Thursday, October 31, 2019

Asign 4 mj Assignment Example | Topics and Well Written Essays - 500 words

Asign 4 mj - Assignment Example ional strengths and weaknesses, which together constitute the validity and applicability of the content and approach of the author, to the Indian energy sector as well as the overall wellbeing of the world’s environmental demands. Thus, the critical analysis of the aforementioned heading entails an integration of the factual aspect of the anticipated energy implementations in India, as juxtaposed with the adverse consequences that emerges forthwith. In view of the duo consideration, one feel the weight of each concerning the subject matter, thus decision-making and value judgment becomes inevitable. At the epicenter of Indian steadfast push for renewable energy, lies the promise delivered by the Modi government to ensure development of a solar power production plant that can be in a position of supplying no less than energy equivalent to that consumable by one electric bulb across every home within the Indian Territory by the year 20191. This comes amidst statistical evidence projecting an explosion of Indian demand for energy doubling over the next two decades. Thus, the construction of the 4000-megawatt solar power plant in the Thar Desert is of crucial essence concerning the critical analysis of this article2. Nevertheless, the negative criticism of this landmark project comes handy in view of the adverse effects to flamingoes and other migratory birds that spend a better part of the winter at the wetland regions in close proximity. Additionally, the Indian eagerness to fund massive wind power generating plants is as well in line with the push for renewable energy. Despite the fact that in India for instance, there is over 40% wind power installation in the state of Tamil Nadu, it remains unreliable for use by the people due to the unpredictability of the plummet and occasional augment of the winds, which cause grid destabilization. The carbon cycle represents a number of processes that together form the specific zones in which carbon IV oxide is stored. Of

Tuesday, October 29, 2019

The Play True West By Sam Shepard Essay Example | Topics and Well Written Essays - 750 words

The Play True West By Sam Shepard - Essay Example True West is a play written by Sam Shepard which revolves around two brothers Austin and Lee who came to their mom's house to spend their days as their mom is going to some other state. However as the play continues the brother develop a grudge against each other and difference develop between them. The major change of personality can be seen in both the brothers as in the starting Austin is the one who is a decent and well behaved person who does not drink, where as Lee is the one who has negative views about his brother and drinks most of the time. Whereas in the end it can be seen that Lee is adopting to Austin's views and Austin has adopted the habits of Lee which are drinking and doing crimes. This basic change happens because of the opportunities presented to Lee and Austin by the producer Saul Kimmer. In the beginning of the play Saul Kimmer the producer comes to bring an opportunity to Austin whereas, the whole plot changes when Saul Kimmer rather accepts the script of his br other. Austin is shown as an educated person who is determined to make a fortune for himself in the world. Therefore after his script gets rejected over his brothers he gets emotionally unstable as he cannot attain his dreams. Furthermore after realizing that he cannot achieve his dreams even though he has struggled for them, he goes into an identity crisis and follows the same path that his brother has. The basic reason for his identity crisis is because of his brother's greedy attitude but he in the play thinks as if his brother is more competitive and intelligent than him. This makes his brother Austin follow the same path as Lee as he thinks that following that path might make him successful in life as Lee is. It can be seen in the play that after Kimmer rejects the idea of Austin over Lee's he decides to drink heavily. On the other hand Lee is greedy to make a respectable place for him in the society amongst all the other individuals. He wants to overthrow his brother and shatt er his dreams so he can achieve his own goal and thus he approaches the producer to consider his script which to the surprise of Austin is accepted by the producer. As his script gets accepted by Kimmer Lee pursues a life of comfort in the society as lived by Austin and tries to change him self. Change plays a deep role in the play as the lives of both Austin and Lee are changed from what they were before. Both the brothers transform into each others lives as in the latter part Austin starts to drink and steal like his brother Lee. While Lee tries to write a script for his movie like Austin did in the past. This shows that life is uncertain and some things are not meant to happen. The unstable nature of Austin can also be viewed as he started doing activities which were not in accordance to his education and level. Greed also plays an important role in the story as the greed for fame and fortune forces Lee to con Kimmer to see his script rather than his brothers. However the work of Lee is not as good as that of Austin but even then his work is preferred by the producer. Change takes place in the play when Austin forces Lee to take him to the desert where their father lives. He wants to follow the same path that his father did which he did not allow previously to over take him. The habit of stealing overtakes Austin in the latter end of the play like his brother and this can be said

Sunday, October 27, 2019

Charles the Great: Should Charlemagne be called great?

