Wednesday, October 30, 2019
Political Political science Essay Example | Topics and Well Written Essays - 500 words - 1
Political Political science - Essay Example After 1979 revolution, Iranian government started to stop United Nations to inspect Iranian nuclear program by saying that Iranian nuclear program is for electricity purposes so there is no need for the United Nation inspection team to visit the nuclear sites. The US government thinks that Iran should stop working on its nuclear program because it does not need to develop its own nuclear capacity. If we read the latest news dossier regarding Iranian nuclear program and threats to the worldââ¬â¢s peace, we come to know that in March 2006, United Nations Security Council discussed the issue of Iranian nuclear program to set up Iranââ¬â¢s conformity with the terms and conditions of Nuclear Non-Proliferation Treaty. In July 2006, Security Council said that International Atomic Energy Agency was not able to provide any assurances regarding peaceful use of nuclear technology by Iran. Therefore, in December 2006, Security Council made a resolution to block Iranââ¬â¢s import and export of sensitive nuclear material. Looking at the behavior of Iranian government, the worldââ¬â¢s powerful nations pressurized Iran and urged that it should reveal the nature of its nuclear program during six-party talks in Geneva. In November 2009, the hea d of the United Nations nuclear agency urged Iran to be as much cooperative as possible and suggested that it should send uranium abroad for enrichment purposes. ââ¬Å"Tehran initially accepted but then rejected an offer for an interim solution under which it would ship some uranium out of the country for enrichmentâ⬠(New York Times). Iran suggested to review the deal and said that it will continue enrichment of uranium in Iran instead of sending it abroad. In December 2009, US warned Iran of new significant sanctions in case of not sending the uranium outside for enrichment purposes. In February 2010, UN inspectors declared that they have evidences related to Iranââ¬â¢s suspicious nuclear activities. Despite of all warnings and sanctions,
Monday, October 28, 2019
Increased Competition in the Field of Robotics Essay Example for Free
Increased Competition in the Field of Robotics Essay If desired, calibrate the virtual process to reflect physical conditions and download optimized robot programs. By simulating your process you can always be sure to have the right combination of robot, gun and fixtures. After all, in virtual reality, bumping in to car parts and fixtures does not really matter. Arc Geometric simulation enables accurate arc weld robot programs with optimized gun angle against the seam. Also, it is easy to evaluate guns with different swan neck angles for best reachability. Spot When working on-line it is not an easy thing to program a spot welding robot to weld perpendicular to a surface. With the aid of geometric simulation systems, this is ensured, with improved quality and a durable weld as a result. Evaluating and designing spot weld guns is effectively done in a virtual environment. Laser Laser technology has made many processes more efficient. Robotized laser applications really deserves state of the art manufacturing simulation technology as a companion. Truly these technologies is for the future. Painting When programming a paint robot on-line, there are often difficulties associated with where and how to store robot positions in order to get the best result. Off-line programming reduces many of these difficulties. Features such as paint thickness simulation and the fact that you actually see where you are aiming truly help. Consumption of paint, products, and above all time needed for on-line touch up dramatically decreases. Handling and assembly Simulation can also be used in robotized handling and assembly operations. The product can be checked in fixtures and grippers and together with other products. Kinematics can be added to products. During simulation of handling processes reachability can be checked and collisions can be detected and provided. Simulation can also be used to optimize the layout by checking the placement of fixtures, racks and other equipment. Simulation of human operations Not only robot operations can be simulated, also human operations are possible to simulate. Simulation of human operations is important in an ergonomic point of view. Reachability and accessibility can be analyzed in an early stage of the project, before any physical verification is possible. Different sizes of the human model can be used to point out if changes in layout, process equipment or product are necessary. By using simulation, difficult and/or impossible operations can be eliminated. The purpose of these analyses is to prevent harmful operations. The result of the simulations can also be used in an educational purpose. 4. Robots in place of Human in Food Industry. Robots to solve end-of-line issues in food industry. They face a number of challenges in their end-of-line packaging operations. In a manual process, they must deal with ergonomic issues, labor availability, and the uncertainty of increasing costs associated with recent and potential future legislation. In an automated process, accommodating rapid-fire package changes driven by sustainability initiatives and shelf impact, as well understanding and improving key performance measures such as Overall Equipment Effectiveness (OEE), are key. And in any process, food safety is an overriding concern on the minds of processors, as the consequences of foodborne illness and/or massive product recalls have affected a wide range of food categories. . Current Robotic Trends in Packaging Industrial robots have emerged as a valuable end-of-line tool to help address these challenges for food manufacturers, as the performance and user-friendliness of the technology has increased while costs have decreased. Growth in vision-assisted robotic applications is especially notable, as vision enables a robot to emulate the flexibility of human hand-eye coordination and perform a number of in-process product inspections for quality assurance. A number of statistics point to increased adoption of robotics in the industry: The International Federation of Robotics (IFR) Statistics Department, which provides information on world-wide trends in robotics, reports optimistically about robotics industry growth in the coming years. According to the Robotics and Automation Society, whose goal is to â⬠advance innovation, education, and fundamental and applied research in Robotics and Automation, â⬠(1) says that â⬠Nearly every major user industry increased its purchases in the opening quarter of 2010. Especially strong gains were seen in robot sales to the semiconductor/electronics/photonics industries as well as food consumer goods. â⬠In addition, ââ¬Å"Material handling remains the largest application area for new robot orders, accounting for some 60% of the units sold. Many food companies and packaging machinery manufacturers have successfully applied robots in a wide variety of processes in the dairy, meat, baking, confection, frozen, snack, beverage, and even produce industries.
Saturday, October 26, 2019
E-mail Privacy At Work :: essays research papers
E-mail Privacy at Work E-mail at our company is for work purposes only. The computers and software are company property, and therefore are used for everyday office use only. We reserve the right to monitor all e-mail use, even if you are using a private e-mail account. This is to ensure that our employees are acting in a professional manner, and not giving out any company secrets. Also, employees should never consider anything they write as private, no matter what the circumstance. If you write it on the companyââ¬â¢s computers, it is considered public, even if you place the e-mail in a private folder. According to NOLO.com, a Texas court ruled that unlike a private employee locker where an employee can expect a certain degree of privacy, they have no expectation of privacy in a ââ¬Å"privateâ⬠folder. Another example, is if you are on your own time, but still at work, such as a lunch break. Regardless of when you write the e-mail, if you write it at work, it is public. You may be asking, ââ¬Å"What is appropriate e-mail?â⬠Obviously, slandering other members of the company or clients, as well as e-mails that contain secret information is prohibited. A good rule of thumb is this. If you are not, for whatever reason, comfortable with printing the e-mail out on your computer and then leaving it on your desk so anyone can read it, then you probably shouldnââ¬â¢t write or send that e-mail. Consequences If an employee, through e-mail, is found to have violated one or more of the companyââ¬â¢s policies, appropriate action will follow. Depending on the case, the employee may even be terminated. In fact, a company in Pennsylvania assured its employees that e-mail would not be intercepted and used against them. Despite this claim, the company reviewed e-mails from a supervisor and used it as a basis for termination. According to the Federal court in Pennsylvania, that was perfectly legal (NOLO.com). The court ruled that the companyââ¬â¢s interest in preventing inappropriate or illegal activities outweighed the employeeââ¬â¢s right to privacy. Also, any e-mail can be used against our company in court. A judge can use any private or personal e-mail against us, and it would be legally upheld.
Thursday, October 24, 2019
Natural Resources of Bangladesh
Bangladesh is largely ethnically homogeneous. Indeed, its name derives from the Bengali ethno-linguistic group, which comprises 98% of the population. Bengalis, who also predominate in the West Bengal province of India, are one of the most populous ethnic groups in the world. Variations in Bengali culture and language do exist of course. There are many dialects of Bengali spoken throughout the region. The dialect spoken by those in Chittagong and Sylhet are particularly distinctive. In 2009 the population was estimated at 156 million.Religiously, about 90% of Bangladeshis are Muslims and the remainders are mostly Hindus. Bangladesh became one of the large nation states in 1971when it seceded from Pakistan. Prior to the creation of Pakistan in 1947, modern-day Bangladesh was part of ancient, classical, medieval and colonial India. Since independence, the government has experienced periods of democratic and military rule. The founding leader of the country and its first president was S heikh Mujibur Rahman. His daughter Sheikh Hasina Wazed is currently the prime minister, as leader of the Awami League.Physical features of Bangladesh Location & size Bangladesh is situated in southern Asia, on the delta of the 2 largest rivers on the Indian subcontinentââ¬âthe Ganges and Jamuna (Brahmaputra). It borders with India in the west, north, and east, with Burma (also known as Myanmar) in the southeast, and with the Bay of Bengal in the south. The country's area is 144,000 square kilometers (55,598 square miles), and it is divided into 6 administrative divisions (Dhaka, Chittagong, Khulna, Barisal, Rajshai and Sylhet) and 4 major municipal corporations (Dhaka, Chittagong, Khulna and Rajshahi).Comparatively, the territory of Bangladesh is slightly greater than the state of New York. Bangladesh's capital