Monday, September 30, 2019

JPMorgan Chase Essay

Introduction J. P. Morgan Chase & Co. is a prominent and successful Fortune 500 company. It is the largest bank in the United States by assets. CEO James Dimon, has lead the J. P. Morgan Chase & Co. through multiple risky events. J. P. Morgan Chase & Co. has been facing multiple fines and settlements due to its failure to abide by its own code of conduct. The company has failed to follow procedures and regulations on numerous occasions. The company is becoming notorious for making unethical decisions and simply not following the guidelines. This year J. P. Morgan Chase & Co. agreed on a thirteen-billion dollar settlement regarding unethical selling of mortgage-backed securities. The selling of these mortgage-backed securities played a role in causing the financial crisis of 2008. An article found on BBC’s website does a good job of explaining this in basic simple terms. Between 2004 and 2006 US interest rates rose from 1% to 5. 35%, triggering a slowdown in the US housing market. Homeowners, many of whom could only barely afford their mortgage payments when interest rates were low, began to default on their mortgages. Default rates on sub-prime loans – high risk loans to clients with poor or no credit histories – rose to record levels. The impact of these defaults were felt across the financial system as many of the mortgages had been bundled up and sold on to banks and investors (http://news. bbc. co. uk/). This report explains and elaborates on J. P. Morgan Chase & Co. ’s role in the financial crisis. It expounds on what the company violated and unethically did to have caused the current settlement negotiation. Using multiple online resources, we gathered information plentiful enough to analyze the company’s practices and determine what steps must be taken to avoid future discrepancies. Through social media we observed how consumers’ feelings towards the company are being impacted by the current tentative settlement regarding the mortgage-backed securities. The stock market was observed and studied throughout the course of J. P. Morgan Chase & Co. ’s negotiations. It is vital to understand how shareholders are being impacted as they are a key role in a company’s success and resources. Using the information gathered this report suggests steps to take in improving not only how J. P. Morgan Chase & Co. is thought of but how the company does business. JPMorgan Violated Both Banking and Securities Laws On January 24, 2012 President Barrack Obama gave his State of the Union speech in which he stated, â€Å"Our working group is focusing on conduct related to the pooling and creation of mortgage backed securities, issues related to conduct that created the crash, not abuses that happened after the crash† (Obama). He aims to create a mortgage crisis unit that will investigate the major banks that took part in unethical practices that lead to the crisis. New York Attorney General Eric Schneiderman will co-chair the unit. The mortgage crisis unit includes officials from the Justice Department, Securities, Exchange Commission and Internal Revenue Service. Obama said in his speech that the unit â€Å"will hold accountable those who broke the law, speed assistance to homeowners, and help turn the page on an era of recklessness that hurt so many Americans. † (http://www. bloomberg. com). JPMorgan Chase violated not only banking laws but also securities laws. J. P. Morgan Chase & Co. constituted recklessly unsafe practices, which resulted in misconduct and losses. An article on www. wallstreetonparade. com stated, â€Å"The Bank (Chase) failed to ensure that significant information related to the credit derivatives trading strategy and deficiencies identified in risk management systems and controls was provided in a timely and appropriate manner to OCC examiners. †(Marten). The article also stated that â€Å"The SEC focused on JPMorgan’s ineffective internal controls and failure to keep the Audit Committee of its Board informed in timely manner as required under its own rules and under the Sarbanes- Oxley Act. † (Marten). In other words, JPMorgan broke the rule of the code of conduct which stated that â€Å"No one at J. P. Morgan Chase & Co. should ever sacrifice integrity or give the impression that they have even if they think it would help the firm. † (www. jpmorganchase. com). The SEC found that J. P. Morgan Chase & Co. Chase violated securities laws by filing false information to the SEC. According to the SEC, the company failed to maintain internal control over financial reporting, disclosure controls and procedures, filing of inaccurate reports with the Commission. The SEC, in its settlement document stated that J. P. Morgan Chase & Co. violated Sections 13(a), 13(b) (2) (B) of the Exchange Act and Rules 13a-11, 13a-13, and 13a-15. The JPMorgan Chase code of conduct represents fundamental assets that can be done on behalf of the company. In other words, there are policies that are applied to the Chief Executive Officer, President, Chief Financial Officer, and Chief Accounting Officer of JPMorgan Chase & Co. The purpose of the code of conduct is to endure commitment to integrity. The Code of Conduct is important for JPMorgan Chase & Co. because it lays out the responsibility and expectations that the company has to represent to customers. The company is also responsible for ethical decision-making, which means that doing the right thing whereas speaking up about any violation of the company. According to the Code of Conduct, â€Å"No business unit or location in the Company can adopt policies that are less restrictive than the Code, but some do have rules that are more restrictive. † (www. jpmorganchase. com). The Code means that the business should know and follow all policies even if the rules are hardcore. The Code of Conduct has a decision tree on the company’s website where you would ask yourself a question like, â€Å"Is it legal? † or â€Å"Does it comply with our Code and our Company policies, and the principles of ethical behavior they reflect? † These questions are important when it comes to making decisions. If neither of the questions comply with your decisions, then it could result in some serious consequences. Sharing concerns and reporting violations is very important when it comes to a company’s reputation. According to the Code of Conduct, you should share your concerns without fear, report legal or regulatory preceding that involve you personally. Breaking any security law or banking laws and result in consequences. It is important to speak up about any violations that could result in unethical conduct related to financial services. Maintaining accurate records is also an important task when it comes to a company. According to the company website, â€Å"Internal accounting controls and record keeping policies are essential to the successful operation of our Company and our ability to meet our legal and business requirements. Each of us is responsible for being accurate, complete and honest in Company records and for complying with all of the controls, policies and procedures we have in place. † (www. jpmorganchase. com). False records are unethical and could tarnish the company’s reputation. JPMorgan Chase & Co. ’s major direct holders are James Crown, James Dimon, Douglas Braunstein, Daniel Pinto, and Frank Bisignano. These shareholders own stock in the company. These main holders have the main shares in this company. According to JPMorgan Chase & Co. , outside activities is important because doing outside activities could cause conflict not only for the company but for shareholders as well. By selling stock the company gets money almost no catch. There is no interest to pay and no requirement to pay the money back at all. Even better, equity financing distributes the risk of doing business among a large pool of investors. If the company fails, the founders don’t lose all of their money, they lose several thousand smaller chunks of other people’s money. The money the company makes of its investors is used to pay for its fines and fees. This is why there is much anticipation with the negotiation of the settlement regarding the selling of mortgage-backed securities. This chart from yahoo’s finance reports shows that in October, during the negotiation of the settlement, stock dropped: Settlement & Resolution J. P. Morgan & Chase Co. is under investigation for these unethical practices and risk losing a large sum of money as settlement, as well as criminal charges being placed upon them for their dishonorable actions. There are many legal steps that are being taken to resolve the issue at hand. Some of these steps include hiring an independent monitor or other third party firm to oversee these measures along with ensuring that J. P. Morgan Chase & Co. follows the appropriate guidelines set forth legally and prevent them from practicing any further unethical actions. The person or firm hired must examine each and every home loan before J. P. Morgan Chase will be able to be packed into any type of investments. In order for JP Morgan Chase to continue with home loans and recover from there scandalous acts, they must meet the obligation presented to them and hire an overseer, whether an individual or firm, and have the issues resolved by the end of 2017. Steps that J. P. Morgan Chase & Co. can take to improve its disgraceful situation are: to make some kind of assistance available to the individuals that were hit hard and greatly affected by these poor business practices inflicted by the company. This can be obtained by offering the individuals who invested in some type of loan through J. P. Morgan Chase & Co. an opportunity to refinance their current loan, the donation of bank- owned properties, and new mortgage loans to low and moderate income families (O’Toole). This will hopefully help the individuals that now owe more on their houses then they are worth, and are thus upside down on their loans due to the unethical practices of JP Morgan Chase. If this proves beneficiary to the individuals who took out the loans, JP Morgan may just be able to recover their reputation, if not they will have to live with the disreputable name they have now created. JP Morgan Chase can also buy back all of the mortgages that they put these poor individuals into in the first place in hopes that the individuals may climb out of the dark hole of debt that they were lured into by the scandalous actions of the Chase employers. JP Morgan Chase must help the individuals out of their debt inflicted by the bank if there is to be any hope at recovering their reputation and solving the discriminating issues at hand. This can only be obtained by them offering their support and assistance to find as well as ensure them a better financial loan option. JP Morgan Chase must make right on their word for any betterment to be observed. They can and should take the blame for their wrongful actions by stating that they know they were wrong and immoral in their actions and present the individuals with an apology as well as an ethical solution to fix and make good the issues at hand. JP Morgan must make it right for the individuals who entrusted in them to give them ethical and proper loan assistance in the first place. They need to bail the individuals out of the debt they mischievously placed them in. JP Morgan Chase banks can better themselves in the long run by can buying back all the mortgages that they sold to individuals in the first place. Mortgage loans that they knowingly sold without compliance to the mortgage standards set forth. They can also provide help to their employees who may be under investigation as well by taking full responsibility for the unethical situation and not placing the immoral conduct of the bank on the employees and forcing them to get into trouble. They need to back their employees because some who knew it was wrong didn’t want any part of the unethical situation, but JP Morgan Chase required the employee to perform the immoral practices anyways with the threat that they would lose their jobs if they didn’t abide. The company says it â€Å"is fully reserved for this settlement,† implying it has cash and other savings on hand to meet the requirements. JPMorgan will finish providing relief to borrowers by the end of 2017, the company says (Arnold). The following is a quote from Jamie Dimon: â€Å"We are pleased to have concluded this extensive agreement †¦ and to have resolved the civil claims of the Department of Justice and others. † â€Å"Nonetheless, New York Attorney General Eric Schneiderman, California Attorney General Kamala Harris, Sacramento U. S. Attorney Benjamin Wagner and other officials involved in investigating JPMorgan’s mortgage actions called the settlement a significant government victory† (McCoy). This settlement will resolve a large amount of state and federal investigates into JPMorgan Chase’s selling of mortgage backed securities between 2005 and 2008. Concluding results An article on http://www. scpr. org explains how the settlement money will be distributed, â€Å"Q: How much money will end up in the hands of homeowners? A: The state attorney general’s office said $4 billion of the $13 billion settlement will go toward helping consumers nationwide. That could come in the form of mortgage payment reductions or loan modifications for homeowners, the office said in a press release. The office said they had no estimate on how much of the $4 billion borrower’s relief would go to California homeowners, but they believe the state will receive a â€Å"good amount of relief. † JPMorgan declined to comment on the percentage that will be directed to Californians. Separate from the borrower’s relief, California did receive nearly $300 million in damages out of the $13 billion settlement that will go to public employee and teacher pension funds, CalPERS and CalSTRS. Q: What will determine which homeowners get money from the $4 billion portion of the settlement? A: The state attorney general’s office said Californians who may qualify for the relief would likely have gotten mortgages with Washington Mutual and Bear Stearns, which are now part of JPMorgan. Stuart Gabriel, director of the Ziman Center for Real Estate at UCLA, said he thinks state agencies may reach out to individuals who are in danger of foreclosure and offer some mortgage modification, such as interest rate relief. Q: When will homeowners receive this money? A: It’s unclear how soon Californians could qualify to receive a portion of the borrower’s relief. The state attorney general’s office said the agency that will handle those decisions hasn’t been determined yet. Q: Will the settlement have an effect on the housing market? A: Gabriel said he doesn’t think there will be any perceptible effect on the direction of the housing market as a result of the settlement. He said what’s notable is that JPMorgan had to pay a large fine. The $13 billion JPMorgan settlement is roughly three times more than what BP paid to settle criminal charges related to the Deepwater Horizon oil spill, according to Gabriel. â€Å"It’s a big deal for JPMorgan and it’s a big win for the U. S. government,† Gabriel said. â€Å"It’s a win for the point of view that there were fraudulent practices in the packaging of mortgages into mortgage-backed securities on the part of major investment houses. † Gabriel said he doesn’t think this is the end of such settlements and the government is â€Å"in all likelihood working its way around Wall Street now with the precedent of a very big settlement in its back pocket. † Q: Is the foreclosure crisis over? A: Reports show the number of foreclosures has steadily declined. But Peter Kuhns of the Alliance of Californians for Community Empowerment said it’s still a major problem. â€Å"It’s massive. † Kuhns said. â€Å"There are estimates that somewhere close to a third of all California homeowners with mortgages are underwater on their loans, that they owe more money than their house is worth. † Kuhns said he hopes that the $4 billion borrower’s relief will go toward helping homeowners reduce the amount of money they owe on their mortgage payments. † (lee) This shows progress but it will not be enough to keep the company’s consumer’s happy. J. P. Morgan Chase & Co. must maintain an ethical and professional work pace. It will take time but doing things correctly, the company’s reputation can be salvaged. Shareholder’s don’t seem to be losing trust since the agreement on the settlement. Shares are at a healthy fifty-seven. The Board of Directors must put these changes into action as soon as possible. They must start the process towards recovery at once.

