Tuesday, December 24, 2019

Marketing Plan For A Marketing Strategy - 1071 Words

What is marketing? My personal definition of marketing is getting your product or service out in the open and communicating the benefit it can serve to the public or a particular industry. In order for your marketing plan to be successful, you have to decide which customers to target your marketing strategies towards. You have to make these customers believe that they need your product and tell them how it will create value for them. Using the marketing mix of tools called the four P’s of marketing which include product, price, place, and promotion to show customer’s how your product or service can deliver satisfaction and bring value to them. For example, when Apple releases a new product like the iPad, it uses a marketing mix of tools approach consisting of the four P’s to make its product a bestseller. Apple announces its product and describes all the features it will consist of and how these features will benefit you. They allow the product to be purchased at multiple price points depending on the capabilities you desire, broadening the range of target customers. The iPad will more than likely be sold at places that the already famous iPhone is sold. And finally, promotions for the product are usually aired on the news and Apple website. In addition, press conferences are usually held with a variety of tech blogs and websites reporting on its debut. As you can see, this way of marketing can have a very successful outcome for the company and the customer. A key point toShow MoreRelatedMarketing Plan For A Marketing Strategy909 Words   |  4 PagesA marketing plan is crucial to the survival of an organization. Marketing plans need to be well thought out and target a certain market. The market that an organization chooses will demonstrate what direction they want the organization to head in. However, choosing just one market will be problematic to the organization because they will be missing out on other opportunities to grow. The organ ization needs to operate like the old sane, kill two birds with one stone. Therefore, if an organizationRead MoreMarketing Plan For A Marketing Strategy1205 Words   |  5 Pages Any company, of any size that is successful in marketing always starts with a marketing plan. Large companies have plans with hundreds of pages; while small companies can get by with a half-dozen sheets. You should at the very least refer to it quarterly, but better yet monthly. By adding monthly reports on sales/manufacturing; this will allow you to track performance as you follow the plan. Any marketing plan begins with an assessment of your company’s current situation. This should include theRead MoreMarketing Plan For A Marketing Strategy1299 Words   |  6 Pagesimportant to plan ahead in regards to how this product will meet the main stream consumer. The concept of marketing may seem like a simple process, â€Å"business success using a simple process of understanding and meeting customer needs† (Drummond, Ensor, Ashford, 2014). One tool used in order to ensure product to consumer success is a marketing strategy. A marketing strategy combines all of the mark eting goals and business goals in to one comprehensive package (Lake, 2016). The marketing plan explainsRead MoreMarketing Strategy : Marketing Plan Essay997 Words   |  4 Pages IV. MARKETING PLAN Our product s main marketing objective is to focus on the customers wants and needs and, at the same time, maintain a marketable selection of shoe polish at all times. This will allow us to effectively influence and persuade them to buy. Marketing Strategy:- Advertising: Our main advertising strategy is to let our potential customer know that we are aware of their wants and needs and have quality inventory and prices. Market Segmentation, Target Marketing and PositioningRead MoreMarketing Plan For A Marketing Strategy1241 Words   |  5 Pagesathlete endorsers Viral Marketing Innovation Products Durability Weaknesses Specific products Expensive accessories and products Increased competition No flash Opportunity Global market is increasing Content delivery technologies Media hosting Viral marketing Threats Hardware company competition (Sony) Media company competition (Facebook) Note. The GoPro SWOT assessment of external and internal environmental elements. 5.0 Marketing Strategy and Goals The goal of this marketing plan is to leverage existingRead MoreMarketing Plan For A Marketing Strategy Essay998 Words   |  4 Pagesthe marketing activities. If they exceed the allocated budget, it could lead to conflict with the Finance team and will be detrimental to the company’s overall profits and will be against the company’s strategy to generate more profits. Many companies follow a very high level of corporate ethics and responsibility and hence marketing strategy should also be in line with this strategy. If the company advertises a wrong good or in a wrong manner, it can lead to reputation loss. The marketing mix hasRead MoreMarketing Plan For A Marketing Strategy1772 Words   |  8 PagesMarketing strategies is a strategy that takes in consideration of all marketing goals into a one comprehensive plan. A good marketing strategy should be drawn from market research and focus on the right product mix in order to achieve the maximum profit potential and sust ain the business. The marketing strategy is the foundation of a marketing plan. Their three steps for developing a good marketing strategy 1) Planning Phase It includes SWOT analysis of your business in the marketplace, once customersRead MoreMarketing Plan For A Marketing Strategy Essay1928 Words   |  8 PagesExecutive Summary The idea behind his marketing plan is to take advantage of digital technology a majority of customer are already using every day. Frequent traveler are in tune with Delta’s fares and services provided. The company must broadcast these benefits to the population at large in order increase its share of the market. The customers utilizing other carriers or other forms of travel is vast untapped resource that Delta needs to reach. Television and newspaper ads are becoming increasinglyRead MoreMarketing Plan For A Marketing Strategy Essay906 Words   |  4 Pagesestimates and financials required for the proper and effective conduct of this marketing plan throughout calendar year 2016 by On-Target of SoCal can best be broken down and expressed within the following three major categories; implied, specified, and shared marketing activities. Each of which will be further addressed in the following paragraphs. Implied Marketing Tasks The Implied Marketing Tasks include all those marketing activities conducted directly and routinely by the entire staff of On-TargetRead MoreMarketing Plan For A Marketing Strategy1326 Words   |  6 PagesMarketing Plan Once when our business is planned and everything is done in proper manner than our time starts doing marketing and introduce our services to our target customers and place the image of our product in our customers mind. Actually language translation business is not same as product selling business, in product selling business, you have a product which customers can touch and check butt marketing and selling services is the hardest job because some our customers are unaware

Sunday, December 15, 2019

Offer and Acceptance Free Essays

For a Simple contract to be valid one party must make an offer and the other accept it (see: Acceptance of offer). The offer will usually indicate the form the acceptance should take (e. g. We will write a custom essay sample on Offer and Acceptance or any similar topic only for you Order Now , in writing, by post), and may indicate when the acceptance will be deemed to have occurred (e. g. , on delivery of the posted acceptance, see: Acceptance of offer by post). In seeking to prove that a contract was in existence, it will be necessary to show that there was a definite offer. Certain things look like offers, but aren’t always what they seem. Here are some examples. Invitations to treat are not offers (see: Invitation to treat). For example, putting an item on display in a shop window with a price label is not an offer, it is merely an invitation to treat. Pre-contractual negotiations, particularly in Conveyancing, may have the appearance of offers, but it will be necessary to satisfy the courts that a real offer has been made. Tenders (see: Tender) are not offers unless they are construed as a Unilateral contract. An offer can be withdrawn (revoked) at any time up to acceptance, provided it is communicated appropriately to the offeree. There are a few of complications with this. Placing a notice of the withdrawal in the post does not constitute the withdrawal; it has to be received and understood by the offeree (see: Byrne vvan tienhov en (1880)). If the offer forms the basis for a unilateral contract, it can be difficult to revoke. Typically the offerer must take reasonable steps to revoke the offer in the same form as it was originally made. For example, if the offer was made in a newspaper, then it should probably be revoked the same way. Moreover, it is particularly problematic if a unilateral offer is revoked before full completion of the act that constitutes the acceptance. In Carlill v Carbolic, for example (see: Carlill v carbolic smoke ball co (1893)), Mrs Carlill was able to demonstrate that she had completed the acceptance, so Carbolic could not have escaped its obligations be revoking the offer. However, suppose Mrs Carlill had started using the Smoke Ball, and written to Carbolic expressing her wish to claim the compensation if it failed. If Carbolic had withdrawn the offer at that time, could the agreement be enforced? There is no clear ruling on this; the decision in Errington v Errington sees to imply that once the acceptors consideration is executory (that is, Mrs Carlill has begun using the Smoke Ball), then the offer cannot be revoked (see: Errington v errington (1951)). There are, however, some cases with the opposite conclusion. An offer may be self-terminating if the terms of the offer include, for example, a time limit for acceptance. If no time limit is given, an offer may be deemed by the courts to have expired after a ‘reasonable time’. This will be the case even if the offerers have not explicitly revoked the offer. The death of either the offerer or offeree, prior to acceptance, probably constitutes a revocation of the offer. How to cite Offer and Acceptance, Papers

