Thursday, November 28, 2019

International Law Essays (1672 words) - International Trade

International Law International law is the body of legal rules that apply between sovereign states and such other entities as have been granted international personality (status acknowledged by the international community). The rules of international law are of a normative character, that is, they prescribe towards conduct, and are potentially designed for authoritative interpretation by an international judicial authority and by being capable of enforcement by the application of external sanctions. The International Court of Justice is the principal judicial organ of the United Nations, which succeeded the Permanent Court of International Justice after World War II. Article 92 of the charter of the United Nations states: The International Court of justice shall be the principal judicial organ of the United nations. It shall function in accordance with the annexed Statute, which is based upon the Statute of the Permanent court of International Justice and forms an integral part of the present Charter. The commands of international law must be those that the states impose upon themselves, as states must give consent to the commands that they will follow. It is a direct expression of raison d'etat, the interests of the state, and aims to serve the state, as well as protect the state by giving its rights and duties. This is done through treaties and other consensual engagements which are legally binding. The case-law of the ICJ is an important aspect of the UN's contribution to the development of international law. It's judgements and advisory opinions permeates into the international legal community not only through its decisions as such but through the wider implications of its methodology and reasoning. The successful resolution of the border dispute between Burkina Faso and Mali in the 1986 Frontier Dispute case illustrates the utility of judicial decision as a means of settlement in territorial disputes. The case was submitted to a Chamber of the ICJ pursuant to a special agreement concluded by the parties in 1983. In December 1985, while written submissions were being prepared, hostilities broke out in the disputed area. A cease-fire was agreed, and the Chamber directed the continued observance of the cease-fire, the withdrawal of troops within twenty days, and the avoidance of actions tending to aggravate the dispute or prejudice its eventual resolution. Both Presidents publicly welcomed the judgement and indicated their intention to comply with it. In the Fisheries Jurisdiction case (United Kingdom v. Iceland , 1974) the ICJ contributed to the firm establishment in law of the idea that mankind needs to conserve the living resources of the sea and must respect these resources. The Court observed: It is one of the advances in maritime international law, resulting from the intensification of fishing, that the former laissez-faire treatment ofthe living resources of the sea in the high seas has been replaced by a recognition of a duty to have due regard of the rights of other States and the needs of conservation for the benefit of all. Consequently, both parties have the obligation to keep inder review the fishery resources in the disputed waters and to examine together, in the light of scientific and other available information, the measures required for the conservation and development, and equitable exploitation, of these resources, taking into account any international agreement in force between them, such as the North-East Atlantic Fisheries Convention of 24 January 1959, as well as such other agreements as may be reached in the matter in the course of further negotiation. The Court also held that the concept of preferential rights in fisheries is not static. This is not to say that the preferential rights of a coastal State in a special situation are a static concept, in the sense that the degree of the coastal State's preference is to be considered as for ever at some given moment. On the contrary, the preferential rights are a function of the exceptional dependence of such a coastal State on the fisheries in adjacent waters and may, therefore, vary as the extent of that dependence changes. The Court's judgement on this case contributes to the development of the law of the sea by recognizing the concept of the preferential rights of a coastal state in the fisheries of the adjacent waters, particularly if that state is in

