Thursday, October 31, 2019

Strategies in Order to Avoid Plagiarism Assignment

Strategies in Order to Avoid Plagiarism - Assignment Example plagiarism could be a way to hold back people’s potential to exercise their creativity and personal ideas on certain things because, in the end, there would only be relevant duplications of concepts as an upshot of not significantly citing the right author or taking others’ words as own. For this reason, plagiarism could stand as an activity limiting the potential of a person to think of his own ideas and concepts on certain issues for instance. This activity should, therefore, degrade academic quality, so it is important to consider vital strategies in order to prevent somebody from plagiarizing. Below are some of the strategies in order to avoid plagiarism. Three strategies to avoid plagiarism Citing or attributing the reference source is one important strategy to avoid plagiarism (EC-Council, 2009). By attributing the reference source, a writer or speaker is giving credit to a person or article as the starting place of corresponding ideas. It is not good to consider an idea and regard it with full ownership if somebody already had it owned in the first place. In order to consider that idea without any problem, attributing the source is one of the most relevant actions a writer or speaker could apply.  So in order to achieve this, it is good to go back to the basic and employ substantial effort to cite authors and other related sources of some important ideas. In the age of advanced technology, it is now easy to detect whether a piece of article is a plagiarized output. There are some available online tools or software that could be used in order to identify the similarity of used words or information. Such are the common tools used in various academic institutions. In order to prevent from having similar outputs, one should, therefore, understand how these online tools work. In the case of some of these tools, the number or percentage of similar words is usually taken into account. Thus, when there is a higher number of percentage of proximit y, there is, therefore, a superior indication of actual plagiarism. At this point, another potential strategy that could be used in order to prevent plagiarism involves either paraphrasing or rephrasing (Tensen, 2012). This strategy would also be effective when one has to properly document the source (Van Blerkom, 2009). At some certain level, one is not limited to combine these two. In fact, this, for instance, would further enhance the writing skills of the writer, but above all, there is great consideration of warding off the high value of similarity between the recent and existing outputs. However, in this strategy, it would still be effective to attribute the source. Thus, paraphrasing or rephrasing plus citing the source would ensure a free-plagiarized output.

Tuesday, October 29, 2019

Organizational Leadership Term Paper Example | Topics and Well Written Essays - 2750 words - 2

Organizational Leadership - Term Paper Example Resources should be readily available for organisation’s operation to flow smoothly on a daily basis. When resources are insufficient in an organisation, activities in various departments are delayed. This delay affects the pace or timing or achieving set targets and objectives. For organisational goals to be achieved, effective strategies have to be outlined, and required resources have to be availed. Also, the organisational leadership has to be outstanding. This paper will analyse concepts in organisational leadership and implications of theory X, Y and Z leaders in modern organisations. According to theory X, employees in every business organisation do not like what they do. It argues that employees must be forced to do assigned duties and responsibilities, through pressure and control from managers. In a business organisation, the most vital resources are the human ones. These resources (employees) determine the success of the organisation in its quest to achieve its goals and objectives. The way they execute assigned duties enables managers to check whether objectives are likely to be realised or not. Leaders in an organisation are responsible for performance of employees. They are required to set a good direction that should be followed by all members within the organisation. The direction set is vital in outlining how things should be run in the company. Theory X states that for all operations to run as planned, the leaders in an organisation should be harsh. They need to be strict, and on employees’ heels so that good results can be realised, at the end of specified period because theory X gives authority to management not to involve employees when making vital decisions on behalf of the whole company. Management only consult among themselves when coming up with plans and strategies to counter uncertainties. The fast decision making process is vital to an organisation since decisions are made quickly, hence minimising

