Sunday, November 24, 2019

Economic Geography

Economic Geography Economic geography is a sub-field within the larger subjects of geography and economics. Researchers within this field study the location, distribution, and organization of economic activity around the world. Economic geography is important in developed nations such as the United States because it allows researchers to understand the structure of the areas economy and its economic relationship with other areas around the world. It is also important in developing nations because the reasons and methods of development or lack thereof are more easily understood. Because economics is such a large topic of study so too is economic geography. Some topics that are considered economic geography include agritourism, the economic development of various countries and gross domestic and gross national products. Globalization is also extremely important to economic geographers today because it connects much of the worlds economy. History and Development of Economic Geography The field of economic geography continued to grow as European nations later began to explore and colonize different regions around the world. During these times European explorers made maps describing economic resources such as spices, gold, silver and tea that they believed would be found in places like the Americas, Asia and Africa (Wikipedia.org). They based their explorations on these maps and as a result, new economic activity was brought to those regions. In addition to the presence of these resources, explorers also documented the trading systems that the people native to these regions engaged in. In the mid-1800s farmer and economist, Johann Heinrich von Thà ¼nen developed his model of agricultural land use. This was an early example of modern economic geography because it explained the economic development of cities based on land use. In 1933 geographer Walter Christaller created his Central Place Theory that used economics and geography to explain the distribution, size, and number of cities around the world. By the end of World War II general geographic knowledge had increased considerably. Economic recovery and development following the war led to the growth of economic geography as an official discipline within geography because geographers and economists became interested in how and why economic activity and development was occurring and where it was around the world. Economic geography continued to grow in popularity throughout the 1950s and 1960s as geographers attempted to make the subject more quantitative. Today economic geography is still a very quantitative field that mainly focuses on topics such as the distribution of businesses, market research and regional and global development. In addition, both geographers and economists study the topic. Todays economic geography is also very reliant on geographic information systems (GIS) to conduct research on markets, the placement of businesses and the supply and demand of a given product for an area. Topics within Economic Geography Theoretical economic geography is the broadest of the branches and geographers within that subdivision mainly focus on building new theories for how the worlds economy is arranged. Regional economic geography looks at the economies of specific regions around the world. These geographers look at local development as well as the relationships that specific regions have with other areas. Historical economic geographers look at the historical development of an area to understand their economies. Behavioral economic geographers focus on an areas people and their decisions to study the economy. Critical economic geography is the final topic of study. It developed out of critical geography and geographers in this field attempt to study economic geography without using the traditional methods listed above. For example, critical economic geographers often look at economic inequalities and the dominance of one region over another and how that dominance impacts the development of economies. In addition to studying these different topics, economic geographers also often study very specific themes related to the economy. These themes include the geography of agriculture, transportation, natural resources, and trade as well as topics such as business geography. Current Research in Economic Geography Journal of Economic Geography Each of these articles is interesting because they are very different from one another but they all focus on some aspect of the worlds economy and how it works.

Thursday, November 21, 2019

Operations Management and Tesco Essay Example | Topics and Well Written Essays - 1250 words

Operations Management and Tesco - Essay Example Signboards with directional arrows were found to hang from the ceiling. Commodities were segregated on the basis of different parameters, each type being found at one place. The positioning of items was so done as to optimise space and also allow easy access to the customers. An interesting feature of the store is the open space that facilitates movement of products as well as customers. The entire arrangement has been designed in a way that ensures minimum collision between people moving inside the store. Surveillance cameras are installed at strategic points that keep an eagle eye on possible shop lifters. In operations management, the 4 V's are commonly defined as volume, variety, variation and visibility. In a large supermarket like that of Tesco's, all of them could be sensed, though in varying proportion. (Slack N., et al, 2007) The supermarket offers only one service that being providing commodities to customers. However, this is not the all. The uniqueness of the super market lies in the fact that it provides a plethora of goods and other necessary items for sale. It allows the customers the freedom to shop groceries, garments, accessories, cosmetic products, beverages and toiletries all at the same place. In addition to this, customers can also enjoy free home delivery services in case their purchase bills exceed certain pre determined limits. The volume of operations is thus, very high. Continuing from the volume analysis, the variety of services that a customer receives from the supermarket is high. It also needs to be mentioned that it depends on the customer whether she would like to enjoy the whole range of services provided. For example, many people were seen to visit the garments and electronics goods section but none of them purchased from there. In the strictest sense of the term the variety is very high. The store which was visited had maximum number of customers purchasing grocery and food items. Variation in sales happens depending on the product. Generally, food items have a moderate level of demand. Garments are in high demand only in certain seasons. However, variation in sales was also experienced throughout the day. Towards the evening, there was a rise in the number of customers purchasing hard drinks, beer and fruit shakes. Visibility, as defined in theories of operation management, is very low. Customers seldom can see how the shelves are getting filled up or the source from where frozen foods are obtained. Most of the rearrangement is done during the early morning or late night after the store gets closed for customers. The Layout, Flow and Use of Process Technologies In a supermarket, the layout and flow of various products are of paramount importance. It has to be borne in mind that placing of the products plays an important role both for the customers as well as the service provider. In the visited store, the layout was more like a process layout. Items of same kind were placed at one place. Among the items of same kind, the heavier ones were placed in a manner that would make it easy for the customer to carry it. Personal items and toiletries were found to be arranged in columns, the bigger packets forming the base and the smaller ones

Wednesday, November 20, 2019

Britains Recent Credit Crisis Essay Example | Topics and Well Written Essays - 1250 words

Britains Recent Credit Crisis - Essay Example If it is opposite there is recession. "The circular flow diagram divides the economyii into two sectors: one concerned with producing goods and services, and the other with consuming them. Resources are converted into goods and services by business, and in this transformed state travel back to consumers. Money flows in the opposite direction. These flows involve two markets in which exchange take place: the resource or factor market in which business buys resources, and the goods and services market in which business sells goods." "Access to cheap credit in Britain has fuelled a decade of unprecedented growth, with home prices tripling over the past decade, a faster rise than in the US. Consumer spending has skyrocketed, now making up roughly two-thirds of the country's total outlays. And the overall economy in Britain is more dependent on financial services than it is in the States. As in the US, consumers are another key driver of the economy and today they're among the most indebted in the world. British consumers owe $2.7 trillion on credit cards, mortgages, and other consumer loans or more than the country's entire economic output. Household debt as a percentage of gross disposable income is 166%, compared with 127% in the US. So it's hardly surprising that in the past year, British banks have had to write off $18 billion in bad debts, mostly consumer borrowing. With the average home now costing $370,000 roughly 11 times the average salary housing is less affordable than at any time in the past 15 years. The latest data show house price inflation running at about 9.5% annually for August, but the rate is starting to slow. Although most believe that the Bank of England is unlikely to raise rates further anytime soon, the cost of servicing mortgages is expected to climb. That's because the crisis in the financial markets has raised the cost of borrowing for lenders, who will in turn pass on those costs to consumers, many of whom have adjustable rates."iii Explanation of Current Credit Crisis in Great Britain using the circular flow diagram. The diagram below shows the U.S. Circular flow including credit flows. It is a lot more involved than the previous circular flow diagram but it would explain the current credit crisis in Great Britain. Since the financial system in Great Britain and the U.S. are very similar, they have similar traits but face similar problems. The only thing is Great Britain's credit problems are a lot worse than the U.S. Let us analyze the British situation using the circular flow diagram below. 1. British Consumers have borrowed over $ 2.7 trillion which is even higher than the total Annual GDP number. Now obviously this debt has been acquired over a period of few years, so how does this reflect as an injection into the circular diagram. 2. Let us look at the simple

