Saturday, August 31, 2019

Concepts What is Culture?

Did you know that culture is universal, meaning that all people have a culture; however, it is different culture within communities because of numerous reasons like beliefs, religions, and race. Society cannot exist without developing a shared culture. With that being said, many individuals find the Amish culture very different and unique. The Amish roots originated from Europe and due to the torture and deaths the Amish culture had suffered as a result of their strict religion and beliefs, they found refuge in other locations throughout Europe, to include Switzerland, France, Germany, Holland, and Russia; this was known as the protestant reformation. (Amish America,2010) The Amish is a subculture, there are several groups called â€Å"para-Amish† (G.C. Waldrep), they share many characteristics with the Amish, like horse and buggy transportation, plain dress, and the German language. The conflict of the groups compared to the Amish would be their religious beliefs. Furthermore, the Amish culture is different from the mainstream American culture in many ways such as, their food and housing, their life style, and their beliefs. Amish culture can be considered very reluctant to adopt to the convenience of modern technology. (WIKIPEDIA Amish) They live off the land, they do not eat any processed foods like potato chips or corn flakes. They eat German foods such as, sauerkraut, cabbage and potatoes, home baked breads, eggs, dairy products, grain-based foods, fresh poultry and vegetables grown in their gardens. They are well known for their delicious desserts like shoofly pie, sugar cookies, and schnitz. At the same time, the Amish usually only drink beverages like coffee, tea, milk, and lemonade. (United States Amish and Pennsylvania Dutch) Furthermore, the housing for the Amish include mostly large farm like homes in which they share with two or three other families. However, their life style is relatively different from the American life style, Most Amish people make a living by cooking foods, making clothes, building homes, fencing, and wood structures to sell for profit, others farm on their own lands and/or family lands. They speak German or Pennsylvania Dutch. They make their own clothes, the females wear solid colored long dresses with white or black head covers called bonnets, unlike the males who mainly wear plain colored pants with a t-shirt, suspenders, and straw hats. (WIKIPEDIA Amish) Equally important, The Amish operate a one room school, and they do not offer schooling after the eighth grade. Additionally, teens thirteen to sixteen years of age are encouraged to attend vocational training under supervision of their parents, or teachers, but no other schooling is permitted after that. The Amish teach their youth how to live in the Amish culture so no schooling is needed after sixteen because by then they should know how to do the things to sub stain a successful life. The boys learn how to work the farms meaning milk cows, grow crops, gather eggs, and so much more or they learn how build things out of wood to sell or use, while the ladies learn how to cook, sew. And how to take care of a child. (Wikipedia Amish) However, when it comes to transportation the Amish have a little different way to get around they use horse and buggy. The Amish men train the horses to be able to contain a buggy full of people up and down hills and on roadways with the distractions of other vehicles like cars, trucks, and motor cycles. The Amish men also build buggies to sit in so that they can carry their family and protect them from the weather, they hook the horses to the buggies. To my surprise some buggies are even built with lights, horns, and even windshield wipers depending on where the person lives and/or drives. Consequently, that all plays a role into their beliefs and religion. The Amish have many spiritual beliefs, they are a group of traditionalist Christian fellowships with swiss Anabaptist origins. (Wikipedia Amish) The Amish church membership begins with baptism, baptism is required in order to get married. Once a person is baptized with the church, he or she may marry only within the faith. (Wikipedia Amish) Once a couple is married the husband will then grow a long beard to represent he is a married man. In church which is held every other Sunday in a members home a Bishop along with several ministers and deacons will stress the importance of their Rural life style. They will go over the rules of the church which includes the prohibitions or limitations of the use of power-lines electricity, telephones, and automobiles, if a member is caught doing things outside the Amish religion they are excommunication and may be shunned, which means no one in the community will talk or help that person they are pretty much on there own. (Wikipedia Amish) Moreover,, the Amish can easily be picked out of a crowd because of their material culture. Examples of the material culture that the Amish express are homemade dresses, they are long and one solid color , the bonnets the ladies wear, the horse and buggy they ride in, the hair cuts and facial hair of the men and the long hair for woman. However the non-material culture the Amish express would be there Pennsylvania Dutch language they speak, their belief of baptizing as an adult instead of an infant, the little to no technology they can use, and their belief to not continue their education. In my opinion I respect the fact that they strongly believe in a life with no violence, they seem very family oriented. I believe that the Amish culture love having a honest life living off the land and they are very talented when it comes to the things they can make by hand. Nevertheless, I experienced culture shock after researching how they can live without electricity and telephones, Furthermore, The Amish indicated cultural lag when they stated that they only make medical decisions based on the bible, the mothers have their children at home instead of in hospitals. They do not go to doctors they use remedies and scriptures for healing. In conclusion I feel i am like the Amish in some ways because, I believe in god and share some of the Christian beliefs, i also have grown my own produce before. In contrast, I differ from the Amish mainly because I encourage expanding your education and I love the use of technology I would more than likely be lost without my cell phone and car. I also work outside of my family and home and I can freely date any culture or race if I desire. I would have to say I am just simply more independent and free to do as I want.

A Greater Extent Than Males

Why are sexually transmitted diseases more likely to affect females to a greater extent than males? †¢ Sexually transmitted diseases are more likely to affect females to a greater extent than males because they expose a greater surface area of mucous membrane during sexual contact. Why is a woman more likely to get an STD from an infected male than a male is to get it from an infected female? †¢ A woman is more likely to get an STD from an infected male than a male is to get it from an infected female because females expose a greater surface area of mucous membrane during sexual contact than males.Why is a woman less likely to show symptoms of an STD than is a male? †¢ Women are less likely to show symptoms because the infected area is not easily seen and the urethra is less likely to be infected, so there is a less chance of pain. List 5 areas where mucous membranes are found. 1. Urethra 2. Vagina, Uterus, Fallopian Tubes 3. Vulva 4. Rectum 5. Eyes How do bacteria cau se disease? †¢ Bacteria cause disease by producing harmful chemicals, which are toxins of enzymes. These toxins kill or damage body cells.The damage to the body cells causes the symptoms of the disease. How does the structure of bacterial cells differ from that of human cells? †¢ Bacterial cells have a slightly different structure than that of human cells. These structural differences are important because they allow antibiotics to kill bacteria without killing host, or human, cells. Why can antibiotics kill bacteria without killing the host cells? †¢ Bacteria cells are smaller than human cells and have a simpler structure. How do antibiotics kill bacteria? Antibiotics kill bacteria by either preventing bacteria from making cell walls, preventing bacteria from making complete proteins, or damaging the plasma membrane. How do bacteria become resistant to antibiotics? †¢ Bacteria get their resistance from genes that inactivate the antibiotics, pump the antibiotics out of the cell, or allow them to function in spite of antibiotics. Bacteria get these resistance genes through mutation and selection or from other bacteria through plasmids that carry genes for resistance. Which STDs are caused by bacteria? †¢ STDs caused by bacteria include Chlamydia, Gonorrhea, and Syphilis.

Friday, August 30, 2019

First Year of Being a Mother Essay

Seeing my son for the first time after delivery, â€Å"It was love at first sight.† It was in the evening on a cold day, a cold front had just come in. We were in the hospital while family waited for the arrival of my new born child. You think you know the extent of love until you have had a child and see him or her for the very first time. Having a child is learning patience, teaching your child new things, and watching them grow. The first year I thought was going to be tough, being that I knew I had little patience. When you have a child however you learn quickly they run on their time and not yours. He would cry when he was hungry every four hours regardless of how much I wanted to sleep or if I had just dozed off. After a couple of nights I learned he was not going to go to sleep no matter how bad I wanted him to and when he did finally fall asleep I no longer wanted to because all I wanted to do was hold him and admire his peacefulness. He would sometimes wake up and cry only because he wanted to be held often many nights I would be in a good sleep. Every month was a new journey a new adventure with the things he would learn from his father and me teaching him or by him growing and developing. It amazed me how fast he would pick new things up after showing him a couple of times. Even though you don’t realize or notice it children learn every day. He learned by grabbing new objects he had never seen or by watching us do the same things over and over again. He would eventually pick it up and months later would surprise us by doing the same exact things he had seen us do. The new faces he would learn how to make were priceless often making us erupt in laughter. I have watched my son grow from small enough to fit in my arms measuring a little over one foot with room to spare to over three feet long and still growing. He has gone from subtle movements to turning over, sitting up and crawling. I know his learning and growth has just begun. His legs, hand and eye coordination has improved significantly as he has grown older, enabling him to realize who I was and eventually able to stand on his own. I anticipate he will be walking soon. Witnessing him slowly gain more confidence as he learns to let go of the table and stand at first for seconds at a time and now able to stand for minutes at a time has been a proud moment for me. Watching him grow as his mother has given me such joy and amazement on how fast he has grown before my eyes. It feels as if he was still born only yesterday. Alexander turned one in November and this first year was one I will always cherish. The day we brought him home until now has been an experience for each of us. He has taught me I have more patience than I originally thought and I know there are still many years that I will continue to learn as he tests my patience. There will be many days in the future where I will teach him new things, like riding a bike or how to build a tower out of Lego’s, and he will continue to develop and learn. To watch him grow will be my joy in life.

