Saturday, November 30, 2019

Use Of Force Essays - Fiction, Time Lords, The Doctor, Second Doctor

Use Of Force The Use of Force illustrates very well the feelings and emotions of a normally rational person, who, for any reason, is subjected to a situation that causes much frustration and anger. Most people have patience, but everyone has a breaking-point. The doctor found his breaking point. It was almost frightening to read what the doctor was going to do next to the little girl. What he did was no doubt justified, however, when he said "I could have torn the child apart in my own fury and enjoyed it," that shows a lack of self control. I believe this story is very much like everyday life in the past few years. People lose their tempers too easily instead of being patient and cooling off. A great example of this is the Jerry Springer Show; people go to that show already very angry, and they think that being on TV will aid them in resolving their conflicts. That is certainly not what happens, though. One person almost always becomes enraged and physically attacks another person. It's sick. I see it in the hallways of our school. People lash out at anyone for any reason-bumping into them. It is terrible. Just blow it off and calm down. The story The Use of Force shows the evil side of a person. The doctor had to do his job, but did not need to physically harm the little girl. His uncontrollable ferocity and belligerence are startling, but it is sadly a common occurrence in the present.

Tuesday, November 26, 2019

The History of Steam Engines

The History of Steam Engines Before the invention of the gasoline-powered engine, mechanical transportation was fueled by steam. In fact, the concept of a steam engine pre-dates modern engines by a couple thousand years as mathametician and engineer Heron of Alexandria, who lived in Roman Egypt during the first century, was the first to describe a rudimentary version he named the Aeolipile.   Along the way, a number of leading scientists who toyed with the idea of using the force generated by heating water to power a machine of some sort. One of them was none other than Leonardo Da Vinci who drew up designs for a steam powered cannon called the Architonnerre sometime during the 15th century. A basic steam turbine was also detailed in papers written by the Egyptian astronomer, philosopher and engineer  Taqi ad-Din  in 1551.  Ã‚  Ã‚   However, the real groundwork for the development of a  practical, working motor didnt come about until the mid-1600s. It was during this century that several inventors were able to develop and test water pumps as well as piston systems that would pave the way for the commercial steam engine. From that point, the commercial steam engine was then made possible by the efforts of three important figures. Thomas Savery (1650-1715) Thomas Savery was an English military engineer and inventor. In 1698, he patented the first crude  steam engine  based on Denis Papins Digester or pressure cooker of 1679. Savery had been working on solving the problem of pumping water out of coal mines when he came up with an idea for an engine powered by steam. His machine consisted of a closed vessel filled with water in which steam under pressure was introduced. This forced the water upwards and out of the mine shaft. A cold water sprinkler was then used to condense the steam. This created a vacuum which sucked more water out of the mine shaft through a bottom valve. Thomas Savery later worked with Thomas Newcomen on the atmospheric steam engine. Among Saverys other inventions was an  odometer  for ships, a device that measured distance traveled. To learn more about Thomas Savery the inventor, check out his biography.  Ive also written a description of Savery’s crude steam engine.   Thomas Newcomen (1663-1729) Thomas Newcomen was an English blacksmith who invented the atmospheric steam engine. The invention was an improvement over Thomas Slaverys previous design. The Newcomen steam engine used the force of atmospheric pressure to do the work. This process begins with the engine pumping steam into a cylinder. The steam was then condensed by cold water, which created a vacuum on the inside of the cylinder. The resulting atmospheric pressure operated a piston, creating downward strokes. With Newcomens enginee, the intensity of pressure was not limited by the pressure of the steam, a departure from what Thomas Savery had patented in 1698. In 1712, Thomas Newcomen, together with John Calley, built their first engine on top of a water filled mine shaft and used it to pump water out of the mine. The Newcomen engine was the predecessor to the Watt engine and it was one of the most interesting pieces of technology developed during the 1700s. To learn more about Thomas Newcomen and his steam engine, check out this biography. Photos and a diagram of Newcomen’s steam engine can be found at Niagara college’s professor Mark Csele’s website. James Watt (1736-1819) Born in Greenock, James Watt was a Scottish inventor and mechanical engineer who was renowned for the improvements he made to the steam engine. While working for the University of Glasgow in 1765, Watt was assigned the task of repairing a Newcomen engine that was deemed inefficient but the best steam engine of its time. That started the inventor working on several improvements to Newcomens design. The most notable improvement was Watts 1769 patent for a separate condenser connected to a cylinder by a valve. Unlike Newcomens engine, Watts design had a condenser that could be cool while the cylinder was hot. Eventually Watts engine would become the  dominant design  for all modern steam engines and helped bring about the  industrial revolution. A unit of power called the Watt was named after James Watt. the Watt symbol is W, and it is equal to 1/746 of a horsepower, or one volt times one amp.

