Wednesday, October 30, 2019

Private Language in The Philosophy of Wittgenstein Essay

Private Language in The Philosophy of Wittgenstein - Essay Example In the Tractatus Wittgenstein argued that there is much deeper connection between words and the world than that the mere notion that words stand for things. Wittgenstein saw a structural similarity between language and the world, so that the structure of reality could actually be read off the structure of language. The notion of correspondence, with its attendant conception of meaning as static, was abandoned in the later philosophy. In the Preface to his Philosophical Investigations, Wittgenstein (1953) writes, "For since beginning to occupy myself with philosophy again, sixteen years ago, I have been forced to recognize grave mistakes in what I wrote in that first book" (p.vi). What Wittgenstein came to recognize was that it is ill conceived to think that words always have fixed meanings. Rather, meaning is dynamic in the sense that it can only be determined by the interpretation that language users give it as they use it. In section 43 of Investigations, he tells us, "For a large class of cases— though not for all—in which we employ the word meaning it can be defined thus: the meaning of a word is its use in the language." The idea of meaning as use is the principle idea advanced in the Investigations. Searle (1998) points out that whereas Wittgensteins earlier philosophy revolves around the metaphor of language as a picture, his later philosophy revolves around the metaphor of language as a tool. The difference between the two metaphors is crucial. When Wittgenstein said that words are like pictures, he was operating on the assumption that words, like pictures, represent. When Wittgenstein said that words are like tools, he was trying to stress that words, like tools, can be used in many different ways and for many different purposes. Wittgensteins contention that in most cases, the meaning of a word is its use suggests that the same word could mean different things at different times

Monday, October 28, 2019

Throughout Zora Neale Hurstons Their Eyes Were Watching God Essay Example for Free

Throughout Zora Neale Hurstons Their Eyes Were Watching God Essay Throughout Zora Neale Hurston’s Their Eyes Were Watching God, Hurston uses a number of different items as symbols to convey the significance of certain events that take place in Janie’s, the main characters, lifespan. In this novel, Janie’s life moves in stages. With each stage comes a different item of clothing that represents another relationship and reflects Janie’s inner self during that period in time. Using an apron, a head rag, a blue satin dress, and overalls, Hurston communicates how Janie grows and evolved as a person throughout her relationships with Logan Killicks, Jody Starks, and most importantly, Tea Cake. In the beginning of the novel, Janie’s marries a man by the name of Logan Killicks, a very successful farmer. During their relationship, Janie wears an apron. The apron shows that Janie is a housewife, merely taking orders and doing what she is told to do. During the course of their marriage, Janie came to realize that she â€Å"knew now that marriage did not make love† (25). Janie does not love Logan. She married him for Nanny, her grandmother, and never was able to develop the love for him, as she desired. At this point, Janie begins seeing Jody Starks, and eventually leaves Logan. Upon leaving, she â€Å"feels the apron tied around her waist. She untied it and flung it on a low bush beside one road and walked on† (32) as if release of being a housewife and allowing herself to move on; no strings attached. In Jane’s second marriage with Jody, Janie is forced to wear a head rag by Jody. This hides Janie’s hair. Janie’s hair is very different from other women in her community. Her hair is straight, like white women, as opposed to curly. Her hair is a symbol of her uniqueness and independence. By forcing Janie to cover her hair and wear the head rag, Jody extinguishes Janie’s independence. Jody controls Janie, insults her, and destroys her self-esteem. She conforms to his wants and demands, not even fighting back when he hits her. The head rag represents Jody’s dominance over Janie in their relationship. Ultimately, this proves that their relationship in not based on true love, and this ends in a failed relationship. After Jody dies, Janie’s meets Tea Cake, who buys her a blue satin dress. This dress is worn at their wedding and is of high significance despite the small amount of time it is worn by Janie. It is a symbol of a new start with Tea Cake. In addition, it has only been nine months since Jody’s death. At one point. Janie says to Pheoby: Ah ain’t grievin’ so why do Ah hafta mourn? Tea Cake love me in blue, so Ah wears it. Jody ain’t never in his life picked out no color for me. De world picked out black and white for mournin’, Joe didn’t. So Ah wasn’t wearin’ it for him. Ah was wearin’ it for de rest of y’all (113). This shows that Janie is sad about his death since she is not mourning, as the community believes she should do. Janie did not truly love Jody, however, she does love Tea Cake greatly and is â€Å"always in blue because Tea Cake told her to wear it†(110). Later in their marriage, Janie switched her attire to overalls. These overalls are nothing fancy and are worn for her work in the fields with Tea Cake. For this reason, they are proven to be a symbol of equality and true love. Neither Tea Cake nor Janie are of higher stature than one another as the men were in Janie’s past relationships. â€Å"What if Eatonville could see her in now in her blue denim overalls and heavy shoes?† (134) is a thought that Janie simply laughs at. Janie’s love is proven in her ability to become Tea Cake’s equal despite what the people of the town say about how he is poor. Janie continues to wear the overalls after Tea Cakes death, when she returns to Eatonville. She doesn’t dress up to mourn. Janie â€Å"went on in her overalls. She was too busy feeling grief to dress like grief† (189). This further proves Janie’s feelings for Tea Cake more than anything. With Jody, Janie mourned his death and didn’t care for him, showing that mourning doesn’t mean she was sad. In this situation, Janie does not follow what is considered the right thing to do. She knows how sad she feels about Tea Cake and that is the only thing that matters to her at this point in time. The use of clothing as symbols is a dominant element of Hurston’s writing in Their Eyes Were Watching God. It successfully conveys Janie’s emotions and thoughts throughout her life. The symbolism of clothing shows how she evolved from following what is considered â€Å"right† and becoming what she wants; someone who experienced true love. Janie wore an apron for Nanny’s dream, a head rag to satisfy Jody’s need for dominance, and a blue satin dress and overalls for true love and equality with Tea Cake. Works Cited Hurston, Zora Neale. Their Eyes Were Watching God: A Novel. New York: Perennial Library, 1990. Print.

Saturday, October 26, 2019

F. Scott Fitzgerald: Living the American Dream Essay -- American Dream

F. Scott Fitzgerald is one of America’s most famous authors whose works were greatly influenced by his life and his economic crises. Fitzgerald was born on September 24, 1896, in St. Paul, Minnesota. He was named after his second cousin three times removed on his fathers side: Francis Scott Key, the man who wrote the â€Å"Star- Spangled Banner†. (Bio.com) Mary â€Å"Mollie† McQuillan, Fitzgerald’s mother, was an Irish immigrant with a large inheritance. Then, his father was Edward Fitzgerald, who was a failed wicker, but later was a salesman for Procter and Gamble. (Shmoop Editorial Team) Due to his father’s failure they moved back and forth, for the first decade of his life, between Buffalo and Syracuse in upstate N.Y. His dad lost his job as a salesman when F. Scott Fitzgerald was 12 and they moved back to St. Paul living on the mothers inheritance. When F. Scott Fitzgerald was 13 when he published his first piece of writing for his school’s newspaper in 1909.(Bio.com) After Fitzgerald’s formal education he went on to Princeton University, where he wrote for Princeton Tiger and the Triangle Club.(Shmoop Editorial Team) But, he was put on academic probation for his bad grades, so he dropped out and joined the army.(Bio.com) And even in the army Fitzgerald wrote, he began a novel titled The Romantic Egoist in 1917. Unfortunately, when he sent it to his editor/publisher, Scribners, it was rejected, but Scribners encouraged him to revise it. Then, in 1918 he meets his future wife, Zelda Sayre, in Alabama while he was commissioned there.(Shmoop Editorial Team) This new beauty Fitzgerald found in Alabama is an artist, dancer, and also a writer. Although Zelda liked Fitzgerald she broke off their engagement, a year after they me... ...24 Feb. 2014. . "F. Scott Fitzgerald Biography." Bio.com. A&E Networks Television, n.d. Web. 22 Feb. 2014. . "F. Scott Fitzgerald." PBS. PBS, Mar. 2007. Web. 23 Feb. 2014. "F. Scott Fitzgerald Quotes." BrainyQuote. Xplore, n.d. Web. 24 Feb. 2014. . "The Great Gatsby: Reviews and Ratings." IMDb. IMDb.com, 10 May 2013. Web. 24 Feb. 2014. . Shmoop Editorial Team. "F. Scott Fitzgerald Timeline of Important Dates." Shmoop.com. Shmoop University, Inc., 11 Nov. 2008. Web. 23 Feb. 2014. .

