Thursday, December 26, 2019

Development of Control and Confidentiality for Database...

Early research efforts in the area of access control and confidentiality for DBMSs focused on the development of two different classes of models, based on the unrestricted access control policy and on the mandatory access control policy. This early research was transmitting in the framework of relational database systems. The relational data model, being a declarative and high-level model for specifying the logical structure of data, made the development of simple declarative languages for specifying access control policies. These earlier models and the unrestricted models in particular, introduced some important principles that set apart access control models for database systems from access control models adopted by operating systems†¦show more content†¦Also, the initial format of familiar commands for grant and revoke of authorizations that are today part of the SQL standard. Next research proposals have extended this basic model with a variety of features, such as nega tive authorization, role-based and task based authorization temporal authorization, and context-aware authorization. This weakness makes unrestricted access controls vulnerable to malicious attacks, such as Trojan horses embedded in application programs. A Trojan horse is a program with an apparent or actually very useful function, which contains some hidden functions exploiting the genuine authorizations of the invoking process. Sophisticated Trojan horses may leak information by means of covert channels, enabling unauthorized access to data. A covert channel is a component or feature of the system that is misused to encode or represent information for illegal transmission, without breaching the stated access control policy. A large variety of components or features can be misused to create covert channels, including the system clock, operating system inter process communication primitives, error messages, the existence of specific file names, the concurrency control mechanism, an d so on. The area of compulsory access control and multilevel database systems tried to address such problems through the development of access control models based on information classification, some of which were also incorporated in commercial products. Early compulsoryShow MoreRelatedIn Today’S Technologically Advanced Society, Data Is An1682 Words   |  7 PagesIn today’s technologically advanced society, data is an extremely valuable resource that is used daily by individuals and large corporations. Data is stored within databases to allow the process of retrieving and supervising data simplistic and efficient. Data plays a crucial role in today’s society and must be protected from all threats to maintain the data’s integrity. Security is one of the most important and challenging tasks that concerns the entire world but provides safety and comfort forRead MoreA Brief Note On The Internal Revenue Service1153 Words   |  5 PagesThe Internal Reven ue Service is trying to preserve and protect the availability, confidentiality, integrity, authentication, authorization and security controls of all employees and also the taxpayers. In the context of IRS information security, availability is generally expressed as the amount of time users can use a system, application and data, where user refers employees and taxpayers. Integrity refers the validity and accuracy of data. For IRS, data and information are intellectual propertyRead MoreDesign Framework For Secure Cloud Storage System Essay978 Words   |  4 PagesDesign framework for secure cloud storage system 1. Introduction In this work I am proposing to design framework based on trusted computing technology to improve data security and confidentiality in the cloud. In order to do that I will work on defining protocols to make sure that data storage and replication is only done on trusted storage servers and also data access from the cloud is secure for the client and users. Cloud computing allows clients to use computing resources with option of payRead MoreInformation Security at Cincom Systems: Analysis of IT Threats1285 Words   |  5 Pagesï » ¿Information Security at Cincom Systems Introduction As a global leader in the design, development, implementation and support of enterprise software, Cincom Systems has over two thousand customers globally. The majority of these are foreign governments who use Cincom software to better manage their departments of defense, complex manufacturing operations critical to their national growth, and elements of their national security. Cincom has been able to attain significant sales throughout theRead MoreWhat Are The Security Challenges In Distributed Database839 Words   |  4 PagesDistributed Databases Koushik Kashojjula Graduate Student College of Computing and Informatics University of North Carolina at Charlotte Email: kkashojj@uncc.edu Abstract - The rapid growth of information processing industries led to the development of distributed database systems. In such systems data is stored in several locations which are interconnected. The data on several computers can be accessed and modified simultaneously using a network. Local DBMS controls every database server in theRead MoreInformation Technology And Its Impact On Travel, Education, Healthcare, Social, And Entertainment1052 Words   |  5 Pagesits components and how they are interconnected in the overall system. Information technology is built with five core components. I will highlight significance of each of these components and how they are interact with each other. (Khurana, 2016) Keywords: Information Technology, Shaping the world Introduction The information technology system requires various components to work together, which are basic building blocks of the system. Each component require its functionalities to be working properlyRead MoreConfidentiality of Health Information Essays1639 Words   |  7 PagesPatients records may be maintained on databases, so that quick searches can be made. But, even if the computer is very important, the facility must remain always in control all the information they store in a computer. This is because to avoid individuals who do not have a right to the patients information. Below are some of general question: 1. Should corrections be date and time stamped? 2. When should the patient be advised of the existence of computerized databases containing medical informationRead MoreSynopsis Of The Security Comparison1321 Words   |  6 Pagescomparison: Functions Oracle SQL Server Authentication Authentication by OS, Network, Oracle, multi-tier, SSL, and database administrators. Windows authentication integration. Mixed mode of Windows and SQL Server maintained within SQL Server. Authorization User resource limits and profiles. Privileges. Roles. Applications Roles. Fine-Grained Access Control. Fixed server, database, and users roles. Ownership and User-schema separation. Least privileges. Role-based. Ownership chains. Data EncryptionRead MoreSecurity of the Database System1236 Words   |  5 Pages The term database system is used in encapsulating the constructs of a database Management system (DBMS), data model as well as database. And a database is described as an organized pool of logically-related data. There are issues related to database system such as security, legal, ethical and privacy issues. Database information can be leaked in different ways. One of them being SQL injection which involves sending unexpected data to a web server making it interact with the database. The dataRead Moreinformation system1104 Words   |  5 Pagescomponents and purposes of Information Technology (IT) and Information Systems (IS) in organizations. Information Systems is a large umbrella referring to systems designed to create, store, manipulate, or disseminate information. Example of an information system is a pencil and a piece of paper. The two objects themselves are just tools, but together they create a system for writing (information). The term Information systems has been around a lot longer than the computer, or the term information

Wednesday, December 18, 2019

The First Six Lessons And William Shakespeare s As You...

Theatre stage conventions are used to heighten and convey a story’s narrative in the Greek, Medieval and Elizabethan Eras of theatre. Each era built on the foundations of Greek theatre staging, through all of this are a perspective of modern Theatre was born. In order to understand a play, one must detail the conventions associated with the production. One must ask themselves if the play a presentational or representational piece? In this paper, I will be comparing staging conventions through Antigone, Acting: The First Six Lessons and William Shakespeare s As You Like It. Antigone is a battle between opposition, while As You Like It is a tongue and cheek melodrama. Acting: The First six Lessons stands out for its depiction of parental nurturing and teaching. It is a play devoted to the theme of teaching rather than it is characters or spectacle. Its conventions follow suite in this ambition. First off, important to note that the functions of theatre conventions set the rule s and parameters of the world the actors happen to embody. In Acting : The First Six Lessons, Actor who is known as Teacher in this scene in introducing the Actress who is portraying the creature. Creature. Oh, sorry†¦ (to the Audience) This is my daughter Emily...She even Said (8). Within the first moments of dialogue the similarities between Greek theatre are evident between the Creature and Teacher. They are speaking presentationally and we are led to believe that we are in a equal state with theShow MoreRelatedWilliam Shakespeare s English Literature Essay1667 Words   |  7 PagesWilliam Shakespeare has been best known for his poems, plays and masterful piece of writings in the English language. He has been referred to as the England s national poet and the Bard of Avon. He produced over thirty eight plays, hundred fifty four sonnets, five poems, and more verses. Shakespeare s plays consist of mainly tragedies, comedies and histories which are regarded as one of the best in those genres. The plays, the poems, and the sonnets have had a significance influence in EnglishRead MoreSchools Kill Creativity1634 Words   |  7 PagesHuman creativity first . The extraordinary evidence of human creativity is in all of the presentations that we ve had and in all of the people here. Just the variety of it and the range of it. The second is that it s put us in a  place where we have no idea what s going to happen, in terms of the future. No idea how this may play out. I have an interest in education -- actually, what I find is everybody has an interest in education. Don t you? I find this very interesting. But if you ask about theirRead More A Comparison of Romantic Love in Shakespeares Sonnets As You Like It2069 Words   |  9 PagesShakespeares Sonnets Romantic Love in As You Like It      Ã‚  Ã‚   Shakespeares comedy As You Like It is clearly a pastoral comedy with a country setting, a theme revolving around love and a story which consists of a series of accidental meetings between characters and a resolution involving transformations of characters and divine intervention.   The comedy involves the traditional literary device of moving urban characters into the country where they have to deal with life in a different mannerRead MoreWalt Whitman s Life That Changed The Way Of Life1690 Words   |  7 Pagesvarious times through his childhood, and that may have moved his personality to become slightly neurotic. He has done a lot of things in his life that has changed the way that future poets will write. Walt Whitman entered this world on May thirty-first, eighteen-nineteen in West Hills, New York. He was the second son among nine other children in his household. His parents were Louisa Van Velsor and Walter Whitman, a housebuilder. His name was soon shortened to Walt to keep from getting confused withRead MoreThe Role of the Fool in King Lear Essay2177 Words   |  9 Pagesto professionally entertain others, specifically the king. In essence, fools were hired to make mistakes. Fools may have been mentally retarded youths kept for the court’s amusement, or more often they were singing, dancing stand up comedians. In William Shakespeare’s King Lear the fool plays many important roles. When Cordelia, Lear’s only well-intentioned daughter, is banished from the kingdom Fool immediately assumes her role as Lear’s protector. The fool is the king’s advocate, honest and loyalRead MorePastoral Analysis Of John Milton s Lycidas 2885 Words   |  12 Pageschurchyard . His works and days present a golden age when people lived together in harmony with nature. This golden age shows that even before Alexandria, ancient Greek had sentiments of an ideal pastoral life that they had already lost. This is the first example of literature that has pastoral sentiments and may have begun the pastoral traditions. Traditionally, pastoral refers to the lives of herds men in a romanticized but representative way. In literature the pastoral refers to rural subjects andRead MoreAnalysis Of Heidi s The Great Gatsby 2003 Words   |  9 PagesHeidi s tragic side is fully revealed in this entire speech where humor and drama are perfectly blended to emphasize her moment of realization. She becomes a diminished character who no longer knows who she is and decides to leave New York to sort out her future. Like a true dark comedy protagonist, she is vulnerable and has lost control. She realizes her downfalls and the comedy lies in the superiority felt by the spectator due to man s delight in man s inhumanity to man (Capp 220). Read MoreAnalysis Of The Poem The Star Of The Show 3000 Words   |  12 Pagespoem the star of the show is URN. keats describing the beauty of urn in different ways. In the poem speaker is saying that it s a married pride but still virgin. Then the poet looks more closely at the specific scenes depicted on its sides. He praises its shape but disses its overwrought decoration. Finally, he treats it like a sage with wisdom to impart. THE FIRST SCENE: MEN AND MAIDENSINTRODUCTION The pastoral is a literary style that shows a formal pictures of rural life and the naturalnessRead MoreEdmund Spenser, An English Writer Best Known For The Faerie Queene2627 Words   |  11 Pagesof Ireland. Among his acquaintances in the region was Walter Raleigh, a kindred pioneer. Through his verse Spenser would have liked to secure a spot at court, which he went by in Raleigh s organization to convey his most popular work, The Faerie Queene. On the other hand, he strikingly alienated the monarch s central secretary, Lord Burghley, and all he got in distinguishment of his work was a benefits in 1591. When it was recommended that he get installment of 100 pounds for his epic lyric, BurghleyRead MoreRebecca Clarke s `` Cinderella No More ``3827 Words   |  16 Pagesinstrument-viola. I choose Rebecca Clarke , probably the most prominent women-composer who wrote for viola. Most of Clarke’s compositions were written in the first three decades of the twentieth century, her works was largely unknown until the 1970th. Such is the curiously small impact she made as a composer in England in her life time that the first edition of Lionel Turtis’s book â€Å"Cinderella no more† doesn’t mention her viola Sonata, even though now violist from all over the world would regard it

