Wednesday, May 6, 2020
A Brief Note On The Race Bias Theory - 1280 Words
Psychology assessment 2 due Friday 6th February 2015 Ahmed Ali 14033164 Abstract Own race bias is the temperament to distinguish and individualise between the face of our own race more easily than faces of another race. The present study examined weather or not own race bias exists within our communities. The standard deviation (SD) for the number of black faces recalled for group 2 is 1.82574 and the SD of faces recalled from group 4 is 1.94936. The SD of white faces recalled for group 1 is 1.09545 and the SD number of faces recalled for group 3 is 1.30384 these results show own race bias was indeed present amongst these 20 youths. Introduction The own race bias theory is the temperament to distinguish and individualize between the face of oneââ¬â¢s race more easily than faces of another race. This theory can explain why you may hear people saying another ethnic or racial group ââ¬Å"all look alikeâ⬠. Own race bias causes problems when it comes to eye witness testimony and is one of the main reasons I will be conducting this experiment. When the victim and suspect are from different racial or ethnic backgrounds it is likely that the victim will be less accurate in pointing out the culprit. For example picking a criminal out in an id parade (line up of criminals). There are many different potential explanations on ORB varying from intergroup contact theory to neural substrates of ORB. Another very interesting potential explanation in ORB is that we developed the habit of ORBShow MoreRelatedNursing Workgroup Diversity and Performance Analysis1716 Words à |à 7 PagesThe study aims to examine relationships among nur sing workgroup diversity, workgroup processes and workgroup performance. 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For example, Augie Fleras and Jean Elliott, in their analysis of multiculturalism in Canada, note that the treatment of people of color, aboriginals, immigrants, and refugees in Canada ranges from mixed to deplorable, arguing that the news media frames non-whites as criminals and social nuisances.1 Similarly, Mikal Muharrar, in his analysis of racial profiling, notes that news media categorises non-whites as criminals through the use of subtle stereotypes and profiling techniquesRead MorePsychological Assessment4771 Words à |à 20 PagesAssessment 5 1.2.4. Testing and Assessment 5 1.2.5. Psychometric Testing and Assessment 5 1.3. THE USE OF PSYCHOLOGICAL ASSESSMENT 5 1.4. THE VALUE OF PSYCHOLIGICAL ASSESSMENT IN INDUSTRY 5 2. FAIRNESS AND BIAS IN SOUTH AFRICAN CONTEXT 6 2.1. THE CONCEPT OF FAIRNESS AND BIAS 6 2.2. THE DEVELOPMENT OF PSYCHOLOGICAL ASSESSMENT PRACTICES IN SOUTH AFRICA 7 2.2.1. Early Use (Pre-Apartheid Era) of Psychological Assessments 7 2.2.2. Development of Tests During the Apartheid Era 7 2Read MoreTraditional African Family19679 Words à |à 79 PagesHARALAMBOS and HOLBORN Sociology LESSON PLANS BY LESLEY CLARK Sociology teachers and students have relied on Sociology Themes and Perspectives for over twenty years. The coverage of theories and research in each subsequent edition has been unrivalled for accuracy and detail. These lesson plans aim to provide guidance on using the sixth edition of Sociology Themes and Perspectives in a teaching context by offering practical classroom support for teachers. Three lesson plans are provided for eachRead MoreUnderstanding And Combat Weight Bias9848 Words à |à 40 PagesHarnessing Visual Adaptation to Understand and Combat Weight Bias David J. Licka, Jeffrey M. Hungerb, A. Janet Tomiyamaa, and Kerri L. Johnsonac a Department of Psychology, University of California, Los Angeles b Department of Psychological and Brain Sciences, University of California, Santa Barbara c Department of Communication Studies, University of California, Los Angeles Please do not quote or cite without permission Author Note: This research was supported by National Science FoundationRead MoreThe Theory Of Theory And Personal Theory2000 Words à |à 8 PagesLMX Theory and Personal Gain This paper will look into the VDL theory otherwise known as LMX theory, apply relevant situations to the leadership theory, and formulate a plan of implementation to exercise future understanding and concepts to practice ongoing enhanced personal management style. 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Typical 360-Degree Feedback System Free Essays
360 ââ¬â Degree Feedback This usually means an individual being rated by peers, supervisors and sometimes clients, as well as doing self-assessment. All indications are that 360-degree appraisal in one form or another is probable to be used more extensively ââ¬â it is not some provisional fad. An example of a Traditional Feedback versus a 360 ââ¬â Degree Feedback, you can see below. We will write a custom essay sample on Typical 360-Degree Feedback System or any similar topic only for you Order Now Basically you can see at the Traditional Feedback, there is only one direction Feedback, from Supervisor to Employee. On the other hand, there are a variety of canals of Feedback to employees. Typical 360-Degree feedback System The 360-Degree feedback system works with the following two ways: â⬠¢The Questionnaire: This basically shows a series of statements about the ââ¬Å"targetâ⬠managerââ¬â¢s performance and efficiency, and frequently is linked to the key competencies described in an organisation. For example, if there are eight competencies thought to be pertinent to the organization, there might be somewhat like five to eight questions asked in relation to each of them. More or less there would be sixty questions. Some organizations mix all questions together; some group them under related capability direction. â⬠¢The Raters: The focal manager (meaning the person on whom the feedback is being given), completes a self-rating while being rated