Saturday, December 7, 2019

General Principles of Constitutional and Administrative Law

Question: Evaluate the accuracy of Alders assessment of Parliamentary Supremacy .Analysis must include not only domestic challenges to the doctrine but, in addition, the impact of any international law which has been incorporated into UK law. ? Answer: Introduction Constitution of any country deals with the power and functions of the organs of a government. The parliamentary sovereignty is the well-established concept of the constitution. According to the aspect of England, we can observe the applicability of this doctrine. The government has three functional bodies. They are recognised as the Legislative body, Executive body, and judicial body. In accordance with the theory of parliamentary supremacy, the legislative body possesses more power than the other two organs. It can be claimed that the parliament's authority is unquestionable. The decision of the Parliament is not bound by any executive action or the judicial precedents. Another important theory of separation of power states that all the government must work independently. One governmental organisation will not interfere in the activity of the other department. But the doctrine of parliamentary opposes that theory. If we take the instance of United Kingdom, it can be felt that a prop er parliamentary sovereignty is found. But it can be assumed that the parliament is not sovereign in political means. If the organ construct any immoral law, that can't be accepted. Different justice in different case laws opined that in the United Kingdom, the Parliament has no proper authority to pass any immoral law. But if the act is passed the court or other authority has no right to nullify the law. The discussion will give the attention on the disparagement concerning Parliamentary supremacy in addition to altering the constitutional viewpoint with the intention to give good reason for why a written constitution will make available effectiveness to the scheme of constitutional pre-eminence. Doctrine of Parliamentary Supremacy- Alder's version In the case of Madzimbamuto v Lardner-Burke, Lord Reid claimed that different matters can be considered as unconstitutional for the legislative body of England. But the restriction does not indicate the situation that parliament has no authority to make the law on that field. Parliament always has the power to legislate any law in any segment. This doctrine claims that parliament has all the power over the other organs. It has the authority to enact any and every law in the country. That law cannot be invalided by any other organ of the government. Pickin v. British Railway Board states the fact of political supremacy as the action of the parliament. The concept of A.V. Dicey in regards to parliamentary supremacy is very important, and that was criticised by Alder in his theory. In this mentioned case, it was decided that the law of parliament can be nullified on the wider political aspect of a nation. Jackson v A-G is one of the most important case law in regards to the context of United Kingdom. This case prescribed the actual importance of this doctrine in the domain of United Kingdom. Alder criticised the theory of A.V. Dicey and proclaimed that the concept can qualify the feature of legal supremacy but does not qualify the feature of political supremacy. The view of Alder is quite different from Dicey. He basically advice and advocates for the acceptance rule of parliamentary supremacy. According to him, the political aspect and constitutional aspects are different from each other with a thin line. In the case of Jackson v A-G, Lord Hope determines that the applicability of the parliamentary sovereignty depends on the acceptance of the people. If people of any nation opposed the law, then that can't qualify a character of a good law. The rule of recognition is important in the case of any law if parliament enacts any unrecognisable law, then that can be treated as bad law. In the case of R v Secretary of State for Foreign and Commonwealth Affairs the parliament was defined and declared as the representative of people. So it needs to enact the law that can be recognised by the people of the nation. Alder in his theory specifies that Dicey differentiate between the political supremacy and legal supremacy. The legal supremacy of the parliament comprises the authority of the law initiates of a nation. On the other hand, political supremacy is the matter where people recognised the law. The theory of Dicey was criticised at this point. Alder correctly pointed out the situation that at this point. He claimed that the political supremacy is not correctly pictured in the theory of Dicey. Alder analyse and evaluate the observation of Dicey and utter that Dicey in the hypothesis pointed to that the people who entitled to vote even if today it might rather be the financial or specialist system with privileged admission to politicians as a whole. The interior and outer political restrictions on the politician are portrayed by Dicey in his theory. The interior restrictions submit to the intrinsic policy and performance of the parliament. In the legislative body, an incorporation of the rule desires the consent from the Queen to pass the legislation. The supporting and moral force obligatory on the principle is as well the division of interior restrictions to some extent. On the other had the external restriction includes the recognition of the people. The external rule includes all the people because the applicability of the law depends on them only. The view of Dicey is obsolete as defined and criticised by Alder by his theory. He questions the relevancy of the theory in this book. The theory of Alder appropriates in the contemporary world. His theory is on the basis of the context of United Kingdom. As we all know that the United Kingdom is a common law country, and it has no documented constitution. As the absence of any written constitution, the actual authorisation of parliamentary supremacy is not defined properly. This theory confined the power on the hand of an organ only. So, therefore, the modification in the speculation is necessary. The parliamentary supremacy assumption is stood on the examination of occasion and variation. The hypothesis stands on the supporting philosophy. If the philosophy is altering, the notion of the principle will also modify. The theory given by Alder defined the difficulties of the doctrine in a nice manner. He nicely pointed to the arguments that define the ineffectiveness of this theory in the modern concept. Alder in his theory argued that, the foundation of this principle stand upon the receipt from the citizen of a country. First and foremost this principle was urbanized as a chronological answer to the opinionated state of affairs. It is beginning to decrease the despotism of the emperor at that point of time. But the situation and preference altered each day. The elderly conceptions of this set of guidelines are become out of date at the present. Dicey give his hypothesis at the Victorian rule. On that time, it can be assumed that the theory may be appropriate for the situation. The inhabitant of United State was to a quantity of amount get advantage from that system. The cause is that it alleviates them from the misconduct of the mess up the kingdom. But at the moment this hypothesis is old-fashioned. The set of guidelines gives the impression to be illusory, prejudiced, sensibly torn. Definite interior and outer pressures made this hypothesis old-fashioned for the contemporary situation. The situation can be defined as familial and in addition to the global sources. The resources comprise the global financial system, devolution, allocation, association ship in EU, related intercontinental responsibility and growing the supremacy of the decision-making organ of the government. Applicability of this theory in modern concept including international aspect of law in the United Kingdom The theory provided by Alder can be treated as a relevant theory in the modern concept. The parliamentary supremacy doctrine has its effect in international and national law at the same time. He straightway opposed the view of Dicey. Dicey claimed the concept was an absolute and concrete argument. But he claimed that all the theories depend on the rule of recognition. The defects in the theory are very much present in the modern context. So these theories are very relevant in the present context. The United Kingdom by the application of Royal privilege can enter into any such international conventions and treaties. The doctrine of parliamentary supremacy claimed that no modification in the law can be done without the permission or authorization of the Parliament. The parliamentary right can only be altered by the session of the parliament, and that is the rule by any means. It is the duty of the parliament to make law according to the requirement of the international treaty that can be fit in the context. Various cases of EU state that the union law is higher in rank that the domestic law. It can be claimed that whenever the discrepancies arises the law of EU will be prevalent. In this concept subordinate the authority of the British parliament. In a prominent case of ECJ in Costa v. ENEL the matter was clarified that the EU law is more significant than the English domestic law. It is also examined that the necessities international law is also higher that the domestic law of United Kingdom. It can be claimed that the right and the liabilities of the citizen of UK can be altered only by the parliament. Consequently, the legislative body requirements to enact a law that incorporated the necessities described under the Lisbon Treaty to the law of United Kingdom. So, therefore, that the notions are incorporated to the British law.In deliberation of the doctrine of supremacy of Parliament can be taken into consideration, at the time of evaluating any particular Act. Alternatively, the abb reviation of the Lisbon Treaty begins a considerable circumstance that explicitly substantiates the dispensation of EU members to take away from the membership of the community of European Union. It is defined in the Article 50 of TEU that the States have the authority to reject the membership of the Union. These provisions draw attention to the divergence that British parliament residue and follow the law of EU as comprehensive as the legislative body requires continuing in the membership with EU. As a result, it is supposed to be established that the incorporation of the principle of Lisbon Treaty on the UK system gives an alteration to that theory. Section 2(1) of the European Communities Act 1972provides the result of the United Kingdom to directly implementations. Section 2(4) of the same Act requires that United Kingdom adjudicators to give priority to unswervingly effective EU authorized regulations. EU regulation can be reliably effectual if it is understandable, precise. In the case of Litster v Forth Dry Docks, the relevance of this theory was asserted. In this case, the domestic legal rules had been carried out to make available the actual conclusion and application to the command given by EU. Devolution is also a concept with inferior the effect of the doctrine of the supremacy of the parliament, though the effect is very minimal. TheScotland Act 1998authorizes the legislative assembly to build on regions that are considered to non- reserved like the domain of wellbeing and learning.It acts in the identical method to the actual constitution, anywhere on the Scottish legislative body is less important than parliament and have no authority to enact the law for the domain of England Wales. TheGovernment of Wales Act 1998provides the power to the government to create delegation of legislation.TheHuman Rights Act 1998includes theprinciple of European Convention on Human Rightsand is a legal establishment. Section 3 of theAct of 1998needs the courtsto the extent that credibleto take to meaning of the national commandment additionally corresponding with the privileges is given by the Convention and international treaties. The panel of adjudicators gets hold of a purposive viewpoint to do so as stated in one of the precedent case of Ghaidan v Godin-Mendoza. On the other hand, the panel of adjudicators will not get ho ld of knowledge if it manufactures an apprehension to the national law. This provision is mentioned in a historical judgment of the Webb v EMO Air Cargo. It was discussed that Thomas Paines observation of autonomy of parliament observes to a certain extent secure to an outlook that come into view to come out these days in regards to the legitimate perception of Parliamentary supremacy; exclusively that the perception can no longer secure constitutional privileges. It can be discussed to a definite scope that this idea is no more used as the spinal column of the foundation in radiance of its chronological ancestry, the move in connotation from Diceys description in addition to the communal and opinionated revolution which the constitution has unquestionably countenances in contemporary times. In addition, the perception no more gives a sturdy stamina provided these communal and political state of affairs; such point of view will be discovered in supplementary aspect and seek to demonstrate how we are precedent the end where legislative body can be observed as the single means of protection of the right of the people. A variety of quest ion from the performance of the European Communities Act 1972 to a mounting be short of division of power for the propose that modernisation of the British political association is to a large extent required in an arrangement where the notion of Parliamentary supremacy is continually shifting and unavoidably fetching more narrower in its extent. The intention of this argument is not to produce the faultless constitution for the United Kingdom, but to go forward with the proposition for altering the foundation of the constitution of England from Parliamentary supremacy to an additional democratically feasible conception of constitutional pre-eminence. Conclusion We can conclude this matter by saying that the assumption and theory provided by Alder are more suitable in the contemporary concept of the legal theories. The concept provided by Dicey is not suitable in the modern aspect. The criticism of Alder in this concept is appropriate and correct. This paper explores the in acceptability of the doctrine in the concept of the modern era of United Kingdom. The concept of Dicey cannot be applicable fully. This absolute parliamentary supremacy is not possible in the contemporary world. The concept of Alder is also supported by different theories in the modern day. We can rightly conclude that the theory of Alder is appropriate and adequate in the modern world that the law must be recognised by the subjects of a country. References Alder J and others,General Principles Of Constitutional And Administrative Law(Palgrave Macmillan 2002) Alder J,Constitutional And Administrative Law(10th edn, Palgrave Macmillan 2015) Aldous G and Alder J,Applications For Judicial Review(Butterworths 1985) Barnett H,Constitutional Administrative Law(Routledge-Cavendish 2006) Clment D, 'The Royal Commission On Espionage And The Spy Trials Of 1946-9: A Case Study In Parliamentary Supremacy' (2000) 11 Journal of the Canadian Historical Association Davis F, 'Parliamentary Supremacy And The Re-Invigoration Of Institutional Dialogue In The UK' (2012) 67 Parliamentary Affairs Doig A, 'NEXT STEPS TO THE SUPREMACY OF PARLIAMENT?' (1996) 49 Parliamentary Affairs Flaherty M, 'The Empire Strikes Back: Annesley V. Sherlock And The Triumph Of Imperial Parliamentary Supremacy' (1987) 87 Columbia Law Review Hatchard J and Slinn P,Parliamentary Supremacy And Judicial Independence(Taylor Francis 2003) Kurland P and Casper G,Landmark Briefs And Arguments Of The Supreme Court Of The United States, Constitutional Law(University Publications 1975) MacKay R, 'Coke: Parliamentary Sovereignty Or The Supremacy Of The Law?' (1924) 22 Michigan Law Review McCullough H, 'PARLIAMENTARY SUPREMACY AND A CONSTITUTIONAL GRID: THE CANADIAN CHARTER OF RIGHTS' (1992) 41 Int Comp Law Q Parpworth N and Pollard D,Constitutional And Administrative Law(Oxford University Press 2006) Rose-Ackerman S and Lindseth P,Comparative Administrative Law(Edward Elgar 2010) RUSSELL C, 'Parliament, The Royal Supremacy And The Church' (2000) 19 Parliamentary History Young A,Parliamentary Sovereignty And The Human Rights Act(Hart Pub 2009) Blackburn v A-G(1971) 1 WLR Costa v ENEL[1964] ECR Ghaidan v Godin-Mendoza [2004] UKHL 30 Jackson v A-G (2006)(2006) 1 AC Litster v Forth Dry Docks[1988] UKHL Madzimbamuto v Lardner-Burke(1969) 1 AC Pickin V British Railway Board[1974] AC Webb v EMO Air Cargo(1994) 4 All ER Pickin V British Railway Board[1974] AC. Jackson v A-G (2006)(2006) 1 AC Jackson v A-G (2006)(2006) 1 AC R v Secretary of State for Foreign and Commonwealth Affairs(2008) 4 All ER John Alder and others,General Principles of Constitutional and Administrative Law (Palgrave Macmillan 2002) John Alder,Constitutional And Administrative Law (10th end, Palgrave Macmillan 2015). John Hatchard and Peter Slinn,Parliamentary Supremacy and Judicial Independence(Taylor Francis 2003) Litster v Forth Dry Docks[1988] UKHL Alison L Young,Parliamentary Sovereignty And The Human Rights Act(Hart Pub 2009). Ghaidan v Godin-Mendoza [2004] UKHL 30 Webb v EMO Air Cargo(1994) 4 All ER