Charles the Great: Should Charlemagne be called great? Charlemagne has from his time of rule between the years 768 to 814 left a marked and undeniable impression upon the historical world, encouraging global and timeless debate as to whether he warrants his image as the Father of a Continent.  [1]  Throughout the duration of my project I intend to explore the concept of Charlemagne as a great man by looking at the historiography surrounding him, considering his actions and seeing whether they justify his magnificent reputation. This question has attracted much scholarly debate both during and since the time of Charlemagne and I hope to display how the historians have interpreted Charlemagnes title, and whether their opinions have changed as time has progressed and their research has developed. I will consider three main areas of his reign which have in my opinion instigated the most discussion. The first will be his constant involvement in warfare and the achievements and failures he attained and endured as a result. The second will look at the disintegration  [2]  theory, calling into question the capability and effectiveness of Charlemagnes government and administration, and consequently his ability as a ruler. The final area of deliberation will question the significance of the imperial title, and how he came to acquire such a prestigious title, encompassing his policies of education and reformation. I will attempt to find historians that both agree and disagree with all themes. In addition to these main points that I hope to also observe Charlemagnes involvement with finance and legislation, including his relationship with the church, all of which I hope will provide me with enough evidence from historians by which I can determine whether Charlemagnes reputation ca n be defended or not. The German historian, Franà §ois-Louis Ganshof who was writing in the late twentieth- century, is very explicit in his opinion that Charlemagnes kingdom and rule decomposed shortly after 800, mostly as a result of the inadequacies of his army. According to him it was Charlemagnes death which actually helped to save his reputation from disgrace, as he suggests that had he lived any longer the defeats he would have endured would have been especially damaging.  [3]  There are many scholars who directly oppose this line of thought however, particularly Donald Bullough who was writing around the same time as Ganshof and professed that by the time of his death in 814 Charlemagne was the most powerful Christian ruler in the world  [4]  These differences of opinion felt around the same time demonstrate how varied the debate is upon Charlemagne and whether he truly deserved his magnificent title, which has survived and been upheld throughout the ages. The Frankish kingdom under Charlemagne was, indeed, very powerful, and by 814 Charlemagne had many over-sea territories under his firm control. This however was not always the case, and throughout his 40 year reign, Charlemagne was confronted with much unrest. Roger Collins, writing in 1998 tells us that Charless Saxon wars were the most protracted and most bitterly fought of the numerous campaigns of his reign, having begun in 772 and continuing until 804, with repercussions still being felt thereafter.  [5]  There is no general consensus to be found which agrees that he Charlemagne was wholly successful or not in the different areas of his rule, but I hope to see whether time, situation or perhaps agenda of the historians are valuable enough evidence for the continued debate as to whether Charlemagne was a great man. The reputation of kings and leaders is often measured in terms of the amount of land gained throughout a reign or time in power. In terms of Charlemagne, this again opens up new avenues of great historical debate. Was the expansion of territory during his reign extensive enough to justify his repute as the most powerful Christian ruler in the world? Many historians disagree that it was, and R. Schieffer confirms that after years of apparently unstoppable rise, the limits of Carolingian power suddenly became apparent  [6]  around the time of the year 800. Alongside Schieffer, reasons for this opinion centred upon Charlemagnes inability to expand his territories significantly into Spain or into the eastern empire. For example, The Royal Frankish Annals, described as the most unassuming work of history written during this age  [7]  , tells us in 782 that Charlemagnes army were killed almost to a man when the Saxons, persuaded by Widukindà ¢Ã¢â€š ¬Ã‚ ¦ rebelled as usual.  [8]à ‚  This does not suggest a successful army led by a great warrior king. In addition debate on this topic has been largely focussed around the substantial lacking of a competent and willing army, as H. Fichtenau suggests, The poorer people complained that they were compelled to render almost continuous military service until they were completely impoverished.  [9]  This also informs us that Charlemagnes subjects were coerced into fighting for their king, possibly questioning his reputation at the time and skill as a military leader. In this sense, it is easy to argue that Charlemagne does not deserve the brilliant reputation that he has been remembered for. Fichtenau continues in suggesting that Charlemagne cared very little about his people to make them do continuous military service which may be a reason why he could not easily raise an army. Is this the attitude of a great leader, in response to the terms of the treatment of Charlemagnes service men? T. Reuter completely disagrees with Fichtenau suggesting that warriors were well looked after, bene fiting from gifts of food, clothing, gold, and silver, horses and arms  [10]  . This reveals a competent leader aware of the people serving under his name and rewarding them justly. Charlemagne managed to conqueror a substantial amount of Italy and hold on to what he had when faced with attempted invasion, in particular against the Saracens and troublesome Saxons. Einhard recorded that Ganshof, whose view upon Charlemagne is often critical, even records that; outstanding achievements, which can scarcely be matched by modern men.  [11]  Certainly the achievements that Charlemagne enjoyed in wartime are abetting as a part of his great remembrance. There is certainly much to suggest that Charlemagne did deserve his reputation in relation to his triumphs on the battlefield. His acquirement of the Avar treasure in 791 and the invasion and subjugation of the land of Bavaria to his rule where remarkable high points in his reign of warfare; Becher goes on to tell us that with Bavaria, Charlemagne acquired a new and apparently powerful neighbour,  [12]  which would assist him in advancing his reputation across the continent. Bullough is in cohorts with Becher on this opinion as he claims that Charles reputation and prestige among his neighbours had clearly not diminished as advancing years forced him to leave the command of armies in battle to others.  [13]  Agreeing with this view is Collins who adds in his work, which offers an essentially political account of the major developments of Charles reign  [14]  , that Charless naval activities in his final period are particularly notable, and saw the Carolingian Empire turned into a major maritime power.  [15]  In my opinion, Charlemagne did well to defend his kingdom successfully and expand to cushion his existing borders. Ganshof shows that he was a well renowned man and admired by other kings from neighbouring territories. I believe that Charlemagne not only managed to maintain his inherited lands, which is a great achievement in itself considering the vastness of the kingdom, but managed to build and gain land and respect, with which comes great reputation. His role in warfare suggests that he was a great and distinguished military leader and it would appear that his victories and skill in battle is one of the few topics where the historians generally agree that it enhanced his reputation amongst his peers and beyond. The argument of the decomposition  [16]  theory, chiefly driven by Ganshofs, has also encouraged much contest between historians, both historically and modern. Charlemagnes final years, chiefly following the Imperial Coronation of 800, are characterised by Ganshof as being dominated by a process of disintegration. It is my view that this idea holds a certain truth to it, demonstrated particularly in the aftermath of Charlemagne receiving the imperial title, but only to a certain extent. There were arguably some areas of his rule that experienced some level of limitations post-800, particularly his administrative apparatus, his military successes and also his Imperial Programme. Ganshof sets the parameter for this issue, although he does also indicate that there was a Balance Sheet,  [17]  implying that he did not believe that there was either uniform failure or success. He does often mention, however, that any successes Charles managed to achieve, mainly concerning his foreig n and internal policies, were in his mind, notably disappointing,  [18]  holding an overall picture of failure. Opposing this idea, King states that the Emperor had coped perfectly satisfactorily in his last years,  [19]  supported by Collins who adds that he believes that Ganshofs judgement seems mistaken.  [20]   Charlemagnes government is one of the most disputed aspects within his reign. Many historians agree that the way in which he orchestrated his government was poor, including Matthew Innes who declares that the lack of attention to the nuts and bolts of administration and to the mechanisms by which Charlemagne was able to govern à ¢Ã¢â€š ¬Ã‚ ¦ is striking  [21]  . His point is furthered in saying that some historians have gone so far to claim that the Carolingians lacked any clearly defined concept of the state  [22]  . In the last years of Charlemagnes reign for example, the Carolingian state had symptoms of bad government  [23]  . The idea argued by Ganshof that the last reigning years suffered decomposition would surely suggest that Charlemagne does not deserve his great reputation. Ganshof states that Charlemagnes achievements in the last years fell short of those envisaged in 802  [24]  We know that during 801-814 for example there are instances of malfunctioning of public services  [25]  of which the capitularies year after year denounce the same abuses  [26]  . The capitularies created under Charlemagne often had to be re-issued, and we may infer from this that perhaps he did not have the authority which would ensure his requests were carried out. Fichtenau maintains that it cannot be denied that Charles the great failed to solve this problem  [27]  . Donald Bullough is in agreement with this point as he does not feel confident that either Charles or his close advisers had developed a clear and consistent attitude to the empire in the east.  [28]  Davis who was writing in the late 1920s confirms that the capitularies and his commissions produced the merest ripples on the surface of the deep waters of customary law.  [29]  His work predominantly focuses on the belief that the very name by which [Charlemagne] is best known is the product of French invention  [30]  with a view to link themselves with greatness, rather than a result of Charlemagnes prominence. The majority of the criticism directed at Charlemagnes government foc uses around the years after 800, however Charlemagne managed to achieve great things such as managing to make his subjects take an oath of fidelity taken in the name of the emperor  [31]  which Ganshof describes as new and imperial  [32]  . Perhaps even more importantly he created a new codification of law which insisted upon creating a written record of laws for the first time. Therefore it is evident that the government serving under Charlemagne did manage to do great and commendable things. It was from the government that Charlemagne managed to patronize the arts, and scholarship and learning. Although there were negatives within the government, I believe the achievements far outweigh them. The Imperial Coronation is a major event in Charlemagnes rule and yet another area which has induced forcible disagreement amongst historians since its occasion in 800. The main argument is centred on the significance of the title in relation to the rest of his rule, and calls into question his role as protector of the Church among other factors. With the imperialization of Charlemagne  [33]  in 800, many historians have questioned whether Charlemagne changed the way he ruled after his coronation. The areas on this question chiefly explored throughout history are multi faceted, but I have identified three main parts to examine. These include changes that were implemented in the government, if any, Charlemagnes personal outlook on the title, and his role as protector of the Church. It is interesting to see how much, or indeed, how little, these three constituents changed after the Imperial coronation of 25th December, 800. We can identify certain techniques that Charlemagne employed in order to carry out his will. In 802 he called a council at Aachen and dispatched his missi in order to examine the religious and moral state of affairs throughout the kingdom. Wilson described his government as a strong, centralised government [with] internal stability  [34]  , which leads us to believe that he was powerful enough to impose any changes effectively upon his dominions. Historians have claimed in their work that there were also changes to the content and style of capitularies after 800. The most famous and extensive of capitularies were the Admonitio Generalis, 789, the Herstal of 799, and capitulary produced at Aachen in 802, dubbed as the Programmatic Capitulary by Ganshof. Historian King tells us how each of these capitularies are released following much unrest in Charlemagnes kingdom, and that most of the rulings are concerned with canon law, monastic life and the like.  [35]  It is to be noted however, that these things are indeed recurrent theme[s with] the problems dealt with in 802 or 789 or 779  [36]  and the ideas are simply repeated over time. Collins informs us that the Admonitio Generalis we can see Charlemagne explicitly claiming responsibility for the moral and spiritual welfare of his realm  [37]  . The content was greatly influenced by a range of councils dating back from the fourth to sixth centuries, and therefore much of it was repetition of ideas and wishes from over the years. Although this is true, Collins admits that the concluding regulationsrepresent new injunctions  [38]  and have not been taken from any earlier documents. Nevertheless no dramatic change in content can be seen. King adds that the previously sought goals in the capitularies had not been altered: order, justice, piety, peace, concord, each conceived in Christian terms, each expressive of Gods will.  [39]  Despite this, we are told that these issues were sought the more determinedly  [40]  by Charlemagne after 800. In opposition to King and Collins, Ganshof argues that in face there was a significant change to the content and style of the capitularies after 800, and also the way in which Charlemagne thought perceived them. He interprets the 802 capitulary issued from Aachen as a bid to create a Christian republic on earth under Charlemagnes authority. He puts particular emphasis on the way it is written, and how some passages are in first person which he claimed was unusual. The parts in first person may be interpreted as issues which Charlemagne held most dear to him, and Ganshof argues that this is due to the Emperor being driven by Imperial responsibility.  [41]  The introduction of the capitulary refers to Charlemagnes intentions of sending out missi, to spread the word of god and encourage people to obey him, and Ganshof uses this as evidence of an Imperial programme of rule. The oath of fidelity is a particularly significant feature of the Programmatic Capitulary, the counterpart to t he Emperors recognition of his own enhanced obligations before God.  [42]  Two years after his coronation, it appears that Charlemagne imposed a greater insistence on the strict enforcement of the established laws  [43]  , and possibly the most significant detail is that the oath was to be taken in the name of the Emperor, not the King. Ganshof implied that a distinction is being made between the Imperial and former royal title. He adds that the language used to draw out the oath in the capitulary is explicitly more spiritual, and this distinguishes it from other oaths sworn in the 890s with Charlemagne as king. I believe that the debate to Ganshofs argument rests in the suggestion that perhaps the sixty-year-old Emperor  [44]  was simply becoming increasingly more aware of his old age. Charlemagne greatly desired salvation and in order to ensure this he knew his responsibility to his people and their beliefs was an important constituent which would seal his fate. Perhaps Charlemagnes focus in his capitularies came more from the anxieties of an old man for awareness of passing years  [45]  , and not as a direct result of his Imperial Coronation, as Ganshof has suggested. Perhaps Charlemagne perceived the Imperial title as a way to enforce other wishes more firmly as Wallace-Hadrill claims that the imperial title meant little or nothing to him outside Rome.  [46]  For example, with his newly acquired status he was able to claim that there were religious dimensions to his military campaigns, which would encourage more people to serve him. Davis tells how Charlemagne; did not go out of his way to seek the Imperial dignity, but accepted it as a responsibility which could not be refused; he employed it, not as a stepping-stone to further aggrandisement, but to legalise power already acquired, to allay the purposeless strife of race against race within his existing dominions, to evoke the consciousness of spiritual brotherhood which afterwards proved so mighty a factor in European development.  [47]   Wallace Hadrill confirms that Charlemagne was fight[ing] for the faith  [48]  , and not solely because of his newly adorned title. In addition, this supremacy enabled him to crown his son Louis, which he hoped would secure his legacy after his death. I believe that the greatest significance of the Imperial coronation lies in the debate as to whether Charlemagnes attitude towards the Church changed after 800. In my personal opinion, there is much evidence from many of the historians which suggests that it did, but still there lies a counter argument. I believe that following the coronation in Rome Charlemagne recognised his responsibilities to God and pursued them with a driving passion  [49]  , and his ambition to create a truly Christian society  [50]  was substantially magnified. There is much evidence to suggest that this is exactly what Charlemagne thought God required of him, and the fact that he was crowned on Christs birthday is appropriate to this. It adds to the belief that Charlemagne saw himself as Christs representative upon earth, and because of this, saw himself as Gods worker among men. The Paderborn Epic  [51]  also may hold evidence to this claim, as the poem refers to Charlemagne as an instrument of St. Peter. The oath of fidelity, released with the capitulary of 802, has been said to have been re-phrased to give it a more religious character and was the counterpart to the Emperors recognition of his own enhanced obligations before God.  [52]   After 800, Charlemagne became worthy of the highest secular dignity that existed under God, and we know that he also continuously claimed responsibility forthe spiritual welfare of his realm.  [53]  Was this however completely owing to the coronation or due to his awareness of an approaching death as an old man? There are continuous implications suggesting that Charles had a terrible awareness that Gods judgment will be conditioned by the conduct of his subjects  [54]  and in his remaining months he spent his time in prayer and alms-giving and spent some of his last hours in correcting books.  [55]  Perhaps therefore this priority of religion had more to do with his hopes for personal redemption and salvation from God, and to attain this, he knew he had to do Gods bidding, and spread the word of Christianity for a Christian republic on Earth. Also toward the end of his reign we know he arranged for the distribution of the treasures and silveramong the twenty-one metropoli tan churches that now existed in his empirefor the good of his soul.  [56]  Nevertheless, it remains certain that Charlemagne was concerned with the problems of the Church and thought it was his duty to protect with his whole mind.  [57]  It is evident that his struggles with Saxony were primarily due to their resistance of Christianity, in preference of paganism. It remains uncertain as to whether his increased Christian mission in his last years were more due to the coronation, and his recognition of being the protector of the church, or simply due to his hopes for salvation after death. Becher however tell us that in gaining the Imperial title, Charlemagne achieved his goal of standing at the head of the Christian world.  [58]   Charlemagne is presented as a king of well-rounded ability and his patronage of the arts compliments his government and religious advances particularly well. The capturing of the Avar treasure meant there was a greater disposable income and as a result of the influx of income patronage of the arts, encouraging scholarship and learning amongst his people, soars in his period. Fichtenau and Wallace-Hadrill suggest there was no significant push in the development of the arts for the first few years in Charlemagnes sovereignty. Rosamond McKitterick continues to say that the patronage of learning could be regarded as one of the obligations of royalty,  [59]  perhaps suggesting that it was not something newly enforced by Charlemagne. On the other hand, she then suggests that his patronage was designed to promote his royal power as a Christian king and to consolidate the faith  [60]  which is shown by the creation of the two schools; the peripatetic school, which Charlemagne travell ed with, and the Hofschule, his court school. Most of the courts activities revolved around religion and the Hofschule even created a new addition to the gospels.  [61]  In addition, Charlemagne began to commission paintings such as the Al Fresco which still survives today in the chapel in Frankia. It overlooks the vault and illustrates Christ sitting in majesty. This represents to us a recurring theme that the arts tended to reflect; Charlemagnes comparison to Christ. Charlemagne however seemed to show a genuine interest in the developments of the arts as he was very interested in music and what was sung in his chapel.  [62]  Charlemagne used his patronage of the arts to improve the image in which other people saw him and successively improve his reputation. Einhard, a dedicated scholar who served both under Charlemagne and Louis the Pious claimed that the Kingà ¢Ã¢â€š ¬Ã‚ ¦ was a very intelligent man.  [63]  Rosamond McKitterick suggests that it was a period of remark able efflorescence of culture initiated by Charlemagne  [64]  which is shown by the influx of poetry, art, and books produced during his reign. This can allow us to understand more clearly why the scholars in Charlemagnes era were eager to help the king; scholars from all around the globe sought to help him, including Alcuin of York and Paul the Deacon from Italy. The ability to summon such great men from other kingdoms suggests the reputation that preceded Charlemagne. His devotion to scholarly texts, prayer and almsgiving shows the depths of Charlemagnes faith and his desire and motivation to improve his subjects lives. Personally I think that this is an invaluable insight into the character of the king, as we are able to see how driven and determined Charlemagne was to both better the lives of his people, but also his personal reflection of what his duties meant to him. Charlemagnes attention to the arts tended to be quite extravagant and we may infer that he looked upon the subject as a form of propaganda. It suggests that he was very astute in his decision-making of what to commission in order to improve his reputation. It is clear to see that Charlemagne reputes himself with great integrity and achievement and his accomplishments were of great merit. The viewpoints regarding Charlemagnes claim to greatness are of great variation. Finding the distinction between a myth and a truly remarkable man has been difficult to determine throughout the scope of work available to me. Many historians, including Richard Winston who was writ