Friday, November 22, 2019

Lets Look At Lest

Lets Look At Lest Let’s Look At â€Å"Lest† Let’s Look At â€Å"Lest† By Maeve Maddox Recently I’ve noticed some odd uses of the word lest. Some may be no more than typographical errors, but others appear to result from a misunderstanding of the meaning and function of the conjunction lest. Lest introduces a clause expressive of something to be avoided or guarded against. Here are some examples: In helping my son pack for college, I tucked in a newly framed photo of the family for him to take with him lest he forget what we all looked like. There’s a scene in the movie where the master chef - who’s in his eighties - explains that as a younger man, sushi  recipes would come to him in his sleep. And he would jump out of bed to write them down, lest he forget them by morning. Clip back any branches and remove any plants that will be in the way before you begin, lest you tread on them while erecting the fence. Another use of lest following a verb of fearing, or phrases indicating apprehension or danger, is to introduce a clause expressing what is feared. Here are examples of this usage: Im afraid  to open the door and check,  lest she  be sleeping and I wake her up.   Im afraid  to leave because I am  afraid  of walking past our building managers office,  lest she  realize  Im  unemployed. The chief errors I’ve noticed with lest are these: 1. Following lest with not: INCORRECT: Then Rubio pivoted to Obama, lest not alienate Republicans who like what Trump has to say. (Alex Leary, Tampa Bay Times,) CORRECT : Then Rubio pivoted to Obama, lest he alienate Republicans who like what Trump has to say. Lest is already negative, so it shouldn’t be used with not. Because lest introduces a clause, it should be followed by the subject of the clause that expresses whatever is to be avoided. 2. Introducing a sentence fragment with lest. INCORRECT: Lest he forget that 70% of American Jews voted for Obama and find the politics of the modern GOP repugnant.  (Wayne Besen, Falls Church News-Press) CORRECT : Netanyahu shouldn’t forget that 70% of American Jews voted for Obama and find the politics of the modern GOP repugnant.   Sometimes a sentence fragment is an effective stylistic choice, but not when it is introduced by lest. A clause introduced by lest needs to be attached to a main clause. The fragment â€Å"lest we forget† is frequently used in connection with memorial services, but a main clause is implied: â€Å"We build monuments and hold memorial services lest we forget the sacrifices of the departed.† 3. Confusing lest with the contraction let’s INCORRECT: And lest not forget Jeffersons role in the XYZ Affair where he sabotaged Adams negotiations with the French to avert a war.  (Education site called Reinvented Solutions) CORRECT : And let’s not forget Jeffersons role in the XYZ Affair where he sabotaged Adams negotiations with the French to avert a war.   Related post Least vs Lest Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Misused Words category, check our popular posts, or choose a related post below:Coordinating vs. Subordinating Conjunctions40 Synonyms for â€Å"Different†75 Synonyms for â€Å"Hard†

Thursday, November 21, 2019

Islamic Banking and finance Essay Example | Topics and Well Written Essays - 4500 words

Islamic Banking and finance - Essay Example t, lack of technological support and sophistication for dealing with long drawn projects and existence of information asymmetry in relation to unique products offered by Islamic banks (Abduh and Omah, 2012). The paper is aimed at a detailed discussion of Islamic Banking development and foundations that lay the basis for their banking system. The paper attempts to understand critical aspects of the Islamic banking system and one of its critical schemes of profit and loss sharing mechanism within their lending process. Through an understanding of the PLS structure, the paper comprehends reasons for its unpopularity and reduced acceptance over other modes of finance, despite its evident advantages. The identification of problems also brings forth solution to problems associated with PLS finance. The paper makes recommendations to improve and revive the PLS finance based on such comprehensive analysis. With independence of Muslim community, it has been increasingly felt that modern financial institutions need to come into the Islamic Banking system and run in compliance with the Islamic sensitivity. The first degree of concrete steps towards combining modern day finance with Islam was seen in Egypt through Mit Ghamur project of savings in 1963 (Al-Alwani and El-Ansary, 1998). This project refrained from calling themselves to be Islamic in nature, yet there was an inherent culture of providing financial intermediation, as per teachings of the Islamic community. Dubai Islamic Bank was the first of its kind in commercial modern Islamic Banking and was founded in 1975 (Thomas, 2006). Out of a total of 176 Islamic banks as of 2006 that have been registered with Bankscope, 70% have been reported to be concentrated in Middle East. The remaining is split between South East Asia with 17% and Sub-Saharan Africa with 15% (Al-Hejailan, 2000). The report by Alvi (2010) also states that develop ment of organizational structures towards more sophisticated financial instruments like,