Sunday, September 29, 2019

Everything your American history textbook got wrong Essay

During my period of time that I had to read this very persuasive book into believing that you’re casual every day period of History class is basically nothing but a waste of time if not taught in the correct context. Which would include the good, the bad, and the all in between of the subject of that person or situation in history that would be important enough for generations to come to know and remember about in all its entirety. This book also includes how Americans have lost their touch with their history, and in this thought-stimulating book, James Loewen shows just why. After surveying twelve leading high school American history texts, he has concluded that not one of them does a decent or even good enough job of making history interesting or memorable. Flawed by an embarrassing combination of blind patriotism, mindless hopefulness, upright misinformation, and outright lies, these books leave out almost all the uncertainty, passion, conflict, and drama from our past. In ten powerful chapters, Loewen reveals that: Surely textbooks should include some people based on not only what they achieved but also on the distance they traversed to achieve it, as written in page 9 of chapter 1. Also in chapter one mainly in page 17, Woodrow Wilson, known as a progressive leader, was in fact a white supremacist who personally vetoed a clause on racial equality in the Covenant of the League of Nations. James also had written that â€Å"Woodrow Wilson’s administration was openly hostile to black people†¦Ã¢â‚¬ ¦.. Wilson was not only anti-black†. To the history in chapter 4 page 116, about the truth of native Americans, â€Å" Six of the twelve histories I studies avoid this clichà © of Indian naitives about land ownership†¦Ã¢â‚¬ ¦Ã¢â‚¬ ¦several of them even point out that the problem lay in whites not abiding by accepting concepts of land ownership.† From the truth about Columbus’s historical voyages to an honest evaluation of our national leaders in chapter 8 page 230, Loewen revives our history, restoring to it the vitality and relevance it truly possesses. In the book, Loewen covers: faulty heroic personification of false heroes vs. th e lowering worth of America’s real heroes; the need to reference primary sources; our country’s forward moving belief which tends to ignore historical foreshadowing; the importance of students to think for themselves and question important events in history; and the ruin that the textbook industry has turned into. As you can see, there is a lot covered here, and this isn’t any of the lies. As I said, there is a lot explained in this book about why each historic lie was established. There is a point in the book where Loewen refers to a passage from 1984. In 1984, George Orwell says, â€Å"†¦he who controls the present controls the past.† When Loewen refers to this quote, he is referring to the upper class and whites controlling the educational system and textbook publishing. I believe there could’ve been a better use for this quote. While it may be true that most history textbooks bend or throw shade history in favor of the upper class or whites, I am deciding to use this particular quote in another fashion. â€Å"Who controls the present controls the past.† That, my friends, should be a charge; a mission directed at all those in the history teaching profession. Take control of the knowledge dispersed in your classrooms (the present) and teach the correct past. Discard the provided textbooks (not really ofcourse) and teach what you know should be taught. Allow yourself to step out of your teaching comfort zone. I have a teacher (not going to say anyone’s name) that likes to grill his students to push their knowledge on all that pertaining to the subject that we speak on, that teacher was never afraid to put his neck out to stir up discussion in the classroom. Worst case scenario, a question would arise that the teacher did not know the answer to and he would simply say, â€Å"I will look into it.† He wasn’t afraid to show he wasn’t all-knowing. Loewen’s book has a great underlying theme: that children should be taught that history is not restricted, and that possibilities should be discussed to further rational skills and to promote an understanding of our nation’s history. But I wish he had gone the extra step and challenged history teachers. I would recommend this book to anyone who like to read history and more on going in dept. While an appreciation for history would certainly make this book more enjoyable, it is an optional read either way. For real this book criticizes the way history is presented in current textbooks, and suggests a fresh and more accurate approach to teaching American history. This is a real eye-opener to anyone who thinks they learned about U.S. history in high school. Loewen spent eleven years reviewing the 12 most commonly-used U.S. history textbooks and found all to be seriously wanting. Textbook publishers want to avoid controversy (so, apparently, do many school systems), so they feed students a white-washed, non- controversial, over-simplified version of this country’s history and its most important historical parts. To make his point, Loewen emphasizes the â€Å"dark side† of U.S. history, because that’s the part that’s missing from our education system. So, for example, we never learned that Woodrow Wilson ran one of the most racist administrations in history and helped to set back progress in race relations that had begun after the Civil War. Helen Keller’s socialist leanings and political views are over-looked and we only learn that she overcame blindness and deafness. John Brown is portrayed as a wild-eyed nut who ran amok until he was caught and hanged, rather than an eloquent and dedicated abolitionist who uttered many of the same words and thoughts that Lincoln later expressed. Loewen’s book vividly illustrates the maxim that â€Å"those who do not learn from history are doomed to repeat it.† Ignorance of our real history also renders us incapable of fully understanding the present and coming to grips with the issues of our time. For example, from the Civil War until around 1890, real racial progress was underway in the United States and civil rights laws were Federally enforced in the South. The military was integrated and former slaves had the right to vote, serve on juries and as witnesses in trials, own property and operate businesses. They also received mandatory public education, which was automatically extended to white children for the first time in the south. But, between 1890 and 1920, the Feds gradually disengaged and allowed southern racist governments to strip these rights from blacks and relegate them to virtual non-citizenship. Only within the last half-century has that policy been gradually reversed, again through Federal intervention. This history casts current racial attitudes and issues in a different light than most of our high school students are likely to see unless they are taught the complete history of their country. It is clear that Loewen is not out to bash the United States or offer up an equally one-sided, negative version of its history. He gives a balanced account of many of the figures whose weaknesses he exposes. Thus, we learn that, although Columbus was an unimaginative fortune hunter, a racist tyrant and slave trader, he (and Spain) were not much different than most people at the time. He points out that all societies, including Native Americans and Africans, kept slaves and that it is unfair to single out Columbus as singularly evil. The problem is that kids never learn both sides of these stories, so history becomes a bland repetition of non-opposing â€Å"events† that appear to have or had no vague causes. Historical events are not related to issues that people disputed or serious conflicts that placed them at irreversible odds with one another, the very stuff that drives history. No wonder kids are bored and uninterested. They are left with the distorted impression that, down deep, the United States always means well and, in the end, is always â€Å"right.† Loewen has presented fair accounts of key events in our history and indicated why our high school students know and care so little about it. He also suggests ways to correct this serious shortcoming that every American should give a round of applause to.