Thursday, August 29, 2019

What is a Hero Essay Example | Topics and Well Written Essays - 500 words

What is a Hero - Essay Example They are tempted to use their great strength to do good for themselves or their cause, but they have limitations that they may not know. In this way the heroes of epic stories tell us something about ourselves: although human beings are the strongest species on the planet we can often harm ourselves through our hubris. Hubris and Nemesis are issues that all heroes must face often on a huge and dramatic scale. In the end however, a hero is someone who proves their mettle by putting others interests before their own. A good example is in The Odyssey a remarkable story of one man’s journey back home, a journey of return to his loved ones. For Odysseus, nothing is more important that family. That said, there are other values in the story that are very important. One is a collection of martial values—honour, fellowship, solidarity—that runs like a golden thread throughout the story. Another is the duty of the living towards the dead. All of these have played an important role in my own life. Just as Odysseus tries to live his life according to this values—familial love, martial honour, and duty to those gone before us—so do I try to live my own life. It is the story of a man trying desperately to return home after many years away fighting in a terrible war. But he is being punished and his journey is very dilatory. He must constantly deal with obstacles. Each obstacle presents in its way a moral or ethical challenge that will try Odysseus. Although my own life is very different that Odysseus’, and much less straightforward, nevertheless, I too have been challenged by obstacles that have made me think hard about the values I live by. Throughout the story he does everything possible to put the interests of his crew and family before his own. He shows that at the core of all true heroes is love. Also, his associations make him heroic. He surrounds himself with

Wednesday, August 28, 2019

International Energy Policies Essay Example | Topics and Well Written Essays - 2000 words

International Energy Policies - Essay Example The energy policies formulated by various nations throughout the globe chiefly focuses upon various important areas. The vital areas entail the mitigation of greenhouse gases, valuing the advantages which are obtained from various energy sources and most importantly investing particularly in the energy sectors of the developing nations (France, 2012). Structuring of energy policies is considered to be quite important as energy is known to serve as a vital factor in the financial as well as social activities in different industrialised nations. Moreover, the energy policies extensively pose an influence on the aspect of economic development and defending the safety of the citizen’s at large (Flavin & Aeck, n.d). In this discussion, the harmonisation of the 3 â€Å"E† which includes economic growth, energy supply security and environmental settings along with different factors relating to energy supply and demand will be taken into deliberation. Moreover, analysing the affect of the mentioned factors on the global energy policies, a balanced view of whether these procedures can be regarded as sustainable in the long-term will also to be depicted in the discussion. According to various realistic theories, it has been noted that the chief challenge of every energy policy decision remains to be the harmonisation of the 3 â€Å"E† which consists economic growth, energy security and environmental settings. A clean, affordable, resourceful and a reliable source of energy are supposed to be quite crucial for promoting worldwide prosperity. The developing nations requires to expand their access towards identifying modern as well as reliable energy sources in order to enhance public health, trim down the poverty level by a certain extent, augment productivity, improve competitiveness and most importantly to promote and boost financial growth. The existing modern energy systems are

Tuesday, August 27, 2019

Report on Religious Field Research Term Paper Example | Topics and Well Written Essays - 1500 words

Report on Religious Field Research - Term Paper Example (Jungman, 2012) During the first 280 years in Christian history, Christianity was ruled out in the Roman Empire and Christians were heavily persecuted. This arbitrary changed after the â€Å"conversion† of the Roman Emperor Constantine. He allowed Christians to worship and made Christianity legal with the Milan’s Edicit in A.D 313. In A.D 325, Constantine summoned the council of Nicaea in an attempt popularize Christianity. Constantine postulated that Christianity would unite the Roman Empire which at that time was fragmenting gradually. This generated positive results towards the development of Christianity at the time. (Jungman, 2012) However Constantine did not fully accept Christianity, instead he mixed some Roman pagan beliefs which are still intact up to date. The impetuous behind Constantine’s action of blending Christianity and Roman paganism was that Christian was a foreign religion and Romans could not have just left their religion and embrace a foreign one fully. Some of the Christianized beliefs include: (i) Cult of Isis was a mother –goddess from Egyptian religion. It was absorbed and harmonized with Christianity and it was replaced by the Virgin Mary. Many titles that were meant for Isis were attached to Mary, i.e., â€Å"Queen of Heaven†, â€Å"Mother of God†, theotokas (â€Å"God –bearer†) among other adoration names. Mary was given supreme positions as the roles far much ahead than the bible ascribes to her. This was done in order to attract the Isis worshippers to Christianity. Failure to do this, any efforts would lead to frustration. (George, 2009) (ii) Mithraism was a renowned religion in the Roman Empire which was practiced in the 5th century A.D .It was popular among the Roman soldiers sand also the Roman Emperors. Mithraism lacked the â€Å"official â€Å"status in the Roman Empire, it was accepted as the de facto official religion not until the Roman Emperors replaced Mithraism w ith Christianity. The key aspects of Mithraism was sacrificial meal (theophagy, eating ones god), sacraments among other conspicuous features. Constantine and the successors found it easy to substitute Mithraism with the Lords supper /Holy Communion which unfortunately prompted some early Christians to attach mysticism to the lords supper, rejecting the biblical idea of remembrance worship and meditation of Christ’s sacrificial death and the blood He shed. (Charles, 1982) (iii) Henoticism is a distinguishing feature of roman pagan religion. It involves believing in the existence of many gods but focuses primarily on one particular god which is considered to be the most superior god. For instance, Jupiter was the supreme Roman god. The Roman sailors normally worshipped Neptune, which was the god of the oceans. Christianization of Roman paganism involved the replacing of Roman gods with saints just as the Roman chain of gods had a god of love, god of peace, god of war, god of s trength among other gods which were claimed to exist(Charles, 1982.) The â€Å"Papacy† that exists in the hierarchy of Catholic Church is a continuation of what was created by the Roman Emperors,

Monday, August 26, 2019

Internet addiction Essay Example | Topics and Well Written Essays - 1000 words

Internet addiction - Essay Example People often tend to ask as to what internet addiction is. The focus of internet addiction can cause people to believe that they are being informed by the IAD, also known as internet addiction problem. This paper will look into the way in which internet manipulates people’s minds and distracts them, thus causing them to think about entirely different things and experience radical change in their priorities (Young, â€Å"Internet Addiction: Symptoms†). The solution to internet addiction is realization of addiction, time management, and increased family unions. Firstly, Internet addiction is a very nasty disorder that might even be more technical than the obsessive compulsive disorder (OCD) that most of the world is aware about. Just like OCD, the roots of internet addiction disorder are psychological and are triggered due to a nervous system that exists within the brain. What is shocking though, is the mere fact that internet addiction problem does not get as serious as OCD and is not fatal, physically, but it is fatal in the sense that a person loses his ability to grasp priorities and change from one situation to another in a smooth transition. A person having internet addiction will always have this time crunching feeling that he needs to work on something different, something more reproductive, on the internet. For example, a person who has an assignment to compete for his college will often try to complete the assignment because he feels responsible for it. However, if that student is addicted to internet, he will often get an urge t o check what is going on when it comes to his Facebook account, Twitter account, some other social media platform account and thus get distracted immediately (Young, â€Å"Internet addiction: the†). His conscience may have been about fulfilling his responsibility but his obsession with social media platforms drives him to ruin his own work himself. Moreover, it also becomes hard for the

Sunday, August 25, 2019

Management - Web Activity Speech or Presentation

Management - Web Activity - Speech or Presentation Example Also anger gets generated when somebody feels that the opposite party has intentionally done something wrong. Anger is always perceived as a negative mannerism in the society. However in some situations anger can be a good thing. It helps an individual to express his/her negative feelings in a stronger way. In order to cite an instance anger assists to motivate individuals in the process of finding possible solutions of the problems. While on the other hand extreme and unnecessary anger can generate various kind of problems. It hugely impacts in the physical and mental health of a person. It leads to increased blood pressure, muscle tension, headaches, increased heart rate, higher sugar levels and also other associated mental and physical issues. Extreme anger also makes it complicated for a person to think simple and straight, thereby harming the mental and physical health (â€Å"Anger†). Recent studies portray that anger hugely increases the chance of heart disease and can e ven be a cause of certain nervous breakdown. A study in this aspect was conducted with a sample of around 12,986 adults for 3 years. The research revealed that persons with high anger trait are hugely prone to coronary diseases. Also another study with 4,083 adults conducted for over a period of 10 years revealed that, those who have the lowest level of anger control, holds the highest risk towards non fatal and fatal cardio vascular diseases. Nonetheless it also revealed that when the level of anger is moderate and also uttered assertively, the intensity of disruptiveness is less as compared to intense and frequent anger. Aggression: A Brief Overview Aggression is a deeper sense is the action or the behavior which is antagonistic, vigorous and energetic in nature. Aggression can generate either out of retribution, retaliation or through provocation. Nonetheless in the narrower definition that are being used in the behavioral science or social science, aggression is a rationale or i ntention in order to cause harm or in simple words is an action that intends to boost the comparative social supremacy. Defensive or predatory behavior among the members of various genuses however is not considered as aggression. Aggression can take various forms that can be either physical or can be conversed non-verbally or verbally. Aggression behavior is however not assertive in nature. It can be described as the way by which an individual portrays what he/she believes and anybody contradicts it is wrong from his/her point of view (â€Å"Aggressive behavior†). For example words such as ‘You're so stupid. Just do as I say and don't ask questions’, clearly justify the meaning of aggression. Aggression can be depicted by shoving, punching, hitting or even defacement another person, and it can occur in child or elder abuse, marital violence, and criminal activities. Anger and Aggression: Differences in Perspectives While studying about the concepts of anger and a ggression, I mainly found the difference between the two actions lies in their occurrences. The causes of anger and aggression depend upon different situations. I believe anger and aggression are the two different dimensions of human psychology. Since anger is usually uttered only through deafening verbalizations, it is the cases of hostility that coil up in the illegal justice system. I found in a recent study conducted by

Saturday, August 24, 2019

Tourism Industry in India Research Paper Example | Topics and Well Written Essays - 2000 words