Tuesday, December 10, 2019

College Sports Gambling Essay Example For Students

College Sports Gambling Essay With all of the controversy of gambling in college sports, why is the issuestill an issue? The answer is money. There were actions taken towards this byCongress, but the problem is that it was never completely abolished. Congresshad made the mistake of creating a way around it. It is now commonly referredto as the Las Vegas loophole. They outlawed the betting nationwide with theexception of one state, one state that is the capital of gambling, Nevada. Thishas caused few changes, with the exception of the ever-growing revenue that itgenerates. Another reason the legality still remains is one not frequentlymentioned, but the question of the ban being constitutional. But no matter whatthe law, is there realistically ever going to be silence or content?To trace the tracks to the start of mending this problem, we need to goback to 1992. This is the year that the Professional and Amateur SportsProtection Act took precedence. This law restricts gambling on amateur sportsin 46 states and ess entially leaves Nevada as the only state that can take betson those games. Sen. John McCain (R-Ariz) and Rep. Lindsay Graham (R-S.C.)are striving to get two separate bills passed, both of which are targeted atprohibiting gambling on amateur sports. The bills were introduced a year ago,and at the time, were heavily favored. The bills would legally put a stop tobetting on NCAA games, the oh-so-notorious March Madness (the NCAATournament), and wagering on all college sports for that matter. Las Vegascasino lobbyist have turned offensive. Who wouldnt, if there were possibilitiesof losing a $700 million cash cow, with approximately $70 million on MarchMadness?The money that is generated from sports betting both legal and not, ismuch too vast to be eradicated. Nevada is the tree trunk for which sportsgambling is derived. The casinos are complete with giant electronic boards thatoffer information on daily events ranging from odds to player injuries. This is thebasis of most sports wagering . Nevada generates $2.3 billion a year on legalsports betting , where as, betting on college sports revenue in Nevada accountsfor $650 million of the amount. This is far from the issue though. If betting oncollege sports in Nevada is made illegal, I find the impact to be very smallconsidering that illegal sports gambling has been estimated at $80 billion to$380 billion a year. At the least, 40 times the legal revenue generated seemsvery minute. In addition, studies have shown that for every dollar bet on sportsin Vegas, $100 is bet with bookies and on the Internet. Rep. Jim Gibbons(R-Nev.), says that there is nothing backing up that legal gambling in Nevada isin any way responsible for the illegal sports wagering that plagues our nationscollege campuses. Rep. Shelley Berkley (D-Nev.), said that no problems wouldbe solved by eliminating legal bets any more than suggesting that outlawingaspirin would stop the sale of illegal drugs. A poll done by Gallop from March18-20 (between the fi rst two weekends of this years NCAA tournament) foundthat Americans were divided on issue. The poll stated that 49% believe thatcollege sports gambling should be illegal and 47% believe that it should not. Strikingly, college basketball fans are stuck on 48% on both stand-points. The possibility of abolishing gambling on college sports is not very likelynor does it hold much hope of bettering the problem. If the betting was banned,theres no possibility of it just disappearing. The figures and dollar amounts ofillegal gambling are much too high now, and it is still legal. What happens whenCongress puts this law into effect and everyone ignores it? It surely does notsay much about our society and its morals. Howard Shaffer, director of theDivision on Addictions at Harvard Medical School, said If we pass legislationthat we cannot enforce, it will undermine authority in general and young peopledont need any more laws that nobody respects. Shaffer added, If itsunenforceable, they will co me to see other legislation as unenforceable and thenwell have problems where we dont necessarily have them today. People of allkinds are in agreeance that the impact of this law would hardly be worth theeffort. John Shelk, vice president of the American Gaming Association, alsostated Its not like Congress is going to pass a law that bans legal gambling,and students across the country will say, Oh my God, I cant gamble anymorebecause its illegal.Sen. McCain, co-author of last years Senate bill,had countered his opinion to ESPN.com by saying, I dont think we have tochoose between enforcing existing laws on illegal gambling and closing theloophole on legal gambling. McCain added, we can do both. McCain andothers claim that eliminating legalized gambling in Nevada would be anessential first step on stopping the college sports gambling. Critics disagree. They believe that the attempt to chip away at illegal sports gambling isnt alogical first step, at all. The fact of the college sports gambling, is that there is too muchpublicity, popularity, and money surrounding this particular gambling sport. In the beginning there was a problem with popularity. From 1951-1974, therewas a 10% excise tax levied by the Federal Government on the amount of sportswagers. The tax made the business unprofitable since the profit margin was generally 5% or less before the tax.In 1974, Congress was persuaded by theNevada congressional delegation. From this persuasion, Congress ended upcutting the tax from 10% to 2%.From there, the boom took off. It took a littletime but the pay off was great. Wagers on professional and college sports weretotaling $1.3 billion by 1988. After the new wave had taken off, professional sports teams and the NCAA became concerned. One outspoken supporter wasBill Bradley, a former basketball star and Democratic Senator from New Jersey. Sir Gawain And The Green Knight: Test Of One Knigh EssayThe National Association of Basketball Coaches, Official Athletic Sitebelieves that the NCAA has many problems that it needs to address and correctbefore jumping the gun to Congress. Marc Isenbergs article on the site statedthat, The NCAA cannot even begin to educate athletes and other students-oreven congress-until it does the following:1.) demand that CBS cut its ties with CBS.Sportsline.com and Las Vegas SportsConsultants, which are a major part of the infrastructure of gambling on collegesports2.) prohibit corporate partners from using bracket promotions or contestsconnected to the outcome of games3.) refuse to credential media outlets who publish lines and accept ads from toutservices4.) fund a gambling education program on college campuses that addresses theproblem of gambling, not just shaving. Can the NCAA tear itself away from its Show me the money outlook to conductsuch a campaign? The answer is No. The truth remains, that nobodyespecially not the NCAA wants to go back to the unpopular, no money-makingways of the past. There is an undeniable problem with betting in college sports, mainlywhen it comes to students.This is the NCAAs major concern, but namely, pointshaving. In general, point shaving is done by players that intentionally missshots to change the outcome of the game.The NCAA has a very justifiablereason for the abolishment in terms of this actual concern. Over the past view years, there have been many cases in which athletesgot involved in the negative aspects of gambling. This would often times resultin owing bookies so much that they would get sucked into the point shavingproblem. One student made his mark when he got involved with his roommate,who was also a popular bookie that was being investigated by officials. The student was Teddy Dupay, a basketball player for the University of FloridaGators. Dupay had shared winnings with his friend Kresten Lagerman, 23, aftergiving him inside information about whether the Gators could cover pointspreads. Florida had also endured a 2000-2001 sea son filled with injuries. There were also many instances of injured players returning much sooner thanexpected. Following this discovery, Dupay was dismissed from the team. Another student, a running back at the Northwestern University had become theschools rushing leader. He had become involved in gambling so in-depth thathe fumbled the football at the goal line to ensure his $400 wager on the pointspread of his own game. These are the instances that are worthy of theabolishing desire. Still, the fact remains that these examples and 99% of sportsgambling is done illegally or under the table. The truth of the matter is that, this is another back-and-forth issue (likeabortion) that will never have silence nor contentment. There are seriousproblems with players and the ethics of the game, but no matter what, a ban onsports gambling will never solve one-single problem. The fact remains that 99%of all sports gambling is done illegally. Since it is currently legal, is there anytruth to solving the problem by abolishing it? College sports gambling is truly notthe real issue. There are too many other factors at play. When it comes to theplayers getting involved, I believe that they are able to make their own decisions. If they have difficulty doing that, there must be somewhat of a different issue-Ethics. Apparently, the NCAA should concentrate more on its players thanNevada. With the problem of these players, it doesnt leave much meaning tothe idea may the best man win. BibliographyBarlett, Donald L. and James B. Steele, Throwing the Game, Time,(September 25, 2000)Gillespie, Mark, Americans Split on Whether Gambling on College SportsShould Be Banned, The Gallup Organization,(April 1, 2002)Isenberg, Marc, Gambling on College Sports: The NCAAs Solution is Partof the Problem, National Association of Basketball Coaches, Official AthleticCite,(April 25, 2002)Jansen, Bart, Big name coaches support ban on amateur sports gambling, The Detroit News,(April 25, 2002)Pells, Eddie, Complaint: Dupay received money for sharing info, Slam!Basketball,(September 14,2001)Rovell, Darren, Congree could trump Vegas on college book, ESPN,(March 15, 2002)Sauve, Valerie, Issues Committee holds discussion on illegal sports wagering inNCAA, The Daily Beacon, (March5, 2002)Words/ Pages : 2,369 / 24