Sunday, October 27, 2019

Milling machines: An introduction

Milling machines: An introduction Chapter I 1.1 Introduction The ability of any nation to manufacture is essential but to deploy that ability in a certain nation is the trick as every nation defers from one another, so in order to enhance Arab nation ability to manufacture we will provide a better cheaper design for a CNC milling machine. The Primary Objective of This Project is to present and develop a prototype for a substitution of the expensive hard to acquire machining facility for the Middle East industrial society; these machining facilities include the regular Turning, Drilling, Shaping, Milling, and Grinding Machines. Our primary survey concluded that there always must be a turning machine beside a milling machine, but a milling machine (CNC milling machine) can include the rest of processes required within its operation to a good degree and the turning operation to an acceptable degree. So we chose the milling machine as our initial model to undergo our optimization plan. Therefore our Primary objective of choice is to Design a Basic Three Axis CNC milling machine. Also to manufacture a working Prototype for this machine fabricated all with nationally available components in order to minimize its cost but maintains an acceptable level of accuracy to suite a Computer Numerical Control Machine. Another Thing that we must point out is that in order to accomplish this project we need more than one trial to find the suitable combination of components and specs to pursue in order that this machine comes to light. 1.2 Proposed Approach A new approach is needed that approach is based upon the 2010-2015 World Outlook for Computer Numerical Controls [1]. The results of that survey were mainly based upon word wide research includes Middle East and North Africa. These results showed that any machine tool required for the Egyptian industrial society could be one of the following: Turning, Drilling, Shaping, Milling, and Grinding. So the first step was to pick up the operation over which this thesis will focus on. Milling can include in its operation: Drilling, Shaping, and Grinding. And might contain Turning under certain conditions. So milling was chosen. And this result might be verified by the fact that 90% of the working machine tools in the field of traditional CNC machines are either Milling or Turning Centers. Now we will compare different configuration of milling machines Case 1: A Universal Milling Machine. Case 2: A regular CNC Milling Machine. Case 3: Gantry style CNC Milling Machine. Case 1: A Universal Milling Machine From Cost point of view: Cost is high because of the usage of large material to build the bulky parts of the machine tool might be as high as a CNC Milling Machine From Design point of view: Design level might be considered low compared with the design required in both the regular CNC machine and our machine. From Accuracy Point of view: Accuracy is very low compared to the other two cases but could be difficulty approached with the use of very skilled labor and with high cost. Case 2: A regular CNC machine From Cost Point of view: Cost is much higher because of the usage of both large material amounts with high machining grade as will as the cost of the motion control equipments. From Design Point of view: Design is better than the first case for every part is designed to enhance the entire machining operation. From Accuracy Point of view: Attained accuracy is very high due to perfect guide ways assisted by ball screws along with feed back control. Case 3: A gantry CNC milling machine From Cost Point of view: Cost is mush less than the later case and might be less that the first case as the entire machine is only build from a metal sheet and some Bars. From Design Point of view: Design is much sophisticated than the first and the second case as the design is optimized to hold the predetermined forces as a light weight structure. From Accuracy Point of view: Accuracy is for sure less than the second case but higher than the first case as there is no feedback control technique employed. Discussion of results: For case 1: Universal Milling Machine Our results dont imply that the use of that machine is not appropriate but we only mean that each application requires a certain machine and also each goal. The cost is very high in EGYPT as almost all of them is imported but not made in EGYPT but there maintenance and overhauling is available domestically. For Case 2: three axis CNC milling machine Vertical Column type. The usage of this type of machines in any workshop requires a great deal of money so most of the manufacturers comprises between money and accuracy. The cost is definitely much higher as there is almost no one building or even providing maintenance for these machines in EGYPT. For Case 3: Gantry style CNC milling machine. The usage of this machine is aimed to workshops who would like to get both cheap machining with good accuracy. The cost is very low as of the innovative design of putting the entire axis moving over each other rather than independent from each other as in the regular design of any CNC machine Chapter II Literature Review 2.1 Milling Machine Milling is the process of machining flat, curved, or irregular surfaces by feeding the work piece against a rotating cutter containing a number of cutting edges. The milling machine consists basically of a motor driven spindle, which mounts and revolves the milling cutter, and a reciprocating adjustable worktable, which mounts and feeds the work piece. 2.1.2 Milling Machine History Unlike lathes, which have been known for thousands of years, milling machines are less than two hundred years old. Because they require much more power than hand-driven lathes, their introduction had to wait for the invention of industrial water and steam power. Also, all their mechanical components had to first be made available, such as accurately fitted slides, large castings to resist cutting forces, calibrated lead screws, and hardened steel cutting tools. Eli Whitney is credited with inventing the first milling machine about 1818, but the knee-and-column support arrangement of the universal milling machine of Joseph A. Brown (later of Brown and Sharpe) dates from 1862 and marks an important step in the machines development. During the last half of the nineteenth Century, milling machines gradually replaced shapers and planers which have lathe-type, single-point tool bits that move over the work in a straight line and scrape off metal one stroke at a time. Milling machines, with their continuous cutting action, not only remove metal faster than shapers and planers, they perform additional operations like cutting helices for gears and twist drills. Today, milling machines greatly outnumber shaping and planning machines. Americans in New England and later the Midwest continuously added features leading to the modern milling machine. Another important development came in the 1930s when Rudolph Bannow and Magnus Wahlstrom brought out the Bridgeport-style vertical milling machine. This design offers versatility and economy in place of the higher metal removal rates of traditional horizontal milling machines. Because of this versatility, there are more Bridgeport-style mills in existence today than any other milling machine design. Horizontal mills are now usually reserved for production applications where high metal removal rates on identical parts are needed, not prototyping and short runs. Bridgeport-style machines are also called knee-and-column machines and turret mills. For production applications, there are large, expensive milling machines with three or more axes under computer control. Some machines perform all operations including automatic tool changing. However, today there is an intermediate step between a manual mill and a fully automated one. Adding a computer, digital readouts, and actuators to the X- and Y-axes of a Bridgeport-style mill does this. Not only can this enhanced machine tirelessly perform all its existing repetitive functions, it also has added new capabilities. Now the mill can engrave (drive the tool to cut numbers and letters in various sizes and fonts), cut radii and angles without a rotary table, make islands, pockets, and cut ellipses, and frames. Entering the position, diameter and number of holes, automates cutting a bolt-hole pattern; the system does the math. The computer can automatically compensate for the reduced diameter of re sharp end milling cutters, saving time and money. The system can be manually programmed through its control panel, use stored programs, â€Å"learn† new tasks by memorizing a series of manual operations as the operator makes the first part, or accept files from CAD programs. 2.1.1 Type of MILLING MACHINES Milling machine are classified on the base of the position of their spindle. The spindle operates in either a vertical or horizontal position or on base of construction. In a following section we represent the different type of milling machine. Column Knee-type Milling Machine Fig 2 machines are characterized by a vertically adjustable worktable resting on a saddle which is supported by a knee. The knee is a massive casting that rides vertically on the milling machine column and can be clamped rigidly to have column in a position where the milling head and milling machine spindle are properly adjusted for operation. The plain vertical column knee type machines are characterized by a spindle located vertically, parallel to the column face, and mounted in a sliding head that can be fed up and down by hand or power. Modern vertical milling machines are designed so the entire head can also swivel to permit working on angular surfaces. The plain horizontal milling machines column contains the drive motor and gearing and a fixed position horizontal milling machine spindle. An adjustable overhead arm containing one or more arbor supports projects forward from the top of the column. The arm and arbor supports are used to stabilize long arbors. Supports can be moved along the overhead arm to support the arbor where support is desired depending on the position of the milling cutter or cutters. UNIVERSAL MILLING MACHINE The basic difference between a universal milling machine and a plain column knee type milling machine is the addition of table swivel housing between the table and the saddle of the universal machine. This permits the table to swing up to 45 ° in either direction for angular and helical milling operations. The universal machine can be fitted with various attachments such as the indexing fixture, rotary table, slotting and rack cutting attachments, and various special fixtures. RAM-TYPE MILLING MACHINEThe ram-type milling machine is characterized by a spindle mounted to a movable housing on the column to permit positioning the milling cutter forward or rearward in a horizontal plane. Two popular ram-type milling machines are the universal milling machine and the swivel cutter head ram-type milling machine. Gantry Milling Machinefigure 5is simplest construction of milling machine is usually use in CNC machine for cutting wood plastic and light metal Rotary-Table Milling MachinesThese are also called continuous milling machines, as the work picas are set up without stopping the operation. Rotary-table machines are highly productive; consequently, they are frequently used for both batch and mass production. The Work prices being machined are clamped in fixtures installed on the rotating table (2) figure 6. The machines may be equipped with one or two spindle heads (1).When several surfaces are to be machined; the Work pieces are indexed in the fixtures after each complete revolution of the table. The machining cycle provides as many table revolutions as the number of surfaces to be machined. 2.1.2 MILLING CUTTERS The milling cutters are selected for each specified machining duty. The milling cutter may be provided with a hole to be mounted on the arbor of the horizontal milling machines, or provided with a straight or tapered shank for mounting on the vertical or horizontal milling machine. Figure 7 visualizes commonly used milling cutters during their operation. These include the following: Plain milling cutters are either straight or helical ones. Helical milling cutters are preferred for large cutting widths to provide smooth cutting and improved surface quality (Figure 7 a). Plain milling cutters are mainly used on horizontal milling machines. Face milling cutters are used for the production of horizontal (Figure 7 b), vertical (Figure 7 c), or inclined (Figure 7 d) at surfaces. They are used on vertical milling machines, planer type milling machines, and vertical milling machines with the spindle swiveled to the required angle. Side milling cutters are clamped on the arbor of the horizontal milling machine and are used for machining of the vertical surface of a shoulder (Figure 7 e) or cutting a keyway (Figure 7 f). Interlocking (staggered) side mills (Figure 7 g) mounted on the arbor of the horizontal milling machines are intended to cut wide keyways and cavities. Slitting saws (Figure 7 h) are used on horizontal milling machines. Angle milling cutters, used on horizontal milling machines, for the production of longitudinal grooves (Figure 7 I) or for edge chamfering. End mills are tools of a shank type, which can be mounted on vertical milling machines (or directly in the spindle nose of horizontal milling machines). End mills may be employed in machining keyways (Figure 7 j) or vertical surfaces (Figure 7 k). Key-cutters are also of the shank type that can be used on vertical milling machines. They may be used for single-pass milling or multi pass milling operations (Figures 7 l and 7 m). Form-milling cutters are mounted on horizontal milling machines. Form cutters may be either concave as shown in (Figure 7 n) or convex as in Figure (7 o). T-slot cutters are used for milling T-slots and are available in different sizes. The T-slot is machined on a vertical milling machine in two steps: 1-Slotting with end mill (Figure 7 j) 2-Cutting with T-slot cutter (Figure 7 p). Compound milling cutters are mainly used to produce compound surfaces. These cutters realize high productivity and accuracy (Figure 7 q). Inserted tool milling cutters have a main body that is fabricated from tough and less expensive steel. The teeth are made of alloy tool steel, HSS, carbides, ceramics, or cubic boron nitride (CBN) and mechanically attached to the body using set screws and in some cases are brazed. Cutters of this type are confined usually to large-diameter face milling cutters or horizontal milling cutters (Figure 7 q). Gear milling cutters are used for the production of spur and helical gears on vertical or horizontal milling machines (Figures 7 r and 7 s). Gear cutters are form-relieved cutters, which are used to mill contoured surfaces. They are sharpened at the tooth face. Hobbing machines and gear shapers are used to cut gears for mass production and high-accuracy demands. 2.1.3 Milling operation Milling is the removal of metal by feeding the work past a rotating multi toothed cutter. In this operation the material removal rate (MRR) is enhanced as the cutter rotates at a high cutting speed. The surface quality is also improved due to the multi cutting edges of the milling cutter. The action of the milling cutter is totally different from that of a drill or a turning tool. In turning and drilling, the tools are kept continuously in contact with the material to be cut, whereas milling is an intermittent process, as each tooth produces a chip of variable thickness. Milling operations may be classified as peripheral (plain) milling or face (end) milling (Figure 8). In peripheral milling, the cutting occurs by the teeth arranged on the periphery of the milling cutter, and the generated surface is a plane parallel to the cutter axis. Peripheral milling is usually performed on a horizontal milling machine. For this reason, it is sometimes called horizontal milling. The appearance of the surface and also the type of chip formation are affected by the direction of cutter rotation with respect to the movement of the WP. In this regard, two types of peripheral milling are differentiable, namely, up-milling and down-milling. Up-milling is accomplished by rotating the cutter against the direction of the feed of the WP (Figure 9 a). The tooth picks up from the material gradually; that is, the chip starts with no thickness and increases in size as the teeth progress through the cut. This means that the cycle of operation to remove the chip is first a sliding action at the beginning and then a crushing action takes place, which is followed by the actual cutting action. In some metals, up-milling leads to strain hardening of the machined surface, and also to chattering and excessive teeth blunting. Advantages of up-milling include the following: It does not require a backlash eliminator. It is safer in operation (the cutter does not climb on the work). Loads on teeth are acting gradually. Built-up edge (BUE) fragments are absent from the machined surface. The milling cutter is not affected by the sandy or scaly surfaces of the work. Down-Milling is accomplished by rotating the cutter in the direction of the work feed, as shown in Figure 9b. In climb milling, as implied by the name, the milling cutter attempts to climb the WP. Chips are cut to maximum thickness at initial engagement of cutter teeth with the work, and decrease to zero at the end of its engagement. The cutting forces in down milling are directed downward. Down-milling should not be attempted if machines do not have enough rigidity and are not provided with backlash eliminators. Under such circumstances, the cutter climbs up on the WP and the arbor and spindle may be damaged. Advantages of down-milling include the following: Fixtures are simpler and less costly, as cutting forces are acting downward. Flat WPs or plates that cannot be held can be machined by down-milling. Cutter with higher rake angles can be used, which decreases the power requirements. Tool blunting is less likely. Down-milling is characterized by fewer tendencies of chattering and vibration, which leads to improved surface finish. up milling down milling In face milling, the generated surface is at a right angle to the cutter axis. When using cutters of large diameters, it is a good practice to tilt the spindle head slightly at an angle of 13 ° to provide some clearance, which leads to an improved surface finish and eliminate tool blunting. Face milling is usually performed on vertical milling machines; for this reason, the process is called vertical milling, which is more productive than plain milling. 2.2 Computer Numerical Control The abbreviation CNC stands for computer numerical control, and refers specifically to a computer controller that reads G-code instructions and drives a machine tool, a powered mechanical device typically used to fabricate components by the selective removal of material. CNC does numerically directed interpolation of a cutting tool in the work envelope of a machine. The operating parameters of the CNC can be altered via a software load program. 2.2.1 Historical overview CNC was preceded by NC (Numerically Controlled) machines, which were hard wired and their operating parameters could not be changed. NC was developed in the late 1940s and early 1950s by John T. Parsons in collaboration with the MIT Servomechanisms Laboratory. The first CNC systems used NC style hardware, and the computer was used for the tool compensation calculations and sometimes for editing. Punched tape continued to be used as a medium for transferring G-codes into the controller for many decades after 1950, until it was eventually superseded by RS232 cables, floppy disks, and now is commonly tied directly into plant networks. The files containing the G-codes to be interpreted by the controller are usually saved under the .NC extension. Most shops have their own saving format that matches their ISO certification requirements. The introduction of CNC machines radically changed the manufacturing industry. Curves are as easy to cut as straight lines, complex 3-D structures are relatively easy to produce, and the number of machining steps that required human action has been dramatically reduced. With the increased automation of manufacturing processes with CNC machining, considerable improvements in consistency and quality have been achieved with no strain on the operator. CNC automation reduced the frequency of errors and provided CNC operators with time to perform additional tasks. CNC automation also allows for more flexibility in the way parts are held in the manufacturing process and the time required changing the machine to produce different components. 2.2.2 Production environment A series of CNC machines may be combined into one station, commonly called a cell, to progressively machine a part requiring several operations. CNC machines today are controlled directly from files created by CAM software packages, so that a part or assembly can go directly from design to manufacturing without the need of producing a drafted paper drawing of the manufactured component. In a sense, the CNC machines represent a special segment of industrial robot systems, as they are programmable to perform many kinds of machining operations (within their designed physical limits, like other robotic systems). CNC machines can run over night and over weekends without operator intervention. Error detection features have been developed, giving CNC machines the ability to call the operators mobile phone if it detects that a tool has broken. While the machine is awaiting replacement on the tool, it would run other parts it is already loaded with up to that tool and wait for the operator. T he ever changing intelligence of CNC controllers has dramatically increased job shop cell production. Some machines might even make 1000 parts on a weekend with no operator, checking each part with lasers and sensors. 2.2.3 CNC Components and Control System The two main components of a CNC machine are the machine tool and the machine control unit (MCU). The MCU is the computer that operates the machine tool. There are many manufacturers of these control units, so program codes may vary somewhat between machines. Figure 10 shows three types of control systems for NC and CNC machines. The least expensive type is called a point-to-point (PTP) control system. A PTP control system can only move a tool in a straight line and is limited to hole operations (drilling, boring, reaming, etc.) and spot welding. The tool path between points is not controllable in a PTP system. A straight-cut control system is capable of moving the cutting tools in a straight line between points. However, only one axis drive motor can move at one time, so arcs and angles are not possible. The contouring control system is the most expensive and flexible of the three systems. With the recent advances in electronics, the price difference between these systems has narrowed so much that every CNC machine is now manufactured with a contouring control system. A contouring system is capable of doing what the other systems can do while also being able to cut arcs and angles. 2.2.3 Positioning Formats A CNC program is written using the Cartesian coordinate system. The CNC tool can be moved inside the rectangular coordinates in either two or three dimensions. Lathes are programmed two-dimensionally using only the x- and y-axes, while milling machines are programmed three-dimensionally using the x-, y-, and z-axes. The z-axis is always the axis that determines the depth of cut. The x-axis is parallel to the longest length of the machine table, and the y-axis is parallel to the shortest length of the machine table. CNC programs can be written in one quadrant or four quadrants. CNC machines can be positioned in two ways with respect to the Cartesian coordinate system. They can be positioned in an absolute format or an incremental format. In the absolute format, all machine locations are taken from starting point (0, 0), which is referred to as the home position. In incremental format there are no assigned or home coordinates. The cutter tool bit moves in spaces (increments) relative to the coordinates previously listed. The absolute format is typically used for the main body of a CNC program. This allows the cutting tool to be given a home position to start and end its job. The incremental format is used in the middle of a program when a repetitious cycle (commonly referred to as a canned cycle) is needed. A canned cycle is a cutting pattern that can be programmed to repeat as many times as desired. It can reduce the size of a program tremendously, depending on the number of machining operations involved. The size of a program is reduced by a canned cycle because a programmer does not have to give the fixed coordinates of each move of the cutting tool. A programmer must only give the distance from each previous move of the cutter for one cycle. After that, a programmer merely has to list the number of times the cycle must be repeated. A programmer can also call up the canned cycle and use it again to do a similar machining operation in another part of the work piece. 2.2.4 CNC Programming Because of the added feature of a computers memory, CNC programming is a lot easier and simpler than conventional NC programming. Most CNC machines can be programmed using a standardized list of codes that were developed by the Electronics Industries Association (EIA), as shown in Table 1. These codes include preparatory functions or G codes. Some of these functions include cutting an arc in a clockwise direction (G02 circular interpolation) and telling the machine that the dimensions will be given in millimeters (G71-metric programming). 2.2.5 Task Flow in CNC The task flow that is needed for producing apart using a CNC machine can be summarizedas Fig.1.2.The tasks can be classified as the following three types: Offline tasks: CAD, CAPP, CAM. Online tasks: CNC machining, monitoring and On Machine Measurement. Post-line tasks: Computer Aided Inspection (CAI), post-operation. Offline tasks are the tasks that are needed to generate apart program for controlling a CNC machine. In the offline stage, after the shape of apart has been decided, a geometry model of this part is created by 2D or 3D CAD. In general, CAD means Computer Aided Design After finishing geometric modeling, Computer Aided Process Planning, CAPP, is carried out where necessary information for machining is generated. In this stage, the Selection of machine tools, tools, jig and fixture, decisions about cutting conditions, Scheduling and machining sequences are created. Because process planning is very Complicated and CAPP is immature with respect to technology, process planning generally depends on the know how of a process planner. CAM (Computer Aided Manufacturing) is executed in the final stage for generating apart program. In this stage, tool paths are generated based on geometry information from CAD and machining information from CAPP. During tool path generation, interferences between tool and work piece, minimization of machining time and tool change, and machine performance are considered .In particular; CAM is an essential tool to generate 2.5D or 3D tool paths for machine tools with more than three axes. Online tasks are those that are needed to machine parts using CNC machines. A part program, being the machine understandable instructions, can be generated in the above mentioned offline stage and part programs for a simple part can be directly edited in CNC by the user. In this stage, the CNC system reads and interprets part programs from memory and controls the movement of axes. The CNC system generates instructions for position and velocity control based on the part program and servo motors are controlled based on the instructions generated. As the rotation of a servo motor is transformed into linear movement via ball screw mechanisms, the work piece or tool is moved and finally, the part is machined by these movements. In the online stage, the status of the machine and machining process may be monitored during machining. Actually, tool breakage detection, compensation of thermal deformation, adaptive control, and compensation of tool defection based on monitoring of cutting force, heat, and electric current are applied during machining. On Machine Measurement is also used to calculate machining error by inspecting the finished part on the machine, returning machining errors to controller to carryout compensation. The post-line task is to carryout CAI (Computer Aided Inspection), inspecting the finished part. In this stage, inspection using a CMM (Coordinate Measurement Machine) is used to make a comparison between the result and the geometry model in order to perform compensation. The compensation is executed by modifying tool Compensation or by doing post operations such as re machining and grinding. Reverse engineering, meaning that the shape of the part is measured and a geometric model based on the measured data is generated, is included in this stage. As mentioned above, through three stages, it is possible for machine tools not only to satisfy high accuracy and productivity but also to machine parts with complex shape as well as simple shapes. Because CNC machines can machine a variety of parts by changing the part program and repetitively machine the same part shape by storing part programs, CNC machines can be used for general purposes.