by others. Many companies allow the individuals to decide who contributes to the rating procedure, according to who is in the best place to remark on their performance. Most often the number of raters scope between: three to twenty, depending on conditions. The Feedback process There are three major elements to this process: â⬠¢First is the individual who collects the feedback â⬠¢Second is the feedback report and how the data are represented within in it â⬠¢Third is the supervisor in which this information is conveyed the focal manager The whole rating forms usually go either to a designed basis in HR or to an external expert; less often, they go to a senior manager. Whoever collects the data has the task to gather them in a form that will help the receiver. He/She has to combine the ratings and present an average ââ¬Å"scoreâ⬠, on each competency, broken down by rating group (peers,etc), perhaps place the self-rating together with it. Provided that the numbers in each group are adequate, this preserves secrecy for the respondents. How to cite Typical 360-Degree Feedback System, Papers
Saturday, April 25, 2020
Proper Waste Disposal Essay Example
Proper Waste Disposal Paper Very special thanks to my fellow classmates who have been readers to my research paper and who have pointed Out my mistakes. Would like to thank them for exchanging ideas with me and for helping me deal with the arduous publishing process of paper. I doubt that I wont be able to express my appreciation to them fully, but I owe them all my gratitude. I would also like to acknowledge my friends for being the ones who have motivated me to develop focus, as well as self confidence. Without their support and understanding, I would not have accomplished this research paper. Lastly, I must acknowledge my beloved teacher, Ms. Nancy Ramose, for being the greatest help would ever need in this research. Without her skills and assistance in writing this, wont be able to finish this research. And without her, this research wouldnt have been made possible. Abstract Improper ways of disposing are common nowadays. Therefore, researches about proper waste disposal and waste management are of great interest. This study shows how the collection, transport, processing, recycling, and monitoring of waste materials can be as important as can be. Its immediate objective is to inform the readers, the community, and the society about how properly disposing our waste materials can change lives. To come up with a research output, some books were used as a good source of materials and some people who worked for the governments waste management had been interviewed. We will write a custom essay sample on Proper Waste Disposal specifically for you for only $16.38 $13.9/page Order now We will write a custom essay sample on Proper Waste Disposal specifically for you FOR ONLY $16.38 $13.9/page Hire Writer We will write a custom essay sample on Proper Waste Disposal specifically for you FOR ONLY $16.38 $13.9/page Hire Writer Also, observation of wastes all around Metro Manila had been done for a good source of evidence of whether or not people dispose their wastes properly. As a result, the knowledge of waste disposal will be imparted not just to any special figure or anyone who works for the government management, but also to any citizen, may it be a student or a teacher, or a parent or a child, just like you. L, therefore, conclude that it is important and beneficial for everyone to know how to dispose their wastes properly contribute to the improvement of our Mother Nature. Hopefully, this may be of good use to better understand how our wastes affect our atmosphere greatly. Introduction In the early pre-industrial times, wastes compose of ashes from fires, bones, bodies, and vegetable wastes. They are disposed underground( serve as compost and contribute to the soils improvement. But only amounts of ash, broken tools, and pottery were excavated by the archeological digs. Everything was repaired and reused and population smaller before. The change from nomadic hunter-gatherer to farmer that wastes could no longer be left behind. Because waste could no LLC left behind, it had become a big issue. Reusing and recycling became everyday routine since the industrial revolution, wherein materials be more available than labor. There was a reuse system of bronze scrap operation 4000 years ago in Europe where they discovered that com started in China. Reusing and recycling is widely recognized in the for salvage, the usual tradition until the Rag-and-Bone men. Conventional salvaged materials included leather, feathers, and textiles. Feeding eve wastes to farm animals is also considered as a form of recycling, and as using green wastes as fertilizers. Soon after, some activities for improvements Were done such as the melting down and re-casting of the salvaging of timber, etc. But as the populations in cities had incur space for disposal had decreased. And because of that, societies had developed waste disposal systems. Proper waste disposal reduces HTH of waste into the atmosphere by observing the proper methods of dif Because improper disposal of our wastes imposes cost on others, WA disposal has been a big political issue. Dirty disposal methods such a: dumping are big problems nowadays. Though the easiest among any method, it creates health risks for the public. Waste disposal was not observed and monitored properly; therefore, everyone must comply methods used in order to achieve environmental advantages. Achieve awareness in proper waste disposal is important to lessen the waste dispose improperly. Proper Waste Disposal Essay Example Proper Waste Disposal Paper Review of related literature While elements of disaster preparedness have long been a social adjustment to environmental hazards, both the art and science of disaster preparedness are relatively new courses