Big Five model (NEO-PIR) to predict behaviour. Cattell’s 16PF hasn’t had much of an impact but personality measures that followed such as Eysenck’s personality questionnaire, who claimed that 3 types/ supertraits, Extraversion, Neuroticism and Psychoticism, make up the basic structure of personality, and Costa and mc Crae’s Big Five Model measuring Openness, Conscientious, Extraversion, agreeableness and Neuroticism, have received a high level of support. The personality factors are found cross-culturally, in children as well as adults and specifically for Eysencks model in identical twins raised apart, evidence which seems to demonstrate that the observed personality differences are stable across time and have a genetic basis, although the underlying heritability estimate used in studies has been questioned by Plomin. Nevertheless, trait measures have great practical applications; they have been embraced by psychologists from almost every perspective and used by professionals working in a wide variety of settings, such as in the workplace and the education system etc, and are used to make important judgements about an individual’s behaviour in different situations. Employers have used scores from personality tests to make hiring and promotion decisions for many years (Roberts and Hogan, 2000). The methodology used to identify the dimensional structure of personality traits, factor analysis, is often challenged for not having a universally-recognized basis for choosing among solutions with different numbers of factors. More than one interpretation can be made of the same data factored the same way, and factor analysis cannot identify causality. However, some of the most common criticisms of trait theory centre on the fact that traits are often poor predictors of behaviour. While an individual may score high on assessments of a specific trait, he or she may not always behave that way in every situation. This was highlighted by Walter Mischel (1968, 1973) who stimulated a huge debate that raged until the early 1980s, concerning whether personality traits predict behaviour. At the heart of this debate was the questioning of the stability of traits across situations, known as the ‘personality paradox’. He demonstrated with his CAPs model that there is a complex interaction between situations and enduring individual personality differences, however the effects of many variables still have to be examined. Mischel criticised how personality measures were interpreted and used, demonstrating that on average personality measures statistically account for only around 10% of the variance observed in behaviour, therefore 90% is due to something other than the effect of personality. This reflects the fact that many factors contribute to any one piece of behaviour, such as: the characteristics of the specific situation, the person’s mood at that time, competing goals, etc. However an argument in trait theories defence is in regard to the . 30, . 40 correlation co-efficient. How high does a correlation have to be before its considered important? Research by Funder and Ozer (1983) looked at social psychological findings often cited for their â€Å"important† findings and found that they had similar co-efficient of . 36 and . 42. In their defence trait theorists argue that researchers often fail to provide a strong link between traits and behaviour is because they don’t measure behaviour correctly, only measuring one behaviour. As an alternative researchers can aggregate data, one study looked at trait measures of aggression and the number of aggressive acts students preformed, not only on one day but over the course of two weeks and found a correlation of . 1 between the aggregated measure and the trait score (Wu and Clarke, 2003). Burger (2008) states that when all the complex influences on our behaviour are taken into account we probably should be impressed that personality psychologists can explain even 10%. Mischels criticism has had beneficial effects in work settings, with the use of multiple measures of p ersonality such as, psychometric assessments, interviews, individual and group tasks used together as an assessment package to prevent overreliance on the psychometric tool. Furthermore, Mischels views led researchers to look very critically at their methodologies, admitting that measures were often weak and the selection of which traits to study was sometimes inappropriate (Funder, 1999,2001). Today most psychologists agree that the person and the situation react to determine behaviour ( Maggnusson, 1990) and Swan and Seyle (2005) conclude their review on Mischels work by saying that there are still instances where it is helpful to make distinctions between personal and situational determines of behaviour.

Saturday, September 28, 2019

Benefits of Tricare

With so many different types of healthcare coverages out there it’s not an easy process going about finding the best coverage for those of military service and their family. One of the most important benefits of military service is Health Care. TRICARE is a healthcare program by the Department of Defense that provides health care coverage for medical services, medications, and dental care for military families and retirees and their and survivors.â€Å"The United States Department of defense operates a substantial program to provide medical services to active duty and retired members of the armed forces, their dependents, and their survivors through the Military Health Services System (MHSS)† (Shi & Singh, 2012). â€Å"The MHSS is equipped to provide medical care worldwide† (Shi & Singh, 2012). â€Å"It operates 59 hospitals and 364 clinics to serve an eligible population of 9. 6 million at a annual budget of $50 billion, according to the Department of Defenseâ €  (Shi & Singh, 2012).Since healthcare is so important TRICARE brings together the health care resources of the Army, Navy and Air Force and supplements them with networks of civilian health care professionals to provide better access and high quality service while maintaining the capability to support military operations. Active Duty and Guard and Reserve service members are automatically enrolled in TRICARE Prime. However military dependents and retirees must choose the TRICARE option that best suits their needs.One of the most important benefits of TRICARE is guaranteed insurance at a low premium. More benefits associated with TRICARE includes a broad choice of care providers, no enrollment fee, wide availability and the option of using the TRICARE Extra program, which allows the insured to select any physician, in or out of network. TRICARE also offers the services of military health care and provides supplemental services from civilian health care networks and pharmacies.As a response to the challenge of maintaining medical combat readiness and due to the increasing number retirees while providing the best health care for all eligible personnel, the Department of Defense introduced TRICARE. TRICARE is a regionally managed health care program that brings together the health care resources of the Army, Navy, and Air Force and supplements them with networks of civilian health care professionals to provide better access and high quality service while maintaining the capability to support military operations. TRICARE offers soldiers and their families’ affordable health care when they need it the most.Three main coverages of TRICARE which are TRICARE Prime, TRICARE Extra, and TRICARE Standard and the many different services covered by TRICARE. In conclusion the main challenge for most eligible beneficiaries is deciding which TRICARE option; Prime, Extra or Standard is best for them. Active duty soldiers are enrolled in TRICARE Prime and pay no fees while active duty family members pay no enrollment fees, but they must choose a TRICARE option and apply for enrollment in TRICARE Prime. There are no enrollment fees for active duty families in TRICARE Prime.

Friday, September 27, 2019

THE SITUATION OF WOMAN ( THE HOUSE OF SPIRITS) BY ISABEL ALLENDE Essay

THE SITUATION OF WOMAN ( THE HOUSE OF SPIRITS) BY ISABEL ALLENDE - Essay Example On the contrary, the women are passive, subservient and puppet-like in the hand of their male counterparts. It is not that they do not long for freedom of action and choice; indeed, they long for it and attempt to exert stealthily. But when their ambition are revealed, they have been mercilessly silenced down by the men around them. All of the protagonists in Allende’s novel are, more or less, vulnerable to male violence and brutality. They are powerless in the face of the men’s superiority and macho possessiveness. Despite their powerlessness, they challenge the patriarchal authority by feminine mode of protests such assuming reclaiming maiden name, resort to silence, self-withdrawal, etc. After all, the women’s status, as portrayed in the novel, is more like an addendum to their men than a self-dependent individual. Like any patriarchal society, the fate of Allende’s women is determined greatly shaped and determined by the men around them. They are the objects of male lust like other properties which belong to a man. Obviously, these women belong to a society which is run by rigid patriarchal ideologies. In the novel, Esteban’s character seems to personify all those patriarchal ideologies. He believes that marriage is the best protection of a woman who is unable to ensure their own safety because of their psychophysical inferiority. So, he sent â€Å"Jaime and Nicolà ¡s were sent to a Victorian English boarding school† (Allende 78). The father in Esteban believes that Blanca’s destiny was â€Å"marriage and a brilliant life in society, where the ability to converse with the dead, if kept on a frivolous level, could be an asset† (Allende 78). Indeed, Allende’s women are imprisoned in a rigidly defined social gender-role. He believes that since women are both physically and mentally immature, their activities should remain confined to childrearing, cooking, etc within the four-walls of

Thursday, September 26, 2019

American Revolution Essay Example | Topics and Well Written Essays - 1250 words

American Revolution - Essay Example Albeit the British introduced slavery in America, the people who were enslaved in America were not its citizens but rather Africans who were brought into the country through slave trade. Thus, the intention to enslave was not the main driver of the circumstances that led to the events in 1775. Instead, it was the attempts of the British to impose series of high and unjust taxes that led to the events of 1763 to 1775 that formally begun with the shot at Lexington. (Countryman, 2003). It was further fueled by the British attempt to tighten control over the colonies particularly in their respond to the Boston Tea Party incident that led to a clash that resulted to the death of five individuals. These deaths fueled the dormant resentment of the colonies that instead of quelling a rebellion, it broke out into a full scale War of Independence that freed American from the clutches of British colonizers. It is important to understand that before 1763, the British Empire was also embroiled in another costly war which was the French and Indian War of which the British thought that it was reasonable to impose a tax on its thirteen American colonies to help finance and defray the cost of the war. The Americans however saw it to be unjust and excessive. They viewed it as â€Å"Taxation without representation† or a tax imposed and enforced just to raise revenue at the expense of American taxpayers. These â€Å"taxation without representation† was composed of series of Acts which begun with the Stamp Act which was passed by the British Parliament in 1765 to impose stamp duties in the thirteen American colonies occupied by the British empire to compel America to share the burden of cost of the French and Indian War. This measure was heavily petitioned by colonial leaders for the Parliament and King George III to repeal it. This was later repealed but another tax measure followed which is the Townshend Acts which was passed by the British Parliament in January of 1967. This law included Revenue Act of 1767, the Indemnity Act and New York Restraining Act which was again imposed to raise revenue to finance the war and to assert British sovereignty over its colony by taxing them. This law so unpopular that it was met with resistance in Boston prompting the British troops to garrison it led to clash with the mob on on March  5, 1770 where five colonists perished that fueled the impending revolution. There was also another tax measure that was imposed on the American colonies which probably precipitated the War of Independence. This tax measure was called the Tea Act, the precursor of the famous Boston Tea Party, which gave the British company British East India Company to have a virtual monopoly on all teas that were exported to the American colonies (Yale Law Schol, 2008). This revenue measure was so unpopular that businessmen cancelled orders. The Massachusetts governor however was bent in imposing it and forced Boston harbor to receive the tea cargoes and to force payment for such goods. Finally, in the evening of December 16, 1773, sixty men disguised as American Indians boarded the ships that carried tea and threw all the shipment of tea into the waters. We know this event now as the Boston Tea Party which was one of the key events that led to the War of Independence. The method of protest was justifiable from the point of view of the Americans because they are undermining the very goods that are subject of their complaints.