city, Dhaka, is located in the central part of the country. Bangladesh occupies the eastern part of the Bengal region (the western part of the region is occupied by the I ndian state of West Bengal), which historically was part of the great civilizations in the northeast of the Indian subcontinent. Climate of Bangladesh Bangladesh has a tropical monsoon-type climate, with a hot and rainy summer and a dry winter.January is the coolest month with temperatures averaging near 26 deg C (78 d F) and April the warmest with temperatures from 33 to 36 deg C (91 to 96 deg F). The climate is one of the wettest in the world. Most places receive more than 1,525 mm of rain a year, and areas near the hills receive 5,080 mm ). Most rains occur during the monsoon (June-September) and little in winter (November-February). Bangladesh is subject to devastating cyclones, originating over the Bay of Bengal, in the periods of April to May and September to November. Often accompanied by surging waves, these storms can cause great damage and loss of life.The cyclone of November 1970, in which about 500,000 lives were lost in Bangladesh, was one of the worst natural disasters of the country in the 20th century. Bangladesh has warm temperatures throughout the year, with relatively little variation from month to month. January tends to be the coolest month and May the warmest. In Dhaka the average January temperature is about 19à °C (about 66à °F), and the average May temperature is about 29à °C (about 84à °F). Surface water inflow and river system of Bangladesh Surface Water made up of rivers, streams, lakes, beels and ponds.In other words, all waters on the surface of the earth including fresh and salt water, ice and snow. In Bangladesh, rainfall and trans-boundary river flows are the main sources of surface water. Bangladesh has an average annual surface flow of about 1,073 million acre feet (MAF), of which about 870 MAF (93%) are received from India as inflow and rest 203 MAF (7%) as rainfall. This water is enough to cover the entire country to a depth of 9. 14m. About 132 MAF (65% of rainfall and 12% of total) are lost in evaporation (114. 30 cm) and the rest flows to the Bay of Bengal. Bangladesh has about 700 rivers ncluding tributaries and distributaries, which crisis-cross the landscape and creates about 98,000 ha of inland water bodies and more than 24,000 km streams or water channels. Of these, 54 rivers, including the Ganges and the Brahmaputra, originate from India and 3 originate from Myanmar. About 93% catchment areas of these 58 rivers are beyond Bangladesh, while only 7% is in Bangladesh. During the dry season when irrigation is necessary, these rivers either flow at their lowest levels or become dry in the Bangladesh portion, due to upstream barrages, built in the upper riparian region.The principal rivers of Bangladesh are the Padma, the Megna, The Jamuna, and the Brahamaputra. The Dhaleswari and the Karnafuli. Besides, there are many small rivers like the Buriganga, the Sitallakya, the Gumti, the Tista, the Atrai, the Kortoa, The Mohananda, the Madhumati and many others. They have tributaries as well. Improta nce and usefulness: The rivers are of great help to us. Our agriculture depends on the rivers. The rivers supply water and make the land fertile by depositing silt. Thus they help to produce paddy, jute, wheat and many other crop. The rivers also help our irrigation.Our rivers are a great source of wealth. The rivers abounded in fishes. Fish is an important food of our country. Many people earn their livelihood by catching fish in the rivers. Our rivers are important means for transport too. Boats, launches, steamers ply through them in all seasons. They carry passengers and goods from one place to another. These rivers also help our trade and commerce. Pattern of agriculture Bangladesh is primarily an agrarian economy. Agriculture is the single largest producing sector of economy since it comprises about 30% of the country's GDP and employing around 60% of the total labor force.The performance of this sector has an overwhelming impact on major macroeconomic objectives like employme nt generation, poverty alleviation, human resources development and food security. Agricultural holdings in Bangladesh are generally small. Through Cooperatives the use of modern machinery is gradually gaining popularity. Rice, Jute, Sugarcane, Potato, Pulses, Wheat, Tea and Tobacco are the principal crops. The crop sub-sector dominates the agriculture sector contributing about 72% of total production. Fisheries, livestock and forestry sub-sectors are 10. 33%, 10. 11% and 7. 33% respectively. Bangladesh is the largest producer of Jute.Rice being the staple food, its production is of major importance. Rice production stood at 20. 3 million tons in 1996-97 fiscal year. Crop diversification program, credit, extension and research, and input distribution policies pursued by the government are yielding positive results. The country is now on the threshold of attaining self-sufficiency in food grain production. Types of forest Forestry is a sub-sector of agriculture in Bangladesh, which m akes a contribution to the national economy and is supposed to promote ecological stability. Although Bangladesh is amazingly green, it is a forest-poor country.Most of its public forestlands are located in the Chittagong Hill Tracts, greater Khulna district, greater Sylhet district, Dhaka, Mymensingh and Tangail districts. Half of Bangladesh does not have public forests at all. Homestead forests seen around almost all households are important for the rural communities. They meet a significant portion of fuel wood need and house construction materials, among other things. Although it is estimated that Bangladesh has approximately 6% of its land covered with public forests, actually very little of natural forests is left today except for those in the Sundarbans in Khulna.The plantations are not to be considered as forests. The three main types of public forests are: (i) Tropical evergreen or semi-evergreen forest in the eastern districts of Chittagong, Cox's Bazar, Sylhet, and the Ch ittagong Hill Tracts region; (ii) moist or dry deciduous forests also known as sal (Shorea robusta) forests located mainly in the central plains and the freshwater areas in the northwest region; and (iii) Tidal mangrove forests along the coast ââ¬â the Sundarbans in the southwest of the Khulna and other mangrove patches in the Chittagong, Cox's Bazar and Noakhali coastal belt. Mineral resources Although Bangladesh is a small country, it has a number of mineral resources such as natural gas, oil, coal, hard rock, limestone, white clay, glass sand and mineral sand. At present, natural gas is the only mineral commodity significantly contributing to the national economy. More than 90% of the countryââ¬â¢s energy needs are met by gas, total reserves of which are 21. 35 trillion cubic feet (TCF) and 12. 43 TCF, respectively.Huge reserves of hard rock (granodiorite, quartzdiorite, gneiss) and coal in northwest Bangladesh will help, in the near future, to meet the growing demand for construction materials and energy for the ever-growing population. Total coal reserves are 1753 million tons (MT), the market value of which is more than US$110 billion. Hard rock reserves are 115 million tons, valued at over US$3 billion. Fully fledged extraction of these resources would help to alleviate the countryââ¬â¢s poverty through industrialization.It is expected that coal will soon be extracted on a commercial basis, of which 70 to 80% will be used in power generation. The mineral resources so far found in Bangladesh are meagre in comparison to its high population. To meet the growing demand of the population, more mineral resources need to be discovered and developed, otherwise sustainable development cannot be achieved. However, it is difficult for developing countries like Bangladesh to carry out the necessary activities for exploration and exploitation of hidden mineral resources without foreign assistance. This is a major drawback for Bangladesh.To progress towards an endurable sustainable society, a nation such as Bangladesh must give priority to the development of its existing mineral resources, which can play a major role in helping to reshape the countryââ¬â¢s socio-economic infrastructure. Industrial set up In 1972, the year after its establishment, Bangladesh nationalized most of its industries and set up nine corporate conglomerates to oversee the state-owned enterprises (SOEs). The lack of commercial orientation inhibited investment and growth, including in the traditional jute industry, and the emerging leader, the garment industry.From the mid-1980s, the government shifted to encouraging private investment, but the industrial sector remained closely regulated. In 1991, in the post-Cold War international environment, and with the end of military rule, the government inaugurated a new Industrial Policy planning investment liberalization, the interim restructuring of several large parastatals, as well as the gradual privatization of public enterprises in all but the airways, railways, and mining sectors.Political resistance to privatization was very strong, and in the early 1990s restructuring resulted in some output decline. With a new government, in the period 1996ââ¬â2001, 33 SOEs were sold by the state, but the Economist Intelligence Unit reported that these were smaller operations, and that the divestments did not significantly lessen the government's dominance of the industrial sector. Recent discoveries of large natural gas reserves and plans for new power plants throughout the country were slated to boost industrial growth in 2000 and beyond.However, as of late 2002, plans for the development of natural gas resources continue to be delayed by political rows over the participation of foreign companies. Density and distribution of population In 2010, Bangladesh was estimated to be one of the ten most highly populated countries with an estimated population of just fewer than 160 million. This makes th e population density of about 875 people per sq km (2,267 people per sq mi) higher than other countries.Most of the population is young with about 60 percent under the age of 25, with only about 3 percent over the age of 65 (life expectancy is 61 years). Twenty percent of the population was deemed to be urban in 1998, making population of Bangladesh predominantly rural. Bengalis make up the majority of population of Bangladesh. They are descendants from immigrant Indo-Aryans who came from the west and intermarried with various Bengal groups.The minority in Bangladesh is comprised of several groups, the Chakma and Mogh (Mongoloid people who live in the Chittagong Hill Tracts District), the Santal (migrants from India) and the Biharis (Muslims who came from India). Conclusion Though Bangladesh is a small country but it has great prospects. It can use its vast population as human resources. It is a beautiful country. It can make an effective use of it to attract tourists. To overcome o bstacles to gain success in all sectors all people and govt. should be cooperative. Corruption, political resentment, indiscipline, dishonesty should be reduced by applying laws.
Wednesday, October 23, 2019
Eminent Domain When Can the Government Take the Property of a Citizen Without His Consent?