of study in business, non-profit, government, and academic sectors (Fox, 2006). As with any new course of study, the beginnings of established practice will have inherent weaknesses and areas for improvement. To date, a multitude of issues that should be addressed by stakeholders have been introduced. Some of the issues pertain to 1 1 problems created by the theoretical aspects of disaster preparedness, while there relate to the practice and application. Some of these issues have been resolved, while others have been neglected or ignored. John Twig of Benefited Gregg Hazard Research Centre, University College London, presented eighteen disciplinary and institutional groups involved in disaster reduction during his presentation at the International Conference on Climate Change and Disaster Preparedness (2002). Each of these eighteen groups represents broad stakeholder classifications and can be further divided by disciplinary and institutional boundaries (Twig 2002). The many factions of independent researchers and stakeholders can complicate advancements where collaboration is an essential aspect. Cooperation and collaboration tends to lag when groups vie over limited available funding and strive to become the premier group of its respective area. Each discipline and organization involved takes its own approach to disaster preparedness, tailoring its metrics, data, works, and products to its specific needs. We will write a custom essay sample on Proper Waste Disposal specifically for you for only $16.38 $13.9/page Order now We will write a custom essay sample on Proper Waste Disposal specifically for you FOR ONLY $16.38 $13.9/page Hire Writer We will write a custom essay sample on Proper Waste Disposal specifically for you FOR ONLY $16.38 $13.9/page Hire Writer In general, however, there is a lack of uniformity of data, which further decreases the potential for cooperation among the stakeholders. The lack of cross-compatibility also affects the consistency of the language, as functions are aligned with organizational needs (Circumscribe, 2002). Definitions are created that take on additional characteristics to make them more appealing to social, business, academic, or other groups. The variance in taxonomies makes it difficult to extract a particular topic, such as disaster preparedness, from the existing literature. Many authors use such terminology as disaster preparedness, hazard mitigation, and disaster reduction interchangeably where each term could be perceived as distinctive. Other 12 authors provide definitions that may suffice for one field, but would be monumentally inadequate in another. Examining the existing definitions of disaster preparedness demonstrates this point. The literature does not provide a definition Of disaster preparedness the way that a dictionary might. Instead, the literature states what disaster preparedness entails from the perspective of the authors. If taken literally, disaster preparedness would mean being satisfactorily prepared for a catastrophic event. However, a sufficient definition of disaster preparedness would also need to include ways in which persons and organizations can be satisfactorily prepared for such a circumstance. It is in this way that definitions of disaster preparedness can be extracted from the literature. Several authors touch on potential definitions of disaster preparedness. Many of the definitions contain a piece of the meaning, without stating precisely what disaster preparedness should contain wholly. Christofis, Mitchell, and Licensed emphasize the importance of including efficiency, effectiveness, and impact of disaster response as a central goal of disaster preparedness (2001 The development of local response, such as early warning systems, is also a central part of assister preparedness (Integrated Regional Information Networks, 2005). McIntyre, Twig, and the United Nations Development Programmer all have definitions with similar attributes, but add their own spin on disaster preparedness. The United Nations Development Programmer views hazard mitigation as a core resource of disaster preparedness, but also includes planning in its descriptions (2004). McIntyre and Twig also view hazard mitigation as critical to disaster preparedness, stating that it should either coincide with disaster preparedness or be a part of it (McIntyre, 2003 and 13 Twig, 2002). McIntyre continues by addresses other factors that may define disaster preparedness: it is a function of local government and it includes hazard and vulnerability assessments. Other elements of disaster preparedness are less emphasized in the literature, but equally as important. Caddish and Hussein stress education as one of the best media to prepare a community for disasters (2005). Individual levels of disaster preparedness are also discussed. This level includes preparing households through such means as emergency plans, securing heavy furniture to walls, and storing DOD, and through building inventories of stored food and equipment (Paton, Smith, Johnston, 2003 and Assemblies, 2001 ). When examining the examples of what disaster preparedness entails according to the above authors and organizations, it becomes evident that the definition of disaster preparedness is loose and evolving. Disaster preparedness involves preparedness on personal, community, and national levels; it includes elements of both a private and public nature; and it is intertwined with hazard mitigation and vulnerability and requires each to be accurately assessed. The inextricably of the terminology, as well as the lack of a common vocabulary among professions, is another Of the great challenges facing policy makers. Several attempts have been made at creating universal definitions for the various terms of hazard research, but the lack of cooperation in and among the varying fields has thwarted these