Thursday, October 24, 2019

Alcohol Use during Pregnancy Linked to Hyperactivity in Children

Most women understand that drinking alcohol during pregnancy can cause physical and mental birth defects. Multiple studies indicate women who drink three or more glasses of alcohol at any one occasion in early pregnancy increase the child’s risk of developing alcohol disorders by 21 years of age (JAMA and Archives Journal, 2006; British Medical Journal, 2005) and is also linked to higher incidents of hyperactivity I children (British Medical Journal, 2005).Conversely, the National Institute of Alcohol Abuse and Alcoholism (NIAAA) reveals that â€Å"data on the relationship between FAS and hyperactivity are inconsistent† (Jacobson & Jacobson, 2003).Studies conducted by the NIAAA, indicate hyperactivity of clinic–referred patients â€Å"may have been caused by social and environmental factors, such as co–occurring attachment disorders, anxiety, and post–traumatic stress disorder† (2003, Hyperactivity and Attention, para 3).Fetal Alcohol Syndrom e (FAS) was first identified in 1973 has reached new levels in terms of research and relevance to other birth defects (Locke-Wellman et al, 2000), including the hypothesis that â€Å"alcohol consumption in doses not generally associated with alcohol problems can produce a variety of neurocognitive deficits in the absence of effects on growth and morphology† and â€Å"appear to have a continuum of neurobehavioral morphological and developmental effects† (e.g. hyperactivity), (Locke-Wellman et al.,2000,p. 661).Understanding HyperactivityThe National Institute of Neurological Disorders and Stroke (NINDS) defines hyperactivity –as applies to this report- as Attention deficit-hyperactivity disorder (ADHD), which is a neurobehavioral disorder affecting 3-5 percent of all American children (Attention Deficit-Hyperactivity Disorder Association, 2007). ADHD interferes with an individual’s ability to focus (stay on a task) and to exercise age-appropriate inhibition (cognitive alone or both cognitive and behavioral) (NINDS, 2007).Warning signs include what may appear as ignoring verbal instructions, lack of organization (personal and school work), fidgetiness, excessive talking, inability to finish chores and homework, and problems paying attention to and responding to details (NINDS, 2007;Attention Deficit Disorder Association, n.d.). While hyperactivity at any level is most common in the younger years up to the early teens, there are many whose condition continued into the adult years (Ibid).Research Supports Alcohol’s Link to HyperactivityMore than 20 years ago, studies first revealed alcohol use during pregnancy as a valid link to hyperactivity. In effect, children who were administered the Schedule for Affective Disorders and Schizophrenia for School-Aged Children (KSADS) who showed signs of hyperactivity were born to mothers who admit to drinking during pregnancy (Coles et al., 1997; Chambers et al., 1985).In 1989, Archer et al. i ndicated a need to study specific factors (e.g. dietary sensitivities and fetal alcohol damage) that may be important for subgroups of hyperactive children. However, the authors add that this findings are â€Å"unlikely to account for the syndrome as a whole† (Archer et al.,1989, p. 18).When covering substance use and abuse, Archer et al. (1986, 1989) reported on an earlier study by Weiss et al (1979), explaining that follow-up findings on substance use and abuse (both alcohol and other compounds) have not been consistent, of which Jacobson’s theory (2003) supports citing that potential reasons for these inconsistencies includes differences in geographic study locations, the birth years of subjects, attrition rates, data collection procedures, definitions of use and abuse, and varying degrees of co-morbidity (e.g., ADHD symptoms and conduct problems) across studies (Archer et al, 1986, 1989).Conduct problems in the early adolescence of hyperactive children have been co nsistent in most studies, of which Weiss et al (1979) reported that â€Å"at [the] follow-up mean age 13 years, 25 percent of formerly hyperactive subjects showed a history of antisocial behavior, 16 percent were referred to juvenile court, and 3 percent (2 of 64 subjects) were placed in a reform school†¦teachers reported that hyperactives exhibited more conduct problems than controls† (p. 1350).Ackerman et al (1986) acknowledges the findings of Weiss et al. (1979) citing that when comparing hyperactive, hypoactive, and normoactive learning-disabled boys and controls in a 4-year follow-up (mean age 14 years) the results indicated a three to sixteen fold increase in comparatively serious behavioral problems (e.g. breaking and entering, aggressive acts in school, and serious incorrigibility) in the hyperactive group (Ackerman et al., 1986; Weiss et al, 1986).However, all studies reveal that the outcome in late adolescence and young adulthood is less clear.

Wednesday, October 23, 2019

American Political System

The American political system is presidential type of system where the president is the head of state and head of government. There is the state government and the federal government; these two shares the sovereignty with the Supreme Court balancing their powers. The American system also has the two-party legislative and electoral system. The American political system is made up of three main branches which are the executive, the legislature and the judiciary. The executive branch is headed by the president and is independent of the legislature.The president is the commander in chief of the armed forces and exercise overall authority in the management of national affairs of the United States. The ideology of the incumbent President and the President's advisers largely determines the government's attitude in foreign affairs. The legislative power is vested in the two chambers of congress which is the senate and the House of Representatives while the judiciary comprises of the Supreme Court and the lower federal courts. The function of the judiciary is to interpret the United States Constitution and the federal laws and regulations.These include resolving disputes between the executive branch and the legislative branch. The American political system has always been dominated by two political parties, the Democratic Party and the Republican Party since the time of the American civil war. Other parties have existed but they have not been as dominant as these two. It is a usual view that the American political system is weak and disjointed. It is also a usual opinion that this was by deliberate design for the American founding fathers believed in limited government, and designed a system to ensure it.In a number of ways, it is certainly true that the American system is fragmented, if not necessarily weak. Many governmental functions that are performed by the national government as a matter of course in most countries are in the United States relegated to the states. In turn the states pass many of these functions on to local government. The standard form of identification carried by most people is a state driver's license, not a national identification card. Local police perform most law enforcement. They are not directly answerable, in a day-to-day administrative sense, to the national government or even the state government.Local government officials register marriages, property transactions, and much of the other fundamental administration of society. Basically the political system is made up of the federal government the state government and the local government; these include the state, the local, the county, and the town and village governments. (Bruce, 1997) Federal, state and local governments The federal entity created by the Constitution is the dominant feature of the American governmental system. Every person outside the capital is subject to at least three governing bodies: the federal government, a state and units of local governm ent.The local government includes counties, municipalities, and special districts. The federal government was created by the states, which as colonies were established separately and governed themselves independently of the others. Units of local government were created by the colonies to efficiently carry out various state functions. As the country expanded, it admitted new states modeled on the existing ones. State government States governments have the power to make law on all subjects that are not granted to the national government or denied to the states in the U.S. Constitution. These include education, family law, contract law, and most crimes. Unlike the national government, which only has those powers granted to it in the Constitution, a state government has intrinsic powers allowing it to act unless limited by a provision of the state or national constitution. Like the national government, state governments have three branches: executive, legislative, and judicial. The chi ef executive of a state is its popularly elected governor, who holds office for a four-year term (although in a few states the term is two years).Apart from for Nebraska, which has one-chamber legislature (known as a unicameral legislature), all states have a bicameral legislature, with the upper house usually called the Senate and the lower house called the House of Representatives, the House of Delegates or Assembly. In most states, senators serve four-year terms, and members of the lower house serve two-year terms. The constitutions of the various states differ in some details but generally follow a pattern similar to that of the federal Constitution, including a statement of the rights of the people and a plan for organizing the government.State constitutions are generally more detailed. (Bruce, 1997) Local government There are 87,000 local governments, including 3,034 counties, 19,498 municipalities, 16,500 townships, 13,500 school districts, and 35,000 other special districts which deal with issues like fire protection. To a greater extent than on the federal or state level, the local governments directly serve the needs of the people, providing everything from police and fire protection to sanitary codes, health regulations, education, public transportation, and housing. Nearly 30% of the people live in cities of 100,000 or more population.City governments are chartered by states, and their charters feature the objectives and powers of the municipal government. For most big cities, cooperation with both state and federal organizations is essential to meeting the needs of their residents. Types of city governments vary widely across the nation. However, almost all have some kind of central council, elected by the voters, and an executive officer, assisted by various departmental heads, to manage the city's affairs. There are three general types of city government: the mayor-council, the commission, and the council-manager.These are the pure forms; most c ities have developed a combination of two or three of them. (Bruce, 1997) Mayor- Council. This is the oldest form of city government in the United States and, until the beginning of the 20th century, was used by nearly all American cities. Its structure is similar to that of the state and national governments, with an elected mayor as chief of the executive branch and an elected council that represents the various neighborhoods forming the legislative branch. The mayor appoints heads of city departments and other officials with the approval of the council.He or she has the power of veto over the laws of the city and regularly is in charge of preparing the city's budget. The council passes city by laws that sets the tax rate on property, and apportions money among the various city departments for various developments that have been ratified by the council. Cities have grown and council seats have more often than not come to represent more than a single neighborhood. The Commission: T his combines both the legislative and executive functions in one group of officials, usually three and more in number, elected all around the city. Each official supervises the work of one or more city departments.One of the officials is named chairperson of the body and is often called the mayor, although his or her power is equivalent to that of the other commissioners. Council- Manager: The city manager is an answer to the increasing difficulty of metropolitan problems, which require management expertise not often possessed by elected public officials. The answer has been to entrust most of the executive powers, including law enforcement and provision of services, to a highly trained and experienced professional city manager. The person usually holding this office is a government employee sent to the council or city by the federal government.The city manager plan has been adopted by a large number of cities. Under this plan, a small, elected council makes the city laws and regula tions and sets policy, but hires a paid administrator, also called a city manager, to carry out its decisions. The manager draws up the city budget and supervises most of the departments. Usually, there is no set term; the manager serves as long as the council is satisfied with his or her work(Bruce, 1997) County government The county is a subdivision of the state, sometimes containing two or more townships and several villages.New York City is so large that it is divided into five separate sections, each a county in its own right In most U. S. counties, one town or city is designated as the county seat, and this is where the government offices are situated and where the board of commissioners or supervisors meets. The board collects taxes for state and local governments; borrows and appropriates money; fixes the salaries of county employees; supervises elections; builds and maintains highways and bridges; and administers national, state, and county welfare programs Town and village governmentThousands of municipal jurisdictions are too small to qualify as city governments. These are chartered as towns and villages and deal with such strictly local needs as paving and lighting the streets; ensuring a water supply; providing police and fire protection; waste management; and, in cooperation with the state and county, directly administering the local school system. The government is usually entrusted to an elected board or council, which may be known by a variety of names: town or village council, board of supervisors, board of commissioners.The board may have a chairperson or president who functions as chief executive officer, or there may be an elected mayor. Governmental employees may include a clerk, treasurer, police and fire officers, and health and welfare officers. One distinctive characteristic of local government is the town meeting. Once a year the registered voters of a town meet in open session to elect officers, debate local issues, and pass laws fo r operating the government. As a body, they decide on road construction and repair, construction of public buildings and facilities, tax rates, and the town budget.The town meeting, which has existed for more than three centuries in some places, is often cited as the purest form of direct democracy. (Bruce, 1997) Voting in America is by adult Suffrage which is nearly universal for citizens who are18 years of age and older. All 50 states, as well as the District of Columbia, contribute to the electoral vote for President. However, the District, and other U. S. holdings like Guam do not have states' representation in Congress. They do not have the right to choose any political representative outside their respective areas.Each commonwealth, territory, or district can only elect a non-voting delegate to serve in the House of Representatives. Voting rights are sometimes restricted as a result of felony conviction, but such laws vary widely by state. Election of the president is an indir ect suffrage: Voters vote for electors to vote for President. The voters who elect a president are usually called the Electoral College. A candidate may have the majority of votes but looses in the Electoral College, this candidate is deemed to have lost the elections to the candidate who wins more votes in the Electoral College.Finance In order to participate in winning elections, especially in Federal elections it requires large amounts of money. The money is usually used for television advertising. This money is always very hard to raise. Candidates raise their money by appealing to a mass base. Both the two major parties normally depend on wealthy donors and organizations. Traditionally the Democrats depend on contributions from organized labor while the Republicans rely on business donations. Democrats' business donations have surpassed those from labor organizations.This dependency on donors is contentious, and has led to laws limiting spending on political campaigns being ena cted. Opponents of campaign finance laws challenge campaign finance laws on the grounds that they attempt to evade the people's constitutionally-guaranteed rights. Even when laws are upheld, the complication of compliance with these laws requires careful and cautious drafting of legislation, leading to laws that are still fairly limited in scope. (Bruce, 1997) Voting There is the primary election.This is an election in which voters in a jurisdiction select candidates for an ensuing election. Primary elections are one means by which a political party nominates candidates for the following general election. â€Å"Primaries† are widespread in the United States where their beginning is traced to the progressive movement. The primary elections are conducted by the government on behalf of the parties. Elsewhere in the world, the nomination of candidates is usually the responsibility of the political party organizations themselves and does not involve the general public.Besides prim aries, other ways that parties may choose candidates include caucuses; conventions and nomination meetings. There are several types of primaries. These include the open, semi open, closed semi closed. There is also the blanket type. In the closed type voters vote in a party's primary only if they are registered members of that party. Independents cannot participate. In Semi-closed, as in closed primaries, registered party members can vote only in their own party's primary. Semi-closed systems, however, allow unaffiliated voters to participate as well.Depending on the state, independents either make their choice of party primary privately, inside the voting booth, or publicly, by registering with any party on Election Day. In an open style a registered voter may vote in any party primary regardless of his own party affiliation. When voters do not register with a party before the primary, it is called a pick-a-party primary because the voter can select which party's primary he or she wishes to vote in on Election Day. Because of the open nature of this system, a practice known as â€Å"raiding† may occur.â€Å"Raiding† consists of voters of one party crossing over and voting in the primary of another party, effectively allowing a party to help choose its opposition's candidate. The theory is that opposing party members vote for the weakest candidate of the opposite party in order to give their own party the advantage in the general election. In a Semi-open style each voter may vote in any single primary, but must publicly declare which primary she will vote in before entering the voting booth. Typically this declaration is accomplished by requesting a ballot.In many states with semi-open primaries, election officials record each voter's choice of party and provide the parties access to this information. In the blanket type the voters are allowed to vote for one candidate per office, regardless of party affiliation. The current Presidential primary election schedule is that it gives undue weight to the few states with early primaries, as those states often build momentum for leading candidates and rule out trailing candidates long before the rest of the country has even had a chance to weigh in, leaving the last states with virtually no actual input on the process.The counterargument to this criticism, however, is that, by subjecting candidates to the scrutiny of a few early states, the parties can â€Å"weed out† candidates who are unfit for office. (Bruce, 1997) Reference Bruce, E. J. (1997): Native American Political Systems and the Evolution of Democracy: Greenwood Press; Westport,