Melanie Carter Political Science 2212 State & Local Government W01 Spring 2013 Eminent Domain When Can the Government Take the Property of a Citizen Without His Consent? One of the more controversial Government actions is its ability to exercise the power of eminent domain to take control of property that belongs to an individual or private entity against their will. ââ¬Å"Eminent domain, broadly understood, is the power of the state to seize private property without the owner's consentâ⬠(WordNet).This paper will examine the elements of eminent domain and what protections are in place for citizens that may be effected by it, identify types of transactions that are typically involved and accepted in eminent domain cases and discuss what the citizens should expect to receive as compensation even though they have lost the property due to some of the broad definitions of the elements. Any time the government is taking the property of an individual, without his consent, it is a con troversial matter.Many politicians and citizens agree that it was necessary to establish a method of acquiring property for the needs of the common good of the community even when there is a lone hold out property owner. It has been held that the power of eminent domain can only be exercised after meeting the protection standards established under the Fifth Amendment of The United States Constitution. We have been conditioned through the media that the Fifth Amendment protects us against self-incrimination ââ¬Å"I plead the fifthâ⬠.Self-Incrimination is an important aspect but most people donââ¬â¢t realize that the Fifth Amendment has a ââ¬Å"taking clauseâ⬠designed to protect the property owners. ââ¬Å"No person shall be held to answer for a capital, or otherwise infamous crime, unless on a presentment or indictment of a Grand Jury, except in cases arising in the land or naval forces, or in the Militia, when in actual service in time of War or public danger; nor sh all any person be subject for he same offence to be twice put in jeopardy of life or limb; nor shall be compelled in any criminal case to be a witness against himself, nor be deprived of life, liberty, or property, without due process of law; nor shall private property be taken for public use without just compensation (United States Constitution Fifth Amendment). The Amendment initially only applied at a federal level until passage of the Fourteenth Amendment in which due process and equal protection were made applicable to the states.Taken at face value, the Fifth Amendment taking clause can be broken down into four basic elements: Nor shall (1) private property be (2) taken for (3) public use without (4) just compensation The first is private property, it is self-explanatory and the definition is fairly narrow today although its prior applications were more expansive for example one of the biggest issues with emancipation of slaves was the one time belief that they were seen as pr operty and not as individuals and this status protected the property owner.It was this view that brought about the Emancipation Proclamation and passage of the Thirteenth Amendment. Private property is defined as: Private property N-land or belongings owned by a person or group and kept for their exclusive use (Dictionary. com) The next element is the taking of the property. The property my be taken from the owner without their consent in order to make an improvement of some sort that will have a beneficial result for the community.Itââ¬â¢s important also to note that property owner is not only in jeopardy of losing their property to the government but that it may lose to a private developer for the purpose of an improvement that might add value to the city for example in the form of taxes. In the case of eminent domain the property is taken without the consent of the owner of the property. If the owner were to consent or agree to a payment then it is simply a transaction and emi nent domain is no longer applicable.The third element is the requirement that the property is taken for public use and because of the definition applied for public use it is the most controversial. While the party who is surrendering his property under eminent domain will almost always be upset or offended, the remainder of the citizens will typically may not take issue with the process as long as they see the benefit for themselves and their communities. Improved infrastructure such as road building, bridge building, water shed protection and education are examples of these takings that are agreeable with most of the people.The broad definition of ââ¬Å"Public Useâ⬠in Eminent domain cases as applied today: Public use n. the only purpose for which private property can be taken (condemned) by the government under its power of eminent domain. Public use includes: schools, streets, highways, hospitals, government buildings, parks, water reservoirs, flood control, slum clearance and redevelopment, public housing, public theaters and stadiums, safety facilities, harbors, bridges, railroads, airports, terminals, prisons, jails, public utilities, canals, and numerous other purposes designated as beneficial to the public (Hill & Hill).This broad definition was reviewed and established primarily based on two US Supreme Court cases. The first is a 1954 decision in the case of Berman v. Parker (Law. Cornell. Edu) and it was found that public use has a much more broad reach than simply building a roadway. In Berman, the case dealt with the District of Columbia Re-Development Act of 1945 and found it to be constitutional for the administrative agency to take the appellantââ¬â¢s building from him. The appellant owned property and used it for commercial purposes, to use urban slang, he was a ââ¬Å"slum lordâ⬠and the agency wanted to re-develop the area.The Supreme Court agreed that it was reasonable to ââ¬Å"eliminate and prevent slum and substandard housin g conditionsââ¬âeven though such property may be sold or leased to other private interests subject to conditions designed to accomplish these purposesâ⬠(Law. Cornell. Edu). After upholding the Re-Development Act, the definition of ââ¬Å"public useâ⬠was expanded to cover the aforementioned ââ¬Å"beneficial to the publicâ⬠. Essentially the Supreme Court said that the requirements of the Fifth Amendment are fulfilled when the owner of the property receives his just compensation for the taken property.Berman remained the standard for 50 years, but it was not the final say of the US Supreme Court when it comes to defining ââ¬Å"Public Useâ⬠. The next case would further expand on the public portion of the definition in 2004 with the case of Kelo v. The City of New London. In this case, the Supreme Court expanded on the earlier Berman decision. The City of New London had established a development plan that ââ¬Å"projected to create in excess of 1,000 jobs, whi ch would increase tax and other revenues and would also revitalize an economically distressed city including its downtown and waterfront areasâ⬠à (Minier, 2005).After buying most of the property necessary for the development there were a few ââ¬Å"hold outâ⬠landowners who refused to sell their property. The city wanted to use the power of eminent domain to take possession of the properties that belonged the holdout owners. The Supreme Court set precedent when it found for the City of New London and refused to overturn the ruling of the Supreme Court of Connecticut allowing for property to be transferred to a private owner for the use of economic development, which would benefit the community and therefore could be defined as public use.This broadened the public use definition and has created a lot of controversy because it allows a for-profit, private entity to become the new owner of the taken property as long as it can be shown that the public will benefit. The use o f eminent domain for this purpose will often result in public outcry and protest because the citizens donââ¬â¢t agree with the encroachment by private entities much less the government. As an example, what if Ford Motor Company approached the City of Kennesaw about building a new manufacturing plant for its popular F-150 pick-up line.They are planning on creating 2,500 new jobs with the factory as well as relocating another 250 current employees to the area. Ford has acquired all the necessary parcels of land except for one house on one and a half acres that the owner refused to sell despite offers from the company to pay for the property and relocate the owner. The new plant would increase the tax base for the city and would bring people into the area into new homes (creating more business with construction) or into currently vacant homes.Under the broadened definition of ââ¬Å"public useâ⬠the property could be taken by the city as long as just compensation is paid to the owner, and the city could then sell the property to Ford Motor Company to complete the project. The Final element of eminent domain is ââ¬Å"just compensation for the property which has been takenâ⬠(Smith, Greenblatt & Mariani, 2011). The receipt by the property owner of this ââ¬Å"just compensationâ⬠is what closes out the requirements under the Fifth Amendment of the Constitution.While the Berman ruling was significant towards defining public use, the Supreme Court felt it was important to speak of just compensation in its findings on the case. Just compensation is very subjective because usually the ââ¬Å"hold outâ⬠property owner has established a value for his property that is not agreeable to the purchaser of the property; or in some cases the property has a ââ¬Å"greater than cashâ⬠value to the property owner who is just determined not to sell it or have it taken away from him.Initially the government will initiate the process of acquiring the prope rty that they need to complete their project just as if they are attempting to purchase it as an independent buyer would. If there is a meeting of the minds and an agreement is reached the purchase is a simple procedure. The challenge comes in when the current owner and the government do not come to an agreement; it is at this point that the process of eminent domain will begin with the formal filing of a lawsuit by the government to take the property.It is also important to note each state has itââ¬â¢s own laws in regards to eminent domain; for example, in one state the government may be required to pay any legal fees assessed in the case. As discussed earlier, if the parties were to come to terms on a purchase then eminent domain would not be applicable. The owner has the right to just compensation which is compensation for property taken under eminent domain that places a property owner in the same position as before the property is taken see also eminent domain.NOTE: Just com pensation is usually the fair market value of the property taken. Since the definition of public use has been broadened it the significance of just compensation increases because it is the greater judicial measure of having met the requirements of the Fifth Amendment. Further, ââ¬Å"The owner of property is entitled to be put in as good a position pecunuarily as if his property had not been takenâ⬠. Fair Market Value as applied within just compensation is also subjective and controversial.FMV (Fair Market Value) will consider current improvements to the property but it does not take into account sentimental value, historical significance, or future increase in value of the property. When addressing the just compensation issue the government usually has the advantage because if they have already decided to exercise the Power of Eminent domain then negotiations have usually ended and with the public use issue settled the property owner can only take the issue to court and hope f or a favorable decision and award through arbitration or the court process.While just compensation covers the property at fair market value it does not cover attorneyââ¬â¢s fees related to the disputed acquisition of the property. The challenge here is that the family that has been displaced may find little satisfaction in being justly compensated (in the eyes of the government) for having their lives in an upheaval; their lives may be wrapped up in the community in which they have been rooted and eminent domain could cause an unjust hardship outside of the monetary issue. This is one of the examples that make eminent domain one of the most unpopular acts.The Power of Eminent domain plays an important role in our communities. Although the Fifth Amendment was designed to afford protection to the property owners that protection has been diluted through a series of court rulings that have broadened definitions and allow Eminent domain to work in the governments favor. Essentially th e government will prevail if it meets the four elements of the Fifth Amendmentââ¬â¢s takings clause nor shall (1) private property be (2) taken for (3) public use without (4) just compensation.When deciding the next course of action the property owner should be aware these elements and also should consider the worthiness of the challenge. Currently the Atlanta Falcons, a private sports franchise, are looking for a new stadium that will be built and operated in a joint venture with the City of Atlanta through a government appointed agency, The Georgia World Congress Center Authority and just compensation will play heavily in the activities of property acquisition.There are two churches in the way of the proposed new stadium site, one of which wants to improve its standing and position and the other has age and historical significance. Friendship Baptist Church has historical significance in that it was started by slaves more than 150 years ago and is the ââ¬Å"oldest black Baptis t church in the city of Atlantaâ⬠and many important events/institutions began at this church including the fact that Spelman College was founded in the basement of the church and Morehouse College held classes there (Proctor, 2013).At this point, Lloyd Hawk who is the Chair of the Board of Trustees for the church says that they want the significance of the church to continue to be at the forefront and they want some of the significance of the church, such as the Bell Tower, to remain but they are waiting to see what kind of offer they are going to be made. The other church, Mount Vernon Baptist, has conceded that they would sell and have stated that they want to do what is best for both the community and the church.There will be other property owners who choose to hold out trying to get the ââ¬Å"best dealâ⬠. This matter will be a good, relevant case study in eminent domain because it will involve all aspects of the disputed issues including public money, public use, inc reased economic impact, and private corporate involvement. The bottom line is that in the case of eminent domain there is no clear winner and there may be a clear loser. In some cases it may be a good thing for all parties involved; perhaps the property owner has no ties to the property and is ready to get out.Taking payment for the property may be a way that they can walk away cleanly. But, the government, in my eyes will never be the loser because they will always get what they want. The homeowner may not want to surrender the property for any amount of money based on sentiment or any number of other reasons and being forced out of their gamily home is stressful. Or, the homeowner may feel that the financial (just compensation) falls short of their expectations or they may simply be greedy and want too much.In either scenario the homeowner is clearly the loser if they lose their home under circumstance that they feel are less than ideal if the power of eminent domain prevails. Bib liography Hill, G. , & Hill, K. (n. d. ). Retrieved from http://legal-dictionary. thefreedictionary. com/public use Minier, D. (2005). Kelo v. city of new london. Retrieved from http://www. casebriefs. com/blog/law/property/property-law-keyed-to-dukeminier/eminent-domain-and-the-problem-of-regulatory-takings/kelo-v-city-of-new-london/ Miriam Webster. N. p. : n. p. , n. d.Http://dictionary. findlaw. com/definition/just-compensation. html. Web. 04 Apr. 2013. . (n. d. ). Retrieved from http://www. law. cornell. edu/supct/html/historics/USSC_CR_0348_0026_ZS. html private property. (n. d. ). WordNetà ® 3. 0. Retrieved April 16, 2013, from Dictionary. com website:à http://dictionary. reference. com/browse/private property private property. (n. d. ). Collins English Dictionary ââ¬â Complete & Unabridged 10th Edition. Retrieved April 16, 2013, from Dictionary. com website:http://dictionary. reference. com/browse/private propertyProctor, A. (2013, March 22). Historic atlanta church si ts on proposed site of new falcons stadium. Fox 5 News. Retrieved from Historic Atlanta church sits on proposed site of new Falcons stadium SCEG. (n. d. ). Retrieved from http://www. columbia. edu/cu/cssn/expansion/ Smenkowski, B. P. (n. d. ). Retrieved from http://www. britannica. com/EBchecked/topic/206470/Fifth-Amendment/296512/Takings In text (Smenkowski) Smith, K. B. , Greenblatt, A. , & Mariani, M. (2011). Governing states and localities. (3 ed. , p. 439). Washington, D. C. : Cq Staff Directories.