Friday, October 25, 2019

Phaedo Summary Essay -- essays research papers

Phaedo Summary   Ã‚  Ã‚  Ã‚  Ã‚  Socrates stands now before his disciples telling them he is not afraid of dying because he says death is what the true philosopher waits for all his life. The philosopher must have lived a good life, and when death is presented upon him, he should take the opportunity. Socrates formed a conclusion that: â€Å"That the real philosopher has reason to be of good cheer when he is about to die, and after death he may hope to obtain the greatest good of the world.† Socrates is saying that when death is presented upon him, he should have no reason but to be happy, and when that death comes; he will have achieved the best gift in the world.   Ã‚  Ã‚  Ã‚  Ã‚  Socrates states evidence of why he is not afraid of dying through multiple mini-conclusions. Socrates says to Simmias, â€Å"Why when his time comes should he repine at which he has always been pursuing and desiring?† Socrates is saying why should philosophers grieve at death when that should be the goal of their whole lives. He believes only philosophers can understand because he believes philosophers will be truly alive after death, and normal men will just die. Normal men do not know that true philosophers have always been pursuing death and dying, and the desire of death has been with them all their lives.  Ã‚  Ã‚  Ã‚  Ã‚     Ã‚  Ã‚  Ã‚  Ã‚  Through out his whole testimony, Socrates states questions to his disciples already knowing the answers, but he...

Thursday, October 24, 2019

An artwork is foremost a reflection and expression

It has been essentially argued since time immemorial of how an artwork is foremost a reflection and expression of the deeper emotions and values of an artist, which may sometimes be unfortunately suppressed in the artist’s life or unintentionally implied in the artwork. For that matter, any artwork is perhaps considered an artist’s personal drama set in a creative manner of expression. Sophie Treadwell’s play, Machinal, and T.S. Eliot’s poem, The Love Song of J. Alfred   Prufrock, are be fitting examples of modern human drama relatively framed in a dark, lonesome, and tragic milieu of love, death, age, solitude, and despair in the twentieth century. In Eliot’s poem, the narrator or speaker in his poem is a contemporary man who feels secluded brought by the fear of aging, and who is indecisive to act upon his crisis on love for a woman. The speaker Prufrock is rather an epitome of despair, frustration, and helplessness of the modern man toward a personal crisis. Prufrock positions himself as a symbol of disillusionment and dismay for failing to overcome his human weaknesses. What makes the poem or the speaker tragic is that his insecurity on a lot of things is holding his happiness in life and love. He remains to be brooding, dark, lonesome and awaits death in no time. Eliot has always been a difficult read, and this quality of writing has put him in the level of other literary masters. For a non-Eliot reader, the poem may initially seem confusing to understand. However, the speaker Prufrock has been endowed by Eliot the style of repeating particular phrases and going back to his main sentiment while the poem develops into a whole new set of ideas. This style is reassuring the reader that he can understand the deeper emotions of the speaker as he slowly reads through it. On one hand, this repetition may also show the speaker’s inability to communicate well with the society, and he needs to repeat words such as vision and revision to be clearly understood. Eliot possesses an ironic manner of writing that is very well implied on how Prufrock talks about his love for a woman but is coward enough to open up his feelings and of how he even contradictorily speaks of time as he would sense the urgency to capture life and love in his hands before old age and death take him away, but would also set it aside and reveal that there is still time to catch up on things. The first two similar characteristics or qualities of Treadwell’s play with Eliot’s poem are the twentieth century setting and powerful themes of death and despair, even though the former’s work is based on a sensational real murder case and the latter is more of a personal struggle brought about by aging. Machinal is also similar with Prufrock’s written image of pessimism and depression for things that they are incapable of having, but both end in different resolutions. Machinal’s main character, Helen, is unhappily married to a vicious man and yet happily having an extra-marital affair with a younger man. But, Helen being incapable of loving the younger man in the most proper ways as dictated by society’s conventions, murders her husband and releases herself from the wretched married life. In the case of Prufrock, he remains attached to his fears of opening up to his love and to the society. Machinal is as powerful and intense as Prufrock in its presentation of despair over love. Machinal is desperately consumed with two kinds of love as previously stated. What makes Helen a tragic hero like Prufrock is their disparate heroism takes them not into the world of admiration, but into a world of utmost dismay and desperation – theirs is a tragic presentation of surrender to an inescapable human obstacle of frustrating emotions. Treadwell is capable of repetitive rhythm like a strange poem – a quite tricky concept like Eliot – yet incorporated the theatrical lingo of any expressionistic writing during the twentieth century. To say expressionistic is to only define the attributes of human emotions, not necessarily placing it into an approach of realism. But, moreover, Machinal is an engaging, dark display of human wickedness doomed like Prufrock’s love song. Works Cited Treadwell, Sophie. Machinal (Royal National Theatre). London: Nick Hern Books, 1995. â€Å"T. S. Eliot: The Love Song of J. Alfred Prufrock.†