Saturday, September 28, 2019

The Children's Classics of EB White Essay Example | Topics and Well Written Essays - 750 words

The Children's Classics of EB White - Essay Example Two of these books have since been made into major film events in addition to winning numerous awards and are considered to be staples of a child’s library. E.B. White’s children’s books, Charlotte’s Web, Stuart Little and The Trumpet of the Swan all reflect the concepts of true friendship and love’s power to overcome seemingly insurmountable obstacles. Stuart Little was the first of these books that he wrote. White said the idea for the book came to him while he was riding on a train. â€Å"During the night I dreamed about a tiny boy who acted rather like a mouse. That’s how the story of Stuart Little got started† (White, 1985). White’s Stuart Little was born â€Å"not much bigger than a mouse. The truth of the matter was the baby looked very much like a mouse in every way† (1), including tail, whiskers and the ability to walk soon after his birth. With a â€Å"pleasant, fine manner† (2), Stuart helps his family around the house doing little things that they can’t do, such as climbing down the bathtub drain after his mother’s wedding ring and retrieving ping pong balls when necessary. He is treated in every way as if he were any other normal little boy, being treated by the doctor, wearing clothes, talking with his family and ‘playing’ with the family pet, Snowbell. How ever, because of his small size, he often has adventures that other children would not normally experience. Examples of these adventures include getting stuck in a blind for half the day because he was doing gymnastics on the cord or being thrown onto a garbage scow when he was hiding from a dog that wanted to eat him. Thanks to his friend Margalo the bird, though, he is able to escape the garbage scow and undertakes a journey to the north in pursuit of her when she leaves in the spring. His confident manner despite his size make him inspirational to many while his dedication and interdependence with his friends highlight the true

Friday, September 27, 2019

The good citizen Essay Example | Topics and Well Written Essays - 750 words

The good citizen - Essay Example He/she is also pleasant and well mannered, and always eager to learn (Glassman, 2008). A good citizen is compassionate and takes responsibility for his or her actions. He/she is a good neighbor and respects other people’s property. Student 1: He believes that society needs prudent and honest citizens to endure. Every society values hardworking citizens. According to him, the inherent characteristics of a good citizen would include taking on personal responsibility, being trustworthy and truthful, fighting for the underprivileged in society, being sympathetic to the needy, being a champion of positive change, contributing to society, and taking on personal responsibility. Other important characteristics include defending the rights of other people, being compassionate for the neglected, extending common courtesies, and respecting authority. Student 2: According to Student 2, the most important trait of a good citizen or good citizenship is honesty. He argues that good citizens are honest, truthful and sincere in their relationship with others, work, and leisure. Apart from honesty, the other important characteristic of a good citizen is compassion. Compassion is the kind of emotion or feeling that people who care for and watch over other people as well as living things have. It enables citizens to see or consider the importance of other people’s needs. Respect is another important trait of good citizenship. Student 1: The student asserts that good citizenship can be tested by examining his or her level of education. Typically, a person with good education and is capable of reading, writing and speaking the formal language(s) fluently is a good citizen. People with good education often get better jobs and often contribute immensely to the country’s economy. The person is also better informed and well-versed thus is capable of making good decisions. Student 2: According to student 2, hard work is the most important parameter for testing if

Thursday, September 26, 2019

Hydraulics Essay Example | Topics and Well Written Essays - 1000 words

Hydraulics - Essay Example Most of the ancient towns and cities in United Kingdom are close to the river always experiencing damages from flooding over time. SuDS are small scale source control measures which are useful in draining surface water in a more natural way through infiltration, retention and storage devices in urban areas. They employ methods that mimic natural drainage systems by passively removing contaminants in surface water and naturalizing flow rate (JEFFERIES, 2011 p 189-221). After reducing the water volumes and pollutants near the water source, a corresponding reduction in the rate of flow downstream and flood discharges are evident. Reducing rate of downstream flow and flood discharges contribute in improving the quality of water. Further improvements are realizable due to reduced storm water into sewers because little surface water spills over into the sewer system, this spillage if often allowed force raw sewer discharge into the water courses. Certain infiltration based systems such as permeable pavements, swale and detention ponds are always important in controlling the effect of storm water in built-up areas. Permeable pavements are alternative grounds that allow storm water to filter through the voids into the underlying stone reservoirs for temporarily storage (KING, & WISLER, 2008 p 117-131). Permeable pavements consist of permeable surface layer, bedding a layer, underlying stone aggregate reservoir and a filtration layer laid at the bottom. Swales are shallow channels for collecting, and removing pollutants from water (KING, & WISLER, 2008 p 207-231). Swales have shallow side slopes and a flat bottom. They usually have grass covers and mostly water flows in a thin layer through the grass. Detention ponds are for improving the quality of urban runoff and reducing the rates at which the peak storm flows this is possible by providing temporary storage during large storms. Slow sand Filters have a filtration rate of 0.15 m3/m2†¢h, the

Wednesday, September 25, 2019

To What Extent Has the USA Been Successful In Creating a Durable Essay

To What Extent Has the USA Been Successful In Creating a Durable Liberal World Order - Essay Example This essay stresses that America had been a nation which the whole world idolized in earlier times. However, recently the country has accumulated large amount of hatred and despise due its overpowering nature. The political strategy of America had proved to be selfish and rebellious. America has earned an image of hegemony with interests those conflicts with its counterparts. America has had war all over Middle East and has changed their ruler and also intimidated people to fight for their lives. In the search of terrorist they have killed many innocents in Iraq, Afghanistan and Pakistan. They have had the enmity of Muslims all over the world and had been tagged as the most threatening nation. America even became the target of radicals due to their imperialistic nature This paper makes a conclusion that the imperialism of America lies in their act of monopolizing the world business market. They decide the trade of oil and have technological power over other nations. America had been involving in the political affairs of all nations and interferes in worldly matters to find their benefit. America has the interest of being the super power of the world and they had done many atrocities and tactics to remain on top. The country has had many enemies and will continue to increase their enemies due to their foreign policy and hidden political agendas. America have been advantageous to world in many ways, however their political strategy is seriously selfish and unacceptable. To remain in power, the country has used many principles which make them an immoral country on many accounts.

Tuesday, September 24, 2019

Medical negligence litigation Case Study Example | Topics and Well Written Essays - 1750 words

Medical negligence litigation - Case Study Example (Garfield, 3) In assessing the patient's sufficiency to understand, the court considers whether the patient believes it and is capable of "weighing it in the balance to arrive at choice" as stated in the case of Re C (Adult: Refusal of Treatment)] [2002] All ER 449. Since the scenario involves Charles, a minor, it is important to discuss consent to treatment in relation to minors. Minors under the age of 18 are divided into three categories for the purpose of deciding their capacity. This is guided under section 8 of the Family Law Reform Act 1969. (Garfield, 7) In the scenario involving Charles, a young boy who initially injured himself falling from a climbing frame at the local park, Charles is subjected to multiple medical treatments. His parents believe they may not have been completely necessary based on the advice of a nurse. Each decision by Dr. Green will be discussed as well as the likeliness of a successful claim against Dr. Green in the tort of negligence. Lord Winfield suggests that: "Negligence as a tort is a breach of a legal duty to take care, which results in damage undesired by the defendant to the plaintiff". (Rogers, 134) Not every act of carelessness which causes harm leads to legal liability and compensation for the claimant. The following elements must be established: (i) legal duty to take care; (ii) breach of that duty; (iii) damage resulting from that breach caused injury complained of which would have otherwise been avoided (as long as it is not too remote). (Garfield, 10) Initially, the issue of owing a duty of care arises in the case of Donoghue v Stevenson [1932], where Lord Atkin established the 'neighbour' principle, which states that: "you must take reasonable care to avoid acts or omissions which you can reasonably foresee would be likely to injure your neighbour". (Donoghue v Stevenson [1932] AC 562, at 580) A doctor owes a general duty of care to his patients; however, the extent of the duty owed (standard of c are) is determined by the actual position held by the doctor within the unit in which he practices. (Rogers, 248) The first question to be decided upon is the type and level of duty owed by a doctor. Firstly, doctors are judged by their specialty, for example a neurologist would be expected to show the skills of a neurologist and not that of a neurosurgeon. (Garfield, 10) Second, they are judged by grade and not by seniority. Third, doctors are judged by only what they "ought to know but also by what they actually know". (Garfield, 10) For example, if a registrar does in fact have specialist knowledge but fails to use it, he or she may be liable where other registrars only have average knowledge. (Garfield, 10) Based on the facts, Dr. Green works in the Casualty Department at Wellington Hospital, which is where Charles was brought in immediately after his fall. Dr. Green's initial action of giving a sedative to Charles and sending him for an X-ray of his right knee (as this is where Charles had indicated the pain was focused), seems to fulfill the standard of care owed by a doctor to his patient. Since Dr. Green was the apparent doctor on duty, he would seemingly owe a relatively high standard of care to any of the patients which are brought in to the Casualty Depa

Monday, September 23, 2019

Communication in the work place Research Paper Example | Topics and Well Written Essays - 2000 words

Communication in the work place - Research Paper Example In this paper, we will discuss interpersonal communication in the workplace settings. We will also develop strategies for active listening, critical listening, and empathic listening. Along with that, we will also discuss the impact of gender and culture on interpersonal communication and will explain the principles and misconceptions related to effective workplace communication. Interpersonal Communication Interpersonal workplace communication is a form of communication, which takes place between two or more individuals in any workplace setting. Interpersonal communication is basically the exchange of information, expressions, and symbols between people. Interpersonal communication depends on the type of relationships and the level of understanding that exists between the individuals. For example, interpersonal communication taking place between a person and his or her family members will be different from the interpersonal communication that takes place between an employee of a com pany and the manager or boss of that company. Level of understanding between the individuals is the key towards effective interpersonal communication. Less understanding results into ineffective communication whereas good understanding and patience result into effective and result-oriented communication. Therefore, we can say that interpersonal communication has a deep association with the level of understanding and the nature of relationships that exists between people. Interpersonal Communication in the Workplace Environment Interpersonal workplace communication is different from normal interpersonal communication. In workplace settings,