attempts. In addition, the general acceptance of using the terms interchangeably has discouraged further efforts to separate the terms different meanings. The terminology of hazards research remains confusing and vague. Without agreement on the definitions, 14 assister preparedness study and experimentation will remain relatively unproductive (Gillespie Street, 1987). The development of an emergency management planning model of wide applicability is another issue that should be addressed by the disaster preparedness community. The premier models of emergency planning began from military models of command and control designed to handle enemy attacks and other non-civilian emergencies (Dynes, 1994). More recently, empirical and pragmatic models of emergency planning for civilian emergencies have been developed, but none of them have been accepted wholesale by the disaster preparedness immunity. Emergency planning paradigms for disaster resistant communities, disaster resilient communities, sustainable development, and sustainable hazard mitigation have provided stepping stones for a comprehensive emergency management plan (McIntyre, Fuller, Johnston, Weber, 2002). The preceding brings to light some of the pressing problems with the theoretical development of disaster preparedness and disaster preparedness community synthesis. The aforementioned issues are not an exhaustive list of issues in the development of disaster preparedness theory, but do highlight securing themes in the literature. The following set of issues emphasize the problems associated with disaster preparedness policy and practice. Rapid arbitration is the center of several pressing issues in the practice of disaster preparedness. Several sources have noted the decennial increases in city populations, not only in the United States, but globally. One needs only observe the mega-city phenomenon of the last century to understand current population trends. City 15 growth is consistently on the rise in both developed and developing countries, and often in risk prone locations. The world is quickly becoming more urban (Boil, overlooks, palm, 1997). Urban areas are attractive because they offer their inhabitants many benefits not available in non-urban areas: accessible medical facilities, markets, public transportation, various types of employment, and a variety of people and experiences. These benefits draw people to cities, creating greater urban densities, and inadvertently making them more hazardous places to live. The sheer population, masses of infrastructure, and material assets of an urban area provide increasing opportunities for common natural events to eave disastrous consequences (Munich Re Group, 2004). Urban areas place a large number of people, infrastructure, and capital enterprises into a small geographic area, increasing the potential for an ordinary natural event to become one that is exceedingly large and costly. In addition to hosting large populations, complex infrastructure, and large capital enterprises, urban areas are generally the regional centers of politics, economics, and technology. As financial leaders, urban areas often develop complex market relationships with other urban areas around the world. Thus, if an urban area is affected by a disaster, adjacent urban areas also suffer. The complex relationships between urban centers and its partners can cost billions of dollars in lost business, damaged products, delayed transactions, and missed work hours, in addition to the direct damages to people and infrastructure. Therefore, when urban areas are adversely affected by natural disasters, there are internal and external costs that can have global consequences. Another problem is that the plight of urban areas is so noticeable and affects so many people that it draws attention from smaller, non-urban populations. The majority of 16 he time and effort in disaster preparedness is focused on solving preparedness issues for urban areas, leaving those who choose to remain in non-urban areas more vulnerable. Non-urban areas, although smaller in size, population, and infrastructure, lack the resiliency to recover when a disaster strikes. The lack of available assets, resources, and capital can make it very difficult for a non-urban area to recover from even isolated natural events. While urban areas present many problems for the disaster preparedness community, there are other issues that should be addressed. An additional policy and practice issue is identifying and protecting vulnerable populations. Corgis and Emerson define vulnerability as A condition wherein human settlements or buildings are threatened by virtue of their proximity to a hazard, the quality of their construction, or both. Degree of loss (from O percent to 1 00 percent) resulting from a potential damaging phenomenon. The ability to correctly identify vulnerable population locations, characteristics, and special needs is a central issue in disaster preparedness. A discussion of vulnerable populations is difficult because, to some degree, all populations are vulnerable. However, there are certain factors that can be identified as playing a critical role in creating vulnerable populations. The following will examine what we know about vulnerable populations and what we can do to improve preparedness for vulnerable populations. Each individual within a population is made vulnerable by a variety of personal factors, some of which cannot be controlled and some of which may be controlled. There are several factors that contribute to vulnerability that cannot be controlled. For example, the age of an individual is an uncontrollable potential vulnerability. Those persons that are young and elderly have a higher vulnerability than those who are middle-aged adults 17 (the phrase middle-aged adults suggests those people that are neither young nor elderly, but are