Monday, December 2, 2019

Sustainability of Trade Relationship Between EU and China

Globalisation has opened up channels for different countries to join hands in a bid to strengthen their business ties. China is one of such countries.Advertising We will write a custom proposal sample on Sustainability of Trade Relationship Between EU and China specifically for you for only $16.05 $11/page Learn More Upon joining world trade organisation (WTO), China became the EU’s largest trading partner in goods and fourth trading partner in terms of services. Although frustration in the bilateral trade relationship emanates from both sides, China may end up being the biggest loser should the trade relationship become sour. For instance, China is inclined to the perception that Europe does not appreciate trading relationships that are of mutual benefit to both parties (Razeen, 2007, p.57). However, there is a need to recognise the impact of external influences to a country’s policies like those of China that has been frustrated by recurr ent calls made by Europe for China to put in place trading protective measures. This condition calls for the need to put in place Europe encounters enormous challenges while attempting to access the Chinese market. This argument is evidenced by the fact that, in spite of the impressive rise of 82 percent in European imports from China from 2002 to 2006 (Gill Murphy, 2008, p. 13), exports to China have not risen significantly within the same period (European Commission, 2006, p.13). For EU, the most difficult challenges in fostering bilateral trade relationships with China arises because Europe encounters the most substantive market accessibility problems in regions where the Europe products and services are competitive in China.Advertising Looking for proposal on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More In overall, 8 percent of Chinese FDI is accounted for by Europe (Hufbauer et al., 2006, p.23). The EU has the pe rception that this figure is far below its potential. Topic of the proposed research Bearing in mind the bilateral trade difficulties and frustrations from both EU and China as set out in the section on the discussion of the title of the proposed research, the topic of this dissertation is put as ‘Sustainability of Bilateral Trade Relationships between EU and China.’ Objectives and aims of the proposed research The main aim of this research is to examine the bilateral trade relationships between China and EU through a discussion of the various challenges that had been encountered since when EU and China stated to collaborate in various economic relationships. This attempt helps to unveil various policies that may exist for both China and EU to enhance economic growth of each other. Therefore, the proposed research will be instrumental in establishing the policies that may enhance more harmonious integration of China and EU in trading relationships in a manner that will ensure that the persisting frictions and frustrations are eliminated. To achieve the above mission, the proposed research has the following objectives: To establish the challenges and the problems faced by the bilateral trade agreements between China and EU. To introspect the various agreements arrived by both China and EU during convections held to resolve the bilateral trade relationship stalemates. To determine the party that fails to honour the agreements, to what extent it does it, and or how the reasons for dishonouring the agreements can be resolved to foster harmonious bilateral trade between EU and China through enactment of appropriate public policies binding the two. Importance of the proposed research China and EU are substantial economic hubs in the world.Advertising We will write a custom proposal sample on Sustainability of Trade Relationship Between EU and China specifically for you for only $16.05 $11/page Learn More A part from havin g a large consumption market, China has also emerged in the recent past as a major producer of various products and services that have reached a global market. Indeed, due to production cost competitiveness, many firms in the US and Europe have resorted to contract manufacturing by outsourcing manufacturing tenders to companies located in China and other Asian based manufacturing firms (Bilzi et al., 2011, p.4). In this extent, the proposed research is noteworthy since it gives a proposal for policies of resolving trade conflicts between EU and China. This attempt is pivotal in helping to contract firms located in China to have confidence in the trade relationships between EU and their home nation. This means that a contract manufacturing company located in China will have no fear of breach of contract. Breach of contracts has the implications of making the aggrieved party go through the tedious process of seeking legal litigations. Another importance of the proposed research is tha t it will help to unveil motivators of the dialogue between the EU and China. These motivations are essential in the sense that trade relations between the two are fuelled and bound by them. Without a certain positive anticipated benefit for engagement in trading treaties, it is unnecessary for a nation to engage in any trading relationship of whatsoever kind (Messerlin Razeen, 2007, p.225). Additionally, proposals of mechanisms to resolve various areas of conflicts in the trade relationships between EU and China need to be done based on the policies for them to produce long terms impacts on resolution of various issues that attract frictions and frustrations from both ends of the trade relationships.Advertising Looking for proposal on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More The liberalisation of trade and its consequent repercussions will demand an analysis to be conducted with a particular focus on China coupled with Europe’s public policies. The claim holds because the two form large pools of consumption markets besides massive producers. This effort is perhaps well exemplified by the launch of the European Union’s and China’s PCA negotiations (DG Trade, 2007, p.13), which reflect a hefty intention of the two trade parties to deepen and or broaden their trade relationships. However, despite the fact that heavy investment in bilateral trade relationships between China and EU create myriads of opportunities, the relationship has also created some dominant challenges. How sustainable then is the EU-China trade relationship? Evaluation of the sustainability of the trade relationships with China is vital since it helps to explain the likely direction to be assumed by the trading dealings between EU and China. Without evaluation of the sustainability of the trade relations between the two, it is impossible to establish policies of enhancing harmonious bilateral trade relationships given the economic capabilities of both European Union and China. When this economic capability is well harnessed, it is possible for both the nations forming the European Union and China to attain high levels of economic growth. Summary and outline of the proposed research topic In 1975, People’s Republic of China established relations with European Union. Both parties agreed on the banning EU arms in China (Razeen, 2007, p.33). These relations were principally governed by the agreement that was later signed by EU and China, which are referred to as ‘EU- China trade and collaboration covenant.’ Arguably, this was a crucial twist since, soon after the cold war, China never focused on trade relations with Europe in the same threshold as it did with the US and Asian powers like Japan (Ikenson, 2007, p.228). Nevertheles s, as economic interest coupled with multi-polar interests begun to rise, China became interested in enhancing trade relationships with EU. Due to politically instigated problems, challenges arose between the EU and China. This situation made China view EU as being too weak due to the US involvement in pressuring trade restriction of EU such as arms embargo to remain in force. There were also protectionist measures put in place to ensure that exports of China to Europe were controlled. Additionally, EU objected the according of a market economy market status to China for it to be eligible in WTO. The above challenges make it clear that China approached its trade cooperation with the EU in a multifaceted dimension. This argument prompts the necessity for a scholarly inquiry into the direction assumed by China and EU trade relationships thus forming the main goal of the proposed research. Description of Chapters in the Proposed Research The proposed research will comprise four main ch apters. Chapter 1 will encompass the introduction, which combines the purpose of study, research methods, research questions, objectives and aims, and discussion of an overall composition of the research. In chapter 2, effort will be made to scrutinise theory of regional trade integration especially trade integrations from the perspectives of export and import treaties coupled with the implications of the treaties to parties forming the bilateral trade relationships. The third chapter will be dedicated to applications of the developed theory to EU and China trade relationships. Here, the departure of alignment of the EU-China trade relationship from the theoretical constructs will be analysed, and possible solutions to the stalemates indentified. Lastly, the forth chapter covers the conclusions. The key findings and recommendations are presented also in this last chapter. Literature review The immensely growing economy of China attracts the focus of the European leaders. Consequentl y, in the recent past, the leaders have solicited for easing the isolation of China from forming trade treaties with EU. The repercussion for this was making China a favourable destination of visitors of European ancestry. Businesspersons and women from China also make trips to EU nations frequently. This interaction culminated into high trade exchange levels between China and Europe in 1990’s. For bilateral trade relationships to thrive, it is crucial to have a balance of imports and exports to and from the parties engaged in the trade relationship. Unfortunately, this seems not the case for China and EU. This argument is significant by considering the argument, â€Å"Europe’s trade deficit with China has increased rapidly in the last years rising from roughly 50 billion EUR in 2001 to around 170 billion EUR in 2006, which is more than threefold increase† (Dreyer Erixon, 2008, p.2). This trade deficit creates tensions over the economic integration of the bilat eral trade between EU and China especially by noting that the main trading partner of China is Europe. Methods review To answer specific research questions calls for the deployment of appropriate research methods to garner data and analyse a problem. Any successful research is conducted in the context of established sets of policies or approaches that are acceptable within a specific discipline (Kothari, 2000, p.103). Such policies need to satisfy techniques, methods, and procedures for testing reliability and validity in the attempt to realise results that are both objective and unbiased (Kothari, 2000, p.107). Philosophies apply qualitative, quantitative, and or any other approach for research that is acceptable and or proved as being valid for a specific academic discipline. The choice of research methodology depends on the type of research being undertaken. Types of research include descriptive, correlation, exploratory, and explanatory (Kothari, 2000, p.104). This research is d escriptive in nature. Therefore, the chosen research methodology should help in systematic description of a situation, phenomenon, programme, and problem. It also needs to help in providing information on how challenges articulated with these aspects can be resolved.In this research paper, case study is chosen as the main method for conducting a descriptive research. Apart for the methodological drawback in the methodology applied to develop the GATT rules or policies, they are problematic to apply in practice since it is difficult, if possible, to come up with a means of measuring the heights of resorting trade barriers following the creation of a regional trade policy (Devuyst, 2002, p.17). Due to the above challenge in measuring the height of trade barriers, several empirical research scholars such as Abrenica (2007) have turned into measuring the impacts of regional integration from the contexts of trade volumes as opposed to trade barriers (p.13). The methodology applied is emp irical that is based on the actual recorded volumes of sales in the form of exports. The justification for