Tuesday, October 22, 2019

Cathy William essays

Cathy William essays In preparation for a research paper on Cathy Williams the first female Buffalo Soldier, a book was from the library; Cathy Williams from Slave Girl to Female Buffalo Soldier by Phillip Thomas Tucker. Articles about Cathy were read and printed out from the internet. The book, Cathy Williams from Slave Girl to Female Buffalo Soldier, was very insightful, and a lot of information was obtained. The articles helped to fill in some of the gaps in Cathys life that the book left out. For instance, the book gave the month but not actual dates that Cathy was sent to duty stations or infirmaries. That information was obtained from the articles found online. Cathy Williams First Female Buffalo Soldier Cathy Williams was born into slavery in September of 1844. Her mother was Martha Williams. Her father is unknown, although he could have been a freedman. Marriage between her parents would have been illegal, if this were the case because of their different social statuses. She was born in or around Independence, Missouri, on a plantation owned by William Johnson. Mr. Johnson, his family, and servants, including Cathy, would move to Jefferson City, Missouri, around 1850. This is where she would grow up. Cathy was considered a house girl. As a household servant, she was in the highest status in slave society. Some of her chores could have been; to set tables, draw bath water, cooking, cleaning, and assisting Mrs. Johnson. Mr. Johnson died just before the start of the Civil War. She stayed with his family even after his death. Rebel soldiers would take over Jefferson City, only to be defeated by the Union soldiers. The Union soldiers then freed the slaves of Jefferson City, including Cathy. The 8th Indiana Regiment would take Cathy and other freed slaves as "contraband." On August 6, 1861, fugitive slaves were declared to be contraband of war if their labor had b...

Monday, October 21, 2019

Union vs. Nation essays

Union vs. Nation essays There are many controveries inbetween weter or not the united states was was to be considerd a nation or a union. the whole union nation debate came into play during the time right befor the civil war the noth and south were having problems on agreeing with everything so eventualy the south decided to sessede from the union. Which the noth found to be unconstitutional and illigale. the southenres were outraged at the alligatoins coming from the noth and still felt they had every right to leave the union. The northerners were still very upset over the whole thing and were astoished that the south would illigaly leave the union. Which i find funny considering during the revolutionary war it was illigale for them to do exactly what the south is doing. The shouth stood by there deffence that the departure from the union was NOT illigale considering that there were no laws prohibiting them form leaving. Because they belived themsevels to be a UNION nothing more they felt that it was not there obligation to take part in the norths and Abrahm Lincons dreams for an American exceptionalism nation. As where the noth felt they clearly stated that that was the goal from the begining of tier forfathers and the documents they wrote such as the Articels of Confederation and the constitution. Thats what i fell was the whole problem with this debate. The erly government documents were too vauge and gave soo much power to the states which is why i fell, while the union should have stuck it out and stived for the greatness the northeners were thinking about, also had no comitment at all to the othe states in the union. I fell that if the articales of confederation would have more clearly stresed nation insted of union as it dose then the norths point would hold some granger but seeing that allt it talks about is union this state that the south souldnt have been ridiculed and charged with braking a law Another document that states nothing about ...

Sunday, October 20, 2019

The Essay Experts Ressaylutions for 2017

The Essay Experts Ressaylutions for 2017 I’ve been encountering a lot of articles lately advising me on the dangers of New Year’s resolutions. Indeed, it has been proven that such resolutions almost always fail, usually because they are overambitious and unreasonable, aiming to chomp off too big a bite at once. For instance, we might say we’re going to start meditating for 30 minutes every day when we haven’t been meditating at all. Or we don’t create the right environment to support the change. We think we can stop checking Facebook messages at night while still sleeping with our phone in our room. Guess what: Real change takes a realistic, one-step-at-a-time mindset and a commitment to actually change something. If you want to stop eating chocolate, it will help not to buy it when it’s on sale at the grocery store. Even better, don’t walk by that section of the store. My trick for getting my new year’s resolutions accomplished is to announce them to the world, and get regular coaching to keep me accountable. I still don’t get all of them done. But I insist that I get more done than if I hadn’t made the resolutions at all. Here’s how 2016 panned out, and what’s ahead for next year. 2016 Ressaylutions Update 1. Infuse my WHY statement throughout The Essay Expert’s website. Success! This one turned into a complete redesign of my site, which is complete. I’ve put my WHY statement on my new homepage, theessayexpert.com, and on our new Why The Essay Expert page. I added more â€Å"why† focused descriptions to my Executive Resume LinkedIn Success Package, Mid-Level Resume LinkedIn Success Package, and Entry-Level Resume LinkedIn Success Package pages too. Every time I write new copy for my website or for a marketing message, I now look for ways to infuse the communication with my WHY. 2. Provide better information on services on my site.†¨ Success! I’ve written better descriptions of my services on my website and am putting the finishing touches on my new â€Å"a la carte† web pages. 3. Serve 250 clients. I refocused instead of expanded, serving fewer clients, almost exclusively at an executive level. 4. Publish 2 new editions of How to Write a KILLER LinkedIn Profile.†¨ One down! I released the 12th edition and prepared the 13th, but chose not to publish it because LinkedIn is about to implement sweeping changes that will make the current version obsolete within weeks. 5. Get How to Write a KILLER LinkedIn Profile in front of colleges and universities. I got the book into many college bookstores, and Barnes Noble agreed to carry 15 copies in its stores. I will be doing a book event at the Barnes Noble in Madison on January 19th! 6. Increase college essay / personal statement portion of my business to 25% of business.†¨ Instead of focusing here, I’ve put efforts into building my executive resume writing business. I continue to bring in college and MBA admissions projects by word of mouth. 7. Find an editor to do some of the editing of resumes and LinkedIn profiles that I’m currently doing. Fail. I interviewed some potential editors and so far haven’t found the right match. I am also seeking someone to help with sales calls and client inquiries. If you know someone you think would be a great resume editor or sales person, please send them my way! What The Essay Expert Is Up to for 2017 1. Launch Writely, a Client Management Portal. The Essay Expert has been using Infusionsoft to send automated emails to clients, and we’ve run into its limitations. Writely will provide a better platform for both clients and the writers at The Essay Expert. All communications and documents will be accessible through a secure portal – something I’ve wanted for years! 2. Find that editor. See #7 above. As long as I am the only editor at The Essay Expert, we are limited as to the number of clients we can serve. I want that to change. 3. Publish a trade edition of How to Write a WINNING Resume. I’m in the final stages of negotiating a contract with Skyhorse Publishing to create a trade edition of my book on resume writing. 4. Publish the 14th edition of How to Write a KILLER LinkedIn Profile, updated with the new face of LinkedIn. I will do this as soon as LinkedIn rolls out its new features (and takes away some too). The question is whether I will release another print edition or just an e-book. If you have an opinion, please weigh in! 5. Write a marketing plan – including SEO enhancements. I have been relying on just a couple of sources for new clients and I need to diversify. I will work with my business coach to write a real marketing plan that I can stick to and build business. I already know that part of the plan will involve SEO so that my Google results improve. I have hired someone to work with me on this project starting next week. 6. Explore the possibility of moving to the East Coast. I’ve been in the Midwest for eight years and I’m feeling like it’s time for a change. As The Essay Expert focuses more on Executive projects, I think a move east could be a good business decision, as well as a positive personal one. Stay tuned! Have you made resolutions for 2017? How are they going so far? Are they realistic or might you want to adjust them so you can succeed? Please share – putting your promise and progress out to someone else creates accountability and makes it more likely that you will stay on track. Here’s to a year of accomplishment and follow-through! Save Save Save Save Save Save