Friday, October 25, 2019

Social Conflict and Inequality Essay -- Philosophy Economics Inequalit

Social Conflict and Inequality The social conflict paradigm is a theory based on society being a complex system characterized by inequality and conflict that generate social change. Personal life experiences dictate me to believe this theory is true. Discussion of the theory in question and how it pertains to myself will be covered in the paper. Social conflict can be seen all over the world we live in: in sports, politics and normal social engagements. The main point I have experienced with this theory would be the fact that I don’t come from a rich, powerful, and prestigious family, which in turn limits my chances of being successful. Karl Marx studied social conflict His entire life and wanted to reduce social inequality. The social conflict theory can be described as favoritism. Society tends to show favoritism to the prestigious members of that particular society. Social inequality is shown throughout the world from situations of race, ethnicity, gender, and age. These factors may dictate wealth, scho oling, power, and prestige. The social conflict paradigm views the patterns that benefit some people more than it would others, due to their social standings. Karl Marx was a sociologist who embraced the social conflict paradigm. Marx made his main goal to not just understand society but to reduce social inequality. Karl Marx devoted his life to explaining a contradiction in society. That contradiction was â€Å"How in a society so rich, so many could be poor.† Marx makes a good point here: If America is supposed to be a rich country and a free country where the streets are paved with gold and opportunity is knocking around every corner, then why is it that there are so Many poor people in America? The answer is social conflict. America does not provide the same opportunities to people from a poor family as they do with people who come from a rich and prestigious family. Two people with the same academic backgrounds and qualifications may apply for a job; however, one comes from a poor family and the other from a well-known rich family. Through the social conflict that exists in the world the person from the rich family has a much grater chance of receiving the job than does the person from the poor f amily. The same can be said of a person of color and a white person. The typical African-American family earns about 54% of the income of the average white ... ...he fact that I want to prove the Marxist or social conflict theory wrong and become prestigious myself and not just settle for a working class position. The social conflict theory is seen everywhere everyday. The struggle to achieve despite the hand you’re dealt at birth is part of everyday life. Sports teams draft second generation players because of their family backgrounds as opposed to another player with the same ability. Politicians are voted into office due largely in part to their economic stature. A poor person wouldn’t win an election would they? Not without the deception of the public leading them to believe they were a rich individual. There is no escaping social conflict it is everywhere and will continue to be a part of society forever. Maybe one day Karl Marx’s dream will come true to have society be on an equal playing field but do not look for that to happen in our lifetimes. Discrimination is a big part of society today and discrimination an d favoritism is what social conflict is all about. Discriminating against a person because of their background as opposed to a person with a wealthier background happens all the time and social conflict is the reason for it.

Thursday, October 24, 2019

Mr. Smith Goes to Washington Essay

Senator Sam Foley dies and the governor of a western state Huburt â€Å"Happy† Hopper has to pick a replacement for deceased Senator. Jim Taylor Happy’s political boss tries to pressure him into to selecting one of his corrupt personnel. The popular committee wanted a reformer Henry Hill but the corrupt Jim Taylor was not going to allow that to happen. In the meantime Happy Hopper is struggling on who to select as Senator. While the governor is at dinner with his family his children start heckling him about who to pick as senator the children want him to choose Jefferson Smith the head of the Boy Rangers. Happy is unable to make a decision between Jim Taylor’s corrupt guy and Henry Hill so he decides to flip a coin. When the coin lands on the side next to the newspaper and the front of the newspaper has Jefferson Smith on the front page. So Happy decides to make Jefferson Smith when Jim Taylor hears the news on who Happy Hopper is making senator he is livid but Happy reassures Mr. Taylor that Smith will be very easy to manipulate and at the same time make the people happy. This is when Senator Joseph Payne steps in and also reassures Taylor that the corrupt bill that they are trying to pass while not be notice by Mr. Smith. Senator Payne then takes Jefferson Smith under his advisory and tries to make sure Mr. Smith will stay out of the way. When they arrive to the train station in Washington Mr. Smith meets Senator Payne’s daughter and is immediately attracted to her. When Mr. Smith finally makes it to his office the Washington press tricks him into saying things and quickly take advantage of him making him look like a fool on the front page. Senator Payne suggests that Mr. Smith makes a bill to keep him out of the way of catching on to the corrupt Dam Bill that they are trying to get through the house. Mr. Smith thinks it’s a great idea and wants to pass a bill for a boy’s camp so he gets with his secretary Clarissa Saunders who has been in Washington for a long time and is just waiting for a big bonus once the Dam Bill is passed. Mr. Smith creates a bill to get the government to buy land in his home state for a National Boy’s Camp that will be paid back by each  young boy that attends the camp will have to pay a nickel. This is when Senator Payne and Jim Taylor realize that where Mr. Smith plans on putting the Boy’s Camp is on the same land that they plan on building the Dam. Clarissa Saunders has a change in heart because she know Mr. Smith is an honest man that wants to make a difference and tells him about Senator Payne and Jim Taylor’s plan about the Dam. Unwilling to corrupt Mr. Smith, Payne tells Jim Taylor he wants out but Taylor makes sure that Payne knows the only reason he is Senator is because of him. This is when Senator Payne brings forth to the house evidence that is not true that Mr. Smith owns the land he is trying to get the government to buy for the Boy’s Camp. This is when Clarissa Saunders decides to help Mr. Smith and tells him to do a filibuster to postpone the bill that Jim Taylor wants passed. They were going to vote him out but they were unable to with filibuster. It was Smiths last chance to prove his innocence he talks nonstop for about 24 hours trying to convince every one of the real motives of the Dam Bill. When Mr. Smith has no more hope and is about to give up he says a few thing to Senator Payne which makes him feel extremely guilty and leaves the Senate Chamber to try to commit suicide but isn’t successful and this is when he runs back into the Senate Chamber and confesses everything that hi m and Mr. Taylor were planning on doing Payne confirms Smith’s incorruptibility, and bellows that Smith was right about everything. Mr. Smith faced a lot of problems his short time as a Senator one of the problems that he faced was the Dam Bill and how Senator Payne and Mr. Taylor wanted him to just let it pass through congress even though he knew that it was corrupt. He wasn’t going to lower himself into being paid off or even a position as Senator for a very long to cloud his moral beliefs. He was an honest man and stood up for what he believed in even though it almost destroyed his name and kicked out of congress. A lot of members of congress should be more like Mr. Smith and not so easily persuaded. Member of congress face issues like this not to that extant but some of them are easily persuaded by other things like campaign money for someone in particular or even knowing that a certain person might help their bill get  passed faster. Another issue Mr. Smith faced was how the Washington press took everything he said and turned it around on him to make him look like a fool. Even though he was very naà ¯ve and didn’t know a lot about what he was doing as a senator. They were asking him question about what he wanted to do while he was Senator and then put it on the front page of the newspaper and made it look like he was something that he definitely wasn’t. People in congress have the same problem they have to be very careful about what they do and what they say because the press is always on them. One little mistake could get them in a lot of trouble. Just because they have good intention doesn’t mean that’s what the press will let the public believe. In the public’s eye it can look like you are doing everything wrong just because of one thing that is in the newspaper. Members of congress could avoid certain obstacles by making sure that when they are selected into congress they have a clear view of what and how they want to accomplish when they are there. They must know what they are willing to do to get things done correctly and by not being corrupt to get what they are trying to achieve. Morals and being honest would be the way I would good you must have good morals and honesty is everything. A man or woman’s word is one of the strongest and most influential things they can give to someone. In this paper I gave a brief summary on what the movie Mr. Smith Goes to Washington was about and the characters that were in it. The issues he had to face while being selected as Senator and what he was going to do about being corrupt or being an honest man that stood up for what he believed in. He had a lot of obstacles he had to face to clear his name and almost gave up but when it got tough the truth came out and he his name was cleared. I also talked about what issues the members of congress face in today’s world and compared and contrast it with what Mr. Smith had to deal with in the movie and what ways we could fix the obstacles that they face. In this paper I gave a clear summary of the plot of the movie and why it is not easy to be a Senator and how to be more than just a someone who sits in the Senate Chamber.

Wednesday, October 23, 2019

M•A•C (Makeup Art Cosmetics) Essay

Today, the cosmetic industry is a very innovative and competitive industry where product innovation and brand image is the key to success. One of the world’s cosmetics leading brands nowadays is M†¢A†¢C, standing for Makeup Art Cosmetics. The purpose of this essay is to present M.A.C’s branding strategies and it differentiation to the competitors. Brand Overview Makeup Art Cosmetics or M†¢A†¢C is one of the world’s fastest growing cosmetic brands. M.A.C’s creation was first in 1984 by two men, Frank Angelo, a successful businessman of a salon’s chain in Toronto, and Frank Tosken, a seasoned makeup artist and photographer. At first M.A.C was only used among the professional makeup artists. Then, by word of mouth, it spread to the public. After that, in 1994, M.A.C was purchased by the Estee Lauder who owns many of the world’s popular cosmetic brands, and headquartered in the United States in New York and in Canada, Toronto has the largest branch. M.A.C continues to be a testimonial brand, which is specialized for eyes, lips, face, skincare products, nails, brushes and fragrance. Brand Management M†¢A†¢C sells cosmetics of high quality that is intended for professional as well as everyday users, who are seeking for colorful, fashionable and creative makeup products. One of M.A.C’s brand personality traits is cosmopolitan, which has positioned itself for individuals of every color, race and ethnicity, which is reflected via its motto: All ages, all races, all sexes, all M.A.C. This brand is typically sold in high-end department stores. They also have their own stand-alone stores, as well as an online shop. Brand Differentiation The brand is very popular because of its delicate texture, artistry, creativity, durability and huge choice of colors from pale nudes to bright colors. The products are also very well tolerated on every skin type and its items are also suitable for women with sensitive eyes (MAC, 2007). The prices of the M.A.C cosmetics are comparable with other high quality world cosmetic brands. M.A.C is now part of the international authority of the production and marketing of high-quality skin care, cosmetics, perfume and hair care products Lauder COS. Consumers are a young and fashionable people. Lesson Learned I have learned the importance of branding and brand management from the course. Brand is very essential for all products and services. It can tell not only a name, sign and symbol of the goods and services of the sellers, but it can also be a competitive advantage for manufacturer, when consumers trust in the products and services. For consumers, brand is a symbolic device or signal of quality, which can refer to a promise and bond with maker of product(s) in every industry. With true creative, artistic and colorful make-up products, the brand â€Å"Makeup Art Cosmetics or M†¢A†¢C† is one of the world’s trustful products which has a successful brand management, positioning and differentiation. [pic] [pic] Reference 1. http://www.maccosmetics.com 2. http://www.holypod.net/tag/make-up-art-cosmetics/ 3. http://www.enjoy-your-style.com/mac-cosmetics.html