this approach is that measuring effects of regional integration based on trade volumes is not only a simple and direct approach though it is also deeply justified in the economic theory (Winters, 2002, p.105). The relevance of evaluating the impacts of regional trade agreement based on trade volumes is essential in the analysis of the EU-China trade relationships because different nations engage in imports and exports to balance deficits and surpluses of products and services within their territories. Importation and exportation are normally conducted following certain trade policies in the quest to protect the intellectual property of the original creators of the products coupled with a need to protect the manufacturing and agricultural sectors among others that act as revenue generators. Unfortunately, trade measuring the degree of trading relationships and trade integration empirically based on trade volumes does not give an insight of how future trading relationships would twist. China continues to realise impressive growth rates. Geest and Razeen (2006) measured the economic growth rates of China following the formation of the trade policies between China and EU. The methodology entailed the empirical determination of the impacts of the EU-China trading relationship on the Chinese GDP. This empirical research reveals that economic imbalances exist between EU and China trading relationship (Geest Razeen, 2006, p.69). These imbalances give rise to challenges in the bilateral relationship between China and EU since the establishment of the EU-China regional trade agreement. Therefore, the Chinese products have been flocking more in the EU markets in relation to the EU products in the Chinese markets. According to this empirical research, even if Chinese economy is rapidly growing, it is still also dependent on exports to various nations in contrast to domestic consumption. This situation forces China to experience some problems in the foreign markets since â€Å"over investment in products, which have no outlet in the domestic markets, has led to import surges and dumping of Chinese products in the overseas markets† (Geest Razeen, 2006, p.69). The repercussion for this case is the emergence of trade frictions between China and the bilateral partners. In yet another empirical research on the how the Chinese products do in the EU markets, Alavi (2007) found that this situation has been the case for the trade relationships between China and EU (p.21). China is an emerging economy, which has shocked the whole world in terms of the pace of economic growth. In a study to determine the reception of China’s attempts to get into global markets, Ornelas (2006) finds out that China stands high chances of continuing to define the manner in which globalisation efforts unfold in the 21st century (p.201). For this reason, the rap id growth of the Chinese economy has the implications of resulting to a global feel of trade relations and agreements made with China by different nations and or regional areas of world trade such as the European Union (EU) (Ornelas, 2006, p.201). The methodology applied by Ornelas (2006) to arrive at the conclusion is based on the statistical analysis of Chinese exports versus import into the EU and other economic hubs such as the US. In the context of the topic under study in this research paper, this methodology is problematic in the sense that it relies on the past data to arrive at deductions considered appropriate in forecasting future anticipated twist of EU-China trading relationships. Unfortunately, as various frictions between China and other trading partners are resolved, it is likely that the past nature of EU-China relationships will take a differing twist. Messerlin (2009) investigates the direction taken by the EU-China trading relationships (p.135). The main method h e uses is to analyse the rulings of the cases where Chinese companies are often caught up in stalemates involving accusation of engagement in improper antidumping practices. The author studies more than 40 cases put forth by EU targeting Chinese companies through the anti dumping accusations. Deployment of case studies is an incredible methodology since it helps to bring realities into the research. Therefore, the recommendations stemming from the research findings are also based on real life situations. The results of the work Messerlin (2009) indicate that China felt that her companies were not treated fairly in the anti dumping investigation conducted by EU (p.135). This perception emanated from the involvement of Chinese companies in six anti dumping investigations in 2007. In fact, among six investigations, which ended with provisional duties imposition in 2007, Chinese organisations appeared in four of them (Messerlin, 2009, p.137). Surprisingly also, in the eight of such new investigations that truncated into advocating of penalties that were definite, Chinese companies took the lions’ share by being held responsible for five of the cases. The findings of the above research are crucial in providing insights into the difficulties that can be established in the trading relationships between nations engaged in trading treaties. However, there are substantial weaknesses of the findings in helping to determine, which party was not accommodative. They are pegged on the argument that does not provide information on whether the trade agreements between EU and China were to be conducted in the context of Chinese antidumping regulations, EU antidumping regulations, or under some agreed upon antidumping regulations developed as part of legal frameworks or policies governing the EU-China trade relationships. As such, the implications of trading relationships between two regions or nations under various circumstances, say EU and China, remain unclear and henc e questionable. In the light of the established gap in literature based on the implications of bilateral and multilateral trading relationships, Scott and Bergstrand (2004) attempt to seal it by studying the effects of regional trade agreements. They do so by conducting a qualitative research on a number of lessons learnt by different nations, which have engaged in regional trading relations where some members have perceived themselves as having the power to regulate trading relationships between two other parties in the multilateral trade relationships. A good example of such cases considered by Scott and Bergstrand is that of EU and China in which the US came in hardy to pressure EU not to abolish arms embargo on China (2004, p.49). This exposition shows that the economic strength and political participation of a third party nation may enhance trade relations between two parties. The results of Scott and Bergstrand’s study are significant in the process of developing an inf ormed stand on the effect of regional trading relationships. The work evidences that regional trade policies means both trade discrimination and liberalisation. Discriminatory trade liberalisation emerges as beneficial in case it ensures that resources are shifted from domestic suppliers who are inefficient to the producers who are more efficient operating within the region or when there is ‘trade creation’ (Scott Bergstrand, 2004, p.51). Creating commercial alliance is detrimental to harmonious trading relationships in the extent that it may lead to changing capital far away from peripheral suppliers who are effective to those who are ineffective within the trading zone. This case primarily occurs whenever there are trade diversions. Scott and Bergstrand’s study is significant in helping to unveil the trading relationships between two nations that are engaged in regional trade agreement policies. However, the reliability of the findings of the study is still ch allengeable. On one hand, the study is dependent on the qualitative research in drawing its inferences and deductions. Thus, it suffers from challenges associated with qualitative researches such as the determination of the extent to which the researcher had over the influence of research results coupled with reliability and validly issues in the case (Kok et al., 2005, p.317) of linguistic data (Ranjit, 2005, p.34). With the increased concerns and the need for global integration to promote the free flow of goods and services in the global villages, it sounds imperative to presume that no single nation can now exist as a single island. For the sake of protecting the intellectual property of nations, it infers that nations have to establish public policies that call for regional trading relationships because, in the formulations of the relationships, legal frameworks are spelt out to guide the rights of use of another nation’s technological products (Klaus, 2005, p.118). Schol ars need to set forth various strategies for mitigation of frictions that hinder harmonious bilateral, multilateral, and regional trading relationships between nations. Surprisingly, Scott and Bergstrand’s study gives none of these. The proposed research intends to seal this gap. Given the large production capacity of China and the size of consumption market for EU, Chaudhuri (2010) argues that China cannot hesitate to resolve various challenges that hinder her trade relationships with EU (p.12). Chaudhuri’s argument stems from reflecting on various challenges that EU-China trade relationship has been undergoing since its inception. The main methodology used by the Chaudhuri is the analysis of the implications of various convections that have been held by both the EU and China in the effort to resolve their trading relationship disputes. In his work, Chaudhuri (2010) infers that, if China is to give up on trade negotiations in the EU-China summits, it implies that Chin a has to resort to strengthening her economic and trade relationships with the US (p.12). However, the quest to ensure that China does not put all her eggs in a single basket acts as subtle motivator for the nation to continue perusing through mechanisms for easing her trade relationship challenges with the EU (Chaudhuri, 2010, p.12). The US is also likely to be a more threatening trading partner given its political and economic capability. Many of the researches conducted in the topic of regional trade policies are based on the analysis of secondary data garnered through research of the agreements reached during regional trading partners’ summits on trading cooperation. Critical analysis on the extent and possible frictions on the implementation of the cooperation policies is normally given incredible attention as discussed above. The focus of the myriads of researches on EU-China trading relations as the case for studying trade relations is carefully selected because EU pre sents an example of trading partner, which has gone through incredible process of economic growth while China exemplifies a trading partner, which is growing economically. This way, the challenges of conflicts of interest associated with perception of one party as having the ability to dominate and control the trading relationships in a regional trade agreement (RTA) comes out conspicuously. Although reliability and validity issues may emanate from such kind of research design and research methodology, secondary data is the only justifiable method of collecting data for the researches given the characteristics of the researches themselves: they are based on case study. Some research scholars contest that case studies are not appropriate for conducting such researches. However, a case study is appropriate to ensure that meaningful characteristics and holistic events that are real in life are retained among them being international relations, life cycles of individuals, changes in nei ghbourhood, and managerial processes while not negating organisational processes (Yin, 2005, p.2). Review of research findings Theory on regional trade relationships is dated back to the early 1950’s when Johnston argued in 1954 that, in case nations do not engage in trade policies, they would endeavour to tax trade in the attempt to ensure that they have exploited the international market within their reach (Giovanni, 2007, p.35). Due to these exploitations, equilibrium is established often truncating into a trade war between nations. International trade treaties act as tools for ensuring that such trade wars are mitigated. This line of thinking was further developed by the work of Bagwell and Staiger (2000) that extended the frame works in a situation where government subjected to various political pressures (p.226). They further found out that governments that are politically motivated also choose to participate in trade agreements to the extent that they are able