Monday, November 25, 2019

Essay Options Management and Cfo

Essay Options Management and Cfo Essay Options: Management and Cfo The CFO as Champion of Change E xc e r p t e d fro m Reinventing the CFO: How Financial Managers Can Transform Their Roles and Add Greater Value By Jeremy Hope Buy the book: Amazon Barnes & Noble HarvardBusiness.org Harvard Business Press Boston, Massachusetts ISBN-13: 978-1-4221-4107-6 4100BC Copyright 2009 Harvard Business School Publishing Corporation All rights reserved Printed in the United States of America This chapter was originally published as chapter 7 of Reinventing the CFO: How Financial Managers Can Transform Their Roles and Add Greater Value, copyright 2006 Jeremy Hope. No part of this publication may be reproduced, stored in or introduced into a retrieval system, or transmitted, in any form, or by any means (electronic, mechanical, photocopying, recording, or otherwise), without the prior permission of the publisher. Requests for permission should be directed to permissions@harvardbusiness.org, or mailed to Permissions, Harvard Business School Publishing, 60 Harvard Way, Boston, Massachusetts 02163. You can purchase Harvard Business Press books at booksellers worldwide.You can order Harvard Business Press books and book chapters online at www.harvardbusiness.org/press, or by calling 888-500-1016 or, outside the U.S. and Canada, 617-783-7410. CHAPTER SEVEN The CFO as Champion of Change Changing something implies not just learning something new but unlearning something that is already there and possibly in the way. What most learning theories and models overlook are the dynamics of unlearning, of overcoming resistance to change. They assume that if you can just get a clear enough vision of a positive future, this is motivation enough to get new learning started. - Edgar Schein, The Corporate Culture Survival Guide T transforming the ï ¬ nance operation and performance management practices is invariably the responsibility of the ï ¬ nance team led by the CFO. Though there are many books on the art of change management as well as consultants peddling panaceas, it is not an easy path to follow. Parachuting best practices from one organization into another is not easy, nor is it usually effective. How effective change is implemented varies from one organization to the next. HE ROLE OF 2 reinventing the cfo For instance, some want a consultant’s report to rubber stamp in the boardroom while others prefer to go it alone and learn as they go. The context for change also varies signiï ¬ cantly. For example, there are more constraints in the public than private sectors, and private companies can usually move faster than public companies (with fewer stakeholders to convince). The change management formula we discussed brieï ¬â€šy in the introduction serves as a reliable guide to the prospects of success. It makes the point that successful change is the outcome of three factors: D Ç‚ V Ç‚ F R (where D = dissatisfaction, V = vision, F = first steps, and R = resistance to change) and that all the ï ¬ rst three variables must be in evidence in sufï ¬ cient strength to overcome the resistance to change. This chapter will look at this transformation journey through the prism of actual practice. It will draw on the experiences of a number of organizations, including the World Bank, Tomkins, American Express, Unilever, and others. It also sets out some milestones to look out for. It will suggest that the CFO needs to: Make a compelling case for change Set some directional goals and get started Gain the support of key people Involve operating people in the change process Avoid more complexity Show some early wins Be patient but maintain the momentum Make a Compelling Case for Change The case for transforming ï ¬ nance begins within the ï ¬ nance operation itself and extends to its business partners. Let’s start with ï ¬ nance. How many of your team have worked overtime in the The CFO as Champion of Change 3 past three months? How many

Thursday, November 21, 2019

The Early Years Curriculum Research Paper Example | Topics and Well Written Essays - 2500 words

The Early Years Curriculum - Research Paper Example Such childhood is viewed as necessary to provide the foundation for realizing children's abilities and talents as they grow up. The EYFS assures parents that their children achieve this goal. The EYFS undertakes several tasks in ensuring that the outcomes of Every Child Matters are achieved by setting the standards, providing for quality of opportunity, creating the framework for partnership working, improving quality and consistency, and laying a secure foundation for future learning (Statutory Framework 2008). Learning through EYFS is done through a principled approach which the following are embedded: a unique child, positive relationships, enabling environments, and learning and development. The observation on curriculum took place on Nov. 7, 2008 at Odessa Primary School while the other one was at Montessori Day Nursery which opened in 1998. It was noticed that both settings recognized the areas of learning and early learning goals of the EYFS which include personal, social, and emotional development, communication, language, and literacy, mathematics development, knowledge and understanding of the world, physical development, and creative development. However the delivery of these goals differed in the two observed settings, which will be mentioned in this paper. One of the underpinning policies of EYFS is "every child matters," which seemed to have been overlooked or neglected by the Montessori Day Nursery in t... y Nursery in that staff ignored other children who bullied others and threw objects on them, such as the incident in which one boy threw a metal car and hit another boy, to which a staff treated it as we don't hit our friends, which was contrary to her appeasement of the other child as it was an accident. Based on the observation, the Montessori Day Nursery did not seem to follow in practice the overarching aim of EYFS, which is to help young children achieve the five outcomes of Every Child Matters which include, staying safe. The bullied children seemed to experience lack of safety by the bullies, in which the staff tended to treat the situation lightly. Enjoying and achieving seems a lacking element in the setting, since there were plenty of distractions while the class teacher was reading a story, affecting the quality of the experience as well as other's desire on the activity. Most staff members ignored the children's bad behavior as if nothing happened, resulting in non-absorp tion and disturbance on the part of other children who were willing to listen and learn from the story. In fact, when the boy who hit another with a metal toy car was told we don't hit our friends, the teacher started to read the book again, in which the boy started to punch and push other children to which she did not pay attention and just carried on with the reading. When asked if she planned the activities in advance, the activity sheet shown did not match the actual activities conducted since according to the teacher, the activity sheet only served to guide her. The Montessori Day Nursery however heeded to the provision set by the EYFS in relation to housing young children of varying ages, from birth to the end of the academic years in which the child has his/her fifth birthday. The