Tourism Industry in India - Research Paper Example Segments such as hotels, tour operators, airlines, shipping etc., are significant contributors to this revenue. With lot of imagination and ideas the Indian tourism sector is gathering momentum and is set to have not only large numbers of foreign tourists but also make a big share in the country's Gross Domestic Product (GDP). Theodore Koumelis, in his article on Indian tourism and recent statistics, suggests that the performance of the Indian tourism industry has been very encouraging and has registered an 11% increase in foreign tourist arrivals during 2006. According to Starbucks annual CSR of 2006, Starbucks had then planned to enter the Indian market through a joint venture with an Indian partner RPG Enterprises so as to expand its business. Although many foreign companies see huge potential in Indian market due to huge middle class population, entering into it may not be that lucrative at time due to strict governmental economic policies. Therefore, certain country risks are involved. Almost entire South Asian region has faced severe political instability crisis for many decades with variable consequences. India, by far has been an example not only for South Asian countries but for many developed nations as well. Known as the largest democracy in the world, India has enjoyed continuous trends in its political and economical policies while directly resulting in greater political stability. Thus, tourism and hospitality industry in India has greatly benefited. However, greater stability of such magnitude has resulted in slower shifts and transitions in policy making processes, while negatively affecting the emergence of Indian tourism market for becoming a regional market. Perhaps, this has been the reason why multinational companies did not want to come to India in the earlier stages. Although there is opportunity for domestic and foreign business to grow, there are certain obstacles to these expansions. One of the major obstacles is the entry barriers abound and restrictions imposed on foreign direct investments. The government currently permits on an automatic basis with the exception that they do not already have an existing venture in India in the same field and proposals that may fall outside notified sectional policy/caps. The risk for these new businesses is that regulations are poorly enforced and the restrictions imposed on each zoning and tenancy laws make property ownership among the most expensive in the world. Therefore, the government has ownership of most of the businesses and this lowers the economic growth, making it expensive for other businesses to gain ownership. For Starbucks in India, political and legal risks can include threats to the profitability. These threats derive from the government action or inaction by economic conditions in the marketplace. The threats are included in the action or inaction by political authorities or their agents, rather than changes in supply and demand of goods and services. Therefore, Starbucks is required to open a bank account with an authorized dealer for designated foreign currency. A Foreign Currency Non-Resident (FCNR) account is to be established while converting the foreign exchange to Indian Rupees (Indian Liaison, 2007). India has a tax structure that is well developed to levy taxes divided between

Friday, August 23, 2019

Security Certificates in Law Research Paper Example | Topics and Well Written Essays - 500 words

Security Certificates in Law - Research Paper Example Deportation of suspected individuals protects the public from harm that would come through allowing suspected individuals to continue functioning freely. Very few people have ever been subjected to a certificate hearing implying that critical evidence is used to subject an individual to these hearings. In certain instances, the person subjected to certificate hearing has an opportunity to involve witnesses to petition their release. This is also a benefit. Due to the nature of the security certificates, it is hard to imagine that they would operate without violating some crucial laws. Specifically, it violates some sections of the Charter of Rights and Freedoms. These sections include denial of a fair trial, which is a major human right, civil rights with respect to international politics, and the inability to guarantee safe deportation. These are important laws that need to be observed. The Canadian Supreme Court allowed some Charter rights to be limited in the case of exceptional circumstances. These circumstances were not defined, and secrecy surrounds the cases that have been taken to certificate hearings. In addition, the Supreme Court had found that a framework of protecting classified information with immigration proceedings as consistent with the country’s Charter of Rights and Freedoms. The Court allowed the limitation with the argument that terrorism ought to be dealt with in any way possible. Therefore, the safety of the Canadian citizens was the main concern that led to limiting some Charter rights.

My dream computer Research Paper Example | Topics and Well Written Essays - 750 words

My dream computer - Research Paper Example Thinking of a dream computer is a delightful experience. I have been at computers since long and have worked on several types of computers ranging from old Pentium-III computers to present day state of the art computers. One thing common to all these experiences is the wish for an even faster computer. But now it is not only a wish and dream it is a genuine requirement to do several different tasks that cannot be accomplished without this machine or at least may have consumed time that cannot be afford. Therefore, now it is extremely important to work out the details of a computer that can meet day to day requirement of various task discussed ahead. Being a student I have to complete college assignments that may require word processing, presentation, picture editing, drawing, worksheet and equations writing facilities along with simple website development software. Beside this for writing technical reports I use some CASE tools. Math assignments are required to be written in some spe cialized software. Entertainment support is inevitable and special sound and graphic equipment are needed to fulfill the requirements of latest games and videos. Internet support software and hardware also form part of the requirements for a dream computer. Software Requirement Beside Microsoft Office 2007 I prefer to use MathType software which a very convenient way to prepare math assignments. MathType can insert complex equations and provide a wide range of mathematical symbols. It is easy to use and provide excellent edit environment. These math equations cannot be written in Microsoft Office because they are not specialized software for math equations. Adobe Creative Suite 5.5 Web Premium is an excellent student adobe suite which available from adobe at special 80% discount. This is an ultimate solution for all web site and photo editing requirements. The software is a bit complex and requires special training and tutorials to be followed for extend uses and some meaningful con tribution. This software require extra bit of processing power and system resources but it pays off and provide a good value for the money. CloneDVD is my favorite DVD player. It is excellent software which can play nearly all types of media files. It also provides the recording facilities and can run in the background. The software is not resource hungry and can be used while other heavy applications are still running at the computer. The online help and support can help in understanding the software, while routine updates can also be downloaded when available. Software Operating System System Requirements Price Math Type Microsoft Windows 7, Windows Vista, or Windows XP 12 MB free hard disk space. MathType is not RAM-intensive so listing its requirements is not necessary $78.02 Adobe Creative Suite 5.5 Web Premium Microsoft ® Windows ® XP with Service Pack 3; Windows Vista ® Home Premium, Business, Ultimate, or Enterprise with Service Pack 1 (Service Pack 2 recommended); or Windows 7 Intel ® Pentium ® 4 or AMD Athlon ® 64 processor 1GB of RAM or more. Recommended 1280x800 display with qualified hardware-accelerated OpenGL graphics card, 16-bit color, and 256MB of VRAM $449 CloneDVD Microsoft Windows 98/98SE/ME, Windows NT/2000/2003, Windows XP, Windows Vista, Windows 7 Intel CPU with 350 MHz and MMX, or AMD CPU with 450 MHz or higher 64MB RAM or more $69 Computers Researched I have researched three major brands in the market. All of these laptops can fulfill the hardware requirements and support the software discussed in Part-II of this report. The price difference is based on the features and may also be change slightly if some extra features or capabilities are appended to the hardware details provided in the excel sheet. I have finalized the emachine laptop which can fulfills all requirements and will meet the advance requirements for one year. The machine offers some good upgrade options and can be considered for an upgrade later on. The pric e of the computer is neither too high nor too low and falls under

Thursday, August 22, 2019

American English Essay Example for Free

American English Essay Ebonics has been an issue in the field of sociolinguistics for quite a long time. It was previously labeled as Negro-standard English, Black English, Black English Vernacular, and African American English Vernacular. It is known to have historical influences from West African and Niger-Congo languages. Researches focused on its similarities and differences with that of the Standard American English to provide explanations to whether it is should be considered as a separate language or at least a dialect of standard American English (Blommeart, 1999). The term Ebonics was coined by Robert Williams in 1973. It referred to the unique variety of language used by African Americans. However, it was not widely used until the proposal of Oakland Schools in 1996. yet, up to this day, experts prefer the term African American to make it consistent with that of other varieties of English like British English, Southern English and among others (http://www. cal. org/topics/dialects/aae. html). One of the differences pointed by Collins (1999) are the phonological processes like consonant cluster simplification and word-final position. For example, words like cold, test, and desk are spelled as col’, tess, and deks in Ebonics. The habitual BE verb of Ebonics may also be confused if will be read as standard English. The debate mainly focused on the issue as whether Ebonics should be a separate language or at least a dialect. It was not a major issue until Ebonics was proposed as a medium for instruction. The sociolinguistic debate was replaced by a more encompassing issue of education, language, culture, and perhaps, politics too. The Ebonics Controversy In December 18, 1996, the Oakland School Board proposed to recognize Ebonics as â€Å"primary language of African American children† and be treated as a subject for Language Art apart from the standard American English (Rickford, 1999). More specifically, the proposal claimed, â€Å"Ebonics was a language that should be recognized, tolerated, and accounted for is instruction of the district’s predominantly African-American student body† (Blommeart, 1999). It would have affected more than 52, 000 students in the district. The aim of this proposed project was improve the educational performance of the urban student body (Blommeart, 1999). The proposal started a debate not just among sociolinguists, but also among educators and politicians. Many of the critics of the proposal argued that the real cause of poor performance of the students was not a question of language but rather the â€Å"lack of effort, motivation, and commitment on the part of the students and their families. † (Blommeart, 1999).