Saturday, November 30, 2019

Zero Waste Management

Zero Waste management is a program designed to reduce waste in our society. Zero Waste lifestyle is a mission to save the world from waste and recyclable materials.Advertising We will write a custom research paper sample on Zero Waste Management specifically for you for only $16.05 $11/page Learn More This lifestyle is an important subject for discussion, which is why Collin Beavan used the subject of Zero Waste lifestyle to facilitate in his re-election in the senate. This way of life has circulated over many regions in the recent times (Colin, 2012). Zero Waste lifestyle has a target of reaching out to people all over the world. The objective of a zero waste lifestyle is to reduce waste on the environment. Whether rich or poor, zero waste lifestyle will reduce hazards in our enviroment. Some communities have adopted the idea and they are reaping the benefits. San Francisco came all out in 2008 to declare her intentions of having a healthy environment. Authorities at the state level enacted an act to address the issues with waste disposal. The high in the society and lower class citizens were all included in the policy. Florida also formulate a policy of zero waste lifestyle. The government instituted a committee that looked at various factors that could hinder the success of a zero waste lifestyle. They finally came up with a blueprint, which introduced incentives to residents that adopted a zero waste lifestyle. There was a massive turnout from all social classes in Florida. The high social class adopted the way of life as they were well informed of the need to have a safe environment. The low-class citizens objected a bit, but were motivated to tag along because of the incentives given to people who accepted with the policy. Today, Florida has an exceptional record for keeping her environment safe. Every social economic class in Florida has adopted the zero waste lifestyle (Khan, Prior, Islam, 2008). Zero Waste lifestyle is be neficial to all the socioeconomic classes. Although the rich in the society do not agree with a Zero Waste management, there seems to be headway in achieving a Zero Waste lifestyle. The rich argued that there is little significance in the economy if they adopt a Zero Waste lifestyle. Until the recycle and reuse of products is enforced, a Zero Waste lifestyle will not get the desired recognition. People from the middle socioeconomic class will adopt a Zero Waste lifestyle because it will help them save cost in every aspect of life. It introduces the technology of re-designing every resource so that it will have an extended lifespan. The ability to use a commodity and then reuse it for another purpose will save them some money.Advertising Looking for research paper on environmental studies? Let's see if we can help you! Get your first paper with 15% OFF Learn More The San Francisco compact act is a land law set aside by the local authorities in San Francisco to protect t he environment from non-degradable waste. The law requires that every resident of San Francisco should manage his/her waste as stipulated by the waste ordinance. The government in San Francisco has propagated a Zero Waste lifestyle. This has helped in reducing the risk of having waste cover on our environment. They have introduced an incentive policy according to which people would receive cash for recycling their waste products (Lean, 2006). Today, San Francisco is rated 67% of its waste recycle program. Zero waste lifestyle is suitable for every socio- economic class; it requires an individual properly to manage his/her waste. Thus, it is beneficial to every person. People with high socioeconomic status may accept a Zero Waste lifestyle in that they believe that they could help change the world. There has been an increasing concern with the risks of an unsafe environment. A research survey of US environmental agency projects serious damage to the country’s water supply due to negative effects on the environment. This means that all the efforts must be done to avert a major crisis in the region. The high social economic class can really influence the society to accept a Zero Waste lifestyle. It is more viable for the high socio-economic class as it members are capable of adopting it (Lean, 2006). On the other hand, people from low social economic class may not agree with some aspects of a Zero Waste lifestyle due to their economic status. Their low life conditions may really affect while accepting this plan. However, the key to this program is to enact a law that would mandate the entire region on the need to manage the waste. Just as the authorities of San Francisco and India have formulated a law that stipulates the recycle of waste resources, many other countries can follow their example (Zero waste home, 2010). Zero Waste lifestyle is a practical plan, and its benefit can be seen in our everyday activities. Finally, many other organizations have a similar program and may believe in the same objectives of a Zero Waste lifestyle. They can come together in facilitating the recycle of every product from the day it was manufactured. Remember that Zero Waste plans imply that any product that does not have an alternative use should not be created in the first place.Advertising We will write a custom research paper sample on Zero Waste Management specifically for you for only $16.05 $11/page Learn More References Colin,B. (2012) No Impact man: My Speech at Green Party National Convention. Web. Cooper, E. (2010). The Alternative Kitchen Garden: An A-Z. Hampshire: Permanent Publications. Dhir, R., Newlands, M. D., Dyer, T. D. (2003).Sustainable Waste Management. Reston, VA: Thomas Telford. Lean, G. (2006). Disappearing World: Global Warming Claims Tropical Island. Web. Zero waste home. (2010). Web. This research paper on Zero Waste Management was written and submitted by user H0ly 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.

Tuesday, November 26, 2019

The Dictionary of Concise Writing

The Dictionary of Concise Writing The Dictionary of Concise Writing The Dictionary of Concise Writing By Maeve Maddox Serious bloggers understand the importance of concise writing. Unfortunately, great writing tips on brevity are scattered among many resources. Fortunately, a book called The Dictionary of Concise Writing crossed my desk. Written by Robert Fiske, The Dictionary of Concise Writing is the definitive guide to fat-free writing. This book literally contains its subtitle more than 10,000 alternatives to wordy phrases. For example, I wanted to lead this sentence with the phrase as an example. Instead I referenced the book and found the alternatives for example and for instance. Other great entries I use on a daily basis: as a result consequently; hence; so; then; therefor; thus past (previous; prior) experience experience is inclined to think (that) asserts; believes; claims; contends; feels; holds; maintains; says; thinks Each time you reference the book, you are training yourself to recognize wordy or redundant phrases. Definitely a good exercise! You can find the book on Amazon.com Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Book Reviews category, check our popular posts, or choose a related post below:Wether, Weather, WhetherDeck the Halls30 Words for Small Amounts