in-between such life stages). Young and old people may not be as mentally capable of processing information as middle-aged adults, as strong as middle-aged adults, and may be completely or partially dependent on middle-aged adults to care for them. Mentally or physically handicapped persons are more vulnerable than persons in good mental and physical health. The mentally and physically handicapped have special acquirement and needs that may require another person to help them when those requirements and needs are not accessible. In addition to those uncontrollable personal vulnerability factors, there are factors that may be controllable that can make an individual vulnerable. For example, a lack of preparation for disasters can make a person more vulnerable than those that have prepared. Saving cash, storing clean water, creating food and tool caches, and developing emergency plans on an individual level all contribute to reducing a persons vulnerability to disaster. Furthering education as much as possible also reduces a persons limitability. The more highly educated a person is, the less vulnerable they become. Improving physical fitness is also an excellent way to reduce a persons vulnerability. In most instances, a person has some degree Of control over these issues, although they can be restricted. This is why these vulnerability factors may be controllable for some, but not for others. Identifying other factors that contribute to vulnerable populations requires examining socio-economic status, location, and social structure. Perhaps the most condemning vulnerability causing factor is socio-economic status. This can be viewed in one of two ways; as a characteristic of a population or as 18 characteristic of a nation. Socio-economic status as a characteristic of a population creates vulnerability in the poor faction of the population. Vulnerability in poor populations manifests in several ways. First, poor populations do not have the financial support that the wealthy do, making it more difficult for them to prepare for, endure, and recover from disaster. Access to assets and entitlements in a pre and post disaster situation are critical to preparation for the disaster, protecting self and property, and in covering from disaster. The availability of cash and savings, as well as access to entitlements such as insurance, stocks, and bonds, is often reserved for those who can afford them. Poor populations are often excluded from assets and entitlements because they lack the capacity to gain them. Therefore, the losses incurred as a result of a disaster can be absolute losses for poor populations. Second, poor populations often locate in unsafe areas. Some poor populations locate on ancestral grounds that are prone to a particular disaster, but refuse to move because of the connection to their heritage. Other poor populations locate in or on floodplains, riverbanks, Steep slopes, reclaimed land, and highly populated settlements of flimsy shanty towns (Corgis Emerson). In some cases, such as locating on ancestral lands, the population chooses to live in a more vulnerable area. In other cases, the poor locate where they do because they are claiming the cheaper lands that the more wealthy population has discarded. And still in other cases, the poor are forced to live in a particular area by inability to afford to move or by force. Whether by choice, lack of choice, or by force, poor populations typically live n areas that are more prone to disaster. The lands that are readily available to them are the lands that belong to them by 19 ancestral rite and the lands that people with a choice have not chosen; these are the lands that flood, easily erode, are toxic, are dangerous to live on, etc. Third, poor populations lack the resources to construct safe buildings and living structures. Many poor peoples homes are made out of such flimsy materials as mud, sticks, cardboard, plastic (or variant of plastic) paneling thin sheet metal, and paper. Such materials lack the quality necessary to withstand disasters and to protect the people within them. Socio-economic status as a characteristic of a nation creates further population vulnerabilities. The economic inequality between industrialized and developing countries has proven to be one method of demonstrating the effects of poverty on disaster impact. In fact, According to a statement by the relief organization Tearful, ninety-eight percent of those killed and affected by natural disasters come from developing countries, underlining the link between poverty and vulnerability (Corgis Emerson). A few problems in developing countries cause vulnerability to develop. First, over half the population in many developing countries is under the age of eighteen years old (Caddish Hussein, 2005). The lack of experience of such youthful populations, as well as adult dependence in some cases, makes these populations more vulnerable to disasters. Second, the fragile infrastructure of developing countries and the inability to support disaster preparedness projects financially also takes a toll on developing nations. Even disasters of a low magnitude can have extreme effects on ill prepared countries (Corgis Emerson). Lastly, developing countries contain a disproportionate number of concentrically challenged populations. All of the problems associated with these 20 populations, as previously discussed, further hinder the capacity of developing countries to reduce vulnerability. Another factor that contributes to vulnerability is location. By virtue of the proximity to certain known hazards, some countries are made more vulnerable than others. The physical layout of a settlement or country is a very important factor in determining its vulnerability. For example, countries located along the ocean are more prone to hurricanes, typhoons, tsunamis, and costal flooding than inland