Wednesday, October 23, 2019

Women in Reservation

On Women’s Day (March 8), India witnessed the high voltage drama over much talked Women’ Reservation Bill in the Parliament. The Women’s Reservation Bill is the most essential bill to empower women in Indian politics. According to the bill, women will enjoy 33 per cent of the reservations in the Lower House of the Parliament and Assemblies. Rajya Sabha, the Upper House of the Parliament has passed the Women’s Reservation Bill on 9 March 2010, this day in India can be termed as one of the historic days in Indian politics.Major political parties were in favor of the bill. The debate in the Upper House was interesting amidst the chaos and drama of the opposing Member of Parliaments. Stand of Political Parties: Thanks to Sonia Gandhi the Chairperson of Congress Party for the introduction of the bill on the eve of Women’s Day. And the support from the Bharatiya Janata Party (BJP) was accolade by the supporter of the bill.The stand of the BJP over the bil l is clear and the former Prime Minister of India, Atal Bihari Vajpayee was in favor of the bill. The other parties were in against of the Bill and the supporters of UPA government have threatened to withdraw their support. While talking to NDTV the soon after the bill was passed in Parliament, the Congress Chairperson, Sonia Gandhi was more confident about the bill. She also urged the need of the bill in India politics. Why the Women’s Reservation Bill?The need of the hour is women empowerment. The fact can’t be denied that still after 50 years of getting independence and self governance of Indian democracy, there is need to protect the interest of women in India. The bill will give 33 per cent of compulsory presence of women representing various parties in the Upper House of the Parliament and Assemblies. There is fear of losing elections if the women candidates are allowed to contest from various constituencies, may the right think†¦ [continues]

Tuesday, October 22, 2019

How to Write an Effective Analytical Essay

How to Write an Effective Analytical Essay How to Write an Effective Analytical Essay An analytical essay is one which provides an analysis of a piece of writing without merely summarizing the text. An analytical essay shouldn’t read like a book report, but rather provide an in-depth discussion about the themes and imagery. Effectively argue your points, backed up by textual evidence to support your claims. For an effective essay, write an introduction that grabs your reader’s attention and gets their interest from the very first sentence. Once you’ve got the audience’s attention, lay out your thesis statement describing your intent. After that, the body of your essay will provide some supporting points and paragraphs. This content should keep the reader interested; the best way to accomplish this is to give each claim its own paragraph. The basic analytical essay is written in a five-paragraph format: Introduction the thesis statement Three supporting paragraphs Conclusion recap what you said and further argue your thesis Depending on your instructor’s requirements, you might need more supporting paragraphs. Support your claims by using specific examples from the text. Either use direct quotes from the text or paraphrase, but always properly cite your source(s). If you’ve been assigned an analytical essay and are merely staring at a blank computer screen, is here to help. If you’ve already written the essay and need another set of eyes to examine it and make it better,

Monday, October 21, 2019

Saving the animals essays

Saving the animals essays In Buffalo New York on October 23rd of last year, Dr. Barnett Slepian was murdered. He wasnt killed because of his financial status or because of a dispute he had with a patient. Someone who never really knew Dr. Slepian, someone who never met his family, a person who didnt agree with Dr. Slepians job, took his life. This is a great example to show how a disagreement in ideology can lead to actions that no one has the authority to take. An animal liberator bombing a meat processing plant is like the pro-life activist killing the doctor who performs abortions. Both of the actions dont achieve the results that are intended, they both claim that they help save the lives of the innocent, and they are both hypocritical. The results that are wanted can not be achieved through causing pain and suffering to the opposing party. When a sniper took the life of Dr. Slepian he was trying to move the cause of pro-life forward. The end result was not what he had wanted; the medical community was outraged and the people who believed in the right to choose strengthened their resolve. This quote by Dr. Henry Morgentaler, the countrys best-known pro-abortion crusader, illustrates this point very accurately. "This is a sign of the moral bankruptcy of the so-called pro-life movement. It bespeaks their frustration and rage at the fact that they have not been able to convince the public of the rightness of their cause," (Cnn 2) The frustration that Dr. Morgentaler mentions is even further enhanced when the pro-lifers see that their cause is regressing from public empathy. The example of the murder of Dr. Slepian is a good analogy to what the bombing of the meat processing plant would cause. The people in the factory would be massacred and the people who dont support the cause of animal liberation would be outraged. The intended result of lower consumption of animal meat would not ...

Sunday, October 20, 2019

Visas y licencia para trabajar como arquitecto en USA

Visas y licencia para trabajar como arquitecto en USA Varias visas permiten a arquitectos internacionales trabajar legalmente en Estados Unidos, con independencia de si se ha obtenido o no la licencia estatal para esta profesià ³n. En este artà ­culo se explican cules son las visas de trabajo de las que se pueden beneficiar los arquitectos, dependiendo de sus circunstancias personales. Adems, por su importancia, tambià ©n se alude a cà ³mo es la carrera de arquitectura en Estados Unidos y cules son las opciones para los arquitectos internacionales para obtener una licencia en este paà ­s. Visas de trabajo y residencia permanente para arquitectos Para decidir quà © visa es la ms conveniente hay que mirar a las caracterà ­sticas de cada una con sus ventajas e inconvenientes y tambià ©n a las peculiaridades del arquitecto. Estas son las visas que se podrà ­an utilizar: En primer lugar, la visa H-1B para profesionales y modelos. Esta puede considerarse como la visa por excelencia para estos casos. Sin embargo tienen el gran problema que en la mayorà ­a de los casos est sujeta a un cupo mximo anual de visas que se pueden aprobar, dejando sin opciones a un buen nà ºmero de profesionales. En el caso de los chilenos destacar que tienen a su disposicià ³n la versià ³n H-1B1 que prcticamente les garantiza que siempre hay una visa disponible para ellos si cumplen los requisitos.   Las visas de la familia H-1B tienen adems la gran ventaja desde el punto de vista migratorio de que son consideradas como de doble intencià ³n, es decir, permiten legalmente buscar de forma activa una tarjeta de residencia permanente para quedarse a vivir y trabajar en los Estados Unidos. Otra visa a destacar pero que aplica solo a mexicanos es la conocida como  visa  TN, creada  al amparo del Tratado de Libre Comercio (NAFTA). Para esta categorà ­a no hay là ­mite anual de visas que se pueden conceder y pueden ser utilizadas por arquitectos. Una gran visa abierta para todas las nacionalidades es la que se conoce como visa O, para personas con habilidades extraordinarias en los campos de Negocios, Artes, Educacià ³n, Deportes, Cine y Televisià ³n y Negocios. Los mejores arquitectos con reconocimientos notables podrà ­an tener opcià ³n a obtenerla. Otra visa disponible es la E-2 de inversià ³n. Es decir, se tendrà ­a que crear una empresa y esta compaà ±Ãƒ ­a contratarà ­a al arquitecto. Estas visas estn sà ³lo abiertas a los ciudadanos de determinados paà ­ses. Por otra parte, los estudios de arquitectura de otros paà ­ses pueden crear subsidiarias en los Estados Unidos y enviar con una visa de la familia L a sus ejecutivos o arquitectos que ya tiene empleados. Y, finalmente, otra opcià ³n de visa es la J-1 de intercambio. Permite un entrenamiento en Estados Unidos de hasta un mximo de 18 meses. Al arquitecto en prcticas se le paga al menos el mà ­nimo que habitualmente se abona a arquitectos locales con los mismos conocimientos y experiencia. Architect-us es una de las empresas que se dedica a poner en contacto a arquitectos internacionales y estudios locales para este fin. Finalmente, tambià ©n es posible obtener la tarjeta de residencia permanente por trabajo si una empresa estadounidense patrocina al arquitecto extranjero. Y en casos muy excepcionales de excelencia profesional es posible el auto patrocinio. Carrera de arquitectura en Estados Unidos En Estados Unidos, se puede estudiar arquitectura en una universidad acreditada por la NAAB y pueden ser estudios de licenciatura o de maestrà ­a. Una vez completados los estudios, es necesario realizar tres aà ±os de prcticas bajo el control de un arquitecto, es lo que se conoce en inglà ©s como IDP. Posteriormente, hay que aprobar un examen conocido como ARE que es muy amplio y abarca conocimientos de arquitectura per se pero tambià ©n de construccià ³n. El siguiente paso es obtener una licencia de Arquitecto Registrado (RA, segà ºn sus siglas en inglà ©s). Los requisitos para esta licencia varà ­an de estado a estado. Quà © hacer cuando los estudios de arquitectura se han realizado en otro paà ­s La licenciatura de arquitectura estudiada en otro paà ­s no se reconoce en Estados Unidos, excepto en el caso de Canad.   Las opciones para trabajar con las que cuentan los profesionales sin licencia que se encuentran en esa situacià ³n son varias. Es frecuente que se trabaje bajo la supervisià ³n de un arquitecto con licencia y que se utilicen descripciones profesionales como diseà ±ador, arquitecto en prcticas, etc. Otra opcià ³n es estudiar  una maestrà ­a en arquitectura en los Estados Unidos y luego seguir los pasos que siguen los estudiantes de arquitectura estadounidenses y, adems, convalidar los estudios realizados en otro paà ­s y, en ocasiones, la apostilla de la Haya. Pero hay ms opciones que ofrece el Consejo Nacional de Arquitectura (NCARB, por sus siglas en inglà ©s). En concreto, es posible seguir dos caminos diferentes. En primer lugar, el Foreign architect path to certification. Esta opcià ³n no es admitida por todos los estados. En segundo lugar,  los que no tienen tanta experiencia trabajando pueden seguir lo que se conoce como el Standard Path. Comprende, entre otros, los siguientes pasos: convalidacià ³n de crà ©ditos con realizacià ³n de los pendientes, prcticas laborales, rendir el examen del ARE. Este test tiene la caracterà ­stica de que sus resultados son tambià ©n aceptados por todas las provincias canadienses.   Finalmente, verificar la normativa de cada estado, ya que cada uno tiene jurisdiccià ³n en materia de quià ©n est autorizado a firmar como arquitecto. Y esto aplica tambià ©n a los territorios de la Commonwealth, como Puerto Rico, Guam, Samoa e Islas Và ­rgenes Americanas.