Monday, November 18, 2019

How Can Health Care Professionals Effectively Deal Sociologically With Essay

How Can Health Care Professionals Effectively Deal Sociologically With Issues Of Domestic Violence In Pregnancy - Essay Example This essay stresses that surprisingly, and in contrast to previous research on women residing in domestic violence shelters, emotional support was not a significant predictor of mental health when severity of violence was controlled. Practical aid, however, predicted both anxiety and self-esteem. This finding is consistent with the only shelter study that compared emotional and practical supports. This paper makes a conclusion that there are several important intervention implications from this study. First, critical support plays a key role in the mental health of women who have violent partners. Thus, support for women in violent relationships must avoid criticism of their lives and decisions. Clearly, the ability to talk about the abuse in an empathic, non-critical environment is an important key to positive mental health for these women. Because homophily was related to criticism in this study, it may be that advocates, rather than homophilous peer support groups, provide the most effective interventions. In addition, practical aid, rather than emotional support, was related to positive mental health. Thus, concrete assistance with daily life hassles and challenges should be a high priority for agencies serving battered women. Finally, the positive relationship between nonhomophilous supporters and mental health suggests that agencies might assist battered women in locatin g new sources of support in order to develop a social network composed of more women who have not been battered

Friday, November 15, 2019

Polygamy and monogamy practices

Polygamy and monogamy practices Since creation, according to bible, God created man and woman as well as animals which were both male and female. In such a situations where there exists animals of different sex, it allows the reproduction and stability of one generation after another generation. Human beings are known social beings, and in most cases need one another to survive, therefore its difficult to exclusively depend on themselves. To produce offspring, they usually marry and have children which in turn, becomes the standard of creation for the human population. Even though we all share the similarity of being human beings, there still exists differences in what we believe in and the values that we attach to various things. One of these things, is the topic of marriage, which by definition, is a reunion of a man and a woman to come together and live together as a husband and wife. Due to the diverse objectives that people have in marriage, some people consider that having one wife (monogamy) is the ideal met hod, whereas others believe in having a number of wives (polygamy) (Family,2009). This paper seeks to have an in-depth look at the two issues; polygamy and monogamy by looking at what the proponents of each thinks about it as well as look at countries that have practiced them. It will also look at pros and cons of each as well, and why people should respect one another despite which side they take. Last but not least, the paper will analyze the cultural beliefs of the two groups and dig deeper on why they hold on their beliefs and reasons they give to support their stand. Monogamy, is one of the most widely used form of marriage and its supporters believe in one man/woman to one wife/husband. Monogamy is derived from the Greek word mono, which means alone, and gamos, meaning re-union or marriage. It is believed that the majority of the human race practice monogamy as opposed to polygamy. One benefit considered of monogamy, is that it increases the chances of offspring survival because the parents collaborate together and raise the child ( Edward,1928). This perception does seem to be changing with time due to complexities of fast paced, modern life though. In the past, it was common for men to go to work while the woman was supposed to maintain the house hold duties, which also included raising the children. The modern world has changed this though, and now there is no distinct roles between men and women. Equally now, both must work hard to cope and deal with the challenges of modern life. Monogamy can be categorized and broken into four groups: soci al monogamy, sexual monogamy, marital monogamy and genetic monogamy. There exists small differences between these groups and that is why this paper all discussion will be centered on the man and woman perspective of monogamy. Many communities have in the past and are currently now practicing monogamy. Monogamy is as old as Adam and Eve, for during creation, God created one woman and one man. It is anticipated by some people that Christianity has a connection with the origin of monogamy ( Edward,1928). Europe just happens to be one of the countries where Christianity took its toll and spread rapidly. Before Christianity, Europe practiced polygamy. The roman culture believed in monogamy to such an extent that those who failed to observe the rules, faced dire consequences. Due to the severe penalties, some people even went to the extent of killing their wives so that they could have an opportunity of marrying another one. Cesar is an example of one who banished and killed his wife in o rder to get the opportunity of marrying another one (William,u.d.). This indicates how strong their culture laws were and how people desperately tried to abide by them. The great conqueror Napoleon, was also forced to divorce his first wife so that he could marry another one order to birth a son. This shows how deep rooted these cultures were by going to the extent of making a laws which were to be observed by all of the population. These cultures main goals were making sure the chances of immorality were reduced, as well as helping couples remain committed to each other. It is evident that no matter how strict a country was, monogamy is hard to uphold as it can be seen in Rome, where although marriage was monogamous, the sexual relationship did not follow the same, and mating was polygamous (Eshleman, 1994). People abided by the rules, and most cultural beliefs were upheld and embraced by the community. One downside to these beliefs, was lack in acceptance by all of its citizens an d some accepted it just because they lacked any alternatives. The communities that practiced monogamy stood a better chance of having families that worked together towards a common goal like raising children, giving them parental love and attention which are very crucial to the development child. As opposed to polygamous family, where most of the time the husband can not afford to be with all wives and his children at the same time. A polygamous father quite simply, cannot afford it. The children from these families are not likely in most cases to fully enjoy the parental love of both parents like those from monogamous family. In the Roman Empire, the consequences of bigamy were severe as death. This means that the citizens had no other option but to abide by them. The Empire saw it as a way to reduce the numbers of unwanted children, lower the levels of immorality, and lessen the amount of single mothers resulting from divorce, due to unfavorable conditions that arise with polygamy . Even though this culture was imitated, it still has its weakness because most its foremost people had children outside marriage as well as concubines on the side. It showed disregard for human rights, because some women were divorced or murdered so that the men could get the opportunity to marry another one. The culture also lacked proportion matching especially in comparison to modern days since the male to female ratio does not compute. This means that a great number of women would turn out to be single since their population is so high. In turn, the women who birth children out of