countries. Developments created along rivers area more vulnerable to floods and erosion. Places along the Ring of Fire can expect earthquakes to happen more frequently. Countries in the extreme north and extreme south are likely to have severe winter storms and heavy ice. By choosing to develop in areas with poor physical surroundings, populations can be made more vulnerable to hazards. Location also has an impact on vulnerability when applied to urban areas. Urban areas present a large part of the vulnerability stemming from location. Boll, Overlooks, and Palm examine nine points that make urban areas more alienable to disasters: hazardous exposure of the location, economic and political relevance, physical vulnerability, urban management capacity, dependence on infrastructure, density of the population, poverty, informal settlements, and ecological imbalance (1997). Each of these nine points is examined in-depth in their article Vulnerability Reduction for Sustainable Urban Development. The purpose of presenting these nine points is to emphasize that urban areas create vulnerability in a variety of ways; environment, development, and colonization all impact the vulnerability associated with urban areas. 1 Social structure also contributes to population vulnerability. The structure of a society can heavily influence vulnerable populations, either unintentionally or systematically. In one instance, reasonable thinking assumes that time and money will be well spent on identifying the disaster preparedness needs of the most people possible. Therefore, the majority population receives the most attention by the policy community and practitioners of disaster preparedness. However, this leads to inadequacies in protecting the minority populations, which usually need the most help. This diversion of resources awards the majority has unintentionally created a greater vulnerability in the minorities. In disaster planning, one often finds that those populations with the least social, political, and economic influence are the populations in the most danger when disasters occur (Wisher, Blaine, Cannon, Davis, 2003). In other cases, small factions of a population may be the population with the most political influence, economic power, or the population with the greatest social networks. In such circumstances, valuable disaster preparedness resources may be diverted away from the majority population and towards the more rueful few. In this way, the social structure has systematically excluded a population, enhancing their vulnerability. The preceding are two ways that vulnerable populations are created by the social system that surrounds them. Time, resources, and money are all used to reduce vulnerability to disasters. However, it is often the social system that dictates where time, resources, and money should be utilized. Therefore, a social system that is exclusive and constructed poorly may be more apt to create population vulnerability than a social system that is inclusive and well- constructed. The last major issue that should be highlighted as a policy and practice issue is convincing those with policy-making capabilities of the benefits of disaster preparedness. This has proven to be an exhausting task for the disaster preparedness community. Many reasons underlie this difficulty, some of which relate to internal disaster preparedness community problems already addressed. However, the primary difficulty in convincing policymakers that disaster preparedness works is that, like hazard mitigation, one is attempting to measure the absence of an event. In order to convince policymakers that disaster preparedness works, it would acclimate the process if one could show just how it has worked. Yet, if disaster preparedness has worked, nothing noteworthy should have happened. Proving the absence of an event is often difficult because the factual basis for the absence of an event requires years of observation. Estimates of saved lives, saved properties, and saved monies have been produced, but none can be guaranteed as necessary to convince policymakers of the immediacy of action. The disaster preparedness community can demonstrate the success of drills and provide written plans, but none will accurately demonstrate the emulative effectiveness of these measures. Convincing the policy makers to act on recommendations from the disaster preparedness community is crucial to the success of disaster preparedness. Disaster preparedness is a multi-disciplinary activity, but the most implementation takes place at the local governmental unit. Disaster preparedness occurs on both a horizontal and vertical plane (Institute of Medicine, National Research Council, 2005). Horizontally, it requires the cooperation and integration of public services, healthcare centers, emergency management, academic, and public, not-for-profit, and private enterprises. Vertically, it 23 requires the cooperation of all levels of organizations and all levels of government (Institute, 2005). The permanence of government in the disaster preparedness equation means that the disaster preparedness community needs the policy-making community in order to be effective. Therefore, it is critical for actors in the disaster preparedness community to unite and collaborate to adequately measure disaster preparedness. Once consensus is reached on the measurement, then the findings can be presented to policymakers, who can in turn move it toward an enforceable directive. Thus far, the underlying theories and best practices have been addressed, the metrics available to disaster preparedness practitioners have been discussed, and a discussion of the issues from different aspects of disaster preparedness has been developed. Each of the preceding sections served to form a picture of the current state of disaster preparedness from which stakeholders can move forward.