Saturday, October 19, 2019

Understanding & Analyzing Competing Values Framework Assignment

Understanding & Analyzing Competing Values Framework - Assignment Example Through these processes, the organization eventually achieves stability and control. Open Systems Model (OSM) emphasizes adaptability, growth, organic system, resources acquisition, and external support. The Rational Goal Model (RGM) emphasizes rational action with the major aspect being the realization of profit. The primary assumption of this quadrant is that planning as well as goal setting lead to outcomes namely efficiency and productivity. Human Relations Model (HRM) is founded on morale and cohesion with special emphasis on capacity building and human resource management (Cameron & Spreitzer 2012). Members of an organization act as cooperating members and not alienated individuals of a common social system. The Research/Study The efficiency and value of the models that help in understanding the structure is the primary goal of the research. The study further attempts to scrutinize and evaluate how various structures of the organization operate towards accomplishing the set obj ectives in the short term and long-term basis. Apparently, every business enterprise has distinct rationale and composition that helps in tackling fundamental challenges that have considerable chance to hamper the efforts and goals already set out by the management and employees (Cameron & Quinn 2011). The essential facet of the study was to establish suitable ways of inventing the framework. This would help in making the rationale become more effective notwithstanding other invisible challenges or factors. Understanding the task of the framework has become even much easier following discovery of two vital dimensions of efficiency in an organizational framework. The potential dangers and disapproval because of the contemporary criteria was another... This essay stresses that the efficiency and value of the models that help in understanding the structure is the primary goal of the research. The study further attempts to scrutinize and evaluate how various structures of the organization operate towards accomplishing the set objectives in the short term and long-term basis. Apparently, every business enterprise has distinct rationale and composition that helps in tackling fundamental challenges that have considerable chance to hamper the efforts and goals already set out by the management and employees. This paper makes a conclusion that The co-worker perceives me as someone who works productively, facilitates a more constructive working environment, manages stress and time, and develop and communicate vision. The co-worker has further developed firm conviction that I can set vital goals and objectives; prove to be instrumental in design and organization, project management, designing work, managing across functions, and controlling information overload, process and deliberate on management with critical thinking. Other skills include developing employees, effectual communication, understanding and appreciating people around as well as my efforts, conflict management, and team building. These self-assessment instruments have considerable influence on my capacity to improve personal output as well as efforts to integrate fresh ideas into the organization. Finally, the instruments would facilitate the process of building positive relationships with co-workers and the management notwit hstanding the realism about multiplicity of roles.

Friday, October 18, 2019

Contract & Purchase Negotiation Creating a Deadlock Flinching Essay

Contract & Purchase Negotiation Creating a Deadlock Flinching - Essay Example Deadlocks in negotiations can be overcome through the set aside tactic; changing the mood from competitive or resistive to cooperative; introducing deadlines; changing the negotiating team to find conforming match to other party or to ease emotional baggage etc. Flinching is a manipulative tactic used by offerees in contract negotiations. No matter how sweet an offer is, offerees would act indignantly to conceal their joy as way to convince the offerors that their offer or proposal is not sufficiently good. Flinching can take such forms: gasping for air suddenly, shaking of the head and visible expressions of shock, disappointment, and surprise. However, as offeror you can overcome flinching technique by sticking to your initial request and avoiding statements such as, lets now look the costs because they can force you into concessions. On the other hand, offerees can neutralize ‘flinching’ by using questions to get to the bottom of the proposed terms to determine if the other party is trying pulling a fast one or is being honest with the stated

Critical thinking Essay Example | Topics and Well Written Essays - 500 words - 7

Critical thinking - Essay Example ‘Positive reinforcement’ is experienced when occurrence of an event happening after a response raises the probability of that response to take place another time. The event that is presented is something an organism likes or prefers, and can be referred to as appetitive stimulus. The organism will do nothing to evade the event or the appetitive stimulus because of love for it. Moreover, in ‘positive reinforcement’, a raise in a propensity to respond is the fact that is significant most rather than subjective traits. It is established that an outcome becomes a ‘positive reinforcement’ when it makes the response to happen again (Coon, Mitterer, Talbot & Vanchella, 2010). For example, I like to drink cold water, since I would want to take icy water regularly when feeling thirsty. Additionally, I have a passion of drawing and singing; hence, I find myself singing and drawing most of my free time over and over again. The type of reinforcement takes place when a response is expected to happen another time when an event is removed. It occurs when an outcome of an occurrence makes a person to get rid of the odious circumstances. It is imperative to notice that ‘negative reinforcement’ does not entirely refer to unfortunate events, but particularly refers to events that lead to taking away of something (Coon, Mitterer, Talbot & Vanchella, 2010). Examples of events of ‘negative reinforcement’ include watching a boring movie or listening to noise from a neighbor. An individual will walk away from a cinema hall when the movie he/she is watching becomes uninteresting and tedious. In the situation of irritating noise from a neighbor, I often settle on staying in my room to lessen the tone of the sound. ‘Positive punishment’ refers to the occurrence of an event, which occurs after a response that decreases the possibility of the response from happening yet again. It occurs when the response of the event leads to

Thursday, October 17, 2019

Contrasting programs and policies related to poverty Research Paper

Contrasting programs and policies related to poverty - Research Paper Example On the other hand, it can be apparently observed that America is still undergoing through a tough phase in tackling its poverty level, which fluctuates on a constant basis (The World Bank Group, 2014). With this concern, the research paper would describe the programs along with the policies associated with poverty that adopt and implement by the countries i.e. the US and China. Moreover, a comparison would also be taken into concern regarding the same in the discussion of the research paper. Prior to contrasting the programs along with the policies associated with poverty between China and the US, a detailed description of these programs as well as policies of both the nations has been provided hereunder. Since the year 1980, the Chinese government has shown significant improvement in declining the poverty rates. The projected poverty rate in China in the year 1980 was estimated 84%, which came down to 13% by the year 2012. The reason contributed in making this terrific improvement is the rise particularly in GDP rates. This can be justified as that the GDP rate rose from 1.89% in the year 1980 to 11.57% in the year 2012, which further resulted towards increase in per capita income by nearly about 30 folds from $205 to $6064 in recent times (The Economic Times, 2013). However, despite the significant success in uplifting the critical concern of poverty, China in the current scenario, is still facing certain issues relating to poverty. In this regard, the increase in the inequality levels and the concentration of the left over poverty populaces in the rural areas are becoming critical concern for the Chinese government (The World Bank Group, 2014). As a corrective measure, China along with ‘The International Bank for Reconstruction and Development (IBRD)’ has concentrated their efforts on two vital aspects. One of these is the pilot projects that will be brought under superior technical

Organizational Effectiveness Amid the Labour Crisis Essay

Organizational Effectiveness Amid the Labour Crisis - Essay Example Professor Peter Cappelli further argued that the problem arises because of the lack of competency to manage the welfare of employees. On the other hand, Blackler and Shimmin (1984) anticipated that the demands for cost savings and improved efficiency will raise many issues of conflict within the organization based on certain events that has been affecting the UK economy. The means to organizational effectiveness were proposed by management theories that were believed to have provided solutions to dilemmas faced by businesses in the past. â€Å"New and theoretical knowledge often becomes part of the repertoire of the science of organisational behaviour, functioning as technologies of regulation which are used to control and discipline employees† (Thompson and McHugh, 2002, p. 297) In addition, these were aimed at discovering the patters to employee behaviour, and the forces that define employee work morale. The scientific management theory concentrated decision making in the ha nds of the employers, while employees were regarded as no more than "manpower—the energy or force required to propel the organizational machine† (Morgan, 1986, p.29). Alternatively, the human relations movement was able to identify other key aspects to employee motivation, and extended the role of the manager. Many changes have occurred since the Industrial Revolution, and while monetary benefits are still the primary objectives in seeking for employment, some tendencies are no longer observed. The assumed patterns of behaviour by employees relevant to their personal and financial interest in the company is hard to prove these days. Current Labour Trends Developing countries are not the only ones to suffer the blows of recession. The United Kingdom, despite favourable performance in the stock market, is also faced with problems associated with the rise in costs of goods and services. The UK per capita income has declined tremendously owing to the trends in the labour ma rket—to include unemployment, underemployment and part-time services. According to the Office for National Statistics (ONS), the unemployment rate increased to 8.1% in 2011, and jobless rate for 16 to 24 year olds totalled to 991,000 in the first quarter (BBC, 2011). Result of the survey by the EEF, a manufacturers’ organization in the UK, showed that the manufacturing sector, which is among the highest provider of jobs, averaged 2.2% in settlements for laid off employees. As a result, the number of people claiming jobseeker’s allowance rose by 19,600 in May, which was twice as expected (Peacock, 2011). The rationale behind the decisions of many companies in the United Kingdom to terminate services of a large portion of their workforce has been defined by economic professionals. The firms are inclined to regulate their internal costs to compensate for the drop in revenues. The government was first to take the move, â€Å"with the vocal support of the bankers wh o caused the recession, by deliberately creating unemployment with public sector cuts†, secretary general of the GMB union, Paul Kenny, said (as cited from Peacock, 2011). Similarly, manufacturers worry about the ever increasing cost of production, and tried to reduce allotment for salaries by retrenchment and insisting overtime on those not removed from the payroll. Others chose to outsource their operations, and resulted in reduced domestic employment. Underemployment is a different issue. Because there is not enough full-time jobs available, underemployed workers were