to ensur e that their trade eternities are corrected (Bagwell Staiger, 2000, p.227). This argument suggests that the quest to gain political capability do not essentially act as the source of motivation in engagement in the trade agreements particularly with politically powerful nations (Mitra, 2002, p.480: Ornelas, 2005, p.1501) such as those in the European Union. This finding raises the query of the motivations for China to engage in trade relationships with the EU. The work Hanso (2012) provides a response to the above questions through discussion of various motivators for EU-China trade relationships. He argues that China has an interest in forming trade relationships with nations, which will have the ability to provide a solution to global problems including the repercussion of the global financial crunch that began in 2008-2009 (p.107). Since China has the advantage of low costs of production, it sounds imperative to deduce that it is possible for China to take incredible advantage o f this strength to capitalise on the European markets to place her goods and services through trade cooperation with EU. Being a nation of low production costs justifies why China is considered as an ample solution to the financial crisis (Chaudhuri, 2010, p.11). Amid the frictions in trade relationships between China and EU, it is then arguable that EU would not feel at ease to lose China as a financial partner. China presents a good trading partner to EU due to low production costs. This strategy makes many organisations operating in the EU to consider China as the preferred nation to contract some of their manufacturing operations. Review of concepts and theories By gaining almost equal economic competitive advantage, parties engaged in trading agreements often encounter some dominance problems. Jing (2008) reinforces this argument by providing an insight that economic cooperation makes it possible for both sides to work collectively to benefit materially though differences of va lue beliefs coupled with political regimes and calculation of relative gains in the cooperation establish challenges that are evidenced in the bilateral relations (p.33). This challenge is more significant by noting that Europe has been struggling to deal with repercussions of global financial crisis. The implication of this case is that the bargaining power of EU in relative to that of China in the EU-China trading relationship is severely weakened. Trade relationships between EU and China have been changing often prompting the convening of summits between the two trading partners to resolves various conflicts. This way, the EU is ready to welcome and learn the immense role that China is assuming in the global markets. Consequently, EU needs to take proactive strategies to ensure that it is not disadvantaged in the trading treaty between the two. However, this does not mean that consideration for termination of EU-China trading relationship is an option. The role played by China in the global markets makes several nations and regional trading partners to seek tradition cooperation with China. Therefore, it is not imperative for EU to lose the opportunity to seek trading integration with the emerging global economic giant. Apparently, the theory on regional trade treaties implies that regional agreements will not cease to exist in the near future (Giovanni, 2007, p.105). Indeed, almost half of the world trade takes place via regional trade agreement policies. These agreements could either be bilateral meaning that they are made between two nations, or multilateral (McMillan, 2004, p.34). The realisation of the impacts that trade agreements have on boosting the sales volumes of a nation’s products truncate into signing of a myriad of regional trade agreements across the globe. For example, following the global financial crunch, some 25 regional trade agreements were notified to WTO by October 2009 (Freund, 2010, p.123). This situation brought the total n umber of regional trade agreements to 300 by 2010 (Freund, 2010, p.123). Consequently, a question arises whether trade regionalisms act to impede the multilateral trading system (Bhagwati, 2008, p.102: Limao, 2006, p.897). This query equally disturbs research scholars such as Freund and Ornelas who further worry whether regional trade treaties need to be celebrated for, or should worry the international community (2010, p.145). The above scholarly questioning of the impacts of the regional treaties creates impressions that trade treaties or relationships between different nations of differing geographical regions may create problems or lead to economic endowment of both the parties coming into the trade relationships. The agreement may also serve to create wealth for only one nation forming the trading agreement. This happens to be the main concern of the EU and China in the EU-china trade cooperation. In this line of view, the Dreyer and Erixon (2008) work argues that Europe impose s protectionist pressures to China (p.4). The authors further claim that in the trading relationship between the two, Europe has always blamed China for failing to honour antidumping procedures applicable in Europe. Following the above accusations, in 2008, numerous China exports anti dumping cases were opened. The cases concerned various goods originating from China including steel and candles (Dreyer Erixon, 2008, p.4). Regional integration treaties have welfare consequences coupled with distributional and transfer implications among the nations involved in the agreements. These effects influence the political stability of the nations subscribing to particular regional trade agreement. Transfers take place between trade bloc members since removing tariffs implies that exports stands better chances of being highly priced in the market of the partnering nations (Alavi, 2007, p.14) and hence the condition of positive transfer. Net tariffs on imports amplify negative transfers. Indee d, trade is an essential propeller of economic wealth of nations. Economically endowed nations also have more political powers and the ability to control trade between it and the partnering nations. This advantage is reserved for the nation that exports more than it imports from the nation it has collaborated with in the RTA. This case is the concern that has characterised the trade relationships between China and EU particularly with the rising production capacity of China. Research Design and Methods The proposed research will rely heavily on the large scholarly body of knowledge that exists on the hindrances of regional trade agreements. To evaluate these impacts, the method adopted in the research paper will include the use of case studies, quantitative, and purely qualitative researches. One of earliest qualitative studies into the discipline of regional integration agreements is postulated by GATT regional integration rules (Bagwell Staiger, 2005, p.471). These rules suggest that trade barriers with the other nations of the world should not be escalated after the adoption of regional integration treaties. This means that regional integration should not act to create impediments to the multilateral trading relationships between nations forming the regional trade treaties with other nations that are excluded from the treaty. The deductions made from the GATT rules, which are based on qualitative research pose a methodological drawback in their capacity to reflect the actual manner in which trading relationship should operate to be harmonious among the states engaged in trading relationships because qualitative researches are inductive approaches of research methodologies applied in theory development (Kok et al., 2005, p.315). They must therefore be tested through quantitative models (Podsakoff, 2004, p.13). Reference List Abrenica, V. (2007). Developing Trade Barrier Index: ASEAN Restrictiveness Index in Business Services (RIBS). Emerging Trade Issues fo r Developing Countries in Asia-Pacific Region, 10(3), 11-16. Alavi, R. (2007). An Overview of Key Markets, Tariffs and Non-tariff Measures on Asian Exports of Select Environmental Goods. Geneva: International Centre for Trade and Sustainable Development. Bagwell, K., Staiger, R. (2000). An Economic Theory of GATT. American Economic Review, 89(1), 215-248. Bagwell, K., Staiger, R. (2005). Enforcement, Private Political Pressure and the GATT/WTO Escape Clause. Journal of Legal Studies, 34(2), 471-513. Bhagwati, J. (2008). Termites In The Trading System: How Preferential Agreements Undermine Free Trade. Oxford: Oxford University Press. Bilzi, C., Eisner, R., Aronchik, M., Balsanek, K. (2011). Export Control Issues in Outsourcing Deals. Intellectual Property Technology Law Journal, 23(10), 3-7. Chaudhuri, P. (May 19, 2010). Against a Great Wall. Hindustan Times, pp. 11-12. Devuyst, Y. (2002). GATT Customs Union Provisions and the Uruguay Round: The European Community Experience. Jou rnal of World Trade, 26(1), 15-34. DG Trade. (2007). Study on the Future Opportunities and Challenges in EU-China Trade and Investment Relations. Oxford: Oxford University. Dreyer, I., Erixon, F. (2008). An EU-China Trade Dialogue: A New Policy Framework to Contain Deteriorating Trade Relations. ENCIPE policy briefs, 5(3), 1-15. European Commission. (2006). Global Europe: Competing in the World. Brussels: External Trade. Freund, C. (2010). Regional Trade Agreements: Blessing or Burden? Annual Review of Economics, 3(1), 122-129. Freund, C., Ornelas, E. (2010). Impacts of Regional trade treaties. Annual Review of Economics, 2(1), 139-167. Geest, W., Razeen, S. (2006). EU-China trade SIA. European foreign affairs, 13(5), 67-73. Gill, B., Murphy, M. (2008). China-Europe Relations, Implications and Policy Responses For the United States. Washington, DC.: The CSIS Press. Giovanni, M. (2007). A Political-Economy Theory of Trade Agreements. Princeton: Princeton University. Hanso, H. (20 12). Partners and Rivals: The EU and China. European Foreign Affairs, 5(4), 102-129. Hufbauer et al. (2006). US-China Trade Disputes: Rising Tide, Rising Stakes. Washington: Institute for Interna ­tional Economics. Ikenson, D. (2007). Pen beats sword: U S-China relations. National Review, 3(1), 123-135. Jing, M. (2008). EU-China Relations: Problems and Promises. Jean Monnet and Robert Schuman Paper Series, 1(13), 12-56. Klaus, M. (2005). Dual-use Free Trade Agreements: The Contemporary Alternative to High-Tech Export Controls. Denver Journal of International Law Policy, 32(6), 105-134. Kok, P., Weile, D., McKenna, R., Brown, A. (2005). Quantitative and qualitative l Research Methods. Journal of scientific research, 6(3), 313-321. Kothari, R. (2000). Research Methodology- Methods and Techniques. Journal of scientific inquiry, 32(5), 89-112. Limao, N. (2006). Preferential Trade Agreements as Stumbling for Multilateral Blocks for Multilateral Trade Liberalisation: Evidence for the US. American Economic Review, 96(67), 896-914. McMillan, J. (2004). Does Regional Trade Foster Open Trade? London: Harvester Wheatsheaf. Messerlin, P. (2009). China Foreign Relations. Chinese foreign relations, 7(5), 134-145. Messerlin, P., Razeen, S. (2007). Why it is dangerous for Europe to Bash China. Financial Times, 5(2), 222-229. Mitra, D. (2002). Endogenous Political Organisation and the Value of Trade Agreements, Journal of International Economics, 57(13), 473-485. Ornelas, E. (2005). Rent Dissipation, Political Viability and the Strategic Adoption of Free Trade. Quarterly Journal of Economics, 120(4), 1475-1506. Ornelas, E. (2006). EU-China Trade and Investment Competition and Partnership. European affairs, 2(1), 201-207. Podsakoff, P. (2004). Qualitative Method in Leadership Research: Introduction of a New Section. Leadership Quarterly, 5(1), 11-22. Ranjit, K. (2005). Research Methodology-A Step-by-Step Guide for Beginners. Singapore: Pearson Education. Razeen, S. (2007). Looking East: Europe’s new trade negotiations in Asia. Brussels: European Centre for International Political Economy. Scott, B., Bergstrand, J. (2004). Economic Determinants of Free Trade Agreements. Journal of International Economics, 64 (11), 29-63. Winters, A. (2002). The Welfare and Policy Implications of the International Trade Consequences of 1992. American Economic Review, 82(4), 104-108. Yin, K. (2005). Case study research: Design and methods. Newbury Park, CA: Sage. This proposal on Sustainability of Trade Relationship Between EU and China was written and submitted by user Leonel Daniels to help you with your own studies. You are free to use it for research and reference purposes in order to write your own paper; however, you must cite it accordingly. You can donate your paper here.