Tuesday, October 22, 2019

Free Panera Bread Economics Essay

Free Panera Bread Economics Essay Panera Bread Strategy Panera ventured into a restaurant service known as fast food. This was after noting that customers were increasingly looking for special food, that which is a departure from the normal run-off-the-mill. The other thing was that the customers not only wanted the fast food affair, but also wanted quick service. The outcome of the findings was the conclusion that the consumers wanted a combination of fast food and high quality service (Barringer, and Duane, par 3). This made the owners of Panera adopt what we can now call Position Strategy. This is a characteristic of the restaurant industries that are called the First Casual. The terms are basically referring to speed and good quality. Their aim to harness the consumers through this has helped them become the leading bread caf companies in the USA. The table beloow explains this strategy well. The company hires well trained bekers with experience in baking.in all their chain of bekeries the bakers craft the bread from scratch to the end. They use the best ingredients to come up with high quality bread. The workers are also highly remunerated. They earn almost 30% higher than the closest competitor. Paneras services are very timely and they are also ready, or on hand. Swot Panera effectively identified its strengths, weaknesses, opportunities, and threats, and their after working on them to come up with the leading strategy. Its strengths are: Panera is leading in the country. It has also won the award for sourdough bread. In addition to those, its food is of high quality and it has plausible customer loyalty. The weaknesses that Panera has are the inconsistent soup quality, dinner time amounts to small profits, the brand is not well known in new markets and the brand is becoming too common in St. Luis. The opportunities that are available are the increasing health awareness among the customers, and enough room for expansion. The potential threat is the increasing completion in the market. Strategic Management Issues Panera bread still face strategic management issues. The main problem is the ever rising comeption. This is because food chains and dines are responding to demand of fast food. This causes a very stiff competition to the restaurant industry. Good examples are budger King and McDonalds who are now venturing g into the fast food. The other thing is the rising cost of production. This has imposed downward pressure on Paneras operating cost. Panera has a food menu that is dominated by carbohydrate food. This may cause the customers to look for alternatives that are healthier. Like many industres and restaurants, Panera has been affected by global recession. This is a challenge that it is trying to deal with. Financial state Panera income has increased steadily through the pas three years. However its operating ioncome has come down because of rising cost of production. Wiki analysis shows that: Panera reported a net income increase of 38% in Q3 (ended September 29, 2009), growing from $13.7 million in Q3 2008 to $18.9 million in Q3 2009. Total revenue grew 6% from $315 million to $335 million, for with operating margins growing from 7.2% to 9.5%. Over the third quarter, Panera opened 19 new bakery-cafes in Q3, increasing its total to 1,362 total stores in operation by the end of Q3. At the same time, comparable bakery-caf sales growth increased by 2.8% over Q3 2008 growth Panera attributes to the introduction of new products, successful marketing, and growth in its catering business (Panera Bread Company, par 4).

Monday, October 21, 2019

Sustainable Tourism And The Envirnment Tourism Essays

Sustainable Tourism And The Envirnment Tourism Essays Sustainable Tourism And The Envirnment Tourism Essay Sustainable Tourism And The Envirnment Tourism Essay This essay will analyse the beliing factors of economical benefits against long term viability during the procedure of constructing a sustainable touristry. Both factors are traveling against each other s aims, is sustainable touristry possible in such state of affairs? Similarly to the constructs of supply and demand, both factors coexist in touristry industry and are here to remain. Each factor s point of position will be taken into history to make a just judgement every bit much as possible. The environment is ever-changing, peculiarly towards a negative way. Imagine Great Barrier Reef with over 70 % deceasing coral reefs, Amazon rain forest reduced to merely a size of a park, rural small town cultural dances affecting dangerous stunts or comedy Acts of the Apostless? The Earth s natural resources are consuming, including the lessening in rain forests and Great Barrier Reef, the extinction of works and animate being species, alterations in wildlife s migratory forms, the version of rural small town civilizations to tourers wants. Are at that place ways to restrict these alterations? Is sustainable touristry the reply to halt the above from going a world? Bing sustainable is to conserve resources by forestalling harm and depletion. Sustainable touristry includes keeping an economical benefit for long term viability. All industries today including touristry foul our environment ; physical ( e.g. degrading and gnawing sand dunes ) , ecological ( e.g. deceasing coral reefs ) and social-cultural ( e.g. villagers selling commercialized and modern designed keepsakes ) . Tourism operators can promote advantageous programs that benefit everyone ( local communities, tourers and touristry operators themselves ) by harmonising societal and environmental basicss ( Tip, 2009 ) . As Natalie ( 2011 ) posted, Increased investing in sustainable touristry can hike the sector s part to economic growing, development and peculiarly occupation creative activity, while at the same clip turn toing major environmental challenges, harmonizing to the merely released United Nations Green Economy Report. While it is true that on the surface, occupations so are created, but they are seasonal, on parttime footing and low waged which are normally targeted at unskilled workers. 2.1| WANTS AND NEEDS Sustainable touristry s purpose is to strike a balance between preservation and economical survivability, besides includes preservation of all above environments and the negative impacts caused by touristry must be really good managed including attempts from everyone in the touristry industry ( adjustment, transit, nutrient and services etc ) in order to win and profit the following coevals. Tourism is found about everyplace today, popular finishs become progressively more popular and even invading the rural countries ( Weaver, 2006 ) . Do tourers today wish to see what they expect from the Earth, or do tourers wish to see what the Earth has to offer? Sometimes it s all about one s mentality, wants versus demands. Sustainable touristry is non automatic ; it will be with combined attempts from everyone. 3| Start FROM WITHIN The values of each individual influence the behaviour and future actions. Instilling the values of sustainable touristry is the first and tough measure to take. By educating the people the demands to conserve by understanding and esteeming the manner of life of the rural small towns, their civilization, traditions and natural home ground, merely so they can break appreciate the value behind it. But to many concern operators, sustainable touristry by and large spells loss of net incomes or to an utmost point, loss of concern chance. They may be right in such thought, but paired with the support from Government and its statute laws, sustainable touristry has more room to execute. Businesss within local public can work together hand in glove to invent/innovate a niche market merchandise in relation to sustainable touristry ( Tip, 2009 ) . However, it might be much trickier in less developed states than more developed states where the former may depend mostly on touristry as their beginning of income ( e.g. Maldives vs. Italy ) . The Government concerned may non readily give up its steady beginning of chief income. Hence they must understand from a bigger image that they are in fact consuming the really plus that they are deriving from. In order to protect and conserve that plus, precautional steps must be in topographic point. For the more developed states which are more likely to hold to sustainable touristry, high degree of tourer satisfaction and fruitful experiences must be ensured ( Weaver, 2006 ) , so it does nt impact the finish s popularity. 3.1| Net incomes OVER LONG TERM VIABILTY In today s capitalist economic system, money makes the universe go unit of ammunition ; without net income, there will non be any concern. Business proprietors are overwhelmed by the short term pecuniary additions and neglect the demand to prolong the really merchandise they are gaining from ; the Earth s resources. Supply and demand plays a immense function in touristry, with the providers ( local concern proprietors, touristry bureaus ) normally suiting to the demands of tourers or else there will be no concern. But, does being sustainable mean a loss in net incomes? 3.2| Short TERM PROFIT For illustration many local circuit bureaus provide find plunging experience circuit at Pattaya, Thailand due to the clear H2O visibleness, their thriving Marine life and scenery which attracted many visitants. Local concern operators saw the chance and emerged in Numberss, each contending for a piece of the thriving and profitable market. Old ages after, the visibleness has decreased due to the immense sum H2O athletics activities set up in that country including jet ski, paragliding and banana boat with frequent H2O accidents chiefly affecting jet skis ; all contribute an impact in common, noise pollution to the H2O which in bend affects the marine life activities. With the current volume of H2O athletics activities, its no admiration the ecological environment had turned to the worse ; degrading H2O quality, lesser fishes appear in the locality. In add-on, the beaches are really crowded, frequently littered with rubbish like beer bottles and soft drink tins, sights like this can greatly impact tourers experiences. 3.1| ADDING VALUE It appears that the sum of visitants is more than what the Pattaya beach can manage, i.e. the transporting capacity is exceeded. This is the clip where Government and ordinances must step in to control the limitless activities happening in Pattaya Waterss to halt destroying and get down protecting the really plus that the Thais are deriving from. By restricting the H2O activities does average loss of concern. But would nt it be worst off if Pattaya had lost its chief attractive force value that tourists seek? Alternatively, concern operators can introduce H2O activities for tourers that non merely do non damage but adds value towards sustainable touristry by educating the tourers the importance and needs to protect the environment, for illustration releasing of fishes into the H2O, planting of aquatic workss, eating of sea animate beings etc. 3.2| TOURISM IMPACTS Tourist activities can impact both negatively and positively, therefore circuit operators must work together, program and pull off their activities to lend towards sustainability. It can be promoting the usage of environmental friendly transit agencies like bike, supplying environmental friendly merchandises Figure 1, 3 phases of planetary touristry diffusion. 3| Departure GREEN Over the recent old ages, traveling green is far more recognized now even though the thought had started since the 1980s. Why it took over 30 good old ages for everyone to recognize the significance? Everyone knows the 3Rs ( Reduce, Reuse, Recycle ) run but it does nt look to work in the yesteryear and it had a soundless decease. With the execution of the successful Earth Hour and recycle bins seen re-emerging now, are these truly sufficient? Are they bring forthing adequate accent Is the rate of use higher than what Earth can renew? The above mentioned are merely a few of the really huge tourer attractive forces assorted tourers love but they will be gone everlastingly if proper attention and direction are non implemented to protect their very being. Short term pecuniary additions have blinded touristry operators with greed hence pretermiting the idea of protecting it to guarantee a long term and feasible concern chance. Greed has led them delving our ain Gravess. Is sustainable touristry a solution? Is it effectual and looked upon positively by touristry operators? Instilling the value of sustainable touristry into everyone s head is a must hypertext transfer protocol: //murdoch.summon.serialssolutions.com/search/results? A ; s.q=sustainable+tourism A ; s.ps=50 hypertext transfer protocol: //www.fathom.com/course/21701788/session3.html