Wednesday, October 16, 2019

Contrasting programs and policies related to poverty Research Paper

Contrasting programs and policies related to poverty - Research Paper Example On the other hand, it can be apparently observed that America is still undergoing through a tough phase in tackling its poverty level, which fluctuates on a constant basis (The World Bank Group, 2014). With this concern, the research paper would describe the programs along with the policies associated with poverty that adopt and implement by the countries i.e. the US and China. Moreover, a comparison would also be taken into concern regarding the same in the discussion of the research paper. Prior to contrasting the programs along with the policies associated with poverty between China and the US, a detailed description of these programs as well as policies of both the nations has been provided hereunder. Since the year 1980, the Chinese government has shown significant improvement in declining the poverty rates. The projected poverty rate in China in the year 1980 was estimated 84%, which came down to 13% by the year 2012. The reason contributed in making this terrific improvement is the rise particularly in GDP rates. This can be justified as that the GDP rate rose from 1.89% in the year 1980 to 11.57% in the year 2012, which further resulted towards increase in per capita income by nearly about 30 folds from $205 to $6064 in recent times (The Economic Times, 2013). However, despite the significant success in uplifting the critical concern of poverty, China in the current scenario, is still facing certain issues relating to poverty. In this regard, the increase in the inequality levels and the concentration of the left over poverty populaces in the rural areas are becoming critical concern for the Chinese government (The World Bank Group, 2014). As a corrective measure, China along with ‘The International Bank for Reconstruction and Development (IBRD)’ has concentrated their efforts on two vital aspects. One of these is the pilot projects that will be brought under superior technical

Tuesday, October 15, 2019

Recent changes in local laws in various countries set requirements for Essay

Recent changes in local laws in various countries set requirements for National Oil Companies (NOCs) participation in oil and ga - Essay Example Joint ventures are common among the operators within the oil and gas industry in order to tray and minimize operation risks as well as technical challenges often faced while in the normal operations in the industry. Companies involved in exploration of oil and gas, general exploitation of the same as well as appraisal and production activities are in recent times being not executed by single companies but through collaboration by many companies. These joint ventures therefore share in towards contributing for expenditures and other costs incurred and share the proceeds realized in the exploration and exploitation of the commodity according to individual company’s contributions. Joint ventures operate on the platform of sharing on capital investments as well as skills and expertise, which necessitates one company, which would lack such to benefit from the partner(s) in the venture. Joint ventures within the oil and gas industry enjoy such privileges as being unincorporated and hence they are not taxed and cannot sue or are sued for the reason of not having distinct legal personality. The terms of licensure of operations by joint ventures imposes some liabilities on them as stipulated by the governing authority, which the joint operating agreement purposely addresses. The JOA therefore have particular roles in regulating the obligations, relationships as well as the rights that govern the parties in a joint venture. Normally, the agreement is binding over lifetime or until the joint operations ceases because of completion of a task or otherwise as would be determined in termination of a contract. It stipulates the funding procedures as well as the voting procedures and has other stipulations on mechanisms to address corrective measures instituted in the event that a partner fails to act in accordance to the agreement. Therefore, the general infrastructure of the legal framework guiding the joint operating agreements is binding and well laid out. The partie s therefore undertake a critical outlook into the structure of the JOA regarding any unforeseen eventualities, which would occur in the future. However, it is worth noting that the formulation and adoption of a JOA framework must be based on an existing legal structure such as the English law, which then stipulates the institutional framework that would govern the running of the agreement between the parties engaged in the joint venture (Jensen and Failat, 2013, p. 1-13). National governments as well as foreign companies interact in the industry of oil and gas through consent through negotiated contracts. NOC (National oil companies) normally gets involved in the exploitation of and exploration for oil through signing into contracts such as concession agreements, service contracts, joint venture contracts as well as production sharing agreements, which involves collaborating with other external companies in the oil and gas deals. Nevertheless, the operations of such contracts involv ing the national oil companies as well as other external companies necessitates the operation-ization of a structure that would be instrumental in outlining the operations of the agreement and this is formalized through the JOAs. The evolution of legal structures that govern the

Explain How Products Are Developed Essay Example for Free

Explain How Products Are Developed Essay 3.1.1 The product life cycle (PLC). The product life cycle is used for determining the lifespan of products and there are 4 sub stages of product: introduction, growth, maturity and decline. From 2007 until now, Honda Air Blade has become the most successful line of Honda’s motorbike as well as on market. Since it was born, Honda Air Blade has achieved sales of more than 2 million products. This year, from April to the end of September, Honda Air Blade reaches to 274,563 products. (Zing, 2014) This motorbike has brought more profits and impacted strongly on revenue of company. Honda has had the success with this product line. But in the modern world, to be able to compete with the competitors, Honda needs to improve quality, style of products and consider market prices as well as competitors to make a better product 3.1.2. Branding and brand leadership. a. Branding: A brand is much bigger than just the corporate logo. The brand attributes are formed from the efforts of corporation in the process of marketing communication activities and the character of business. Therefore, corporation needs to have an appropriate strategy to release a good PR campaign to make them more attractive than the competitors. Honda has slogan:† The power of dreams†, easily to remember and it has been very famous around the world. b. Brand leadership: The first appearance of Honda in Vietnam is in 1996, until now has been through 18 years and they have always been one of the forefront in their industry. (Honda, 2014) But now, Vietnam’s market has Yamaha, the biggest rival of Honda and the competition between both will continue for a long time in the future. Consequently, Honda has to use and combine an ingenious of design, advertising, marketing, and corporate culture. It will help create brand attributes in the minds of the people and that this will bring