Wednesday, November 20, 2019

The Crucible by Arthur Miller Research Paper Example | Topics and Well Written Essays - 2750 words

The Crucible by Arthur Miller - Research Paper Example Arthur Miller was born on 17th October 1915 in New York City. He attended Abraham Lincoln High School before joining the University of Michigan. He graduated in 1938 with a Bachelor of Arts degree in English. Miller’s first Broadway play was The Man Who Had All The Luck in 1944. He later wrote All My Sons, which opened on Broadway in 1947 and received warm reception immediately conferring fame on Miller. He later produced Death of a Salesman in 1949 and won a Pulitzer Prize and Drama Critics’ Circle Award. In 1953, he wrote The Crucible, which became his most widely produced work. By 1956, he had become a fearless defender of the freedom of expression. He was summoned to appear before the House Un-American Activities Committee to explain the information that related to Communism. However, he did not name others as communists or sympathizers of communist. He also produced other plays that include A view from the Bridge in 1955, The Price in 1968, After the Fall in 1964, and Broken Glass 1994. Other plays include The American Clock in 1980, The Ride Down Mt. Morgan in 1991, The Last Yankee in 1991, and Resurrection Blues in 2002 (Viswamohan 64). Most of the people in Salem were Puritans and had a very strict lifestyle. Every person was supposed to attend church and failure would lead to a charge of breaking the law. Men and women sat on different sides and it was considered a sin for them to sit together. People in Salem believed that if anyone disobeyed their beliefs or laws, he or she was evil. They also thought that a person who was sick was possessed by the devil or was a witch. Every sin was seen as from the Devil, evil spirit, or witchcraft. Tituba was a slave kidnapped from her home and taken to Salem. She cared for the Parris children and would tell them stories she had learned in the Caribbean about magic and spirits. Many people would also come to listen to her tales. In 1692, three girls who were usual listeners of Tituba’s stories started

Monday, November 18, 2019

How to Break Up and Remain Friends Essay Example | Topics and Well Written Essays - 1000 words

How to Break Up and Remain Friends - Essay Example True, it might hurt initially but the break up could be beneficial for the couple. First, they no longer remain in a non-workable relationship and the separation gives them space to mature and to find partners that they could really be happy with. For good or for ill, the other person had a part of one’s life and it is much better to remain friends than keep the pain of the break-up. Yes it is easier said than done. Especially if the break up was just recent. Sometimes, the other party wronged the other party that led to the break-up that remaining friends would be quite impossible. Yet, despite all these difficulty in remaining friends with exes, relationship experts unaninomously agree that it is still healthier to remain friends with exes than totally severe the relationship. First, it displays maturity on both party and second, it allows both party to move on smoothly. There are few tips that were given which this paper would attempt to consolidate for brevity. According t o Molly Mann, both party has to set their expectations right so that remaining friends with a former lover would still be possible. Foremost, â€Å"do not expect to be friends all at once† (2009). ... Think about this, if the other person did not get hurt with the break up, then the relationship might not have meant anything. The pain is only a manifestation how valuable the relationship were which is why partners are grieving. If the other party is not yet ready, do not rush. When the time has already come that the two of you are already ready to face each other and talk, this would be the ideal time to sort things out if there are still unresolved issues. If the air is already clear, it would be first comfortable to talk about neutral topics than jumping right away in the topic that the two of you wanted to become friends right away (Chenoweth, 2011). It might make the other party or both parties awkward that would make future attempts more difficult. Treat the ex just like a normal friend and be relaxed (Chenoweth, 2011). Zara Hughes made a caveat in extending the olive branch of friendship. Make sure that the both of you have established boundaries in the new structure of your relationship that it is strictly platonic. Be aware not to engage in sweet things that the two of you used to do such as touching, flirting and of course, kissing. It will only make things more difficult because the two of you will be back where you started (Chenoweth, 2011). In the same manner that you keep your body language platonic and neutral, also make conscious check not to talk about the emotional details of your relationship. Nor the reason of its break up or what could have beens. Talking about it would be tantamount to fix the relationship with a subconscious hope for the two of you to be back again. Once that happened, you two are again back from where you started and will undergo again the harrowing feeling of break up and re-establishing friendship. If