Tuesday, November 19, 2019

Nigeria and Canada are two places I have lived in, they are however so Essay

Nigeria and Canada are two places I have lived in, they are however so different in a lot of ways - Essay Example Some provinces have both Goods and Services Tax (GST) and Provincial Sales Tax (PST), some have just Provincial Sales Tax (PST) and yet some have the Harmonized Sales Tax (HST). The bottom line is that goods and services are taxable in Canada. Taxes are not paid on items purchased or on services utilized in Nigeria. It is only the actual price of the good or service that is paid for at any point in time. Nigeria operates a non-tax method of payment on goods and services. Canada and Nigeria are two countries that are so different in their methods of operation. One appears to be one extreme from the other in the way things are done. I have lived in both of them and have observed the clear differences. I think the differences have to do with the fact that Nigeria is a Third world country, while Canada is a developed country. I don't wholly accept the way Canada operates as compared to Nigeria and Vice Versa, I however, appreciate some policies of Canada and those of Nigeria. They are unique in themselves and prove to be very interesting places to

Saturday, November 16, 2019

Whether Fair Value Should Be Retained In Financial Accounting Essay Example for Free

Whether Fair Value Should Be Retained In Financial Accounting Essay Fair value may also be called the justified or unbiased price. It is applied in both Economics and Accounting. Fair value accounting refers to the rational or unbiased estimate for the possible good’s, service’s and asset’s market price. Fair value in Accounting is aimed at presenting financial data in the most utilizable way possible. Financial statements will therefore represent the true and reasonable view of the financial information relating to any financial entity. Stakeholders will hence be able to make their investment and relationship decisions based on Accounts statements that have utilized the Fair Value Accounting principle. The Body: Fair value in Accounting considers objective factors like;   The acquiring, producing or distributing costs, replacing and costs for the closest substitutes, the exact utility for a particular level of social productive capacity development is of importance and the supply against the demand for any particular good, service or asset. Subjective factors to be considered include; Characteristics of risk, cost for and return or benefits on capital and the individual utility perception. Fair value accounting is essential in estimating the market value for assets or liabilities whose true value may not be determined due to lack of a sincere established asset’s or liability’s market. (Stephen, 2008 p.3-18) As per the Generally Accepted Accounting Principles (GAAP), Financial Accounting Standards (FAS) 157 dictates that, fair value is the sum of money for which assets can be purchased at a current transaction with willing parties   or moved to an equal or equivalent party, in a situation other than a liquidation case. All the direct and indirect production and operational expenses will be given consideration when trying to determine the most reasonable price for both the buyer and the purchaser. Traders will be expected to have all the information that is necessary for their transaction to be clear to all the related parties. (James, 2009 p.6-13) Fair value accounting is applicable to assets with a carrying value that is determined by market to another market valuation. For assets recorded at historical cost, the asset’s fair value may not be applicable. An example would be a university store whose cost of four million dollars was constructed ten years ago. In case the management was to give a fair value measure on the store, it will be a subjective measurement due to lack of an active market for this particular asset or assets that are close to this one. A different example would be, incase DEF Ltd bought a go down in nineteen ninety, for two million dollars, the financial statement in respect to historical cost will record the go down at two million dollars on its balance sheet. If GHI Ltd bought a similar go down in two thousand and ten for four million dollars, then the GHI Ltd will report the go down at four million dollars. Although the two assets are similar, DEF Ltd will report the asset at half the GHI’s asset value. Historical cost can not identify the two assets being similar. This issue   is compounded incase similar assets or liabilities are recorded historically, resulting in an undervalued balance sheet. Although if both DEF and GHI Ltd recorded the financial information as per fair value accounting the two would record the asset of four million dollars. (Gerald, 2009 p.24-31) The idea in fair value accounting is to represent the figures in the financial statements at amounts that they would fetch just in case an entity was to purchase them afresh. This is exactly that willing buyers are able to pay for the acquisition of such commodities. Adjustments made in determining fair values should consider the depreciation charge that the assets would attract. The disposable value is always of great interest in accounting at fair values. Fair value accounting produces information to investors whose interest is on the assets’ or liabilities’ current value but not their historical cost. It is known that stakeholders in a company use financial statements to make decisions as to whether their investments in the enterprise are worthwhile or not. Unbiased figures represented on the financial statements help investors predict their expected returns on their shares. Such reasonable figures will be helpful in determining the expected company’s growth and how their shares may increase in value in future. It will also be of use to investors to determine the extent of their rewards in case a company goes into liquidation or a receivership in future. The making of both short term and long-term decisions is made easy by the use of the true and fair view represented on the trial balance and balance sheet.