Sunday, September 22, 2019

Carry Out Comprehensive Substance Misuse Assessmen Essay Example for Free

Carry Out Comprehensive Substance Misuse Assessmen Essay Every individual is unique and even though many will show or feel similar sensations with regards to how a substance makes them feel, it is not always good to assume that the traits that they show will always be the most obvious. Over a period of time, substance misuser’s will adopt a technique of hiding the most obvious traits that give warning signs of substance misuse so as a professional need to be very observant and continuously engage with regular training courses to keep up to date with the latest drug trends and effects they have on the body and how they alter the mood. Many clients will show some obvious traits of substance misuse which will include gouching, which is the effect of the hit from Heroin/Methadone (Heroin substitute). Gouching is when the client will be quite alert at the beginning of a group session, but within 10 – 15 minutes they will start to appear as they are falling asleep. They may start to bow their head and if you call them they immediately wake up. Another of the physical signs of substance misuse of a client with a Heroin addiction would be the eyes rolling or the plain struggle to keep them open. I have found that clients with a Crack or Cocaine addiction tend to be the other scale as these drugs are stimulants. I have had clients high from a binge from the night before who have attended group sessions and been very talkative, eyes quite wide with an obvious redness of the lack of sleep. These physical signs can vary dependant on the lapse of time from finishing their misuse session to attending the group session, so for e. g. f the client had not yet been to sleep they would seem very hyperactive, jittery and very fidgety, but if they may have had a few hours sleep the physical signs can be quite different, so they are irritable due to tiredness. They would be quite slouched and not so conversational because they are on what it known as a come down. All the euphoria has now left the body and the body in a sense is returning to its normal state. Substance misuse can also just as easily affect a client’s whole behavioural pattern as well as their emotional and social in teractions. The behavioural indications can be the client just not being their usual self, this could be a few varying factors, but once you get to know a client you understand how they behave towards different things that affect them. They could easily become emotional too which could be the client is purely upset and feel like they have let their self down because they may have been abstinent for a while and not been able to handle a certain situation or simply had a trigger which they could not control and went and used on it. Many clients that I deal with on a day to day basis do suffer with a variety of ailments and illnesses and are prescribed medication for these. They range quite broadly from medication to manage a mental illness to taking medication in order to help keep their blood thin enough so not to suffer from DVT. Some of these prescribed medications will make our clients appear to be under the influence of a substance when really they are not. As professionals this is why you need to collate important information from the assessment stages so you can ask questions about a client’s medication and what the side effects may be as well as do your own research to back up any information already given. Within CRI as we have the consent to sharing information form if this has been signed you may want to contact the GP with a breakdown of what the side effects may be and the effect it would have on a client with substance misuse issues alongside the immediate risk factors too. Many of the prescribed medications for mental health illnesses and depression will make clients seem as they are falling asleep, not really focusing on what is going on and spaced out, but this is not the case and if you are aware of a clients conditions then you would know best how to assess the situation at the given time. I regularly attend training provided by CRI and local boroughs or other services within the locality so that I am fully up to date with the new trends and old trends of drugs that are available, where the bad batches are being distributed and the strength of what is about on the streets at the current time. This is down to you as an individual to also do your own research on the internet of what is going on in the drug scene and ask questions. If you hear of something that you are unaware of ask those questions, you never know when you will come across a client that may have a particular problem with that substance and you may be the person that needs to help them. I have found that clients can be quite knowledgeable so ask them questions too and go back and check on the information provided with others. I do not feel that one person will or can know everything, but this is when team members should draw upon one another to have a wide knowledge within a team so all areas are covered in most instances. Probation – This is a criminal justice service that works alongside all those who have committed a crime and have been sentenced to either serve a custodial sentence, suspended sentence, community order or DRR. Most people will have a period of licence that they will have to attend appointments to discuss what they are doing with their lives. This is where clients will attend to be tested for substances and these results are fed back to CRI – Stabilisation Day Programme. Probations service also has the ability to tap into other services and a certain amount of resources that will enable clients to gain help in ETE, Housing services or referral units, Drug Intervention groups. CASS – Community Alcohol Stabilisation Services – This service works with clients whose main or preferred substance of choice is alcohol. This service will help work with clients extensively and support them if they require a detox and hold support groups, some peer lead and coffee mornings. They also will be given a key worker who will work with them on a 1-2-1 basis. CDAS – Community Detox All of these services will complete an assessment of individuals to see the risks attached with the individual. The assessment will show if they can help the client, what treatment can be put in place for them and the extent of the problem that the individual is currently experiencing. If each of these individual services are unable to help an individual they will then refer them on to a service that can assist them better within the area that they require the support and help in. With most organisations there will be an eligibility requirement in order for a service to work with you as well as protocols for accessing these services. Our organisation work very closely with Oasis as an aftercare treatment provider for clients who are not abstinent, but we also have our own organisation that provides aftercare treatment, but you must be totally abstinent from alcohol and drugs for a minimum period of two weeks and you also cannot be on a script. The referral procedure for Oasis would initially be a phone call to the service and letting them know that you have a client is almost completed their 12 week period of their DRR with you and that they have for e. g. nother 12 weeks left on their order where they are required by law to continue to access drug services. An appointment is booked for you and the client to attend and on this visit to Oasis as a project worker you are required to bring along the clients care plans, the completed risk assessment with any updates or amendments and a TOPs form for statistical information to be provided to NDTA. On arriving at the appointment with the client, a key work session will take place and you will also give information to the new key worker with regards to the clients’ background. The care plan review will be completed with the client there and a copy retained by our organisation to be kept on their file. The new key worker will also discuss with them what their service can offer them in regards to follow on treatment and what days they will attend, the groups etc. A new treatment plan is formulated with the new key worker there and then. The eligibility for gaining access to Oasis is that you are from the borough, that you have a substance misuse problem and ideally want help and support with coping and dealing with these issues. Some of the other services have more stringent protocols and eligibility. For example if you were trying to get your client referred to go to residential rehab, you need to send a fully completed referral form to CDAS or the NHS, this is then discussed whether they feel that the potential client has shown the commitment required in order to put them before the funding panel of commissioners to prove that they are ready to take on a huge part of their recovery journey. If the decision to grant them the funding, the client then has to do a detox within the community for two weeks prior to being admitted to the residential rehab. If a client leaves the detox and does not complete this they will lose their place within the rehab or it may be put on hold until they have completed it. The organisation that I work in have clients sentenced on a DRR which means that they do not want to be here, but have no choice but to be there. We are usually the get out of jail card for most of them and unfortunately some of our clients are like revolving doors. However, I see this position as a vocation and not just a job and I am very aware that many of the clients do not want to be with us, but I hold hope that I still may be able to assist them on their individual journey on the path to recovery. I am also very conscious of the fact that not everyone can be helped and that is the nature of the career that I work within. My approach to those clients that do not want to be in services is to explain what my role here is and make them fully aware of all the things the onward referral services can do for them. I give clients as much information as possible about the service and highlight the things that would work for them. It is not always an easy task and some clients are very stubborn and when it gets to the brick wall stage where I feel I have exhausted every possible route to get them to engage with the onward service I remind them that they have a legal requirement to ttend the services and if they do not abide by the DRR it will be reported to their probation officer and may be classed as a breach, which means returning to court to answer to the judge and the order can be revoked and a prison sentence given in its place. When undertaking an assessment of a client, I make sure that I gather as much background information as possible. This may be from the DIP team that I work very closely alongside and if I have knowledge of them working with probation services I will contact their probation officer and request information from them also. I feel it is best to be very prepared so that you can summarise with them their history and spend more time dealing with the immediate things that are proving to be difficult and that they need the support and assistance to make their recovery journey as smooth as possible. If in my information gathering of a client, if something particular comes up that for e. g. they need to be escorted to their appointments. I will ensure that I speak with the person or key worker to ensure that the dates and times are suitable for all parties concerned. I have many clients that also have many appointments to attend in general, so trying to space them out so the client has sufficient time to attend or make appointments on a regular day and time so it will not interfere with any other obligations. If a client has many services involved in their life I will ensure that we have a meeting on a regular basis that includes everyone to minimise the amount of appointments the client has to attend and information is shared in one place at one time. All information is recorded on our CRiis system as soon as the meeting has finished. I think this is good practice so that you do not forget anything important that needs to be recorded for ease of reference for others if they have to see your client whilst you are away. This is also good for when writing review reports for the courts or the probation officers. When assessing a client I feel it is highly important to know their background, history of substances and the life line. If you have a thorough knowledge of the client it is easier to assess the risks to them and others accurately and ensuring that you follow out you duty of care to the client as well as others. This way you also cover yourself from potentially being in the firing line if you ensure you have done a thorough job of the risk factors and highlighting them to your manager if you feel that something is not quite right. It is extremely important to regularly review the risk assessments as things change very quickly with clients. Not any one day is the same for them and they live high risk lives. We ensure that our clients have a 1-2-1 key work session at least every two weeks and the risk is monitored, but if the client does not prove to have high risks it is reviewed every six weeks. Our service is quite small so the team de-brief after every group session and discuss each client that has attended and sometimes we highlight possible risky situations which will be noted as a risk and monitored until the risk has gone or the client has left. If the risk assessment is not reviewed you can put your client at risk as well as your service and everyone that your client comes into contact with. The client is fully involved in the assessment process as the main bulk of our information comes from the individual. I ask them to be as open and as honest as possible as I can only help them if they tell me the truth. At this point I will be taking into consideration traumatic events in their life, when substance misuse started and what the flow of substances are and of the individual poly drug uses. Many of our clients have been through services before, but I always ask if they know why they are here? Have they attended groups before? What are they like in a group setting? How they feel with mixing with others who are at different stages of treatment? By asking them various questions and listening to the clients’ feedback, body language non verbal reactions, I will then know whether they are suitable for the DRR or if they may need to access another service for more specialist treatment. I follow the assessment procedure and ensure all the necessary paper work is completed and all paper work signed by the client and I. I deal with chaotic, abusive and aggressive clients daily. I feel that with my aggressive clients that you need to remain firm and not lose control. I would not put myself in a situation that is overly risky, but you must be a little thick skinned and own the group. The boundaries must be put in place from the on start or this kind of behaviour will rear its ugly head too often. Each situation is different and with the more chaotic clients it’s more about trying to get them into some sort of structure. Ensure that appointments are written down or set in their phone so they remember. I will also text clients when they have an appointment with the service or are due in for group and we find in our service that some of the clients need this level of help. Even the clients that do not need that sort of assistance find it helpful because of they do not feel like attending the text message helps to plant the seed and makes them attend. On the completion of the full assessment, the client and I will look through the information gathered and highlight the priorities areas that we will focus on in the first instance. This are not fixed in stone and if things change as we go along through the course of the treatment process we will address them or re think the order of priority. I feel that if you have to make an assessment on a child or young person you do need to follow the same principles as you do for an adult. I would involve the main carer or person with the main parental responsibility whether this is a foster carer etc. The process would involve gathering as much information as possible with regards to the young person or child’s likes, dislikes, how they react to things, what they were like as a child, traumatic events that may have occurred in their life, what they are like at school, everything that could give me an incite to this young person or child’s personality. From gathering all the information, which would include talking to their school or educational facilities they attend, social services if they have been involved and any other agency that has had involvement with the child or young person, this should give me as a professional a very good idea of what the young person or child is like and then the final thing would be asking the young person or child questions and seeing what their response would be. I feel that I would not personally be able to assess their level of maturity at present as I am not qualified in that area, but if it was something that I had to undertake I would take the steps to involve a child psychologist to accurately assess the level of their maturity. I feel that this area is very specialist and any work that I would undertake would be of another form of information gathering in order to assist with any additional treatment plans that may be put in place to help the young person or child. There are guidelines and legislation that need to be adhered to when dealing with young persons or children which include: Victoria Climbe Report Baby P Which have highlighted areas in the past that have been missed and because of that we have unfortunately lost some very precious children. We also have the Children’s Act 2004 which was amended to include that responsibility of services, organisations, care homes foster carers with the duty of care to a child. During the initial assessment the client is informed of the complaints procedure and offered a copy of their care/treatment plan. The clients are encouraged to complete ITEP maps so they are more involved in the whole process and to recognise that once things are written down on paper how real they actually are. This is sometimes the point when everything becomes real to the client and they begin to take a different view of what is really going on for them in their life and realise that they do need support and help in some areas. We endeavour to keep a good working practice within our team and to sustain good working partnership with all other agencies that we work along side.