Sunday, October 20, 2019

The Battle of Quiberon Bay During the Seven Years War

The Battle of Quiberon Bay During the Seven Years' War The Battle of Quiberon Bay was fought November 20, 1759, during the Seven Years War (1756-1763). Fleets and Commanders Britain Admiral Sir Edward Hawke23 ships of the line5 frigates France Marshal Comte de Conflans21 ships of the line6 frigates Background In 1759, French military fortunes were waning as the British and their allies were gaining the upper hand in many theaters. Seeking a dramatic reversal of fortunes, the Duc de Choiseul began planning for an invasion of Britain. Preparations soon commenced and invasion craft was gathered for a thrust across the Channel. The French plans were badly damaged during the summer when a British attack on Le Havre wrecked many of these barges in July and Admiral Edward Boscawen defeated the French Mediterranean fleet at Lagos in August. Reassessing the situation, Choiseul decided to push forward with an expedition to Scotland. As such, transports were assembled in the protected waters of the Gulf of Morbihan while an invasion army formed near Vannes and Auray. To escort the invasion force to Britain, the Comte de Conflans was to bring his fleet south from Brest to Quiberon Bay. This done, the combined force would move north against the enemy. Complicating this plan was the fact that Admiral Sir Edward Hawkes Western Squadron was holding Brest under close blockade. In early November, a large westerly gale struck the area and Hawke was forced to run north to Torbay. While the bulk of the squadron rode out the weather, he left Captain Robert Duff with five small ships of the line (50 guns each) and nine frigates to watch the invasion fleet at Morbihan. Taking advantage of the gale and shift in the wind, Conflans was able to slip out of Brest with twenty-one ships of the line on November 14. Sighting the Enemy That same day, Hawke departed Torbay to return to his blockade station off Brest. Sailing south, he learned two days later that Conflans had put to sea and was heading south. Moving to pursue, Hawkes squadron of twenty-three ships of the line used superior seamanship to close the gap despite contrary winds and worsening weather. Early on November 20, as he neared Quiberon Bay, Conflans spotted Duffs squadron. Badly outnumbered, Duff split his ships with one group moving north and the other moving south. Seeking an easy victory, Conflans ordered his van and center to pursue the enemy while his rearguard held back to observe strange sails approaching from the west. Sailing hard, the first of Hawkes ships to spot the enemy was Captain Richard Howes HMS Magnanime (70). Around 9:45 AM, Hawke signaled for a general chase and fired three guns. Devised by Admiral George Anson, this modification called for the seven leading ships to form line ahead as they chased. Pressing hard despite increasing gale winds, Hawkes squadron quickly closed with the French. This was aided by Conflans pausing to deploy his entire fleet in line ahead. A Bold Attack With the British approaching, Conflans steered for the safety of Quiberon Bay. Littered with a myriad of rocks and shoals, he did not believe Hawke would pursue him into its waters especially in heavy weather. Rounding Le Cardinaux, rocks at the entrance to the bay, at 2:30 PM, Conflans believed he had reached safety. Shortly after his flagship, Soleil Royal (80), passed the rocks, he heard the leading British ships opening fire on his rearguard. Charging in, Hawke, aboard HMS Royal George (100), had no intention of breaking off the pursuit and decided to let the French ships serve as his pilots in the bays dangerous waters. With the British captains seeking to engage his ships, Conflans tacked his fleet up the bay hoping to reach the Morbihan. With the British ships seeking individual actions, a dramatic shift the wind occurred around 3:00 PM. This saw the gale begin blowing from the northwest and made the Morbihan unreachable for the French. Forced to change his plan, Conflans sought to exit the bay with his unengaged ships and make for open water before nightfall. Passing Le Cardinaux at 3:55 PM, Hawke was pleased to see the French reverse course and moving in his direction. He immediately directed Royal Georges sailing master to put the ship alongside Conflans flagship. As he did so, other British ships were fighting their own battles. This saw the flagship of the French rearguard, Formidable (80), captured and HMS Torbay (74) cause Thà ©sà ©e (74) to founder. The Victory Wearing towards Dumet Island, Conflans group came under direct attack from Hawke. Engaging Superbe (70), Royal George sank the French ship with two broadsides. Shortly after this, Hawke saw an opportunity to rake Soleil Royal but was thwarted by Intrà ©pide (74). As the fighting raged, the French flagship collided with two of its comrades. With daylight fading, Conflans found that he had been forced south towards Le Croisic and was leeward of the large Four Shoal. Unable to escape before nightfall, he directed his remaining ships to anchor. Around 5:00 PM Hawke issued similar orders however part of the fleet failed to receive the message and continued pursuing French ships northeast towards the River Vilaine. Though six French ships safely entered the river, a seventh, Inflexible (64), grounded at its mouth. During the night, HMS Resolution (74) was lost on the Four Shoal, while nine French ships successfully escaped the bay and made for Rochefort. One of these, the battle-damaged Juste (70), was lost on the rocks near St. Nazaire. When the sun rose on November 21, Conflans found that Soleil Royal and Hà ©ros (74) were anchored near the British fleet. Quickly cutting their lines, they attempted to make for the harbor of Le Croisic and were pursued by the British. Proceeding in heavy weather, both French ships grounded on the Four Shoal as did HMS Essex (64). The next day, when the weather had improved, Conflans ordered Soleil Royal burned while British sailors crossed to and set Hà ©ros afire. Aftermath A stunning and daring victory, the Battle of Quiberon Bay saw the French lose seven ships of the line and Conflans fleet shattered as an effective fighting force. The defeat ended French hopes of mounting any type of invasion in 1759. In exchange, Hawke lost two ships of the line on the shoals of Quiberon Bay. Lauded for his aggressive tactics, Hawke shifted his blockading efforts south to the bay and the Biscay ports. Having broken the back of French naval strength, the Royal Navy was increasingly free to operate against French colonies worldwide. The Battle of Quiberon Bay marked the final victory of Britains Annus Mirabilis of 1759. This year of victories saw British and allied forces have success at Fort Duquesne, Guadeloupe, Minden, Lagos, as well as Major General James Wolfes victory at the Battle of Quebec. Sources History of War: Battle of Quiberon BayRoyal Navy: Battle of Quiberon Bay

Saturday, October 19, 2019

How Horses were still used in WWI Essay Example | Topics and Well Written Essays - 1250 words

How Horses were still used in WWI - Essay Example Still, the distinguished armed forces’ officers receive a sword as an award against exemplary performance. The ancient warfare was primarily based on courage, strategy, and strength of character. But, the computer technology took charge of major military operations in the world and therefore, the focus shifted towards technological proficiency and the element of courage and manhood became secondary in the context of current and prevailing warfare standards in the world. Still, the value of traditional weapons and tactics is being recognized in the literature (Treherne pp.142). The so-called modern Armies still train their soldiers in horse riding so that they should know the traditional and classical way of commuting when needed. However, the concept of warfare is becoming and transforming into something highly mechanized. In few decades from now, the traditional war will become a permanent resident of history books, as human soldier will be replaced with a robot. Thusly, it c an be established that human involvement in wars will become extinct in the future version (Bernard and Jones pp. 1036). But, in the context of World War I, the horses were used as a means of commuting. The timing of the featured war was considered concurrent with major technological and theoretical breakthroughs but the commuting infrastructure was not largely institutionalized and neither was it available to general public. The abovementioned shortages of mechanized transportation contributed significantly towards forcing armed forces to use natural resources a great deal (Treherne pp 140). Additionally, the vehicles of that time were low on the most important dimension of fuel economy and therefore, the authorities followed the notion of economic rationality in terms of deciding to use the most efficient source of transportation at their disposal. Humans’ profound inclination towards saving money and exercising tight control on cash outflows translated into vast scale use of horses in World War I. Furthermore, the Armies were not trained to use vans and other vehicles but they had a profound and notable efficacy to effectively use horse as a strategic tool in the panicked conditions that are associated with the perception of war. The two major reasons supported the application of horses in World War I. Firstly, the ill-developed industry of mechanized transporters and secondly, soldiers of that era did not have the appropriate training needed to use the modern way of transportation. Moreover, it is important to note that the other historically known war based on volume was fought with the help of mechanized infantry and tanks. Yet, in the case of the First World War, the fight was fought with the help of rifles and other simpler and elementary equipment. The idea of war was partially based on courage and leadership abilities when the maiden global military confrontation was being fought and the warriors’ best companion was also significantly i nvolved in its proceedings as well. The art and science of war transformed into highly technological endeavor by the time, the world entered into the terminal years of the 20th century. The major economic powers of the world managed to develop and perfect their nuclear technology by late 1990s and therefore, the world’s ability to destroy itself grew substantially over the past decade. In the view of political specialists, the probability of war has

Friday, October 18, 2019

European Union Law Essay Example | Topics and Well Written Essays - 1500 words - 4

European Union Law - Essay Example This leads to the lack of definite distinctions between rules as per their respective categories that vary in terms of tests, which the court normally utilizes to come up with concrete final verdict regarding any case set before it. In most cases, this difficultness or inappropriateness in making exact distinctions by those arbitrating cases while in their line of duties descends from varying member states’ laws. Hence, turn out to be extremely complex despite sometimes aligning with the EU’s general statutes that dictate their member states should not go against certain rules (Chalmers, Davies & Monti, 2010). For instance, this is evident in the case of Leclerc-Siplec. TFI Publicite together with M6 Publicite declined relaying the company’s information to the audience about petrol citing Article 8 No. 92/280 that was constituted in March 1992 (Leclerc-Siplec v TF1 Publicità © and M6 Publicità ©, 1994). This article barred any distribution sector in France from attempting to relay information about its products using specifically television. This is contrary to the laws that advocate liberty in expressing oneself whereby it may disadvantage. This is especially if it is a regional firm whe reby in the same state it may end up loosing to its competitors who have dominated the market. Hence, complicating what the entire EU statutes cite about enhancing trade among its members states without them interfering with any trader based on any segregation (Chalmers, Davies & Monti, 2010). Despite in case Leclerc-Siplec v TF1 Publicità © and M6 Publicità © (1994) stating barring of certain company’s products applies to all players in the same line of operation, it is a disadvantage especially to the new entrants to compete with already established corporations. This is contrary to EU’s statute that guarantees free movement of merchandise, persons and enhancing of health competition, which Keck together with

Discuss the Implications of the Increaing Length of Annual Reports Essay

Discuss the Implications of the Increaing Length of Annual Reports - Essay Example In this regard, many independent and regulatory authorities have tried to protect the investors’ and shareholders’ interest from managements’ biases by taking major steps like corporate governance and accounting policies. Publication of annual reports is one the basic responsibilities. With tightening policies from regulatory authorities, the managements are required to disclose number of information other than financial statement. This paper will attempt to present the purposes and increasing length of annual report and its implications (Stittle, 2003, p.143). Purposes and Importance of Annual Report Annual report is primarily associated the disclosure of the financial report of a corporate which is important for the users like prospective investor, existing shareholders and creditor for making economical decisions. Financial information is highly required as it shows the financial health of the organisation like financial risk, stability, volatility, assets, li abilities etc (Valencia College, n.d.). However, merely disclosing the financial information does not serve the purposes for protecting shareholders’ interest by offering sufficient level of transparency. ... The annual report also discloses other necessary information which is highly required for ensuring the biased free information. For example, the company also discloses accounting policies, footnotes which act as empirical studies for the stakeholders. Form the companies’ perspective, annual reports are also used for market signalling by disclosing a number of voluntary news and recent developments. Moreover, the annual reports are prepared in the simplest way so that a person with basic knowledge of economics is able to understand the internal information and activities. The companies are obligated to ensure that each of its stakeholders is able to access the annual reports and hence, publicly listed companies are responsible for publishing its annual reports through corporate websites, economic journals and news papers, and subscriptions (Vause, 2009, p.9). Increasing Length of Annual Report and its Implications To make the annual reports more relevant with enhanced disclosur e has become a challenge for both the regulators and firms. On one hand, regulatory authorities require that the companies’ annual reports must be understood by ordinary shareholders and investors; on the other hand, they are required to include complete and transparent disclosures. The recent financial crisis of 2007-2010 has marked the importance of financial disclosures. The international and independent organisations like FRC, OECD, IASB and FASB require wide ranges of information as mandatory disclosure. The IFRS and US GAAP are two major financial reporting frameworks that recommend upon the accounting standards and disclosures in the annual report. Their requirements of disclosure have been constantly increased for better transparency and monitoring the activity of the