Thursday, November 14, 2019

How To Write Using the APA Writing Style Essay -- APA Writing Style

The APA writing style is most commonly used to cite sources for psychology, education, and social sciences and is also the official writing style of the American Psychological Association. The General APA Organizational Guidelines are basic guidelines that explain how to write a research paper in the APA format. These guidelines ensure clear and consistent presentation of written material that differentiates from other writing styles because it concerns elements such as: Citations, punctuation, presentation of numbers, etc There are four major sections in an APA paper. They consist of the title page, abstract, main body, and references. The title page of an APA paper has recently been changed in the publication of the sixth edition of the APA Publication Manual. In the title page a writer should include the title of the paper, the writer’s name, and the school affiliation. It is suggested that the title should be no more than 12 words, and when writing ones name, not to include titles or degree info such as Dr. or Ph.D. Also the title page should include, at the top of the page, a running head that is flush left and a page number that is flush right. The abstract, one of the four major sections in an APA paper, is the section where one would summarize research that was conducted, the methods of which the thesis was tested, the findings of the research, the purpose of the research, the analysis of data, and conclusions. It should begin on a new page and already include the page header. â€Å"Abstract† should be centered on the first line of the abstract page with no bold, italics, underlining, or quotation marks. The abstract should be double-spaced and a single paragraph around 150 to 250 words. Keywords may be listed to h... ...ieved June 18, 2011, from http://psychology.vanguard.edu/faculty/douglas-degelman/apa-style/ Driscoll, D. (2010, April 21). Purdue OWL: Writing in Psychology: Experimental Report Writing . Welcome to the Purdue University Online Writing Lab (OWL). Retrieved June 22, 2011, from http://owl.english.purdue.edu/owl/resource/670/03/ Johns, J., Fox, T., & Silvia, R. (n.d.). APA Writing Style. DK Schools. Retrieved June 26, 2011, from dkschools1.org/Documents/apa%5B1%5D.pdf Mongan-Rallis, H. (2006, November 17). Guidelines for writing a literature review . University of Minnesota Duluth Welcomes You. Retrieved June 22, 2011, from http://www.duluth.umn.edu/~hrallis/guides/researching/litreview.html What is APA Style?. (n.d.). APA Style. Retrieved June 18, 2011, from http://www.apastyle.org/learn/faqs/what-is-apa-style.aspx?apaSessionKey=9E1D0F5CFDDB1694AFB05C302651AD48

Monday, November 11, 2019

Adolescent Sex

The prevalence of teenage pregnancy in the society and the alarming increase of such are often perceived to be caused by inadequate government and educational programs about sex. While most people continuously adhere to this idea, the role and responsibilities of parents in their child’s sexual quandaries, to some extent is set behind the veracity of the problem. Some parents even exhibit lack of authority over their children by allowing them to have sex at home.As a parent your basic instinct is to weigh the consequences when your child is already engaged in premarital sex or if his or her relationship is already progressing on that direction. On the affirmative side of the scale, today’s liberal society demonstrates that everyone is doing it and it is part of your child’s learning experience.The unconstructive scale on the other hand, carries out issues on morality, sexually transmitted diseases and pregnancy. Instead of allowing them to engage in premarital se x inside your home, provide your parental guidance by teaching them abstinence-only sex education which emphasizes morality and having sex within the boundaries of marriage (Religion and Ethics Newsweekly, Episode 823).This will establish a platform for your children to know that having sex at a very young age and outside the sanctity of marriage can result to heavy emotional and physical costs which are not only limited to diseases and pregnancy but is also a ground to bring into a halt their supposed bright future.Though, an open communication with your children regarding their sexual experiences is a great start to take a hold of them when they are already engaged in sexual activities, allowing them to do it in your home is improper and inappropriate decision to make as their parent and guardian.The foremost situation of your children living in your house and exclusively depending on you to fill their stomachs are substantial evidences that they still are not capable of taking ca re of themselves and their actions to include having premarital sex.ReferencesPBS, February 4, 2005 Religion & Ethics Newsweekly, Episode 823 Retrieved on 2009-21-02