Tuesday, October 22, 2019
lucy essays
lucy essays The behaviorist approach leads us to believe that personality consists of all of an individuals behaviors. According to Skinner all behavior is determined by contingencys of reinforcment, based on the type and frequency of the reinforcment. If this is true, then we are more apt to repeat behaviors that are rewarded and less apt to repeat punished behaviors. The expirence Id like to share about my reinforcment procedure involves my dog Lucy. Lucy is a chow and black labrador mix. Currently Lucy is one and half years old. I have used reinforcment while training her to respond in a conditioned way. Lucys favorite food is sliced american cheese. Using the cheese as a conditioned stimulus, I have trained Lucy to give a desired conditioned response. When I told Lucy to sit and she did, I would give her a slice of cheese. So Lucy eventually became aquaintede with the slice of cheese being a reward of sitting on command. The partial reinforcment schedule used for Lucy was on a variable ratio. She did not receive a slice of cheese each time she responded to the command. It was on an average of every three responses that she was rewarded. I did not want a fixed ratio because I did not want Lucy to expect a slice of cheese every time someone had it. Lucy is at the point where she now does not have to be told to sit. As she hears the refridgerator door open, she becomes alert to the activity going on inside. Lucy will run over to the refridgerator. Once the cheese is taken out of the draw, Lucy recognizes the sound of the wrapper. Lucy reacts on this discriminative stimulu and will sit on her own in order to revieve the slice of cheese. Knowing that cheese is her favorite food, I also use it as a negative reinforcment. Lucy loves to run out the door when people enter the house. I live on a street that gets a good deal of traffic, let alone it is ilegal for her to be running around loose. Afraid th...
Monday, October 21, 2019
Fala - Franklin D. Roosevelts Favorite Dog
Fala - Franklin D. Roosevelt's Favorite Dog Fala, a cute, black Scottish terrier, was President Franklin D. Rooseveltsà favorite dog and constant companion in the last years of FDRs life. Where Did Fala Come From? Fala was born on April 7, 1940, and given as a present to FDR by Mrs. Augustus G. Kellog of Westport, Connecticut. After a short stay with FDRs cousin, Margaret Daisy Suckley, for obedience training, Fala arrived at the White House on November 10, 1940. Falas Name As a puppy, Fala had been originally named Big Boy, but FDR soon changed that. Using the name of his own 15th century Scottish ancestor (John Murray), FDR renamed the dog Murray the Outlaw of Falahill, which quickly became shortened to Fala. Constant Companions Roosevelt doted on the little dog. Fala slept in a special bed near the Presidents feet and was given a bone in the morning and dinner at night by the President himself. Fala wore a leather collar with a silver plate that read, Fala, the White House. Fala traveled everywhere with Roosevelt, accompanying him in the car, on trains, in airplanes, and even on ships. Since Fala had to be walked during long train rides, Falas presence often revealed that President Roosevelt was on board. This led the Secret Service to codename Fala as the informer. While in the White House and while traveling with Roosevelt, Fala met many dignitaries including British Prime Minister Winston Churchill and Mexican President Manuel Camacho. Fala entertained Roosevelt and his important visitors with tricks, including being able to sit up, rolling over, jump up, and curl his lip into a smile. Becoming Famous and a Scandal Fala became a celebrity in his own right. He had appeared in numerous photographs with the Roosevelts, was seen at major events of the day, and even had a movie made about him in 1942. Fala had become so popular that thousands of people wrote him letters, causing Fala to need his own secretary to respond to them. With all this publicity surrounding Fala, Republicans decided to use Fala to slander President Roosevelt. A rumor was spread that President Roosevelt had accidentally left Fala in the Aleutian Islands during a trip there and had then spent millions of taxpayer dollars to send a destroyer back to fetch him. FDR answered these allegations in his famous Fala Speech. In his speech to the Teamsters Union in 1944, FDR said that both he and his family somewhat expected malicious statements to be made about themselves, but that he had to object when such statements were made about his dog. FDRs Death After being President Roosevelts companion for five years, Fala was devastated when Roosevelt passed away on April 12, 1945. Fala rode on the Presidents funeral train from Warm Springs to Washington and then attended President Roosevelts funeral. Fala spent his remaining years living with Eleanor Roosevelt at Val-Kill. Although he had lots of room to run and play with his canine grandson, Tamas McFala, Fala, however, never quite got over the loss of his beloved master. Fala passed away on April 5, 1952, and was buried near President Roosevelt in the rose garden at Hyde Park.
Sunday, October 20, 2019
Sterilization in Nazi Germany
Sterilization in Nazi Germany In the 1930s, the Nazis introduced a massive, compulsory sterilization of a large segment of the German population. What could cause the Germans to do this after having already lost a large segment of their population during World War I? Why would the German people let this happen? The Concept of The Volk As social Darwinism and nationalism merged during the early twentieth century, the concept of the Volk was established. Quickly, the idea of the Volk extended to various biological analogies and was shaped by the contemporary beliefs of heredity. Especially in the 1920s, analogies of the German Volk (or German people) began surfacing, describing the German Volk as a biological entity or body. With this concept of the German people as one biological body, many believed that sincere care was needed to keep the body of the Volk healthy. An easy extension of this thought process was if there was something unhealthy within the Volk or something that could harm it, it should be dealt with. Individuals within the biological body became secondary to the needs and importance of the Volk. Eugenics and Racial Categorization Since eugenics and racial categorization were in the forefront of modern science during the early twentieth century, the hereditary needs of the Volk were deemed of significant importance. After the First World War ended, the Germans with the best genes were thought to have been killed in the war while those with the worst genes did not fight and could now easily propagate.1 Considering the new belief that the body of the Volk was more important than individual rights and needs, the state had the authority to do whatever necessary to help the Volk. Sterilization Laws in Pre-war Germany The Germans were not the creators nor the first to implement governmentally sanctioned forced sterilization. The United States, for instance, had already enacted sterilization laws in half its states by the 1920s which included forced sterilization of the criminally insane as well as others. The first German sterilization law was enacted on July 14, 1933 - only six months after Hitler became Chancellor. The Law for the Prevention of Genetically Diseased Offspring (the Sterilization Law) allowed the forced sterilization for anyone suffering from genetic blindness, hereditary deafness, manic depression, schizophrenia, epilepsy, congenital feeblemindedness, Huntingtons chorea (a brain disorder), and alcoholism. The Process of Sterilization Doctors were required to register their patients with genetic illness to a health officer as well as petition for the sterilization of their patients who qualified under the Sterilization Law. These petitions were reviewed and decided by a three-member panel in the Hereditary Health Courts. The three-member panel was made up of two doctors and a judge. In the case of insane asylums, the director or doctor who made the petition also often served on the panels that made the decision whether or not to sterilize them.2 The courts often made their decision solely on the basis of the petition and perhaps a few testimonies. Usually, the appearance of the patient was not required during this process. Once the decision to sterilize had been made (90 percent of the petitions that made it to the courts in 1934 ended up with the result of sterilization) the doctor that had petitioned for the sterilization was required to inform the patient of the operation.3 The patient was told that there would be no deleterious consequences.4 Police force was often needed to bring the patient to the operating table. The operation itself consisted of ligation of the fallopian tubes in women and a vasectomy for men. Klara Nowak was forcibly sterilized in 1941. In a 1991 interview, she described what effects the operation still had on her life. Well, I still have many complaints as a result of it. There were complications with every operation I have had since. I had to take early retirement at the age of fifty-two - and the psychological pressure has always remained. When nowadays my neighbors, older ladies, tell me about their grandchildren and great-grandchildren, this hurts bitterly, because I do not have any children or grandchildren, because I am on my own, and I have to cope without anyones help.5 Who Was Sterilized? Asylum inmates consisted of thirty to forty percent of those sterilized. The main reason for sterilization was so that the hereditary illnesses could not be passed onà inà offspring, thus contaminating the Volks gene pool. Since asylum inmates were locked away from society, most of them had a relatively small chance of reproducing. The main target of the sterilization program were those people with a slight hereditary illness and who were at an age of being able to reproduce. Since these people were among society, they were deemed the most dangerous. Since slight hereditary illness is rather ambiguous and the category feebleminded is extremely ambiguous, some people were sterilized for theirà asocialà or anti-Nazi beliefs and behavior. The belief in stopping hereditary illnesses soon expanded to include all the people within the east whom Hitlerà wanted eliminated. If these people were sterilized, the theory went, they could provide a temporaryà workforceà as well as slowly create Lebensraum (room to live for the German Volk). Since the Nazis were now thinking of sterilizing millions of people, faster, non-surgical ways to sterilize were needed. Inhuman Nazi Experiments The usual operation for sterilizing women had a relatively long recovery period - usually between a week and fourteen days. The Nazis wanted a faster and perhaps unnoticeable way to sterilize millions. New ideas emerged and camp prisoners at Auschwitz and at Ravensbrà ¼ck were used to test the various new methods of sterilization. Drugs were given. Carbon dioxide was injected. Radiation and X-rays were administered. The Lasting Effects of Nazi Atrocity By 1945, the Nazis had sterilized an estimated 300,000 to 450,000 people. Some of these people soon after their sterilization also were victims of the Nazi euthanasia program. While many others were forced to live with this feeling of loss of rights and invasion of their persons as well as a future of knowing that they would never be able to have children. Notes 1. Robert Jay Lifton,à The Nazi Doctors: Medical Killing and the Psychology of Genocideà (New York, 1986) p. 47.2. Michael Burleigh,à Death and Deliverance: Euthanasia in Germany 1900-1945à (New York, 1995) p. 56.3. Lifton,à Nazi Doctorsà p. 27.4. Burleigh,à Deathà p. 56.5. Klara Nowak as cited in Burleigh,à Deathà p. 58. Bibliography Annas, George J.à andà Michael A. Grodin.à The Nazi Doctors and the Nuremberg Code: Human Rights in Human Experimentation. New York, 1992. Burleigh, Michael.à Death and Deliverance: Euthanasia in Germany 1900-1945. New York, 1995. Lifton, Robert Jay.à The Nazi Doctors: Medical Killing and the Psychology of Genocide. New York, 1986.