Wednesday, November 27, 2019

Research Paper on Autism

Research Paper on Autism Writing autism research paper needs the proper attention of writer. Writer should be able systemize the data when writing Research paper on autism. Writer should be clear in his findings, thought and ideas. Understanding the idea is the only way one can develop and organize a quality Research paper on autism. If you are not clear or your research paper on autism is not complete your readers may lose their attention or they might get confused. At CustomWritings.com we help you in writing a Research paper on autism. We have put the format of Research paper on autism in an order and you just have to follow it while writing a Research paper on autism. To take a start, do a research paper on autism topics. Once the topic is chosen go ahead. First of all you should put some introduction in your research paper on autism and you should discover the topic when taking a start of Research paper on autism, you should state definition then smoothly going through the, background of that topic of Research paper on autism. You should then motivate your audience toward topic of Research paper on autism. This introduction section of Research paper on autism is ended now. In the second part of the research paper on autism you should reveal some study, quotes, some literature background that support your topic. You should have brief knowledge of literature for the autism research paper. In Research paper on autism you should briefly analyze in order to collect the authentic data. This section calls the literature review and it should include few Research papers on autism in an organized manner. Systemized data is much important in order to put a value in you research paper on autism. Here ends this literature background section of your Research paper on autism. This third section of your Research paper on autism should contain all the methods and solution that support your idea. You should include all the research methods and data collection techniques in Research paper on autism. You have researched a particular method or your own findings in that particular topic of Research paper on autism should be mentioned. Things should not be messed up with your Research paper on autism or with original findings or you will loose credibility. This is the main body of the Research paper on autism. Now it is the time to conclude everything which you have scattered while discovering your Research paper on autism. Here you put the summary that is a small story of your whole work and also the results of Research paper on autism. You should make a list of what is done and then decide which part covers which aspect of research paper on autism.   This part should not exceed from one or two paragraphs of Research paper on autism. The last part of the Research paper on autism is adding the work cited or bibliography page. This section contains references from where you have studied with the publisher name, date, edition, chapter number, page number, year, place of publication or in case of website it should include the URL of that site. Above are the parts that if we put together form autism research paper. We entertain you in custom research papers on autism. Our company writes autism research paper in MLA and APA formats. If you need help in custom research papers on autism, or need to buy a research paper on autism we are just here to provide you original research papers for High School, College and University. We also help write a research paper on autism.

Saturday, November 23, 2019

Dell case Essays

Dell case Essays Dell case Essay Dell case Essay down the time it takes from ordering that the customer gets the computer to themselves , they have revolutionized the way how the PC market sales are made . The major competitors such as HP and 18M, are trying to predetermine based on market studies what customers want , and then produces computers for stock, while Dell lets customers decide what components they want in their computer. Customers ordering via the telephone or , increasingly , via the Internet. In doing so, avoid Dell intermediaries becomes more cost carriers. Where competitors more trying to focus n creating services around the product , thereby creating value for the customer , trust Dell more on the customer already has the implementation knowledge required to do a proper , active purchasing choice . In order to have a control system that meets the requirements for speed and flexibility , Dell has focused on reducing the number of intermediaries ( touches ) in the production of computers. The main way to do this is by outsourcing all production of components , and instead the focus solely on the reassembly of the roduct . This meant that Dell went more toward being a service company than a generation . To decisions taken in the control system will also maintain the requirements of speed is possible for managers far down the systems to make decisions without involving managers from the top ( depending on how important the decision is ) . This allows the organization becomes very flexible to change, and that Dell avoids slow bureaucracy. By making use of most of the economic data that is continuously easured , and are always available for sales representatives and managers , the organization can measure its effectiveness in real time. This is Dell s so-called scorecard , which includes for example Return On Invested Capital , average selling price , etc. The fact that you use the same type of control data throughout the organization makes the entire organization can implement strategies that proved to be positive in some small part . That decision-making is decentralized , and that economic control data is always vailable , allows a Dell different parts of the organization becomes investment centers. Both of the goals is the goal you are trying to reach by creating investment centers , namely that the information required to make the right decisions is available and that each business units performance is measured. Key data is visible especially the difference between Dell and its competitors in return on equity , cost of goods sold and inventory turnover . All these differences are based on Dell management of production and storage, or rather the lack of storage, omputers. Dells input based on direct demand when the customer places his order , wnlle competltors are trying to estimate tne customers needs . Inls means that Dell basically has no storage of the products , allowing the stock turnover is much higher than the competition. Dell does not tie up capital in inventory management also makes it get a higher return on capital employed. However , Dell has higher production costs than competitors , then they choose to outsource it and thus get an additional cost .

Thursday, November 21, 2019

Civil Rights in Politics Essay Example | Topics and Well Written Essays - 1000 words

Civil Rights in Politics - Essay Example The media is a powerful tool when it comes to shaping public opinion. One news story that negatively affected American public perception towards the U.S government in particular the NSA is the Snowden spying claims. Mainstream media spotlighted the story creating mistrust for the government by the citizenry. The media provided details of how the government was intruding into personal privacy by reading people’s mails and text messages. One can argue that were it not for the widespread media coverage the Snowden story received, there would have been little impact on the U.S citizen perception of the U.S government. Today, the average U.S citizen does not trust the government, all due to the media coverage of the Snowden and by extension the wiki leaks story. The second event where a media story has negatively affected public perception of the government and in particular the institution of the presidency is the Iraqi weapons of mass destruction story. After the 9/11 attack, the U.S government convinced the public by capitalizing on the raging emotions at the time that Saddam Hussein was the problem and that Iraq was harboring weapons of mass destruction. However, all this euphoria around Iraq was crashed when the mainstream media revealed conspiracies around the Iraq war including CIA reports showing that they had prior knowledge that Iraq had no weapons of mass destruction, and that Saddam was never a threat to the United States. The media also increased negative public perception.

Wednesday, November 20, 2019

Ethics and Social Responsibility Essay Example | Topics and Well Written Essays - 1250 words

Ethics and Social Responsibility - Essay Example The company also owes the duty of care to every single person or region that it operates from thus bringing in the issue of corporate social responsibility. This paper aims at assessing the ethics and corporate social responsibility at Starbucks Corporation. Ethics and Social Responsibility: The Case of Starbucks Farmer Loans According to Washington (2010), Starbucks coffee processer understands the financial positions of its collaborate farmers, which at times lures the farmers into borrowing high interest loans to finance their activities. Starbucks also understand that financial shortage could make farmers opt for premature harvest of coffee that they sell at lower prices thereby cutting their profit margins (Washington, 2010). To cushion the collaborate farmers from the effects of financial depravity, Starbucks has established pioneering programs designed to provide access to credit to help farmers in managing risks and stabilize business. In 2008, Starbucks offered $12.5 million as loans to collaborate farmers. In 2009, Starbucks coffee company launched Small farmer Sustainability Initiative (SFSI) in collaboration with the TransFair USA and Fair-trade Labeling Organization International with projections to help in thriving of small scale farmers (Washington, 2010). ... Starbucks relies on water for making coffee beverages and washing of containers. In that line, Starbucks coffee processors have prioritized measures to introduce new water conservation strategies. Starbucks have set strategies of sanitizing the coffee handling equipments to reduce excessive wastage of water (Washington, 2010). In 2008, Starbucks made clear their intentions to reduce water consumption in their operations. Starbucks coffee processors have set targets of reducing water consumption by 25% by the end of 2015. So far, Starbucks have made commendable achievements after having managed to reduce its rate of water consumption by 4.1% during its financial year 2008 to 2009 (Washington, 2010). Statement and codes of ethical responsibilities of Starbucks Company The operation of Starbucks coffee company recognizes and embraces diversity as an essential component o its business activities. Starbucks Company also operates under the vigils of providing ample working environment by s howing abundant respect of personal dignity to all of its employees (Starbucks Coffee Company, 2007). In addition, Starbucks Company operates with the basic missions of providing high quality coffee under fair prices. Starbucks coffee company operates towards all time satisfaction of its customers’ expectations. Moreover, Starbucks missions and objectives entail positive contribution to community and environmental protection. Starbucks also recognizes the purpose of operation as basic profitability for future survival. Starbucks accountability on ethical and social responsibilities Starbucks have an established Business Ethics and Compliance program that provide guidelines that help partners in ensuring the business operates