Saturday, November 9, 2019

Mia philippines Essay

The Philippines was first put on the map by Portuguese adventurer Magellan working for the Spanish throne on March 16, 1521. The Philippines had become a Spanish colony and was the first country to be named after a sovereign, Phillip II of Spain.1 Spanish rule had continued until 1898 when the Philippines had become an American colony following the Spanish-American War for the stately sum of $20 million. In 1942 during WWII, the Philippines had fallen under Japanese occupation and was liberated by American and Filipino forces under the leadership of General Douglas MacArthur in a fiercely contested battle that raged on between 1944 and 1945. The Philippines had attained its independence on July 4, 1946, and had a functioning democratic system. 2 The Philippines Archipelago consisted of 7,100 islands, covering an area of 299,735 square kilometers and was slightly larger than Arizona. The capital city of Manila was situated on the largest Philippine island of Luzon (see Exhibit 1). The Philippines had a gross domestic product (GDP) per capita of $3,400.3 The percentage of the population of the Philippines living below US$2 a day was 45.2 per cent in 2006.4 PHILIPPINE BUSINESS ENVIRONMENT Research conducted in 2009 showed that the Philippines was ranked 140th for ease of doing business and 155th for starting a business, out of a total of 178 countries. It took on average 15 procedures and a total of 52 days to complete business startup procedures in the Philippines compared to six procedures and 44.2 days and 5.8 procedures and 13.4 days for the same process in Asia and Organisation for Economic Cooperation and Development (OECD) countries, respectively.5 The Philippines had the second lowest savings and investment as share of GDP ratio in Asia6 (see Exhibit 2). PHILIPPINE FISHING INDUSTRY The Philippines has total territorial waters of 2.2 million square kilometers, of which coastal waters comprise 266,000 square kilometers and coastal reef area (10 to 20 fathoms deep, where reef fishing takes place) comprise 27,000 square kilometers.7 In 2003, the Philippines ranked eighth among the top fish-producing countries in the world with its total production of 3.62 million metric tons of fish, crustaceans, mollusks and aquatic plants (including seaweed). The production constituted 2.5 per cent of the total world production of 146.27 million metric tons.8 The fishing industry’s contribution to the country’s GDP was 2.3 per cent and 4.2 per cent, at current and constant prices, respectively. The industry employed a total of 1,614,368 fishing operators nationwide,9 of which the artisanal fisheries sector accounted for 1,371,676.10 Artisanal fishing operations were typically family-based and used smaller craft. There were a total of 469,807 fishing boats in the Philippines, of which 292,180 were non-motorized and 177,627 were motorized.11 Fish was not only an important source of nutrition, but as fishing did not require landownership or special permits it was an employment of last resort for people who had no other means of subsistence. MIA, DENMARK MIA was established in Denmark in 1975 by wealthy businessman Hagen Nordstrom, who dedicated the NGO to his wife Mia and made fighting poverty his life’s work. (MIA stood for â€Å"beloved† in Danish.) MIA had initially focused solely on poverty-alleviating projects in Africa and had expanded its operations to Latin America and the Caribbean only in the early 1990s. The grandson of Nordstrom, Gillis Nordstrom, had taken over as MIA chairman in 2004 on the eve of the Bander Aceh Tsunami of December 26, 2004, which devastated Southeast Asia and killed as many as 130,000 people.12 Nordstrom had taken initiative and redirected MIA to focus on disaster recovery and poverty alleviation projects in Southeast Asia. MIA had established an office in Manila in January 2006, and the young Danish development economist Borje Petersen was hired to manage the MIA Philippines office. Petersen was paid a starting salary of $75,000 a year plus housing, slightly below average for a comparable development economist position. Petersen knew that MIA’s attention was focused on Indonesia and Malaysia, which had been the hardest hit by the tsunami, and was anxious to carve out a position for MIA Philippines by designing an exceptional project. As the expansion into Asia was the pet project of MIA’s chairman, Petersen felt assured that funding would be easily appropriated and even expedited. Petersen knew that the average overseas posting for a development economist for MIA was two years and had quickly established contact with local and international stakeholders and set up numerous meetings with large development project counterparts such as the Asian Development Bank, the World Bank and the German development aid organization GFZ to get an expedited understanding of the Philippines and its unique needs. Based on the initial research, Petersen had decided that, whereas an agricultural project would be feasible, it would take a long time to realize and the outcome could be complicated given the Philippines’ proneness to be hit by typhoons. Petersen’s research had revealed that small-scale aquaculture projects had been successfully implemented in the Philippines in the past. However, there were hardly any projects to speak of directed at artisanal fishing and picking up on the vested opportunity and his desire to deliver fast results and prove himself worthy of the task that MIA and its chairman demanded, he had chosen to design a project helping artisanal fishermen. Petersen had researched the possibility of helping a fishing village close to Manila and the search for the ideal village had come to a successful ending when MIA’s driver, Vicente Tubo, had mentioned how some of his distant cousins fished for a living in a fishing village seven to nine hours by car from Manila. A factfinding mission to the village Barangay San Hagon was undertaken and the village was thus chosen as the beneficiary of MIA’s pilot project in the Philippines. BARANGAY SAN HAGON Barangay San Hagon boasted 125 households and had a resident population of 625. San Hagon lay on the south coast of Luzon, the largest island of the Philippines. The Barangay was the smallest administrative division in the Philippines and stemmed from the Spanish â€Å"Barrio.†13 Barangay San Hagon was administered by a local government unit (LGU) and consisted of seven Barangay council members and a chairman. The chairman of Barangay San Hagon was Rafael Buenaventura, age 59, who had held office for more than a decade. Fishing villages in the Philippines were very vulnerable to external risk, especially natural calamities such as typhoons, flooding and fish kills, which severely affected their financial situation.