Saturday, September 21, 2019

Survey American History Essay Example for Free

Survey American History Essay Message was individuals must readmit God and Christ into their daily lives, must embrace a fervent, active piety, and must reject the skeptical rationalism that threatened traditional beliefs. But new denominations no longer accepted the idea of predestination. Popular acceptance of the idea that men and women could belong to different Protestant churches and still be committed t206o essentially the same Christian faith. Women flocked to these meeting which suggests that they were responding to their changing economic roles as well. They moved out of the home and into factories. African Americans: Group of African American preachers. Some translated the egalitarian religious message that salvation was available to all into a similarly egalitarian message for blacks in the present world. Native Americans: Neolin combined Christian and Indian imagery and bringing to Native American religion. He helped stimulate Indian military efforts of 1763 and beyond. Handsome Lake ( a Seneca used to be an alcoholic) inspired many Indians to give up whiskey, gambling and other destructive customs derived from white society. 7. Industrial Revolution (England and the US, how did it start? ) by the end of the 18th century it was well underway in many parts of the world. By the end of the 19th century the global process of industrialization had transformed the societies of Britain, most continental Europe, Japan, and the U. S. weaving- spinning -new devices for carding. For Americans the industrial revolution was largely a product of rapid changes in Great Britain, the nation with which they had the closest relations. America received more immigrants from Great Britain than from any other country. Samuel Slater: Used the knowledge he had acquired before leaving England to build a spinning mill for the Quaker merchant Moses Brown in Pawtucket, Rhode Island in 1790. It was the first modern factory in America. 8. Cotton Gin (effects? ) Eli Whitney: From MA and Yale Educated. Long-staple cotton smooth black seeds and long fibers but could only grow near the coast. Short staple cotton could grow anywhere in the south but the green seeds are hard to separate. Created the cotton gin that separated the seeds quickly and efficiently. He devised a machine to make each part of a gun according to an exact pattern. Tasks would be divided among several workers and one laborer could assemble a weapon out of parts made by several others. Used by manufacturers of sewing machines, clocks and many other complicated products. 9. Early American Transportation System Oliver Evans: Delaware. Made the automated flour mill, a card-making machine, and several important improvements in the steam engine and first textbook of mechanical engineering: The Young Mill-Wright’s and Miller’s Guide. Robert Fulton’s steam boat Turnpike era. They were usually made by private industries and they had tolls so they could make some money out of it. 10. Revolution of 1800 Jefferson considered his election as revolutionary. In his speech he said â€Å"We are all republicans, we are all federalists† and he outdid federalists in their work of expanding the territory 11. Washington DC Designed by Pierre L’Enfant. But during his presidency it was merely a village. Congressmen viewed Washington as a place where they should briefly visit and leave quickly. Some would even resign their seat in congress for a more prestigious seat for a state legislative seat. 12. The Jefferson Administration (policies) They persuaded congress to abolish all internal taxes which left custom duties, sale of western lands as the only source of revenue for the government.