Sunday, October 13, 2019

Analog vs digital communication

Analog vs digital communication Table of Contents Introduction Communication System Definition Analog Communication Digital Communication Advantages of Digital Communication Disadvantages of Digital Communication Comparison of Analog and Digital Communication 1. INTRODUCTION: Analog Communication is a data transmitting technique in a format that utilizes continuous signals to transmit data including voice, image, video, electrons etc. An analog signal is a variable signal continuous in both time and amplitude which is generally carried by use of modulation. Digital communicationsis the physical transfer ofdata over a point-to-point or point-to-multipointtransmission medium. Examples of such media arecopper wires,optical fibers,wirelesscommunication media, andstorage media. 2. COMMUNICATION SYSTEM Communications is the field of study concerned with the transmission of information through various means. It can also be defined as technology employed in transmitting messages. It can also be defined as the inter-transmitting the content of data (speech, signals, pulses etc.) from one node to another. A communication system is a combination of processes and the hardware used to accomplish the transfer of the Information (communication). Acommunications subsystemis afunctional unitoroperational assemblythat is smaller than the larger assembly under consideration. Examples of communications subsystems in theDefense Communications System(DCS) are: (a)A satellite linkwith oneEarth terminalinCONUSand one in Europe (b)The interconnect facilities at each Earth terminal of the satellite link (c)An optical fiber cablewith its driver and receiver in either of the interconnect facilities. Communication subsystem (b) basically consists of a receiver,frequency translatorand a transmitter. It also containstranspondersand other transponders in it andcommunication satellitecommunication system receives signals from theantenna subsystem. A communication system providesus only with a channel for the mutual informationexchange which is not apriori dedicated to certain categories ofinformationonly. Communication system consists of Analog and Digital communication. 3. ANALOG COMMUNICATION Analog communication is a communication method of conveying voice, data, image, signal or video information using a continuous signal which varies in amplitude, phase, or some other property in proportion to that of a variable. It could be the transfer of an analog source signal using an analog modulation method such as FM or AM, or no modulation at all. Analog transmission is still very popular, in particular for shorter distances, due to significantly lower costs and complex multiplexing and timing equipment is unnecessary, and in small short-haul systems that simply do not need multiplexed digital transmission. However, in situations where a signal often has high signal-to-noise ratio and cannot achieve source linearity, or in long distance, high output systems, analog is unattractive due to attenuation problems. Furthermore, as digital techniques continue to be refined, analog systems are increasingly becoming legacy equipment. Recently, some nations, such as the Netherlands, have completely ceased analog transmissions on certain media, such as television, for the purposes of the government saving money. Analog systems are very tolerant to noise, make good use of bandwidth, and are easy to manipulate mathematically. However, analog signals require hardware receivers and transmitters that are designed to perfectly fit the particular transmission. If you are working on a new system, and you decide to change your analog signal, you need to completely change your transmitters and receivers. Analog signals are signals with continuous values. Analog signals are used in many systems, although the use of analog signals has declined with the advent of cheap digital signals. 4. DIGITAL COMMUNICATION Digital communications is the physical transfer of data(a digital bit stream) over a point-to-point or point-to-multipoint transmission medium. Examples of such media are copper wires,optical fibers,wireless communication media, and storage media. The data is often represented as an electro-magnetic signal, such as an electrical voltage signal or an infra-red signal. Data transmitted may be digital messages originating from a data source, for example a computer or a keyboard. It may also be ananalog signal such as a phone call or a video signal,digitized into a bit-stream for example using pulse-code modulation(PCM) or more advanced source coding(data compression) schemes. This source coding and decoding is carried out by codec equipment. Digital communication enables the data to be transmitted in an efficient manner through the use of digitally encoded information sent through data signals. These data signals are easily compressed and, as such, can be transmitted with accuracy and speed. Unlike in an analog communications where the continuity of a varying signal can not be broken, in a digital communication a digital transmission can be broken down into packets as discrete messages. Transmitting data in discrete messages not only facilitates the error detection and correction but also enables a greater signal processing capability. Digital communication has, in large part, replaced analog communication as the ideal form of transmitting information through computer and mobile technologies. The information source generates particular symbols at a particular rate. The source encoder translates these symbols in sequences of 0s and 1s. The channel encoder is oriented towards translating sequences of 0s and 1s to other sequences of 0s and 1s, to realize high transmission reliability and efficiency. The modulator accepts streams of 0s and 1s, and converts them to electrical waveforms suitable for transmission. The communication channel provides the electrical connection between the source and destination. It has a finite bandwidth, and the waveform transmitted suffers from amplitude distortion and phase distortion. In addition to distortion, power is decreased due to attenuation of the channel. Finally, the waveform is corrupted by unwanted electrical signals, referred to as noise. The primary objective of a communication system is to suppress the bad effects of noise as much as possible. The inverse process takes place at the destination side. The demodulator converts the electrical waveforms to sequences of 0s and 1s, the channel decoder translates the sequence of 0s and 1s to the original sequence of 0s and 1s. It also performs error correction and clock recovery. The source decoder finally translates the sequence of 0s and 1s into symbols. 5. ADVANTAGES OF DIGITAL COMMUNICATION: a). It is fast and easier. b). No paper is wasted. c). The messages can be stored in the device for longer times, without being damaged, unlike paper files that easily get damages or attacked by insects. d). Digital communication can be done over large distances through internet and other things. e). It is comparatively cheaper and the work which requires a lot of people can be done simply by one person as folders and other such facilities can be maintained. f). It removes semantic barriers because the written data can be easily chaned to different languages using software. g). It provides facilities like video conferencing which save a lot of time, money and effort. 6. DISADVANTAGES OF DIGITAL COMMUNICATION: a). It is unreliable as the messages cannot be recognised by signatures. Though software can be developed for this, yet the software can be easily hacked. b). Sometimes, the quickness of digital communication is harmful as messages can be sent with the click of a mouse. The person does not think and sends the message at an impulse. c). Digital Communication has completely ignored the human touch. A personal touch cannot be established because all the computers will have the same font! d). The establishment of Digital Communication causes degradation of the environment in some cases. Electronic waste is an example. The vibes given out by the telephone and cell phone towers are so strong that they can kill small birds. In fact the common sparrow has vanished due to so many towers coming up as the vibrations hit them on the head. e). Digital Communication has made the whole world to be an office. The people carry their work to places where they are supposed to relax. The whole world has been made into an office. Even in the office, digital communication causes problems because personal messages can come on your cell phone, internet, etc. f). Many people misuse the efficiency of Digital Communication. 7. COMPARISON OF ANALOG AND DIGITAL COMMUNICATION ANALOG Analog signals are signals with continuous values. Analog signals are used in many systems, although the use of analog signals has declined with the advent of cheap digital signals. Analog systems are very tolerant to noise, make good use of bandwidth, and are easy to manipulate mathematically. However, analog signals require hardware receivers and transmitters that are designed to perfectly fit the particular transmission. If you are working on a new system, and you decide to change your analog signal, you need to completely change your transmitters and receivers. DIGITAL Digital signals are signals that are represented by binary numbers, 1 or 0. The 1 and 0 values can correspond to different discrete voltage values, and any signal that doesnt quite fitinto the scheme just gets rounded off. Digital signals are intolerant to noise, and digital signals can be completely corrupted in the presence of excess noise. In digital signals, noise could cause a 1 to be interpreted as a 0 and vice versa, which makes the received data different than the original data. Imagine if the army transmitted a position coordinate to a missile digitally, and a single bit was received in error? This single bit error could cause a missile to miss its target by miles. Luckily, there are systems in place to prevent this sort of scenario, such as checksums and CRCs, which tell the receiver when a bit has been corrupted and ask the transmitter to resend the data. The primary benefit of digital signals is that they can be handled by simple, standardized receivers and transmitters, and the signal can be then dealt with in software (which is comparatively cheap to change). Analog communication systems, amplitude modulation (AM) radio being a typifying example, can inexpensively communicate a bandlimited analog signal from one location to another (point-to-point communication) or from one point to many (broadcast). Although it is not shown here, the coherent receiver provides the largest possible signal-to-noise ratio for the demodulated message.An analysis of this receiver thus indicates that some residual error will always be present in an analog systems output. Although analog systems are less expensive in many cases than digital ones for the same application, digital systems offer much more efficiency, better performance, and much greater flexibility. 1. Efficiency: The Source Coding Theorem allows quantification of just how complex a given message source is and allows us to exploit that complexity by source coding (compression). In analog communication, the only parameters of interest are message bandwidth and amplitude. We cannot exploit signal structure to achieve a more efficient communication system. 2. Performance: Because of the Noisy Channel Coding Theorem, we have a specific criterion by which to formulate error-correcting codes that can bring us as close to error-free transmission as we might want. Even though we may send information by way of a noisy channel, digital schemes are capable of error-free transmission while analog ones cannot overcome channel disturbances; see this problem for a comparison. 3. Flexibility: Digital communication systems can transmit real-valued discrete-time signals, which could be analog ones obtained by analog-to-digital conversion,andsymbolic-valued ones (computer data, for example). Any signal that can be transmitted by analog means can be sent by digital means, with the only issue being the number of bits used in A/D conversion (how accurately do we need to represent signal amplitude). Images can be sent by analog means (commercial television), but better communication performance occurs when we use digital systems (HDTV). In addition to digital communications ability to transmit a wider variety of signals than analog systems, point-to-point digital systems can be organized into global (and beyond as well) systems that provide efficient and flexible information transmission.Computer networks, explored in the next section, are what we call such systems today. Even analog-based networks, such as the telephone system, employ modern computer networking ideas rather than the purely analog systems of the past. Consequently, with the increased speed of digital computers, the development of increasingly efficient algorithms, and the ability to interconnect computers to form a communications infrastructure, digital communication is now the best choice for many situations. Advantages and disadvantages of analog vs digital communication: 1. The first advantage of digital communication against analog is its noise immunity.In any transmission path some unwanted voltage or noise is always present which cannot be eliminated fully.when signal is transmitted this noise gets added to the original signal causing the distortion of the signal.However in a digital communication at the receiving end this additive noise can be eliminated to great extent easily resulting in better recovery of actual signal. In the case of analog communication its difficult to remove the noise once added to the signal. 2. Security is the another priority of messaging the services in the modern days.The Digital communication provides better security to messages than the analog communication.It can be achieved through various coding techniques available in digital communication. 3. In a digital communication the signal is digitised to a stream of 0 s and 1 s. So at the receiver side a simple decision has to me made whether the received signal is a 0 or a 1.Accordingly the receiver circuit becomes simpler as compared to the analog receiver circuit. 4. When signal is travelling through its transmission path gets faded gradually. So on its path it needs to be reconstructed to its actual form and re-transmitted many times.For that reason AMPLIFIERS are used for analog communication and REPEATERS are used in digital communication.amplifiers are needed every 2 to 3 Kms apart where as repeaters are neede every 5 to 6 Kms apart.So definitely digital communication is cheaper.Amplifiers also often add non-linearities that distort the actual signal. 5. Bandwidth is another scarce resource.Various Digital communication techniques are available that use the available bandwidth much efficiently than analog communication techniques. 6. When audio and video signals are transmitted digitally an AD(Analog to Digital) converter is needed at tansmitting side and a DA(Digital to Analog) converter is again needed at receiver side.While transmitted in analog communication these devices are not needed. 7. Digital signals are often an approximation of the analog data(like voice or video) that is obtained through a process called quantisation. The digital representation is never the exact signal but its most closely approximated digital form.So its accuracy depends on the degree of approximation taken in quantisation process. Digital communication has several advantages over analog communication system. Some are explained below: 1. Analog circuits require amplifiers, and each amplifier adds distortion and noise to the signal. 2. In contrast, digital amplifiers regenerate an exact signal, eliminating cumulative errors. An incoming (analog) signal is sampled, its value is determined, and the node then generates a new signal from the bit value; the incoming signal is discarded. With analog circuits, intermediate nodes amplify the incoming signal, noise and all. 3. Voice, data, video, etc. can all by carried by digital circuits. What about carrying digital signals over analog circuit? The modem example shows the difficulties in carrying digital over analog.