marriage, will raise children that are not able to receive parental love from the father. Those children then do not have much choice but to lean on what they see their mother doing, and in some cases, the traits they acquire, might not be ideal ones. Polygamy is derived from the Greek word, which means the practice of having many women. This practice is very old and was practiced in many countries throughout the world. The practice is predominant in many African countries, where ones wealth is calculated in terms of how many children one has. They believe that when one person is in position to feed many mouths, that it translates to that one person having enough wealth since poor people could not afford to feed numerous children. Other countries have different reasons to why they allowed its citizens to practice polygamy. This discussion will focus on one of the African countries, Kenya, where currently, some of its communities still do practice polygamy (volume 10, 1967). Before colonization, people used to have their own standards of living as well as doctrines and laws that they had to abide by. Kenya happens to have more than 42 tribes where each tribe has its own beliefs and culture to follow. Most of these tribes, acknowledge polygamy and it is suggested by Ngugi (2006) that women once they perceive that they are reaching old age, could suggest that their husband marry another younger woman who to help him with house hold chores as well as marital needs. To many Kenyans, they believed polygamy to be essential in making it possible for the continuation of a generation. This was a time when children used to die in large numbers at extremely tender ages, due to diseases like measles, polio amongst others. It was then considered vital for a man to marry many women and reproduce many children so that even if a majority of them were dying, the hopes and chances that a few of them would survive was increased. The Kenyan culture accepted polygamy and eve n women themselves did not feel cheated nor did they object to it. A good example is the Luo community in Kenya in currently, polygamy is still practiced. Wife inheritance which is also a part of polygamy is being practiced as well (Ngugi, 2008)). According to their culture, this habit is encouraged to discourage the chances of the widowed woman from going out to look for other men, and instead be inherited by one of the brothers of her deceased husband. Another reason that is supported by those who practice polygamy, is to bring about a balance between men and women. Since the womens numbers are many, it is believed by the men practicing it, that more women in turn will be able to get husbands. The African culture means well in practicing polygamy, and has good intentions in doing so. These women and communities as a whole, believe it better to have a co-wife and abolish the need for their men to have hidden relations with other women outside the marriage. Therefore there was no more secret business, and men could inform their wives of their intention to marry another woman as they deemed right (Ngugi,2008). Lately though there has been a decline in the practice of polygamy, resulting from many people embracing Christianity i n Kenya. Many are now abiding by doctrines of the church and because of this immorality and promiscuity is on the rise. Research has shown that both married women and men are having other relationships outside their marriages, contributing to a high HIV infection rate in these groups. Polygamy is associated with such benefits as the impartiality in the distribution of wealth. This is because polygamy in most cases is practiced by men who are financially stable. By them marrying many women, there will be a steady flow of cash, either through gift or even just by merely supporting the women that he marries (William,2009). Immorality and promiscuity rates also decline along with sexually transmitted diseases, for the simple fact that a man will be content with women he has. There are also more morals imposed in such a society, and instead of women resulting to using devices such as sex toys to fulfill their needs, they stand a much better chance of getting men who will satisfy their ne eds sexually instead. Human beings are emotional and require a channel or means of satisfying those feelings. When that opportunity is not presented, they can result to other untraditional means to satisfy their emotions. Polygamy also has its shortcomings which can vary depending on how it is practiced. When it occurs with individuals who are not economically stable, children might suffer and lack basic needs due to the number of children the man will be providing for. It also neglects the children of paternal love since they can not have their father on daily basis. It can also make women feel not fully appreciated and wonder why their man would be looking at other women. In the current times, it can lead to mistrust, and increasing the risk of contracting sexually transmitted diseases (Mirriam, 2006). In looking at both polygamy and monogamy, each one of them seems to have its advantages and disadvantages. Keeping in mind that humans are social beings who like to interact with each other, people should learn to appreciate other peoples cultures since we can perceive things differently and what some may consider as right, may be considered as very wrong in another country. Even though this has always been a controversial topic as to what people recognize as its pertaining issues, but it is really time for people to appreciate the difference that exists between people and the only way to solve this is by learning about the positive things from the given cultural community and disregard what could be perceived to be of less importance (Jenks, 2006). Communities can not exist on their own and they require a collaboration with others to co-exist peacefully. It is important to not only realize but appreciate that there are disparities between these two types of marriages and the childre n brought out of each of them exhibit the differences in the values that they learned from their parents. Research done has indicated that children from polygamous family might have more negative attitudes towards their step siblings and are often lacking in genuine love towards each other. In extreme cases, they sometimes rise against one another and even cause bodily harm to one another. Often lacking in fatherly love, they generally seem to perceive their father in a negative light as well. All that having been said, people will continue behaving differently and that is why laws play a vital role ensuring that people abide by them and operate within those boundaries. Through social interaction, people get to discover other peoples different ways of living and their abilities to interact with each other. References Jencks E N (2009).The History and Philosophy of Marriage: Or, Polygamy and Monogamy Compared: Oxford publishers Ngugi, J. polygamy in Kenya.Nairobi. Oxford publishers. Miriam K. (2006).Polygamy: a cross-cultural analysis. New York: Up. A citizen of Massachusetts (1882).Marriage: monogamy and polygamy on the basis of divine law, of natural law University of Michigan James Campbell An international journal of social, political and legal , Volume 10: 1967: retrieved on 6/12/2009 from: n+monogamy+and+polygamylr=client=firefox-a Edward B. (1928). The Journal of general psychology, Volume 1 retrieved on 6/12/2009 from http://books.google.co.ke/books?id=Kv37YlSy7oICq=journals+on+monogamy+and+polygamydq=journals+on+monogamy+and+polygamylr=client=firefox-a Say NO to monogamy and YES to polygamy.2009. Retrieved on 6/12/2009 from http://www.hipforums.com/modules/Journal/viewentry.php?journalnoteid=13005 William M .The family, society, and the individual: retrieved on 6/12/2009 from: gamydq=journals+on+monogamy+and+polygamylr=client=firefox-a Eshleman, J. (1994). The Family. retrieved on 6/12/2009 from: ygamylr=client=firefox-a