Thursday, November 7, 2019

The Heinkel He 111 or the Luftwaffe Bomber

The Heinkel He 111 or the Luftwaffe Bomber With its defeat in World War I, the leaders of Germany signed the Treaty of Versailles which formally ended the conflict. Though a far-reaching agreement, one section of the treaty specifically forbade Germany from constructing and operating an air force. Due to this restriction, when Germany commenced rearmament in the early 1930s, aircraft development occurred in secrecy or proceeded under the guise of civilian use. Around this time, Ernst Heinkel commenced an initiative to design and build a high-speed passenger plane. To design this aircraft, he hired Siegfried and Walter Gà ¼nter. The result of the Gà ¼nters efforts was the Heinkel He 70 Blitz which began production in 1932. A successful aircraft, the He 70 featured an elliptical inverted gull wing and a BMW VI engine. Impressed with the He 70, the Luftfahrtkommissariat, which sought a new transport aircraft that could be converted to a bomber in wartime, contacted Heinkel. Responding to this inquiry, Heinkel began work to enlarge the aircraft to meet the requested specifications and to compete with new twin-engine aircraft such as the Dornier Do 17. Preserving the key features of the He 70, including the wing shape and BMW engines, the new design became known as the Doppel-Blitz (Double Blitz). Work on the prototype pushed forward and it first took to the skies on February 24, 1935, with Gerhard Nitschke at the controls. Competing with the Junkers Ju 86, the new Heinkel He 111 compared favorably and a government contract was issued. Design Variants Early variants of the He 111 utilized a traditional stepped cockpit with separate windscreens for the pilot and copilot. Military variants of the aircraft, which began production in 1936, saw the inclusion of dorsal and ventral gun positions, a bomb bay for 1,500 lbs. of bombs, and a longer fuselage. The addition of this equipment adversely affected the He 111s performance as the BMW VI engines did not produce sufficient power to offset the additional weight. As a result, the He 111B was developed in the summer of 1936. This upgrade saw more powerful DB 600C engines with variable pitch airscrews installed as well as additions to the aircrafts defensive armament. Pleased with the improved performance, the Luftwaffe ordered 300 He 111Bs and deliveries commenced in January 1937. Subsequent improvements produced the D-, E-, and F-variants. One of the most notable changes during this period was the elimination of the elliptical wing in favor of a more-easily produced one featuring straight leading and trailing edges. The He 111J variant saw the aircraft tested as a torpedo bomber for the Kriegsmarine though the concept was later dropped. The most visible change to the type came in early 1938 with the introduction of the He 111P. This saw the entire forward part of the aircraft altered as the stepped cockpit was removed in favor of a bullet-shaped, glazed nose. In addition, improvements were made to the power plants, armament, and other equipment. In 1939, the H-variant entered production. The most widely produced of any He 111 model, the H-variant began entering service on the eve of World War II. Possessing a heavier bomb load and greater defensive armament than its predecessors, the He 111H also included enhanced armor and more powerful engines. The H-variant remained in production into 1944 as the Luftwaffes follow-on bomber projects, such as the He 177 and Bomber B, failed to yield an acceptable or reliable design. In 1941, a final, mutated variant of the He 111 commenced testing. The He 111Z Zwilling saw the merging of two He 111s into one large, twin-fuselage aircraft powered by five engines. Intended as a glider tug and transport, the He 111Z was produced in limited numbers. Operational History In February 1937, a group of four He 111Bs arrived in Spain for service in the German Condor Legion. Ostensibly a German volunteer unit supporting Francisco Francos Nationalist forces, it served as a training ground for Luftwaffe pilots and for evaluating new aircraft. Making their combat debut on March 9, the He 111s attacked Republican airfields during the Battle of Guadalajara. Proving more effective than the Ju 86 and the Do 17, the type soon appeared in larger numbers over Spain. Experience with