Wednesday, March 18, 2020
Ancient Persian Rulers Timeline (Modern Iran)
Ancient Persian Rulers Timeline (Modern Iran) In ancient history, there were 3 main dynasties that controlled ancient Persia, a western name for the area that is modern Iran: Achaemenids, Parthians, and Sasanids. There was also a period when the Hellenistic Macedonian and Greek successors of Alexander the Great, known as Seleucids, ruled Persia. Early mention of the area is from Assyria c. 835 B.C., when the Medes occupied the Zagros Mountains. The Medes gained control of an area extending from the Zagros Mountains to include Persis, Armenia, and eastern Anatolia. In 612, they captured the Assyrian city of Ninevah. Here are the rulers of ancient Persia, by dynasty, based on Dynasties of the World, by John E. Morby; Oxford University Press, 2002. Achaemenid Dynasty 559-530 - Cyrus the Great529-522 - Cambyses (son)522 - Smerdis (Bardiya) (brother)521-486 - Darius I, the Great485-465 - Xerxes I (son)464-424 - Artaxerxes I, Longimanus (son)424 - Xerxes II (son)424 - Sogdianus (brother)423-405 - Darius II, Nothus (brother)404-359 - Artaxerxes II, Mnemon (son)358-338 - Artaxerxes III (Ochus) (son)337-336 - Artaxerxes IV ( Arses) (son)335-330 - Darius III (Codomannus) (great-grandson of Darius II) Macedonian Conquest of the Persian Empire 330 Seleucids 305-281 B.C. - Seleucus I Nicator281-261 - Antiochus I Soter261-246 - Antiochus II Theos246-225 - Seleucus II Callinicus Parthian Empire - Arsacid Dynasty 247-211 - Arsaces I (conquered Parthia c. 238)211-191 - Arsaces II (son)191-176 - Priapatius (son)176-171 - Phraates I (son)171-138 - Mithridates I (brother)138-128 - Phraates II (son)128-123 - Artabanus I (son of Priapatius)123-87 - Mithridates II, the Great (son)90-80 - Gotarzes I80-77 - Orodes I77-70 - Sinatruces70-57 - Phraates III (son)57-54 - Mithridates III (son)57-38 - Orodes II (brother)38-2 - Phraates IV (son)2-AD 4 - Phraates V (son)4-7 - Orodes III7-12 - Vonones I (son of Phraates IV)12-38 - Artabanus II38-45 - Vardanes I (son)45-51 - Gotarzes II (brother)51 - Vonones II51-78 - Vologases I (son or brother)55-58 - Vardanes II77-80 - Vologases II78-110 - Pacorus (son of Vologases I)80-90 - Artabanus III (brother)109-129 - Osroes112-147 - Vologases III129-147 - Mithridates IV147-191 - Vologases IV191-208 - Vologases V (son)208-222 - Vologases VI (son)213-224 - Artabanus IV (brother) Sasanid Dynasty 224-241 - Ardashir I241-272 - Shapur I (son; co-regent 240)272-273 - Hormizd I (son)273-276 - Bahram I (brother)276-293 - Bahram II (son)293 - Bahram III (son; deposed)293-302 - Narseh (son of Shapur I)302-309 - Hormizd II (son)310-379 - Shapur II (son)379-383 - Ardashir II (nephew)383-388 - Shapur III (son of Shapur II)388-399 - Bahram IV (son)399-420 - Yazdgard I (son)420-438 - Bahram V, the Wild Ass (son)438-457 - Yazdgard II (son)457-459 - Hormizd III (son)459-484 - Peroz I (brother)484-488 - Balash (brother)488-497 - Kavad I (son of Peroz; deposed)497-499 - Zamasp (brother)499-531 - Kavad I (restored)531-579 - Khusrau I, Anushirvan (son)579-590 - Hormizd IV (son; deposed)590-591 - Bahram VI, Chbn (usurper; deposed)590-628 - Khusrau II, the Victorious (son of Hormizd IV; deposed and died 628)628 - Kavad II, Shiroe (son)628-630 - Ardashir III (son)630 - Shahrbaraz (usurper)630-631 - Boran (daughter of Khusrau II)631 - Peroz II (cousin)631-632 - Azarmedukht (daughter of Khusrau II) 632-651 - Yazdgard III (nephew) 651 - Arab Conquest of the Sasanid Empire At the end of the ancient period, war with Heraclius of the Byzantine Empire weakened the Persians enough that the Arabs gained control.