Friday, November 15, 2019

DNA Fingerprinting How Accurate is it

DNA Fingerprinting How Accurate is it Deoxyribonucleic acid, or DNA, is the genetic material that is contained within the cells of living organisms and it is considered to be the building blocks for a persons genetic makeup. Each cell in the human body that has a nucleus contains exactly the same DNA as all the other cells and each persons DNA is unique to that person, with the exception of identical twins. This means that the DNA that comes from a persons blood, skin cells, semen or saliva is all exactly the same. DNA fingerprinting, also known as DNA typing, is the process of taking DNA samples from a crime scene and attempting to match it to samples taken from possible suspects. The DNA that is collected can come from a variety of difference sources; it can come from blood, semen, skin cells, saliva, and a variety of other bodily fluids and tissues. DNA can be a powerful tool in forensic science because of the fact that it is unique to the person that it came from. However, when a sample is not handled carefully or results are not interpreted properly the same powerful tool can set guilty people free or condemn innocent people. The question that must be answered then is should DNA evidence be the backbone or merely the starting point of an investigation? The fact that DNA is now being used to solve so many crimes there became a need for a way to store the information from the samples collected from crime scenes and criminals. The Combined DNA Index System (CODIS) is the center of the national DNA database that has been established and funded by the Federal Bureau of Investigation (FBI). CODIS allows laboratories from all over the country to share and compare DNA data collected from crime scenes and suspects in order to match criminals to their crimes. CODIS includes the National DNA Index System (NDIS), which contains the data for the entire country, the State DNA Index System (SDIS), which contains the data for each state, and the Local DNA Index System (LDIS), which contains information for a particular city. Uses of DNA in Court Cases Many people play a vital role in the collection and processing of DNA samples. It begins with the first responders to the crime scene, followed by the technicians who collect the samples and then concludes with the laboratory technicians that process and interpret the results. The first responders must every effort possible not to contaminate any possible sources of DNA before they can be collected. This requires that the technicians be familiar with where the DNA may exist at the crime scene therefore reducing the chance that this evidence becomes contaminated or damaged. The DNA that is collected from a crime scene must first be amplified so that a sufficient amount of DNA is available to test and analyze. The DNA must first be removed from the cells that it is contained in and this is done through a chemical process that lyses the cell and releases the DNA. Once the DNA has been released from the cell it can then be amplified which is done through a process called Polymerase Chain Reaction (PCR). During PCR the DNA is heated to a temperature of 90-95Â °C which allows the strands of DNA to separate from each other and once the strands are separated they can then be duplicated creating two identical strands of DNA. This process is a chain reaction because each time it is repeated the amount of available DNA is doubled. Each cycles take anywhere from 2-5 minutes and when repeated 25-30 times can increase the amount of DNA over 1 million fold. This means that a very small amount of DNA collected from a sample can be tested. Once the samples have been amplified there are prepared for matching by using a test kit that can detect characteristics called alleles at different locations, called loci, on the genome. These alleles are present in what are called short tandem repeats (STRs). STRs are repeated portions of DNA that appear in close relation to each other. These repeating portions of DNA can allow differentiation of DNA from one person to another. Currently laboratories in the United States use kits that identify 13 loci that have been selected by the FBI for CODIS. Each locus can have a number of different alleles and the pair of alleles at one locus constitutes each persons genotype at the loci. Once each set of alleles is detected at each locus it is now called a DNA profile. This profile can then be used to match samples taken from the crime scene to the suspects or to CODIS in an attempt to find the perpetrator of the crime in question. Accuracy of DNA Fingerprinting There are many factors that come into play in the validity of the forensic DNA fingerprinting. These can include coincidental matches between DNA profiles, contamination of the DNA evidence through accidental transfer of cellular material, errors in labeling or classification of samples, misinterpretation of the results, either accidental or intentional, and planting of biological evidence. The coincidental matches can come from the fact that degradation of the DNA, limited quantities of DNA, or contamination of the samples can cause a result of incomplete or partial DNA profile. A full profile match would match all 13 of the loci where a partial match while a partial match would have fewer alleles. When a profile is incomplete or partial it can produce fewer markers to match it can be more likely produce a match by chance. That is, as the number of available markers goes down the probability of false positive increases. Another factor that can increase the likelihood of false positive is the relation of the people that the samples are taken from. What this means is that two people who are related to each other have a higher probability of producing a partial match and how closely they are related can increase this likelihood. The closer the family relation is the higher the probability of a partial match. The probabilities are as follows, 1 in 14 billion for a first co usin; 1 in 1.4 billion for a nephew, niece, aunt or uncle; 1 in 38 million for a parent or child and 1 in 81 thousand for a sibling. 