QuaityEnhancemet Plan (QEP) Essay Example | Topics and Well Written Essays - 1000 words

QuaityEnhancemet Plan (QEP) - Essay Example The basic question raised and explored in the work, about human nature are, why human attitude undergoes change according to situations, and why the realization of fact does not help individuals to rectify their mistakes. The author makes use of the central character and his family members to expose human nature. For instance, Gregor knows that he is the backbone of his family. But when he is entangled in a problem, his family members desert him. This fact reveals that utility is the building block of relationships. On the other side, realization of this fact does not help Gregor to rectify his mistakes because it is too late to do anything. The story (say, novella) shares/explores general assumptions that a family must be a safe haven to its members, and must be a social institution. One can see that individuals consider their families as a safe haven, away from the mainstream society. Besides, the mainstream society considers family as an institution, controlled by breadwinners. The story explores the possibilities of family’s role in protecting the members from external and internal problems. In addition, the writer tires to follow the feelings of the central character (Gregor), who is deserted by his family. Still, this negative attitude towards the function of a family is the main reason behind the conflict in the novella. Besides, the author proves that human beings ignore the moral aspects of relationships. One can see that the main character’s metamorphosis alienated his family from the mainstream society. To be specific, the other members were forced to undertake the responsibility of their family. For instance, financial problems forced his father to do work. On the other side, his sister gives up her dream and decides to work as a salesgirl. Besides, his mother was forced to be under emotional turmoil, originating from her motherly attitude towards her son and practicality. Gregor

Wednesday, September 25, 2019

Facilitating the growth of artictic intelligence Essay

Facilitating the growth of artictic intelligence - Essay Example Here, an attempt is made to show how pre-adolescents can become confident of using innate ability and acquired skills gained through art, especially, to enhance cognitive, moral, social and other characteristics they need to develop for use in work and life. Artistic expression is used throughout a child’s school experience. From kindergarten level, drawing teaches skills such as correct pencil grip, visual calculation of distances, hand-eye coordination and the ability to compare colors and shapes and to understand symbols and ideas (McDonald & Fisher 4). As they progress into middle school, these basic building blocks can be used as a foundation for â€Å"understanding the visual arts in relation to history and cultures; reflecting upon and assessing the work of others; and making connections between the visual arts and other disciplines (MENC, 1994)† (McDonald & Fisher 5). Teachers can use the visual arts, which are enjoyable and feel less like rigorous learning, especially to reluctant students, to promote readiness to learn subjects across the curriculum. Ideas for projects that include hands-on artistic tasks can be successfully incorporated in math, languages, social studies and science - all subjects that â€Å"require higher-order thinking skills† (Prince 2002, 49). Nurturing artistic skills - even very rudimentary ones - can be beneficial in middle school, as students embark on some very serious learning. They can be promoted and improved, since they embrace aesthetic and perceptual abilities which are comparatively easy to acquire. Used by the teacher to instill confidence that flows from the ability to make pictures or three-dimensional pieces, this can-do feeling will be available to be applied to various learning areas. In languages, cartoons and graphic narratives can promote confidence in expressing ideas fluently by using creativity and imagination (McDonald & Fisher 51). In social studies, maps and 3-D globes or panoramas can

Tuesday, September 24, 2019

The Life of D. H. Lawrence Term Paper Example | Topics and Well Written Essays - 1500 words

The Life of D. H. Lawrence - Term Paper Example In fact there are only few subjects which failed to grab the attention of DH Lawrence. Since many of his opinions were against the traditions and existing laws of English social life, he earned many enemies during his life span. In fact he forced to live in exile just like the current literature writers Salman Rushdie and Taslima Nasrin because of the controversial remarks he made against English social life through his literatures. His liberal views about sexual life earned him the reputation or title as a pornographer during the latter stages of his life. In short, DH Lawrence was a misunderstood a person during his life period even though he got wide recognition at present. This paper analyses the life of DH Lawrence and his contributions as a novelist, poet, play writer, essayist, literary critic and painter. â€Å"David Herbert Lawrence was born on September 11, 1885, in Eastwood, Nottinghamshire, central England. He was the fourth child of a struggling coal miner who was a hea vy drinker. His mother was a former schoolteacher† (DH Lawrence). His mother had better education than his father and therefore his father developed some inferiority complex which caused many problems in the family. As his father spent majority of his earnings for drinking, only the mother’s earning were used for the family expenses. However, her earnings were not sufficient enough to meet the living expenses of a big family and therefore DH Lawrence faced poverty during his childhood life. In fact his bitter early childhood experiences made him tougher as he grown up. DH Lawrence was a smart student during his childhood and has completed his school studies with some scholarships. After the completion of school education or matriculation, he failed to get college education because of poverty in his family. He accepted various jobs like clerk, school teacher etc immediately after the completion of his school education in order to support his family. At the age of 25, DH Lawrence lost his mother. In fact, â€Å"he helped her die by giving her an overdose of sleeping medicine† (DH Lawrence). Even though mercy killing is acceptable up to certain extent in the current society, it was not so in the past. Lawrence’s action of assisting his mother die brought many criticisms during that period. The conservative English society was not in a position to accept such activities at that time. DH Lawrence suffered lot of criticisms because of this act and even though his intentions were positive. DH Lawrence started his literature writing even before the death of his mother. In 1909, a number of Lawrence's poems were published by Ford Max Ford in the English Review. The appearance of his first novel, The White Peacock (1911), launched Lawrence into a writing career. In 1912 he met Frieda von Richthofen, the professor Ernest Weekly's wife and fell in love with her. Lawrence's novel Sons and Lovers appeared in 1913 and was based on his childhood. In 1914 Lawrence married Frieda von Richthofen, and traveled with her in several countries. Lawrence's fourth novel, The Rainbow (1915), was about two sisters growing up in the north of England. Lawrence started to write The Lost Girl in Italy. He dropped the novel for some years and rewrote the story in an old Sicilian farmhouse near Taormina in 1920 (DH Lawrence). The beginning of

Monday, September 23, 2019

Engineering Essay Example | Topics and Well Written Essays - 2500 words

Engineering - Essay Example discussion is to study the development of a control system through the designed scheduled autopilot that enables the flying of a model at different speed conditions in the air. Aircraft have been designed by different parameters and analysis is needed to establish their effects on the performance of the vehicle. The Wright brothers used the wind tunnel to study the performance of various types of airfoils. There have been advanced wind tunnels that are used to determine the characteristics of full scale aircraft. On the other hand, use of the wind tunnel in determining flight characteristics and performance of full scale aircraft remains an expensive exercise and time consuming proposition. Due to advancement in information systems and technology, high speed computing helps determine flight performance of aircraft designs through the use of virtual tunnels. This process involves a computer generated model that is plugged in a Computational Fluid Dynamics (CFD) program that determines flow characteristics. The results obtained are compared to those found from the real wind tunnel test and the real aircraft performance in flight. However, several studies have been conducted to demonstrate validity and efficacy of the virtual wind tunnel. In this discussion, the two processes are introduced during undergraduate Aircraft Design class. Scale models of different types of aircraft such as the trainer, transport, fighter, and UAV are studied. The scaled models are installed in low speed cross-section wind tunnel used to establish the lift and drag coefficients and pressure profiles. Design of a virtual model of the corresponding aircraft by use of SolidWorks is also done. The virtual models developed are imported to the SolidWorks Flow Simulation software. The low speed virtual wind tunnel is simulated in Flow Simulation to establish lift and drag coefficients as pressure profiles are established for various aircraft at different angles of pitch, yaw, as well as roll.