Saturday, October 19, 2019

The Origins of Cold War Essay Example | Topics and Well Written Essays - 1000 words

The Origins of Cold War - Essay Example It is vital to take in consideration that the antagonistic relations of the Soviet Union and the United States can be traced way back from the Russian Revolution in 1917 and the Second World War. The once allies felt the tension brought about by political paths and choices of each country. Traditional historians or the traditionalists maintain that the Cold War can be traced to Russia’s attempt of expansionism. According to Schlesinger (1967), â€Å"Geopoliticians traced the Cold War to imperial Russian strategic ambitions which in the nineteenth century led to the Crimean War, to Russian penetration of the Balkans and the Middle East and to Russian pressure to Britain's’ ‘lifeline’ to India†. Some ideologists suggest that the Communist Manifesto of 1848 is another strong point of reference that provoked the West as well as the Russian plans of domination as manifested in Russian imperialism, Pan-Slavism and Leninist messianism (Schlesinger, 1967). I n addition, traditionalists see the United States as championing passivity and has exercised full cooperation and mutual aid with international bodies in order to pacify strains between warring countries with the help of the United Nations. The U.S. only changed its tactics as the Soviet Union furthered its expansion in Eastern Europe as they felt that they need to preserve the safety of its own territory as well as the rest of Western Europe. When the security of a nation has been compromised, then issues on democratic rights will soon follow.... only changed its tactics as the Soviet Union furthered its expansion in Eastern Europe as they felt that they need to preserve the safety of its own territory as well as the rest of Western Europe. When the security of a nation has been compromised, then issues on democratic rights will soon follow. Hence, new policies namely the Truman Doctrine and the Marshall Plan were created as response to the Soviets (Lundestad 2005). Revisionists had a very different view of the roots of the Cold War. These historians take into account the death of Franklin Roosevelt and the end of the Second World War as the turning point of the United States’ relations to the Soviet Union. In fact, they have been already trying to control or limit the authority of the Soviet Union in different parts of the world even before the Second World War ended. As early as 1918, the United States has been actively participating in Russian issues such as fighting with Great Britain against the Bolsheviks. Still, the Soviets have growing suspicions of the Americans after the latter recognized the Soviet Union as a diplomatic ally in 1933 (Schlesinger 1999). Furthermore, being a powerful nation itself, the United States had also ambitions of influencing the East. Various schemes and strategies were created in preparation to amass great power. Wartime policy of collaboration was ceased right after the Second World War, atomic bombs were developed and different forms of economic support were reinforced with other countries to uphold their interest. However, these measures are said to be driven solely by their hostility to the Soviet Union. Revisionists believe that ‘the idea that Soviet policy in Eastern Europe can be considered a result of U.S. ambitions.† (Lundestad 2005, p. 9). Moreover,

Friday, October 18, 2019

Marketing Research Paper on Kudler Fine Foods Virtual Organization

Marketing on Kudler Fine Foods Virtual Organization - Research Paper Example It was during her trips after a corporate life that she took the risk of developing the first Kudler Fine Foods following discovery of an opportunity that she could exploit. This opportunity was sired following a discover that she could not get all her cooking ingredients in one store and this decided to open a gourmet store that would meet the niche needs of the consumers. This therefore illustrates that discovery of opportunities and exploiting them to garner a competitive advantage is one of the marketing strategy and tactics that Kudler Fine Foods employs (Kudler Fine Foods, 2011). Information technology serves as an effective tool utilized by Kudler Fine Foods Organization both for marketing research and as a marketing strategy. The organization has a web home page where it engages in online interaction with the stakeholders since it gets to acquire information on the customer responses as pertains to their products and also the needs of the consumers. Consequently, the web page enables Kudler Fine Foods to internetwork with its various branches hence reducing the travelling cost incurred in absence of online communication services. Also, following use of online home page, information gathered aids in the strategic decision making of the organization. This therefore enables Kudler Fine Foods to garner a strategic position in the industry as a result of incorporation of IT in the provision of its products and services (Kudler Fine Foods, 2011). Diversification is another marketing strategy employed by Kudler Fine Foods Virtual organization and marketing research will greatly influence the effectiveness of this strategy. Diversification is illustrated in the provision of products and services that the organization engages in hence making their stalls a one stop shop for their consumers. The organization by carrying out marketing research will be in a position to know the current wines that are preferred by the customers and thus prepare the wine. Consequentl y, in the baking department, marketing research will aid in developing of different cakes and in learning the market trends of cake consumption. Moreover, in the meat and cheese department, marketing research will provide valuable information as to how the organization can improve the provision of its goods and services. Following the recent development of Kudler Fine Foods Virtual Organization as pertains to expansion capabilities, there is clear indication that market research plays a dire role in not only diversification but also in market entry approaches. Investment in market research will enable Kudler Fine Foods achieve the vision of being the premier grocery and gourmet store (Kudler Fine Foods, 2011). Areas where Kudler Fine Foods’ needs additional market research Kudler Fine Foods needs to do additional market research as pertains to its procurement strategies. Currently, in an attempt to cut cost, Kathy the director is the one responsible for ordering for all the t hree stores on a weekly basis. Though it is cheaper, it reduces the time she interacts with her customers as the procurement and distribution takes the bulk of her time. The organization needs to carryout additional market research as to how it can procure products for the three stalls, to ensure that Kathy accesses the people on the ground and gets to know the preferences of the consumers form the

Corp case study Essay Example | Topics and Well Written Essays - 500 words

Corp case study - Essay Example t Darden, Doman & Stafford Associates (DDA) accepted the obligation of a corporation not yet formed and did not hold John Goodman as a responsible individual, as noted in the dissenting opinion (John A. Goodman 7). When it cannot be concluded by evidence that the parties to the contract other than the promoter, looked solely to the corporation and not to the promoter for performance of the contract, the promoter becomes liable for the preincorporation contract made by him. As such decision was passed against Goodman, making him liable under the preincorporation contract (John A. Goodman 3). As Goodman or the promoter in this case alleged that DDS agreed to look solely to the corporation, he will have the burden of proving the agreement. The release of the promoter depends on the intent of the party when the promoter depends on the agreement. However, Goodman’s arguments that the terms â€Å"in formation† in the contract and â€Å"†¦ warranties contained herein shall be construed to have been made between seller and resultant corporation†¦Ã¢â‚¬  were in fact ambiguous as they did not expressly state about the release from personal liability of the promoter (John A. Goodman 5-6). While determining whether the trial court’s decision was correct based on the evidence, the court found that the trial court gave its decision in favor of Goodman based on three considerations, which are: 1) DDS knew the corporation did not exist; 2) The fact that Doman was informed by Goodman about the formation of the corporation; and 3) progress payments were made to the corporation. However, the above considerations are not dispositive in any way of the intent of DDS to hold Goodman personally liable. As such the evidence not being substantial to show the intent to release Goodman from his personal liability, he was held a party to the contract (John A. Goodman 6- 7). The decision concurs with the general rule that a promoter is liable for a preincorporation contract made for the

Community Learning Disability Nursing Essay Example | Topics and Well Written Essays - 2750 words

Community Learning Disability Nursing - Essay Example This discussion highlights that aside from the physical and psychological punches are the psychosocial dilemmas of inequality in access not only to health care services but also in other resources. It then stipulates that learning disability nurses work to dismantle this barrier for the persons with learning disability to pass through to take up a gratifying life.This paper declares that  community nurses provide support on issues regarding their physical care needs, aging, and sexuality. Particularly the main responsibility of community learning disability nurse involves consultancy, assessment, treatment, training, care planning, health promotion, and promoting access to services. In addition to direct clinical and therapeutic role, nurses are involved with activities in delivering healthcare such as health promotion, health facilitation, teaching, and service development. It involves formulation and implementation of a written care plan, utilizing a structured approach with cont inuous evaluation and re-examination taking into consideration the collaboration with the family members and health team and the concept of person-centered planning.  As with any nursing health care delivery, utilization of a care plan is indispensable. Comprehensive assessment must be done in order to identify specific problems and sub-problems occurring which may not be ready recognized by the person with learning disability.... In addition Hall (2004) estimated it to be 25–30 per 1000 with mild and 3–4 per 1000 with severe learning disability in the UK. This number, though not alarming as it seem, deemed the necessity of learning disability nursing’s genesis in the clinical place and community. Gates and Barr (2009) provided a clear definition of learning disability nursing as they stated: â€Å"Learning disability nursing is a person-centered profession with the primary aim of supporting the well being and social inclusion of people with learning disabilities through improving or maintaining physical and mental health.† They comprehensively delineated the purpose of this profession to include the assessment of the health care needs of this population in order to aid them on their optimum level of independence. This task is achieved by the nurse by enhancing skills and competence required to meet the evolving needs of these people from birth to death and through collaboration wit h other agencies and associates. This branch of nursing does not focus only on clinical manifestations of physical health nor specific on mental health, but rather encompass the total well-being of a person in all aspects – physical, psychological, social, spiritual, and emotional (Gates and Barr 2009). Department of Health (2007) in UK reported that the incidence of wide range physical and mental health conditions among people with learning disabilities ceaselessly escalated. These are true to those in the population requiring special attention from biomedicine. Aside from the physical and psychological punches are the psychosocial dilemmas of inequality in access not