7 A larger risk of a false positive is possible when the DNA sample used has an incomplete profile. When an incomplete profile is put through CODIS the probability of getting a match is increased which may result in an innocent person being accused of a crime they did not commit. This was the case in Chicago in 2004 when a 6 locus profile was run through the state database after a burglary. This partial profile returned a match to a Chicago woman. The woman was arrested but then had to be released when she provided an alibi, there was no way she could have committed the crime because she was in prison serving time for another crime. 7 Contamination of the samples is the most common factor that can affect the accuracy of the DNA profile. Contamination can come from many sources and can occur at different points along the sample collection and preparation timeline. The first time that contamination can occur is during the collection process. Carelessness during the sample collection can introduce unwanted DNA into the sample therefore making it impossible to distinguish the DNA from the unwanted source from the DNA evidence. If someone sneezes or coughs on the sample, if the person collecting the samples touches their face or other body part and then touches the area that might DNA to be tested it essentially ruins the sample. Other ways that the sample can become tainted is through the use of dirty or contaminated collection tools, using gloves that are not clean, or by putting the samples into plastic rather than paper bags. The second opportunity for sample contamination can occur in the laboratory where the sample processing takes place. In the laboratory the sample is susceptible to the same types of contamination as when the samples are being collected as evidence and great care must be taken by the laboratory technicians to prevent contamination from occurring in the laboratory. The only exception to this is that in the laboratory the samples can be mislabeled. If the laboratory technicians are careless and mislabel Recourse for a Wrongful Conviction There are, of course, some people that can be set free by the use of DNA testing. Before DNA fingerprinting became the widely used forensic technique cases relied heavily on eyewitness testimony and the testimony of the victims themselves. However witnesses can sometimes be so traumatized or the crimes can happen so quickly that the wrong person can be accused and the testimony can be so convincing that innocent people can be convicted of crimes. There is now a way that people who have been wrongfully convicted can prove their innocence. The Innocence Project is a non-profit organization that takes requests from inmates that believe that there may be a chance that DNA evidence would exist such that they can be exonerated for their crimes. To date the Innocence Project has been able to help get ***** innocent people freed from prison. While this new freedom is a joyous time for the wrongly accused and convicted it can be a very confusing time for the victims. Even though the victims have wrongly identified the perpetrators of their crimes they spend years believing that the person that was convicted was actually the person that committed the crime against them. It can be a very painful and confusing time for the victims and they sometimes have a hard time believing that they were responsible for an innocent person spending years, sometimes decades in prison. In other cases some victims have a very hard time believing that the person they have spent years believing committed this crime against them is not actually the person that committed the crime. Ethical Evaluations As for the Innocence Project to perform a utilitarian analysis you would have to weigh the good of freeing innocent people from a life behind bars to the pain and fear that the victims feel when learning that these people are set free. While no person should have to feel pain and fear, the good of freeing innocent people is far greater. Summary Conclusion Many people rely on the accuracy of the DNA evidence that is presented in court cases and expect this evidence to be infallible. The victims of the crimes are relying on this DNA to be able to find the persons responsible for the crimes so that they can be convicted. On the other hand the innocent people accused of crimes are relying on this DNA evidence to prove their innocence and set them free. But in both cases the people involved are relying on the fact that this evidence is accurate and does not contain any errors, errors that can introduced through human error or errors that are innate in the statics of DNA matches between the samples taken. The fact that these errors are present and may not be avoidable leads to the conclusion that DNA evidence should not be the only evidence that is used in cases but rather a starting point for an investigation.