Friday, November 22, 2019

Case study in Forensics - Ashley Coulston

Ashely Mervyn Coulston is known as the ‘Burwood triple murderer’ he murdered three innocent victims in cold blood on 29 July 19921. Coulston had gone to a Burwood house under the guise of renting a room in the house that had been ‘advertised in the Herald Sun’2. Coulston had a bag that contained a . 22 rifle, ammunition, a homemade silencer and plastic cable ties. Coulston bound, gagged and covered the victim’s heads (using a towel or dressing gown) and shot each in the back of the head at point blank range3. I will briefly outline the circumstances of the case and how the perpetrator – Coulston, was eventually captured and the evidence that flowed to convict him for the triple murders in Summit Road, Burwood. In this case study I will examine the forensic evidence (limited to the main ballistic evidence), that was presented in the criminal trials and the forensic evidence that was introduced by the prosecution. Background Coulston was caught by police not for the murders in Burwood but for an armed robbery that occurred several months after the murders in July. Coulston had approached a couple who were returning to their car parked near the National Gallery in St Kilda Road. Coulston was wearing a balaclava and carrying a . 22 calibre rifle when he approached the couple in their car4. The couple believed the assailant was after money; so they threw some money at Coulston hoping that he would leave5. Coulston grabbed the money and forced the couple from the car. He then forced the female to the ground and tied her hands with the cable ties. At that moment the male partner of the couple noticed that Coulston had placed the gun on the ground and he took the opportunity to grapple with Coulston, thus allowing the female to run. The male also fled, with both calling out for help. Two security officers near the scene heard screams for assistance, and subsequently called for police. Coulston followed the couple and fired shots at the security officers which hit one of the officer’s in the hip6. When police arrested Coulston they found a sawn off rifle, a homemade silencer that was made from a motor vehicle oil filter, a knife and plastic cable ties7. Forensic evidence The police forensics department found that the bullets recovered from the scene of the Burwood triple murders had come from the same gun used in the St Kilda armed robbery8. The police also found that the cream cable ties used on the female victim in the armed hold-up were the same brand as those used in in the Burwood murders9. Forensic evidence also established that blood splatter from a dressing gown found over the head of one of the Burwood victims was the same blood that had splattered onto the oil filter of the rifle, used as a silencer10. Police were also able to use the fingerprint of Coulston found on his Melways Street directory that marked the page of the Summit Road, Burwood triple murders11. These pieces of evidence were used to place Coulston as the prime suspect in relation to the three murders in Burwood12. In relation to the specific ballistic evidence; there was considerable debate over the possible contamination of the evidence by Senior Constable Ray Vincent – police forensic examiner. Mr Vincent appears to have incorrectly labelled a job card used to record the test firing of the rifle. The Court of Appeal was less than impressed with the defence’s proposition that due to the error there was a possibility that the bullets had been substituted to make it look like they had been fired from the . 22 Sterling rifle13. Both the High Court and the Court of Appeal dismissed the notion of the evidence being tampered with14. The prime evidence that was used to convict Coulston was the . 22 Sterling rifle he had in his possession, when he was arrested in relation to armed robbery and attempted murder of the security officers in St Kilda Road, Melbourne15. Specific Forensic Evidence There were several specific pieces of evidence that were found at the Burwood murder scene:16 1. There was no sign of forced entry; 2. That the flat was neat and tidy – not disturbed; 3. That the 3 victims had their hands bound with cream coloured tie straps and socks placed in their mouths; and, 4. One of the victims had a dressing gown placed over her head whilst the others had towels. 17 5. A Sterling . 22 rifle was one of a list of weapons that had similar rifling marks to two of the bullets used in the murders – one of the bullets was indistinguishable18. The Sterling rifle that Coulston used in the armed robbery was suspected to have been the weapon used in the Burwood murders19. The police forensic expert Senior Constable Ray Vincent was able to match the distinct impressions left on the bullet by the particular firearm, ‘much like a fingerprint’20. The firearm barrel is manufactured by using a type of drill (reamer) to cut the barrel so it has ‘spiral grooves cut into the inner surface of the barrel’21. The spiralling enables the bullet to spin and therefore maintain a more accurate trajectory22. When the ballistics expert inspects the bullet, he measures the spaces between the markings on the bullet called grooves and lands, and in particular if they twist either to the right or left23. Mr Vincent was able to count the number of grooves, their width and depth, together with the angle of the twist, and compiled a list of manufacturers that had similar rifling marks – one of those was a Sterling . 22 rifle24. Coulston’s defence tried to discredit the ballistic evidence given by Mr Vincent25. By indicating that: 1. 250 bullets had been test fired from the rifle to make a comparison; 2. the job card used to record the firings was incorrectly dated – it was dated August 1993 instead of August 1992; and, 3. the bullets used had been substituted at a later stage. In relation to point 1, His Honour Chief Justice Brenan responded by suggesting that ‘the rifling on these bullets fired at a stage before the burring on the front of the barrel might have changed the perspective of them’26. In essence His Honour was making the comment that the defence may be suggesting that after multiple firings of a weapon the profiling on the bullet may change indicting a possible error being made in the make of the firearm27. In relation to point 2, the defence proposed that the evidence may have been tainted by the fact that ‘something was wrong in the handwritten†¦Ã¢â‚¬ ¦addition to the document†¦Ã¢â‚¬ ¦which was a list of weapons having the same rifling characteristics as the weapon inferentially used in the murders’28. The defence was trying to put doubt in the jury’s mind by stating that the list of weapons noted by Vincent, that had the same markings as the murder weapon, was made after Coulston was arrested for the armed robbery in September 1992, noting that Coulston had one of the weapons on the list29. In relation to point 3, the defence stated that the rifling, that is the ‘characteristics of the weapon’ †¦Ã¢â‚¬â„¢used in the murders, was based on Vincent’s forensic examination of the bullets’. The bullets had †¦. ‘six lands and grooves with a right hand twist with the lands wider than the groove, land . 063 and groove . 048, Vincent prepared a list of rifles which possessed those characteristics. ’ ‘The list of rifles with those characteristics would therefore identify the murder weapon’30. The defence utilised the services of an expert witness; Mr Barnes (a former Forensic officer later to be discredited) who indicated he was ‘not able to see how you could prepare a list of [weapons] based on those characteristics’ (the land and groove markings on the bullet) to the list of weapons prepared by Mr Vincent31. The inference drawn was the bullets used by Mr Vincent may have been substituted at a later stage. Both the High Court and the Court of Appeal both regarded ‘the issue as improbable’ and regarded ‘Mr Vincent as a credible witness’32. Blood splatter and gun residue Due to the word limit I will only touch on the issue of the other evidence that was gathered from the crime scene in Burwood, as it was not as significant as the ballistic evidence. A forensic scientist had determined that the blood stains from the dressing gown matched blood found on the oil filter that was used as a silencer33. Another forensic scientist determined that the lack of gun residue on the dressing gown was consistent with someone being shot a close range34. These pieces of evidence led to the police interrogation of Coulston who answered â€Å"no comment’. Coulston remained silent in regards to the murder charges throughout the trial and has maintained his innocence to the charges of murder35. Coulston ultimately appealed his conviction of murder to the High Court who dismissed his appeal on the ground that it had ‘no prospects of success. 36 He is now serving three consecutive life sentences and is never to be released. Conclusion The attention to detail and the corroboration of the evidence by another Forensic Officer is tantamount to the credibility of the evidence put before the court. Any mistake made by the Forensic officer can jeopardise the trial and possibly allow a murderer to walk free, as a jury is required to make a decision on the basis of beyond reasonable doubt. In this case, if there was doubt around the date of the job card, the list of weapons and the bullets used; this may put enough doubt in a juries mind to find Coulston not guilty37.

Wednesday, November 20, 2019

Career in Dental Surgery Personal Statement Example | Topics and Well Written Essays - 1750 words

Career in Dental Surgery - Personal Statement Example I go to his clinic and read his books about Dental Surgery. I have found great interest in the career of Dental Surgery. I want to be like that dentist that changed world history. "The extravagant headline "The Dentist Who Changed World History" is taken from the title of an article that appeared in Harper's Magazine, in December, 1943. The dentist referred to was Maurice William (1881-1973), who practiced in New York and who, if he didn't change world history, at least influenced the course of events in China." (4) The people in rural areas have less health resources so they are migrating to urban areas. A new report says "The year 2008 will be the first time that more than half of the earth's population-nearly 3.3 billion people-will be living in towns and cities." (5) Although people are generally afraid of approaching dentist as Taylor Caldwell, "[An] Anglo-American novelist, a prolific author of popular fiction, who used often in her works real historical events or persons"(6), says "I was never afraid of anything in the world except the dentist." (7) But I love Dental Surgery Career. I believe that if I do not love a career, I can not move forward in that career. this career. Motivation is one of the best gifts people possess in all aspects of their lives, but many of them do not even realize they have it or may not know how to use it. Motivation is a feeling that compels us to strive and succeed in all that we do or intend to do. Many people achieve success beyond their wildest dreams. It is often seen that they are not necessarily the smartest people around. Generally, it is seen that the people who succeed financially are the ones who are motivated to achieve success. Human beings have enormous

Tuesday, November 19, 2019

Identifying Problems and Offering Solutions Essay

Identifying Problems and Offering Solutions - Essay Example For instance, if one of the students was making noise in class, Nick would candidly to stop talking in class because that was the rule. This quite irritated his classmates and hence got him on the wrong side of the school bullies. They would spit in his lunch, knock over his books, call him names such as gay and faggot, and this really hurt his pride. Unfortunately, when Nick’s parents complained to the school authorities about their son’s predicaments, all they got was nothing more than ‘boys will always be boys’ or ‘we’ve done all we can’. One unfortunate morning, Nick Perry changed his pajamas and wore his favorite T-shirt and pair of jeans. Having had enough, Nick strapped a belt around his neck and hanged himself from the top of the shelf of his closet. When his father found him, it was too late to save him. Nick’s life had been cut short at his young age. Bullying in schools is a global problem and as Nick’s suicide case shows, it can have dire consequences. This article therefore looks into the causes of bullying in schools, its impact on students, the short and long term effects it has on the bullies and victims before discussing some of the strategies such as revision of school policies as solution to bullying in schools. Bullying can be defined as aggressive behaviors or actions that are done with the intent of making the victims feel belittled or hurting them. Bullying in schools can further be described as unwanted behaviors among students driven by either perceived or real imbalances of power. Bullying bears the following characteristics: Imbalance of power- the students who act as bullies, use the power at their disposal such as physical strength, popularity, seniority, or access to some embarrassing information about their victim, to control others. However, this imbalance of power is subject to change from time to time depending on the situation. It has to be

Saturday, November 16, 2019

The Purpose and Historical Academic Use of Formatting Styles Essay Example for Free

The Purpose and Historical Academic Use of Formatting Styles Essay It is critical to acknowledge sources to further prove an honest academic work. There are three major citation styles namely Chicago or Turabian, MLA, and APA. The Chicago Manual of Style, 15th edition, and commonly known as Turabian style is a style of formatting developed specifically for papers written in class and not for publication or for writing and formatting research paper. It enables the use of footnotes and or end note in combination with parenthetical referencing. Turabian style is named after the book’s original author, Kate Turabian with her study guide, â€Å"A Manual for Writers of Research Papers, Theses, and Dissertations†, and developed it for the University of Chicago. American Psychological Association or APA styling is necessary to prevent plagiarism and to maintain consistency among the different leagues of writing communities. APA is used in social sciences, education, engineering, and business adapted to present written material in the field. The editorial style is more like a formatting tool to ensure clear and consistent presentation of written material. The origin of APA dates back to February of 1929. The APA style was published in â€Å"Psychological Bulletin† as a result of 1928 meeting of representatives from anthropological and psychological journals to discuss the form of journal manuscripts and to write instructions for their preparation. The use of Modern Language Association of America (MLA) can protect writers from accusations of plagiarism or accidental and purposeful uncredited use of source material by other writers. It is addressed primarily to academic scholars, professors, graduate students, and other advanced-level writers of scholarly books and articles in humanities disciplines such as English and other modern languages and literatures. MLA style found its roots back in 1883 at The Johns Hopkins University, as a discussion and advocacy group for the study of literature and modern languages. MLA at present is the principal professional association in the United States for scholars of language and literature.