Wednesday, November 13, 2019

Death Penalty Essay -- essays research papers

The death penalty has both supporters and non-supporters. The following essay will not solve the issue; I will only try to persuade the reader to understand my point of view. The death penalty is justified in certain cases such as Mcveigh Vs State of Indiana; however it is unjustified in other cases, including Bloodsworth Vs State of Maryland. The death penalty is a must, especially in today’s society. With the increase in vicious crimes today, the government must act just as harsh with our justice system to try and prevent these types of crimes. Non-supporters argue that the death penalty is inhumane and should be considered murder. People of this malicious caliber must be dealt with in the same way, an eye for an eye. Putting these criminals to death doesn’t solve the crime that they committed, but it helps the victim’s family and friends to feel a sense of justification for what’s happened to them.   Ã‚  Ã‚  Ã‚  Ã‚  Capital Punishment has been part of the criminal justice system since the earliest of times. The earliest historical record that contains evidence of capital punishment is the Babylonian Hammurabi Code. â€Å"It ordered death for crimes as minor as the fraudulent sale of beer. Egyptians could be put to death for disclosing the location of sacred burial sites.† During the time of the code you were put to death for the smallest crimes, which now would be a minor offense or even considered being nothing Today, capital punishment is still apparent in society. People are put to death because of murder or rape. The different types of punishment used are anywhere from hanging to lethal injection. The death penalty is a better deterrent than imprisonment because taking offenders life is more of a severe punishment. By using the death penalty as a type of punishment, it will in the future prevent other criminals from committing similar crimes and eventually make our society a much better place to live. The concept is very simple, the death penalty prevents a murders by putting the fear of death into would be killers. A person is less likely to do something, if he or she thinks that harm will come to him. Another way the death penalty prevent murder, is the fact that if the killer is dead, he will not be able to kill again. As Issac Ehlrich is quoted saying, â€Å"If the execution of a guilty capital murderer deters the murder of one innocent life, the execution is just... ...pen everyday, and many get away with it. Those who do get caught don't stay in a jail cell for the rest of there live. If we could rig our streets of murderers, it could mean a safer place for everyone. Men and women could feel safer jogging or doing errands at night. Single women could feel safer in their homes. Children could feel safe playing in their yards. No executed murderer has ever killed again. BIBLIOGRAPHY 1.Bright, Steven B. â€Å"Judges and the Politics of Death: Deciding Between the Bill of Rights and the Next Election in Capital Cases.† Boston University Law Review 75 (1995) 2.Connors, Edward, www.clarkprosecutor.org/html/death/row/dye.htm 3.Flanders, Stephen A. Capital Punishment. New York, NY: Facts on File, 1991. 4.Long, Robert Emmet. Criminal Sentencing. New York, NY: H.W. Company, 1995. 5.Nathanson S. 1987 An eye for an eye Totowa: Rowman and littlefield 6.Robinson, Bryan, www.abcnews.go.com/sections/us/DailyNews/mcveigh001228.html 7.Tabak, Ronald J. â€Å"Report: Ineffective Assistance of Counsel and Lack of Due Process in Death Penalty Cases.† Human Rights 22.Winter (1995) 8.Zondervan Bible Publishers, The Holy Bible, pg. 12 Genesis 9:6

Sunday, November 10, 2019

Euthanasia †Good Or Bad? Essay

Euthanasia is the painless killing of a patient suffering from an incurable, deadly and incredibly painful disease or illness. Who is to decide for others? The government? Each and every person has the right to decide about issues such as euthanasia for themselves, nobody else should be able to decide for them as they are the ones in need – what’s it to others? It’s their suffering, their life and their choice. Wouldn’t you like to leave earth with the least amount of pain possible? Of course you would†¦who wouldn’t? Along with euthanasia being able to put a stop to ones agonizing pains, it’s also able to decrease the amount of grief that they and their loved ones experience due to seeing each other go through a vast amount of distress. Many (religious and nonreligious) people believe that it is wrong to keep people alive beyond their natural life span (e.g. a life support machine) because only god has the power to decide when ones life ends. Jesus once said ‘Do Unto Others As You Would Have Them Do To You’ therefore if you were suffering really badly then you’d want your life to end the easiest and quickest way possible. Another thing that may seem more important than passing away with the least possible amount of physical and emotional pain, is respect and dignity. Euthanasia enables terminally ill people to pass on with a small, but priceless, amount of dignity and self-respect they have left in themselves. Who in the right world of mind would want to die with no respect from others? Euthanasia will help prevent that to thousands across Britain – not just the incurable patients but also the patients friends, family and even the doctors jobs would be less stressful. In March 2002 a 43 yr old woman, named Diane Pretty whom had Motor Neuron Disease made the headlines with her plea for her beloved husband to be allowed to assist her in suicide (as she only had a few unbearable months to live) with no fear of prosecution. At her hearing she spoke with the help of a voice synthesizer and said ‘I want my rights to have a death with dignity’, but her plea was rejected and she died later that year in May, in a hospice. What are people who want euthanasia like? Selfish? They’ll make their decision while thinking about nobody but themselves. They don’t even think about how their family and friends will take the news and how much they’ll miss them. If the person wanting euthanasia loved them dearly then they’d live on for them. Religious people have a point of view for euthanasia but they also have views against euthanasia to. Christians have hospices around Britain, which are specially for looking after terminally ill people while making sure that they don’t lose their dignity, Christianity believes euthanasia is wrong as they believe in the ‘Sanctity Of Life’ and it is against the commandment ‘Do Not Kill’. Jesus suffered severely and painfully on the cross, but he did not cut short his suffering – therefore it is not down to us to end out life. Other religions, including Christianity believe that accepting suffering may have a spiritual value for your soul, in heaven, rebirth or the afterlife. Terminally ill people include people whom are in comas and unconsciousness; so the persons loved ones may commit euthanasia against their wishes and the patient might recover from an illness against all odds as the doctor’s diagnosis has a chance of being wrong. Doctors’ jobs are to save peoples lives – well to at least try, not to kill them; this will result in Britain’s doctors being murderers and no one would like to go to a murderer for help.