Wednesday, August 21, 2019

The Relationship Between Sport And Tourism

The Relationship Between Sport And Tourism But most of all travel plans are made to develop an area not sufficiently focused on the development of local human resources.  That is increasingly isolated from the human resources of tourism development is carried out due to their inability to perform.  Tourism impact member or a significant impact on society, particularly to local residents, before holding an event should take into account the effects of these events on economic and socio-cultural community. Among the benefits of hosting the event of certain individuals. Example of hotel and resort operators, food and beverage business and craft vendors.  When the sports held their gains from the sales will increase because many tourists would come to visit shop.  In addition they can promote interesting products that have not been promoted by the dealer another dealer.  This will give opportunities to people to find out their sales results and the stability of the economy rose due to foreign currency exchange rates and thus can increase the balance of payments.  With the proceeds from the government to generate economic profit from the arrival of a large population. The role of the tourism event of the obvious aspects of the development of a tourism destination.  Organizing events for local causes many to take the initiative to venture into business small or open the talent of the individuals that had been extinguished in the self.  In addition to promoting tourism events for local communities to engage in commercial businesses such as souvenir. Making a traditional food that we can show it to tourists tourists who are interested in trying the food.  It is clearly evident to the tourists who have not been trying to eat that is not in their country.  For them there is a pride in themselves and serve as a memory. Organization of events events to encourage international investors to invest in a destination.  Because investors are interested in expanding income, because the destination has the potential to be developed or the capacity to be developed for the residents of flax and high member to investors that they are so lucrative for-profit business in the future. This was evident in 1990; the tourism development program is increasing awareness of its importance to the country because the existing strategic tourism events planned for the Province of Novel Scotia (Get, 1997).  Travel the international-class sporting event to benefit many local communities due to widespread support from the international.  To get a response from the tourists they must play a key role in attracting tourists to an tourist potential of sporting events and sports equipment in order to complete attractive to tourists.  With the efforts of the sport can improve the economy.  Because the requirements and needs of tourists should be introduced for sport activities or packages that are appropriate to the target market. Sports and tourism intertwined as an important topic since 1998, so that in 1999.Infrastructure construction and the arrival of more volunteers to help the economy in the region and to reduce the cost of development.  A total of four twenty two percent of the tourism events around the world are sports Sports Tourism International Council on tahun1994.  For a developing country hosting the event is an opportunity to help promote economic growth and social development and enhance the cooperation between many countries. Sports tourism funded from the company the international corporations that maintain high standards of corporate governance is good business is very important to help strengthen the brand for the organization or a union as well as to enhance a healthy culture of corporate responsibility.  Recommended the following measures to be implemented to build the confidence of investors is improving transparency and regulatory environment, In addition to helping the industry to create rules that increase the consistency of government policies to improve the dissemination of economic information.  In the administration of sports tourism is good not only a corporate body of law abiding, but finding the correct ethical approval.  Therefore, companies need to make the reporting of a State capable of development as an effort to improve the governance of a good business to enhance the economy of the country. There are a few factors that lead to views of local communities on tourism activities is important is that local communities have a connection and relationship of the foreign tourists.  When travelers receive good treatment from the local, it will have a positive impact on the satisfaction of tourists who visit.  Local community is the source of the taxpayer and directly benefits the government.  Because the income earned from the tourists to give a clear improvement or impact the economy.  In addition, a State can reduce the burden on any society when the economy becomes more member benefits. In conclusion, sports tourism continues to be the focus of foreign investors in the future due to political stability and implementation of business-friendly environment of inspiration.  In addition to plant model to attract investors because of disputes are rare. This is definitely sports tourism to give effect to the good example of a good exchange of tourists to boost the economy of the country and improved the level of good and Development.  Therefore the government should be is smart design of the first set before running the sport is not valid for the problems of the tourists.  For their arrival to give a point of pride for them, particularly Olympic sport. (991 Words)

Tuesday, August 20, 2019

Liquefied Petroleum Gas Lpg Engineering Essay

Liquefied Petroleum Gas Lpg Engineering Essay Liquefied Petroleum Gas is an important source of energy for millions of people around the world. LPG consists mainly of gases at atmospheric temperature and pressure (propane and butane), which when subjected to modest pressure or refrigeration can liquefy. This makes it possible to transport and store as liquid in pressurized cylinders and containers, which must be safely and carefully handled. Definition: Liquefied Petroleum Gas (LPG) can be simply described as hydrocarbons that exist as vapours under ambient conditions of temperature and pressure, but can be liquefied by the application of moderate pressure. When gas is liquefied, the volume occupied by the vapour considerably decreases, thus the liquid formed requires less storage space. The material is therefore stored and distributed in the liquid phase in pressurized containers and systems and is finally allowed to return to the vapour phase at the point of eventual utilization. Sources of LPG: LPG as the name suggests, consists mainly of a mixture of hydrocarbons (Propane and Butane) with a little proportion of unsaturates (Propylene and Butylene). These hydrocarbons and unsaturates (LPG) can be produced through two main sources which are: Wet Natural Gas, which consists entirely of saturated hydrocarbons (Propane and Butane) and can be found in oil or gas fields, being removed as condensable products from natural gas and also extracts from crude oil during the stabilization process applied in order to reduce the vapour pressure prior to shipment; Refining process to remove impurities like moisture and sulphur compounds (hydrogen sulphide and mercaptans), which may lead to clogging of valves and corrosion. However, due to the odourless nature of LPG, ethyl mercaptan which has a unique odour, is added to alert the user of LPG incase a leak takes place. The product of crude oil refining fall into three main categories: The permanent gases, Methane and Ethane which remain gaseous regardless of pressure, unless refrigerated. Hydrocarbons having five or more carbon atoms per molecule. They are liquid or solid at atmospheric temperature and pressure and account for most of the crude oil refined. Propane, Butane and Isobutane, together with Propylene, Butylene and Isobutylene have three or four carbon atoms per molecule. All have the special property of becoming liquid at atmospheric temperature if moderately compressed and reverting to gases when the pressure is sufficiently reduced. C:UsersMr TDesktopIMAG0168.jpg Properties of Liquefied Petroleum Gas (LPG) Vapour Pressure Vapour pressure is a measure of the volatility of the gas and where vapour exists in conjunction with the liquid phase is referred to as the saturation vapour pressure. At the boiling point it is equal to atmospheric pressure and increases as the temperature rises to the critical. Propane with its lower boiling point thus exerts a greater vapour pressure under identical conditions than butane. Knowledge of the vapour pressure of a gas is thus essential in order to be able to specify the design conditions for the pressurized system. It is also required to enable the gas offtake rates by natural vapourization to be calculated. In practical terms, systems are often specifically designed to be suitable for either butane or propane which thus precludes a butane system from being used for propane, but enables the propane system to be classed as dual purpose. G:DCIM100MEDIAIMAG0198.jpg Boiling Points of LPG The constituent gases found in a commercial LPG mixture all have very low boiling points and will thus normally exist in the vapour phase, under atmospheric conditions, unless they have been liquefied or refrigerated. Where the gases are held at a temperature at or below their boiling point, the vapour pressure will be equal to or less than atmospheric. This property has led to the development of large scale storage at marine terminals where the product is held in refrigerated form in what is essentially a non-pressurized system. Above ambient temperature, the gases exert an increasing vapour pressure, thus increasing the pressure required for liquefaction. This pressure continues to increase until the critical temperature is reached, (96.67oC for propane; 152.03oC for n-butane), above which temperature of the gases cease to exist in the liquid phase even if further pressure is applied. Latent Heat of LPG The latent heat of a liquid product is the quantity of heat absorbed to enable vapourization to occur. In the event of liquid LPG being allowed to vapourize naturally, the latent heat required is taken from itself and its immediate surroundings at the same time, causing a drop in temperature. The process is known as auto-refrigeration. Very low temperatures can be achieved with propane under such conditions; therefore in order to avoid operators receiving severe cold burns, protective clothing is required. Specific Volume, Relative Density LPGs exist as heavy gases approximately 1.5 2.0 times the density of air in vapour phase. They reduce in volume considerably on liquefaction (ratio of gas volume to liquid volume at 15.6oC/1016mbar is 233 for butane and 274 for propane) to exist as a clear liquid which is approximately half the weight of water (Propane 0.50 0.51, Butane 0.57 0.58). It can thus be seen that LPG vapours heavier than air will tend to cling to the ground seeking to enter trenches, drains and other low areas, which could make it take considerably longer time to disperse. Leaking liquid phase LPG will rapidly expand to around 250 times its own volume, therefore creating a greater risk than would occur with a similar sized vapour leakage. Where temperature conditions permit the existence of free liquid from a leakage, the product will float on any water present. This normally occurs with butane in freezing conditions and a typical scenario would occur during firefighting operations. Coefficient of Cubical Expansion of Liquid Liquid phase LPG expands considerably when its temperature increases. The coefficients of cubical expansion at 15oC are approximately 0.0016 per oC for propane and 0.0011 per oC for butane. These values are around 4 times the equivalent for fuel oil, 10 times that for water and 100 times that for steel. This high rate of expansion has to be taken into consideration when specifying the maximum quantity of LPG permitted to be filled into any pressure vessel, ie the filling ratio defined by codes of practice for different specification of LPGs under different ambient conditions. Because the filling ratio precautions taken to prevent the hydraulic filling of storage systems cannot be extended to the connecting liquid phase pipework, these parts of the system are protected by the provision of small hydrostatic relief valves situated in all areas where the liquid LPG can be trapped between closed valves. Limits of Flammability Gaseous fuels will only burn when mixed with air in proportions which lie between two well defined limits, known as the lower and upper limits of flammability. The lower limit being the smallest quantity of combustible gas which, when mixed with a given quantity of air (or O2) will support self-propagating flame. A leak of 1m3 of liquefied propane will produce 274m3 of propane vapour, which will cause immediate entrainment of air and progressive dilution of the concentration. When the upper limit of 10% is reached, the propane/air mixture becomes flammable (ie when the propane entrains, 274 10 = 2740m3 of air). The mixture only becomes flammable when the lower limit of 2% is reached (ie when the propane entrains 274 50 = 13,700m3) of air. Therefore, should a leak of propane occur, the propane/air mixture will be flammable and hence extremely dangerous until it has been diluted with more than 13,700m3 air per m3 of propane leakage. The following are the limits of flammability of LPG and some other fuels: Gas Lower Limit Upper Limit Commercial Propane 2.0 10.0 Commercial Butane 1.8 9.0 Natural Gas 5.0 15.0 Coal Gas 5.0 40.0 C:UsersMr TDesktopIMAG0189.jpg

Monday, August 19, 2019

Robber Barons: Gates, Carnagie, Rockafeller, Vanderbilt Essay -- essay

Robber Barons   Ã‚  Ã‚  Ã‚  Ã‚  The robber barons of the early industrial age, and one modern day baron have been accused of creating monopolies over several different areas. The four barons focused upon are Cornelius Vanderbilt, Andrew Carnegie, Rockefeller, and Bill Gates. They have all created monopolies over their respected industry. These monopolies eliminated all opposition and left consumers with only one choice.   Ã‚  Ã‚  Ã‚  Ã‚  First off is Cornelius Vanderbilt, he built his business with the New York railways. He built the New York Central System by the 1850’s, he also produced the largest steamboat fleet in the United States at that time. He created the New York Central from three smaller railroads which he purchased, the expanded from New York City to Buffalo. Eventually his railroads connected all the way through to Chicago in under four years of being in the business. Not only did he run a very large rail system but also became the first to use several different techniques. One was the Westinghouse Air Brakes, which would allow for faster and more reliable brakes as well as being able to ravel at higher speeds. Another idea pioneered was the four track system which would allow for two freight tracks, one for each direction, and two more tracks for passenger cars. The tactics he used were legal, the only thing he did was purchase smaller lines to help expand his railroads. The se were not unethical moves just ways to help his business. &n...