Thursday, November 14, 2019

The Death Penalty As a Form of Justice Around the World Essay -- Death

The Death Penalty As a Form of Justice Around the World Introduction: The death penalty is a subject that has become very big in the 21st century. Many centuries ago the death penalty is something that was widely practiced in almost all cultures. This revenge sort of action was the only way some old civilizations felt could really prevent criminals from breaking the law. The USA today is almost left alone among nations when it comes to the death penalty and the U.S. government does not have a problem with that. Arguments for the death penalty: Capital punishment permanently removes the worst criminals from society and should prove much cheaper and safer for the rest of us than long term. It is self evident that dead criminals cannot commit any further crimes, either within prison or after escaping or being released from it. Another argument for the death penalty is the cost factor. The state may very well better spend our resources on the elderly, young and the sick rather than the long-term imprisonment of murderers. Execution is a very real punishment rather than some form of treatment. The criminal is made to suffer in proportion to the offence. Although whether there is a place in a modern society, is a matter of personal opinion. There are many arguments why abolishing the death penalty should be done. Some argue the costs are too high, others think it is simply inhumane. I personally could not discount the value of human life because it costs less to kill someone rather that to keep them in jail. I do agree that all human life should be valued equally but that has not happened ever and I don't think it is going to start now. Even in a communist society, people are not equal. It is just the natu... ..."normal" in a sense. In conclusion I would like to say that I don't exactly know how the U.S. Catholic bishops felt about this issue a hundred years ago, but in modern times, death is not always the best way to solve society's problems. I am glad to see that a major influence has spoken out to help abolish the death penalty and I think that is a huge step in the movement. Nothing will ever change unless an influential body urges and persists with teachings of peace and non-violent alternatives. If the death penalty was abolished, I think over time we would in fact see the murder rates decrease as generations of children are raised sensitive to death and violence. Bibliography: www.wikipedia.org [for examples around world] Resource website Ideas after watching Dead Man Walking Emotions after reading Newspaper opinion pieces RE Pink Resource Book Section F

Monday, November 11, 2019

A&P/Araby Comparison

Christopher Nguyen Dr. Pedersen, 11:30-12:30 Araby and A&P Araby, written by James Joyce 1914 was about a young boy on a quest to woo over the girl of his adolescent dreams. A&P, written by John Updike in a completely different time period, was a story about a young store clerk trying to impress three teenagers by defending them from his manager. Both story lines are different, as well as the time periods and morals, but somehow and in some way, they share many similarities.Between the two stories, you could find a bunch of examples of how they are similar, but one of the more distinct ones is the fact that both stories are told from a first person point of view. In our first story Araby, it is told from the young boy’s point of view. Although nothing is said much about the little boy himself, we can tell from his point of view that he has a very big crush on his friend’s older sister. We also see from his point of view that he lives with an unappreciative uncle and a c oncerning aunt. From our other story A&P; we go into the life of Sammy.In his point of view, we find out that Sammy is a store clerk for a small-town A&P store down in Georgia. He obviously isn’t excited about his job, but when three teenage girls wearing nothing but bikinis on a random hot summer day, he takes notice. In the end, when his manager comes out and ridicules the girls for coming into the store looking indecent, Sammy decides to quit his job in order to defend the ladies thinking that they would commend him for his efforts. Sadly his actions go unnoticed and that’s when we all realize that life from there on will be harder for him.There’s another element in these two stories that share similar traits. It’s the conflict between the main character and the antagonist. In Araby, it’s the little kid falls for the pretty girl, only to be stopped by the antagonist, this case his drunken and broke uncle. A&P is a bit similar and it starts out w ith Sammy falling for â€Å"Queenie† and eventually Lengel, the store manager, is his opposition. Neither characters end up with what they truly wanted in the beginning, but it makes them realize that this is only the beginning.There is one special similarity between these two stories is so great that the authors hid well in the text was the vast imagery. In Araby, there was a vast amount of imagery and a lot of it referred back to the bible such as when he talks about Mangan’s sister’s holding her spikes, how her brothers were fighting over a cap, and how her hair fell over on side of her dress. In A&P, it referred to how â€Å"Queenie† was in some way a mermaid because of her long, white prima-donna lets and how she came down heavy on her heals.Sammy was in a way, mesmerized like Oedipus had been when they cross paths with the sirens. Although A&P and Araby have different story lines and plots, what they do have in common are hidden messages and dilemma s. Both main characters took the road of chivalry and romance, but obviously it didn’t work out for them. However it did make them realize that nothing in life is going to be so easy, and in order to achieve their goals, they would have to go through more experiences in order to get what they want later in life.

Saturday, November 9, 2019

Before the Great War the position of women in society depended on birth, class, marriage, and men

Women had to live up to an ideal created by men. This meant women had to appear less intelligent than their husbands, women had to be well mannered, and modest in behaviour and speech. Women from richer middle and upper class families had servants to look after their homes and weren't expected to work. Upper class women were brought up and educated to be a dutiful wife. Lower class women had to look after their husband, manage everything in the house as well as finance, be utterly faithful to her husband and willingly manage a large family Some women did go to work; in 1901 55% of single women and 14% of married women were at work. In 1914 the largest employer of women was the Domestic Service with 1,600,000 this is because the Domestic Service was regarded as better than working in factories. About 656,000 women worked in the factories of the textile industry – especially the cotton mills of northern England. Lots of women were in work but many of them hardly made enough money to live on. Married working class women faced a lot of problems. Families were large: 71% of women had four or more children and 41% had seven or more. Many women however lost children to diseases like Scarlet Fever, Diphtheria, and Tubercular. Children died because they didn't have any health care and doctors were expensive and hard to find. Poverty, bad housing and child bearing affected the health of working class women probably because they put the health of their husbands first as they had to be at work to earn money. Lots of women wanted the vote before the Great War. Suffragists wanted the vote and played by the law where as Suffragettes were more militant. The Suffragettes committed many acts of violence such as destruction of property and arson. Lots of people were against giving women the right to vote, even queen Victoria was. This meant women's suffrage had to gain support, so they continued with their marches and put posters up to try to gain support. The government passed a cat and mouse act which allowed Suffragettes to be released when they became ill because of their hunger strike and as soon as they were better again they were arrested and sent back to prison to finish their sentence. The outbreak of the First World War brought an end to the Suffragettes campaign.

Thursday, November 7, 2019

To what extent does business process reengineering improve sustainable competitive advantage The WritePass Journal