Saturday, October 12, 2019

Alfred Hitchcock :: Film Movie Movies Directors Essays

Alfred Hitchcock is among the few directors to combine a strong reputation for high-art film-making with great audience popularity. Throughout his career he gave his audiences more pleasure than could be asked for. The consistency of quality plot-lines and technical ingenuity earned him the recognition of being one of the greatest filmmakers of all time. His films earned him the reputation of being the "master of suspense", and after viewing two of his more popular films, Psycho and The Birds, it is evident why. There is a distinction between surprise, which lasts only a few seconds, and suspense which captivates one's attention the entire length of a film. This is something that Hitchcock realized early on, and applied into his movies. He is one of the few directors whose name on a marquee is as important, if not more so, than any actor who appears in the film itself. Both his style of directing, and that of the movies that he has directed are very unique, making him stand out in the film industry. He pioneered the art of cinematography and special effects, which along with his cameos, are what he is most often associated with. Hitchcock led a long and prosperous life in the movie industry, starting as a teenager and making movies up until his death in 1980, while working on the 54th of his career (Sterrit 3). Alfred Joseph Hitchcock was born on August 13, 1889 in London, England. As a child his parents were very strict with him and they imposed severe and unusual punishments upon him, as what they considered to be discipline. One of these incidents scarred him for life. As punishment for arriving home late one night, young Alfred's father had a policeman friend lock the boy up in a cell for five minutes, "in order to teach him where naughty little boys who come home after 9 o'clock would eventually end up." (Phillips 27). Throughout his career he used the innocent man being arrested and imprisoned in his films, and claimed that forever after he had a fear of the police (Spoto 16). Fear was also a big part of his childhood, which later was evident in many of his movies. "Fear? It has influenced my life and my career." (18) explains Hitchcock, he also had a fear of being alone and of darkness which once again appeared in many of his movies. "...fear you see is an emotion that people like to feel when they know they are safe." (39).

Friday, October 11, 2019

The arithmetic checks

The arithmetic checks must be done for all leveling calculations When establishing the heights of new Tabs and other important points, only BBS and FSP should be taken and the rise and fall method should be used. The HIP method of calculation can be much quicker when a lot of intermediate sights have been taken and it is a good method to use when mapping or setting out where many readings are often taken room a single instrument position. A disadvantage of the HIP method is that the check on reduced levels calculated from IS can be lengthy and there is a tendency for it to be omitted.Precision of leveling As with all techniques used in engineering surveying it is important to estimate how accuracy of the measurements taken. An assessment of the quality of leveling can be made by calculating the enclosure for a line of levels. This is determined by comparing the reduced level of the closing bench mark with the level obtained for it by calculation from the staff readings. On constructi on sites ND other engineering projects, leveling is usually carried out over short distances and it can involve a lot of instrument positions.The allowable enclosure for a line of levels is given by: Allowable enclosure = ? ± m n Where, m is a constant and n is the number of instrument positions used. The value most often used for m is mm When the enclosure obtained from staff readings is compared to the allowable enclosure, if miniscule is greater than the allowable value the leveling is rejected and must be repeated. If the enclosure is less than the allowable value the leveling s accepted and the leveling is adjusted. The value of m depends on the site conditions.For example if the levels found are to be used for earth work excavations m might be mom. For setting out steel and concrete structures excavations m might be mm. In some cases m is specified in the contract documents. Specifications for leveling are also given in: BOSSES: building setting out and measurement ICE Desig n and Practice Guide: The management of setting out in construction BOSSES: Guide to accuracy in building Sources of error in leveling There are three main groups of errors that can occur when leveling.The most common errors fall into one of the following groups: 1. Errors in the equipment 2. Field or on-site errors 3. The effects of curvature and refraction on leveling Errors in the equipment Collimation error This can be a serious error in leveling if the sight lengths from one instrument position are not types of leveling all types of leveling, sight lengths should be kept equal, particularly back sights and fore sights and before using any level it is advisable to carry out a two-peg test to ensure the collimation error is within acceptable limits.Compensator not working For an automatic or digital level, the compensator is hacked by moving a foot screw slightly off level, by tapping the telescope gently or by pushing the compensator check lever to ensure that a reading remains constant. If any of the checks fail then the compensator is not working properly and needs to be repaired. Parallax This effect must be eliminated before staff readings are taken. Defects of the staff The base of the staff should be checked to see if it has become worn – if this is the case then the staff has a zero error.This does not affect height differences if the same staff is used for all the leveling, but introduces errors if two tiffs are being used for the same series of levels. When using multi-section staff, it is important to ensure that it is properly extended by examining the graduations on the other side of each section as it is extended. If any of the sections become loose the staff should be returned for repair. Tripod defects The stability of tripods should be checked before any fieldwork commences by testing to see if the tripod head is secure and that the base of each leg are secure.Field or on-site errors Staff not vertical As the staff is used to measure a vertical difference between the ground and the plane of collimation, failure to hold he staff vertical will give an incorrect readings. Since the staff is held vertical with the aid of a vertical bubble, this should be checked at frequent intervals and adjusted if necessary. Unstable ground When the instrument is set up on soft ground and bituminous surfaces on hot days, an effect that is often overlooked is that the tripod legs may sink into the ground or rise slightly when the reading is being taken.This then will alter the height of collimation and it is advisable to choose firm ground on which to set up the level and the tripod, and to ensure that the tripod is pushed ell into the ground. Handling the instrument and tripod As well as the vertical displacement, the plane of collimation of a level may be altered for any set-up if the tripod is held or leant against. When leveling, avoid contact with the tripod and only use the level by light contact.Instrument not level For aut omatic and digital levels this source of error is unusual, but for a tilting level in which the tilting screw has to be adjusted for each reading, this is a common mistake. The best procedure here is to ensure that the main bubble is centralized before and after the reading is taken. Reading and cooking errors Many mistakes can be made during the booking of staff readings taken with an automatic or tilting level, and the general rule is that staff readings must be carefully entered into the leveling table or field book immediately after reading.Weather conditions In strong winds, a level can become unusable because the line of sight is always moving and it is also difficult to hold the staff steady. For these reasons, it is not possible to take reliable readings under these conditions which should be avoided when leveling. And other hard surfaces to ensure that the base of the staff remains at the same eight in between a back sight and fore sight. When the tripod is set up in soft g round or on tarmac on hot days it may sink into the ground or rise slightly when readings are taken.This alters the height of collimation and causes errors. Try to set the level up on firm ground and always push the tripod legs well into the ground. The height of collimation may be altered if the tripod is held or pressed down Do not lean on the level, If the tripod is knocked it is necessary to re-level the instrument and repeat all the readings taken from that instrument position. Marking or recording the session of each change point on a long line of levels is advisable. If this is not done and the tripod is knocked all of the leveling will have to be repeated.Curvature and refraction Over long distances level and horizontal lines through an instrument will diverge because level lines follow the curvature of the Earth. This is a possible source of error in leveling since all readings are taken along horizontal lines instead of level lines. The difference between a horizontal and level line is know as curvature and is given by c = 0. 0785 DO Where, c = curvature in meters, D = sighting distance in km The correction for length of sight of mom is less than 1 mm. This correction is ignored for most leveling. The effect of refraction of the line of sight is to bend it towards the Earth.This is also ignored in most leveling. Whatever sight lengths are used, the effects of curvature and refraction will cancel if the sight lengths are equal. How to Reduce the Chance of Errors Occurring Leveling should always start and finish at bench marks so that enclosures can be detected. When only one bench mark is available, leveling lines must be run in loops starting and finishing at the name bench mark Where possible, all sights lengths should be below 50 m. The staff must be held vertically by suitable use of a circular bubble or by rocking the staff and noting the minimum reading.BBS and FSP lengths should be kept equal for each instrument position. For engineering applic ations, many intermediate sights may be taken from each set- up – under these circumstances it is important that the level has no more than a small collimation error. For automatic and tilting levels, staff readings should be booked immediately after they are observed. Use a digital level where possible as it sakes staff readings automatically The rise and fall method of reduction should be used when weighting reference or control points and the HIP method should be used when setting out.Other leveling methods Inverted leveling This is a leveling technique that is used to obtain the heights of points above the line of sight such as ceilings and undersides of bridges. To obtain these, the staff is held upside down in an inverted position with its base on the elevated points. An inverted staff reading is booked in a level table procedure is followed taking into account the minus sign. Never use an inverted staff eating as a change point because it is difficult to keep the staff in the same place for more than one reading.Exam Question: Supplement 2006 SQ A client has asked for an as-constructed drawing of a recently built industrial building. As part of the survey the following series of levels are taken. Prepare a report for the client showing the reduced levels of the manhole inverts and the calculated gradients on the sewer lines, and the soft levels on the building gutters. Example 2 Lets repeat the reduced levels part of the previous exam question assuming we were asked to use the rise and fall method instead