Wednesday, November 13, 2019

Which Type of Salt will Increase the Boiling Point of Water the Most? :: boiling point, science, experiements,

The researcher conducting this experiment is trying to find out which salt- Epsom, table salt, and sea salt- will increase the boiling point of water the most. Sodium chloride is believed to increase the boiling point of water because when salt is suspended into the water, the sodium and chlorine ions leave the â€Å"salt crystals† and mix with the water molecules. (â€Å"Why does salt†¦ raise boiling point of water?†, 2009). People discovered salt around 900 B.C. They would dig up salt near the Dead Sea and in South America. Salt has been important in the world’s culture for thousands of years. People used to use it to preserve meat or fish. Salt was so valuable that in several places, some would use it as money and others would trade it off for something else. (Aasen, et Al 1999). Common salt is another word for table salt. Table salt was researched to have the most of sodium chloride and actually has ninety-nine point nine percent (â€Å"Natural sea salt - will not cause high blood pressure†, n.d.). The researcher thinks it will increase the boiling point in water the most because it has the highest amount of sodium chloride present. Common salt is said to be the most used matter in the chemical world. Salt is translucent and can create electricity if melted. It is also known to melt ice or snow because it can be added to water to create a mixture that has a lower freezing point than purified water (Aasen, et Al 1999). Common salt is necessary in everyday lives because it carries vital substances. It also has many uses, but is found to be used in food only one percent of the time (McGrath and Travers, 1999). It is used to clear ice and snow off of roads, during the production of chlorine, in livestock feeding, to preserve foods, and to improve the taste of some foods. (Aasen, et Al 1999). The researcher did research and found that Epsom salt is called â€Å"hydrated magnesium sulfate†. Magnesium sulfate is not to be swallowed and if it is can be harmful. It is slightly reactive, the ability to mix with chemicals, and is not flammable which means it does not catch fire easily. Magnesium sulfate is a transparent white powder that is odorless and that dissolves quickly in water. It is good to use because it is not toxic to the environment (Baker, 2008).

Monday, November 11, 2019

Cellphones are not necessary in teenagers’ lives Essay

No, cellphones are not necessary in teenagers’ lives. I admit this because I think cellphones ruin teenagers’ social life. First of all, teens like to use their cellphones to text. Something that is wrong about this is that these teenagers only will talk over text but, never face to face. Besides texting on their phone, they also like to go on social networks such as Twitter, Instagram, Facebook, and Tumblr. Other teens that use these social networks can start rumors about you that may or may not be true. This can lead to people talking behind your back at school and not having any friends that want to talk to you. Furthermore, teenagers having a cellphone can stop them from going out as much. The advantage of going out with yours friends is to socialize and have fun. There would be no point to going out if you have a cellphone because you can just call each other or talk online. These are a few examples of how having a cellphone can ruin a teenagers’ social life. As a teenager having a cellphone distracts me on a daily basis. For instance, when having a conversation with someone it makes it hard for me to concentrate to what the person in front of me is saying when an incoming message is sent. Also, having a cellphone beside you while doing your homework is not a great idea. While doing your homework you can randomly get a text message or a notification which makes it hard to focus on your work and easy to get distracted by your phone. So instead of doing your homework you will probably be playing a game on your phone. In addition to getting distracted while doing homework, teenagers also get distracted while doing their chores. This can lead them to not getting their chores done and later on getting in trouble by their parents. In brief, being a teenager and having a cellphone distracts me in many ways and most likely distracts other teenagers as well. Finally, having a cellphone when you are a teenager lacks productivity. Teenagers sit somewhere for hours doing nothing that is important. For example, you go on your phone and check your Twitter, Tumblr, and Instagram over and over again. Also, teenagers get so attached to their phone that they forget about their homework and the next day try to come up with excuses on why it is not done. Teenagers should go outside and breathe the fresh air but when you are on your phone you manage to sit around for hours which is not very healthy for your body.