To what extent does business process reengineering improve sustainable competitive advantage Rationale / Background To what extent does business process reengineering improve sustainable competitive advantage Rationale / BackgroundDescriptionResearch MethodologyDeliverablesScheduleResources RequiredReferencesRelated Rationale / Background Due to the increasingly competitive and evolving environment of modern business, a significant focus now lies on business restructuring in order for firms to meet the demands of the global economy.   Buhalis and Owen (2010) see this necessity as the driver behind business process reengineering and as a result the practice is widespread, for instance Attaran (2004) highlighted a study in which 87% of businesses were found to engage in the process.   Much research has been conducted in this area (see Kettinger and Grover 1995), which points towards competitive advantage as the primary focal area. Based on Porter’s original five forces model (Porter 1979) companies now look to business process reengineering to create a sustainable competitive advantage for their firm. Whilst research done by Ansoff and McDonnell (1990) focuses on more traditionally held beliefs about a firm’s unique resources, many has since changed their beliefs on what is considered a dynamic capabil ity worthy of creating a sustained competitive advantage. Meed et al (1994) cited a company needs to transform in order to adapt to its environment, and Osborne (1997) suggested that the very nature of the issue requires ever evolving material. Thus there is becoming an increased focus on the more subjective capabilities of modern organizations, as Barney’s 1999 article noted how strategic resources tend to be evenly distributed across firms and so there is a new focal point of knowledge being central to the business reengineering process and to creating a sustained competitive advantage for modern businesses. According to Grint (1994) reengineering quickly became the buzzword for businesses in the 1990’s, set on organizational improvement and change. Business process reengineering is defined as â€Å"a requirement to study fundamental business processes, independent or organization units and information systems support, to determine if the underlying business processes can be significantly streamlined and improved† by Langer (2008) and is based on operational objectives in order to improve performance. For instance a firm may wish to simplify their processes, improve communication procedures or speed up their operational turnover (Sayegh 2005.) As mentioned previously the very nature of business process reengineering requires a circular flow of communication in order for business processes to continuously improve, as Guha et al (1993) suggested the process reengineering cycle to be implemented into organizations in order to quickly tweak any issues with a new process with a minimal delay on output.   The subject of business process reengineering is still relatively new and so there are suggestions for future improvements, as a significant focus now lies on not only creating the information systems but using them effectively. This requires what Earl et al (1995) called alignment, that a process must not only be operationally efficient it must also be aligned not only with the company’s other materials and systems but also with the existing knowledge of the firm’s staff. This view is supported by Burgelman et al (2008) who focused on the links between not only different management levels but also between different strategic levels of the business. The suggestion by Burgelman et al being that organizational knowledge is unevenly spread and so needs to be aligned more thoroughly.   According to Brynjolfsson and Renshaw (1997) business process reengineering does suffer from low success rates, due to a lack of tools for managing the change process. Brynjolfsson and Renshaw proposed utilising a matrix of change in order to help managers identify and deal with critical issues. In this sense the importance of organizational knowledge is evidently the weak link in making business process reengineering reach its potential. Therefore much work has been done to attempt to bridge this success gap between the operational processes of a business and people’s ability to use them (see Khosrowpour 2006.) Attaran (2004) believed information technology to be a key element of a successful reengineering approach, citing Bill Gates’ comment on the 2000’s focus being on velocity. Therefore it is feasible for a company to rely on information technology to understand processes if they operate in a particularly fast paced industry like the example Bill Gates was referring to. In fact Johnson and Vitale (1998) believed innovations in information technology to be the future source of competitive advantage for firms, usin g examples of where it has been essential for business success for instance linking systems between an organizations diversified functional areas. Organizational knowledge is therefore seen to be one of few sources of a sustainable competitive advantage for modern firms. Tacit knowledge means that no two companies are the same (Collis and Montgomery 1995) and so as a dynamic capability knowledge appears to fulfil the necessary criteria, seen by Ambrosini and Bowman (2002) as being difficult to imitate, difficult to substitute or transfer and being scarce. Especially vital in the modern business environment is the speed in which knowledge can be created or transferred, as Saint-Onge (1996) noted how a company’s intellectual capital needs to be in line with rapid technological developments.  Ã‚   This focus on human capital led Saint-Onge to cite the â€Å"knowledge era† of modern times. A key application for business process reengineering of this focus is the need to constantly reinvest in organizational knowledge, due to the attrition effects of competition decaying the casual ambiguity that knowledge creates (R eed and Defillippi 1990.)   Therefore the real challenge for modern companies is how to undertake this required reinvestment in business process reengineering. Cavusgil and Calantone (2003) pointed out in their study on tacit knowledge that the primary issue is sharing knowledge throughout the firm. Howells (1996) noted that in order to be fully utilised tacit knowledge can be transferred on a variety of levels as in many cases knowledge should not only be transferred horizontally but vertically in firms, i.e. that managers must pass on their knowledge to their staff and vice versa.   This vertical transfer is vital for informational systems as in many cases practicalities experienced by lower level staff are not considered by upper management. Due to the difficulty in representing tacit knowledge acknowledged by Lubit (2001) the suggestions on how to transfer knowledge throughout the firm focus on more informal means. Lubit believed social mechanisms to be the best option, citi ng how formalised processes will always leave gaps. Similarly Ambrosini and Bowman (2002) found that techniques such as individual questionnaires and storytelling were most suitable for demonstrating tacit knowledge. Description Project Aims and Objectives: To uncover relevant links between organizational knowledge and the firm’s business process reengineering, and the role of knowledge management in facilitating the reengineering process. To examine theoretical approaches to business process reengineering and empirical evidence of their respective success rates. To investigate the impact of business process engineering on sustainable competitive advantage from a theoretical standpoint. Research Methodology Due to the theoretical approach being adopted in this study, secondary research would be utilised in accomplishing the aforementioned research objectives. Based on this approach, the study would adopt an interpretivist epistemology.   According to Saunders et al (2007), â€Å"Interpretivism is an epistemology that advocates that it is necessary for the researcher to understand differences between humans in our role as social actors†. Interpretivism relates to how people make sense of the world around them, and how they interpret social phenomena. Compared to the positivist view, the interpretivist view relates essentially to the interpretation of findings by those collecting data, and a common risk is that there may be issues of reliability and validity due to its subjective nature (Collis and Hussey, 2003). Based on recommendations by Collis and Hussey (2003), an inductive approach would also be utilized in conducting the research, as this involves analyzing the theoretical data concerning business process reengineering and competitive advantage, and drawing up a conclusion (after indepth analysis), on how both factors may be related. Data collection and analysis within this study would involve the systematic review of literature, reviewing previous studies on business process reengineering, knowledge management and competitive advantage to establish the relationship between all 3 variables, and ascertain if and how they the reengineering of business processes could actually lead to an improved competitive advantage within an industry. Through the combination of a number of results from a number of studies, the researcher hopes to uncover reasonable, reliable and valid insights into the subject area. Relevant databases such as Business Source Premier, Ingenta Connect and Emerald Insights would be utilized in finding these researches. Further research would also be conducted on institutes of business, such as those who may have statistics on how business processes affect competitive advantage. An entire subchapter would also be devoted to critiques of business process reengineering, particularly in its relevance to competitive advantage, as this allows for a balanced critical research and helps support the study’s reliability. Secondary research has been adopted as opposed to primary research, as it essentially bases our findings on more extensive research that may have been done in the past. These literatures are usually wider ranging and cover a lot more aspects of BRR than this research could have, if it adopted a primary approach. Deliverables This project intends to deliver clear conclusions and recommendations on the following: The relationship between business process reengineering and knowledge management within organisational settings. Do they necessarily impact on one another? Does effective knowledge management particularly promote better results when processes are reengineered? Empirical findings on the success and / or failure rates of business process reengineering activities that have been conducted over the past decades. These could be differentiated based on industries, and conditions, such as whether the organisations properly utilised information technology or knowledge management systems. Empirical or theoretical evidence suggesting that business process reengineering does promote sustainable competitive advantage. Particular emphasis would be placed on how it was accomplished and the secondary factors (such as information or knowledge management technology) that may have acted as catalysts. Schedule Secondary research (literature search) to be completed within two weeks of the project’s start. Cross-examination of literature is to be completed within a week of the final data being collected. This will encompass all of the data to spot any clear patterns. Checking of the discovered patterns to ensure their viability, reliability and generalisability will also be aimed to be completed within the same week that the original cross examination has been completed. The Introduction and Methodology chapters would be written within a week from when the data has been gathered. This would help in the structure of these chapters. The systematic literature review would be written up and conducted using the thematic approach. Meaning that each of the project deliverables would be separated into different themes and analysed as such. Overall project timeline – A maximum of 4-5 weeks from starting to accumulate the relevant data to having a clear, presentable set of results. Resources Required No hardware resources are required, except for computer hardware to use in researching, analysing and writing up the project. Access to literature sources such as the journals mentioned above, and empirical results on business process reengineering may require library access to such journals and in-depth Internet research. The researcher is confident that he has the skills to accomplish all of these. References Ambrosini, V. And Bowman, C. (2002) Tacit Knowledge: Some Suggestions for Operationalization. Journal of management studies, Vol 38, Issue 6, pp 811-829. Ansoff, H.I. and McDonnell, E.J. (1990) Implanting strategic management. Prentice Hall New York. Attaran, M. (2004) Exploring the relationship between information technology and business process reengineering. Information and management, Vol 41, pp 585-596. Barney, J. (1999) Firm resources and sustained competitive advantage. Journal of Management, Vol 17, No 1, pp 99-120. Buhalis, D. And Owen, R. (2010) Business Process Reengineering. Business Process Management Journal, Vol 6, Issue 2, pp 113-121. Burgelman, R.A. Christensen, C.M. and Wheelwright, S.C. (2008) Strategic management of technology and innovation. McGraw- Hill / Irvin. Cavusgil, S.T. Calantone, R.J. Zhao, Y. (2003) Tacit knowledge transfer and firm innovation capability. Journal of business and industrial marketing, Vol 18, Issue 1, pp 6-21. Collis, D.J. and Montgomery, C.A. (1995) Competing on Resources: Strategy in the 1990s. Harvard Business Review, July-August. Earl, M.J. Sampler, J.L. and Short, J.E. (1995) Strategies for business process reengineering: evidence from field studies. Journal of Management Information Systems, Volume 12, Issue 1 (June 1995.) Grint, K. (1994) Reengineering History: Social Resonances and Business Process Reengineering. Organization, Vol 1, No 1, pp 179-201. Guha, S. Kettinger, W.J. and Teng, J.T.C. (1993) BUSINESS PROCESS REENGINEERING Building a Comprehensive Methodology. Information systems management, Vol 10, Issue 3. Howells, J. (1996) Tacit knowledge, innovation and technology transfer. Technology analysis and strategic management, Vol 8, No 2, pp 91-106. Kettinger, W.J. and Grover, K. (1995) Special section: toward a theory of business process change management. Journal of management information systems, Vol 12, Issue 1 (June 1995.) Khosrowpour, M. (2006) Advanced topics in information resources management. Vol 5. Idea group publishing. Langer, A.M. (2008) Business process reengineering. Analysis and design of information systems. Lubit, R. (2001) Knowledge Management : The Keys to Sustainable Competitive Advantage. Organizational dynamics, Vol 29, Issue 3, pp 164-178. Meed, J.W. Bots, P.W.G. and Sol, H.G. (1994) A hard core for soft problems: A business engineering case study within the Amsterdam municipal police force. TCBAUS IFIP Information systems international working conference, Gold Coast, Australia. Osborne, T. (1997) Business process reengineering. PACIS 1997 Proceedings. Porter, M.E. (1979) How competitive forces shape strategy. Harvard business review. Cited by Smit, P.J. (2000) Strategic planning: Readings. Juta and Company Ltd. Reed, R. and Defillippi, R.J. (1990) Causal Ambiguity, Barriers to Imitation, and Sustainable Competitive Advantage. The academy of management review, Vol 15, No 1 (January 1990) pp 88-102. Saint-Onge, H. (1996) Tacit knowledge the key to the strategic alignment of intellectual capital. Strategy and leadership, Vol 24, Issue 2, pp 10-16. Sayegh, F. (2005) Business process Reengineering.   EFS Technical report No.21. (December 15th 2005.)