Thursday, October 17, 2019

Term paper for 1500 words Example | Topics and Well Written Essays - 1500 words

For 1500 words - Term Paper Example The National Broadband Network (NBN) represents the future generation of infrastructure and mode of communication. In the 21st century, the world is advancing at a rapid pace and Australia is also taking part in these technological advancements. According to the Prime Minister of the country, a slow internet connection is one major hindrance in the path of growth. Economic activities are highly dependent on the flow of information. Different communication channels lead to the identification of investment opportunities. Hence, a speedy connection of broadband would boost up economic activities and enlighten the future of the economy. Therefore, the Government of Australia has taken the initiative to connect every individual via the broadband network. It is imperative to ensure that all citizens gain access to the NBN. The project has been started in the year 2010 and is due for completion by the year 2015 (NBNCO, 2013). ‘Fiber to the node’ network A fiber optic network is a network of multiple nodes. By implementing fiber optic, the system designer can create a passive medium of network consisting of several nodes. The presence of multiple nodes makes the distribution network system safe and reliable (Cobo, 2012). By using a single mode of operation, the speed of information transfer might be increased up to 1 gigabit per second. The error rate of high speed optical networks has been found to be quite less and acceptable (Cobo, 2012). When a good broadband infrastructure is combined with highly advanced information technologies, it becomes capable of affecting productivity of firms operating in the economy and boosting economic growth. Common households across the country would be able to connect with one another, which fosters national integration. Highly effective broadband infrastructure creates additional ways in which the economic growth of the country might be augmented. Advanced information technologies can change as well as improve the metho d of processing information that results in higher involvement of IT firms, which implies the creation of new employment opportunities. Fiber to the node network allows the companies to implement processes, such as e-procurement, customer services, e-billing as well as make recruitment online using the internet network connection. The IT division of the firms, thus, makes a noteworthy contribution in the (long-term as well as short-term) performance of the firm, through its interactions with the other functionaries of the firm (Zyskind and Srivastava, 2011). Characteristics of NBN Broadband internet connection enables exchange of information and data across the different agents in the economy located in multiple locations. Through implementation of a high speed internet broadband network, companies would be able to manage their functions and operations in a decentralized manner of information processing. In the Australian economic system economic agents use available information as input for generating new output. The NBN in Australia would facilitate this process of information management. In this process, the nationwide network of internet would allow the firms as well as individual users to weigh and evaluate information before taking actions on the basis of that information. It leads to multiplication of data that benefits all actors in the economy. The NBN is a cost

Marks and speners Essay Example | Topics and Well Written Essays - 750 words

Marks and speners - Essay Example Michael’ brand. The company primarily focused on quality and had lucrative refund policy. It opted for international expansion in the seventh decade of the 20th century. Today, the company has almost 900 stores in more than 40 countries across the globe and is listed in the London Stock Exchange as it forms the integral part of the FTSE 100 (Marks and Spencer, n.d.). The Marks and Spencer initiated five year long planning in the January of 2007 to address the environmental and social issues. The company named it ‘Plan A’. It was so because the company wanted to make it stake holders believe that there is no such second plan. The plan primarily focuses upon five themes namely waste management, fair partnership, health of the employees, change in climate and sustainable raw materials (BBC, 2007). The primary ‘Plan A’ that was drawn in the year of 2007 aimed to make the company carbon neutral by the year of 2012. Also, Plan A said that the retail chain would not send any waste for filling the land and would use sustainable sourcing by the end of 2012. The second phase of Plan A was drawn in the year of 2010. The second phase predominantly aimed to make Marks and Spencer; the most sustainable retail chain by the end of 2015. Also, it expects that the company would have 3 million customers who could be getting involved within the periphery of Plan A by 2020 (Marks and Spencer, n.d.). The core business of the Marks and Spencer has been that of womenswear, menswear, lingerie, food and home. The total revenue of Marks and Spencer for the financial year of 2008 – 2009 and 2007 – 2008 has been almost same, the first one exceeding the later by  £ 40 million. But the profitability of the company has taken a major hit in the year of 2008- 2009. According to the latest annual report of Marks and Spencer, it can be observed that the profit in the financial year of 2008 – 2009 has been  £ 506.8 million while the same was  £ 821

Wednesday, October 16, 2019

Term paper for 1500 words Example | Topics and Well Written Essays - 1500 words

For 1500 words - Term Paper Example The National Broadband Network (NBN) represents the future generation of infrastructure and mode of communication. In the 21st century, the world is advancing at a rapid pace and Australia is also taking part in these technological advancements. According to the Prime Minister of the country, a slow internet connection is one major hindrance in the path of growth. Economic activities are highly dependent on the flow of information. Different communication channels lead to the identification of investment opportunities. Hence, a speedy connection of broadband would boost up economic activities and enlighten the future of the economy. Therefore, the Government of Australia has taken the initiative to connect every individual via the broadband network. It is imperative to ensure that all citizens gain access to the NBN. The project has been started in the year 2010 and is due for completion by the year 2015 (NBNCO, 2013). ‘Fiber to the node’ network A fiber optic network is a network of multiple nodes. By implementing fiber optic, the system designer can create a passive medium of network consisting of several nodes. The presence of multiple nodes makes the distribution network system safe and reliable (Cobo, 2012). By using a single mode of operation, the speed of information transfer might be increased up to 1 gigabit per second. The error rate of high speed optical networks has been found to be quite less and acceptable (Cobo, 2012). When a good broadband infrastructure is combined with highly advanced information technologies, it becomes capable of affecting productivity of firms operating in the economy and boosting economic growth. Common households across the country would be able to connect with one another, which fosters national integration. Highly effective broadband infrastructure creates additional ways in which the economic growth of the country might be augmented. Advanced information technologies can change as well as improve the metho d of processing information that results in higher involvement of IT firms, which implies the creation of new employment opportunities. Fiber to the node network allows the companies to implement processes, such as e-procurement, customer services, e-billing as well as make recruitment online using the internet network connection. The IT division of the firms, thus, makes a noteworthy contribution in the (long-term as well as short-term) performance of the firm, through its interactions with the other functionaries of the firm (Zyskind and Srivastava, 2011). Characteristics of NBN Broadband internet connection enables exchange of information and data across the different agents in the economy located in multiple locations. Through implementation of a high speed internet broadband network, companies would be able to manage their functions and operations in a decentralized manner of information processing. In the Australian economic system economic agents use available information as input for generating new output. The NBN in Australia would facilitate this process of information management. In this process, the nationwide network of internet would allow the firms as well as individual users to weigh and evaluate information before taking actions on the basis of that information. It leads to multiplication of data that benefits all actors in the economy. The NBN is a cost

Tuesday, October 15, 2019

The different ways in which good is used in meta-ethics Essay Example for Free

The different ways in which good is used in meta-ethics Essay Examine the different ways in which good is used in meta-ethics Anything people approve of must be good Discuss. Meta-ethics is the part of ethics which investigates the true nature of ethical statements and its other properties. It questions what it is to be morally right or wrong. Meta-ethics goes into two categories; these being cognitivism and non-cognitivism. Cognitivists or Natrualists say that moral statements describe the world. If I were to say that murder is wrong, then the cognitivist would say that I have recognised an asset of wrongness to the act of murder. Whether or not murder has an asset of wrongness is objective, therefore this statement is either objectively true or false. However Ethical Naturalism states that good can be defined, therefore an action is able to be found good or bad by studying the empirical evidence and weighing up all the facts, hence moral statements can be verified and falsified. They also base their views on that on that good is found in fulfilling the purpose of the object, this is based on the Aristotelian views. So if we were to analyse euthanasia to see whether it is good we would have to gather the evidence and weigh out the good points and the bad points, and how it relates to everybody involved happiness. This is much like the hedonic calculus in utilitarianism where everybody is considered in the decision making process. The word good is used by Ethical Natrualists to describe a certain act that has been proven by the empirical evidence to give the highest amount of happiness and is found to have no or a minor bad effect. Intuitionists or non-naturalists believe that you cannot analyse good as a property, so therefore cannot believe in anything that people recognise as good. They also believe that if it is contradicted a duty you ought to know, as in the Prima Facie Duty. Intuitionists approve of actions as they believe it is your intuition that is telling you to make a decision, in a sense you know always what to do in moral or ethical dilemmas, we have a priori sense of moral truths. R Therefore if your moral intuition is telling them what there doing, or about to do is good then Intuitionists would approve of this act. However one could then argue that then if your moral intuition is telling you that it is good to murder then in a sense they may have to approve of this action if it is a priori knowledge that this is what they think is good. This is a main criticism of Intuitionism as everyones intuition varies subjectively according to every individual. Peoples views vary, for example some by claim that they instinctively know that that taking drugs is wrong, but others may disagree. This seems to show intuition comes from social conditioning and how one is raised, rather than having a priori knowledge of good and bad. Thus, meaning that ethical and moral intuition varies between different cultures and backgrounds. On the other hand, some other ethical theories suggest that we dont gain or have this moral intuition we learn how to deal with moral dilemmas intellectual, moral and cardinal virtues in Virtue Ethics; or in Kantian Ethics we act throughout a sense of duty and reason. Cognitivists believe that good is what we can prove to be a result of empirical evidence, so when we bring all the facts together the end result shows that it is good. Emotivism is a branch of Cognitivism which was brought about by A.J Ayer, in Emotivism he suggested that by making a moral statement one is expressing the personal feelings and within them are trying to persuade others to do as they are with that moral statement; he believed that analytical and synthetic statements are the only significant statements. Therefore Ayer thought by using the word good we are subjectively showing what we feel to be good consequently making the word meaningless and not objective. Ayer followed on his work from philosophers such as G.E Moore, David Hume and Ludwig Wittgenstein whom was part of the Vienna Circle who invented Logical Positivism which is the theory that any true claim has to be proven by sense experience therefore concluding that ethical statements cannot me true claims as they cannot be verified through sense experiences. This agrees with Ayers claim that ethical statements are a product of feelings. Non-cogntivists however make a clear difference between facts and values believing that no ethical statement can be proved right or wrong, or similarly good or bad e.g. abortion is wrong. Within Non-cogntivism lies Prescriptivism. It tells us what ought to be done and that these statements are moral because they are universal. Hare believes ethical statements to be universal because when you say, you ought to do this it relates to everyone in that or similar situation, as he considered ethical statements to be imperatives. He also saw the difference between the two types of the usage of the word good, it can be used as an adjective e.g. It is a good chair, and in the prescriptive sense; in telling others what is correct and right. Perscriptivists believe if we state something to be good that we are approving of something and therefore are saying others should approve of it too. Hare would then say that if people are approving of this action then the action is good. Overall, contained within Non-cognitivism; Emotivists and Perscriptivists both believe that the word good is subjective and is way for us to prescribe or persuade our opinions onto others, therefore giving the word no objective moral truth. The statement Anything people approve of must be good can be discussed by Cognitivists; they would look at whether or not people would approve of action as empirical evidence. They would not agree with this statement due to the fact may be seen to others as wrong, or may cause some sort of pain, and may stop the fulfilment of a purpose. G.E Moore states that by proving ethical statements commits the naturalistic fallacy, which is that the word good cannot be defined by using natural facts. This idea by Moore is based on work by David Hume who said an is cannot result from an ought, in conclusion Moore and Hume would disagree with the above statement; as we cannot define the word good. Moore believed that good is an unanalysable property in which we use to describe what we know from our moral intuition (Intuitionism).