Friday, September 20, 2019

Beijing Capital International Airport Development Project Construction Essay

Beijing Capital International Airport Development Project Construction Essay 1. This guideline has been prepared as an evaluation and condensation of a full environment impact assessment (EIA) of the proposed Project Beijing Low Cost International Airport (PLCA), which will be prepared for the Government by the consulting group of the Faculty of Economics and Management, Universiti Putra Malaysia, following China Government guidelines by The Ministry of Environmental Protection of the Peoples Republic of China, formally known as Chinas State Environmental Protection Administration (SEPA) and the methodologies described in Environmental Assessment Requirements and Environmental Review Procedures of the Asian Development Bank (1993) and Environmental Guidelines for Selected Infrastructure Projects (1990). The objective of the EIA is to ensure that environment aspects are addressed and potential problems are foreseen at the appropriate stage of project design. Hence, at the preliminary level, a coordinator is selected for the EIA to collect detail background in formation. The EIA report would be based on (i) the Project feasibility study prepared by Airways Engineering Consultants under Bank technical assistant (TA), (ii) discussions with principal authors of the above documents, (iii) field visits to the Project site and local government capital, and, (iv) discussions with local government and pertinent National Government officials with environmental responsibilities. 2. The methods used to carry out the EIA for impact identification included: (i) review of available literature, (ii) meetings with National and local government officials, (iii) site visits to the PLCA and surrounding areas, (iv) discussions with inhabitants near the site via door to door survey, (v) ambient noise and air quality and surface water quality sampling and testing in the field and in the laboratory, and (vi) application of professional knowledge and experience. 3. Besides, the EIA would require a baseline study on data and impact evaluation, assessment, documentation, decision making and post audits that incorporates the results and conclusions in the report of the EIA. II. DESCRIPTION OF THE PROJECT 4. The rapid economic growth in China has led to the increase numbers of demand for air transport service consumer, in both passengers and cargo. Being located at the capital of the Peoples Republic of China, the flourish of tourism sector, business and cargo service had caused the current capacity of Beijing Capital International Airport (PEK) registered 65.3 million passengers and achieved 1,420,997 tonnes of cargo traffic in year 2009, which ranked the 3rd and 14th busiest in international respectively. It has reached an efficiency score since year 2006 till now (Andrew Yuen Zhang, 2009). However, the PEK which has three terminals can only handle 78 million passengers per year. At the same time, since the projection for passenger capacity in 2012 would reach more than 90 million, it would be over congested in just round the corner. The current alternative or nearest international airport available is Tianjin BinHai International Airport, however it is located too far, 160km from Beijing. While the nearby Beijing Nanyuan Airport (NAY) located north to Daxing is owned by military and serves as a middle cost domestic airport that capable of handling only 1.2 million passengers per year, hence it is viable to look for a new destination to build an international airport that in future might accommodate the airlines currently using NAY. Strategic locality might be one of the factors that passengers are generally still prefer to land at PEK due to time and cost convenient. Besides, the design of PEK cannot accommodate airbus A380. Hence, it is urgent to look for a new suitable location to build a new airport that is schedule for completion in year 2015 to cater the future demand. 5. Previously, there was suggestion that the major difference between the current and new Beijing airport to segregate into either serving the local or international market so that there would be no overlap. However, it had received many objections due to its unfairness nature. It is proposed here that due to the rising of the low cost proposition in international market, the proposed Project is to design and construct a Beijing Low Cost International Airport. This can divert the passengers from the PEK that PLCA can be an aviation hub based low cost service that encourage more tourists and tap in the budgeted travel market. This is not the latest concept for low cost terminal building in China as the first has operated in Zhengzhou Xinzheng International Airport, which was limited only for domestic flights from May 2008 to October 2009. A survey conducted by Civil Aviation Net of China showed that 92% of respondents opt for low cost flights, if is needed to pay the air ticket by the ir own. Following the global market trend, due to increasingly cost-conscious travelers, a huge new low cost airport that can cater 70-80 million passengers is proposed to be reasonable. The Beijing concept would be a successful one since it is not like the Zhengzhou model which failed due to restricted for domestic. In order to meet the forecasted traffic, the size for new airport would be 3,800 hectares (ha) of land. 6. The suggested locations for the new airport include Lixian Town in Daxing District (39Â ° 33 8 North, 116Â ° 26 42 East), a downtown rural area covers an area of 1,012 square kilometers with a population of 671,444, as in year 2000 statistics. It is about 40 kilometers (km) south of the Beijing and can be connected to Beijing via Jingkai Express Highway. Another suggested location for the PLCA is at Guan District which is 60 km away from the current airport. 7. The first phase of development of the PLCA, the Project, will meet air traffic forecast demand for the year 2016, would involve the size of 1, 800 ha. This involves large turboprop aircraft with sufficient range to cover both the local and international demand. Development covers the soil improvement and earthworks necessary of construct a landing strip 2,300 meters (m) in length, with an initial runway length of 3,500 m. The project will also complete with enough passenger and cargo terminals, car park and access roads; control tower; crash; fire, and rescue building; ancillary buildings; housing for airport staff; wastewater treatment plant and a potable water system; electric power; fuel farm; perimeter fencing; and supporting airfield lighting and navigation aids. All of the security verification system, luggage system and other essential facilities are well equipped. The new runway would be fitted for Boeing 737, Airbus A320 and Airbus A380. There would be various choices of restaurants, stores and duty free shops. It is not a luxurious one, but with just a simple interior decoration. All these would reduce in the airport landing fee and airport construction fee (ACF). As the proposed airport would be a low cost and incorporate the trendy green airport concept, boarding ramps is not provided. The following phase would claim another 1,700 ha land, and total runway 7000 km. A 100 ha of unoccupied land is reserved as part of the Project to provide added protection in the approach areas from future possible encroachment by non-airport development. Every passenger is allowed to carry 15 kg luggage, five kg less than under normal regulations. III. DESCRIPTION OF THE ENVIRONMENT A. Physical Resources and Natural Environment 8. The PLCA is proposed to be located at an area of plain land, which is typical of the Lixian Town at Daxing District (Wu, et. al, 2010). The soil is heavy metal and hence not suitable for vegetable growing, but can be used for construction (Hu, et. al, 2006). Currently, the residence in the area depends on agriculture or food service that support Beijings demand. Due to the changing characteristics of the soil, a transition of economic activity is predicted. A detail studies should be carried out at the Project site for determining the suitability of the land and the possibility of earthquake and other natural disaster. 9. The climate of the area follows the four seasons, as similar to Beijing. The average temperature ranges from a high of 17.9 to a low of 7.2 Celsius. The wind velocity needs to be obtained from the China Meteorological Administration. 10. The baseline monitoring should be carried out. Both on the site itself and the nearby highway Jingkai Expressway. The air quality, level of hydrocarbons and carbon dioxide have to be determined and compared with the national benchmarks. 11. The Longhe River and Xintiantang river are required to be carried out environment assessment as both of the rivers support the agriculture activities at the area. 12. Baseline monitoring of the surface water quality ought to be conducted at the two rivers. Sampling and testing are needed to understand the pollution level by human waste in surrounding areas. 13. Since the site of the airport is nearby to residents are and some of them are still relying the usage well, so the groundwater have be tested on the requirement of water treatment. 14. Since there are twelve forests and Yongding River as the mother river supporting many subrivals in nearby town within Daxing district, so the level of possibility of endanger to the flora and fauna need to be assessed. It is understood that the fishing activities have decreased due to the less raining in past few years. C. Human and Economic Development 15. The PLCA is in an area of low population density. 16. Most of the residents of the area are farmers and small businessman who sell vegetable that supports the demands from Beijing city. However, the income level is quite low compared to the city. 17. The predominant land use around the PLCA is agriculture. D. Quality of Life Values 18. Near to the site in other town but not at Lixian Town itself, only forests and some Mosques which are served as heritage conservative sites. There is healthcare service, power line, electricity, telephone, water treatment service for the area. IV. ANTICIPATED ENVIRONMENTAL IMPACTS AND MITIGATION MEASURES 19. This section assesses the potential impact of the proposed development of the PLCA on the surrounding environment and presents mitigation measures. It would cover the potential effects associated with location, design, construction and operation. A. Environmental Impacts Due to Location 1. Disruption of Surface and Groundwater 20. The environment impacts of the location need to be carried out. 2. Relocation 21. Resettlement is required for some affected villages or called as cun but the impact is needed a further studies. 3. Land Values 22. There would be an increase in land values for residential areas, nearby to the highway, airport. The local government hence has to do a proper planning to avoid bubble economics for the housing sectors. 23. The impact of the ecology from airport need to be taken into consideration. B. Environmental Impacts Due to Project Design 1. Nearby River Erosion, Flooding 24. The construction of the airport could create a large impervious surface in an area that is now covered by grassland and some brush and trees. If the drainage is poor designed, it would affect the nearby rivers. 2. Disposal of Human Waste 25. There is potential pollution of surface water and groundwater due to the possible introduction of turbidity and coliform bacteria from human waste will be mitigated by the design of a wastewater treatment plant. 3. Petroleum Water Disposal 26. Some spilling of fuel is likely to occur during the aircraft refueling on the aircraft parking aprons, and it is necessary to trap and filter out these wastes before they enter the main drainage system of the aprons, which will empty into the nearby small river. To reduce such impact, the drainage system of the aprons will be designed so that water runoff during rains will be channeled into subsurface drains that will contain a trap system, accessible through access holes, to filter out and collect wastewater treatment plant after being treated to break down the hydrocarbons. C. Environment Impacts During PLCA Construction 27. With the good design and construction standards and procedures are adopted according to Green Airport, it is expected to have minimum impacts. A contractual guarantee which include the environment impact associated with construction is a most appropriate way to ensuring such implementation to be adhered. 1. Sediment Runoff 28. The construction program might have impact towards the nearby river and altering its natural flow. This would affect the number of fish population in the river. Hence, implementation of erosion and sedimentation control is required to minimized the impact. The area should also replant threes alongside to ensure the green environment to be accomplished. 2. Dust and Noise/Vibration Pollution 29. The dust pollution would be under control due to latest technology. The noise and vibration pollution is minimized via strict rules and regulations so that it wont affect the living hood of population nearby. No construction work is allowed before 7am and after 7pm on weekdays, weekends and public holiday. Penalty of RMB5000 would be imposed once there is an enforcement operation or any complaints regarding the constructor violate the rules and regulations. 3. Worker Safety and Health 30. Worker safety and health will be ensured via protection through contractual undertakings to implement safe site practices. 4. Slum Creation 31. Since there is job creation and recruitment of workforce from the residence nearby and no sourcing of workers from other areas are needed, hence there is little needs for building temporary on-site house and this reduce the risk of slum creation. 5. Traffic Congestion, Blocking, or Disruption of Utilities 32. The current level of traffic on the main highway near the site is not congested. There are new highways opening soon. Hence, there is little traffic problem arises. D. Impacts During PLCA Operation 33. The impacts during operation phase should be analyzed and forecasted. 1. Noise/Vibration Disturbance 34. The accepted level of noise/vibration disturbance is about 65 decibels or 65 Ldn (day-night noise level) to the nearest residential area, since there would be some distance from the airport, hence the impact can be minimized. The distance between the airport and nearest housing area, hence, is needed to be estimated. Besides, controlling of noise/vibration disturbance can be done via the arrangement of the air traffic control by having schedule in the daytime and less air traffic in the night time. However, a completed noise analysis has to be carried out based on the forecasted future flight traffic volume. Noise monitoring terminals would be build to ensure the minimal impact of noise pollution. 2. Water Pollution/Escape of Sanitary Wastes 35. The construction of wastewater treatment plant and sewage distribution lines must be part of the Project. The water, especially at the terminal area needs to be treated with the latest green technology. Potable water for airport operations need to be provided from a drilled well, or wells with treatment to meet World Health Organization standards. 3. Air Pollution 36. The EIA should ensure minimum impact of air pollution even the operation of PLCA starts. 4. Congestion at Airport Access and Exit 37. The congestion level is ought to be estimated, regardless of current low level of usage and new highways are opening soon. 5. Hazards to Traffic from Operation Aircraft 38. The residential areas or buildings nearby are low and little risk arises for the height over aircraft passing. How, the accurate level is needed to be assessed to reduce any potential risk. 6. Human and Economic Development 39. The impact on possible changes from rural-to-urban would lead to migration towards areas nearby PLCA is needed to be assessed. Although it would bring job creation and have minor socio-economic changes from agriculture or small business towards service based, a details assessment would be required to ensure the culture is balanced and not change drastically. 40. The local government would play a very major role in permitting licenses for buildings and business. The potential positive impact would most probably be the increasing public facilities which is currently lacking. 7. Quality of Life Values 41. The current lacking of public facilities and facilities would be improved via the proposed project. The income level would be increased while the potential changes would be the population migration from other area in searching for employment opportunity. 8. Environmental Overview 42. The project will not involve scare or irreplaceable resource in line with the green airport concept. Raw materials such as sand and gravel should be employed for its construction and future expansion. No loss of biodiversity should be achieved. V. ALTERNATIVES 43. The other alternative which is considered feasible is Guan as one of the nominated site. It is a downtown further down than Lixian Town. VI. COST BENEFIT ANALYSES A. Internal Rate of Return 44. The economic internal rate of return for the Project should be estimated. B. Economic Benefits 45. The potential main economic benefit would be income generated from visitors expenditures, time saving for passengers, and the value of foregone passenger and cargo traffic. Cost saving due to low landing cost and additional employment and increased in property value are not included in this analysis. C. Project Costs 46. Project costs include (i) civil works, (ii) other construction, (iii) equipment and its installation, (iv) consulting engineering design and supervision, and (v) cost for abatement for pollution. D. Monitoring and Reporting Cost 47. Monitoring will be required to carried out during construction and operation of the Project. It would be a contractual base. E. Nonqualified Environment Impacts 48. Any negative impacts in environment would be internalized into the cost of Project. Hence, cost-benefit and cost effectiveness of such pollution is not based on separated budget. VII. INSTITUSIONAL REQUIREMENTS AND ENVIRONMENTAL MONITORING PROGRAM A. Institutional Capacity 49. Since there are many experiences on airport building by China Aviation Society, hence with the assistant from consultant on EIA, which adhere to rules and regulations as mentioned earlier, no special training is required. However, the government needs to support on the low cost airline in order to be successful implemented. B. Monitoring Program 50. The impacts of the proposed PLCA Project is needed to carried out whether it is significant in order to decide on the relevant type of monitoring program. 51. Sedimentation and control of erosion and water runoff, water quality, worker safety and health, and traffic interference would be the utmost monitoring items during construction period. All other monitoring programs are yet to be indentified after a thorough study. 52. Monitoring program for operation phase are also required for the preparation of control over kinds of potential serious pollution. C. Documentations 53. Clear documentations are required. Appropriate recommendation should be included in the working document with the alternative environmental and economic impacts adhered. VIII. PUBLIC INVOLVEMENT 54. Public involvement is important in this 21st century that the demand and supply is matched without major objection from the public. Local residents can be consulted via public hearing on the Project plan or random door-to-door survey can be carried out with sets of questionnaire on their view of potential impacts in term of the environment, social and economic towards the communities. 55. The public involvement between public and developer is needed for the negotiation on the required acquisition and compensation. IX. DECISION-MAKING 56. The EIA would be important to facilitate the decision making process for the decision makers, however it does not serve as an absolute path. If it is rejected, further studies is required on alternatives. IXI. POST AUDITS 47. Post audits are required to determine how closely to reality the EIA predictions. It is important to avoid any form of bureaucratic constrains. General statements in the body of legislation would be good as supplementary guidelines would be required from time to time.