Thursday, October 10, 2019

Stock Exchange of Thailand

Table of Content | | History of SET| 1| Establishment of SET| 1| Vision & Mission| 1| Regulatory Framework of the Capital Market| 2| Operations| 3| Board of Governors| 3| Management| 4| SET’s Role| 5| Corporate Governance Center| 6| Products and Services| 6| Revenue Structure| 12| Financial Events that Affect SET| 12| SET and the World Stock Exchange| 15| SET and Asian Stock Exchanges| 16| Comparison of SET, SGX and NYSE| 17| Index Composition Comparison between SGX and SET| 18| Stock Index Comparison| 18| Future move of SETConclusion| 2022| Stock Exchange of Thailand History of the Stock Exchange of ThailandThe modern Thai Capital Market was started in 1961 when Thailand implemented its first five-year National Economic and Social Development Plan. It supports the promotion of economic growth and stability as well as develops the Kingdom's standard of living. After that, the Second National Economic and Social Development Plan (1967-1971) proposed to set up an orderly securit ies market in order to gather additional capital to support Thailand's industrialization and economic development. The modern Thai capital market can be divided into two phases, â€Å"The Bangkok Stock Exchange† which was privately owned and â€Å"The Securities Exchange of Thailand†.The BSE finally ceased operations in the early 1970s because of a lack of official government support and a limited investor understanding of the equity market Establishment of the Stock Exchange of Thailand Despite the failure of the BSE, the concept of an orderly security market had attracted a lot of Thai people attention. In 1969, as recommended by the World Bank, the government acquired the services of Professor Sidney M. Robbins from Columbia University to study the development channels of the Thai capital market.In 1972 the Government took a further step in this direction by improving the â€Å"Announcement of the Executive Council No. 58 on the Control of Commercial Undertakings A ffecting Public Safety and Welfare†. The changes were allowed Government to control more over the operations of finance and securities companies. After that, in 1974, â€Å"The Securities Exchange of Thailand† (SET) was enacted allowing the investment to save in the capital market. By 1975, the basic legislative framework was in place and the Securities Exchange of Thailand officially started trading.On January 1, 1991 its name was formally changed to â€Å"The Stock Exchange of Thailand† (SET). Vision Empowering business and investors through our strengths to match the right financial opportunities Mission Clients and Intermediaries â€Å"Expand business issuers and investor base by satisfying their financial needs and strengthening intermediaries for mutual growth and success† Products and Services â€Å"Offer a wide range of attractive products and services to create value and match financial opportunities across different segments of business and inve stors† Operations Operate with flawless execution according to international standards to ensure efficiency, effectiveness, flexibility and global connectivity† People and Culture â€Å"Inspire staff to perform up to their fullest potential and create a corporate culture that aims at achieving excellence in matching the right financial opportunities for business and investors† Regulatory Framework of the Capital Market The Securities and Exchange Act of 1992 (SEA), specified the Securities and Exchange Commission (SEC) as the regulator of the Thai Capital Market.While the SEC oversees the development of the Kingdom's capital market, the Bank of Thailand (BOT) is responsible for the country's money market. Primary Market The SEC looked over a company that wants to issue new securities, an initial public offering (IPO) or additional securities to the public. The company must first apply for SEC approval and comply with its filing requirements. Then, the SEC is requi red to review the financial status and operations of the company before allowing the firm to issue securities to the public. Secondary MarketSecurities may be traded in the secondary market once the issuer has applied for and been approval by the SET. Operations The Stock Exchange of Thailand is a juristic entity that was set up under the Securities Exchange of Thailand Act, B. E. 2517 (1974). Operations started on April 30, 1975. Its main operations include securities listing, supervision of listed companies and information disclosure, trading, market surveillance and member supervision, information dissemination and investor education. Moreover, its duty is to promote saving and long term financial planning for developing the economy.SET is a center for trading of listed securities without distributing any profit to members. Board of governors Regulatory Framework The SET Board of Governors is comprised of a maximum of eleven people, five of whom are appointed by the SEC, and five who are elected by SET members. The SET President, appointed by the Board, is an ex-officio member of the Board. The Board is also responsible for formulating the SET policies. Management The organizational chart of SET can be classified into two major parts which are Exchange Function and CMDF Function.Each function’s organizational structure can be seen below. | | SET's Role The Stock Exchange of Thailand has been continuously improved the management system of listed Thai companies to have good governance. SET was started to study about the roles  of audit committee in 1995 before the financial crisis. After that, it issued a listing requirement indicating that all listed companies have an audit committee in early 1998. In that year, the SET also issued a guideline namely â€Å"Code of Best Practices for Directors of Listed Companies† to be a guild role of audit committee.Two years later, the Good Corporate Governance Committee, consisting of representatives from a variety of professional organizations, disseminated a report on corporate governance which set a framework to be used by organizations in the Thai capital market for developing good corporate governance systems and practices. The Thai government designated the â€Å"Compass for Good Corporate Governance† and set up the National Corporate Governance Committee (NCGC). In the same year, SET also proposed fifteen principles of good corporate governance for listed companies to implement.The listed companies have to apply the fifteen principles and are required to demonstrate in their annual registration statement (Form 56-1) and annual reports starting from the accounting period ending December 31, 2002. In July 2002, the SET has established the Corporate Governance Center to help listed companies develop their corporate governance system. The Center provides consulting services to and exchanges ideas about corporate governance practices with directors and executives of listed c ompanies, as well as those of firms preparing to be listed companies.Corporate Governance Center Background The SET has established the Corporate Governance Center to support listed companies. It encourages the company to have good corporate governance and stakeholders include shareholders, suppliers, customers, creditors, employees, and the community etc. Corporate Governance Center builds to have confidence investment in Thai capital market which support the knowledge about corporate governance including the developing good corporate governance system and practices. . The Center of consulting service Giving advises and exchange idea about corporate governance practices with directors and executives of listed companies as well as those of firms preparing to be listed companies. 2. Corporate Governance Self Assessment Evaluation was followed by the rule of listing company 3. Producing and disseminating a variety of information and materials as guidelines. 4. Holding activities to he lp educate listed companies' directors and executives. Products and ServicesOne of the SET’s missions is to â€Å"Offer a wide range of attractive products and services to create value and match financial opportunities across different segments of business and investors. † SET has continuously developed new products and services and improved the system to satisfy needs of the investors. SET group supervises trading activities and market participants to ensure that the market is fair, orderly, and transparent. The products and services of SET are as following. Product The products that SET offers can be classified into 5 major categories; equities, bonds, derivatives, exchange-traded fund (ETF), and derivative warrants.The more details of each type are discussed as following. 1. Equities Equity trading is the trading of securities issued by public companies where shareholders have a direct stake in the company as well as the right to vote in shareholders’ meeting s. The secondary markets for equities trading are The Stock Exchange of Thailand (SET) and Market for Alternative Investment (MAI). Types of equities are ordinary shares, preferred share, warrants, unit trusts, non-voting depository receipt, and depository receipt (DR). SET and MAI are different in terms of the types of equities traded.On SET, investors can trade all types of equities, whereas on MAI preferred shares and depository receipt (DR) are not traded. Market for Alternative Investment or MAI was established in June 1999 in order to encourage the smaller firms with potential high growth and innovation. MAI serves as a new fund-raising source for such firms and new alternative investments for investors who are interested. The vision of MAI is â€Å"We strive to be the right and efficient exchange creating value for high potential, innovative and ventures companies in ASEAN. † The core values of MAI are to be focus, accountable, networking, zealous, and innovative. . Bo nds After a bond is issued and sold in the primary market, the bond can be electronically traded through Bond Electronic Exchange (BEX), where investors can buy and sell bonds. The market was first launched on November 26th, 2003, and its goal is â€Å"to develop all facets of the Thai bond market to reach an international standard, on par with other mature bond markets in the rest of the world†. 3. Derivatives Derivatives are traded through Thailand Futures Exchange or TFEX which was established on May 17th, 2004. TFEX play a big role in Thailand economy in stabilizing and sustaining financial market and corporates.Derivatives are used to protect companies from unanticipated change of underlying assets which might be the raw material of the company. In other words, TFEX allows investors to hedge their risk by utilizing derivative products. TFEX has continuously introduced new products to be traded on the market. Up to the present, TFEX has a total of 11 products in 5 categor ies, which are equity, interest rate, precious metal, energy, and currency. First category, equity derivatives have a total of 4 types, which are SET 50 Index Futures, SET 50 Index Options, Sector Index Futures, and Single Stock Future.Second, derivatives that are traded on interest rate are 3-Month BIBOR Futures, 6-Month THBFIX Futures, and 5-Year Government Bond Futures. Third, derivatives for precious metal are 10 Baht Gold Futures, 50 Baht Gold Futures, and Silver Futures. Forth, derivative on energy price is Brent Crude Oil Futures. Fifth, the currency derivative is USD Futures. 4. ETF Exchange-traded fund or ETF is an open-ended mutual fund which is traded on the stock exchange. Through brokers, ETF investors can buy and sell at any time during the trading hours at the prevailing price when the order is executed.The main difference between normal mutual funds and ETF is that mutual fund is normally traded via asset management company or a fund issuer at the end of the trading day while ETF has real-time NAV or Indicative NAV which is calculated throughout the trading hours. With the help of designated market maker or liquidity provider, it allows investors to trade at the market price at any time. ETF is a passive management fund since it basically invests in a basket of underlying stocks which can be SET 50 Index, a stock sector index, commodity index and commodity price such as gold price and oil price.Mostly, ETF is the replicate of a stock index, making the expense and management fee lower for ETF. In contrast, mutual fund is more active making the cost of management more expensive as well. 5. Derivative Warrants (DW) Derivative Warrants give the holder right to buy a stock or an underlying security at the pre-determined price within the stated period for certain quantity. The issuer of derivative warrant is a third party, not the issuer of the underlying securities. Warrants and Derivative Warrants are different in many aspects, as shown in the foll owing table Services 1. Information serviceDue to SET comprehensive, accurate and up-to-date source of Thai listed companies information, SET provides information service for customers who would like to access and disseminate trading or listed company information either with commercial or non-commercial purpose. Major customers of this service are member companies, data vendors, presses, academic institutes, mutual funds, governmental agencies and general investors. SET Information Service is classified into 3 categories; a. Datafeed (raw data for further application) b. SETSMART or SET Market Analysis and Reporting Tool c.IR website service for SET listed companies 2. Listing service on SET Companies that are interested in listing itself on SET have to meet many rules and regulations. Being a listed company gives the company many advantages. The company will have a larger source of long-term capital that is crucially important to enhance its operation, expansion and competitiveness . The company will obtain a better and positive public image due to its high standard and transparency giving the company with higher bargaining power and company’s credibility. Application fees| Initial fees| Annual fees| | THB 50,000| 0. 5% of paid-up capital ( With minimum and maximum of THB 100,000 – THB 3,000,000 )| Regressive rate varies with the level of paid up capital as follows:   | less than| THB 200 M. | at 0. 035 % of paid-up capital| THB 200 M. | < Capital