Thursday, October 17, 2019

Kant Essay Example | Topics and Well Written Essays - 1500 words

Kant - Essay Example In addition, these laws are not only made by these beings, but these beings are also subject to the laws, which have been made. Every rational or human nature is based on the autonomy of the beings, which is practiced by them. The categorical imperative is at the center of the philosophical concept as espoused in the moral philosophy of Kant and it may be used as a way of determining the motivations that bring about the actions of human beings. Kant's view is that all human beings occupy an unusual place in the creation, and this makes them immensely rational creatures that were given the ultimate commandment of reason. Therefore, it is from this command of reason that all the duties and obligations that are observed by rational creatures are derived (McKinnon 844). Moreover, Kant defined an imperative as any suggestion that stated a certain activity or inactivity taken by a rational being to be necessary. A categorical imperative shows an implicit requirement, which is independent; that it affirms its authority in all situations that are required and justified as ends in themselves. In addition, Kant in his work expressed the extreme dissatisfaction he felt with the moral philosophy that was extremely popular in his time believing that this philosophy would never be able to surpass the level of hypothetical imperatives. A utilitarian in Kant's time would have said that the murder was wrong because of the fact that it did not make best use of the good in those people who were involved but that this was inappropriate for those people who were anxious with the maximization of the optimistic outcomes, which would come for themselves. Because of this, Kant argued that the morals systems that were based on the hypothetical could not persuade moral actions, or be regarded as the basis of moral arguments against others, this is because their imperatives were largely based on the subjective. Therefore, as an alternative Kant conferred an option in a moralistic system t hat was based on the categorical imperative (O'Hagan 525). Kant like the utilitarians based his moral theory on the intrinsic value but this is the only similarities between these moral values. This is where utilitarianism takes happiness to be conceived as pleasure and the absence of pain to be an intrinsic value, moreover, Kant states that one's thinking that they have moral worth for its own sake is enough to be considered one’s good will. In addition, he conceives people to be autonomous moral agents who have moral worth that is intrinsic and it is this, more than anything that makes them deserve moral respect. This hypothesis of Kant is sometimes thought of as the respect of person’s theory of morality (Mina 24). According to Kant, some objections to the moral theory have been there because of the fact that it is not always in the best interests of somebody to tell the truth. Sometimes, the truth is not always, what is needed and instead it can be extremely detrim ental to a person or those who are around him. For example, it would not be a person's best interests to tell a killer where his best friend is if this killer intends to kill his friend. Instead, this person has to lie to the killer to ensure that the life of his best friend is saved and in the process, the moral theory as stated by Kant ceases to function. Kant's moral theory is exceedingly limited to the telling of the truth, and it does not include those circumstances when the truth may not necessarily be a marvelous thing in the end. Still, the belief that one is

Management and Leadership Skills in Team Building Essay

Management and Leadership Skills in Team Building - Essay Example As Leonard (2004) indicated, effective communication and teamwork are essential for the delivery of high quality, safe patient care. In another study, Nash & Govier stated that there is enough evidence showing that effective teams can improve members’ well-being as well as quality of care. Health care providers recognize the importance of team working in preventing patient errors   However, for teams to be effective, effectiveness should begin from the initial stages of team building. The determinants of an effectual team include member satisfaction, cohesiveness, effective communication, quality leadership and organizational culture. Another element of effective team working is adherence to behavioral norms or rules as Nash & Govier (2009) noted that among the elements of successful teams setting up and understanding the ways of working (rules) is of utmost importance. These elements can be achieved by the collective influence of good leadership and management.As Leonard   indicated, effective communication and teamwork are essential for the delivery of high quality, safe patient care. In another study, Nash & Govier stated that there is enough evidence showing that effective teams can improve members’ well-being as well as quality of care. Health care providers recognize the importance of team working in preventing patient errors.  However, building an effective team requires top notch leadership skills because it involves bringing together people with different personalities.

Wednesday, October 16, 2019

Financial analysis Essay Example | Topics and Well Written Essays - 2000 words - 3

Financial analysis - Essay Example It serves government consumers, individual consumers, small and midsized businesses, and education enterprises. Apple’s financial year ends on the last Saturday of September and has an approximate period of 52 or 53 weeks. In connection to this, the main aim of this paper is to take out Apple Inc. financial analysis. Financial Analysis refers to the assessment of the profitability, stability and viability of a business entity or project. It is based on information derived from the financial statements including the Balance Sheet, Statement of Cash flow and the Income Statement, a single financial statement cannot give full information about the firm but together they give useful information (Gibson 2012, pg. 6). It is useful in benchmarking that majorly involves comparison of different companies’ performance comparison or comparing the company’s performance over time. The information is also used by management and investors in decision making and forecast future performance. We analyze data as revealed by Apple Inc.’s annual Reports and also carry out ratio analysis that helps us discover more information about the business (Michelle 2012, pg. 45). Apple operates in different geographical areas including the Americas, Japan, Europe, Asia Pacific and retail operations, it is hence involved in segment reporting and all the information from various sources is consolidated and used as the company’s financial information from which the company’s performance is analyzed (Brooks 2012, pg. 86). This paper aims to analyze the financial statements of Apple Inc from 2011 to 2013 to determine which year was more profitable, that is, time series analysis. The results could also be useful in performing industrial analysis which involves comparing one company’s performance to another in order to determine which one is doing better. Measure the ability of

Management and Leadership Skills in Team Building Essay

Management and Leadership Skills in Team Building - Essay Example As Leonard (2004) indicated, effective communication and teamwork are essential for the delivery of high quality, safe patient care. In another study, Nash & Govier stated that there is enough evidence showing that effective teams can improve members’ well-being as well as quality of care. Health care providers recognize the importance of team working in preventing patient errors   However, for teams to be effective, effectiveness should begin from the initial stages of team building. The determinants of an effectual team include member satisfaction, cohesiveness, effective communication, quality leadership and organizational culture. Another element of effective team working is adherence to behavioral norms or rules as Nash & Govier (2009) noted that among the elements of successful teams setting up and understanding the ways of working (rules) is of utmost importance. These elements can be achieved by the collective influence of good leadership and management.As Leonard   indicated, effective communication and teamwork are essential for the delivery of high quality, safe patient care. In another study, Nash & Govier stated that there is enough evidence showing that effective teams can improve members’ well-being as well as quality of care. Health care providers recognize the importance of team working in preventing patient errors.  However, building an effective team requires top notch leadership skills because it involves bringing together people with different personalities.

Tuesday, October 15, 2019

Formulate and implementation of research question following agreed procedures and to specifications Essay Example for Free

Formulate and implementation of research question following agreed procedures and to specifications Essay How can Ferrero attract more customers to its brand therefore increasing its market share in Shanghai? Reason to choose this working titleï ¼Å¡ China’s economic development and social openness is growing, and larger imports of goods from abroad. Rising income levels and growing interest for western products have been driving chocolate confectionery demand in the last decades. With double-digit growth year after year, the market offers huge opportunities for development but also requires foreign companies the implementation of consistent marketing strategies and proper targeting to meet local consumers buying patterns. As for Ferrero, there are already many chocolate brands in China market, such as Dove and Mï ¼â€ M. So, it is really important to ensure the present strategy of Ferrero is appropriate for China market, and the methods of how to attract more customers. In order to appeal to more customers by enhancing Ferrero’s market sale in China becomes the mainly concept in my research. Background of Ferrero History of Ferrero In 1946, Pietro Ferrero invented a cream of hazelnuts and cocoa, derived from Gianduja and to be spread on bread, and called it Pasta Gianduja. Ferrero created the new company to produce and market it. Later on his sons became joint chief executives. Michele Ferrero modified his fathers recipe to produce Nutella, which was first sold in 1964 and has become popular around the world. The company places great emphasis on secrecy, reportedly to guard against industrial espionage. It has never held a press conference and does not allow media visits to its plants. Ferreros products are made with machines designed by an in-house engineering department. Products In addition to Nutella, Ferrero produces many other products, including Ferrero Rocher, Pocket Coffee, Mon Chà ©ri, Giotto, Confetteria Raffaello coconut cream candy, Hanuta chocolate hazelnut-filled wafers, the Kinder line of products, as well as the Tic Tac breath mints. Ferrero also produces the Kinder product series and The company received an innovation award for the frozen products called Gran Soleil in March 2011. The main background and related research content Ferrero is an Italian manufacturer of chocolate and other confectionery products. It was founded by confectioner Pietro Ferrero in 1946 in Alba, Piedmont, Italy. Reputation Institutes 2009 survey ranks Ferrero as the most reputable company in the world. Ferrero is a private company owned by the Ferrero family and has been described as one of the worlds most secretive firms. The Ferrero Group worldwide – now headed by CEO Giovanni Ferrero – includes 38 trading companies, 18 factories and approximately 21,500 employees. Ferrero International SAs headquarters is in Luxembourg. Its German factory is the largest of all and Pasquale Giorgio is its current CEO. High quality, crafted precision, product freshness, careful selection of the finest raw materials, respect and consideration for customers: these are Ferrero’s â€Å"key words† and values which have helped make its confectionery well-known and loved by millions of consumers all over the world. And I will f ocus on how to attract consumers through the advantages of products for Ferrero in the competitive market. Purpose The aim of this essay is to conduct a market research to explore the opportunities that Ferrero can still exploit in the chocolate market in China. Moreover, the objective of my tentative research will be listed as follows. Theories and marketing concepts are used to analysis the Chinese consuming behavior, which plays a very important role in shaping the market of chocolate. Environment has to offer in relation to the features and the objectives of the company analyzed, the research focuses on the marketing strategy adopted by Ferrero in China. The evolution of its marketing approach is studied into details, in order to highlight what are the key success factors for Ferrero. Ferreros marketing tools, data collected from  the survey and a case study are applied to develop viable marketing strategies that aim to take full advantage of a market that offers considerable resources still unexplored by the company. Findings reveal that the possibilities for Ferrero to expand in the marke t of chocolate for self-consumption in China are enormous. According to these, this essay is going to analysis the SWOT and PEST of Ferrero. And find out how Ferrero takes into consideration local consumers’ needs and wants in the formation of the marketing mix of its products. Scope Ferrero is an international company, and Corporation engages in a diverse range of businesses, so I just research the Ferreros market sale in China chocolate market. I will find out a theoretical review regarding the implementation of a complete and sound market analysis, executed through the application of theoretical models, information and data collected from appropriate and academic research and surveys conducted on the field. Besides, I am going to gather information from outside through questionnaire format to investigate local customers in two weeks. Not only hand out questionnaires to the public in the open, but also distribute them by e-mail or website. And I will interview some marketing personnel who worked in hypermarkets to perfect the information resources. Theoretical framework For the part of theoretical framework, SWOT and PEST will full-scale propose about advantage and disadvantage of Ferrero’s market sale in China. a) SWOT S: 1. Brand advantage: being the first company to introduce chocolate in the country soon after its reopening to the outside world, Ferrero succeeded in establishing its chocolate as a luxurious and exotic product. 2. Marketing benefit: do not have joint venture enterprises and manufacturers in China. Make the decision more flexible with fewer risks. 3. Source of origin in Europe: the country of origin is Italy. 4. Technological superiority: possesses of more than 60 years experience and advanced craft technology of making chocolate. 5. Quality advantage: regardless of cost, has always been sticking to the best natural raw material, including hazelnut, cocoa, and  coffee beans. W: 1. Sales disadvantage: there is no production factory in China, so it carries many time-consuming in the transport. 2. The price is too expensive. 3. Without some sort of specific policies: compared with Chinas domestic brands of chocolate, Ferrero lack of government policies to protect its market sale. 4. The lack of brand management: copies are full of Chinese market. For example, intellectual property rights cases of Montresor (zhangjiagang) food co. Ltd. O: 1. The chocolate market in China has great development potential: Rising income levels and growing interest for western products have been driving chocolate confectionery demand in the last decades, the China chocolate market offers huge opportunities for development. 2. For competitors: for example, Leconte did not set up the premium brand image. And it is a opportunity for Ferrero. T: There are too much competitors in the chocolate high-end market; Ferrero has only a limited presence in China’s marketplace, which is 2.32%. b) PEST Political: China’s entry into the WTO, international trade and further strengthening of internal and external communication become more and more. Also it is the main reason that Ferrero can enter the Chinese market. Italy is in the European Union: In recent years, China trades more with the EU than any other partner. The products of Ferrero certified by SGS, food safety certification, IOS and GMP Economic: There is an expanding market in China for chocolate Cost-conscious Increasing of average Chinese income Social-cultural: Chinese customers become more health conscious Chocolate shows how people’s physical and cultural lives are changing Have been retained by Ferrero loyalty Technology: Strengthen the development of new tastes Continuous improvement in terms of chocolate preservation Growth of internet use to increase demand for online and mobile phone shopping Conclusion (size 14) (Insert conclusion text here – size 12) Recommendations (size 14) (Insert recommendations here in BULLET POINT FORMAT – size 12) List of references Harvard References (size 16) (List references here in Harvard format – size 12) (If you are having problems with referencing see your lecturer for guidance)