Sunday, September 22, 2019

Digitizing Accounts Payable Documents Essay Example for Free

Digitizing Accounts Payable Documents Essay When accounting files are sent to the archives at the end of the year, the portion taken up by the accounts payable documents usually exceeds that of all other documents combined. For some companies with high accounts payable files, it is a major expense to remove all the paperwork, box it up and identify it, and ship it off to a warehouse, from which it must be recalled occasionally for various tasks. Digitizing the documents is a means of avoiding the expense of archiving. Digitizing a document means that it is laid on a scanner that converts the document image into an electronic image stored in the computer database, which can be recalled by anyone with access to the database. To digitize a document, there should be a high-speed scanner available that is linked to a computer network. Documents are fed into the scanner and assigned one or more index numbers or codes, so that it will be easy to recall the correct documents from storage. For example, a document can be indexed by its purchase order number, date, or supplier number. A combination of several indexes is the best approach, since one can still recall a document, even if one does not remember the first index number. The document images are usually stored on an optical disk since it can hold enormous amounts of storage space (and digitized documents take up a lot of computer storage space). There will probably be many optical disks to provide a sufficient amount of storage, so the disks are usually stored in a â€Å"jukebox,† which gives the user access to all the data on all the storage disks. Users can then call up the images from any terminal that is linked to the network where the information is stored. There are additional advantages to using digitization of documents. Besides the reduced archiving costs, it is also possible to nearly eliminate the time needed to access documents. With a traditional archiving system, older documents must be requested from a warehousing facility that may require several days to deliver. Even in-house documents may require several minutes to an hour to locate. If customer service is important, and that service is linked to providing rapid access to data, then digitizing documents allows a company to instantly satisfy customer requests for documents by searching the computer fi les for them, no matter how old the documents may be. Another advantage to using digitization is that it avoids having to take out and replace files. Whenever someone removes a file and later returns it, there is a risk that the fi le will be misplaced. Every time a file is misplaced, it will be time-consuming to find it again. By accessing documents through a computer network, there is no need to take out or replace the document—it is always sitting in the same storage location in the computer, and cannot be lost. Yet another advantage is that multiple users can access the same file at the same time. Since it is a digital image, there is no reason why the computer cannot potentially distribute a copy of the digital document to everyone who asks for it, even if they all do so at the same time. Reference link: http://classof1. com/homework-help/accounting-homework-help