Friday, November 8, 2019

Leo Szilard Biography, Role in Creation of Atomic Bomb

Leo Szilard Biography, Role in Creation of Atomic Bomb Leo Szilard (1898-1964) was a Hungarian-born American physicist and inventor who played a key role in the development of the atomic bomb. Though he vocally opposed using the bomb in war, Szilard felt it was important to perfect the super-weapon before Nazi Germany. In 1933, Szilard developed the idea of the nuclear chain reaction, and in 1934, he joined with Enrico Fermi in patenting the world’s first working nuclear reactor. He also wrote the letter signed by Albert Einstein in 1939 that convinced U.S. President Franklin Roosevelt of the need for the Manhattan Project to build the atomic bomb. After the bomb had been successfully tested, on July 16, 1945, he signed a petition asking President Harry Truman not to use it on Japan. Truman, however, never received it. Fast Facts: Leo Szilard Full Name: Leo Szilard (born as Leo Spitz)Known For: Groundbreaking nuclear physicistBorn: February 11, 1898, in Budapest, HungaryDied: May 30, 1964, in La Jolla, CaliforniaParents: Louis Spitz and Tekla VidorSpouse: Dr. Gertrud (Trude) Weiss (m. 1951)Education: Budapest Technical University, Technical University of Berlin, Humboldt University of BerlinKey Accomplishments: Nuclear chain reaction. Manhattan Project atomic bomb scientist.Awards: Atoms for Peace Award (1959). Albert Einstein Award (1960). Humanist of the Year (1960). Early Life Leo Szilard was born Leo Spitz on February 11, 1898, in Budapest, Hungary. A year later, his Jewish parents, civil engineer Louis Spitz and Tekla Vidor, changed the family’s surname from the German â€Å"Spitz† to the Hungarian â€Å"Szilard.† Even during high school, Szilard showed an aptitude for physics and mathematics, winning a national prize for mathematics in 1916, the year he graduated. In September 1916, he attended Palatine Joseph Technical University in Budapest as an engineering student, but joined the Austro-Hungarian Army in 1917 at the height of World War I. Portrait of Professor of Biophysics, Institute of Radiobiology and Biophysics, at the University of Chicago Dr Leo Szilard (1898 - 1964), Chicago, Illinois, 1957. PhotoQuest / Getty Images Education and Early Research Forced to return to Budapest to recover from the dreaded Spanish Influenza of 1918, Szilard never saw battle. After the war, he briefly returned to school in Budapest, but transferred to the Technische Hochschule in Charlottenburg, Germany, in 1920. He soon changed schools and majors, studying physics at the Humboldt University of Berlin, where he attended the lectures of no less than Albert Einstein, Max Planck, and Max von Laue. After earning his Ph.D. in physics from the University of Berlin in 1922, Szilard worked as von Laue’s research assistant at the Institute for Theoretical Physics, where he collaborated with Einstein on a home refrigerator based on their revolutionary Einstein-Szilard pump. In 1927, Szilard was hired as an instructor at the University of Berlin. It was there that he published his paper â€Å"On the Decrease of Entropy in a Thermodynamic System by the Intervention of Intelligent Beings,† which would become the basis for his later work on the second law of thermodynamics. The Nuclear Chain Reaction Faced with the threat of the Nazi Party’s anti-Semitic policy and harsh treatment of Jewish academics, Szilard left Germany in 1933. After living briefly in Vienna, he arrived in London in 1934. While experimenting with chain reactions at London’s St. Bartholomews Hospital, he discovered a method of separating the radioactive isotopes of iodine. This research led to Szilard being granted the first patent for a method of creating a nuclear chain reaction in 1936. As war with Germany grew more likely, his patent was entrusted to the British Admiralty to ensure its secrecy. Szilard continued his research at Oxford University, where he intensified his efforts to warn Enrico Fermi of the dangers to humanity of using nuclear chain reactions to create weapons of war rather than to generate energy. The Manhattan Project   In January 1938, with the impending war in Europe threatening his work, if not his very life, Szilard immigrated to the United States, where he continued his research in nuclear chain reactions while teaching at New York’s Columbia University. When news reached America in 1939 that German physicists Otto Hahn and Fritz Strassmann had discovered nuclear fission- the trigger of an atomic explosion- Szilard and several of his fellow physicists convinced Albert Einstein to sign a letter to President Roosevelt explaining the devastating destructive force of an atomic bomb. With Nazi Germany now on the verge of taking over Europe, Szilard, Fermi, and their associates feared what could happen to America if Germany built a working bomb first. Convinced by the Einstein–Szilard letter, Roosevelt ordered the creation of the Manhattan Project, a famed collaboration of outstanding U.S., British, and Canadian scientists dedicated to harnessing nuclear energy for military uses. As a member of the Manhattan Project from 1942 to 1945, Szilard worked as the chief physicist alongside Fermi at the University of Chicago, where they built the world’s first working nuclear reactor. This breakthrough led to the first successful test of an atomic bomb on July 16, 1945, at White Sands, New Mexico. Shaken by the destructive force of the weapon he had helped to create, Szilard decided to dedicate the rest of his life to nuclear safety, arms control, and the prevention of further development of nuclear energy for military purposes. After World War II, Szilard became fascinated by molecular biology and the groundbreaking research being done by Jonas Salk in developing the polio vaccine, eventually helping found the Salk Institute for Biological Studies. During the Cold War, he continued to call for international atomic arms control, the advancement of peaceful uses of nuclear energy, and better U.S. relations with the Soviet Union. Szilard received the Atoms for Peace Award in 1959, and was named Humanist of the Year by the American Humanist Association, and given the Albert Einstein Award in 1960. In 1962, he founded the Council for a Livable World, an organization dedicated to delivering â€Å"the sweet  voice of reason† about nuclear weapons to Congress, the White House, and the American public. The Voice of the Dolphins In 1961, Szilard published a collection of his own short stories, â€Å"The Voice of the Dolphins,† in which he predicts moral and political issues to be triggered by the proliferation of atomic weapons in the year 1985. The title refers to a group of Russian and American scientists who in translating the language of dolphins found that their intelligence and wisdom exceeded that of humans. In another story, â€Å"My Trial as a War Criminal,† Szilard presents a revealing, though fantasized, view of himself standing trial for war crimes against humanity after the United States had unconditionally surrendered to the Soviet Union, after losing a war in which the U.S.S.R. had unleashed a devastating germ warfare program. Personal Life Szilard married physician Dr. Gertrud (Trude) Weiss on October 13, 1951, in New York City. The couple had no known surviving children. Before his marriage to Dr. Weiss, Szilard had been an unmarried life partner of Berlin opera singer Gerda Philipsborn during the 1920s and 1930s. Cancer and Death After being diagnosed with bladder cancer in 1960, Szilard underwent radiation therapy at New York’s Memorial Sloan-Kettering Hospital, using a cobalt 60 treatment regimen Szilard himself had designed. After a second round of treatment in 1962, Szilard was declared cancer-free. The Szilard-designed cobalt therapy is still used for the treatment of many inoperable cancers. During his final years, Szilard served as a fellow at the Salk Institute for Biological Studies in La Jolla, California, which he had helped to found in 1963. In April 1964, Szilard and Dr. Weiss moved to a La Jolla hotel bungalow, where he died of heart attack in his sleep on May 30, 1964, at age 66. Today, a portion of his ashes is buried in Lakeview Cemetery, Ithaca, New York, alongside those of his wife. Sources and Further Reference Lanoutte, William. Genius in the Shadows: A Biography of Leo Szilard, the Man Behind the Bomb. University of Chicago Press (1992). ISBN-10: 0226468887Leo Szilard (1898-1964). Jewish Virtual LibraryLeo Szilard Papers, 1898-1998. University of California San Diego (1998)Leo Szilard: European Refugee, Manhattan Project Veteran, Scientist. Atomic Heritage Foundation.Jogalekar, Ashutosh. Why the World Needs More Leo Szilards. Scientific American (February 18, 2014).