Sunday, August 18, 2019

The Devestating Effects of Popcorn :: essays research papers

One of the biggest threats to freedom in our world today is the ever-looming possibility that someone will realize the true power of popcorn and bring world leaders to their knees. Popcorn holds a power that to this point has remained untapped. However, if placed in the hands of a terrorist organization, the true power of popcorn could be unleashed to wreak havoc on innocent men, women and children.   Ã‚  Ã‚  Ã‚  Ã‚  Millions of people each year have the luxury of eating popcorn freely. Each night in this country alone, thousands of people flock to movie theaters to enjoy a large tub of popcorn while watching a new movie. Month after month the movies on the screen continue to change, following and sometimes affecting world trends, beliefs and styles. Through it all, the popcorn remains the same. It continues to draw the movie patrons back to the theater with the bitter taste of salt mixed with a golden layer of liquid butter. Already, many around the globe have been blindly enslaved to the irresistible experience of leisurely consuming a tub of popcorn while tucked within the dark confines of a crowded picture show.   Ã‚  Ã‚  Ã‚  Ã‚  Large snack corporations have manufactured their own plans to cash in on the subconscious popcorn craze that is sweeping the globe. They perpetuate the popcorn security risk by delivering taste variations. With a light dusting of cheddar cheese or a quick dip into a caramel pool the popcorn is transformed, bringing new tastes to life that now fill the isles at every grocery store. In doing so, a whole new generation of popcorn lovers are captured who couldn’t possibly know the grave position they are placing themselves in.   Ã‚  Ã‚  Ã‚  Ã‚  And proving that every movement has a following determined to do things their own way, some have taken to popping their own popcorn in the comfort of their homes. These renegades have tried to free themselves from a herd mentality by refusing to follow the crowd to a central location to partake in their favorite snack. They have still unknowingly resigned themselves to the same fate by falling under popcorn’s powerful spell.   Ã‚  Ã‚  Ã‚  Ã‚  A terrorist organization armed with this knowledge could potentially seize control of the world’s supply of popcorn and do so without much trouble. Our world leaders are unaware or choose to ignore this threat, and refuse to protect the supply lines of popcorn with the world’s finest armies.