Saturday, September 21, 2019

Construction Essays Construction Industry Workers

Construction Essays Construction Industry Workers Construction Industry Workers The construction industry currently employs 2.2 million workers making it Britain’s largest industry (HSE, 2007). However, the sheer size of the industry comes at a cost as it is regarded as being one of the most dangerous industries to work in due to the individual complexity of construction projects and tough working conditions that workers are exposed to (HSE, 2005). The wide range of activities undertaken by construction workers further emphasises the need for a high level of legislation and management of measures to reduce accident and injuries throughout the entirety of the construction process, from planning to demolition. This is essential if the health and safety on construction sites is likely to improve and become more effective, which is important for not only the people already involved within the construction industry, but also for the expected 2-3% growth within the next 5 years (Reference). (Reference) suggests that poor design and management in the constructio n industry is the principal cause of the unacceptable accident and fatality record throughout construction sites in the UK. This needs to be improved through the improved implementation of measures to reduce these statistics which has been highlighted through the introduction of the Construction (Design and Management) Regulations 2007, which are perceived to provide numerous benefits to the construction industry from design concept onwards and help ensure that construction projects are safe to build; safe to use; safe to maintain, and deliver good value. These regulations aim to avoid, reduce and control health and safety risks faced by construction workers and others through preventative measures particularly during the design and management stage, whether engaged in, or affected by, new build, maintenance, repairs, demolition or other construction works (Joyce, 2007). http://www.hse.gov.uk/aboutus/hsc/meetings/2006/171006/c54Ann6.pdf The CDM regulations have the potential to make a significant impact on the industry with regards to health and safety however it is unrealistic to think that this can be achieved very quickly without encountering any problems in an area which has had much debate regarding this topic. It will take time before the new legislation will be free flowing however improvements in both effectiveness and efficiency can be expected as lessons are learnt. Get help with your essay from our expert essay writers Rationale for the Research The subject of this dissertation developed from a personal interest in the Health and Safety aspect of the construction industry and the significant research within the industry on how to minimise the injuries and fatalities on construction sites. In the construction industry, the risk of fatality is four times more likely to occur than in any other industry throughout the UK, whilst the risk of major injury is two and a half times higher (HSC, 2005b). A Health and Safety Executive (HSE, 1997) study, reveals that the construction industry has one of the highest ratios of non-injury to injury accidents of all UK industries. For every major accident on a construction site, Heinrich’s accident to incident ratio model suggest that there will be approximately thirty minor accidents and three hundred near misses (Hughes Ferrett, 2007). The HSE (2007) recorded 77 fatalities on construction sites during 2006/2007 and 3,711 major injuries to employees in construction related accidents . Include the 7,108 over 3 day injuries reported to the HSE and an estimation of under-reporting of injuries of approximately 45%, and it is evident that the accident rates in the construction industry is unacceptable and needs to be reduced. The Government and the Health and Safety Commission became aware of this on going poor record in the construction industry and at the Construction Health and Safety Summit in 2001, set a target of reducing the number of fatalities and accidents by 66% in the UK by 2010. The fatality rate appeared to be reducing year after year, with a industry record low of 59 fatalities in 2005/2006 (HSC, 2006) compared to the 69 in 2004/2005 (HSC, 2005) showing sufficient progress was being made. However, the 77 fatalities recorded in 2006/2007, and already 60 fatalities recorded in the first 9 months of the 2007/2008 period (HSE, 2007) shows that progress was short lived and that once again the rate of fatalities and injuries within construction sites is inc onsistent and starting to rise. The latest published statistics by the HSE shows the increased need to improve the measures used in order to prevent accidents and fatalities on construction sites. The CDM regulations 2007 which is the latest legislation to be introduced to the construction industry aim to achieve this through implementing regulations to develop improvements at the design and management stage of construction projects by placing more responsibility on all parties involved. The HSE suggested in ‘Blackspot Construction’ that 70% of the fatalities and accidents on construction sites could have been prevented by positive action by managers within the industry (Joyce, 2001) and speaking from Ashburton Grove, Kevin Myers, Chief Inspector for Construction said: â€Å"Every fatality is one too many, most are preventable, each a tragedy for those affected†. As a result the fundamental aim of this study is to identify factors to improve health and safety mea sures on construction sites within the UK with a view to reducing the number of accidents and fatalities. The importance of improving these measures to reduce accident statistics is because, apart from the human cost of suffering, moral and legal effects an accident may have; the economic cost to organisations can be devastating. In a study undertaken by the HSE, it was shown that accidents produce direct costs such as injury, ill health or damage which can be insured against, however it is the indirect costs such as material damage and legal costs that are most costly to organisations as they can be up to 36 times greater than the direct cost of an accident (Hughes Ferrett). The following information in this chapter gives further details about the principle aim and objectives for this research topic. Aim To identify factors to improve health and safety measures on construction sites within the UK with a view to reducing the number of accidents and fatalities. Objectives This aim will be investigated through a series of key objectives: 1.To provide an understanding of the current health and safety legislation that surrounds the construction industry with a particular focus on the CDM regulations 2007. 2.To provide a review of the history of accidents and fatalities within the construction industry. 3.To identify the current measures used to prevent accidents and injuries on construction sites. 4.To establish the main effect of preventative measures and what factors would assist the preventative measures used on construction sites within the UK in order to reduce the number of accidents within the construction industry. 5.To identify operatives understanding of the CDM regulations as well as success and problems associated with them. 6.To establish views from CDM duty holders on the current effectiveness of the CDM regulations. Outline Research Methodology This research topic has incorporated two research approaches in order to collect information which was the following: secondary data collection and primary data collection. Secondary data collection This form of research refers to the ‘desk study’ approach where data is obtained from sources that cite from primary sources. This method had been used to achieve the first, second and third objectives. These sources will be critically appraised by means of a systematic literature review which will cover the internet, textbooks, newspaper articles, research journals, thesis, reports, trade publications, etc. Primary data collection This form of research refers to the methods of primary data collection which can take the form of a number of practical approaches. This method of research was accomplished to utilise objectives four and five. The selected method for this thesis will be a structured survey approach in the form of a questionnaire. This method was selected as it is the best form of gathering data from a large number of respondents in a relatively short time frame. The questionnaires will adopt a semi structured format, employing both open and closed questions to gather the appropriate data. The research method is a way in which the research objectives can be questioned and achieved. Throughout my research I will be using a number of core sources of references such as the books, the internet, newspapers, companies, journals and questionnaires in order to carry out my objectives. I will decide upon the most appropriate research strategy which can be carried out in two ways depending on the purpose of the study and the type and availability of the information required. These two methods can be classified as â€Å"Quantitative† and â€Å"Qualitative†. Quantitative research (Naoum, 2007) can be defined as â€Å"objective† in nature. It involves the description or analysis of statistical procedures that involves specific measurements of variables to determine whether a theory holds true. Qualitative research on the other hand can be defined as â€Å"subjective† in nature (Naoum, 2007). It does not involve the use of specific variables, but relies o n reasons behind various aspects of data. It emphasizes the means, experiences and different descriptions of topics from different authors points of view. The type of qualitative data collected fell under the classification of attitudinal research. Attitudinal research is used to ‘subjectively’ evaluate the ‘opinion’, ‘view’, or the ‘perception’ of a person, towards a particular object (Naoum, 2007). For this study the ‘object’ has been the CDM regulations and the ‘person’ has been the duty holders that implement these regulations. The purpose of this section is to inform the reader of the contents of this dissertation. Each chapter within the dissertation has a brief description stating what each chapter includes, the purpose of it, and its relationship to carry out the research aim and objectives, followed by a conclusion of the chapter. Chapter One Introduction Chapter one highlights to the reader the main topic area that is being investigated and researched into. It does not going into depth in the topic but it does provide a background and rationale into the research area. Within this chapter the research aim will be described as well as the objectives and the research methodology used in order to achieve the objectives set. Chapter Two History of Health and Safety legislation Chapter two will provide a detailed description of the health and safety legislation that has surrounded the construction industry since the first publication in 1961. A particular focus will be on the latest legislation known as the CDM regulations 2007 highlighting specific roles each professional has within the regulations in order to implement rules to provide a safer construction site. This chapter will also provide a background into the main changes that have occurred and assess the main reasons for why these changes were necessary. Chapter Three – Accidents and injuries within the construction industry This chapter intends to review the statistics provided by the HSE on fatalities and accidents within the EU member states, the industries within the UK and in particular and in particular the accidents and fatalities within the construction industry. It will analyse statistics prior to the introduction of the CDM regulations as well as after the introduction of these regulations highlighting any common problems that have occurred and potential reasons this. Chapter Four – Measures to prevent accidents on construction sites This chapter intends to review the main systems in place to reduce accidents on construction sites and comment on which are the most successful that should be developed further. This chapter will also discuss the cost implementations of implementing these measures along with the potential benefits of doing so. Chapter Five Research Methodology and Questionnaire / Interview Design This chapter highlights my proposed research methodology for obtaining the information necessary for my study. This chapter also describes how questions for my interview have developed as my research has become more detailed, as well as why such questions were chosen for the interview and what I intend to achieve from these. Chapter Six Analysis of Results Chapter Seven with provide the reader with a detailed analysis of the results from my questionnaire / interview. A wide range of data will be gathered so therefore a summary of the information which highlights specific areas will be presented in the form of charts, tables, graphs and a written conclusion of the results. Chapter Seven Conclusions and Recommendations This chapter was designed to provide the reader with a final discussion and conclusion for the research information that has been collected as well as to provide imitations of the study and recommendations for future research. The dissertation does not provide a chapter titled ‘literature review‘, however in order to achieve the objectives set, a comprehensive literature review will be ongoing throughout the study to critically appraise issues and statements identified and gain the industries, work operatives and authors opinions of the progress, effectiveness and success of the CDM regulations within the construction industry. A wide range of key literature from sources such as research journals, refereed conferences, thesis, textbooks, reports, trade publications and newspaper articles on this research topic have been reviewed, analysed and appraised of their strengths and weaknesses. Chapter Two:History of Health and Safety Legislation This chapter intends to provide a background into the history of the UK’s health and safety legislation that has governed the construction industry and progressed over time. A particular focus on the CDM regulations 2007 will be provided, highlighting key roles and responsibilities as well as the necessary components of the regulations. Factories Act 1961 The Factories Act 1961 was the starting point for parliamentary legislation on health and safety matters within the construction industry. Construction safety was first introduced into safety law in the Factories Act 1937, however further amendments and alterations were made in 1948 and 1959 before the final consolidating measure in 1961 to produce the final version known as the Factories Act 1961 (Holt, 2001). One of the main problems encountered with the Factories Act 1961 was that it only applied to premises defined within it, such as factories, and did not cover other workplaces such as schools or hospitals. This was the main reason for the introduction of the Health and Safety at Work etc. Act 1974. The relevant contents of the Factories Act 1961 have since been applied to other legislation with the remaining sections left out that are of little relevance to the construction industry (Holt, 2001). Fire Precautions Act 1971 (Amended 1989) The introduction of the fire precautions act 1971 ensured that all properties regulated by the Act should require a fire certificate that should only be authorised by the fire authority. These certificates were only awarded if the inspection of the property met the safety