Wednesday, November 6, 2019

Constitutional and administrative law The WritePass Journal

Constitutional and administrative law Abstract Constitutional and administrative law has given powers to the Secretary of State to undertake certain administrative tasks such as the licensing of tyre storage and their destruction. A statement was also made that any decisions on the part of the Secretary of State cannot be challenged in a court of law, and the Secretary of State is given wide discretionary power under the statutory provisions. With this in mind and following certain concerns by three different companies, as well as a pressure group, the question has arisen as to whether or not the powers exercised by the Secretary of State in these scenarios could be subject to judicial review. Introduction The paper here will look, firstly, at the legal principles associated with judicial review, including identifying who may bring an action to judicial review and the grounds for such action, before applying this to the set of facts presented in relation to the individual entities in this case study. Judicial Review – Rules Judicial review provides a procedure whereby an individual or relevant group of individuals can bring an action in court to argue that a public body acted in an unlawful manner (IRC, 1982). Broadly speaking, judicial review will fall into one of three categories: where a public body has acted illegally, i.e. failing to apply the law in the relevant manner; has acted irrationally by making a logical decision; or has undertaken some form of procedural impropriety which means that it has not followed the correct procedure. Where an action for judicial review is successful, the court may then quash the act undertaken by the public body or may require it to review the situation or may refrain the body from acting in the manner that it has been acting, previously. A typical example of this would be a declaration by the High Court that the public body had acted in an unlawful manner and would therefore require it to act differently, in the future (Fulham Corporation 1921). Firstly, it is noted that judicial review is available against a decision made by a public body and, in this case, the Secretary of State for the Environment is a public body making public decisions and would therefore be potentially subject to judicial review, regardless of the statement that it cannot be held accountable in court (Hampshire Farmers Market Ltd., 2004). The individual bringing the action must also have sufficient standing in order to make the application (as defined by Section 31(3) of the Senior Courts Act 1981). In accordance with this section, it is stated that the permission shall not be given to bring an action, unless it is considered that the applicant has sufficient interest in the matter to bring the action (Gough, 1993). Having been allowed to bring an action to judicial review, the next stage is to identify the grounds for challenge of the public authority’s behaviour. Each of the three grounds will be looked at in turn, as each is potentially relevant, in this case. The classification of the grounds that will be discussed here was first established in the Minister for the Civil Service case decided in 1985. Under the heading of illegality, there are several grounds for challenge, with one of the most common aspects of this being where there are allegations that the legislation has been misinterpreted (Anisminic 1969).Crucially, a decision can be deemed to be illegal for the purposes of judicial review, if the decision making body has ignored relevant considerations, or is taking irrelevant considerations into account when making decisions. This is particularly relevant when it comes to a situation whereby the public authority has a relatively high level of discretion in applying the rules and regulations by which it is guided. It is however noted that where the public authority is taking into account legally relevant factors and the decision they make is ultimately rationale this cannot then be queried simply because one of the parties does not agree (ex parte Westminster City Council 1986). L Diplcok also placed a large emphasis on the second ground for challenging the actions of the public body which is on the basis of irrationality. He stated that the decision would be deemed to be irrational if it could be seen as â€Å"so, outrageous in its defiance of logic or accepted moral standards, that no sensible person, whether applied his mind to the question that have arrived at it.† (Associated Provincial 1948)This ground for judicial review is somewhat different than the other two in that it looks at the substance of the decision, but will only allow for judicial review where the decision is outrageous and again, not simply because one of the parties disagree (Barnett 2010). Secondly, also under the umbrella issue of irrationality is that of proportionality meaning that the public body needs to make proportional decisions in order to achieve the underlying aim of the powers given to the public authority. For example it may be seen as disproportionate to prevent a particular protest march from taking place where it would have been possible to protect public safety by simply choosing an alternative route. Proportionality is seen as being particularly relevant when it comes to the European convention on human rights is also an issue that is dealt with when looking at decisions relating to the application of the European convention on human rights under UK law. Fundamentally therefore, where the public body has acted in a way that is disproportionate this could be used as an example of irrationality and therefore offer an opportunity for judicial review (Daly, 2001). Finally there is the category of procedural impropriety which deals with an allegation that the public body has not used the processes and procedures required in order to make the decisions that it has made (Oliver 1987). A distinction is drawn between a procedural requirement which is perceived as being mandatory and a simple direction with any breach of a mandatory requirement allowing for judicial review on the grounds procedurally proprietary. There are also rules associated with natural justice, which are linked to procedural requirements and where it has been a breach of natural justice it is likely that judicial review of the procedurally proprietary will be allowed (Lloyd, 1987). For example, there are specific rules of natural justice, which ensured that no bias is shown and that each individual has the right to a fair hearing. An individual will have a legitimate expectation of how their case should be dealt with and a failure to offer the opportunity to have a fair hearing could result in procedural impropriety (Nottinghamshire CC 1986). Unlike other countries there is not a general requirement under English administrative law to give reasons for decisions however it may be required by statute to provide reasons and this would then prevail. Rules relating to legitimate expectation are also likely to be relevant as it is only reasonable that individuals form expectations on how their own situation will be treated and failure to comply with this can result in procedural impropriety (Fairmount 1976). Once an action for judicial review is successful, there are several different remedies which may be available, including a declaration of incompatibility as well as options for the court to nullify the decision made by the public authority by the requirement for the relevant authority to revisit their decision and to comply with the public authority duties that are relevant (Liverpool Corporation 1972). Bearing in mind the various different issues associated with judicial review the position in relation to the four possible claims for judicial review will be looked at in turn. Alpha Ltd (A) Two decisions have been made that A is confused by. These issues are firstly, the refusal to offer a grant for the recycling expansion due to environmental concerns and secondly, the requirement to cease trading due to the lack of licence. A stores no more than 1000 tyres at a time and these are shredded within 12 months. Schedule 1 (B) states that a licence is not required where the tyres are stored for less than 12 months and there are less than 1000 stored at any point in time. Based on this interpretation it would seem irrational that the Secretary of State for the Environment failed to allow the exemption to apply and this would result in a declaration being made and the position having to be re-considered. By contrast it is simply stated that a recycling grant would require the applicant to show that the waste to be recycled will not be harmful to the environment. It is argued here that the belief by the Secretary of State that the chosen recycling approach by A would be harmful and as such it would be appropriate to refuse the grant and could not be deemed to be irrational or disproportionate as it would seem reasonable to disallow a grant that would potentially support some form of non environmentally friendly approach. Beta Ltd (B) An application for a licence has been rejected by the Secretary of State by B as it is using technologies that are seen to be safe and have been proved as such in Germany but has not gained approval in the UK as is required under the statutory provisions. This presents a reasonably difficult position when it comes to judicial review as it could be argued that the Secretary of State has followed the requirements under the statutory provision yet has potentially acted in a disproportionate manner and has failed to take into account the tests that have taken place in Germany. Despite the potential argument of irrationality that B could put forward, it is suggested on balance that the Secretary of State has followed the processes contained within the statutory provisions and therefore it is unlikely that judicial review will be successful in this situation. Gamma Ltd (G) G has also been refused a licence despite having a strong environmental record. G was initially afforded a licence automatically however this was reneged and G was told to apply for a licence which was ultimately refused due to the previous investigations relating to the theft of tyres, this was not an environmental issue. It is also suggested that bias is being shown as the decision maker was involved in the original investigation. Bearing both of these points in mind it is suggested that the judicial review would be successful on the grounds of procedural improprietary on the grounds of bias as well as illegality as the rules contained within the statutory provision have not been applied appropriately with the relevant investigations needing to be environmental in nature if a licence is to be rejected. Tyred Out (T) T is a special interest group looking at environmental issues associated with the disposal of tyres and is arguing that Delta (D) should not be granted a licence due to a poor environmental record. Firstly it is concluded based on the concepts of material interest that T is able to bring an action for judicial review as it has sufficient interest. Secondly it has been put forward by the Secretary of State that a licence was granted based on the devastating potential on the employment in the area despite poor environmental records. It would be necessary to look therefore whether the decision was rational and proportionate, something which it is suggested based on the facts here that the decision was indeed appropriate and could not be deemed irrational. Discretion is given to the Secretary of State and this discretion has seemingly been applied appropriately making it unlikely that judicial review will be successful. Conclusions By looking at the specific rules and applying this to the four scenarios presented, it could be seen that there are mixed results with judicial review being likely to be successful in the case of Gamma Ltd and partly in relation to Alpha Ltd but would be unsuccessful in the other areas. References Anisminic Ltd v.Foreign Compensation Commission [1969] 2 AC 147 Associated Provincial Picture Houses Ltd v. Wednesbury Corporation [1948] 1 KB 223) Attorney-General v. Fulham Corporation, ex relatione Yapp [1921] 1 Ch 440, Barnett, H (2010) Constitutional Administrative Law, Taylor Francis Bradley, A.W. and Ewing, K.D., (2003) Constitutional and Administrative Law, Pearson. Council of Civil Service Unions v. Minister for Civil Service [1985] AC 374 Fairmount Investments Ltd v. Secretary of State for the Environment [1976] 1 WLR 1255 IRC v. NFSESB [1982] AC 617. Lloyd v McMahon [1987] AC 625 Nottinghamshire CC v. Secretary of State for the Environment [1986] 1 AC 240 Oliver, D (1987)Is the Ultra Vires Rule the Basis of Judicial Review? [1987] P.L. 543 R(Daly) v Secretary of State for the Home Department [2001] 2 AC 532 R (on the application of Beer) v. Hampshire Farmers Market Ltd [2004] 1 WLR 233 R v. Gough [1993] AC 646 R v. Liverpool Corporation, ex parte Liverpool Taxis [1972] 3 WLR 224 Constitutional and Administrative Law Introduction Constitutional and Administrative Law IntroductionBibliographyRelated Introduction In British constitutional theory and practice there is a clear-cut distinction between law and convention.   