Monday, November 4, 2019

Hewlett Packard (HP) - Introduction to Business Organization Coursework

Hewlett Packard (HP) - Introduction to Business Organization - Coursework Example It deals in manufacture and supply of laptops, printers, PC’s and variety of range of computers. HP operates a large network for the manufacture and supply of technological products; it operates in 170 countries of the world fulfilling the technological needs of millions. (HEWLETT PACKARD. 2012) HP was founded in 1939 by two of the classmates of Stanford University- Bill Hewlett and Dave Packard. It’s first ever product was an electronic test instrument and one of its early customers who boosted their sales initially was Walt Disney. (HEWLETT PACKARD. 2012) HP operates in 170 countries of the world which makes it operative in America, Asia Pacific, Europe, Middle East and Africa (EMEA). Its head office is located in Palo Alto, California –USA. Further it has installed HP Solution Centers in over 80 locations all around the world which provide technical support regarding the products to million of customers. (HEWLETT PACKARD. 2012) HP operates as a public listed c orporation and is listed on New York Stock Exchange. Financially, HP is a very sound company with an annual turnover of $127,245 million, generating a profit of $7,074 million. HP has a diversified portfolio of products and operates many different segments. Region wise it mostly generates its sales- 45% of it from America (which includes US, Canada and Latin America) the rest is generated from EMEA and Asia Pacific. Its most revenue generating segment is that of personal computers products and services which generates around 60% of the revenue. Other segments which are operated are imaging and printing group, enterprise server, storage and networking, HP software and HP financial services. The company is currently headed by Meg Whitman, the CEO and President of HP who was appointed on the posts recently in late 2011. (HEWLETT PACKARD. 2012) Organizational Structure: An organization’s structure plays a great role in executing its strategies. HP’s organizational structur e has grasped international attention from past decade. In 2000 Carly Fiorina was appointed as the Chief Executive Officer at HP, at that point Fiorina changed the organizational structure of HP which had been there for last 64 years. She dismantled the decentralized structure of HP and introduced a more modern concept of structuring the organization in which HP was to operate with a front-back approach in which back-end unit was to deal with manufacturing while the front-end dealt with sales, marketing and customers. That was the first time a large company with numerous production lines adopted this structure which requires high level of coordination. (PEARCE & ROBINSON. 2000) However this structural strategy was a fail and in 2005Mark Hurd was appointed as the CEO and he changed the structure back to it what it was before Fiorina, that is, a decentralized structure with independently run smaller units with a narrow product focus. The current organizational structure at HP allows f or greater accountability, high sense of responsibility, aids in cost reduction and accountability of spending and better control on production to sale activities. The decentralized structure at HP is basically made up of seven divisions/segments which are either organized on the basis of products or functions. Such a structure enables HP to have greater insight about the environment in which it operates as a technological business is highly dynamic, the divisions and units have to be adaptable and agile to the changes which is done by resting the power to plan day-to-day activities to the segments. However major strategic decisions are held with the higher level. Such a structure also supports a giant like HP which serves a market of trillions all around the world to execute more effectively. HP has

Saturday, November 2, 2019

Dealing with Crime and Disorder in Urban Parks Essay

Dealing with Crime and Disorder in Urban Parks - Essay Example The parks in the urban areas are quite large and the security that is present in these parks is not strong enough and not in much number that they can keep a strong check on what is going inside the park. They are only responsible of watching over the outside of the park that no terrorist or burglar enters the park; they only keep an eye on the people who are entering the gate and do not allow who they feel suspicious. The illegal drug dealers know many ways and techniques through which they can make their way to various places from which they can trade and the drug dealers have now chosen urban parks as their main spot of dealing and they usually enter the park well dressed and like respectable ordinary people so the security officers cannot differentiate them from ordinary people. These people then carry out their illegal business in the park and it can only be observed by the people who visit parks regularly for recreation and it cannot be stopped by the local security officers. T his crime has increased and become wide spread and nearly all big parks in the urban areas have been reported for the same issue. ... rolling or other such things then they inform their in charges which then come in a jiffy and quickly wind up their work before any concerned official can get informed and make any sort of raid. The illegal drug dealers have a very wide spread network and informants who are also wide spread in many different years who keep an alert eye 24/7 to prevent their business from being caught by the police (Kinnane, 1979). A very sad part of this whole case is that there are some black sheeps of our own police department who themselves are involved in such activities and business and they are basically those who inform these drug dealers about the raid the police are about to do and other details being discussed in the police department like informing them about the operational planning of the police department. The greatest threat that this business pose is the wide dealing of syringes; the dealers do not care about the syringes being used or unused, they just sell them and the addicted are in so want of them that they also do not care about the syringe and this is a major reason for many incurable diseases that are now a days becoming wide spread in many parts of the country. It is very necessary that a proper operational policing strategy is developed to control this serious and rapidly increasing issue (Ireland, 1996). A proper operational strategy must be designed in order to eliminate this issue from the root. If a weak strategy is designed then it will not be able to overpower the strong network of the illegal drugs business dealers. Like other departments it has become a necessity for the police department as well to design strategies, tactics and techniques and pay a lot of attention towards strategic planning in the past few years because with the advancements in

Thursday, October 31, 2019

Credible and Reliable Sources Essay Example | Topics and Well Written Essays - 500 words

Credible and Reliable Sources - Essay Example Thus, those who have traditionally been university educated, were white males from privilaged backgrounds. This demographic has changed, and so to should the language conventions that reflect an era when only white males attended university – the very individuals or group that established past conventions. Thus, one important tip, is not to use 'gendered pronouns', rather, one ought to use 'gender neutral' pronouns like they, or their. One of the other elements that makes APA a desirable or optimal format, is the brevity of the style. With regard to the notion of APA Abbreviations, one of the important goals stressed, is that the style or format should do as little as possible to distract the reader from the content of what is being read. It is maintained by the APA that the less style formatting that is used, the better. The less there is formatting, the less attention a reader is going to spend paying attention to anything other than the basic text. So, for example, wherever possible, information is abbreviated. One good example of doing this, is with author's names. Author first names are not given either with 'in text' citations, which is normal for a lot of style conventions, or with bibliographical information.

Tuesday, October 29, 2019

Politics of Globalistation Essay Example | Topics and Well Written Essays - 1500 words

Politics of Globalistation - Essay Example As stated by Mark (25), the dominance of one state over others in terms of economic and socio-political power is known as hegemony. Since the end of Cold World War, the United States has played a significant role in globalisation as a hegemon. U.S’ hegemony was able to impose its rules on the international system, provide goods to the system such as an international economic, financial and commercial order as well as global security and political order (Higgott 148). In short, the United States was able to open up national borders to foreign influences like political, cultural, and economic; thus, promoting globalisation. For this reason, in a world no longer defined by U.S’ hegemony, globalisation would not sustain. Higgott (156) claims that hegemony is crucial in creating international institutions that supply public goods, to the international system. Such institutions include World Trade Organisation, World Bank, International Monetary Fund, The North Atlantic Treat y Organisation, and United Nations, among others. However, Mark (33) argues that the role played by these international institutions is not responsible for stability of the international economy. This is because once they start; they do not need any further controlling since they can survive on their own and other nations come to value and preserve them. However, the United States hegemony does not only set rules for other nations, but also creates international institutions that supply public goods (Bryane 21). According to Robinson (36), such public goods would not be provided unless there was a nation in the international system willing to pay the disproportionate cost to supply them. In the current international system, the United State is the only nation able to absorb the disproportionate cost and supply the public goods to the international community; thus, creating a stable international economy which has less conflicts and more open. However, even if the U.S’ disprop ortionately bears the costs alone, it stands to gain due to its dominant position in the international system. Cox (256) claims that, US hegemony has contributed largely to global security through its military force. Nevertheless, many nations claim that the U.S’ has caused a reduction in international security; hence, they view America as a threat and doubt its intentions. This has led to destabilisation of the international cooperation. However, according to Cox (261), US military hegemony does not weaken global security, but rather promotes international democracy and liberty leading to political stability. For instance, the American military has helped to protect Saudi Arabia from attacks in order to ensure free flow of oil to other nations. Moreover, the stability of U.S’ hegemony has helped to prevent countries such as Germany from developing their own nuclear weapons; thus, protecting Asia and other European nations from destructive security competition and arms races (Harry 43). Therefore, if United States withdraws from its dominant role in the world, globalisation would deteriorate drastically due to lack of international security. However, without protection of Middle East by the U.S’ military hegemony, the free flow of oil is likely to be interrupted by war, which would result in increased oil prices and affect the global economy. Thus, increased oil prices would force nations to use coal that can cause environmental catastrophes