Saturday, October 19, 2019
Select a community concern and address the problem and findings in a Essay
Select a community concern and address the problem and findings in a report - Essay Example The Centers for Disease Control and Prevention (CDC) has revealed that ââ¬Å"cigarette smoking is the leading cause of preventable death in the United States, accounting for approximately 443,000 deaths, or 1 of every 5 deaths, in the United States each yearâ⬠(CDC, 2012, par. 2). Likewise, statistics revealed that more than 68% of smokers have signified intentions to stop (CDC, 2011) and that ââ¬Å"the combination of medication and counseling is more effective for smoking cessation than either medication or counseling aloneâ⬠(CDC, 2011, p. 1). Government agencies have acknowledged that a coalition between the state and local communities would assist in helping smokers control and ultimately lessen or stop smoking. Accordingly, ââ¬Å"communities need to work toward transforming the knowledge, attitudes, and practices of users and nonusers by changing the way tobacco is promoted, sold, and usedâ⬠(CDC, 2011, p. 1). The solution to stop smoking is a collaborative effort that starts with the smoker, the family members, and the local community where he or she is an active part
Effects of Technology in Administrative Office Systems Essay - 1
Effects of Technology in Administrative Office Systems - Essay Example ed turnaround such as Smartphone, the Internet and tablet PCs has shown signs of certain disadvantages that may have long-lasting effects if not addressed timely. Since connectivity to the internet is not an issue anymore it is possible to access both personal and office related work via the internet just about any time during the day. All one needs to do is to log into the internet and begin to access your work while even sitting at your home. " Typically, the concern about our dependence on technology is that it detracts from our time with family and friends in the real world. ... It may be that the immediacy of the Internet, the efficiency of the iPhone and the anonymity of the chat room change the core of who we are." (Pope, 2010) Administrative Offices have many managerial tasks at hand. It is imperative that their details be discussed in order to narrate the changes that would be bought with the fusion of technology in them. For a conventional office system administrative tasks may merely be as simple as the maintenance of records of the employees working for an organization and the maintenance and generation of their payroll, regularly, on a monthly basis to the strategic tasks as those involving major business decision making. Managing of administrative knowledge, in a knowledgeable manner is the key to betterment in the implementation of these processes. Shannak researched the effect of managing knowledge upon administrative decision making and quotes the following as part of his research, "Knowledge Management is a technique that seeks to improve the performance of individuals and organizations by making use of the present and future value of knowledge assets. It is presumed that the performance will be improved by providing the right knowledge to the right people at the right time." (Shannak, 2010) The introduction of technology has revolutionized the nature of administrative office tasks. The transition from manually entered official data in a
Friday, October 18, 2019
Assignmnet for marketing Essay Example | Topics and Well Written Essays - 750 words - 1
Assignmnet for marketing - Essay Example cow being a sacred animal, he began to communicate well with them. 2. Todd could not adjust into Indian environment initially due to which he could not bring the success rate of call centre i.e. Minutes per incident rate, to the desired standard. However, the incident of Holi helped him understand Indian values (Outsourced, 2007). Once, he stopped resisting Indian norms and values, provided appropriate rewards to his employees and shared his success with others, things became easier for him. The movie also managed to illustrate that respect helped Todd gain support of his team members and also of other people that he encountered during his stay in India. For example, Todd encountered a difficult situation when his supervisor comes to assess the performance and due to poor infrastructure, the whole building is flooded (Outsourced, 2007). With the help of his staff, he manages to demonstrate exceptional managerial skills. Also, the children on the streets decorating his cell phone also shows that mutual respect is important for people to have a stren gthen relationship. 3. Todd tried correcting Puru various times however he later on realized that Puru is not much aware of American accent and correcting him every time will not help him. Furthermore, he was also very reluctant to be part of this new change that was imposed on him and wanted to invest little effort in every aspect of this new life. That is why he did not even try correcting his landlady when she called him ââ¬ËToadââ¬â¢ (Outsourced, 2007). 4. The movie projects an idea that all human beings have basic needs and motivations despite belonging to different cultures. This notion was supported by the scene where call centre staff shared their queries with Todd if they can purchase some of the products that they have been selling to American consumers. Knowing that, Todd was amazed at
English Composition 1 essayThis paper is to be an argument; it must Essay
English Composition 1 essayThis paper is to be an argument; it must put forth a position about which reasonable, educated people can be expected to disagree. It must not present both sides of the story - Essay Example The use of tobacco casts deep effects on the health of a regular user. There are many diseases associated with the use of tobacco products. The use of tobacco products can cause cancer in many parts of the body. Children and women are more vulnerable to the negative effects of tobacco. This essay aims at identifying the drawbacks of smoking cigarettes and other tobacco products. This essay tries to make all aware of the reasons why all tobacco products should be banned. Smoking tobacco harms our health in many ways. In fact, the use of tobacco is akin to slow poisoning. The most famous and favorite form of tobacco products is ââ¬ËCigaretteââ¬â¢. Cigars and chewing tobacco are some important forms of the consumable tobacco products. Federal Drug Agency noted that use of tobacco is injurious to health (Federal Drug Agency). There are many diseases associated with tobacco usage. As per estimates by independent non-governmental organizations, more than 20 million people have been died due to use of cigarettes. There are many diseases associated with the usage of tobacco. In the US alone, smoking causes more than 480,000 deaths per year. The most dangerous diseases associated with the use of tobacco products are Lung Cancer, Oral Cancer, and other Cardiovascular and Respiratory diseases (National Cancer Institute).There are numerous harms of tobacco products. Cigarette, the famous tobacco product is also injurious to health. Smocking can cause cancer in many part of the body including Bladder, Blood (acute myeloid leukemia), Cervix, Colon, Esophagus, Kidney, Larynx, Liver, Oropharynx, Pancreas, Stomach, and Trachea (National Cancer Institute). Tobacco products also badly affect our brain and activities of brain. The effect of a commonly used tobacco product cigarette, as an example would further reflect on the related risks and harms. Generally, a smoker inhales 10 puffs on a cigarette in a 5 minutes time.
Thursday, October 17, 2019
Madonna's Voyage to the iWorld Term Paper Example | Topics and Well Written Essays - 3500 words
Madonna's Voyage to the iWorld - Term Paper Example Music and technology have always gone hand-in-hand. As far as 1877, when the voice was first recorded with the inventions of the phonograph and graphophone, the music industry has already been assisted and improved by what innovation has to offer. Given that Madonnaââ¬â¢s rise to stardom happened in the 80s, this is also where this paper will begin to trace the chronology of the technological development in the music industry and how Madonna figured out in all of them. By the end of the 1970s, music sales drop and various record companies start campaigns within the industry to restrain or even eliminate home taping. However, in 1979, cassette popularity skyrocketed with the launch of the Sony Walkman. This introduction corresponds to the upgrading of the sound quality of the cassette. Instantly, the cassette tape became the sole format that can be used in your home, carried in your pocket and played in your vehicle. The Recording Industry Association of America, which is the lobby ing and trade organization of the record industry, constantly fought for taxes placed on blank tapes up until the 1980s. Eventually, legislators gave the music labels a part of the sale of each blank tape. In 1978, Sony and Philips revealed their proposal to collaborate and produce an identical format for the Compact Disc. Record labels then revealed, in 1982, a global standard that guarantees that all kinds of CDs will work on every CD player there is. During the same year, ââ¬Å"52nd Streetâ⬠by Billy Joel was made public in Japan, which is the first ever CD to be launched in the world. Come 1988, the CD exceeded the LP in terms of sales percentage. The 80s was considered the most important period in the history of the recorded audio industry, primarily because of the launch of the Compact Disc. Within three years of the arrival of the compact disc in the industry, one million CD players have already been sold in the electronics market. In comparison, it took more than a dec ade for the manufacturers of colored television to sell one million TVs. Shortly after the introduction of the CD, the Digital Audio Tape (DAT) was launched. Unfortunately, it was met with abrupt opposition from music publishers and composers since they feared the possibility of the piracy, especially because of the almost perfect duplication capability and excellent sound quality of the DAT. From the kick-off, RIAA contends for a tool to be positioned inside the recorder in order to prevent duplication. Even after this tool, which is known as the "serial copy management systemâ⬠, was placed on all DAT recorders sent to the United States, composers and music publishers continued claiming for fees on every DAT tape or machine sold as a compensation in case of home taping. This dispute led to the lack of support of the format from the record industry. Seeing that the DAT format is not feasible, record labels decided not to produce or market pre-recorded DATs. Since there is no pr e-recorded tape, no one will buy a recorder. Ultimately, since there are no sales for recorders, a market for pre-recorded tape is non-existent. In 1990, the mishmash of the Internet and digital audio started an explosive phenomenon ââ¬â the creation of the Moving Pictures Experts Group-1 Layer-3 or simply MP3. This is a compressed audio file with a small size but still the same sound quality. This format makes file transfer way easier. Madonna knew well how she can make use of these new technological developments in the music industry to the fullest. The internet also made her popularity easier to enhance and spread out. However, along with advantages are disadvantages brought about by the same technological innovations. A proof of pop superstar Madonnaââ¬â¢s awareness of how technology can advance her career is her fight to gain tight and control over a domain name that clearly alludes to her name and makes use of her popularity. The said domain, madonna.com, is actually a pornographic website that is obviously riding with her nameââ¬â¢
The Journal of Helene Berr Essay Example | Topics and Well Written Essays - 1000 words
The Journal of Helene Berr - Essay Example The book is a compilation of Berrââ¬â¢s diary that took every day of her life during the two years of Jewsââ¬â¢ persecution. The book presents persecution of Jews in France during the Nazi era. It accounts for the great suffering of the French Jews during this era. The book shows how the Jews were snatched from the streets and their deportation, and others killings. The book elaborates on the treatment of the Jews during the World War Two. She began writing the diary in 1942 but, the publishing was 63 years after the death of Helene Berr. The author records all the humiliations that the Jews went through in the occupied Paris in the hands of the Nazis. Helene Berr entrusted the diary to the family cook who was to pass to Heleneââ¬â¢s fiance.1 Helene Berr was a 21 year old Jew who was pursuing English literature at Sorbonne. She was from a rich Jewish family that was living in France. She lived with her family, which included her parents, elder sister and a domestic worker.2 She was intelligent, brave, loving and passionate about everything that she did and full of talent. There is well presentation of these traits in the book as it flows. During the peaceful times in France, Helene and her family had a decent life that the rich people could afford. Helene had a normal life and socialized with most people in the surrounding society even those who were not of her social class. This is shown by the life she was living by having friends from the school, amateur musicians, her family and how they went for holidays and her maternal grandmother.3 During this time, there were two parts of France; Paris and South France. South was the peaceful state when Paris was unsafe due to occupation of the Nazis. The occupation of the Nazis led to people escaping to the South including Heleneââ¬â¢s younger brother Jacques. After the Nazis occupation, life of Helene and that of her family took a new turn in that they could not live in peace anymore. Her father was arres ted and deported. This is where her transformation sets in because she had to join Jewish supporters and relief agencies which were her fifth circle of her life. In these agencies, she became friendly to many people who were the front runners in protecting the French Jews. At the agencies, she helped in saving many lives of the Jews who were threatened by the Germans. They took care of the orphans whose parents were arrested and killed. The friendliness is well presented in the book, because of many friends she had in the English studies department, in Sorbonne. This show how humble she was even though she came from a rich French family of Jewish origin. The book also shows how Helene was caring; this is evident where she suppressed feelings towards her fiance who fled to the South so as to stay with the rest of the family and not to act in a cowardly manner. During this period, Helene took the orphans in an aid organization to nature walks and helped in running the headquarters. Th e act shows how brave she was to stay and identify with the suffering Jews. She was brave enough to put on a yellow star that was used to identify the Jews.4 She develops this change of mind to identify with fellow Jews who were facing persecution. This situation affected Berrââ¬â¢s family life as Heleneââ¬â¢s father was arrested and deported. She even stopped schooling and the man she loved fled to the South; this made her lose the things she loved most; her fiance and her studies.5 Helene was a strong person because she survived and lived without the men she loved; her father and her fiance. Helene criticized the French Christians who ignored what was happening to the Jews.6 She advocated for socialism where all people were to be treated in the same manner no