Friday, November 8, 2019

Easy Baking Powder Substitution for Cooking

Easy Baking Powder Substitution for Cooking Are you doing any baking? If you find yourself having only baking soda and a recipe that calls for baking powder, or vice versa, do you know enough about cooking chemistry to make a substitution? All you need is a bit of cooking chemistry to save the day. Using Baking Powder When the Recipe Calls for Baking Soda You can substitute baking powder in place of baking soda, though you will need a bit more baking powder, because it contains additional ingredients. If the recipe calls for baking soda, use 2-4 times more baking powder. So, if the recipe uses 1/2 teaspoon baking soda, use at least 1 teaspoon baking powder. Another suggestion is to replace an acidic liquid in the recipe with a non-acidic one. For example, if you are doing a substitution and the recipe calls for buttermilk, youll get better results if you change to regular milk. Using Baking Soda When the Recipe Calls for Baking Powder You cant directly substitute baking soda if you are out of baking powder. However, you can make your own baking powder, using two parts cream of tartar and one part baking soda. It can get a bit tricky to get the measurements right if you only need 1 teaspoon of baking powder, so what you might want to do is mix up a small batch of homemade baking powder and save the rest for later (stored in a sealed container to keep moisture away). Mix together 1 teaspoon baking soda with 2 teaspoons cream of tartar. Then measure the amount of baking powder that you need from that mixture. Another variation on this recipe is to mix 1/4 teaspoon baking soda, 1/4 teaspoon corn starch, and 1/2 teaspoon cream of tartar. This yields 1 teaspoon of baking powder, which also acts as a double-acting baking powder. Youll get the best results with this version if you use 1 teaspoon of the homemade baking powder for every 1 cup of flour in the recipe. If you use homemade baking powder, be sure to bake your recipe right away after mixing the ingredients. There are commercial baking powders that will allow you to let a recipe sit for a while before baking, but its generally a good plan to start heating the food immediately, since the reaction that causes baked goods to rise starts as soon as the wet ingredients are added. Notes About Baking Substitutions Substituting leavening agents such as baking powder and baking soda doesnt usually have a huge impact on flavor because these ingredients are present in fairly small amounts. However, you might notice a flavor or texture difference. It wont necessarily be bad. In fact, you might discover a new favorite recipe!

Wednesday, November 6, 2019

The eNotes Blog Ghostwriting Do ReadersCare

Ghostwriting Do ReadersCare It may not surprise you to learn that many celebrities do not write their own books. After all, they usually have neither the skill nor the time to do so. It may be more upsetting, however, to learn that books by more laudable figures are also penned by ghostwriters. According to literary agent Madeline Morel, â€Å"On the non-fiction best-seller list, 12 out of the 15 books listed probably have been ghostwritten.† A look at last week’s New York Times nonfiction best-seller list seems to uphold Morel’s assertion. Of the fifteen current top titles, three say they are written â€Å"with† someone else. Several others, like Dylan Ratigan’s Greedy Bastards, also seem likely candidates. The question is, does it matter to you whether or not the story you are reading is penned by its central figure? Is it all right if a person has a good story to tell but relies on someone else to do the actual writing? Perhaps the best solution is to do as several authors now do by confessing that they did not go it alone. Professional ghost writers defend their craft. They are not merely reporters or dictation machines, many will insist. Rather, they bring their skills to help someone express him- or herself in a way that will sound both interesting and polished. Professional ghostwriter  David Reisen  adds, â€Å"I don’t think that writing with somebody is necessarily milquetoast. I really want the human being to come through.† (You can hear more about ghostwriters and writing on PRI’s Studio 360  here.) What do you think? Do you care at all if a book is ghostwritten? We would like to hear your thoughts.

Monday, November 4, 2019

International business strategy Essay Example | Topics and Well Written Essays - 1250 words