Law derives from common law and statute, and is enforceable by the courts.   Convention derives from constitutional principle and practice and is not enforceable by the courts.   Law remains in force until changed by statute.   Convention may change with changing times.   Law, at least if statutory, is ascertainable in precise form.   Convention is often imprecise and may be nowhere formulated in categorical terms. (Professor H.W.R. Wade) Is this an accurate explanation of the distinctive nature of law and convention in relation to the British constitution? Professor H.W.R Wade produced a statement highlighting a clear-cut distinction between the nature of law and convention in relation to the British Constitution. Throughout this essay I shall critically asses the validity and accuracy of his explanation by taking an in depth look at key concepts, doctrines and comments to evaluate whether a distinction exists   between the nature of law and convention. Whilst Britain does not have a single codified document called ‘The Constitution’, it would be deceptive to assert that the constitution is unwritten. Indeed, Britain’s constitution has been cultivated from multiple key constitutional sources which make it possible to approach a description of the constitution. These sources can be found in the decisions of the courts in the form of dictum or in the interpretation of statute. With Britain being a member state of the European Union part of the constitution can emanate from EU Law, the Royal Prerogative, and a distinct part is found in historical arrangements and practices known as conventions. I shall be focusing primarily on the nature of law and conventions, in relation to the British constitution in order to assess whether a distinctions is visible between the two constitutional sources. Professor Wade asserts that â€Å"Law derives from common law and statute, and is enforceable by the courts. Convention derives from constitutional principle and practice is not enforceable by the courts†. Accordingly, it would be just to establish that from a precise detailed point of view, this statement can be seen to be contentious. This is primarily because Professor Wade highlights that the â€Å"Law derives from common law and statute† however what he seizes to base emphasis on is the mere fact that conventions set a key agenda in the crafting of statute and common law reasoning; in the words of Sir Ivor Jennings â€Å"conventions provide the flesh which clothes the dry bones of the law†[1] Thus, evidently the legal hierarchy of the British constitution is everywhere penetrated, transformed and inherently effected by an inevitable element of convention, and a failure to adhere to an important convention might lead Parliament to cast a disputed practice int o legislative form. An example of this is The Parliament Act 1911, which was enforced after the House of Lords exceeded conventional limits on its power, rejecting, in 1909, a finance bill (Lloyd George’s ‘People’s Budget’). This consequently undermines, to some extent, the clear-cut distinction Professor Wade respectively explains, in that, if conventions are so interconnected in the cultivation of   the natural form of law as mentioned above then a distinction cannot be clear-cut or even made, and this connection will always bind the natural law and conventions. Evidently the natural form of law is enforceable by the courts. Professor Wade makes a distinction here between the nature of law and convention by stating that â€Å"Law is enforceable by the courts.Convention is not enforceable by the courts† The issue here arises with regards to the validity of this statement. Are conventions indeed distinctly dissimilar to the nature of law in that they are not enforceable by the courts? Indeed, conventions are rules and are part of the constitutional order, interrelated and interwoven to some extent, however relatively distinguishable from the natural form of law as Professor Wade asserts. The key distinction is in the nature of the enforcement and of the sanction. As mentioned above the natural form of law is inherently enforced in the courts; however it could be debated as to whether conventions are fully applied in courts (discussed further below), conventions are most certainly non-legal but nonetheless binding rules of constitutional behaviour. A good example of this is the convention of ministerial responsibility. It is a convention which holds ministers wholly and individually responsible to Parliament. If a minister knowingly misleads parliament for example he or she will be expected to resign from office. If no resignation is forthcoming the minister would be acting unconstitutionally and NOT illegally. A court of law could not compel a resignation in this situation. Nonetheless, in the case of R. v Secretary of State for the Home Department Ex p. Hosenball[2] the court had relaxed the rules of natural justice â€Å"for the protection of the realm† in a case were the Secretary of State had considered information that Mr.Hosenball, while resident in the United Kingdom, had sought and obtained for publication information harmful to the security of the United Kingdom. This case proves that the courts were willing to shape up the natural form of the law and enforce a convention for public interest in order to ensure the security of the ‘realm’. A key point to address in this case was that the Secretary of State had not arguably acted fairly in that Mr.Hosenball was denied a fair trial. In today’s court this would infringe article 6 of the Human Rights Act 1998. Therefore, it would be fair to establish that in today’s courts the judiciary would have taken a different approach to tackling the aforementioned case. So is Professor Wade accurate in explaining that a distinction between the nature of law and convention exists on the basis that law is enforceable by the courts and convention is not? Certainly the above case contradicts to this to some extent; however a reluctance of the modern courts to enforce conventions has crafted this distinction, making Professor Wade’s distinction relatively accurate on this basis. However as highlighted by the convention of ministerial responsibility a distinction can be formed between a convention and the natural form of law on the basis that acting unconstitutionally differs from acting illegally as highlighted above. Professor Wade explains that a distinction exists between the nature of law and convention on the basis that â€Å"Law remains in force until changed by statute, and convention may change with changing times†. Accordingly Professor Wade is to some extent right in this distinction, in that we have seen numerous acts of parliament being superseded and changed by more modern statutes. Furthermore, it would be fair to establish that courts accept the validity of the acts of Parliament and have validated the concept of Parliamentary Sovereignty, and although the courts do not directly challenge legislation passed down by Parliament, a strong part of the constitution comprises of common law and not solely statute law, particularly in certain cases involving private law including tort and contract law. Thus to some extent it could be inaccurate and problematic to assert that â€Å"law remains in force until changed by statute†. Furthermore, Professor Wade, establishes that â€Å"conventions may change with changing times†. He is indeed relatively accurate in making this statement, as proven by the ‘Widdicombe Convention’ which was formally recorded to resolve any conventional ambiguities with regards to the media and publicity campaigns. This convention was effectively the result of the growing media and the influence it had on society. This convention inherently proves the accuracy of Professor Wade’s explanation that ‘conventions may change with times’. However the legitimacy of this distinction is inaccurate in a sense on the grounds that even the law may change with time, after all, this is why we have a parliament and a superior court system. With changes in society comes change in the law, this is the basic foundation of any competent legal system. Alas, this asserts that Professor Wade’s distinction is relatively inaccurate as both the natural form of la w and conventions change with time in order to sufficiently meet the ever changing needs of our society. Another distinction Professor Wade explains in his statement is that the â€Å"law, at least if statutory, is ascertainable in precise form, convention is often imprecise and may be nowhere formulated in categorical forms† To some extent it can be rather contentious to assert that statutory law is precise in its form. This is merely because a broad term may be used in a statute which can give rise to confusion and uncertainty, developments in society can make the words used in a statute out of date and they may no longer cover the current situation. An example of this is in Section 53, Coroners and Justice Act 2009 c. 25[3]. However the important distinction made here is the statement asserting that â€Å"conventions are often imprecise and may be nowhere formulated in categorical form†. A good authority which validly contradicts to this inaccurate distinction is the convention of ministerial responsibility which is included in the Ministerial Code, which is issued upon appointment to all ministers by the Prime Minister.   The convention clearly sets out the conventions and codes of practice as a minister. Thus, in conclusion after critically assessing Professor Wade’s explanation of the distinctive nature of law and convention in relation to the British constitution I have established that some of the distinctions he explains are more accurate than others. Initially the Parliament Act 1911 proved that failure to adhere to an important convention might lead Parliament to cast a disputed practice into legislative form which undermined Professor Wade’s explanation, and proves that convention can indeed constitute into law. Furthermore the case of R. v Secretary of State for the Home Department Ex p. Hosenball[4] proved that a convention could to some extent be enforceable in order to ensure the protection of the ‘realm’. I also established that Professor Wade was accurate in asserting that a â€Å"convention may change in time† as proven by the Widdicombe Convention, however his distinction could be seen as inaccurate as even the natural form of law can be changed in time to suit the needs of society. The convention of ministerial responsibility’s clarity contradicts Professor Wade’s distinction which stated that â€Å"that convention is imprecise in comparison to the precise form of law†. Therefore the aforementioned examples highlight that Professor Wade’s respective explanation although rightful in some aspects; the distinctions made can seem too broad and relatively inaccurate in some arspects in defining a convention and comparing it to the natural form of law. Bibliography Ward, R. (1997) Cases on Constitutional Administrative Law 4th edition, Pitman Publishing Horsey, K. (2009) Tort Law, Oxford University Press Leyland, P. (2007) The Constitution of the United Kingdom, Hart Publishing Turpin, C. (2007) British Government and the Constitution 6th edition, Cambridge University Press