Wednesday, October 16, 2019
Madonna's Voyage to the iWorld Term Paper Example | Topics and Well Written Essays - 3500 words
Madonna's Voyage to the iWorld - Term Paper Example Music and technology have always gone hand-in-hand. As far as 1877, when the voice was first recorded with the inventions of the phonograph and graphophone, the music industry has already been assisted and improved by what innovation has to offer. Given that Madonnaââ¬â¢s rise to stardom happened in the 80s, this is also where this paper will begin to trace the chronology of the technological development in the music industry and how Madonna figured out in all of them. By the end of the 1970s, music sales drop and various record companies start campaigns within the industry to restrain or even eliminate home taping. However, in 1979, cassette popularity skyrocketed with the launch of the Sony Walkman. This introduction corresponds to the upgrading of the sound quality of the cassette. Instantly, the cassette tape became the sole format that can be used in your home, carried in your pocket and played in your vehicle. The Recording Industry Association of America, which is the lobby ing and trade organization of the record industry, constantly fought for taxes placed on blank tapes up until the 1980s. Eventually, legislators gave the music labels a part of the sale of each blank tape. In 1978, Sony and Philips revealed their proposal to collaborate and produce an identical format for the Compact Disc. Record labels then revealed, in 1982, a global standard that guarantees that all kinds of CDs will work on every CD player there is. During the same year, ââ¬Å"52nd Streetâ⬠by Billy Joel was made public in Japan, which is the first ever CD to be launched in the world. Come 1988, the CD exceeded the LP in terms of sales percentage. The 80s was considered the most important period in the history of the recorded audio industry, primarily because of the launch of the Compact Disc. Within three years of the arrival of the compact disc in the industry, one million CD players have already been sold in the electronics market. In comparison, it took more than a dec ade for the manufacturers of colored television to sell one million TVs. Shortly after the introduction of the CD, the Digital Audio Tape (DAT) was launched. Unfortunately, it was met with abrupt opposition from music publishers and composers since they feared the possibility of the piracy, especially because of the almost perfect duplication capability and excellent sound quality of the DAT. From the kick-off, RIAA contends for a tool to be positioned inside the recorder in order to prevent duplication. Even after this tool, which is known as the "serial copy management systemâ⬠, was placed on all DAT recorders sent to the United States, composers and music publishers continued claiming for fees on every DAT tape or machine sold as a compensation in case of home taping. This dispute led to the lack of support of the format from the record industry. Seeing that the DAT format is not feasible, record labels decided not to produce or market pre-recorded DATs. Since there is no pr e-recorded tape, no one will buy a recorder. Ultimately, since there are no sales for recorders, a market for pre-recorded tape is non-existent. In 1990, the mishmash of the Internet and digital audio started an explosive phenomenon ââ¬â the creation of the Moving Pictures Experts Group-1 Layer-3 or simply MP3. This is a compressed audio file with a small size but still the same sound quality. This format makes file transfer way easier. Madonna knew well how she can make use of these new technological developments in the music industry to the fullest. The internet also made her popularity easier to enhance and spread out. However, along with advantages are disadvantages brought about by the same technological innovations. A proof of pop superstar Madonnaââ¬â¢s awareness of how technology can advance her career is her fight to gain tight and control over a domain name that clearly alludes to her name and makes use of her popularity. The said domain, madonna.com, is actually a pornographic website that is obviously riding with her nameââ¬â¢
Tuesday, October 15, 2019
COM100 Movie Review Example | Topics and Well Written Essays - 250 words
COM100 - Movie Review Example 1. Primary Identity - is the identity that we cultivate from our childhood based upon social norms and expectations. For Joey, this meant that his primary identity was that of a strong man who can handle any problems that his life may based upon his gender training and confidence in himself. 2. Secondary Identity- is the identity that one needs to cultivate based upon his situation in life. In the case of Joey, he had to get in touch with his feminine side and accept a job that was traditionally assigned to a woman due to his financial needs. Being a ââ¬Å"mannyâ⬠thus became his secondary identity in life. These reasons combined to force him to redefine himself a man and a member of society who is still more of his primary identity rather than his secondary identity. 3. Characteristics of Identity - Joey is the perfect example of a man who is highly confident of both his primary and secondary identities because he displays both a fixed and dynamic level of identity depending upon which particular identity he is portraying at the time. His secondary identity of cultivated by his interaction within the family circle of his employer and his willingness to perform the secondary identity tasks such as cooking, cleaning, ironing, grocery shopping, handyman jobs, etc. It is because of Joeys unique character on the show that ââ¬Å"Melissa and Joeyâ⬠makes for an interesting episode based show study of the ways and methods by which individual identities are created and
Monday, October 14, 2019
Computers and Information Systems Essay Example for Free
Computers and Information Systems Essay INTRODUCTION OF INFORMATION SECURITY POLICY Information is a valuable asset. The protection of these assets is a basic management responsibility. Employing officers are responsible for: â⬠¢ Identifying and protecting computer-related information assets within their assigned area of management control and ensuring that these assets are used for management-approved purpose only and all employees understand their obligation to protect them. â⬠¢ Implementing security practices and procedures that are consistent with the Company Information Asset Security Manual and value of the assets. PRIVACY AND SECURITY POLICIES TAKEN CARE BY VARIOUS HIGHLY RECOGNIZED HEALTHCARE ORGANIZATION PARTNERS HEALTHCARE ORGANIZATION Partners HealthCare is committed to ensuring the privacy and security of patient health information. In order to facilitate and implement the activities related to the privacy and security of Protected Health Information (PHI), Partners HealthCare has appointed a Corporate Privacy Officer. The privacy officer responsible for implementation and oversight of the policies and procedures regarding the privacy of health information at their site. BETH ISRAEL MEDICAL CENTER Beth Israel Medical Center has adopted CPRI Toolkit -Technology Resources Policy to ensure uniform and appropriate use of its computer and telecommunication resources (the ââ¬Å"Technology Resources,â⬠defined below). POLICY: In using or accessing the Technology Resources, Users must comply with the following provisions. NO EXPECTATION OF PRIVACY ââ¬Å"Users understand and agree that: BIDMC retains the right, with or without cause or notice to the User, to access or monitor the Computer Information, including User e-mail and Internet usage.â⬠(Hodge et al. 1968, pg 17) Please keep in mind that anything created or stored on the Technology Resources, including the Computer Information, may be reviewed by others and that even deleted files may be recovered. USE OF E-MAIL AND INTERNET ACCESS AND USE All User e-mail addresses assigned by BIDMC shall remain the sole and exclusive property of BIDMC. Users should endeavor to make each of their electronic communications truthful and accurate. ââ¬Å"Users should use the same care in drafting e-mail and other electronic documents as they would for any other written communication. The quality of your writing will reflect on BIDMC. Users are encouraged to use the Internet and intranets to assist them in the performance of their jobs.â⬠(Thomas. R. 2001, 87) PASSWORDS Users are responsible for safeguarding their passwords for access to the Technology Resources. Users should recognize that the combination of a logon identification and password is the equivalent of a signature and that the disclosure to another individual is the equivalent of handing that individual a signed blank check. MAYO HEALTHCARE ORGANIZATION Mayo HealthCare is committed to ensuring the privacy and security of patient health information by means of certain policies. ACCESS CONTROL TERMS Individual-based access control. Role-based access control. Context-based access control. POLICY-RELATED TERMS Policy: a broad statement of principle or intent that presents Mayoââ¬â¢s position. Policies are interpreted and supported by standards. Standard: a rule or regulation that specifies conduct or a course of action. Standards are mandatory directives for implementing Mayo policy that ensure uniform compliance. Guideline: a recommended course of action or a response to a given situation. Guidelines should be considered when determining how to implement standards. PROTECTED HEALTH INFORMATION (PHI) I. Information security Mayo Foundation will protect its vital information from unauthorized access, modification, disclosure, or destruction, by conducting security program with patients and of Mayo Foundation. II. Security administration A group will exist to develop and maintain an information security program for Mayo Foundation entities. THEMES COMMON AMONG EACH ORGANIZATION`S POLICIES â⬠¢ Controlling Access to Information and Systems, Operations and Administration. â⬠¢ Network Security Policies. â⬠¢ E-mail and the Worldwide Web, Telephones and Fax. â⬠¢ Data Management. â⬠¢ Backup, Recovery and Archiving. â⬠¢ Document Handling. â⬠¢ Securing Data. KEY SECURITY PRINCIPLES AND ELEMENTS FOR INFORMATION SECURITY AND PRIVACY MANAGEMENT The key security principles and the critical areas needing improvement for the healthcare organization. SECURING REMOTE ACCESS AND OTHER DRIVERS OF PHYSICIAN EFFECTIVENESS For many providers, ensuring physician effectiveness and quality of life is a top priority. This includes helping physicians gain off-site access to records, without having to come to the hospital or sign into multiple hospital systems. EXTENDING SECURITY AND PRIVACY TO THIRD PARTIES Secure interoperability from hospitals to physician practices is also becoming a requirement as the healthcare industry in many global markets moves towards wider use of electronic medical records and information sharing across collaborative groups (such as the emerging US regional health information organizations). (Perry. E., 1967, 48) DEVELOPING BUSINESS CONTINUITY AND DISASTER RECOVERY PLANS In the wake of high-profile natural disasters and health-related crises worldwide, most healthcare respondents (70%) identified business continuity and disaster recovery planning as one of the most critical business factors driving their information security spending. Forty-four percent, however, do not yet have such a capability, and 59% report that developing or improving these plans is a strategic security initiative for the coming year. References Hodge, Bartow, Hodgson, Robert. N. (nod.). 1968 Management and the Computer information system McGraw-Hill Companies, The, New York, NY, U.S.A. pg 17 Peltier, Thomas. R. (n.d.). 2001, Information Security Policies and Procedures: A practitioners Reference. TAYLOR FRANCIS LTD, pg. 87 Rosove, Perry. E. (n.d.). 1967, Developing Computer-based Information system. John Wiley Sons, NY,pg. 48
Sunday, October 13, 2019
Premature Failure Of Road Network