Monday, October 14, 2019

Nokia Strategic Plan

Nokia Strategic Plan In this project I have covered various topics of marketing which are strategic planning, strategic planning process, the domestic strategic planning while the international strategic planning and also the difference among them. For more clearly understanding this topic I have also briefly discussed the case study of NOKIA. I have deeply studied Nokias strategic planning in India that is what all measures it took to grow and capture the Indian market. For understanding its international strategic planning and the reason for its success by properly implementing its strategic planning globally. Even the PEST, porters five stage model and SWOT of the company also made the concept and analysis more clear. Table of contents (jump to) 1.Introduction: Definition of strategic planning Definition Strategic Planning Process International/global strategy Difference between domestic and global strategy planning 2. Nokia Case Study Domestic strategy 4 Ps Marketing Mix of Nokia Porters 5 Forces Analysis of Nokia SWOT Analysis of Nokia 3. Conclusion 4. Recommendation 5. References Introduction Definition of Strategic Planning: Strategic planning is the process by which it maintain its competitiveness within its work environment by determining where the organization is and where it want to go, and how it wish to get there. In other words examining what all strategies will enable the corporate or association to prosper in the future. This definition applies to the largest profit oriented as well as to the nonprofit organization. Definition Strategic Planning Process: The strategic planning process is a rational approach firms use to achieve strategic competitiveness and earn above- average returns. Thus it is an essential most and foremost step in development of result based accountability system which is defined as the process of addressing the following questions: Where are we? What do we have to work with? Where do we want to be? How do we get there? These are the various steps involved in the strategic planning which has to be achieved or ensured one by one. The first step is to answer where are we? Thats where the company or the organization going to survey or conduct its activity. Then the next step is making themselves clear about on what they have to work thats their product or services. Then future knowing what is their future goal, where they want to reach and lastly planning that how they will achieve their goals. The Strategic Planning Process Mission and Objectives: Mission and objective of the business describes about the companies values and beliefs. They show what is the goal of the business for which it is working. The objective can also be in financial term as well. Environmental Scan: This includes the internal analysis of the firm itself which is done by SWOT analysis of the firm. While the second is analysis of the firms industry which is done by porters five forces model and third is microenvironment analysis which is done through PEST analysis. Strategy formulation: From the above scan the firm will get to know where it stands among the other firm. And then accordingly they have to make their strength into opportunity and also reduce their weakness and threat which can give them competitive advantage. This competitive advantage can be in form of low cost as well as differentiation. Strategy implementation: As and now the strategy is been prepared for the firm, so now its time to implement it. As and when it is implemented then only company can know how much successful is the strategy for the firm. Evaluation and control: The implementation of strategy must be monitored and tested and whatever necessary changes required should be made. Thus this process is done in following steps: Define the parameters that is to be measured Define target values for those parameters Then the performance measurement Compare the results from the targeted result Make necessary changes required in it. International/global strategy: An international strategy is a strategy through which the firm sells its goods and services outside its domestic market. The steps in international strategy are: Identify international opportunities Explore resources and capabilities Use core competences Strategic competitiveness outcome. The international strategy has two basic types: business level, corporate level international strategy. There are three corporate level strategies which are -multidomestic, global and transnational. Global strategy: is the strategy which assumes more standardization of product across country market. Thus global strategy is centralized and controlled by the home office. Difference between domestic and global strategy planning: Domestic strategy is basically defined when the company is been formed while the global strategy is defined when the company enters into the new market. Domestic strategy are the goal or the vision mission through which the company was been formed. While the global strategy are been decided according to the customers need, preference and the countries suitability. Domestic strategy is been fixed and rarely changes while the global strategy changes according to the need of that country. There are chances that the domestic strategy is similarly to global strategy while it can differ also. ( strategic management-ireland.hoskisson.hitt) The major challenges that international managers/marketer faces when strategic planning for the global markets:- The greater geographical dispersion across country border increases the cost of coordination between unit and distribution of product. Trade barrier of the global country also a major challenges for the managers. Even the cultural diversification and other differences by country like (access to raw material and different employee skill levels) greatly complicate the implementation of strategy planning for global market. Differences in consumer needs, wants, and usage patterns for products is also one of the major challenges for the manager during their strategy planning. Some time the religion of the particular country also affects the strategy planning of the company. This is also one the important challenge for the manager to understand. Nokia Case Study Domestic strategy: Vision for future: The main vision as stated on website and an punch line of Nokia Connecting people is now connecting people to what matters whatever that means for each person giving them the power to make the most of every moment, everywhere, any time. Connecting the we is more powerful than just the individual. Thats how Nokia is needed to help make the world a better place for everyone. (http://www.nokia.com) Strategy of company: The Nokia website states on its blog that To do this we will become the leading provider of mobile solutions. Our solutions strategy leverages one of our greatest assets a portfolio of outstanding devices, with unmatched scale and geographic reach. We couple them with smart services, integrated via an intuitive and seamless user experience. We differentiate these solutions offerings based on our in-depth consumer understanding, with a strong focus on social location (people and places). (http://www.nokia.com) Now NOKIA in India: The Indian market is huge and diverse and also undraped. As the rural India is the main unexploited which could be captured. But these rural markets have its own challenges in it. This brought Nokia to India and captures its huge market. Nokias marketing strategy planning in India- MISSION: The mission of NOKIA in INDIA is to provide the customer with the best durable, economical stylish and low cost cell phone with best feature for the common use of customers. MARKETING OBJECTIVES Maintain positive, strong growth every quarter by selling more and more no. of cell phone. Achieve a steady increase in market penetration To maintain its position of Indias no. 1 cell phone producing company. Maintaining its reputation. 4ps of marketing mix: 1. Product: Domestic strategy: Nokia in its domestic strategy had developed many model of cell which been updated time to time. Global strategy: The product Nokia brought for Indian market was more of user friendly and very durable product. As Indian market always demanded more of rough and tough mobiles which could be used and handled by every person. Even one of the main product features for India was that Nokia came out with the cell phone with torch in it. Which was a good strategy to attract the Indian rural market. As after the analysis Nokia came to know that 60percent of Indian population stays in India. And rural India is facing big problem of electricity. Thus this kind of torch in cell phones attracted the rural India So Nokia came with the product which was desirable by the market. 2. Price: Domestic strategy: The prices of mobile phones are comparatively according to the economy of the country. So the call rates in Finland are also comparatively high. But as there are very less competition so price of cell phone is high. Global strategy: The Indian mobile market has an over 170million subscribers making it the most cost effective player in this industry worldwide. More over India has the most lowest call rates and apart from this mobile phone calling from anywhere around the world is just two cents per minute, as in front of China it is four cents. The market is also aiming at immense growth. But so far Nokia is aiming at its Penetration-Led strategy which means having a mobile phone with every single person of the world. They are targeting at retaining their costumser which they have termed as replacement-Led. From a survey its been known that costumers in India tend to change their mobile phones very frequently. And whenever they come to change their phone are willing to pay an extra penny for a new upgraded handset. Thus in this way Nokia have managed to keep their price change as per the demand of its customers In India. 3. Promotion: Domestic strategy: Nokia is already a Finland company. So it is already a famous brand. Thus it does not require much of promotional activities to be done. Global strategy: Nokia made its promotion in various ways to capture Indian market. Among this the main focus was the rural market which was huge. Various film stars were been hired to promote Nokia. Even Nokia sponsored various cultural activities and sports activities and sports teams. 4. Place: Domestic strategy: In its domestic strategy it is already defined the places it has to cover. Which include whole of the country? Global strategy: For Nokia it was very important to keep a strong distribution channel so that the customer gets a product at right time and at a right place. Thus for this Nokia started its website, showrooms, marts and etc. Main strategy: The most foremost strategy for the company was to maintain the No 1 position in India among the cellular companies. This could be achieved if the firm keep on surveying the huge rural as well as the urban market. For the rural India Nokia adopted low cost strategy while for urban it adopted differentiations. Nokia external analysis | Porters 5 Forces Nokia a. Threat of New Entrant: Domestic strategy: there is low threat of new entrant. Because it is the first company of Finland with its big brand name. Global strategy: As Nokia has already built a good brand image in the Indian market. Thus it has a very weak effect of new entrants if any enters the market. Because Nokia has become number 1 as well as most reliable brand in the market now. So it will not be affected by any new players. b. Threat of the Substitutes: Domestic strategy: even in the domestic field there is no proper or exact substitute for Nokia cell phone. Global strategy: As in now there is no direct substitute available for the mobile phones and especially Nokias advanced feature mobile phone. c. Bargaining Power of Suppliers: Domestic strategy: the bargaining power of substitute is low. Global strategy: As in now Nokia is been No 1 brand thus it holds a strong position in the market. So bargaining power of supplier is very low. d. Bargaining Power of Buyers: Domestic strategy: the bargaining power of consumer is moderate. When a new model is been manufactured it is thrown in the market. Thus consumer has less influence on it. Global strategy: As in mobile phone market is very price sensitive. Thus in that case the buyers demand and supply pattern matters a lot for the company. As it is been working under the assumptions of the buyers demand. Thus they have a stronger influence. e. Rivalry among Competitors: Domestic strategy: there is less competition. So rivalry among competitor is also low in this case. Global strategy: There is a high competition in this industry. There are many competitors like: Motorola, Samsung, LG and etc. thus it can be a problem for the company in the long run. SWOT analysis of Nokia: Strength: Nokia has the largest selling and distribution network compare to other mobile phone companies. It is backed with high quality HR and IT professional as compare to others. The financial part is very strong as it has much more profitable business. Wide range of product for all class. The re-sell value of its hand set is more compare to any other company. People trust it more compare to others. Weakness: Price offered by the company for few handsets is high. So products are not user friendly. Not concern about the demand of lower class people. Service center are very less and scare. After sales service is not good. Opportunity: It has a great opportunity in this huge. Opportunity to capture the rural Indian market. Most reliable company so people trust it more compare to others. India standard of living is also increases, so people are becoming more and more trend oriented. Threat: New players are entering with new features to attract the customers. Previously other companies were not providing user friendly mobile but now they have started meeting customers need. Conclusion Thus at the last I want to conclude the following points: The domestic strategy should always consist of future oriented goals. They should also have some or few global strategy also. When a firm enters a new market, its global strategy should be such that it should suit to the customers needs and requirement. Nokia case study helped to understand the global strategy. It also helped me to understand the various reasons and strategy Nokia adopted due to which it become no 1 in India. The main and the most important thing which Nokia kept in mind while entering the Indian market was its culture and values. Which any company should take care when it is entering into global market with its global strategy. Recommendation: When firm is going to enter a new market it should first study the global market. Proper analysis of the market should be done. The perception of the customer, their religion, there values all should be studied very well before entering into global market and before preparing global strategy. Thus manager good strategy can make firm earn more profit and vice versa.