Sunday, November 17, 2019

Victorian era Essay Example for Free

Victorian era Essay The Hound Of The Baskervilles is an intricate crime detective novel, which is a part of the classic British detective genre. It is set in romantic landscapes surrounded by more land giving the tale the perfect setting for supernatural behaviour. In association with the required Victorian taste, justice prevails at the end of the novel where the detectives discover the true culprits of the crime showing the reader that wrong doings can be overcome as well as reassuring them morally and socially that they are safe. Chapter 14 is one of the most important chapters in the novel because all the unknown events finally become answered in a manner, which would be believable in the 18th century. In the climatic chapter Conan Doyle uses heavy atmosphere and mood to develop variable psychological effects from using devices like fear, shock, surprise or and unexpected twist in the plot from unsuspected occurrences. In this 18th century story, pathetic fallacy is used to accentuate the weather scenarios and environments, which is of the Victorian era, particularly at the time where ghostly mysterious tales were very popular. Any classic British detective always traditionally has a sidekick. In the case of Sherlock Holmes his sidekick is Dr Watson who is an incredibly intelligent character and is addicted to opium. The relationship between Watson and Holmes is a very strong one and is held together by a grand admiration on Watsons part. Watsons admiration is proven in the quote: He had never said as much before, and I must admit that his words gave me a keen pleasure. This shows us Watson is incredibly excited by the fact that Holmes had recognised him and that he has an extreme admiration for him that any accomplishments would be a pleasurable experience. Holmes thinks of Watson as a friend, companion and an assistant if not his conductor of light, this means that Watson is not a genius but he occasionally gives Holmes inspiration to see unseen factors. In Chapter 14 we see the character of Holmes to be very much a genius as he has completely unravelled the curse and has proved it to be physical so that he can actually deal with it, therefore it is definitely a murder case, and the idea of it been supernatural has been dismissed. This is proven in the quote, Its dead whatever it is, said Holmes, We laid the familys ghosts once and forever. Watsons character as the sidekick is shown immensely well in chapter 14, as he witness and tells of Holmess physical and mental superiority and Watson is shown average compared to Holmes. Never have I seen a man run as Holmes did that night. I am reckoned fleet of foot, but he out paced me as much as I out paced the little professor. But in the next instance Holmes had emptied five barons of his revolver into the creatures flank. These quotes illustrate that even though Watson is good physically and mentally quite sharp, more so even than the little professor, Lestrade, but compared to Holmes he is inferior. Holmes is proven to be an amateur detective shown to us by the presence of Lestrade, the actual police officer who is there to make lawful arrest. Are you armed Lestrade? The little detective smiled as long as I have my trouser, I have a hit pocket, and as long as I have a hit pocket I have something in it. This statement can also be interpreted to be a very inappropriate joke and clashes with the serious detective genre. The use of melodramatic speech in chapter 14 is of such an extent that to the modern era it would be out of place but for the Victorian era, which it was written for, it seems intricately placed relating to the strong beliefs of the Victorians. Watson clearly describes the use of melodrama in the quotation, As her beautiful head fell upon her chest I saw the clear red weal of a whiplash across her neck The brust! cried Holmes. This speech is very melodramatic and re-enforces how significant harming a women was in the time of the Victorian. Conan Doyle, in chapter 14 of the Hound of the Baskervilles uses a vast amount of melodramatic description of the hounds to create tension. For example, fire burst from its open mouth, its eyes glowing with a smouldering glare. This portrayal of the hound would be immensely alarming to the reader forcing them into the belief that it would almost be impossible for any man to defeat a beast with such fearsome characteristics. Conan Doyle generates atmospheric suspense by explaining how the facial expressions relate to exactly to what is happening to them. We see this in the quotation; Sir Henry looked back, his face white in the moonlight, his hands raised in horror, glaring helplessly at the frightful thing which was hunting him down. The melodramatic description used here explaining the fear that had amounted on Sir Henry as the hound was ready to pounce on him effectively shows us the horrific situation he is in and that the death, and the curse of the Baskervilles is finally coming to an end. Conan Doyle conveys the mood and atmosphere through using exceptionally detailed descriptions of the surrounds, and much usage of different weather patterns to set a certain ambience, all giving out a fairly tense and mysterious effect. In chapter 14, Dartmoor is described as having a glooming curve with jagged, and sinister hills these adjectives have connotations of depression, and not anything being smooth as if something is wrong. This description darkens the atmosphere and prepares the audience for bad forthcoming events, which makes the reader feel menacing atmosphere. One of the most important senses known to man is sight. As there is lack of light on the moor the detectives result in using their hearing to its full extent. Their hearing seems to be amplified somewhat making any sound that is heard become an eerie one of danger and supernatural behaviour. In the beginning of the chapter there is very heavy fog, which creates a dismal yet mysterious atmosphere, it states the fog to be so heavy that it might have impaired their vision when they were tracking down the hound. The fog in this chapter plays a key part because it stands for the ignorance of the characters, and acts as an excuse to explain what they do not fully understand. To Holmes the fog is, The one thing which could have disarranged my plans. As the story become less of a mystery when they find that they can explain the bizarre antics of the hound the fog dies out. Phosphorus. I said. A cunning preparation of it, Holmes said. This quote explains, using scientific reasons, for the hound behaviour. All the questions have become answered and in the Victorian era, the much-appreciated use of scientific knowledge helped to resolve them, leaving the reader feeling at ease and satisfied.

Friday, November 15, 2019

The Microsoft Case: Protecting Competition or Competitors? :: Business Management Economics

The Microsoft Case: Protecting Competition or Competitors? "When a company of merchants undertake, at their own risk and expense, to establish a new trade with some remote and barbarous nation, it may not be unreasonable to incorporate them into a joint stock company, and to grant them, in case of their success, a monopoly of the trade for a certain number of years. It is the easiest and most natural way in which the state can recompense them for hazarding a dangerous and expensive experiment, of which the public is afterwards to reap the benefit. A temporary monopoly of this kind may be vindicated upon the same principles upon which a like monopoly of a new machine is granted to its inventor, and that a new book to its author." -Adam Smith, Wealth of Nations, 1776 Introduction Protecting the competition, not the competitor, has become a commonly used statement in recent interpretations of the Sherman antitrust acts of the late 19th century. Such words, however, were not used in the preliminary decision of the U.S. v. Microsoft monopoly case. Just recently, U.S. District Judge Thomas Penfield Jackson cast Microsoft as a "voracious monopolist that has hindered innovation, harmed consumers, and run roughshod over its rivals." (Chandrasekaran, 1999: 1) A 207-page "findings of fact" report did not conclude whether Microsoft violates the Sherman Antitrust Act. The report suggests, however, that Microsoft is indeed a software hog with a decade of at least 90%-95% control of the Windows market share. Chief Executive Officer Bill Gates said he respectfully disagrees with a number of the court’s findings. "In the end we’re quite confident that our integrity†¦and the benefits we provide consumers will be upheld." (Chandrasekaran, 1999: 1). It seems that in an effort to protect the consumer, the government may have forgotten the power of the consumer’s dollar. Perhaps Microsoft has control of the market share because the product is superior to all others, and consumers know it. Is it possible that the government would be punishing the consumer, if in fact consumers truly are happy with the Microsoft product, and have chosen to buy it, not because Microsoft has a significant influence on the market, but because the product is more advanced? What makes a product superior to another? Vision, innovation, risk, marketing: the same elements that Adam Smith praises in a new venture, then rewards, if successful, by granting the company a temporary monopoly in the market.

Tuesday, November 12, 2019

Evaluate Is Acceptance Model Essay

There are many models have been developed to understand the factors affecting the acceptance of computer technology such as Theory of Reasoned Action (TRA) (Fishbein & Ajzen, 1975, Ajzen & Fishbein, 1980), Theory of Planned Behavior (TPB) (Ajzen, 1985, 1991), Technology Acceptance Model (TAM) (Davis, 1989), Decomposed Theory of Planned Behavior (DTPB) (Taylor & Todd, 1995), and Unified Theory of Acceptance and Use of Technology (UTAUT) (Venkatesh et al., 2003). TRA proposes that individual beliefs influence attitudes which will create intentions that will generate behavior. There are two major factors that determine behavioral intentions which are the person’s attitude toward the behavior and subjective norms. Attitude toward the behavior refers to the person’s judgment that performing the behavior is good or bad according to his or her belief. While the subjective norms are a function of normative beliefs that reflect the person’s perception of social pressures put on him or her to perform or not to perform the behavior in question. TRA model TPB is an expansion of the TRA. TPB includes the construct, perceived behavioral control to measure and account for the extent to which users have complete controls over their behavior. Perceived behavioral control relates to the extent to which the person believes that she or he has control over personal or external factors that may facilitate or constrain the behavioral performance. TPB model TAM pioneered by Davis advances the TRA by postulating that perceived usefulness (PU) and perceived ease of use (PEU) are key determinants that lead to the actual usage of a particular technology or system. Perceived usefulness is the degree to which an individual believes that using a particular system would enhance his or her productivity while perceived ease of use is the degree an individual believes that using a particular system would be free of effort. TAM model DTPB was formulated through combination of both TAM and TPB, which was intended for providing better understanding of behavioral intention by concentrating on the factors that are likely to impact systems use. This model explores dimensions of subjective norms and perceived behavior control through decomposing them into particular belief perception whilst constructs from the innovation characteristics has also been regarded as the basis of DTPM formulation. DTPB also offer a clearer understanding of behavior and behavioral intention by giving detailed information about impacts of normative and control beliefs over system usage. DTPM model UTAUT had synthesized the eight prominent user acceptance models including the TRA, TAM, the motivational model (MM), TPB, a model combining the technology acceptance model and the theory of planned behavior (C-TAM-TPB), the model of PC utilization (MPCU) (Ronald et al., 1994; Thompson & Higgins, 1991), the innovation diffusion theory, and the social cognitive theory (SCT) (Compeau et al., 1999 and Compeau & Higgins, 1995). This model was formulated with four core determinants of intention and usage including performance expectancy, effort expectancy, and social influence and facilitating conditions and also with up to four moderators of key counting gender, experience, age and voluntariness of use. However, the authors argue that in order to strengthen this model, the culture also need to take consideration since different culture can affect the acceptance behavior among user towards the computer technology. UTAUT model There are more theories that had been developed and many variables had used to evaluate the IS/IT acceptance rate. For example, the interactive model of technology acceptance and satisfaction (IMTAS) which integrate the user satisfaction with and user acceptance of IT. This model expands user satisfaction and user acceptance into SME sector simultaneously as two basic constructs of system usage behavior (as the key measure of IT success) while addresses specific characteristics of SMEs such as resource constraints, management method and direct interaction of SME users with external environments. Base on this model, user satisfaction can be influenced by user involvement, system quality, and information quality. High quality of information and system enable the user to produce good decision making, hence, increase the user satisfaction. However, user involvement is the key determinant of user satisfaction since high user involvement allow the user  involve in major area of the system which this give the user opportunity to enjoy most of the benefits of the system. User satisfaction will increase the usage of the system and the usage will be even higher if the system has high user friendliness. Another key determinant that influence the system usage in SMEs is user computer competence. User computer competence can be enhance through providing training by assuming that assistance of SMEs’ external environment have a crucial impact on the success of newly implemented IS by increasing SME user acceptance and satisfaction since SMEs are typically suffering from lack of resources such as internal expertise, knowledge and user skills. The training can influence the perceived ease of use and perceived of usefulness among user, hence, influence the user attitude and intention which than influence the actual usage of a system in SMEs.