requirements outlined in the act itself. The requirements introduced by the Fire Precautions Act 1971 paid particular attention to the people working on the premises; this involved making them aware of the means of escape as well as ensuring that people on the premises have sufficient warning to evacuate in the event of a fire. The act did not just ensure that there was sufficient facilities in place to combat a fire but also ensured that personnel employed within the building received sufficient instruction and training in what to do if a fire ever occurred. The Health and Safety at Work etc. Act 1971 (Amended 1974, 2002) The introduction of the Health and Safety at Work etc. Act 1971 (HAS 1971) involved improvements to the Factories Act 1961. The Act’s obligations are based more on relationships between organizations and employees rather than on narrow definitions on types of premises as in the Factories Act 1961 (Holt, 2001). The Health and Safety at Work etc. Act 1971 is currently the centrepiece of legislation for all industries in Great Britain that provides the legal framework to achieve high standards in health and safety. The act was responsible for establishing the Health and Safety Commission (HSC) and the Health and Safety Executive (HSE) enabling them to propose health and safety regulations and approved codes of practice, they both however act in accordance with the secretary of state who must be informed of any proposed amendment or new regulations. The Health and Safety Commission The Health and Safety Commission and the Health and Safety Executive are responsible for the revision of the CDM Regulations. They were originally established as part of the Health and  Safety  at Work etc Act 1974 as two separate non-departmental public bodies (HSE, 2007). The HSC is appointed by the secretary of state whose main aim is to protect members of the UK against health and safety risks that may occur during working activities. In order to achieve this they must conduct and sponsor research; promote training; provide an information and advisory service; and submit proposals for new or revised regulations and approved codes of practices (HSC, 2007). http://www.hse.gov.uk/aboutus/hsc/index.htm The Health and Safety Executive The role of the Health and Safety Executive is to assist the Health and Safety Commission to ensure that risks to people’s health and safety from work activities are properly controlled (HSE, 2007). The HSE is the main enforcement and advisory body to the HSC however for activities that involve lower risks such as offices then local authorities have equal powers to enforce (Holt, 2001). http://www.hse.gov.uk/aboutus/hse/index.htm The Health and Safety (First Aid) Regulations 1981 The health and safety (First Aid) regulations 1981 contained certain regulations that apply to construction sites and their workers. The act places vast amounts of responsibility on employers who are required to carry out an assessment of first aid needs which involves consideration of workplace hazards and risks, the size of the organisation and other relevant factors, to determine what first aid equipment, facilities and personnel should be provided. The location of these provisions should be made aware to all employees by the employer under regulation 4. Regulation 3 states that employers are responsible to ensure that adequate and appropriate equipment and facilities are available for enabling first aid to be rendered to an employee in the event of being injured or taken ill whilst at work (HMSO, 1981). It was also the responsibility of the employer, under regulation 3, to ensure that a competent person is available at all times to carry out first aid procedures in the event of a n injury or illness occurring on the construction site. http://www.hse.gov.uk/firstaid/legislation.htm#duties Construction (Head Protection) Regulations 1989 (Amended 2002) The Construction (Head Protection) Regulations 1989 came into force as of the 30th March 1990 in an attempt to prevent head injuries whilst working on construction sites. These regulations apply to all members of the workforce with the responsibility of the employer to provide each employee who is at work with suitable head protection, maintain it, and replace it wherever necessary as outlined in regulation 3. Under regulation 4 the employer, self employed or anyone who has authority over another person must ensure that suitable head protection is worn whenever reasonably practicable. In the event of self employed workers entering the site, they must wear and comply with all rules set by the site they are working on in order to comply with regulation 4. In order to comply with regulation 5, all rules established with the wearing of suitable head protection must be provided in writing and brought to the attention of any worker that may be affected by them. http://www.opsi.gov.uk/si/si1989/Uksi_19892209_en_1.htm The Electricity at Work Regulations 1989 The Electricity at Work Regulations 1989 first came into force on the 1st April 1990 in order to target the number of health and safety risks exposed to work operatives on construction sites involving working with electricity (HMSO, 1989). These regulations place responsibilities on both the employer and self-employed to comply with the provisions of these Regulations and the duty of the employees to co-operate with the rules set by the employer. Regulation 4 sets out standards to be achieved involving systems, work activities and protective equipment. This involves ensuring that all systems when carrying out operations should be adequate, used and maintained in an efficient manner in order to prevent, so far as is reasonably practicable, any risks of danger. Regulations 4 of this legislation also indicates that any equipment provided in order to protect work operatives carrying out tasks on or near electrical equipment must be appropriate, maintained in a satisfactory condition and used in the correct manner. http://www.opsi.gov.uk/si/si1989/Uksi_19890635_en_1.htm The Management of Health and Safety at Work Regulations 1992 (Amended 1999, 2006) The Management of Health and Safety at Work Regulations 1992 came into effect as of the 1st January 1993 which placed responsibility upon all employers and self-employed to carry out suitable and sufficient risks assessments with regard to health and safety issues on construction sites. This is to ensure that regulation 3 is achieved through informing employees of the potential issues that may affect, or potentially affect the health and safety of another person on site. The other most significant responsibility placed on the employer under regulation 11 is to ensure that they fulfil capability and training requirements set out in this legislation. This involves the employer making sure all employees are provided with adequate health and safety training upon recruitment or upon being exposed to new or increased risks such as the introduction of new work equipment. http://www.opsi.gov.uk/si/si1992/Uksi_19922051_en_2.htm#mdiv1 The Manual Handling and Operations Regulations 1992 (Amended 2002) The Manual Handling and Operations Regulations 1992 were first enforced on the 1st January 1993 which introduced the requirement for employers to avoid the need for their employees to undertake any manual handling operations at work which involves a risk of being injured, this is outlined in regulation 4. If manual handling and operations are undertaken then it is the responsibility of the employer to keep these occurrences to levels as low as possible as well as to provide employees with general indications where it is reasonably practicable to do so such as the weight of each load. http://www.opsi.gov.uk/SI/si1992/Uksi_19922793_en_1.htm The Personal Protective Equipment at Work Regulations 1992 (Amended 2002) The Personal Protective Equipment at Work Regulations 1992 came into effect on the 1st January 1993 to try to ensure that Personal Protective Equipment (PPE) is provided and worn at all times if work operatives are presented with a situation that provide risks to their personal health and safety. Regulation 4 of the act states that it is the responsibility of the employer to ensure that PPE is provided to all employees whilst at work if they are likely to be exposed to health and safety risks, any self employed work operative must provide their own PPE once entering the construction site. Regulation 4 also emphasise that the PPE provided should be appropriate for the risks involved and should fit correctly or at least have a mechanism for adjustments that enable it to be worn correctly. http://www.opsi.gov.uk/SI/si1992/Uksi_19922966_en_2.htm#mdiv1 The Workplace (Health, Safety and Welfare) Regulations 1992 (Revised 2002, Amended 2003) The WHSW regulations 1992 came into force on the 1st January 1993. These regulations do not apply specifically to construction sites which means they have had no effect in reducing the number of accidents and fatalities throughout the construction industry. The construction industry had two specific sets of regulations that were industry-specific before the introduction of the CDM regulations 2007 as these regulations incorporated both of them. These were known as the Construction (Health, Safety and Welfare) Regulations 1996 and the Construction (Design and Management) Regulations 1994 which are described in more detail below: Construction (Design and Management) Regulations 1994 (Amended 2007) The CDM regulations 1994 first came into force on the 31st March 1995 with a view to further reducing the number of accidents occurring within the construction industry (Joyce, 2001). The main aims of the regulations were to reduce the regular occurrence of accidents and ill health arising from construction work (Percy, 2002). The main influence these regulation had on the construction industry was that it shared responsibility of health and safety issues during construction work between all parties and not purely the responsibility of the contractor (Joyce 2001). These regulations were in place for 12 years but have recently been amended and are now known as the CDM regulations 2007. The reasons for the amendments were due a number of problems encountered with the CDM regulations 1994 such as the ongoing debate about there effectiveness, high level of unnecessary bureaucracy, lack of clarity and regulations that were subject to misinterpretation throughout their enforcement (Joyce, 2001). The CDM regulations 2007 intend to take on board the research into these problems and readdress the main criticisms in order to improve the effectiveness within the industry. The CDM regulations 2007 are discussed further in section 6.0. Reports of Injuries, Diseases and Dangerous Occurrences Regulations (RIDDOR) 1995 The Control of Noise at Work Regulations 2005 The Control of Noise at Work Regulations 2005 came into force as of the 6th April 2006. These regulations have an effect with a view to protecting workers against the potential risks to their personal HS arising from exposure to noise at work (HMSO, 2005). It is the responsibility of the employer under regulation 5 to provide a risk assessment to assess the potential risks of exposure to noise an employee may face when carrying out work on site, if exposure is likely to occur then where possible it should be eliminated at the source or reduced to nose levels as low as possible in order to comply with these regulations. In order to support regulation 5, regulation 7 sets out to ensure that the employer must provide personal hearing protection to any employee who is exposed to high noise levels in order to protect their health and safety, this must be supported with the use of appropriate safety signs in order to inform work operatives of an area that is subject to high noise levels. R egulations 9 and 10 respectively are provided to ensure that if employees are exposed to high levels of noise then the employer must ensure that they are placed under suitable health surveillance as well as provide them with suitable and sufficient information, instruction and training in order to carry out their tasks efficiently (HMSO, 2005). Construction (Health, Safety and Welfare) Regulations 1996 The CHSWR 1996 were enforced as of the 2nd September 1996 which replaced the Construction (General Provisions) Regulations 1961, the Construction (Health and Welfare) Regulations 1966 and the Construction (Working Places) Regulations 1966, which were all revoked (Holt, 2001). These regulations were introduced as the construction equivalent of the Workplace (Health, Safety and Welfare) Regulations 1992 as they do not apply to constructions sites (Holt, 2001). The CHSW Regulations 1996 were created by the HSC which represented the UK’s implementation of Annexe IV of the Temporary and Mobile Construction Sites Directive (Clarke, 1999). Before the introduction of the CDM regulations 2007, the CHSW regulations 1996 applied to all construction work and along with the CDM regulations 1994, they provided a life cycle of health and safety standards throughout the entirety of construction projects. This was achieved as both these sets of regulations applied to different aspects of const ruction work which meant there was no overlapping of each legislation between the two sets of regulations. The CHSW 1996 applied to workers carrying out construction site work where as the CDM regulations 1994 applied to those in the design and management process. Health and Safety (Safety Signs and Signals) Regulations 1996 The Health and Safety (Safety Signs and Signals) Regulations 1996 were first enforced on the 1st April 1996, they were introduced as a set of regulations to notify the construction industry of the minimum requirements for the provision of safety signs at work. This act complies with the MHSW regulations 1992 as an employer must provide appropriate safety signs if they feel that the risk assessment made as a requirement of the MHSW 1992 regulations cannot adequately reduce risks to employees after adopting appropriate techniques for collective protection, and measures, methods or procedures used in the organisation of work. These signs are used to warn or instruct employees of the nature of potential risks they may face and inform the employees of the appropriate measures to be taken to protect against them. This act also introduces a standardised system of safety signs; this enables workers to be able to travel from different construction sites and not face the problem of different m eanings for different signs. In order to comply with regulation 5; employers must ensure that each of their employees receives suitable and sufficient instruction and training in the meaning of safety signs and the measures to be taken in connection with safety signs. http://www.opsi.gov.uk/si/si1996/Uksi_19960341_en_1.htm Control of Substances Hazardous to Health (COSHH) Regulations 2002 The COSHH regulations 2002 were introduced to the construction industry on the 21st November 2002, this legislation placed responsibility upon employers to ensure that exposure to substances hazardous to health is either prevented or, if not reasonably practicable, adequately controlled (HMSO, 2002). The employer should prevent from carrying out work that may potentially expose an employee to substances hazardous to health unless they have carried out appropriate risk assessments and carried out the suitable processes in order to comply with these regulations, and safeguard workers on site. Regulations 12 of the regulations states that an employer should provide employees with suitable and sufficient information, instruction and traini