Saturday, August 17, 2019

Process Safety Management in the Oil and Gas Industry

Abstract This paper provides a discussion of process safety management applied to the global oil and gas industry. The importance of maintaining regular risk assessments and environmental impact assessments has been indicated upon the completion of this research. The focus of the study is on integrating different management tools, such as EIA and HSE-MS, to evaluate the potential risks pertaining to development projects in the oil and gas industry. In addition, the report explores specific lessons learned from the defence industry, indicating that HSE management systems may be effectively applied to the oil and gas industry as well. Introduction The occurrence of various incidents and hazards occurring in the oil and gas industry is quite frequent, thereby necessitating the adoption of effective and reliable measures to mitigate such risks (Ovind and Sneve, 2004). It has been argued that Health, Safety and Environment Management Systems (HSE-MS) have a positive impact on the functioning of global oil and gas companies considering the high level of accuracy of assessments provided by this management tool (Bergh et al., 2014). The objective of the present report is to explore the feasibility of process safety management in the oil and gas industry. Process Safety Management in the Oil and Gas Industry Significant aspects can be learned in improving human factors in the oil and gas industry from industries, such as aviation, nuclear power and defence. However, the oil and gas industry demonstrates specific challenges that can make it difficult to apply design process and standards that have led to positive results in other industries (Ramirez et al., 2013). The development of various processes and standards has adhered to meet the needs emerging in the global oil and gas industry. Scientific research extensively focuses on the psychology of how irrationality and cognitive biases may lead to inadequate risk assessment and improper decision-making processes. Thus, the necessity to create practical and simple solutions is urgent than ever (Bergh et al., 2014). The introduction of Health, Safety and Environment Management Systems (HSE-MS) is important part of this process. Basic elements of HSE-MS include commitment to appropriate leadership practices, setting of clear goals and objectives, and undertaking strict risk evaluation and control procedures (Ash, 2010). When organisations in the oil and gas industry adhere to these aspects of their overall management, positive results can be expected in the long term. Communication among all divisions of organisations should be ensured in order to meet the expectations of all stakeholders in the industry. Management should provide commitment and personal involvement in health, safety and the environment as a whole (Zimolong and Elke, 2006). A proper expectation that could be indicated relates to setting a personal example of following major HSE rules. The decisions that could be made should consider aspects of quality, cost, morale, and production. In the process of introducing HSE principles in the oil and gas industry, it should be pointed out that allocation of resources should be done effectively in an attempt to carry out some of the most important functions of HSE. The development of local HSE policies should be in line with corporate objectives and standard as relating to the oil and gas industry (Ramirez et al., 2013). Setting objectives for continuous improvement should be the focal point of introducing such policies. All levels of management should be involved in similar processes to achieve optimal efficiency and productivity. In addition, certain objectives should be developed to mitigate risk within organisations operating in the oil and gas industry. The stage of risk evaluation and management should be consistently introduced in oil and gas companies in order to adhere to major HSE management guidelines that may contribute to decreasing the risk of incidents in this industry (Zimolong and Elke, 2006). This step i s associated with the establishment of a proper methodology that outlines acute and chronic hazards including their perceived effects. Moreover, it is important to conduct flexible hazard assessments at the design, development and operating stages. The application of risk management tools may significantly facilitate the process of achieving of the set policy objectives. It has been identified that an effective legislative programme requires three essential dimensions: powerful and well-resources regulations, setting accountability parameters to drive appropriate behaviours in the industry, and ensuring solid industry support (Berg et al., 2014). The globalisation of HSE issues for the oil and gas industry should be explored in order to demonstrate a process of setting high standards of performance in the field. In 2011, the European Commission released a series of legislative proposals to guarantee offshore safety (Ramirez et al., 2013). The focus on preserving the natural environment has been properly maintained. HSE policies are expected to cover oil spill and emergency response preparedness, quality assurance and management systems. The utmost goal of similar initiatives is to ensure a healthy and safe environment for employees in oil and gas companies as well as for residents of different countries (Ash, 2010). The conduct of particular operations from the oil and gas industry should be done with the consideration of strict professional standards for safety. In fact, the safety of employees should be taken into consideration as well as the environment and economic values. In general, oil and gas companies are committed to developing of proper systems for monitoring of their technical facilities and plants. The occurrence of various incidents in the industry, such as the Macondo incident, the US Department of the Interior undertook drastic measures in 2011 to mitigate risks in this sector (Haight, 2013). Two new agencies were created to monitor a series of operations and activities in the Gulf of Mexico, as these are the Bureau of Safety and Environmental Enforcement (BSEE) and the Bureau of Offshore Energy Management (BOEM). In addition, the Department was responsible for issuing new and more effective regulations to address the specific roles and functioning of these two agencies (Bergh et al., 2014). Product specifications along with emission controls and climate change programmes have contributed to the development of proper and highly effective HSE systems. It can be suggested that these aspects can have a significant impact on the production and profitability of different products introduced by oil and gas companies. Moreover, there are certain environmental laws that require organisations that operate in this industry to restore all areas in which particular incidents or unauthorised release of various hazardous materials have taken place. It can be anticipated that HSE laws and regulations can have a rather positive impact on the operations of oil and gas companies (Zimolong and Elke, 2006). However, it may be challenging to indicate what would be the potential future effects of certain legislations adopted in the context of the global oil and gas industry. There may be risks associated with HSE costs and liabilities, which may be evident in the activities of global oil and gas companies. Thus, such organisations recognise the importance of implementing solid HSE standards and management tools to facilitate the accomplishment of certain outcomes (Ash, 2010). One of the legislative frameworks that provide substantial information on applying HSE standards in the oil and gas industry is the IADC HSE Case Guidelines. These guidelines â€Å"provide a framework for developing an integrate health, safety and environmental management system for use in reducing the risks associated with offshore and onshore drilling activities† (International Association of Drilling Contractors, 2014). The significant of the guidelines reflects in the adoption of high standards that can help in increasing global health, safety and environmental awareness in relation to the oil and gas industry. The worldwide acceptance of the guidelines in countries such as Australia, Canada, South Africa and Cuba implies their universal applicability to solve emerging challenges in the respective industry (Ash, 2010). The need to assist regulatory authorities around the world may contribute to the delivery of standards and principles that are closely tailored to correspon d to the needs of oil and gas companies. Emphasis is put on reassuring that the most proper industry practices have been implemented in terms of health, safety and environmental concerns. Lessons from the Nuclear Power of the Defence Industry Thus, the focus can be shifted to learning important lessons from the nuclear power of the defence industry. One of the crucial lessons learned so far is that of interaction considering that different legislations throughout the world may demonstrate the adoption of similar approaches to mitigate risks in the oil and gas industry (Bergh et al., 2014). Interaction emerging at all stages of the assessments is important to make sure that all needs of the stakeholders in the industry are met. Another lesson that can be learned from the defence industry and applied to the oil and gas industry relates to access to information. It is essential to understand that particular parts of the development projects may contain classified information (Zimolong and Elke, 2006). Such details may be significant in the process of carrying out the intended assessment procedures. Timing also is a valuable lesson that can be drawn from the defence industry in terms of focussing on all points during the proj ect planning stage. It should be initially noted that assessments involving EIA and HSE-MS tools serve as an adequate decision support system that should be available in a timely manner. Analysis of Human Failure Contribution to Process Risk In order to gain understanding of human reliability and accident causation, it is important to focus on various HSE management tools including HAZID, HEMP and HAZOP. One of the most powerful tools for the identification of major hazards and risks, which can be implemented in the global oil and gas industry, is HAZID (Ovind and Sneve, 2004). Its use is recommended to be done early to demonstrate greater precision and accuracy of results. The key benefits of HAZID include fast identification and correction of potential deviations, providing records of hazards to avoid and mitigate further risks in the global oil and gas industry (Rausand, 2013). The method actually represents a design-enabling tool used to enhance the HSE parameters in particular projects. Furthermore, the Hazards and Effects Management Process (HEMP) was designed to present a highly structured approach to analysing various hazards in the life cycle pertaining to installation processes in the industry. This method refers to a three-day session in which participants are provided with significant information on risk management and essential HEMP principles, including HEMP’s role in the HSE management systems (Bergh et al., 2014). The management tool identified as HAZOP has been also found useful in identifying and mitigating risks pertaining to the global oil and gas industry. The initial use of this instrument has been considered for the proper identification of hazards through flowsheets and diagrams. It also implements safety audit after several months of operation (Rausand, 2013). Specific procedures considered by oil and gas companies refer to determining the precise degree of hazard and expected change as well as a consideration of the worst case accident th at may occur as a result of the modification. In addition, the management tool requires the appointment of a competent, qualified person to comply with the strict requirements for HAZOP (Ramirez et al., 2013). Case Study of Operating Events at Commercial Nuclear Power Plants However, it is important to focus on the aspects of human failure contribution to process risk as applicable to various events that take place at power plants. The main tools that have been implemented to identify safety events, in which human failure contribution to process risk was investigated, refer to the Nuclear Regulatory Commission (NRC) Accident Sequence Precursor (ASP) Program and the Human Performance Events Database (HPED). Events in this case were selected on the basis of SPAR analyses that contributed to a proper estimation of human errors that eventually increased risks to the completion of these events (Rausand, 2013). In addition, different human error categories and subcategories have been identified to demonstrate greater accuracy of findings. The formation of categories took place in line with their frequency of occurrence (Gertman et al., 2001). Major categories included command, control, resource allocation, operator actions, communications, design deficiencies, design change testing, configuration management, as well as procedures of maintenance and monitoring of various work processes (Zimolong and Elke, 2006). It has been argued that human failure substantially contributed to process risk in relation to operating events. For instance, seven human errors have been identified to contribute to the emergence of numerous event failures in the identified power plants. Another challenge that has been observed in this case study referred to the lack of attention to recurrent problems (Ash, 2010). In fact, the lack of attention and care to recurrent problems was estimated in approximately 41% of the operating events (Gertman et al., 2001). Such inattention mostly related to improper NRC inspection findings, industry notices, and vendor notices. Operating with known design deficiencies also created certain problems at the commercial nuclear power plants. Human failure was evident in the inability or error to follow plant and industry trends as well as provide timely responses to industry notices (Ramirez et al., 2013). Active human errors were identified as quite problematic pertaining to command and control and resource allocation failures, amounting to almost 28%. For instance, it has been indicated that command and control between Oconee Unit 2 1992 and Keowee hydroelectric station turned out to compromise or challenge the response from the plant (Gertman et al., 2001). The tasks performed by Keowee staff seemed to have affected emergency power at Oconee without receiving proper notifications from control room management. This is a clear example of how human failure contributed to increased risks of operating events. In this relation, it is essential to separate human actions in pre-initiator categories and post-initiator categories (Rausand, 2013). Pre-initiator actions are recognised as actions that may affect the availability of systems and elements associated with the response to incidents. Such actions mostly include errors in restoring particular systems after maintenance procedures at the plants (Zimolong and Elke, 2006). Post-initiator human actions represent a type of responses to incidents occurring in the power plants, as they may be also recovery actions in terms of restoring certain failed systems. It can be suggested that latent human errors mostly suppose a direct relation with pre-initiator human actions, as they are further related to numerous failures in the system. Therefore, it can be concluded that the results obtained from this case study indicated that human performance contributed essentially to increasing risks in analysed operating events (Bergh et al., 2014). Human failures to correct known problems have been frequently identified along with errors made during design and maintenance activities at commercial nuclear power plants. Thus, the results of this case study demonstrate that multiple errors occurring in operating events contribute to the so-called probabilistic risk assessment (PRA) basic events which are evident in SPAR models (Gertman et al., 2001). Importance of EIA and HSE-MS In order to improve practice of the oil and gas industry, the introduction of HSE management systems should take place in line with the integration of Environmental Impact Assessment (EIA). It is essential to clarify that EIA is defined as a process by which a project’s impact on the environment is measured (Department of the Environment, Community and Local Government, 2013). In case the likely effects are identified as unacceptable, professionals in the field are responsible for developing effective mitigation strategies to reduce such a perceived negative impact. Thus, EIA is a crucial tool used in managing the complex interrelations between development and the environment (Rausand, 2013). The examination of the environmental consequences of development actions is done in a structured manner based on multidisciplinary approaches applicable to the global oil and gas industry. The integration of EIA and HSE-MS tools may adequately facilitate the functioning of oil and gas com panies. The primary goal of these management tools is to ensure strict compliance with relevant legislations and standards in the field of operation (Bergh et al., 2014). It is of crucial importance that all HSE hazards are identified and handled in a timely manner. Their systemic assessment is a proper step towards ensuring that all criteria for adequate performance have been met. The integration of these assessments allows for accurate procedures implemented in the context of risk management for oil and gas companies worldwide. For instance, it may be indicated that various development projects that involve the use of radioactive material and nuclear fuel represent serious risks and hazards, which should be extensively assessed through the frameworks of EIA and HSE-MS (Abaza et al., 2004). Global oil and gas companies are held responsible for ensuring that all dimensions pertaining to human health, environment and security are thoroughly considered prior to the accomplishment of particular projects. Thus, importance is placed on risk assessment and environmental impact assessment of planned activities in the oil and gas industry (Rausand, 2013). As a result, such organisations are committed to improve their internal procedures that play a key role in conducting risk assessment and environmental impact assessment. In this context, a viable measure would be to screen all nuclear safety project proposals to ensure that such assessment procedures are done appropriately. Additional requirements for compliance may be specified by the authorities in particular countries in which oil and gas companies operate (Ash, 2010). International measures should be constantly improved in relation to the integration of EIA and HSE-MS measures (Zimolong and Elke, 2006). This aspect may lead to extensive support for initiating a co-ordinated international action to demonstrate high-quality environmental impact assessment and risk assessment pertaining to projects developed in the oil and gas industry. An overall risk assessment is fundamental in order to ensure that all development projects are completed in a cost-efficient and secure manner. These aspects should be considered in the process of setting certain priorities in the operation of oil and gas companies (Ramirez et al., 2013). Such thorough assessments may direct efforts to generate necessary funds for the completion of more urgent tasks in the industry. Conclusion In conclusion, this paper provided a relevant exploration of process safety management in the global oil and gas industry. Specific arguments have been introduced in order to emphasise the important role of HSE-MS tools, which combined with EIA, may contribute to greater efficiency and safety of work practices in oil and gas companies around the world (Rausand, 2013). The paper focuses on discussing the effectiveness of HSE management systems. In addition, human failure contribution was analysed as related to process risk evident at operating events in commercial nuclear power plants. Another aspect outlined in the report included the integration of EIA and HSE-MS tools that may lead to better recognition and maintenance of risks identified in the oil and gas industry (Bergh et al., 2014). In conclusion, providing accurate assessments is associated with the delivery of positive outcomes in this industry. References Abaza, H., Bisset, R. and Sadler, B. (2004). ‘Environmental Impact Assessment and Strategic Environmental Assessment: Towards an Integrated Approach’. UNEP [online]. Available at: http://www.unep.ch/etu/publications/textONUbr.pdf [Accessed on: 28 Nov. 2014]. Ash, J. (2010). ‘New Nuclear Energy, Risk, and Justice: Regulatory Strategies for an Era of Limited Trust’. Politics & Policy, vol. 38(2): 255-284. Bergh, L. I., Hinna, S. and Leka, S. (2014). ‘Sustainable Business Practice in a Norwegian Oil and Gas Company’. Contemporary Occupational Health Psychology: Global Perspectives on Research and Practice, vol. 3: 198-217. Department of the Environment, Community and Local Government (2013). Guidelines for Planning Authorities and An Bord Pleanala on Carrying out Environmental Impact Assessment [online]. Available at: http://www.environ.ie/en/Publications/DevelopmentandHousing/Planning/FileDownLoad,32720,en.pdf [Accessed on: 28 Nov. 2014]. Gertman, D. I., Hallbert, B. P., Parrish, M. W., Sattision, M. B., Brownson, D. and Tortorelli, J. P. (2001). ‘Review of Findings for Human Error Contribution to Risk in Operating Events’. NUREG [online]. Available at: http://www.nrc.gov/reading-rm/doc-collections/nuregs/contract/cr6753/cr6753.pdf [Accessed on: 28 Nov. 2014]. Haight, J. M. (2013). ‘Process Safety Regulations around the World’. Handbook of Loss Prevention Engineering, vol. 1&2: 463-499. International Association of Drilling Contractors (2014). IADC HSE Case Guidelines [online]. Available at: http://www.iadc.org/iadc-hse-case-guidelines/ [Accessed on: 28 Nov. 2014]. Ovind, A. K. and Sneve, M. (2004). ‘Environmental Impact Assessment and Risk Assessment in Northwestern Russia-from a Norwegian Perspective’. IAEA Organisation [online]. Available at: http://www.iaea.org/OurWork/ST/NE/NEFW/CEG/documents/ws032004_Ovind.pdf [Accessed on: 28 Nov. 2014]. Ramirez, P. A., Utne, I. B. and Haskins, C. (2013). ‘Application of Systems Engineering to Integrate Ageing Management into Maintenance Management of Oil and Gas Facilities’. Systems Engineering, vol. 16(3): 329-345. Rausand, M. (2013). Risk Assessment: Theory, Methods, and Applications. New York: Wiley. Zimolong, B. M. and Elke, G. (2006). ‘Occupational Health and Safety Management’. Handbook of Human Factors and Ergonomics: 671-707.