Premature Failure Of Road Network Bahria town ltd started its development works in 1996 as a joint partner with Bahria foundation initially British Columbia were the consultants on the project. The extraordinary progress rate and high quality consultancy work of British Columbia (pvt) ltd was thought to be a big hurdle in the progress rate, eventually the agreement with the consultants terminated and Bahria Town (pvt) Ltd formed its own consultant wing. Unfortunately the consultancy wing failed to develop because of incompetent individuals who can really invest their heart and souls to address core issues .Site management and technical / top supervision issues were ignored .Today Bahria Town is facing problem of premature failure in its road network. Most of the road network has not been under projected traffic for which it has been designed; even then road failures are prominent .Most common failures depictive are settlement of road, flexural cracking, weathering of the road network. The mechanism of road failure is quite complex and it is tedious to identify the root cause of failure. The approach adopted was to analyze road network truly depictive of premature pavement failures, the representative sections were selected from the road network under study .Various field and laboratory test were performed on each section to determine the cause of premature pavement failures. The investigation revealed that mix produced from asphalt plant fails to meet specifications. The compaction of HMA and subsequent road layers is not adequate. The source gradation for aggregate base is improper .The Plasticity of fines is not in tolerance range. Pavement structural design depths were not executed on site besides poor workmanship and improper patching procedures. Keywords: Premature Failure, Flexural Cracking, Weathering, Source gradation. Undertaking I certify that research work titled To investigate the causes of Premature Failure of Road Network of Bahria Town to propose its Remedial Measuresis my own work. The work has not been presented elsewhere for assessment. Where material has been used from other sources it has been properly acknowledged/ referred. Tehseen Ellahi 2k9-MSc-Trans-05 Acknowledgements This research work is obviously a result of the initial encouragement and support in admission to the MS Transportation (Taxila) by Ehsan ul Haq, the Director General Planning and Design, Bahria Town (pvt) Ltd. Extraordinary help and support form Rana Zulfikar Ahmed Khan , Site Manager Bahria Town (pvt) Ltd.Continuous encouragement, and valuable input from Dr. M. A. Kamal, Director Taxila Institute of Transportation Engineering (TITE) and Dean, Faculty of Civil and Environmental Engineering, University of Engineering and Technology (UET) Taxila. There guidance, comments and suggestions from time to time, are gratefully acknowledged. 1.2.2 Rigid Pavements In rigid pavements the stress is transmitted to the sub-grade through beam/slab effect. Rigid pavements contain sufficient beam strength to be able to bridge over the localized sub-grade failures and areas of inadequate support. Factors effecting Pavement Performance There are numerous factors influencing the performance of a pavement, the following five are considered the most influential (Transportation research board, England; April 1985) 1.3.1 Traffic Traffic is the most important factor affecting pavement performance. The performance of pavements is mostly affected by the loading scale, arrangement and the number of load repetitions. The damage caused per pass to a pavement by an axle is defined relative to the damage per pass of a standard axle load, which is defined as a 80 kN single axle load (E80). Thus a pavement is designed to withstand a certain number of standard axle load repetitions that will result in a certain terminal condition of deterioration.(Kamal M.A. et al., 2009) 1.3.2 Moisture Moisture significantly reduces the supporting ability of gravel materials, especially the sub grade. Moisture enters the pavement structure through capillary action. The resulting action is the wet surface of particles, excessive movement of particles and dislodgment which ultimately results in pavement failures. (Terrel 1990) 1.3.3 Sub grade The sub grade is the lower layer of soil that supports the wheel loads. If the sub grade is not strong enough the pavement will show flexibility and finally the pavement will fail. Pavement will fail to perform ideally if the variation in particles behavior is not catered for in the design. 1.3.4 Construction quality Pavement performance is affected by poor quality construction, inaccurate pavement thicknesses, and adverse moisture conditions. These conditions stress the need for skilled staff and the importance of good inspection and quality control procedures during construction. Pavement performance is dependent on where, when and how maintenance is applied. No matter how good the pavement is built, it will deteriorate with time based upon the mentioned factors. The timing of maintenance is very important, if a pavement is allowed to deteriorate to a very poor condition, as illustrated by point B, then the added life compared with point A, is typically about 2 to 3 years. This added life is about 10 percent of the total life. The cost of repairing the road at B is four times of the cost required at A. The delay of maintenance hold implications, in that for the cost of repairing one poorly weathered road (Point B), four roads at point A would have to be postponed, which would mean that in a few years the rehabilitation cost could be 16 times as much. Thus, differing maintenance because of budget constraints will result in a significant financial penalty within a few years.(www.nra.co.za/live/content.php) History Bahria town is a modern township planned on an inspiration drawn from the home of American Society of civil engineers i.e the city of Reston, Virginia. The designing of its town ship is based on the most modern and strict criterion. It is located between the GT road and Islamabad Bahria town borders Safari Park on the northern side and is bounded to the south and west by Soan river and the Korang respectively. Town planning for Bahria Town has been done taking full advantage of the layout of the natural ground. Roads have been designed according to the traffic intensity rush hours. They have been standardized as 30, 40, 50, 60, 80 and Main Boulevards with the configuration of Pavement sidewalks and green areas.(www.bahriatown.com/index.php) Problem Statement Bahria Town (pvt) Ltd development represents a unique mark of distinction for Pakistan. Over a period of decade Bahria Town has emerged as Asias largest private property developers. The dilemma is that the capital involved is huge and to meet market demands common Engineering practices quality assurances are being ignored on account of time savings. One of the major problem , that Bahria Town that face today is related to premature failure of road network. Objectives The main objective of the study was to highlight the causes of pavement failures and to propose the remedial measures. Methodology Reconnaissance survey in study area to identify problems. Selection of test sections based upon road classification and distresses for deep testing analysis. Extraction of samples from the test sections for various laboratory testing. Comparison of various parameters between damaged and undamaged portions of test sections. Recommendations on the basis of investigation. Chapter 3 Chapter 3 Introduction to Study Area Pavement Evaluation Process Pavement evaluation is the first step in the development of pavement rehabilitation alternatives for the project .It is the process of learning the existing pavement system to understand the extent and the cause of problems prior to developing a rehabilitation plan.(www.pavementinteractive.org) Evaluation at Road Network Level Monitoring of the network is carried out at on a network level to define the status of an entire pavement network as part of the pavement management system .To achieve the said objective the road network of Bahria Town was divided in different zones .Preliminary reconnaissance survey was carried out to access the pavement condition of road network .The object was to confine the study and help prioritize and select the evaluation at the project levels. The road network under study is Safari valley. (Design report on Bahria Town, ESS.I.AAR Consultants) The justification behind selecting this study zone is that this zone is fully developed and in the possession of the residents therefore it is more realistic to study the road network performance of this zone. History The idea of Safari Valley was conceptualized in 2000 confirming to planning parameters of the cities of Ruston, Virginia, USA. Ruston being the American society of civil engineers has been planned in the most beautiful manner, the next year Safari Valley lunched another housing project. One of the aims of lunching this scheme was to provide a modern housing scheme with all the amenities for the general public at an affordable cost. Any middle class person desirous of buying a plot in Islamabad/Rawalpindi could not do so as the price in Islamabad/Rawalpindi is beyond the reach of the common man.. This scheme is planned and designed for the low-income people of the country to provide them affordable housing.(www.bahriatown.com/index.php) Location The Safari Valley is located in Southern part of Rawalpindi City, adjacent to Takht Pari forest on Japan Road. This site falls in Mauza Gali. The main access to this scheme is through Japan Road from G.T. Road, 3 Km from High Court towards Lahore.120 wide newly constructed Bahria Expressway along River Soan is another access to this project which is completed a year ago.(www.bahriatown.com/index.php) Untitled Figure 3: Study area Location in road network Road Network The proposed colony has been planned according to the contemporary principles of planning and design criteria of Tehsil Municipal Administration (TMA) for private housing schemes. Following three types of roads has been proposed. Primary Roads 120 Feet wide 80 Feet wide Collector Roads 65 Feet wide Streets 40 Feet wide The safari valley has 37.880 km of 40 wide roads, 6.083km of 65 wide roads, 1.23 km of 80 wide roads and 4.0 km of 120 wide roads. General Considerations It is desired by the consultant to provide the sub grade strength of the area in general for the construction of the internal roads. The purpose of the structural design is to limit the stresses induced in the sub grade by the traffic to a safe level at which the sub grade deformation is insignificant whilst at the same time ensuring that the road pavement layers themselves do not fail in any way within a specified period of time .In most design methods it is assumed that the routine and periodic maintenance is carried out during the design period of the road and that at the end of the design period , relatively low level of detoriation has occurred.(Structural design of Pavement at Safari valley, SS Soil explore Consultants) For the design of the flexible pavement the following factors should be kept in mind for guidance Economic Considerations Effect of climate Variability in the material Properties Construction Control Uncertainty in traffic forecasting Variability in material properties and construction control is generally much greater than desired by the engineer and must be taken into account explicitly in the design process. In practice only it is actually the variability of the sub grade strength that is considered and all other factors are controlled by setting out minimum acceptable values for the key properties by means of the specifications. Nevertheless, it is the task of the designer to estimate the likely variations in layer thickness and material strengths so that the realistic target values and tolerances can be set in the specifications to ensure the satisfactory road performances can be guaranteed as far as possible. Design basis The purpose of the structural design is to limit the stresses induced in the sub grade by the traffic. Estimating the amount of traffic and the cumulative number of equivalent standard axles that will use the road over the selected design life assessing the strength of the sub grade soil over which the road is built by selecting the most economical combination of the pavement materials and layer thickness that will provide the satisfactory service over the design life of the pavement when appropriate maintenance is carried out. In following paragraphs the component layers of a flexible pavement are referred in these terms: Surfacing This is the upper most layer of the pavement and will normally consist of bituminous surface dressing or a premixed bituminous material .When premixed materials are laid in two layers these are known as wearing course and base course (or binder course) Road Base This is the main load spreading layer of the pavement .It will normally consist of crushed stone or gravel ,or a gravelly soil ,decomposed rocks, sand and sandy clays stabilized with cement ,lime or bitumen. Sub Base This is the secondary load spreading layer underlying the road base .It will normally consist of material of lower quality than that used in the road base such as un processed natural gravels ,gravel-sand or gravel-sand-clay. This layer also serves as a spreading layer preventing contamination of the road base by the sub grade material Capping Layer Where very weak soils are encountered capping layer is sometimes necessary. This may consist of better quality sub grade material imported from elsewhere or existing sub grade material improved by mechanical and lime stabilization. Sub Grade This is the upper layer of the natural soil, which may be undisturbed local materials or may be soil excavated elsewhere and placed as fill. In either case it is compacted during the construction to give it adequate stability. Traffic In the present case no definite traffic pattern can be estimated as the construction period extends to a longer span .During the construction stage, the maximum traffic