Thursday, September 19, 2019

Abe Lincoln :: essays research papers fc

History Essay The United Sates declared its independence from Great Britain on July 4, 1776. Great Britain did not recognize its independence until, the Treaty of Paris, two years after the American forces defeated the Britain army at the siege of Yorktown. Since the Articles of Confederation were replaced by the U.S. Constitution in 1789, the United States has had forty-two different presidents. Among these presidents, two of the best have were George Washington, and Abraham Lincoln. This essay will prove that George Washington was the greatest U.S. president of all time. There are certain attributes that good presidents have. It is said that â€Å"good presidents are always stubborn and disagreeable.† 1 Along with those two qualities good presidents are intelligent, selfless, hard working, good communicators, good listeners, good problem solving tactics, determination, and they are able to recognize problems. George Washingtons rise to power started in 1732 when he was born , in Westmoreland, Virginia on his father’s farm. He lived until 1799, when he died at the age of sixty-seven. He served as president from 1789 threw until 1797. When growing up, George received most of his education from his father and older brother. â€Å"When he was 17 he was named the surveyor of Culpeper County, this was the first public office position he held.†2 When Washington was finished surveying, â€Å"in November of 1752, he was appointed the adjutant in the colonial militia. His first mission did not come until the following summer, when he volunteered to take a message from Governor, to the French commander. Following this mission he was brought to the kings attention, and he was given a lieutenant colonels commission.†3 Washington showed his opposition to Britain started in 1759 when he became a member of Virginia’s House of Burgesses. â€Å"He was known to be shy and reserved†4 but he opposed the British rules and regulations that they placed on the Americans and protested the Stamp Act and the Townshend act which in both cases placed taxes on people without consulting them. This was known as taxation without representation. After serving in the House of Burgesses for 15 years he was elected to the Continental congress. â€Å"On June 15, 1775 the Continental Congress unanimously elected him general and commander in chief of its army. They chose George because he was respected for his military abilities, his selflessness, and his strong commitment towards colonial freedom.†5 General George Washington led his men and his country too freedom in the American war of independence. Abe Lincoln :: essays research papers fc History Essay The United Sates declared its independence from Great Britain on July 4, 1776. Great Britain did not recognize its independence until, the Treaty of Paris, two years after the American forces defeated the Britain army at the siege of Yorktown. Since the Articles of Confederation were replaced by the U.S. Constitution in 1789, the United States has had forty-two different presidents. Among these presidents, two of the best have were George Washington, and Abraham Lincoln. This essay will prove that George Washington was the greatest U.S. president of all time. There are certain attributes that good presidents have. It is said that â€Å"good presidents are always stubborn and disagreeable.† 1 Along with those two qualities good presidents are intelligent, selfless, hard working, good communicators, good listeners, good problem solving tactics, determination, and they are able to recognize problems. George Washingtons rise to power started in 1732 when he was born , in Westmoreland, Virginia on his father’s farm. He lived until 1799, when he died at the age of sixty-seven. He served as president from 1789 threw until 1797. When growing up, George received most of his education from his father and older brother. â€Å"When he was 17 he was named the surveyor of Culpeper County, this was the first public office position he held.†2 When Washington was finished surveying, â€Å"in November of 1752, he was appointed the adjutant in the colonial militia. His first mission did not come until the following summer, when he volunteered to take a message from Governor, to the French commander. Following this mission he was brought to the kings attention, and he was given a lieutenant colonels commission.†3 Washington showed his opposition to Britain started in 1759 when he became a member of Virginia’s House of Burgesses. â€Å"He was known to be shy and reserved†4 but he opposed the British rules and regulations that they placed on the Americans and protested the Stamp Act and the Townshend act which in both cases placed taxes on people without consulting them. This was known as taxation without representation. After serving in the House of Burgesses for 15 years he was elected to the Continental congress. â€Å"On June 15, 1775 the Continental Congress unanimously elected him general and commander in chief of its army. They chose George because he was respected for his military abilities, his selflessness, and his strong commitment towards colonial freedom.†5 General George Washington led his men and his country too freedom in the American war of independence.

Wednesday, September 18, 2019

Importance of Early American Women Writers Essay -- Anne Bradstreet, P

  Ã‚   What could be said to early American women's writers except, thank you? The first American women's writers opened doors and laid the foundation for future women's writers and readers. Today's women raise children, supervise households, and work outside the home with every modern convenience available, and as you would expect do not find the time to write, except for a grocery list. Early American women raised children and supervised households without the modern conveniences of today and in some way made time to write the first poetry of the "New World." For example, Everette Emerson gives a picture of Anne Bradstreet a housewife who stole hours from sleep for writing gave women American writers their start (4). Different styles of writing emerged from various early American women writers in each century, there by setting a precedent for those that followed. Anne Bradstreet, Phillis Wheatley, Abigail Adams, Hannah Foster, Susanna Rowson, and Louisa May Alcott established new forms of literary styles like poetry, letters, fiction, and novels in the 17th, 18th, and 19th centuries. Anne Bradstreet established domestic tradition in American poetry in the 17th century. Anne Bradstreet (1612-1672) first book of poetry was "The Tenth Muse", with the assistance of her brother-in-law it was published in 1650. "Anne was a Puritan woman of deep spiritual faith, but her highly intelligent and well-educated mind was capable of questioning and even rebellion" (Piercy 17). During the Puritan era of Anne Bradstreet, the idea was one of community and God. According to Katherine M. Rogers, "In her "Prologue," Bradstreet acknowledged that many of her contemporaries thought a needle fitted her hand better than a pen" (Meridian 11.5.2). She rea... ... could be said to early American women's writers except, thank you? Bibliography Elbert, Sarah, ed. Louisa May Alcott on Race, Sex, and Slavery. Boston: Northeastern University Press, 1997. Emerson, Everett. Major Writers of Early American Literature. London: The University of Wisconsin Press, Ltd., 1972. The Heath Anthology of American Literature, Third Edition, Volume 1. New York: Houghton Mifflin Company, 1998. Linda Wagner-Martin and Cathy N. Davidson. The Oxford Book of Women's Writing in the United States. New York: Oxford University Press, 1995. Mason Jr., Julian D. The Poems of Phillis Wheatley. The University of North Carolina Press, 1966. Piercy, Josephine K. Anne Bradstreet. New York, Twayne Publishers, 1965. Rogers, Katherine M., ed. The Meridian Anthology of Early American Women Writers. New York: Meridian, 1991.   

Tuesday, September 17, 2019

Social diagnosis

Would you rather follow your heart or your head? 33. What is your opinion about same gender relationships? 34. Do you think the past matters in a relationship? 35. How would you react if I told I have had a relationship with a partner of the same gender? 36. Do you believe in any god or gods? Why? 37. Do you have any political opinions? 38. Do you have any hobbies? 39. Have you ever experimented with drugs? 40. What do you think is the key to good parenting? 41. Do you like pets in the house? 42.What is the weirdest thing about you? 43. Tell me something about your first kiss. 44. If your parents don't like me for some reason, is that a deal breaker? 45. Have you ever regretted one of your ‘romantic encounters'? 46. Do you believe in soul mates? 47. Do you have a criminal record, any contraction of diseases? 48. What is your dream Job? 49. Are you willing to stay away from your family if you ever have to for a Job? 50. Which living celebrity/author/singer would you like to know ? 51 . If you could meet a famous dead person, whom would you like to meet? . What do you think about unfaithfulness in a relationship? 53. Do you think love at first sight is possible? 54. How do you balance personal responsibilities with relationship responsibilities? 55.Who is your favorite fictional character and why? 56. Do you prefer reading books or watching movies? 57. Do you have any regrets in life? 58. What is your ideal vacation? 59. Do you have a favorite movie? 60. If you are allowed to do Just one thing for the rest of your life, what would it be? 61 . What is the one thing about you that you take pride in? . What is the most courageous thing you have ever done in your life? 63. What is your earliest memory? 64. What do you like most about you? 65. Will you be 0K with me hanging out with you and your friends? 66. What would you do if you wanted to live your life differently? 67. Have you ever taken dancing classes? DO you like to dance? 68. Do you think it is importan t to learn any form ofa performing art? 69. What are you looking for in a relationship? In the long term or short term? 70. If you have three wishes, what do would you wish for? 71 .Which is the song that makes you happy? 72. If you could have a superpower, what would be your superpower? 73. Who is the most influential person for you so far in life? 74. Is there a movie that makes you cry no matter how many times you watch it? 75. If you could change one thing about yourself, what would it be? 76. What is the best advice you ever received? 77 What kind ot music you like? 78. If you had a previous relationship, why did your last relationship break up? 79. Are you still friends with that person? 80. Was there ever a best moment you spent with them? 1 .What are the craziest things that youVe done with someone? 82. What will you have accomplished one year from now? 83. If you could go on a road trip where would you go? 84. What is the best part about family life? 85. What is a favorite memory you have of being with your family? 86. Tell me 3 good points about me. 87. What are your expectations of me? 88. Did you ever want to kill someone? 89. Have you ever wanted something really bad and then later, not so much? 90. Is there anything I could do to make you think I am bad? 91 . What would you do without lectricity for 3 days? 2. Do you like to go shopping, not buying, shopping? 93. After I had asked you out for the first time, was there any part of you that wanted to say no? 94. Where are some other places you like to go on dates? 95. What are your views on open relationships? Do you know what an open relationship is? 96. Would you ever adopt a child? 97. Is money more important to you or arerelationships you share with people more important?