Ethics in Social Work

In psychology and social work, dual relationships and clinical boundaries are often common. They are often unclear and most times the professional has a difficult time noticing them developing. Ethical dilemmas are found in all professions, but are often different in type and solutions. They are hard to identify and even harder to make a clear decision. Dual relationships and clinical boundaries are one of the biggest ethical dilemmas social workers face because of the difficulties of finding the line between the professional role and the empathetic role a social worker plays.Social work is a profession that helps to solve complex human problems and create a more just and caring society. One of the foundations of social work is the focus on the strengths, as opposed to the shortcomings, of individuals, families and communities so that creative solutions for complex social problems can be found. The profession is characterized by a steadfast commitment to social justice in the service of empowering individuals, families and communities to meet their needs. Few professions offer many different types of employment opportunities.Social workers serve as counselors, in adoption, domestic violence, rehabilitation, hospice, mental health, youth, community development workers, public policy analysts, global rights workers; and in juvenile and adult justice systems, just to name a few. However, the main job of a social worker, however, is to help the client to reach a more stable environment, but to go about it a specific way dependent on the job the social worker held. Each job might come with different ethical problems, but social workers have to follow a strict code of ethics that have guidelines to help them make the correct decisions.The NASW, National Association of Social Work, is the largest group of professional social workers. It is the group that wrote the NASW code of ethics, which are followed by all social workers across the United States (NASW, 2008). Ethi cs are the underlying rules put in place to help society better function. Usually, they are hard to identify and can be interpreted in many different ways. Each person has their own ethical standards, which is why it’s necessary to have ethical codes that make it more general and help each professional make his or her own ethical decision.Ethics play a huge role into social work. Without an ethical background or a code of ethics it could harm not only a client, but also the social worker himself. The biggest struggle that comes along with ethics is the fact that each individual usually interprets them differently. Ethics is two things. First, ethics refers to right and wrong that advise what humans should do, in terms of rights, obligations, benefits to society, fairness, or specific virtues. Ethics can refer to those standards that make humans refrain from rape, stealing, murder, assault, slander, and fraud.Ethical standards also include ideals relating to rights, such as th e right to life, the right to freedom from injury, and the right to privacy. Secondly, ethics refers to the study and development of one's ethical standards. As mentioned above, feelings, laws, and social norms can deviate from what is ethical; therefore it is necessary to constantly examine one's standards to ensure that they are reasonable. The NASW Code of Ethics was written to serve as a guide to the everyday professional conduct of social workers. It includes four sections.The first section, â€Å"Preamble,† summarizes the social work profession's mission and core values. The second section, â€Å"Purpose of the NASW Code of Ethics,†Ã‚  provides an overview of the Code's main functions and a brief guide for dealing with ethical issues or dilemmas in social work practice. The third section,  Ã¢â‚¬Å"Ethical Principles,† presents broad ethical principles, based on social work's core values, that inform social work practice. The final section, â€Å"Ethical S tandards,†Ã‚  includes specific ethical standards to guide social workers' conduct and to provide a basis for adjudication.The Code of Ethics, as used today, was approved  by the 1996 NASW Delegate Assembly and revised by the 1999 NASW Delegate Assembly. (NASW, 2008) The NASW code of ethics is used to help guide social workers when it comes to making ethical decisions in the field. It is used to help give every therapist and client the same treatment and ethical decisions. Usually, each profession has a different code of ethics due to the fact that each profession has a diverse set of ethical issues that come with it.Dual relationships or multiple relationships are interactions in which a client is treating a patient, but is also interacting with them in some other way. It can also be if a therapist is in a professional role with a person and promises to enter into another relationship in the future with that person or someone closely related to the individual. Dual roles re fer to two different roles and multiple roles are when more than two overlapping roles exist. For example if a therapist is treating their child’s teacher, their child’s friend, having sexual relations with the client, or are close to the client in some way.Dual relationships are against the APA ethics code and can cause harm to the patient in some cases. A therapist should never work with people who he or she might have to interact with on a causal level instead of a patient-therapist level, not only for the patient’s confidentiality, but also to help keep the therapist from giving preferential treatment (Barnett, Vasquez, Moorehead-Slaughter, Johnson, 2007) Dual relationships can also allow a therapist to misuse their power and influence. The practitioner is in a position to exploit the client for his or her own personal gain.The problem of the dual relationships and the second relationship, the counselor is now susceptible to other interests (personal, financ ial, or social) that he or she may put before the best interests of the client. Problems that arise usually occur when the professional boundaries are not clear to begin with. Therefore, boundaries should be included as part of the intake paperwork. The wording should be clear and specifically state the therapist's intentions. The therapist-client relationship is one that does not permit contact in a casual manner outside the therapy session.This includes work relationships, social conversations or any type of romantic or sexual contact. † The therapist can state something about not giving personal information to a client, as there is no need for them to know this kind of thing. If the client signs the consent form, a contract is in effect and should not be breached by either party. Not only does the therapist have to gauge the client and the way he or she processes things, but also what the client could take inappropriate.Although it may seem appropriate in a therapistâ€℠¢s eyes it could be inappropriate in the client’s eyes and vice versa. (Syme, 2003) The therapist has to keep a close eye on their actions and make sure their client is not seeing it differently than they are. There are three factors that counselors should consider. First, there is a greater risk of harm when the expectations of client and counselor are mismatched. When clients have one set of assumptions about the ground rules of the relationship, and the professional has a different set of assumptions, there is an increased chance of susceptibility.Another factor is that there is potential for divided loyalties and an associated loss of objectivity. Counselors who have personal, social or business relationships with their clients, are at risk because their self-interest may be involved and thus compromise the client's best interest. Finally, by the very nature of the counselor/client relationship, clients are more dependent, have less authority and are vulnerable. Due to th is power differential, it is the responsibility of the professional to ensure that the client in the relationship is not harmed.One key feature of boundary issues is a conflict of interest that harms clients. Conflicts of interest occur when professionals find themselves in a relationship that could prejudice or give the appearance of prejudicing their decision-making. Thus a counselor who provides services to a client with whom he would like to develop a sexual relationship faces a conflict of interest; the professional’s personal interests collide with his or her professional duty to avoid harming his or her client. Zur, American Psychological Association, 2007) Social workers should be alert to and avoid conflicts of interest that interfere with the exercise of professional discretion and impartial judgment. Social workers should also inform clients when a real or potential conflict of interest arises and take reasonable steps to resolve the issue in a manner that makes th e clients’ interests primary and protects clients’ interests to the greatest extent possible. In some cases, protecting clients’ interests may require termination of the professional relationship with proper referral of the client (standard 1. 6[a]), NASW, 2008). The code goes on to say that â€Å"social workers should not engage in dual or multiple relationships with clients or former clients in which there is a risk of exploitation or potential harm to the client† (standard 1. 06[c], NASW, 2008). While treating someone in therapy, a counselor has to be careful about how their patient is going to interpret their actions and words. When a patient is in therapy, a lot of times they don’t have anyone around to support them and help them overcome their obstacles.That being said, it’s the job of the therapist to be that person for their client and help them to succeed. As a client gets closer to his or her therapist, sometimes the slightest of t hings can be taken in the wrong way. For example, as trust is built the slightest of things can trigger a client to see their therapist in a different light. As a counselor, a pat on the back, hand touch, ect can seem like nothing to you, but to the client can seem like a sexual advance. This an be detrimental to a client and can break all the trust the therapist had built up, putting the patient back to the beginning of the process (Smith, Fitzpatrick, 1995) When the psychologist and the patient develop an extracurricular relationship, this dual relationship can threaten the psychologist's ability to act impartially as a therapist and the patient's ability to receive proper treatment in their vulnerable state. If psychologists are not held accountable to prevent this type of behavior, they can harm the reputation of all clinical psychologists.Personal relationships imply a bias and the private relationship can cross over into therapy and treatment. The term â€Å"conflict of inter est† applies to dual relationships because no matter how objective a psychologist tries to be, their own emotions may taint their trained perceptions. Conflict of interest can be applied to a variety of situations, such as the psychologist should not treat a family member or close friend due to the possibility of favoritism or being non-objective, and could interfere with the treatment being given and received.The psychological ethical codes clearly prohibit the interaction of a personal relationship between the psychologist and the client. Dual relationships and clinical boundaries are one of the biggest ethical dilemmas social workers are faced with; trying to find the line between the professional role and the empathetic role a social worker plays. This being said, as a social worker it is important to distance the client, but also to build trust. It takes time to learn the boundaries and how to avoid crossing them.This is just one of the biggest challenges social workers h ave to overcome in their field. Reference Page: Barnett J, Lazarus A, Vasquez M, Moorehead-Slaughter O, Johnson W (2007) Boundary Issues and Multiple Relationships: Fantasy and Reality; Professional Psychology: Research and Practice, 38 (4) 401-410 doi: 10. 1037/0735-7028. 38. 4. 401 Herlihy, B and Corey G. (1992) Dual Relationships in Counseling. Alexandria, VA: American Association for Counseling Development Reamer, G. F. PhD (2011, October 13). Eye on Ethics Social Work Today, retrieved from http://www. socialworktoday. om/news/eoe_101311. shtml Smith, D. and Fitzpatrick, M. (1995) Patent-Therapist Boundary Issues: An Integrative Review of Theory and Research, Professional Psychology: Research and Practice, 26 (5), 499-506 doi: 10. 1037/0735-7028. 26. 5. 499 Syme, G (2003) Dual Relationships in Counseling and Psychotherapy: Exploring the Limits, London: Sage Publications Zur, O and American Psychological Association (2007) Boundaries in Psychotherapy Ethical and Clinical Explorat ions. Washington, DC : American Psychological Association http://www. socialworkers. org/pubs/code/code. asp