the He 111 in this conflict allowed designers at Heinkel to further refine and improve the aircraft. With the beginning of World War II on September 1, 1939, He 111s formed the backbone of the Luftwaffes bombing assault on Poland. Though performing well, the campaign against the Poles revealed that the aircrafts defensive armament required enhancement. In the early months of 1940, He 111s conducted raids against British shipping and naval targets in the North Sea before supporting the invasions of Denmark and Norway. On May 10, Luftwaffe He 111s aided ground forces as they opened the campaign in the Low Countries and France. Taking part in the Rotterdam Blitz four days later, the type continued to strike both strategic and tactical targets as the Allies retreated. At the end of the month, He 111s mounted raids against the British as they conducted the Dunkirk Evacuation. With the fall of France, the Luftwaffe began preparing for the Battle of Britain. Concentrating along the English Channel, He 111 units were joined by those flying the Do 17 and Junkers Ju 88. Commencing in July, the assault on Britain saw the He 111 encounter fierce resistance from Royal Air Force Hawker Hurricanes and Supermarine Spitfires. The early phases of the battle showed a need for the bomber to have a fighter escort and revealed a vulnerability to head-on attacks due to the He 111s glazed nose. In addition, repeated engagements with British fighters showed that the defensive armament was still inadequate. In September, the Luftwaffe switched to targeting British cities. Though not designed as a strategic bomber, the He 111 proved capable in this role. Fitted with Knickebein and other electronic aids, the type was able to bomb blind and maintained pressure on the British through the winter and spring of 1941. Elsewhere, the He 111 saw action during the campaigns in the Balkans and the invasion of Crete. Other units were sent to North Africa to support the operations of the Italians and the German Afrika Korps. With the German invasion of the Soviet Union in June 1941, He 111 units on the Eastern Front were initially asked to provide tactical support for the Wehrmacht. This expanded to striking the Soviet rail network and then to strategic bombing. Later Operations Though offensive action formed the core of the He 111s role on the Eastern Front, it also was pressed into duty on several occasions as a transport. It earned distinction in this role during by evacuating wounded from the Demyansk Pocket and later in re-supplying German forces during the Battle of Stalingrad. By the spring of 1943, overall He 111 operational numbers began to decline as other types, such as the Ju 88, assumed more of the load. In addition, increasing Allied air superiority hampered offensive bombing operations. During the wars later years, the He 111 continued to mount raids against Soviet shipping in the Black Sea with the assistance of FuG 200 Hohentwiel anti-shipping radar. In the west, He 111s were tasked with delivering V-1 flying bombs to Britain in late 1944. With the Axis position collapsing late in the war, He 111s supported numerous evacuations as German forces withdrew. The He 111s final missions of the war came as German forces attempted to halt the Soviet drive on Berlin in 1945. With the surrender of Germany in May, the He 111s service life with the Luftwaffe came to an end. The type continued to be used by Spain until 1958. Additional license-built aircraft, constructed in Spain as the CASA 2.111, remained in service until 1973. Heinkel He 111 H-6 Specifications General Length: 53 ft., 9.5 in.Wingspan: 74 ft., 2 in.Height: 13 ft., 1.5 in.Wing Area: 942.92 sq. ft.Empty Weight: 19,136 lbs.Loaded Weight: 26,500 lbs.Maximum Takeoff Weight: 30,864 lbs.Crew: 5 Performance Maximum Speed: 273 mphRange: 1,429 milesRate of Climb: 850 ft./min.Service Ceiling: 21,330 ft.Power Plant: 2 Ãâ€" Jumo 211F-1 or 211F-2 liquid-cooled inverted V-12 Armament 7 Ãâ€" 7.92 mm MG 15 or MG 81 machine guns, (2 in the nose, 1 in the dorsal, 2 on the side, 2 ventral. These may have been replaced by 1 Ãâ€" 20 mm MG FF cannon (nose mount or forward ventral position) or 1 Ãâ€" 13 mm MG 131 machine gun (mounted dorsal and/or ventral rear positions)Bombs: 4,400 lb. in internal bomb bay

Tuesday, November 5, 2019

Word Choice Choose vs. Chose - Get Writing Tips with Proofed!