Sunday, October 27, 2019

Evolutionary Approaches to Economic Change

Evolutionary Approaches to Economic Change What is the evolutionary approach to economic change? How does it compare with conventional approach in mainstream economics? Introduction The changes in the economic process brought about by innovation, together with all their effects, and the response to them by the economic system, we shall designate by the term Economic Evolution†, Schumpeter (1939).[1] The above description of economic evolution by Schumpeter aptly illustrates the picture of the evolutionary approach to economic change, where innovations and technology set the economic system in dynamic motion.[2] It takes into account the complexity of economic change by emphasizing: a.) the importance of technology as a contributing factor to economic change; b.) the factors that create states of disequilibrium; c.) the uncertainty of the economic system; d.) the importance of entrepreneurship; and e.) the diversity of growth rates. The evolutionary approach emphasizes dynamism in terms of competition between and among firms, which necessitates making new adaptations to the changing environment brought about by transformations created by other firms. [3] On the other hand, the conventional approach to economic change in mainstream economics perceives economic change as a function of savings, population growth and technological progress (which are viewed as exogenous), ascertain t he static income per capita levels. [4] It assumes that the growth rate of total output will in fact, always move towards a given constant level which represents a state of steady economic growth. [5] Moreover, the conventional approach operates on the basis of assumptions that center on the existence of perfect information, absence of uncertainty and achievement of warranted economic change. Comparative Analysis of Evolutionary and Conventional Approaches to Economic Change Evolutionary and conventional approaches to economic change differ in many aspects. In the context of economic change, these important differences center on the following points: a.) use of metaphors; b.) states of equilibrium / disequilibrium; and c.) emphasis on technological progress as input to economic change. Use of Metaphors The evolutionary approach uses biological metaphors to explain economic change, which uses the living organism in its analogy in effecting such change. This approach uses biological / genetic mutations to represent the small changes coming from investments in already existing enterprises. The process of mutation as evolutionary adaptation for survival lies on the nature of biological mutations which happens at random and where natural selection weeds out the unsuccessful species. Similarly, economic change in the context of the evolutionary approach occurs in a competitive environment where changes are made at random and where enterprises with less efficient management systems become the unsuccessful ones. On the other hand, the conventional approach uses physical metaphors such as investments taking the form of physical inputs such as â€Å"modifications of existing factories, fields, roads, harbours, etc†. [6] States of Equilibrium / Disequilibrium The evolutionary approach highlights the dynamic interaction of the various firms, consumers, households and markets, taking into account the distribution of income and production among them, thereby emphasizing the influence of a diverse group of variables on economic change. This is in stark contrast to the consideration of the economy as an aggregate entity by the conventional approach. In effect, the variables being diverse and numerous in the perspective of the evolutionary approach, potentially create states of dynamic disequilibrium within the economic system. These states of disequilibrium are in fact embodied in the structural change within the economic system which is â€Å"a necessary reflection of diversity in the growth rates of different activities.[7] It rejects the classical assumption of Say’s Law [8] , [9], since the evolutionary approach is grounded on a more realistic view of the economy where society places a value on the goods produced based on its prefe rences and tastes, thus, the uncertainty of gains and losses are well taken into account. This realistic view of the evolutionary approach to economic change therefore delves into the interaction between the diverse agents or actors involved in the economic system as a whole. These interactive processes being essentially dynamic and transformative in nature, expose the economic system into more random forces that lead to a disorderly state or to a state of disequilibrium. In this scenario, market processes shape the competitive process which breeds innovation consequently leading to the restless quest for technological progress. Technological progress later determines market share and hence, becomes a useful yardstick of competitive edge. In this case, there is hardly any state of equilibrium, but instead, there exist randomly interacting forces colliding with one another, producing further disequilibrium in the economic system. A useful analogy would be to equate biological evoluti onary forces that determine the likelihood of an organism to survive in a constantly changing environment, to the economic factors that cause disequilibrium which determine the competitive strength of firms in the face of imperfect competition. The conventional approach views economic change as a stationary or static process, and thus, the growth of all activities† are â€Å"at a uniform rate†. [10] The neoclassical theory which follows a conventional approach negates the importance of economic forces that often influence the rate of economic change, making it an idealized approach. Thus, in this case, there is a total absence of unemployment or inflation, while what exists is a uniform return to scale. This approach models economic change in a state of equilibrium where economic decisions are made from perfect information, and are carried out with â€Å"perfect foresight and precision so that there is never any excess supply of or, excess demand for, labor or land.† [11] This approach also assumes that a perfect suitability exists in production between capital goods and consumption goods, thus, â€Å"only one commodity is produced which may be used either for final consumption or for addition to the st ock of instruments of production.† [12] Hence this steady state of economic change in the perspective of the conventional approach assumes that: (i) all elasticities of substitution between the various factors are equal to unity, (ii) technical progress is neutral towards all factors, and (iii) the proportions of profits saved, of wages saved, and of rents saved were all three constant, [13] The conventional approach inherently possesses an â€Å"apparent inability to account for observed diversity across countries† and a â€Å"strong and counterfactual prediction that international trade should include rapid movement towards equality in capital-labor ratios and factor prices.† [14] Since it emphasizes the production function where the relationship of inputs of factors used to generate the output becomes a major consideration, in effect, it uses the classical assumption of Say’s Law.[15] Technology as Input to Economic Change The evolutionary approach to economic change emphasizes the role of technological knowledge in the improvement of economic productivity. It presupposes that technological progress and innovation are central to the attainment of economic change. J.S. Gans asserts that acceleration to the growth rate could be achieved if resources would be allocated to the production and distribution of knowledge. [16] The endogenous sources of technological progress and innovation are the institutions and organizations within which it becomes an integral part. This approach emphasizes the need to capitalize on institutions and organizations as sources of technological knowledge, in effect highlighting the importance of entrepreneurship in the quest for economic change. The costliness of technological innovation becomes embedded in the central factor of entrepreneurship which is viewed as a factor that drives capital deepening through shifts in the production function to achieve a higher rate of techno logical progress.[17] The conventional approach regards technology as exogenous and therefore is not regarded as an inherent part of the economic system . It does not trace the source of economic growth to technological innovation and consequently assumes that technology is a free good,â€Å"manna from heaven.† [18] Conclusion In the final analysis, the revolutionary and conventional approaches to economic change lie on opposite planes of the overarching concept of economic change. Their differences lie on the following salient points: The evolutionary approach emphasizes: the use of biological metaphors, dynamic change, and disequilibrium factors in a diverse economic system and entrepreneurship; and puts significant consideration on the role of technological knowledge as an endogenous part of institutions and organizations responsible for wealth creation and distribution. The conventional approach on the other hand, espouses: the use of physical metaphors, static or comparative static condition; disregards entrepreneurship due to the aggregate production perspective; and considers technological knowledge as a free, exogenous good , not directly associated with wealth creation and distribution. References: Dosi, G., Nelson, R. R., â€Å"Evolutionary Theories†. In Markets and Organization, ed. Arena, R., Longhi, C., 205-234. New York: Springer – Verlag, 1998. Gans, Joshua, S. â€Å"Knowledge of Growth and the Growth of Knowledge†. Information Economics and Policy, 4 (1989/91): 201 – 224. Green, Eric Marshall. Economic Security and High Technology Competition in an Age of Transition: The Case of the Semiconductor Industry. Westport, CT: Praeger Publishers, 1996. Lucas, Robert, E. Jr., â€Å"On the Mechanics of Economic Development† . Journal of Monetary Economics , 22 (July 1988): 3-42. Martens, Bertin. The Cognitive Mechanics of Economic Development and Institutional Change. New York: Routledge, 2004. Meade, J. E. A Neo-Classical Theory of Economic Growth. New York: Oxford University Press, 1961. Meliciani, Valentina. Technology, Trade, and Growth in OECD Countries: Does Specialisation Matter?. London: Routledge, 2001. Metcalfe, J. Stanley. Evolutionary Economics and Creative Destruction. London: Routledge, 1998. Metcalfe, J.S. â€Å"Knowledge of growth and the growth of knowledge.† Journal of Evolutionary Economics, 12 (March 2002): 3-15. Nelson, Richard. How New Is New Growth Theory?. Challenge 40, no. 5 (1997): 29+. Reinert, E. S., Riiser, V. Recent Trends in economic theory – implications for development geography. Oslo, Norway: Studies in Innovation and Economic Policy ( Step Group) , 12 (August, 1994): 1-12. ISSN : 0804-8185. Available from: http://www.step.no/reports/Y1994/1294.pdf. Accessed ; 18, November, 2006. Scott, Maurice Fitzgerald. A New View of Economic Growth. Oxford: Clarendon Press, 1991. Sengupta, Jati K. New Growth Theory: An Applied Perspective. Northampton, MA: Edward Elgar, 1998. 1 Footnotes [1] J. Stanley Metcalfe, Evolutionary Economics and Creative Destruction (London: Routledge, 1998 ): 103. [2] Giovanni Dosi, Richard R. Nelson, â€Å"Evolutionary Theories† in Markets and Organization, ed. Arena, R., Longhi, C. (New York: Springer – Verlag, 1998): 205-234. [3] Maurice Fitzgerald Scott, A New View of Economic Growth (Oxford: Clarendon Press, 1991): 124. [4] Jati K. Sengupta, New Growth Theory: An Applied Perspective (Northampton, MA: Edward Elgar, 1998): 13. [5] J. E. Meade, A Neo-Classical Theory of Economic Growth (New York: Oxford University Press, 1961): 30. [6] Maurice Fitzgerald Scott, A New View of Economic Growth , 125. [7] J. S. Metcalfe, â€Å"Knowledge of growth and the growth of knowledge†. Journal of Evolutionary Economics 12 ( March 2002): 3-15. [8] Say’s Law assumes that â€Å"everything produced has some value for the community†. [9] Joshua S. Gans, â€Å" Knowledge of growth and the growth of knowledge†. Information Economics and Policy 4 (1989/91): 203. [10] J. Stanley Metcalfe, Evolutionary Economics and Creative Destruction, 3. [11] J. E. Meade, A Neo-Classical Theory of Economic Growth (New York: Oxford University Press, 1961): 4 [12] Ibid, 6. [13] . J. E. Meade, A Neo-Classical Theory of Economic Growth, 30. [14] Robert E. Lucas, Jr., â€Å"On the Mechanics of Economic Development†. Journal of Monetary Economics 22 (July, 1988): 3-42. [15] Joshua S. Gans, â€Å"Knowledge of growth and the growth of knowledge†. Information Economics and Policy 4 (1989/91):203 [16] Joshua S. Gans, â€Å"Knowledge of Growth.., 220. [17] J. S. Metcalfe, â€Å"Knowledge of growth†¦, 4. [18] Erik S. Reinert and Vermund Riiser. Recent Trends in economic theory – implications for development geography. (Oslo, Norway: Studies in Technology, Innovation and Economic Policy: Step Group, 1998): 10. ISSN: 0804-8185. Available from: http://www.step.no/reports/Y1994/1294.pdf. Accessed: 18 November, 2006.