International business strategy - Essay Example Being directly related to the health of the customers, the industry possesses certain unique characteristics which in turn influence its market status. For instance, the industry attracts strict legal barriers, intense political considerations, along with effective technical collaborations. However, the industry gains an advantage of lesser economic constraints and social influences (Verbigena, 2004). Since its initiation, the industry has witnessed a rapid growth despite certain major barriers such as, increasing debt and the effect of recent global recession. The turnover of the international pharmaceutical industry as recorded in the last month of 2009 was $ 233 billion. This depicts that the industry was on a growth when compared with the 2006 statistics reporting revenue of $193 billion (Moody’s Investors Service, Inc., 2010). However, the industry also witnessed challenges in terms of mergers and acquisitions. For instance, Pfizer acquired Wyeth for 68 billion; Merck Sha rp & Dohme was acquired by Schering for 41.1 billion and Roche acquired 43% of the total stake in Genentech. Notably, all the companies were recorded to be among the major players in the global industry. Hence, it can be stated that the mergers and acquisitions strongly influenced the structure of the industry which can prove to be a constraint from the marketing perspective (Hornke & Mandewirth, 2009). 1.2. Demand & Supply In the economic perspective the demand and supply in an industry is referred to the interdependent relationship between the total amount of products and/or supply rendered to the industry’s customers and the actual need or requirement to the total population of the customer. To be related with the pharmaceutical industry, one opportunity that the industry gains in this context is that it renders a product which is categorised as a basic requirement of human population. Therefore, the suppliers in the industry enjoy more power in comparison to the buyers. H owever to be precise, the market demand was recorded to fall back during the early 2000s and after the recent economic downturn it is again increasing. Accordingly, the supply chain of the industry comprises of the manufacturers and marketers, who are altogether reflecting a positive outlook to render their products to their ultimate customers (Holland & Batiz-Lazo, 2004). 1.3 Key Countries of the Market The international pharmaceutical industry can be categorised in three main regions, i.e. the American region, the European region and the Asian market region. Notably, the industry structure and performance vary from one economy to another. It is due to the fact that the industry depends highly on the legal, political and technological issues beside the social and economical barriers. The statistics recorded in 2005 revealed the following facts regarding the annual contribution of various economies to the international pharmaceutical industry (Medicines Australia, 2007). Economies N orth America Europe Japan UK Australia Other Economies Shares in Sales (2005) 45% 20% 10% 3% 1% 21% Source: (Medicines Austra

Friday, November 1, 2019

Supply Chain Managmet Case Study Essay Example | Topics and Well Written Essays - 1000 words

Supply Chain Managmet Case Study - Essay Example and Jill, a representative of Success Inc. Company. Mike Vanne’s company was a supplier to Success Inc. Time context Based on the conversation, Mike Vanne’s company started experiencing management problems from 1998 soon after its establishment. In 1999, the company also changed its fiscal year. This change in fiscal years twice in a row is an indication of short sighted and indecisive leadership. Viewpoint Mike Vanne’s viewpoint is that the company is fast growing. He defends this viewpoint with the fact that they made eleven acquisitions in a time span of two years. He links the company’s prosperity with the acquisitions. In addition to this, Mr. Vanne believes his company is in good shape since he has good employees. However, Jill is of a different viewpoint. She questions the nature of leadership in Mr. Vanne’s company. This indicates that she believes the company’s leadership is the cause of the potential problems. Central problem The ce ntral problem in this case is poor leadership. Mr. Mike Vanne has little knowledge of the business yet he is the owner. In addition to this, he is complacent in taking radical steps to ensure the company does not get under problems in the future. He chooses to ignore the fact that his company has been faced with several lawsuits. As if that is not enough, he brushes off the idea as bad publicity of the company. Out of a series of ten meetings, Ari Villa happens to have attended one or two board meetings yet he is the chairman to the board. Mike Vanne justifies Villa’s actions in proposing that villa is a busy man. Another leader, Sandra Chia fails to attend a meeting with one of their business associates yet she is the Chief financial Officer to the company. As a CFO, it is important for her to attend meetings concerning their business associates since the impression she gives could either work for or against the company. From these illustrations, one concludes that the leade rship in X Inc. is in shambles. The leaders are allowed to run the company as they wish and are not accountable to anyone. According to Jones (p.1), lack of collaboration amongst the company leadership is one of the signs of a dysfunctional leadership. Statement Objectives Statement objectives form the backbone of any business. They relate what the business plans to achieve (Complete Business start up p.1). X Inc.’s objectives are as follows: To provide quality service in the technologic business field. To ensure continuous growth of the business through establishing a wider market base and capturing profitable business opportunities. To create a strong leadership team that will channel the company towards growth. Areas of Consideration In solving the problem at hand, a SWOT analysis will reveal the strengths, weaknesses, opportunities and threats of X inc. business venture. SWOT analysis analyses external and internal factors that are key to the attainment of a companyâ€⠄¢s objectives (Hill & Westbrook pp.12) External Environment The external environment assesses threats and opportunities. One takes into consideration macroeconomic matters, technological advancement, changes in the market, competition and legislation. In looking at X Inc., it has several opportunities. X Inc., is one of the leading technological companies. This opportunity helps them to wade off unnecessary competition. In addition to that, its ability to form mergers and acquisitions opens it up to a larger