Monday, November 4, 2019

Export marketing (US market) opportunity for UK based energy drink Assignment

Export marketing (US market) opportunity for UK based energy drink - Assignment Example This has resulted in the evolution of a new pattern of consumer behaviour from consumers of various new and emerging economies. It needs to be mentioned that in order to meet the growing amount of diverse needs of the customers, the setting up of global trade processes is very essential. It is of utmost importance that global trade is highly necessary as it helps in satisfying the needs of the customer while generating strategic benefits for the firms (Seyoum, 2000, p. 7) Discussing in details about the requirements of this project, it has to be brought into notice that the current focus is to develop an intensive evaluation for the opportunity related to exporting for a particular product. For this assignment, the product that is being selected is the UK based product Lucozade. While introducing the product Lucozade, it has to be mentioned that it is an energy drink, which promises to meet the varying calorie requirements of athletes, sports professional as well as fitness conscious individuals. The project focuses on identifying the opportunity related to attaining business growth by entering a new overseas market like the United States. So, the main motive of the project is to identify the export opportunity of Lucozade from the UK to the US. Justifying the choice of country It is important to mention that while selecting a market for exporting of products, the focus is on identifying the various prospects associated with it (Zou & et.al, 2009, p. 32). In the times of increased economic uncertainty as well as various other macroeconomic challenges in various corners of the world, it is highly interesting to mention that the market demand for energy drink products is growing various developed as well as developing markets. As of the recent times, the energy drinks is considered as a growing sub category of soft drinks in various global markets because of the increased focus of masses around the world to lead a healthy and fit life. It has been estimated that the global health drinks market is estimated to attain a growth rate of around 35% by the year 2016 (Russell, 2012). As per market based region specific forecasts, it has also been found that the markets of Asia, North America and West Europe are expected to grow the most (Business Wire, 2013). As per an OECD sponsored report dated in the year 2012, it has been found that the United States leads the world in regards to mass obesity (Obesity Update 2012, 2012, p. 2). Source: Obesity Update 2012, 2012, p. 2 It also has to be said that in the United States, the obesity has grown in the range of 4 to 5% on an annual basis (Huffington Post, 2012). Source: Chou & Kane, 2012 Data backed statistics also indicate that around 68% of the US population are possibly overweight or obese (Chou & Kane, 2012). However, it is of increased importance to highlight the fact that due to an increase in obesity numbers, there has been a growing consciousness amongst the masses around the world to stay fit and in shape (Johnson, 2012). Talking on this note, the fact of increased consciousness in regards to obesity in the US market also has to be taken into consideration. Records of previous sales reveal that the sales of the energy drinks are

Friday, November 1, 2019

Seminar Essay Example | Topics and Well Written Essays - 250 words

Seminar - Essay Example The project is an ideal catalyst for both my artistic and professional growth. The project will provide me with an opportunity to interact with customers and will therefore require me to act ethically and professionally. From such reactions, I will improve my professional expertise in the practice. Additionally, the cloud installations are artistic. Every real-life installation I make will improve my artistry. The practice is pivotal in my practice since it will provide me with an opportunity to start my career and position it strategically for growth. The success of the business amounts to my success. Creative capital offers artists a number of both monetary and non-monetary services and resources that can help in a number of ways. The professional development workshops for example can help enhance my development in the practice. Through the workshops, I will acquire appropriate professional skills that will enhance the development of the business. Additionally, Creative Capital offers both funding and counsel to great projects and business ideas. Both would help me overcome a number of operational challenges thereby ensuring that the business idea enjoys immense success for