Monday, September 16, 2019

Animal Mitochondrial Genome

One of the most essential organelles in the animal cell is the mitochondrion, as it is not only the center of ATP production, it also have a phylogenetic value that reveals taxonomic relationships among organisms. These are rod-shaped organelles convert oxygen and glucose into adenosine triphosphate (ATP), otherwise known as the chemical energy â€Å"currency† of the cell that powers the cell's metabolic activities. This kind of respiration is termed aerobic and it supplies energy to most cellular activities.This mode of respiration is more efficient than in the absence of oxygen as anaerobic respiration can only produce two ATPs, as opposed to the 36-38 ATPs produced by the aerobic mode. This is why higher life forms are adapted to utilize oxygen for their ATP production (Davidson, 2004). Mitochondria are hypothesized by scientist to have evolved from a symbiotic relationship between aerobic bacteria and primordial eukaryotic cells (Wallace, 2005), otherwise known as the endo symbiont theory. It functions in common physiological processes such as metabolism, apoptosis, disease, and aging. Being the primary site where oxidative phosphorylation occurs, these double-membrane organelles are efficient in aerobic respiration which allows eukaryotic cells to generate the necessary amount of ATP (Chan, 2006).The mitochondrion maintains its own set of genes although most of its proteins (about 900) are synthesized within and imported from the nuclear genome necessary for its respiratory function (Wallace, 2005).The genome contained by this subcellular organelle separate from the nuclear chromatin is otherwise referred to as the mitochondrial DNA (mtDNA). Particularly in animals, mtDNAs commonly have a closed-circular molecule, with the exception of certain classes containing linear mtDNA chromosomes (Boore, 1998).These extrachromosomal genomes contain 37 genes composed of 13 protein subunits for enzymes coding for oxidative phosphorylation, two ribosomal RNAs of mitochondrial ribosome, and 22 tRNAs for protein translation. Together with proteins and RNAS synthesized in the cytoplasm, products of these 37 genes allow the mitochondrion to possess its own system facilitating DNA transcription, translation, mRNA processing and protein translation. This circular genome is comprised of a mixture of covalently closed circular monomers and different amounts of concatenated dimers and higher oligomers (Burger et al., 2002).Genes contained in the animal mitochondrion are usually encoded on both strands. The H-strand, or the heavy strand, and the L-strand, or the light strand, are these two mentioned strands that comprise the genome. Their names are derived from their molecular weight differences caused by their varying base compositions. 12 out of the 13 protein coding genes comprise the H-strand while only the single gene left belongs to the L-strand. The genome also contains noncoding regions which are restricted to certain areas known as the D-Loo p (Shadel and Clayton 1997).These two strands, the H-strand and the L-strand, originated within the D-Loop, or the displacement loop, region and within a cluster of five tRNA genes respectively. The entire replication process only commences in the initiation of the H-strand synthesis, while the L-strand lags behind. The L-strand synthesis can only begin when two-thirds of the H-strand synthesis across the circular genome is already completed. Therefore, only in the intiation of H-strand synthesis can mtDNA start replicating. Aside from its mentioned function, the D-Loop region is also the location of two transcriptional promoters (HSP and LSP), one for each strand of mtDNA. Synthesis of polycistronic transcripts for the expression of the majority or all of the genes encoded in each strand are directed by these promoters (Chang and Clayton, 1985).Scientists have speculated that the mitochondria are derived from eubacterial endosymbionts. This is due to the possession of mitochondria their own genetic material (DNA) and their own system for genetic expression. Although mitochondria are contained in species belognoing to different kingdoms, they offer considerable differences and even reveal phylogenetic relationships and distances.There are characteristic variations among the three major kingdoms Animalia, Eukaryomycota, and Plantae (including protests). Among animals, their mitochondrial genome is relatively small, having an approximate measurement between 16 and 19 kb, and are compactly arranged as they lack introns or spacer regions. Fungal mtDNAs are considerably larger that animal mtDNAs. Their size is within the range of 17-176 kb and they encode more gene sequences than those of animals.It can be observed that the size range is quite vast, reflecting great variations in genome size. This is not due to coding capacities, instead it can be attributed to the presence of varying sizes of introns and spacer regions. In the case of plants, the genome size range is even more variable as it spans 16 to 2400 kb. Its mtDNA is distinctly characterized by a wide variety of gene content and molecular structure, and the variation of the length of spacer regions and introns (Ohta et al., 1998).One of the most extensively studied group are those of the protists. Their mtDNAs are considered intermediate in size with a measurement range of 6 to 77 kb. Most of protist genomes are compact having little or no non-coding regions. Although present, intergenic spacers are sparse and are generally small, with some coding regions overlapping. There is an general high concentration of Adenine and Thymine that are particularly elevated in non-coding intergenic regions (Gray et al., 1997).Mitochondrial genome composition in vertebrates predominantly includes a standard set of genes coding for 13 inner mitochondrial membrane proteins for electron transport and oxidative phosphorylation functions. Included genes for this function are nad1-6 and 4L, cob, cox1-3 an d atp6 and 8. Genes for both large subunit (LSU) and small subunit (SSU) rRNAs are also contained within the animal mitochondrial genome.The mentioned set of mtDNA-encoded genes (plus atp9) is also found in fungal organisms such as Allomyces macrogynus mtDNAs. However, particular ascomycete fungi such as Schizosaccharomyces pombe lack all nad genes. Both animal and fungal mtDNAs do not encode a 5S rRNA nor, with the exception of rps3 in A. macrogynus mtDNA, do they carry any ribosomal protein genes. Terrestrial plants contain mitochondrial genomes with a few extra respiratory chain protein genes such as nad9 and atp1 in M.polymorpha. But the most distinct variation of the plant mtDNA from the animal and fungal mtDNAs is the presence of both the 5S rRNA (Gray et al., 1997).Animal mtDNA sequences are found to evolve rapidly however they maintain their genetic arrangements for long periods of evolutionary time. A notable example is the identical arrangement of humans and trouts. Althou gh there are few exceptions, gene arrangements are considered stable within major taxonomic groups but are variable between them. We can potentially utilize these data comparisons in reconciling phylogenetic conflicts. Greater differences would entail divergence among the taxa. Comparisons of mitochondrial gene arrangements have provided convincing phylogenies in several cases where all other data were equivocal, including the relationships among major groups of echinoderms and arthropods (Burger et al., 2002).Although studies in mitochondrial genomes of different taxonomic groups are still inconclusive, it still holds a large potential in revolutionizing the taxonomic field. It has opened avenue for prospective discoveries on the currently unknown areas of biological sciences. Therefore, mitochondrial genome research studies are yet to reach their pinnacle and would surely still be an essential focus of phylogenetic sciences.BibliographyBoore, J.L. (1998) Animal Mitochondrial Genom es. Nucleic Acids Research. 27 (8), 1999, pp.1767-1780.Burger, G., Forget, L., Zhu, Y., Gray, M.W., and Lang, B.F. (2002) Uniquemitochondrial genome architecture in unicellular relatives of animals. PNAS, 100 (3), 04 February, pp. 892-897.Chan, D.C. (2006) Mitochondria: Dynamic Organelles in Disease, Aging, and Development.Cell. No. 125, 30 June, pp. 1241-1252.Chang, D. and Clayton, D. (1985) Priming of human mitochondrial DNA replication occursat the light-strand promoter. Biochemistry. Vol. 82, January, pp. 351-355.Davidson, M. (2004) Mitochondria [Internet], Florida State University. Available from:;http://micro.magnet.fsu.edu/cells/mitochondria/mitochondria.html;Gray, M., Lang, B.F., Cedergren, R., Golding, G.B.,Lemieux, Sankoff, C.D., Turmel, M., Brossard, N., Delage, E.,Littlejohn, T.G., Plante, I., Rioux, P., Saint-Louis, D., Zhu, Y. andBurger, G. (1997) Genome structure and gene content in protest mitochondrial DNAs. Nucleic Acids Research. 26 (4), 1998, pp. 865-878.Ohta, N. , Sato, N., and Kuroiwa, T. (1998) Structure and Organization fo the MitochondrialGenome of the Unicellular Red Alga Cyanidioschyzon merolae Deduced from the Complete Nucleotide Sequence. Nucleic Acids Research. 26 (22), 24 September, pp. 5190-5198.Shadel, G. S., and D. A. Clayton. (1997) Mitochondrial DNA maintenance in vertebrates.Annu. Rev. Biochem. 66:409–435.Wallace, D.C. (2005). A mitochondrial paradigm of metabolic and degenerative diseases,  aging, and cancer: A dawn for evolutionary medicine. Annu Rev Genet. 39, pp. 359–407