Sunday, November 10, 2019

Using Examples Compare and Contrast the Characteristics

Using examples compare and contrast the characteristics of both managers and leaders. Introduction: Leadership and management are two bipolar systems of worker administration in current business environment as defined by Kumle and Kelly (2000, 8). It is a topic most debated upon due to the similar characteristic of the roles they play in an organization which often intertwine. Leaders and managers are however disparate in their nature of act. As applied in a team-based organizational structure, the argument is that managers and leaders differs in the perceived entailment of authority they posses as viewed by their employees.However, they compliment one another and can be cultivated in order to be effectual. In this essay we will discuss how the traits of managers and leaders contrast one another by comparison. We will then analyze and evaluate how these differences can offset the other leading to the conclusion that both positions are highly congruent in order to achieve an effective situational leadership approach in an organization, eliminating the â€Å"false dichotomy† between the two (Adair 2005, 31).It is vitally important for leaders to posses not only leadership quality but also substantiated managerial skills, and vice versa, especially in today’s cutthroat business environment. Leaders and managers are often confused due to the stark similarity of authoritative position they entails but are different in their defining factors. They are the same because of their essential role of being the person in the lead of the employees and being their source of command.However they are different in the effect they play in an organization as well as the perspective they emanates to the employees as well as the world. Leadership is the aptitude to guide and direct the embodying team towards an end goal while management is the astute means of completing the targets (Kumle and Kelly 2000, 9). As the famous saying by Warren Bennis (1989), â€Å"managers do things right while leaders do the right thing†. It is essential to realize the difference because some managers might not possess certain leadership qualities, as it is that leaders might not necessarily be an ffective manager. Managers are more structural in nature through perseverance, consistency and knowledge while leaders on the adverse lean more towards an artistic and innovative mindset (Zaleznik 1992, 127). The difference lies in the nature of act. Managers often referred to the position of authority while leaders refer to an inspirational and far-sightedness innate trait of a person. The style of corporate management distinguishes leaders from managers. Being a leader refers to the possession of innate characteristics and trait models of visionaries.They are the source of inspiration as they posses illuminating qualities and attributes which would be the driving force leading the company towards success. Personality traits such as charisma, gusto, honesty, assuran ce and the ability to foster genuine connection with people (Adair 2005, 29-30) is the fundamental composition that will bring together the entire workforce to advance towards success. A manager on the other hand is the behavioral model that these leaders ought to undertake in order to be effective in committing their roles.One might be an effective manager but they may not be the epitome of a leader that will push an advance the organization beyond their limit. For example, Apple Corporation have had fair management control but they only attained its high innovative achiever status due to Steve Job’s charismatic and ground-breaking input that transformed the company (Shontell 2011). Thus, this highlights the empirical quality that is characteristically of leaders and not necessarily of managers.Therefore, the style and characteristics of managers and leaders differentiate them in terms of extend of success they produce. The nature of relationship with employee is an evident difference between leaders and managers. Leaders guide with the instinct of gaining â€Å"followers† while managers have â€Å"subordinates† (Storms 2011). Leaders do not abide the conventional mode of commanding control instead act on the ground of emancipating inspiration (King 2010) and ensuring the wellbeing and progress of the team as whole.This is because leaders are â€Å"more emotional† (Leadership Pages 1997) and are concern of the human aspect of their company. For example Phil Knight of Nike emphasizes highly on allowing mistakes and keeping a positive environment in spite of times of turmoil (Jay 2001, 92) and this train an effective pool of workers which is a result of Knight’s leadership quality of emanating inspiration and garnering trust of employees and genuine loyalty. Managers on the other hand act on a stern basis of control system.This hierarchical positioning in turn ingests a pseudo psychological disdain of workers to managers as th ey feel they are being treated with contempt as subsidiaries (Katcher and Snyder 2007, 52). This will in turn limit the willingness for employees to put in the extra effort and they will thus not produce exemplary results due to the lack of loyalty and dedication. Richard Brandson (2011) instills the importance of leaders being supportive of their employees that led the success of Virgin Company.The structural construction of the role played by managers instills this notion of quality difference of employee control in the effectiveness of managers compared to leaders. Comparing in this light, leadership must be incorporated in managerial control because to attain corporate success, it is highly essential to sustain the passion, assurance and ambition of stakeholders especially the workers as Narayana Murthy (2011), Chairman Emeritus of Infosys, suggests. Each individual have their own defining qualities and the personalities describing them might be an advantage for one in certain i ndustries.When these traits are combined with the managerial position, the personality traits would suit the respect the manager receive when they have high aspect of certain traits such as the Big Five Personality Traits (Waddell, Jones and George 2011, 133). It is important for managers, being in their position, to possess certain unique individuality to propel their quality and attractiveness as a leader especially in the magnificently transformed prospect of the current business environment.Personality type is the factor that separates leaders and managers as all personals can become good managers, but good leaders are ones who are privileged with the narcissistic personality whom people look up to due to their gripping attitude and incredible ideas that galvanize others (Maccoby 2000, 72-73). Therefore, it clearly prove that in a real world situational analyses the characteristics of both managers and leaders may differ, but they are needed to corroborate one another in order t o advocate and augment an effective form of leadership and management in an organization.The inherent individual traits of a manager determine the quality of a leader it makes. At the same time, inborn leaders without the technical qualification of a manager could not execute as an effective leader. The effectiveness of an organization is highly reliant on the synergy of leadership and management quality and this create an empowerment that will transcend the organization well beyond the competitors. Leadership quality of supplying the vision of an end goal when combined with the resourceful conscientiousness of managers would create a highly effective company that has high visualization.At the same time the common exchange of respect and inspiration they give as a leader would ingest the essence of teamwork that will propel the organization further forward as every member of the organization shares the common dedication and passion to attain their ultimate goals. This loyalty from e very contributing body can only be attained when their leader has the charisma and ability to unite the organization, at the same time possess a conscientious managerial role that would instill trust in the employees that their leader would bring success.Hence the synergy of inborn leadership traits and hardware managerial skills is the highly regarded form of leadership style that is highly respectable by the companies’ employees as well as other stakeholders and eventually become the driving force that will push the organization forward especially in the new age of business environment and ethics that is increasingly demanding and critical, as well as the democratic progress that inspire people to be more conspicuous of exercising their rights. Reference List Adair, John. 2005. How to Grow Leaders. London and Sterling, VA: Kogan Page Limited.Bennis, Warren. 1989. On Becoming A Leader. New York: Addison-Wesley Publishing Company. Brandson, Richard. 2011. Richard Brandson: Ad vice for Entrepreneurs. YouTube videos, 0:04. http://www. youtube. com/watch? v=VH35Iz9veM0&feature=fvwrel Leadership Pages: The Difference Between Management And Leadership. 1997. ME96 Leadership Page. http://www. ee. ed. ac. uk/~gerard/MENG/ME96/Documents/Intro/leader. html Jay, Ros. 2001. Winning Minds. Oxford, United Kingdom: Capstone Publishing Limited. Katcher, Bruce L. and Adam Snyder. 2007. 30 Reasons Employees Hate Their Managers.United State of America: American Management Association King, William. 2010. â€Å"Distinguishing between Manager and a Leader, Are they Really Different? † Team Building Articles, August 2. http://www. 212articles. com/distinguishing-between-manager-and-a-leader-are-they-really-different/ Kumle, John and Nancy J. Kelly. 2000. â€Å"Leadership vs. Management. †Ã‚  SuperVision,  61(4), 8-10. http://search. proquest. com/docview/195590555? accountid=10382 Maccoby, Michael. 2000. â€Å"Narcissistic Leaders: The Incredible Pros, The I nevitable Cons. † Harvard Business Review, January – February Issue. http://edocs. ibrary. curtin. edu. au/eres_display. cgi? url= dc60009629. pdf©right=1 Murthy, Narayana. 2011. Narayana Murthy on Values & Leadership. YouTube videos, 3:26. http://www. youtube. com/watch? v=QBaCRu7by10&feature=related Senior, Carl, Robin Martin, Michael West and Rowena M. Yeats. 2011. â€Å"How Earlobes Can Signify Leadership Potential†. Harvard Business Review, November Issue. Shontell, Alyson. 2011. â€Å"The Legacy Of Steve Jobs: How He Took Apple From Near Bankruptcy To Billions In 14 Years And Changed The World. † Business Insider, October 6. http://www. businessinsider. om/the-legacy-of-steve-jobs-how-he-took-apple-from-near-bankruptcy-to-billions-in-13-years-and-changed-the-world-2011-10 Storms, Cherie. 2011, April 10. â€Å"Managers have subordinates, Leaders have followers. † Cherie Storms – Saving the world one day at a time. http://cheriestorms . wordpress. com/2011/04/10/managers-have-subordinates-leaders-have-followers/ Waddell, Dianne, Gareth R. Jones, Jennifer M. George. 2011. Contemporary Management. 2nd ed. Australia: McGraw-Hill Australia Pty Ltd. Zaleznik, Abraham. 1992. â€Å"Managers and leaders: are they different? † Harvard Business Review, March – April Issue.