Sunday, October 13, 2019

The World Bank Essay -- essays research papers fc

The World Bank Bureaucracy is one of the pillars of modern western society. Although this statement is debatable from many aspects, most would agree that, at the very least, our lives are greatly affected by bureaucracy. Bureaucracy is the 'pure form of rational organization' (Newson, Jan 11). Not only is it a method for achieving goals efficiently and effectively, but it is acclaimed as the most able strategy to meet objectives. The World Bank is a classic example of a bureaucratic organization. It embodies all the characteristics necessary to qualify; from its complicated hierarchy and impersonal relations, to the specialization and career orientation of its employees. However, not everyone agrees on the competency of the bureaucratic organizational system. George and Sabelli in their book Faith and Credit claim that is the very structure of the World Bank which causes its failures, as well as explaining its continued existence despite these mistakes. Using Faith and Credit, with a focus on chapter six, it will be shown that it is the bureaucratic methods themselves which twist the World Bank's goals, and that these methods undermine the tasks which the Bank has set for itself. The World Bank is one of the world's most powerful agencies. Although it characterizes itself as a purely economic institution -- which controls the lending of billions of dollars -- in practice its influence, wealth, and policies all result in having immense political power (Faith 1). Although originally created to serve as an institution to help rebuild the world (i.e. Europe) after World War II, its task has since shifted to development work and poverty reduction. Through its immense control of wealth, and its international reputation, the Bank has managed to lend billions to 'under-developed' nations. The loans take many forms, including financing of mega-projects and structural adjustment. Beginning in the 1980's vast amounts of criticism on the Bank's policies began to appear, finding faults in much of its work. Many of its projects have been declared more harmful than helpful, often worse names have been used. The Bank has managed to make enemies in many activist circles; including environmentalists, feminists and even the people whose aim is to please: poverty workers (Faith 6). Nevertheless the Bank still remains an eminent institution. It is well respected by many intel... ...iticized as an institution which repeatedly fails to attain its goals, and in fact has forgotten them. Although the Bank has the world's cream of the crop development workers, its own structure has stifled, and silenced these individuals to the point of falling behind in development strategies and not adapting to real world situations of the poor. Its own structure has encouraged a quantity not quality philosophy, any attempts to change this philosophy have only exasperate the problem. Finally the poor reputation of the World Bank, due to its own follies, has led to the Bank to shift its focus from development to self preservation, not through correction of errors, but through falsely presenting itself. It is the very bureaucratic nature of the World Bank which hasled to its failure. Although clearly this paper does not discredit bureaucracy as a world system, it does present the idea that perhaps bureaucracy is not the most efficient and effective method of achieving goals, in all situations. Bibliography George, Susan and Sabelli, Fabrizio. Faith and Credit: The World Banks Secular Empire. Penguin, Toronto: 1994. Newson, Janice. In class lectures. January 18th and 25th, 1996.

Saturday, October 12, 2019

Misconceptions and Different Forms of Plagiarism :: Ethical Issues, Copyright Law, Writing

Misconceptions about Plagiarism Cheating and stealing are two of the many words describing plagiarism. Plagiarism is a common misconception because people do not understand all the meanings of it, do not know the techniques to avoid it, and have not come to realize that it undermines academic integrity. This misconception involves the widespread variety of definitions on the topic plagiarism. Plagiarism is a word with many meanings. One definition means to use another’s production without crediting the source. Another definition is to steal and pass off the ideas or words of another as one’s own. Plagiarism ranges from failing to put a quotation in quotation marks to stealing a passing off work. â€Å"Minimal amount of plagiarism is very common in the educational sector where person do plagiarism by substituting the synonyms and editing the original text† (Kumar 1). Terms like â€Å"copying† and borrowing† can disguise the seriousness of plagiarism. People often get confused about plagiarizing because the meanings can also get them mixed up and frustrated. â€Å"In sum, plagiarism can be a very serious form of ethical misconduct† (ORI 1). That is how plagiarism’s definitions can change one’s perspective about it. This misconception often occurs because people do not understand the styles of writing to avoid it. Most cases of plagiarism can be avoided though. â€Å"Plagiarism can vary in its extent based on the amount of plagiarism† (Kumar 1). The different styles of writing are very helpful to avoiding plagiarism. The certain style of writing techniques a person uses to avoid plagiarism reveals the writer’s own voice. It also pertains to the type of audience it would relate to. Some styles of writing include how the person uses their sentence formation. Some examples are the loose sentence, the periodic sentence, or the balanced sentence. Other styles of writing include diction. Diction pertains to the writer’s style and mode of their writing. The styles of writing can be humorous, general, metaphorical, philosophical, abstract, or concrete. Punctuation is a big part of a writer’s style because it expresses the writer’s mood or action. â€Å"Although plagiarism can take many forms there are two major types in scholarly writing: plagiarism of ideas and plagiarism of text† (ORI 1). That is how using different styles of writing can influence you to avoid plagiarism. Plagiarism occurs when people do not understand the emphasis on the originality of the work. Misconceptions and Different Forms of Plagiarism :: Ethical Issues, Copyright Law, Writing Misconceptions about Plagiarism Cheating and stealing are two of the many words describing plagiarism. Plagiarism is a common misconception because people do not understand all the meanings of it, do not know the techniques to avoid it, and have not come to realize that it undermines academic integrity. This misconception involves the widespread variety of definitions on the topic plagiarism. Plagiarism is a word with many meanings. One definition means to use another’s production without crediting the source. Another definition is to steal and pass off the ideas or words of another as one’s own. Plagiarism ranges from failing to put a quotation in quotation marks to stealing a passing off work. â€Å"Minimal amount of plagiarism is very common in the educational sector where person do plagiarism by substituting the synonyms and editing the original text† (Kumar 1). Terms like â€Å"copying† and borrowing† can disguise the seriousness of plagiarism. People often get confused about plagiarizing because the meanings can also get them mixed up and frustrated. â€Å"In sum, plagiarism can be a very serious form of ethical misconduct† (ORI 1). That is how plagiarism’s definitions can change one’s perspective about it. This misconception often occurs because people do not understand the styles of writing to avoid it. Most cases of plagiarism can be avoided though. â€Å"Plagiarism can vary in its extent based on the amount of plagiarism† (Kumar 1). The different styles of writing are very helpful to avoiding plagiarism. The certain style of writing techniques a person uses to avoid plagiarism reveals the writer’s own voice. It also pertains to the type of audience it would relate to. Some styles of writing include how the person uses their sentence formation. Some examples are the loose sentence, the periodic sentence, or the balanced sentence. Other styles of writing include diction. Diction pertains to the writer’s style and mode of their writing. The styles of writing can be humorous, general, metaphorical, philosophical, abstract, or concrete. Punctuation is a big part of a writer’s style because it expresses the writer’s mood or action. â€Å"Although plagiarism can take many forms there are two major types in scholarly writing: plagiarism of ideas and plagiarism of text† (ORI 1). That is how using different styles of writing can influence you to avoid plagiarism. Plagiarism occurs when people do not understand the emphasis on the originality of the work.