Sunday, March 1, 2020
The Dobzhansky-Muller Model
The Dobzhansky-Muller Model The Dobzhansky-Muller Model is a scientific explanation of why natural selection influences speciation in such a way that when hybridization occurs between species, the resulting offspring is genetically incompatible with other members of its species of origin. This occurs because there are several ways that speciation occurs in the natural world, one of which is that a common ancestor can break off into many lineages due to reproductive isolations of certain populations or parts of populations of that species. In this scenario, the genetic makeup of those lineages changes over time through mutations and natural selection choosing the most favorable adaptations for survival. Once the species have diverged, many times they are no longer compatible and can no longer sexually reproduce with each other. The natural world has both prezygotic and postzygotic isolation mechanisms that keep species from interbreeding and producing hybrids, and the Dobzhansky-Muller Model helps to explain how this occurs through the exchange of unique, new alleles and chromosomalà mutations. A New Explanation for Alleles Theodosius Dobzhansky and Hermann Joseph Muller created a model to explain how new alleles arise and are passed down in the newly formed species. Theoretically, an individual that would have a mutation at the chromosomal level would not be able to reproduce with any other individual. The Dobzhansky-Muller Model attempts to theorize how a brand new lineage can arise if there is only one individual with that mutation; in their model, a new allele arises and becomes fixed at one point. In the other now diverged lineage, a different allele arises at a different point on the gene. The two diverged species are now incompatible with each other because they have two alleles that have never been together in the same population. This changes the proteins that are produced during transcription and translation, which could make the hybrid offspring sexually incompatible; however, each lineage can still hypothetically reproduce with the ancestral population, but if these new mutations in the lineages are advantageous, eventually they will become permanent alleles in each population- when this occurs, the ancestral population has successfully split into two new species. Further Explanation of Hybridization The Dobzhansky-Muller Model is also able to explain how this may happen at a large level with whole chromosomes. It is possible that over time during evolution, two smaller chromosomes may undergo centric fusion and become one large chromosome. If this happens, the new lineage with the larger chromosomes is no longer compatible with the other lineage and hybrids cannot happen. What this essentially means is that if two identical yet isolated populations start with a genotype of AABB, but the first group evolves to aaBB and the second to AAbb, meaning that if they crossbreed to form a hybrid, the combination of a and b or A and B occurs for the first time in the populations history, making this hybridized offspring unviable with its ancestors. The Dobzhansky-Muller Model states that incompatibility, then, is most likely caused by whats known as alternative fixation of two or more populations instead of just one and that the hybridization process yields a co-occurrence of alleles in the same individual that is genetically unique and incompatible with others of the same species.
Friday, February 14, 2020
Drug trafficking analysis in UAE Thesis Proposal
Drug trafficking analysis in UAE - Thesis Proposal Example Financial cost on society and individuals is one of the significant problems of drug abuse. For example, in 2002, drug related cost was estimated at $180.9 billion consisting of various costs of health care and loss of labor according to the national drug control policy office. In 2004, it took US$3 million to set up a sub-office on drugs and crime in the UAE. UAE has been the target by exceptionally determined criminals who have access to adequate capital and labor to produce and smuggle voluminous amount of prohibited substances. Drugs originate from south Asia and pass through the emirates to Europe and North America, the heavy consumers (Shindagah, 1998). States in the gulf remain key destination markets for opium and psychotropic substances. Other countries such as Syria, Jordan, Lebanon and Iran continue to be the hotspots for drug manufacturing as indicated by international narcotic control board report (Reinil, 2009). Narcotics are the most trafficked drugs in UAE and are estimated to be worth US$500billion annually, according to Sherman and Tree (2010). This amount is estimated to be double that of the automobile industry (Scott, 2005) Ports are the most notorious places and foremost hotspots and avenues of drug trafficking due to the voluminous imports received daily, with Small scale dealers mostly caught at airports. The commonly used tactic of drug trafficking continues to be through the internal human body carriage. However, smugglers are always changing their tactics and the current trend as indicated by Reinil (2009) is the use of Christmas cards. One of the biggest tasks is to prevent the flow of heroin from Afghanistan, which produces 90 per cent of the worlds supply. According to Jamieson and Research Institute for the Study of Conflict and Terrorism (1990), most of the drugs grown in Afghanistan pass through the emirates before being shipped to their final destinations. There is a rising use of
Saturday, February 1, 2020
Responding to Global Warming Term Paper Example | Topics and Well Written Essays - 4000 words
Responding to Global Warming - Term Paper Example The political factors have an enormous power over the regulations governing the retail business along with the control on the spending power of the consumer, the control over monopoly of a single large retailer in the market and the availability of such retail services to most customers situated across the country. The following issues or political factors can be looked upon as either threat or opportunity for Tesco in the next ten years: Stability of the political environment ââ¬âThreat and Opportunity - A government in power will formalize rules governing the business of Tesco and the influence that Tesco will have over a government, as an environmentally friendly business. Governmentââ¬â¢s position on marketing ethicsââ¬â Threat and Opportunity ââ¬â The rules laid down by the government to make a business more environmentally friendly will have a profound effect on the money spent to be more environmentally compliant. However, this would also ensure that Tesco gains advantage by advertising its efforts to help global warming cause through advertisements and thus, gain popularity. Trading agreement of Tesco with other countries ââ¬â Threat ââ¬â Given the global nature of Tescoââ¬â¢s business, the different laws laid down by different Governments such as EU, NAFTA, ASEAN etc, can hamper the uniformity of Tescoââ¬â¢s policies for being environmentally friendly. The economic factors are the most vital ingredient for the success of a business. Marketers need to consider the state of a trading economy in the short and long terms, especially for planning international marketing. The issues of interest rates, a rate of inflation, employment level per capita, the long-term prospects for the economy Gross Domestic product per capita, etc, can all affect the revenue of a company and thus the budgetary allocation on adopting environmental friendly methods of business. Thus, the economic factors can be looked upon as threats and as well as opportunities.
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