Friday, August 16, 2019

The Effect of Transformation of pGLO in Bacteria

Genetic transformation is a process that primarily is inserting new DNA into an organism to change that organism’s trait. This process has many useful benefits when used correctly in different organisms. In this lab, bacteria was transformed by inserting DNA for Green Fluorescent Proteins. The DNA for these proteins were taken from bioluminescent jellyfish Aequorea victoria. One of the main lessons of the lab is learning of the use of ‘plasmids’. Plasmids are small pieces of DNA that usually code for one trait and are easily transferable between bacteria.This transfer of plasmids between bacteria is actually extremely helpful for them and are key in their survival. The plasmid that codes for the Green Fluorescent Proteins is accompanied with a gene for resistance to the antibiotic ampicillin. To ‘switch on’ the gene for fluorescence caused by the proteins, sugar arabinose must be added to the bacteria’s environment. If there is no sugar arabino se introduced to the plates, then the bacteria will appear white and will not glow, even if the gene for the proteins is successfully inserted.If the gene was successfully inserted and there is sugar arabinose present then the bacteria will glow a fluorescent green. The objectives for this lab is was to see the effects on bacteria in four different cases. The first case is the effect on bacteria when the gene for pGLO is introduced with LB (a ‘broth’ like substance that bacteria feed off of) and ampacillin. The second case is the effect on bacteria when the gene for pGLO is introduced with LB, ampacillin, and sugar arabinose.The third case is the effect on bacteria when no gene for pGLO is introduced, but LB and ampacillin is still introduced, The fourth case is the effect on bacteria when no gene for pGLO is introduced, but bacteria is still placed in a LB enriched environment. The hypothesis for the first plate is that bacteria will grow, however it will not glow even though the pGLO gene is introduced because there is no arabinose to effectively activate the gene. The bacteria will still grow although the ampacillin (which normally kills bacteria) is present because the pGLO gene also acts as a resistant to antibiotics.The hypothesis for the second plate is that bacteria will grow and glow because the gene for pGLO is introduced with sugar arabinose to effectively turn it on. The bacteria will also not die although ampacillin is present because, alike to the first plate, the pGLO assists the bacteria in becoming resistant to antibiotics. The hypothesis for the third plate is that no bacteria will grow at all because it is an ampacillin enriched environment with no pGLO gene to help the bacteria become resistant to the antibiotic.The hypothesis for the fourth plate is that the bacteria will grow normally because although there is no pGLO gene introduced, there is also no antibiotic to prevent the bacteria from growing. (AP Biology Development Co mmittee, 2012) Data/Results: ? Figure 1. Recorded results from observing the transformed bacteria under light and in darkness After proper incubation time, we took the plates and viewed them with the lights on and then turned the lights off to see if any of the plates had colonies that glowed.As seen in Figure 1, the first plate produced some bacteria (one colony) and did not glow. The second plate produced a decent amount of bacteria (eight colonies) and ended up glowing. The third plate did not produce any bacteria at all leaving it impossible to see if anything glowed or not. The fourth plate produced the most amount of bacteria (ten colonies) and did not glow. Conclusion: All four of our hypotheses were correct after reviewing the results.The first plate, that consisted of bacteria with pGLO in an environment of LB and ampacillin, produced colonies however they did not glow due to the fact that there was nothing to turn on the pGLO gene. There needed to be arabinose in the envir onment for the gene to be expressed and since there was not there was no glow. The second plate, that consisted of bacteria with pGLO in an environment of LB, ampacillin, and arabinose, produced a fair amount of colonies that did end up glowing. The bacteria glowed because the pGLO was successfully inserted and transformed and had the arabinose to express the gene.The third plate, that consisted of bacteria without pGLO in an environment of LB and ampacillin, did not produce any bacteria. This outcome was due to the fact that ampacillin kills bacteria and there was no pGLO gene to help the bacteria become resistant to the antibiotic. The fourth plate, that consisted of bacteria without pGLO in an environment of just LB, produced the most amount of bacteria because although it did not have the pGLO gene to prevent antibiotics from killing the bacteria, there were no antibiotics to have to account for.It makes sense that the fourth plate produced the most bacteria because although in both plates one and two there was pGLO to prevent the ampacillin from killing the bacteria, not all of the bacteria were likely to go through transformation correctly and therefore not all of the bacteria had the pGLO ultimately resulting in the termination of a lot of potential bacteria colonies. (AP Biology Development Committee, 2012) The Effect of Transformation of pGLO in Bacteria Genetic transformation is a process that primarily is inserting new DNA into an organism to change that organism’s trait. This process has many useful benefits when used correctly in different organisms. In this lab, bacteria was transformed by inserting DNA for Green Fluorescent Proteins. The DNA for these proteins were taken from bioluminescent jellyfish Aequorea victoria. One of the main lessons of the lab is learning of the use of ‘plasmids’. Plasmids are small pieces of DNA that usually code for one trait and are easily transferable between bacteria.This transfer of plasmids between bacteria is actually extremely helpful for them and are key in their survival. The plasmid that codes for the Green Fluorescent Proteins is accompanied with a gene for resistance to the antibiotic ampicillin. To ‘switch on’ the gene for fluorescence caused by the proteins, sugar arabinose must be added to the bacteria’s environment. If there is no sugar arabino se introduced to the plates, then the bacteria will appear white and will not glow, even if the gene for the proteins is successfully inserted.If the gene was successfully inserted and there is sugar arabinose present then the bacteria will glow a fluorescent green. The objectives for this lab is was to see the effects on bacteria in four different cases. The first case is the effect on bacteria when the gene for pGLO is introduced with LB (a ‘broth’ like substance that bacteria feed off of) and ampacillin. The second case is the effect on bacteria when the gene for pGLO is introduced with LB, ampacillin, and sugar arabinose.The third case is the effect on bacteria when no gene for pGLO is introduced, but LB and ampacillin is still introduced, The fourth case is the effect on bacteria when no gene for pGLO is introduced, but bacteria is still placed in a LB enriched environment. The hypothesis for the first plate is that bacteria will grow, however it will not glow even though the pGLO gene is introduced because there is no arabinose to effectively activate the gene. The bacteria will still grow although the ampacillin (which normally kills bacteria) is present because the pGLO gene also acts as a resistant to antibiotics.The hypothesis for the second plate is that bacteria will grow and glow because the gene for pGLO is introduced with sugar arabinose to effectively turn it on. The bacteria will also not die although ampacillin is present because, alike to the first plate, the pGLO assists the bacteria in becoming resistant to antibiotics. The hypothesis for the third plate is that no bacteria will grow at all because it is an ampacillin enriched environment with no pGLO gene to help the bacteria become resistant to the antibiotic.The hypothesis for the fourth plate is that the bacteria will grow normally because although there is no pGLO gene introduced, there is also no antibiotic to prevent the bacteria from growing. (AP Biology Development Co mmittee, 2012) Data/Results: ? Figure 1. Recorded results from observing the transformed bacteria under light and in darkness After proper incubation time, we took the plates and viewed them with the lights on and then turned the lights off to see if any of the plates had colonies that glowed.As seen in Figure 1, the first plate produced some bacteria (one colony) and did not glow. The second plate produced a decent amount of bacteria (eight colonies) and ended up glowing. The third plate did not produce any bacteria at all leaving it impossible to see if anything glowed or not. The fourth plate produced the most amount of bacteria (ten colonies) and did not glow. Conclusion: All four of our hypotheses were correct after reviewing the results.The first plate, that consisted of bacteria with pGLO in an environment of LB and ampacillin, produced colonies however they did not glow due to the fact that there was nothing to turn on the pGLO gene. There needed to be arabinose in the envir onment for the gene to be expressed and since there was not there was no glow. The second plate, that consisted of bacteria with pGLO in an environment of LB, ampacillin, and arabinose, produced a fair amount of colonies that did end up glowing. The bacteria glowed because the pGLO was successfully inserted and transformed and had the arabinose to express the gene.The third plate, that consisted of bacteria without pGLO in an environment of LB and ampacillin, did not produce any bacteria. This outcome was due to the fact that ampacillin kills bacteria and there was no pGLO gene to help the bacteria become resistant to the antibiotic. The fourth plate, that consisted of bacteria without pGLO in an environment of just LB, produced the most amount of bacteria because although it did not have the pGLO gene to prevent antibiotics from killing the bacteria, there were no antibiotics to have to account for.It makes sense that the fourth plate produced the most bacteria because although in both plates one and two there was pGLO to prevent the ampacillin from killing the bacteria, not all of the bacteria were likely to go through transformation correctly and therefore not all of the bacteria had the pGLO ultimately resulting in the termination of a lot of potential bacteria colonies. (AP Biology Development Committee, 2012)