Monday, October 14, 2019

Enhanced Oil Recovery By In Situ Combustion Environmental Sciences Essay

Enhanced Oil Recovery By In Situ Combustion Environmental Sciences Essay Enhanced oil recovery is oil recovery by the injection of materials not normally present in the reservoir. In situ Combustion (ISC) is the process of an enhanced oil recovery process to improve the recovery of heavy crude oil. As it is the oldest thermal recovery technique, it has been used for over nine decades with many economically successful projects. Nevertheless, it is regarded as a high-risk process by many, primarily because of many failures of early field tests. Most of those failures came from application of a good process (ISC) to the wrong reservoirs or to the poorest prospects. This paper contains a description of ISC, a discussion of laboratory screening techniques, an illustration of how to apply laboratory results to field design, a discussion of operational practices and problems, and an analysis of field results. For complete review, the case study is done on Balol and Santhal fields in Mehsana. In-situ combustion has been known since 1888. Mendeleev was the first scientist to suggest the in-situ conversion of coal into combustible gases. Based on the earlier laboratory results, Sheinman and Dubrovai in 1934 proposed the processed the process of oil displacement by means of a moving underground fire-front. A number of field tests, were performed in various regions in the late 1940s and early 1950s. The results from these tests indicated that the heat losses were large, therefore the injected hot gases reached the formation zone with zero thermal energy. These studies however were followed by laboratory research field tests and development of mathematical models to simulate in-situ combustion as a result of which this process has been recognized and can be used as a promising method of recovering heavy oil from petroleum reservoirs. The principle of in-situ combustion is to achieve combustion within the pores of hydrocarbon-bearing reservoir, burning part of the oil in place in order to improve the flow of the unburned part. Combustion is supported by the injection of air into the reservoir at one or more wells. The heat generated during combustion is sufficient to raise the rock to a high enough temperature to enable the combustion front to self propagate after initial ignition by increasing mobility of the fluid. Methodology The in-situ combustion process was applied to petroleum reservoirs depending on wide range of characteristics like Nature of formation, depth, temperature, reservoir thickness, permeability, porosity and oil saturation in order to recover oil. Pressure is also a factor but not much critical. The process was applied in reservoirs with average permeability ranging from 40 to 8000mD, whereas the oil saturation varied from 25 to 95%. In addition fuel content is one of the most important factors influencing the success of a fireflood process. The fuel content of the reservoir is the amount of coke available for combustion that is deposited on reservoir rock as a result of distillation and thermal cracking. If the fuel content is too low, the combustion process in the reservoir cannot be self sustained. Moreover, a high fuel content requires a large amount of air and high power cost which means low oil production. Gates and Ramey (1980) compared the estimated fuel content by various methods including laboratory results with that of field project data. It has been shown that fuel content determined experimentally in the laboratory by tube -run method can provide a reasonably good estimation of the fuel content obtained in the field. In situ combustion is basically injection of an oxidizing gas (air or oxygen-enriched air) to generate heat by burning a portion of the resident oil. Most of the oil is driven towards the producers by a combination of gas drive (from the combustion gases), steam and water drive. This process is also called fire flooding to describe the movement of a burning front inside the reservoir. Based on the respective directions of front propagation and air flow, the process can be forward, when the combustion front advances in the same direction as the air flow, or reverse, when the front moves against the air flow. Reverse Combustion This process has been studied extensively in laboratories and has been field tested. In brief, it has not been successful economically for two major reasons. First, combustion started at the producer results in hot produced fluids that often contain unreacted oxygen. These conditions require special, high-cost tubular to protect against high temperatures and corrosion. More oxygen is required to propagate the front compared to forward combustion, thus increasing the major cost of operating an in situ combustion project. Second, unreacted, coke-like heavy ends will remain in the burned portion of the reservoir. At some time in the process the coke will start to burn and the process will revert to forward combustion with considerable heat generation but little oil production. This has occurred even in carefully controlled laboratory experiments. In summary reverse combustion has been found difficult to apply and economically unattractive. Forward Combustion Forward combustion can be further characterized as dry when only air or enriched air are injected or wet when air and water are co-injected. Dry Forward Combustion The first step in dry forward ISC is to ignite the oil. In some cases auto-ignition occurs when air injection begins if the reservoir temperature is fairly high and the oil reasonably reactive. Artificial Ignition has been induced using down hole gas burners, electrical heaters, and/or injection of pyrophoric agents or steam injection. Figure : schematic illustration of the in-situ combustion process (Source) After ignition the combustion front is propagated by a continuous flow of air. As the front progresses into the reservoir, several zones exist between injector and producer as a result of heat and mass transport and the chemical reactions. The above figure is an idealized representation of the various zones and the resulting temperature and fluid saturation distributions. In the field there are transitions between zones. A. The burned zone is the volume already burned. This zone is filled with air and may contain small amounts of residual unburned organic solids. As it has been subjected to high temperatures, mineral alterations are possible. Because of the continuous airflow from the injector, the burned zone temperature increases from injected air temperature at the injector to combustion front temperature at the combustion front. B. The combustion front is the highest temperature zone. It is very thin, often no more than several inches thick. It is in this region that oxygen combines with the fuel and high temperature oxidation occurs. The products of the burning reactions are water and carbon oxides. The fuel is often misnamed coke. In fact it is not pure carbon but a hydrocarbon with H/C atomic ratios ranging from about 0.6 to 2.0. This fuel is formed in the thermal cracking zone just ahead of the front and is the product of cracking and pyrolisis which is deposited on the rock matrix. The amount of fuel burned is an important parameter because it determines how much air must be injected to burn a certain volume of reservoir. C/D. The cracking/vaporization zone is downstream of the front. The crude is modified in this zone by the high temperature of the combustion process. The light ends vaporize and are transported downstream where they condense and mix with the original crude. The heavy ends pyrolize, resulting in CO2 , CO, hydrocarbon gases and solid organic fuel deposited on the rock. E. The steam plateau. This is the zone where some of the hydrocarbon vapors condense. Most of those condense further downstream as the steam condenses. The steam plateau temperature depends on the partial pressure of the water in the gas phase. Depending on the temperature the original oil may undergo a mild thermal cracking, often named visbreaking that usually reduces oil viscosity. F. A water bank exists at the leading edge of the steam plateau where the temperature is less than steam saturation temperature. This water bank decreases in temperature and saturation downstream, with a resulting increase in oil saturation. G. The oil bank. This zone contains most of the displaced oil including most of the light ends that result from thermal cracking. H. Beyond these affected areas is the undisturbed original reservoir. Gas saturation will increase only slightly in this area because of the high mobility of combustion gases. Wet Forward Combustion A large amount of heat is stored in the burned zone during dry forward in situ combustion, because the low heat capacity of air cannot transfer that heat efficiently. Water injected with the air can capture and advance more heat stored in the burned zone. During wet combustion injected water absorbs the heat from the burned zone, vaporizes, moves through the burning front and condenses, expanding the steam plateau. This results in faster heat movement and oil displacement. Depending on the water/air ratio, wet combustion is classified as: (1) incomplete when the water is converted into superheated steam and recovers only part of the heat from the burned zone, (2) normal when all the heat from the burned zone is recovered, and (3) quenched or super wet when the front temperature declines as a result of the injected water. ISC requires particular attention to air compression, ignition, well design, completion, and production practices. Air compression causes high temperatures because of the high c p / cv ratio of air. Compressor design must consider these high temperatures to ensure continuous, sustained operations free from the corrosive effects of air and the explosion hazards of some lubricating fluids. Mineral oils are not recommended. Synthetic lubricants withstand the higher temperatures and offer lower volatility and flammability than conventional lubricants. In order to achieve the combustion in the petroleum reservoir, mainly Spontaneous ignition and Artificial ignition are the two methods that are used for heavy oil recovery. Ignition can occur spontaneously if the oil is reactive, the reservoir temperature high enough, and the reservoir is reasonably thick. Down hole gas-fired burners allow good control of the temperature of injected gases and may be operated at a greater depth than other methods. The disadvantages include the need to run multiple tubing strings in the injection wells. Catalytic heaters run at lower temperatures but are expensive. Electrical heaters can be lowered with a single cable, and can provide excellent temperature control. They can be reused repeatedly. There is, however, a depth limitation because of electrical power losses in the cable. Chemically enhanced ignition may require handling and storage of dangerous materials. Steam may be used to locally increase reservoir temperature and facilitate auto ignition . It suffers from depth limitation because of wellbore heat losses, but when the conditions are right it can be a very simple and effective method for ignition. Combustion process was also employed as primary and tertiary recovery processes. Applications In situ combustion can be applied to many different reservoirs. Some suggested screening guidelines are: Nature of the Formation : The rock type is not important provided that the matrix/oil system is reactive enough to sustain combustion. As in any drive process, high permeability streaks are detrimental. Swelling clays may be a problem in the steam plateau area. Depth: Depth should be large enough to ensure containment of the injected air in the reservoir. There is no depth limit, except that this may affect the injection pressure. Pressure: Pressure will affect the economics of the process, but does not affect the technical aspects of combustion. Temperature: Temperature will affect auto ignition but is otherwise not critical. Reservoir Thickness: Thickness should be greater than about 4m (15 ft) 2,3 to avoid excessive heat losses to surrounding formations. Very thick formations may present sweep efficiency problems because of gravity override. Permeability: This has to be sufficient to allow injection of air at the designed air flux. The air injectivity is especially important for heavy oil reservoirs. Conditions are favorable when kh /ÃŽÂ ¼ is greater than about 5md m/cp.3 Porosity and Oil Saturation: These have to be large enough to allow economic oil recovery. The product, à Ã¢â‚¬   So , needs to be greater than 0.08 for combustion to be economically successful. Oil Gravity: This parameter is not critical. Insitu viscosity has to be low enough to allow air injection and resulting oil production at the design rate. Oil Nature: In heavy oil projects the oil should be readily oxidizable at reservoir and rock matrix conditions. The laboratory experiments can also determine the amount of air needed to burn a given reservoir volume. This is key to the profitability of the process. Current Status of In-Situ Combustion The in-situ combustion process is attractive economically, provided it is applied to petroleum reservoirs containing approximately 50% oil saturation. The fuel content is one of the important parameters for combustion support at a relatively low air/oil ratio. Although laboratory experiments can provide some basic understanding of the process, the primary evaluation factor is a field application before the process is employed on a large scale. The present status of oil production by in-situ combustion in the United States is nearly 11,000 bbl/day. The commercial dry ISC project at Romania is the largest project of its kind and it has been in operation for more than 34 years. The Balol and Santhal projects in India have