Friday, September 20, 2019

What Are The Effects Of Petroleum Environmental Sciences Essay

What Are The Effects Of Petroleum Environmental Sciences Essay Is a process by which regional economies, societies, and cultures have become integrated through a globe-spanning network of communication and trade. The term is sometimes used to refer specifically to economic globalization: the integration of national economies into the international economy through trade, foreign direct investment, capital flows, migration, and the spread of technology. However, globalization is usually recognized as being driven by a combination of economic, technological, socio-cultural, political, and biological factors. The term can also refer to the transnational circulation of ideas, languages, or popular culture through acculturation. 1.2 Petroleum Industry The petroleum industry includes the global processes of exploration, extraction, refining, transporting (often by oil tankers and pipelines), and marketing petroleum products. The largest volume products of the industry are fuel oil and gasoline (petrol). Petroleum is also the raw material for many chemical products, including pharmaceuticals, solvents, fertilizers, pesticides, and plastics. The industry is usually divided into three major components: upstream, midstream and downstream. Midstream operations are usually included in the downstream category. Petroleum is vital to many industries, and is of importance to the maintenance of industrial civilization itself, and thus is a critical concern for many nations. 1.3 Current Situation Reliable Source of Energy: Petroleum is still the most reliable source of energy. Although renewable sources of energy do exist, but the extent to which they can replace petroleum and the possible environmental damage they may cause is not known and controversial. For transportation use high energy density liquid petroleum cannot be replaced by sun, wind, geothermal and other renewable electricity sources. Environmental Pollution: One of the most prevalent sources of environmental degradation in the industrialized world is the petroleum-derived contaminants. In large concentrations, hydrocarbon molecules that make up the petroleum products are highly toxic for the living organisms. Petroleum also contains some amount of sulphur and nitrogen compounds, which when react with the environment they produce secondary poisonous chemicals. Oil Spills: Oil spills are most visible source of petroleum pollution. During transporting crude oil from one country to another these oil spills occur. Oil travels for long distance by either ocean tanker or land pipeline. Oil spills also occur at areas where oil is extracted. Massive quantities of petroleum are released into land and marine ecosystems when there is a tanker, pipeline or oil well accident. Small spill near shore is more harmful for marine organisms then a large oil spill in the open ocean. Global Warming: Petroleum fuelled transportation is considered as one of the chief reasons of global warming. Greenhouse effect is created by the capture of excess amounts of carbon dioxide, methane and nitrogen oxide. Carbon Dioxide even though is not a toxic, but its the main constituent of petroleum fuel exhaust. About one-third of carbon dioxide emitted in the air every year comes from exhaust of vehicles. Whenever crude oil is extracted, transported, refined or stored methane is also emitted. Lesser Carbon-Dioxide released compared to Coal: Lesser amount of carbon dioxide is released in environment by burning petroleum as compared to coal. So coal has more harmful effects on environment than petroleum. 1.4 Recent Trends Decrease Dependence on Petroleum Energy efficient engines and hybrid gas/electric cars help to reduce some need for oil. It provides better gas mileage and less demand. Renewable Energy Petroleum companies are now investing in renewable energy products and services. There are little or no greenhouse gas emissions through renewable sources of energy and they do not contribute towards formation of smog, acid rain or other hazardous air pollutants. In growing number of applications, renewable sources of energy are used and they have many environmental benefits as well as increased local opportunities. Recycling Used Oil: Used Motor oil can be reprocessed into fuel. Two gallons of used oil can generate enough electricity to run the average household for 24 hours. These days the petroleum companies are providing convenient used oil collection sites at their service stations. Recycling used motor oil conserves a valuable resource as well as it keeps the surface waters and groundwater supplies safe from potential contamination due to improper disposing of used oil. 1.5 Opportunities Reduce impact and occurrence of oil spills: The oil companies should dispose of their waste products carefully and maintain their equipment in peak conditions. For downstream petroleum industry protecting land and groundwater is their priority. Designing environmental friendly disposal solution: Distributors and refiners should work closely with the government authorities to design environmental friendly disposal solutions. These would allow more used oil to be recycled or reused in an environmentally safe manner. Recycling used oil: Used oil can be recycled many times which means less new materials are consumed. Hence refining is more practical. 50 per cent less energy is consumed in re-refining used oil than producing motor or lubricating oil from unrefined crude. Reduce natural gas flaring and implement new emissions estimation and tracking tools: Oil companies have to reduce natural gas flaring in order to cut emissions (while also adding to energy supplies) and  they have to store Carbon Dioxide underground, so that it can be safely preserved for many year. The oil and gas companies should also implement new emissions estimation and tracking tools so that it would enable them to assess how well they are meeting the goals set for themselves and  report  progress to the public. Refinery cleaning: Oil companies should clean up their refineries. They should reduce their air and water emissions. Gasoline should be reformulated to bum cleaner, which would dramatically cut the levels of lead, nitrogen oxide, carbon monoxide, and hydrocarbons released into the air. 1.6 Threats Alternative Fuels: There are wide variety of alternative fuels developed like ethanol, biodiesel (made from vegetable oil), and hydrogen. They produce little or no green house gases and exhausts. Renewable Sources of Energy: Renewable sources of energy like solar power, bio fuels, geothermal energy, and wind power are available nowadays. Companies are now working with the automakers and government agencies on new fuel and vehicle technology. Global Warming and Environmental Pollution: One of the most prevalent sources of environmental degradation in the industrialized world is the petroleum-derived contaminants. In large concentrations, hydrocarbon molecules that make up the petroleum products are highly toxic for the living organisms. Petroleum also contains some amount of sulphur and nitrogen compounds, which when react with the environment they produce secondary poisonous chemicals. Petroleum fuelled transportation is considered as one of the chief reasons of global warming. Greenhouse effect is created by the capture of excess amounts of carbon dioxide, methane and nitrogen oxide. Carbon Dioxide even though is not a toxic, but its the main constituent of petroleum fuel exhaust. About one-third of carbon dioxide emitted in the air every year comes from exhaust of vehicles. Whenever crude oil is extracted, transported, refined or stored methane is also emitted. Oil Spills: Oil spills are most visible source of petroleum pollution. Massive quantities of petroleum are released into land and marine ecosystems when there is a tanker, pipeline or oil well accident. Small spill near shore is more harmful for marine organisms then a large oil spill in the open ocean. 2.0 INFLUENCE OF GOVERNMENT OVER ENVIRONMENT United Nations Environment Programme The United Nations Environment Program (UNEP) coordinates United Nations environmental activities, assisting developing countries in implementing environmentally sound policies and practices. It has to co-ordinate the development of environmental policy consensus by keeping the global environment under review and bringing emerging issues to the attention of governments and the international community for action. They cover wide range of issues regarding atmosphere, marine and terrestrial ecosystems. They have aided in the development of guidelines and treaties on issues such as the international trade in potentially harmful chemicals, trans-boundary air pollution, and contamination of international waterways. Government Regulations and Petroleum Industry The U.S government provides financial support for exploring alternative sources of energy like renewable sources of energy. They provide grants to researchers so that they can experiment with renewable energy technology. The Department of Energy has developed a grant-based research project called the Climate Change Technology Initiative. Through this CCTI project, researchers help to find ways of reducing the emission of greenhouse gases. A partnership was formed between the U.S. government and major automobile manufacturers in U.S with the hope that technology developed through this research would help in reducing the amount of carbon dioxide emitted from automobiles in the United States. This grant also helps in supporting other experiments in the field of renewable sources on energy. OPEC supports the use of CCS technology. CCS technology has the potential of reducing emissions by 40%. A need exists for companies to learn more about the CCS process and the different technologies that may be used. Hence, OPEC is further advocating the development of CCS technologies along with the Carbon-Dioxide enhanced oil recovery. Living in a carbon-constrained world has lead to changes in policy priorities in industrialized countries. Many companies and countries have already implemented policies to limit the use of petroleum products in order to reduce carbon dioxide emissions. However other energy sources (like coal) have far greater carbon emissions than petroleum. 3.0 Summary Energy is what moves the world. And many energy resources have been relied upon for ages, to make our lives convenient and comfortable. Petroleum is one such energy resource.   Energy, environment and associated global warming concerns are the focus of raging debates as the global climate system impacts the political climate. The impending energy crisis and the soaring oil prices have their roots in the fast depleting non-renewable source of energy: petroleum. Petroleum takes the spotlight as the worlds primary energy resource as the petroleum industry produces indispensable gasoline and other fuel derivatives. Petroleum is considered a major building block for the economy as well. Therefore the petroleum industry, generating bulk-volume products by way of gasoline and fuel oil, is of paramount significance when issues related to energy or ecology are at the center of current public and world affairs. Petroleum has been the critical element for development of numerous industries in the last two centuries. The receding supply of petroleum has sparked off the search for crude through offshore drilling.   The process of oil exploration with offshore drilling is a tedious and intensive one.   Oil wells are dug miles into the earth or the sea shore in the hope of finding natural gas. Oil and gas have been much under the spotlight because the global specter of rising oil prices strains the economies of the world. Recommendations The oil companies should dispose of their waste products carefully and maintain their equipment in peak conditions. For downstream petroleum industry protecting land and groundwater is their priority. Used oil can be recycled many times which means less new materials are consumed. Hence refining is more practical. 50 per cent less energy is consumed in re-refining used oil than producing motor or lubricating oil from unrefined crude. Distributors and refiners should work closely with the government authorities to design environmental friendly disposal solutions. These would allow more used oil to be recycled or reused in an environmentally safe manner. Oil companies should now invest in alternative fuels like ethanol, biodiesel (made from vegetable oil), and hydrogen. Oil companies need to look for renewable sources of energy like solar power, bio fuels, geothermal energy, and wind power. Oil companies should also reduce its demand by increasing their efficiency.

Thursday, September 19, 2019

Comparing the Living Dead in James Joyces The Dead and Dubliners Essay

Dubliners and The Living Dead      Ã‚  Ã‚   In his work "The Dead," James Joyce utilizes his character Michael Furey, Gretta Conroy's deceased love from her youth, as an apparent symbol of how the dead have a steadfast and continuous power over the living.   The dominant power which Michael maintains over the protagonist, Gabriel Conroy, is that Gabriel is faced with the intense question of whether his wife, Gretta Conroy, loves him and whether he honestly loves her.   Joyce provides substantial information to persuade one to believe that Gabriel does truly love his wife.   Even though it is made evident to the reader that Gabriel possesses such devotion and adoration for Gretta, Michael diverts Gabriel's confidence in his love, causing Gabriel to come to terms with his understanding that his life is not as Gabriel once thought it to be.   Through this process of misleading realization, Gabriel has allowed himself to become one of the many living dead of his community in Dublin.      Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   During the taxi ride from his aunts' party to their hotel, Gabriel reminisces about his and Gretta's lives together.   Joyce enforces the passion of Gabriel's thoughts, "Moments of their secret life together burst like stars on his memory" (Joyce 173).   Joyce continues to fill his readers thoughts with examples of the Conroy's wonderful life: "He had felt proud and happy then, happy that she was his proud of her grace and wifely carriage... after the kindling again of so many memories, the first touch of her body, musical and strange and perfumed, sent through him a keen pang of lust" (Joyce 175).   Gabriel seizes Gretta in a passionate embrace and inquires into her thoughts.   Gretta hesitates at first then proceeds to explain the tragic tale... ...ased to consider themselves irrelevant as living beings.      Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚     Gabriel Conroy, through his self-righteous concern for others, has created an internal paralysis.   Because Gabriel dwells on events in the past he is unable to move forward in his life with satisfaction.   Although Gabriel indisputably loves his wife, the elusive curse created by Michael Furey's inconsequential existence, long before he and Gretta were involved, has instigated unruly thoughts on Gabriel's behalf.   This vague and malicious being breaks down Gabriel's ego; he questions the validity of his and Gretta's love for one another and the significance of his own life.   These thought processes cause Gabriel to believe himself better off dead rather than alive, banishing him to a life of eternal discontent.    Works Cited Joyce, James. Dubliners. New York: Bantam Books, 1990.

Wednesday, September 18, 2019

Essay --

Liam Connelly Final Project Golden Age of Greece Thermopylae and the 5,200: an Analysis of Creative License in Film There is perhaps no last stand than the famous 300 Spartans at Thermopylae who held the massive Persian army for three days in a narrow mountain pass, nearly two and a half millennia ago. When the movie 300 premiered, I was beginning to appreciate military history and I found the story of these hopelessly outnumbered Greek patriots absolutely riveting. I had known that more than a little creative license was taken after seeing some of the more fantastic scenes but some of the important historical nuances were lost in the depiction. My objective today is not to pedantically nitpick every anachronism and erroneous fact, but simply to discover why the filmmakers augmented the history with them. My primary source for comparison is Herodotus’ Book VII of The Histories, in which he describes the background and facts known to him about the battle itself. The origin of the 5,200 from which this project takes its name is the fact that Herodotus counts not only 300 Spartans but at least a full 4,900 other troops from other Greek regions who fought against overwhelming odds to hold the Persians at bay (Herodotus, 511). While the Spartans may have earned the lion’s share of the glory for their self-sacrifice, the 4,900 or so other soldiers deserve a place in this epic tale of courage and discipline. The primary formation of Greek infantry is the hoplite phalanx. Each hoplite’s hoplon, or shield, protected the man to his left and long spears gave the ranks behind the first allowed them to bring to bear a wall of bronze spears in front of them. The phalanx is a strong formation but it is vulnerable to flanking maneuvers, ... ...eks doesn’t need any tweaking or embelishments; it’s already extraordinary on its own. Indeed, nearly every genre of film audiences love today can be found in the stories of Greek dramatists, myth, tradition, and history, from romance to comedy and war. There’s a rich cultural well waiting to be drawn upon by other filmmakers to tell the story of Greece in her finest hours. I hope more directors discover that. Until then, I’ll remember the 300 as they were, not what I’d like them to have been. Works Cited Herodotus. The Histories. Trans. Aubrey De Selincourt. Ed. Betty Radice. Middlesex: Penguin, 1954. Print. Miller, Frank. Interview by Steve Daly and Entertainment Weekly. 13 Mar. 2007. Snyder, Zack, dir. 300. Prod. Gianni Nunnari, Bernie Goldman, Mark Canton, and Jeffrey Silver. 2007. Warner Bros, 2007. DVD.