even over loaded trucks carrying mostly the construction material would apply. After the construction phase .the internal roads of the proposed project are subjected only to the light car traffic, which have very little destructive effect. The Sub grade Condition Following is the recommendations for the structural design of the bituminous surfaced roads for the proposed project. The existing sub grade at the site comprises of A 4 soil with PI range of 5 to 8.Determining the sub grade strength is necessary for the road construction and required by the design engineer for the internal light traffic roads, which are required to carry up to (assumed traffic) 0.5 million cumulative equivalent standard axles in one direction for the design life of 10 Years. Field investigation and Sampling All the field tests necessary for the design of the flexible pavements have been carried out .Test pit locations were selected so that overall picture of the sub surface can be examined .To do this samples from the different locations collected for the classification and California bearing ratio (CBR) .Following field and laboratory tests have been carried out in the detail Field density and moisture content Gradation analysis Sieve analysis Hydrometric analysis Hydrometric analysis AASHTO Soil Classification Laboratory compaction test Laboratory CBR on soaked conditions Appreciation of the sub grade condition The strength of the sub grade is commonly assessed in the form of California bearing ratio of the sub grade soil and is dependent on the type of the soil, its density and its moisture content The likely in situ strength of the sub grade is difficult to assess directly but its value can be obtained from the relationship between CBR, density and moisture content which must be measured in the laboratory for the soil in question, and form the knowledge of in situ density and equilibrium moisture content of the soil under the road. The density of the sub grade soil can be controlled under the road within limits by compaction at suitable moisture content at the time of the construction. The equilibrium moisture content of the sub grade soil is governed by the local climate and the depth of the water table below the road surfaces. For designing the thickness of the road pavement, the strength of the sub grade should be taken as that of the sub grade soil at the moisture content equal to the wettest moisture condition likely to occur in the sub grade after the road is opened to traffic. In the present case, field as well as the laboratory testing of different locations was carried out for gradation index and strength parameters and soaked CBR etc. The result of these tests are attached at the end of the report The CBR test shows the value of 3.5% having the representative design value of 90% and 95% modified by the AASHTO density .CBR value is considered to be unsatisfactory for the design of the flexible pavement .Therefore it is strongly recommended to provide capping layer over the existing sub grade soil to provide structural support and improve drainage conditions at the site. The thickness comes out to be 8 inches. Design Recommendations The pavement design of the internal roads of safari valley was calculated using the AASHTO Interim guide .Details of which are below: Method # 01 Out of the different methods available for calculating the road design, which cater for the repetition of the standard axle loads during the design life of the various traffic configurations expected on the road .This method caters for the site conditions and type of traffic likely to use the roads after the construction. The pavement design has been worked out as per Overseas Road Note No 31 (Transport and road research Laboratory, TRRL; Road note 31) The Local soil is moderately plastic for which average soaked CBR value was calculated to be 3.5 % and the same has been incorporated in the design calculations .In case of borrow /selected fill material is to be used for the making of the roads .The Laboratory CBR for that soil should not be less than 3.5 % against 96 hrs soaking. Method # 02 The pavement design of the internal roads of different categories is calculated using the simplified method as given in civil engineering handbook by Leonard Church Urquhart of which is given below. Design Procedure Using the graph (annexure A) against the clayey silt conforming to A-4 Soil and CBR of 3.5 % the total thickness of pavement above sub base is 15 inches. Keeping a minimum thickness of 8 inches for the base course and the wearing surface the sub base is required to be 7 inches. Since method 1 gave higher values method 1 was adopted. Flexible Pavement Distresses Roads have become important in our lives as a sole mean of communication. Modern roads are smooth, so people can travel easily from one place to another. Maintenance of road network is very important to ensure its continued efficiency and reliability. Normally roads are damaged due to environment affects, vehicular loadings and moisture.(Asphalt Institute , MS 16) Asphalt pavement distresses can generally be classified as one of the following type: Cracking Distortion Disintegration Skid hazard Surface treatment distresses Distresses caused can be related to: Wheel loads Environment Poor drainage Material deficiencies Construction related deficiencies External causes(Utilities) Cracking Cracking takes many forms .To make proper repairs, it is first necessary to determine the cause of cracking .Maintenance procedures generally depend upon the cause of distress, the crack width and the amount of cracking in the affected area. Reflective cracks These are cracks in asphalt overlays that reflect the crack pattern in the pavement structure underneath. The pattern may be longitudinal, transverse, diagonal or block. Reflective cracks are caused by vertical and horizontal movements in the pavement beneath the overlay, induced by expansion and contraction with temperature or moisture changes. They can also be caused by traffic or earth movement or by loss of moisture in sub grade by high clay content. Edge cracks These are longitudinal cracks 30 cm or so .They are caused due to lack of lateral support, settlement or yielding of the material beneath the cracked area .This may be the result of poor drainage ,frost heave or shrinkage from drying of the adjoining earth. They may be accelerated by concentration of heavy traffic near the edge of the pavement as well as heavy vegetation near the pavement edge. Block Cracking They are series of interconnected cracks forming the series of large blocks, 1 to 3 m. Frequently they are caused by volume change of the fine aggregate asphalt mix that have a high content of low penetration asphalt and adsorptive aggregate ,daily temperature cycles and aged asphalt. Block cracking is not load related. Alligator Cracking They are cracks that constitute to form series of blocks .They can be caused by various reasons such as excess deflection, sub surface moisture conditions, thin asphalt surface, excessive overloading, in adequate pavement design. If the asphalt surface is thin alligator cracking can quickly develop into potholing. Slippage Crack They are crescent shaped cracks resulting from the horizontal forces induced by the traffic. They result from the lack of bond between the surface layer and the courses beneath. The lack of bond may be due to dust, oil, rubber, dirt water or other non adhesive materials between the two courses. The Slippage cracks may result from the mixtures having a high sand content, as well as due to improper compaction. Linear Cracking This category includes categories such as joint cracks, construction joints, shoulder joint cracks and diagonal cracks. Transverse and diagonal cracks can result from low temperature contraction of the pavement or from the shrinkage of the cement bound base or sub grade soils .Longitudinal cracks in the wheel path may be fatigue related and eventually progress into alligator and a random occurring Longitudinal crack can be indicative of the sideways yielding sub grade or fill area. The cause of joint cracks (thermal and longitudinal) can be related to the thermal stresses or insufficient compaction. They can also be caused by a weak bond in the joint. Distortion Pavement distortion is the result of asphalt layer instability or granular base and sub base weakness. Distortion takes a number of forms: rutting, shoving, corrugation, depression and up heave. Rutting Ruts are channelized depressions in the wheel tracks of the pavement surface. Rutting results from consolidation, lateral movement of the sub grade, aggregate base or asphalt layers under traffic load. Rutting may occur in the sub grade and sub base due to insufficient design thickness, lack of compaction or weakness caused by moisture infiltration, down ward and lateral movement of the weak asphalt mixture under heavy wheel loads. Corrugations and shoving Corrugations and shoving are form of plastic movement typified by ripples across the asphalt pavement surface. They occur in the asphalt mixes that lack mix stability. It may also be caused due to excessive moisture in the granular base, contamination due to oil spillage or lack of aeration when placing mixes using emulsified and cut back asphalts. Settlement or grade depression Depressions are low areas of limited size that may be accompanied by cracking. They may be caused by traffic over loading or by consolidation, settlement or failure of the lower pavement layers. Up heave or swell Up heave is the localized upward displacement of the pavement due to the swelling of the sub grade. Up heave is most commonly caused by the expansion of ice in the lower courses of the pavement or sub grade. It may also be caused by the swelling effect of the moisture on the expansive soil. Utility cut or patch failure This is the failure of the utility installation or of a repaired area in the existing pavement. They usually are caused by lack of adequate compaction of the back fill, base or asphalt patch materials. Patch failures may also result from poor installation techniques, inferior materials or failure of the surrounding materials or under lying pavement. Disintegration Disintegration is the breaking up of the pavement into small, loose fragments. If the problem is not addressed the pavement disintegrates further until rehabilitation is required. Raveling/Weathering This is the progressive separation of the aggregate particles from the pavement surface downwards and from the surface inwards. Raveling usually occurs in wheel paths while weathering is found in non traffic zones and it extends over all surface. Raveling is caused by lack of HMA compaction, construction of thin lift during the cold weather, dirty or disintegrating aggregates, too little asphalt in the mix or over heating of the asphalt mix. Raveling almost always requires the presence of both water and traffic to occur. Potholes Potholes are bowl shaped holes resulting from the localized disintegration. Most potholes occur in the pavements having thin asphalt concrete surface on an untreated aggregate base. Thin surfaces showing severe alligator cracking begin to lose the pieces of the asphalt out of the cracked area creating potholes. Skid Hazards One of the most common cause of the skid hazards in the asphalt pavement is a thin film of water on the pavement surface another is the thick film of water on the pavement surface that causes a high speed vehicle to hydro plane. Slipperiness may also develop from the surface contamination such as from oil spillage or certain type of clay etc. Bleeding or flushing Bleeding or flushing is the upward movement in the asphalt pavement. This results in the formation of film of asphalt on the surface. Bleeding is identified by the pavement surface with a stick, glassy appearance that may be sticky to touch and usually occurs in hot weather .The most common cause of bleeding is excess asphalt in one or more of the pavement courses .Also traffic may cause the over compaction of the asphalt layers, forcing the binder to the surface. Polished aggregate These are the aggregate particles on the surface of the pavement that have been polished smooth. Some aggregates, particularly lime stone become polished rather quickly under traffic. Some type of gravel are naturally polished and if they are used in the pavement surface without crushing they will be a skid hazard. These polished aggregates are quite slippery when they are wet. Surface Treatment Distresses Because of the construction procedures being used, surface treatments may develop some defects that dont occur in other type of pavement surfaces. These include loss of aggregate cover and streaking. Some of the asphalt pavement distresses such as corrugations, depressions, up heave, potholes and raveling occur most frequently in the pavement constructed with surface treatments. Loss of cover aggregate This distress is identified by the whipping off of aggregate by traffic from a surface treated pavement. Several things can cause loss of aggregate cover including weather too cool, fast traffic permitted on the new surface treatment too soon, a surface absorbing part of the asphalt, aggregates that are too dusty or too dry etc. Longitudinal / Transverse Streaking Longitudinal streaking is alternate lean and heavy lines of asphalt and/or aggregate running parallel to the center line of the road .Transverse streaking is the same phenomenon except that the direction is running transverse across the road way. Several things can cause longitudinal streaking including: improper height of the spray bar, incorrect asphalt pump speed, asphalt too cold, incorrect pump pressure etc. Transverse cracking is caused by spurts in the asphalt spray from the distributor spray bar. These spurs may be produced by improper pump speed, pulsation of the asphalt pump etc.
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