been in operation for more than seven years and have been applied in a wet mode. Currently, combined all these three projects produce approximately 2300m3 /day. It is likely that very little laboratory research can be performed to improve the displacement efficiency of this process. With continued improvement of the in-situ combustion technology, it is almost certain that some form of this process, such as dry, wet, and partially quenched combustion, will find greater application in the coming years. Currently, commercial In situ combustion projects are Economic Evaluation It is recognized that the success or failure of an enhanced oil recovery process depends on the economic evaluation. An economic study completed by Wilson and Root (1966), which is based on a modified form of two-dimensional model presented by Chu, compares the cost of heating a reservoir. The cost comparison was studied for a reservoir either in the presence of steam injection or forward combustion without oil production. The main consideration was to determine heating cost of the same dimensions of a reservoir by either steam injection or by forward combustion. The following conclusions were drawn from this study; (1) Combustion is favored over steam injection as the sand thickness decreases the pressure increase. (2) As the coke deposition increases, steam injection is favored over the combustion process. (3) As the heated distance in the reservoir increases, reservoir heating by combustion is more favorable as compared to steam injection. (4) Decreased injection rated favors the cost of steam injection relative to air. (5) Increased wellbore losses with increasing depth favor combustion. Conclusions It has been shown that in-situ combustion process is suitable to displace oils of gravities greater than 10 degree API. The average oil recovery by employing in-situ combustion is 50%. The major amount of oil is recovered before breakthrough of the combustion zone. For heavy oils, about 50% crude oil recovery occurs after breakthrough, whereas low-viscosity oil production declines very rapidly following breakthrough. The breakthrough of combustion zone can be recognized by an increase in gas production and its oxygen content. This is followed by a sharp increase ranging from 100 degree to 200 degree Fahrenheit in bottom hole temperature. In addition, the increase in water cut of the produced oil also indicates the breakthrough of the combustion zone. At the same time, pH of the produced water decreases, which is usually due to increase in the content of ions such as iron and sulphate. CASE STUDY IN-SITU COMBUSTION AT MEHSANA, GUJARAT. Mehsana asset, located in the northern part of Gujarat state in India is the highest oil producing onshore asset of ONGC with annual crude oil production of 2.35 MMT. Its having oil fields producing both heaviest crude and the lightest crude in India with API gravity ranging from 13ËÅ ¡ 42ËÅ ¡. Balol and Santhal fields form a part of this heavy oil belt with a API gravity 15ËÅ ¡-18ËÅ ¡. Balol and Santhal field encompass 22.17 MMT and 53.56 MMT of oil in place respectively. The crude is asphaltic in nature containing 6-8% asphaltene and the oil viscosity ranges from 50-450 cps at reservoir pressure of 100 kg/cm ² and 70ËÅ ¡ C temperature. Reservoirs have the permeability of the order of 3-8 darcies and are operating under active water drive. Subsequent Artificial lift methods resulted into high water production than oil. In many wells it became 95-100% and some wells had to be closed due to high water cut. The poor primary and secondary necessitated for In- Situ combustion technique in these fields. Exploitation of heavy oil from these heavy oil fields was a challenge for Mehsana asset. Based on results of laboratory studies, the In-situ combustion process was identified as the most suitable technique for enhancing the recovery from these fields. PILOT SCHEME A pilot test was designed and initiated in 5.5 acre area of southern part of Balol field in 1990-91. The first well CP#10 and thereafter Balol#171 were ignited with the help of foreign experts. The sustained combustion and production gain from nearby producers lead to conceptualization of the commercialization schemes in entire Balol field. In another attempt, a pilot scheme was also designed for Lanwa oil field and an inverted five slot pattern with four producer wells had been ignited in 1992. At present the commercialization of the scheme is in progress to enhance the production from the field. A pilot scheme is also running since 2002 in Bechraji field with four EOR injectors. COMMERCIAL SCHEMES Based on the techno-economic success of Balol Pilot project, commercial schemes were designed for entire Balol field for exploitation of heavy oil. Considering the similarities between the Balol and Santhal oil fields, this EOR technique has been implemented on a commercial scale in 1997 both at Balol and Santhal fields. Presently four commercial schemes viz. Balol Ph-1, Santhal Ph-1, Balol Main and Santhal Main are running successfully. Till date total 61 wells have been ignited in Balol and Santhal under these commercial schemes. More wells are in line for conversion into EOR injectors. For commercial exploitation of Balol and Santhal fields using In-situ combustion technique, four major air compressor plants, two, each in Balol and Santhal fields were set up. These plants supply compressed air to injector wells at reservoir conditions. Compressors except emergency air compressors at all the plants run on electricity. Combined installed capacity of these four plants is of compressing 4.9 NMm3/day air at maximum pressure of 123 Kg/cm2. Since water is required to be injected subsequently during wet phase, facilities for water treatment and injection are also installed in the respective plants. All these four plants are connected to each other with an integrated air grid network for better utilization of resources. A mobile unit called Ignition trailer is being used to initiate ignition process. Gas burners are used for artificial ignition in Mehsana. RESULTS After implementation of the technique, decline in production from Balol and Santhal fields was arrested. A number of wells have started flowing on self which were in artificial mode prior to in-situ combustion process. Production testing data of affected wells show the gradual increase in liquid production and decrease in water cut resulting increase in net oil production. Presently EOR gain from both the fields in the tune of 1200 TPD and air injection is in tune of 1.4MM Nm3/d. Production performance of these fields shows the gradual increase in oil production and decrease in W/C% with increasing number of injectors/air injection rate. It has not only given a new lease of life to Balol and Santhal fields but has also increased the oil recovery factor by 2-3 folds from 6-13% to 39-45%. OTHER HIGHLIGHTS OF THE PROJECT ONGC is one of the few organizations in the world, which has taken up In-situ combustion process on such a large scale. Total 68 wells have been converted in EOR injectors at Mehsana Asset so far. Most of the EOR injectors are old producer wells. They have been converted to injector wells after proper washing and cleaning of wells. Ignition is being done in the reservoir at an average depth of 990 meters, having 100 Kg/cm2 pressure and 70 degree Celsius temperature. Present Air-Oil ratio in these fields is about 1160 Nm3/m3 and Air-Oil ratio on cumulative basis it stands at 985 Nm3/m3, which indicates quite good efficiency of ISC process. Figure : Production profiles of Santhal and Balol fields (Source) MAJOR ISSUES Occurrence of Auto-Ignition: In Mehsana Gas burner is being used for artificial ignition. In this method air is injected through the annulus and natural gas through tubing. An aluminum plug fitted at the tip of burner prevents air and gas to mix. The plug pops out when gas injection pressure is more than air injection pressure and forms gas-air mixture at the bottom. A pyrophoric chemical is being used to initiate the flame. At well no. Balol # A on 1998 the burner caught fire without lowering pyrophoric liquid. Burner temperature shot up to 910 degree Celsius and was soon controlled by ignition tem members. There was no damage to thermocouple and down-hole assembly in this well. After this incidence auto ignition occurred successively in another three wells. In last two wells Santhal #B and Balol # C, thermocouple got damaged. Ignition experts were unable to establish the reason and remedy for auto ignition. Due to this failure, ONGC had completely suspended all the ignition operations fearing further auto igni tion and damage to thermocouple. A close study of all four cases of auto ignition revealed that gas injection was used to be done at full discharge rate of gas compressor. Due to this sudden release of huge amount of gas, a very rich mixture of air and gas forms making situation vulnerable for auto ignition. To overcome this problem, ignition team came up with an idea to put a cushion of an inert gas in the tubing before starting gas injection. At the time of plug pop up, now this inert gas release first afterwards natural gas comes in contact with air. This cushion provide ample time between plug pop up and release of natural gas which facilitate in regulating the gas injection rate to prevent formation of unwanted combustible mixture. The whole idea was put up before the management which was promptly agreed and broke the dead lock of suspended ignitions. After adoption of this technique till date no case of auto ignition encountered. EFFECTIVE UTILIZATION OF AIR COMPRESSOR Compression of air at high pressure is a costly affair because of huge consumption of electricity. To minimize this wastage of energy and for optimize the utilization of air compressors, it was thought to connect all the four plants with a common air grid. Subsequently the air grid was constructed using 6 and 4 dia pipelines as required. Now compressors are being run as per the total air requirement. By using this grid, on an average INR 2.0 Crores per month (USD 5.3 million per annum) are being saved as electricity charges. FAILURE OF AFTER COOLER OF AIR COMPRESSOR Running of large air compressor is difficult in India especially during summer due to high temperature. It may lead to explosion at compressed air piping due to accumulation of carryover lubricants and high discharge temperature. Two incidents of bursting of 3rd stage (Final stage) after coolers of HP compressor had taken place at a compressor plant of Santhal field. As a remedy synthetic lubricant has been introduced. Further regular chemical cleaning of the lines is being carried-out and monitoring of operational parameters has been intensified. OOZING OF AIR/FLUE GASES In Mehsana, mostly old wells were used for injection as well as for production. In some cases failure of casing or cementation have observed and has caused pressure built-up in outer casing and even in some cases oozing of gases/air from well site has also been observed. The remedies are 1) New additives for cementation (like thermal cements and calcium aluminates) have been introduced which help to withstand higher temperatures. 2) It is recommended to cement the casing to the full depth in case of new injector wells to prevent the risk of coming out of gas into overlying permeable layers. 3) It is suggested by IEOT (ONGC Institute) to have casing of API 5CT L-80 13 Cr steel in new injector wells and tubing in all wells. 4) New injector wells are being drilled to suit specially for in-situ combustion. 5) Regular monitoring of injection pressure, annulus pressure and outer casing pressure. Research Work Figure : showing the working model made in the laboratory The working model for the In situ combustion was made in laboratory. In this model Injection well and the production well is present on the left and right side respectively, gas injection at high pressure, igniter is taken as the kitchen lighter, test tube is made as an artificial reservoir and ignition zone near the artificial reservoir and also the temperature showing device at the bottom of the production well. This model can be compared to the real conditions with the help of the following diagram. Figure : In situ combustion process (source) There were many challenges during the modeling. These challenges were faced according to the need, economy and the factors available. For example reservoir simulation was not perfect, combustion zone was not able to be built exactly in the pores due to lack of oxygen supply. Hence I discover that this process is very economical as compared to other EOR processes but it is very risky as injection of gas should be done at correct place and ignition should be controlled then this process acts as magic recover the oil to 65%. I was successful in recovering the oil but the simulation problem was a main constraint of this working model as that requires a whole laboratory for its working. Hence according to my research heat loss should be minimum, combustion should be in controlled manner are the major challenges that should be overcome. And these can be overcome by calculating the area in which injection is to be done and what should be the ignition system use for ignition (whether a chemical can be used, artificial igniter at the combustion can be used or if the temperature of the bottom of the hole is very high that can give spontaneous ignition) should be preplanned according to the condition. The latest and important factor is the chemical injection to ignite the heavy crude oil, let us suppose the oil present there is very heavy oil that cannot be directly ignited; for that situation a chemical can be injected inside which will burn first and then increases the temperature of the respective zone to such an extent that the oil present there will ignite and the further process should start.