Tuesday, September 17, 2019

Field Commander Paper

I would like to try out for a leadership position in the band, also known as field commander. I understand that this requires maximum dedication and hard work throughout the year. It is my responsibility to put that into action and consideration for my fellow band members and staff. Putting everybody first will be my intention in all occasions. I currently play the clarinet all year around as a sophomore. I have been focused on this for five years now, and I know that I will promote and sustain that in being a field commander as well. I try to achieve all that is possible with my talents along with my other activities.I participate in solo and ensemble, all-county band, all-district band, percussion ensemble, and the drama department as activities each year. These activities mold me into an experienced musician and has allowed me to strive for my desires and appreciate the art in life. Not only do I try to accomplish these events in the band, but I am also a leader of the school. Thi s year is my ninth year of being a cheerleader and it has taught me a lot about respect. I understand that people do not consider cheerleading a sport, but they do not take into their consideration the hard work we put into everything we do.This also relates to the band because it is not known as a competitive sport, but we work just as hard in our job and perfecting performances, just as much as any athlete. Nine years of the same activity takes lots of endurance and dedication into a certain passion, and I have learned over the years to have this. Self control is an important role in the job. With being in charge of an extensive group, self control is a key quality to embrace. It will be my job to step up and avoid any difficulties or problems, simply because nobody else will. As a leader, I must make peace among everybody and show no disrespect towards any other student.Everything I do, I remember the simple word, effort. Essentially, if we think of ourselves as naturally smart o r marvelous at particular characteristics, then putting effort into improving will imply that we aren’t particularly strong at it in the first place. As a group, we need to put in the same amount of effort together, to be more like one. It is our goal to become one as a whole and learn to do everything as a â€Å"team†. I will enforce this as being a leader and help the band members in anything they need. I believe that I have the ability to be a leader.I have a vision of where I want to go, along with my plan of success for my band. I’m aware of making difficult decisions that requires confidence along with motivation. Helping others is one of my best traits I have, I can articulate their ideals to others, convincing them of the value. Inspiring people to work toward common goals and to achieve things they never thought they could do is something I know I have the potential to do. I am also aware of my own strengths and weaknesses. I recognize others disadvanta ges, and am able to make changes when necessary. Leaders must be trustworthy before others will follow them.I admit that I am reliable upon most things and will try my hardest to be there for everybody when needed. I want to continue to help others to learn and grow together by having fun. I want us all to be open to new ideas and look beyond our abilities. Last, I have the courage to act in situations where results aren’t assured. I’m willing to risk failure and understand that everything will not go perfectly. By knowing this, I will remain patient and accept that it is a result of learning. Field commanding is a difficult duty. I as a student has went through a thought process about this job, and accepted it.I know that I can help the band form into one, yet remember that I have to take in the most discipline. I’m willing to be told to do anything, and do it. With all of my hard work and effort, I’m ready to be a leader. I have always wanted to be the person in front of the stands conducting with a group of people relying on me. I want to make this year fun and full of memories and the year of 2012-2013 an unforgettable time. This is a job for me, and I know that I’m ready. Thank you for your time and consideration, I appreciate all the attention given. Sincerely,

Monday, September 16, 2019

We Are Becoming Increasingly Dependent on Computer Technology

As we move into the twenty-first century, it is clear to see that we have become more and more dependent on computers and information technology. This technology now reaches into almost every area of our lives and it is easy to predict that this phenomenon is only going to grow. My personal belief is that this presents a variety of dangers. It is highly likely that in the future there will be comparatively few aspects of our lives that will not be influenced by computer technology.The probability is that it will control more and more forms of communication, transforming fields such as education and business when video-conferencing platforms become more stable. It might even affect romance with more people forming relationships online. While there may be benefits to this technological revolution, there are also a number of potential dangers. Perhaps the most serious of these would be that if people rely on computers too much for communication, they could in fact begin to communicate l ess well.For example, if every member of a family had their own computer screen and smart phone, they might speak less and less often to one another and simply look at a screen. This would be serious because our ability to communicate is an essential part of our humanity. My conclusion is that the growth of computer technology is inevitable, but that this may not be entirely positive. Just one area in which it is possible to foresee dangers is communication, and if we are going to ensure that computers do not become a negative influence, we need to think carefully how we use them. (273 words)

Sunday, September 15, 2019

The Evolution of the Value-Added Service Concept

The value added service concept has become popular recently although it has been existent for the past few decades. The concept was formally introduced by the telecommunication industry, a term they used for non-core service offerings that they were offering consumers in order to provide the consumers an incentive for purchase and as a differentiation factor for their business.Some of the characteristics of value added services are that they are usually the non core service or product offering for the business. However it is still possible for the value added services to stand alone operationally and be offered as a separate product. Another important characteristic for a value added service is that although it enhances the basic product/ service offering it should not attempt to cannibalize the main product/service offering for the business, i.e., take the customers away from the main product.The most commonly used value added services include the following:Offering different types of packaging and sizes for the productProviding specific service levels for the products with specific service level agreements for services Rewarding the consumers for their loyalty to the brand by giving them gifts and developing frequent buy programs Providing specific training and education for the product and service or a value added service center like a help line or a customer support center for the clients. â€Å"They are about performing all of those activities as close to the end consumer as possible.† (‘Impact of Value Added Service Center’, 2002)  Provide different types of qualities for the product according to the requirements of the consumer. Premium pricing can be charged on these quality levels.  Providing efficient and speedy delivery service with order tracking facilityIn the recent years however the concept of value added services has changed. Previously consumers expected the core product to be the product itself, but now consumers tend t o expect the product to have specific type of additional services and characteristics in them which were previously only considered value added services. These value added services have now become rudimentary in nature and the consumers now expect the product to have the value added services.Moreover the value added characteristic has also changed talking form of customization for the consumer. An example explaining this change is previously we used to have mobile phone with the basic capability of dialing for calls and receiving calls on a mobile device. Then the SMS, a VAS, was introduced which enabled consumers to send text messages to other people. Now the mobile phone have digital camera, mp3/mp4 players and an operating system which also were introduced as Value added services but now have become an integral feature of the product it self.The reason for the change in the dynamics relating to value added service offering has been mainly due to the consumers’ perception o f the products and their expectations. They have come to expect certain kind of vale added services to be a component of the product itself, even though it is actually a value added service. This has lead to customization for many consumer goods taking place where business are using niche marketing strategies to provide products and services which are very specialized and customized and in natureThe value added services offered have evolved largely also due the technology available to the companies as well. They have tried to differentiate their product/ service offering by making their operations more efficient and investing in technologies which have let them achieve comparative advantage. One of such technological investment has been in the packaging industry.   Ã¢â‚¬Å"Evolution isn't a theory in packaging; it's a fact of life. Corrugated and folding carton converters stake their survival on evolving their menu of value-added services to meet the changing needs of their custome rs. That can require a substantial investment in technology.† (‘The Evolution of Relationship Selling’, 2005)In the future as well as the dynamics of consumer consumption decisions and purchase decisions change the value added services offered by corporations and businesses will tend to evolve and change in order to respond to the latent and apparent needs and requirements of the consumer.References:(2005), The Evolution of Relationship Selling, Paperboard Packaging.Mylonopoulos, N. A., Sideris, I. A., (2006), Growth of Value Added Mobile Services Under Different Scenarios of Industry Evolution, Electronic Markets (2002), The Impact of the Value Added Services Center, Warehousing Management Dupin, C., (2002), Sales Evolution, JoC Week