Word Choice Choose vs. Chose - Get Writing Tips with Proofed! Word Choice: Choose vs. Chose The difference between the present and past is important. After all, you’d never get anything done if you couldn’t tell the difference between today and yesterday. Or perhaps you’d think you’d already done it†¦ The point is that it’s confusing, which is also true if you mix up â€Å"choose† and â€Å"chose.† These are variations of the same word. â€Å"Choose† is a present tense verb; â€Å"chose† is a past tense verb. But how should you use them? Let us explain. Choose (Simple Present Tense) To â€Å"choose† (pronounced to rhyme with â€Å"shoes†) something is to make a decision. Since this is a simple present tense verb, we typically use it for generalizations and current actions: Many people choose to wear a hat in the summer. Many cacti, too. â€Å"Choose† can also be combined with â€Å"will† in the simple future tense or â€Å"would† to express a hypothetical: I will choose what to wear before I go out. If I were you, I would choose now. The first sentence here expresses an intention in the future simple tense. The second is a hypothetical scenario about making a choice. But in both cases, â€Å"choose† is the correct term. Chose (Simple Past Tense) If a decision has already been made, the word you’ll need is â€Å"chose† (pronounced to rhyme with â€Å"nose†). This is the simple past tense form of this word. For instance: When I saw the rain, I chose not to go out. Here, for example, the speaker is talking about a past decision. Choosing and Chosen (Present and Past Participles) There are two more variations of this word: the present participle â€Å"choosing† and the past participle â€Å"chosen.† We use present participles in the continuous (or progressive) tenses to describe an action that occurs over a period of time. For instance, we might say: I am choosing what to wear for the interview. This sentence uses the present continuous â€Å"am choosing what to wear† to show that a decision is currently being made. With a tie like this, I know Ill get the job! Past participles, meanwhile, are used in the perfect tenses. For example: She had chosen what to wear, but then she decided to stay home instead. Here, the past perfect â€Å"had chosen† shows a decision was made in the past (i.e., what to wear) before something else happened (i.e., deciding to stay home). Choose or Chose? The participle forms above are easier to remember because they look quite different written down, but it’s easy to mix up â€Å"choose† and â€Å"chose† if you’re not careful (even if it is just a typo). Our main tip is to proofread your work thoroughly (or ask a professional to do it). Keep an eye out for these words and make sure that each one is the correct tense for the sentence. Remember: Choose = Simple present tense Chose = Simple past tense

Saturday, November 2, 2019

Oswestry Mutual Insurance Essay Example | Topics and Well Written Essays - 3500 words

Oswestry Mutual Insurance - Essay Example In 1991, the company decision-making process was highly centralized. The growth experienced by OMI in the mid to late 1980's and the need to become more responsive to the dynamics of the industry, top management decided to change the operating structure. In 1991, they reorganized into 6 sectional-regional profit centers. The branch offices remained at 68, each branch office reports to a specific sectional profit centre and sectional office. The sectional office is responsible for approving all policies written and claims filed through both branch offices and the independent agents located in that region. The head office's is suppose to establish overall corporate policy and provide support to 6 sectional offices. The head office in Oswestry and the sectional offices were organized on a functional basis. The functional units in all locations are: Premium Audit, Underwriting, Sales, Claims/Losses, Finance, Human Resources, Loss Monitoring and Support. However, even though the operational structure was decentralized, most of the information services still remain centralized in the head office, which includes related planning, control, budget authority and decision- making stays at the head office. Computers were used, at first, for financial and statistical report production: standard MIS reports included, profit/loss, operations, claim data, loss ratios, and marketing information. In the 1980's, it became painfully obvious to OMI that the companies method of processing policy and claim data needed a major overhaul. John Robson, at the time, director of Information Systems called for a serious review of information service operations. He wanted to know what data was being collected, processed, and how the information was being used by every department and branch office. In 1991, a committee was established. Representatives came from Information Systems, and the major functional area user groups. They studied current information system problems, determined future requirements, and developed specifications for new systems to meet their needs. The project was completed in 1993, implemented was: an automated policy-writing system which would issue policies, cancellations, changes and renewals, marketing and financial reports were regularly prepared, directly from the data already entered into the policy writing and claim system, an automated claim input system which automatically issue claims cheques, online retrieval of policyholder information became possible at all branch offices, online retrieval of claim information became possible at all branch offices Overall Process To Implement Change The new systems were not perfect, but was a great improvement. When a new application for insurance was received by the Underwriting department in a sectional office, relevant data was entered by a sectional office by a PPD clerk over a telephone line link into the company's large IBM 3090 central mainframe located in Oswestry. Data would then be processed in overnight batch mode to produce a policy which could be printed in multiple copies the next day in Oswestry, and on a remote printer in the sectional office. Also, an online policy-holder file would also be available the next day for retrieval on the sectional office terminal which was also connected to the 3090 in Oswestry. Prior to the systems development, work that took place between 1991-1993 and before, the establishment of the sectional offices, handling personal policy information was a semi-automated clerical