Saturday, September 14, 2019

Muscles

Muscles, skeleton and skin give the body shape and form. But it’s the muscle tissues that clearly give the features and shape of the human body. Much effort is given to muscles that it has even become a large global industry just to maintain it. Among the specialized tissues in the body, the muscle tissue is highly specialized. Muscle tissues have contracting abilities and conducting abilities. Muscles are found to carry out electrical impulses. Voluntary muscles are differentiated from involuntary muscles. In terms of structure, muscles can either be striated or smooth. Muscles are commonly known as smooth, skeletal and cardiac. Different organs use different kinds of muscles. Small intestines have smooth muscles. Smooth muscles are neat and form parallel lines. Intestine muscles are involuntary muscles. They contract without conscious thought. These muscles fit the intestines because digestion is not an act of will. Whether you like it or not, intestines will move according to the contents of your stomach either when they are full or empty. The uterus also has smooth muscles. Other organs such as the bladder, blood vessels and other internal organs also have involuntary muscles. Skeletal muscles are confused to be fibres of connective tissues. Skeletal muscles are not of connective tissues because these muscles are not extracellular elements. These muscles describe the individual skeletal muscle cells. These tissues are fibres that are thin and very long. They almost look like threads like the one we see in clothing. Under the microscope, these cells are cylindrical and unbranched. The nuclei of these tissues are neatly arranged that goes around the periphery of the cell. This neat and orderly arrangement is made up of actin and myosin filaments found inside the muscle cell. Skeletal muscle cells that are arranged and form large bundles are called fascicles. These bundles are enveloped with thin layers of connective. Continuous arrangements of these fascicles become parts of a particular muscle organ, for example biceps. Cardiac muscles are almost an integration of smooth muscles and skeletal muscles. These muscle tissues make up the wall of the heart. They are striated and multinucleate like skeletal muscles however, they also seem to be smooth because their nuclei are located at the center and that a lot of cells are required to occupy the length of the muscle. â€Å"It differs from both skeletal muscle and smooth muscle in that its cells branch and are joined to one another via intercalated discs. Intercalated discs allow communication between the cells such that there is a sequential contraction of the cells from the bottom of the ventricle to the top, facilitating maximal ejection of blood from the ventricle during contraction. This occurs with out nervous innervation to each cell or group of cells. Cardiac muscle also differs from the other two muscle types in that contraction can occur even without an initial nervous input. The cells that produce the stimulation for contraction without nervous input are called the pacemaker cells.† (Ackerley, 2006) These three types of muscles help the body more than make it look good. There are many important benefits from proper maintenance of muscle tissues. The muscle is fit when one is strong, has endurance, is flexible and can carry out everyday tasks without injury. Keeping the muscle fit will also keep the organs fit. Programs such as weight lifting or weight bearing help the muscle build endurance and flexibility. One need not be a weight lifter to have properly maintained muscles. Weak muscles are cause of lower back and posture-related diseases that can lead to painful problems. If the muscles are healthy, it will help the skeletons to cope up with stressful activities of the body. Both voluntary and involuntary muscles are important to keep the body balanced. Massaging muscle tissues are almost the basic human instinct that is first aid to muscle pains. Massaging the muscles specially the ones that are in pain or are with disease is a way to increase body chemical flow in and out of the muscles. Given that muscles are smooth, skeletal or cardiac, massaging the muscles will help the muscle tissues from stagnating and being rigid. References: Ackerley, Sandra K. 2006. Muscles. Department of Zoology, University of Guelph, Guelph, Ontario, Canada. Retrieved April 1, 2006    Bourne, GH. 1960. The Structure and Function of Muscle. Academic Press      

Friday, September 13, 2019

Bibliography Annotated Example | Topics and Well Written Essays - 500 words

Annotated Bibliography Example This essay will discuss John F Kennedy as one of the widely known international figures who fought for social justice fearlessly. John F Kennedy is one of the most mythologized figures in contemporary American history who was known for his debonair good looks, oratory skills and charismatic persona. Kennedy is also termed as one of the 20th century’s most memorable presidents who left a legacy that continues to enjoy the spotlight up to date. He was born in a rich, Irish-Catholics family that was connected to politics (Pascale 60). He and his eight siblings enjoyed a privileged childhood of elite private schools, sailboats, servants, and summer homes even though he used to suffer frequent serious illnesses during his childhood and youth (Bryant 28). Despite health challenges, Kennedy strove to make his own way whereby he wrote one of the best-selling books while still at Harvard and volunteered for hazardous combat obligation in the Pacific during World War II. Serving in the World War II made Kennedy a hero after which he quitted and worked as journalist for a short spell, and later entered into politi cs where he served in the House of Representatives from 1947 to 1953 and the Senate from 1953 to 1961. John F Kennedy become the president of the United States of America during some of the most tumultuous years of the 1960’s civil rights movement that was led by renowned civil rights activists like Dr Martin Luther King Jr (Dudziak 58). Civil right movement was fighting for equality for persons of African-American origin and Kennedy give the movement an ample support. As a matter of fact, many admirers think of Kennedy in terms of his youthful vibrancy, his popularity amongst the people and his commitment to social justice, especially for African-Americans. He was elected as the US president in 1960 partly

Thursday, September 12, 2019

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

Assignment 1 - Essay Example It is true that in today's world the Iranian government was â€Å"Feeling its oats.† The government is looking for a way for Iran to gain more influence in the region. That is one of the reasons they were pursuing a nuclear program. At the same time they were also pursuing partnerships with both Syria and Hezbollah in Lebanon which has allowed them to further hem Israel into its corner. They wanted to have more influence and impact on the countries in the region. The truth is that because the American invasion of Iraq left a power vacuum in the region, the Iranians have been able to capitalize on it and gain more influence in Iraq. In a sense, Iranian interests have been served, but so have American ones. This has encouraged them and given them confidence as they pursue the expansion of their belligerent programs. They must be stopped. The United States must not allow this aggression to stand. At risk is their relationship with their ally Israel. Israel is under direct threat from Iran whose leaders have many times threatened to destroy them (The Economist). The truth is that the U.S. Can only take Iran at its word.

Annotated Bibliography Research Paper Example | Topics and Well Written Essays - 750 words - 3

Annotated Bibliography - Research Paper Example The author is emphasizing on heritage and African traditions and that Dee and Maggie should follow the traditions that they were raised with. "Everyday Use" is a true representation of motherhood anxiety in the instance where the mother favors Maggie for being loyal and willing to extend the family generation to her children as compared to Dee who sees no sense in traditions. According to Tuhen, there is a representation of maternal fear that Dee will not be like the daughter that she always wanted her to be. For example, when the mother lacked money to take them to school, Maggie the younger daughter quit school, while Dee was not for the idea because she emphasized that her education was more important. â€Å"She used to read to us without pity†¦.She washed us in a river of make believe, burned us with a lot of knowledge we didn’t necessarily need to know† (Walker 26). There is motherhood fear where Dee being the eldest, she is expected to take the quilts but since the mother does not believe in her, she gives the quilts to Maggie. This according to the mother is a confirmation that Maggie is more worthy of having the quilts as compared to Dee. Again, this is a symbolic measure that the mother became anxious and empowered Maggie while she was still young. Amanda became troubled as she became the father and mother to her family. She becomes disappointed when she misses a job that she wanted and goes home only to quarrel Laura for not staying in the house because she went out. Amanda also keeps quarrelling with Tom because of table manners, going to the movies too much and smoking. Motherhood anxiety is portrayed where Amanda wants Tom to be whom she wants him to be and not who he wants to become. She wants Tom to be more responsible and at times she treats Tom and Laura like little children by telling them what to do and when to do it. Fear is portrayed when Tom is smoking

Wednesday, September 11, 2019

Research paper Essay Example | Topics and Well Written Essays - 1750 words

Research paper - Essay Example Type III, commonly called Cyclothymia, is a less severe form of this condition. The person undergoes cycles of mild mania and/or depression. At times, when undetected, it could progress to either the type I or II variant. Bipolar disorder is a chronic illness and it significantly affects the lifestyle of the patient on a social and professional basis, and quite often impairs their cognitive functioning. Depression is the phase of BD that represents the greatest challenge in management of the disorder. Undetected or prolonged depression and delirium is a frequent cause of suicide, and thus it is imperative that this condition be dealt with sensitively. The depression: mania ratio in bipolar disorder is 1:3, which tells us that the patient spends more time in an all-time low (Galvez, Thommi, & Ghaemi, 2011) . Heredity and Statistics: The possibility of inheriting BD from a previously diagnosed parent is 86-90% and studies over the past 11 years have shown that 9% of unipolar depressive patients were diagnosed as having BD. The suicide rate in these patients is almost 17 times higher, as compared to the general healthy adult population (Rapoport, Basselin, Kim, & Rao, 2009). In addition to being a social burden, BD has equal implications on personal finances and world economy. Within the USA itself, the treatment regimen spans from $12000 for a single episode of this syndrome, to a whopping $62K for patients who have to be aggressively managed with drugs and other therapy. Typically, symptoms of BD appear by the average age of 22 years, but are recognized and diagnosed with a lag period of almost 10 years. Even after commencement of therapy, the subject may remain symptomatic for a significant period of time, which makes it essential to continually monitor and adjust the treatment protocol (Nivoli et al., 2011). It has been reported that more than 66% of patients have a minimum of one close relative that has been diagnosed with either unipolar or bipolar depressio n, thus linking it to heredity (Nivoli et al., 2011). Characteristics and symptoms of people with Bipolar Disorder: Symptoms of varying degrees and intensities can be observed in this syndrome. The most common observation in Type I BD is extreme mood fluctuations. The highs include excitement, overly enthusiastic behavior, boundless energy, megalomaniac tendencies, generous thoughts and a surge in confidence levels. The lows that one typically experiences are prolonged periods of depression, irritability, sleep deprivation and a general feeling of loneliness, often accompanied by phases of crying for trivial or no apparent reasons. It is very common to have feelings of being incomplete, inadequate and worthless, which eventually culminates into thoughts and ideas of suicide. The hallmark of this disorder is the frequent cycling between the high and lows, namely the mania and depression, by virtue of which this disorder is detected. Social Challenges: Needless to mention, social stig ma is commonly encountered by people, who are aware and informed that they are suffering from this syndrome. Such subjects consciously modify their behavior, in order to reduce the instances of being rejected or discriminated. In the mild to moderate symptoms in Type