Tuesday, January 28, 2020
Polymer: The Glass Transition
Polymer: The Glass Transition Formulation Chemistry Polymer: The Glass Transition In the solid state, semicrystalline polymers exhibit both amorphous and crystalline morphology. The glass transition is a property of only the amorphous portion of a semi-crystalline solid. [1] The glass transition temperature, Tg, is the temperature at which the amorphous materials change between the glassy and rubbery form. 1.1 Amorphous and Crystalline Polymers The amorphous polymers consist of molecules that are oriented randomly, unlike the crystalline ones which have polymer chains packed in ordered, repeating patterns in the three-dimensional crystal lattice. However the glass transition is different to melting because only amorphous polymers undergo the glass transition. Melting is a transition that occurs in crystalline polymers when these chains are disoriented from the crystal structures and become liquid. A sample of semicrystalline polymer can be composed of both amorphous and crystalline portions, therefore it can have both a glass transition temperature and a melting temperature. 1.2 Glassy and Rubbery States Below Tg, the amorphous regions of a polymer are in a glassy state and most joining or contact bonds are intact. [2] The molecules may be able to vibrate slightly, but are virtually motionless in which portions of the molecule wiggle around. Therefore polymer is generally hard, brittle and rigid. As the polymer is heated until it eventually reaches its glass transition temperature, the molecules start to wiggle around. In inorganic glasses, more bonds are broken with increased thermal fluctuations; while in organic polymers, non-covalent bonds between chains also become weaker. By heating above Tg, there is long-range segmental motion where the polymer chains can move around easily. It is now described in its rubbery state which offers flexibility and softness for plastic deformation without fracture. Below Tg, the chains are firm and unbendable to relieve the force being applied. This is due to either (a) the chains are strong to resist the stress; or (b) the force applied is excessive for the motionless polymer chains to overcome, so the polymer sample will just break or shatter.[1] Such mobility with temperature is heavily dependent upon the ââ¬Å"heatâ⬠content because Tg is a kinetic parameter. The Tg decreases with slower melt cooling rate. It is also affected by other factors listed in section 1.4. Heat is a form of kinetic energy that causes random motion of molecules and the pliability of polymer, in comparison to ââ¬Å"coldâ⬠polymers which lack kinetic energy to move around and hence are brittle on cooling. Example of this behavior is the glass transition of chewing gum. It is soft and pliable at body temperature, characteristic of an amorphous solid in its elastic, rubbery condition. The gum then turns hard and rigid when it comes into contact with cold drink or ice cube in the mouth. 1.3 Glass Transition vs. Melting The differences are outlined in the table below: Generalised Anxiety Disorder (GAD): Theories and Treatment Generalised Anxiety Disorder (GAD): Theories and Treatment Introduction Modern cognitive-behavioural therapy (CBT) grew out of the merging of behavioural therapy, developed in the 1950s to 1970s, and cognitive therapy developed in the 1960s (Graham, 2004). Broadly, it attempts to deal directly with a clients manifest symptoms through both cognitive and behaviour strategies. Cognitive theories target particular irrational beliefs which are thought to be the source of behavioural and emotional problems. Historically, CBT is well-established in the treatment of anxiety disorders, but has only been adapted more recently for use in psychosis (Tarrier, 2002). This essay will first examine the theory and practical treatment of generalised anxiety disorder (GAD) using CBT. Then the treatment of psychosis will be considered in the same way, but concentrating on the similarities and differences to the treatment of anxiety. CBT Treatment of Generalised Anxiety Disorder The main feature of GAD is excessive and uncontrollable worry (Wells, 2002). The DSM-IV states that for a positive diagnosis of GAD, the worry must occur more days than not over a period of six months (American Psychiatric Association, 1994). The DSM-IV also lists a number of somatic and cognitive symptoms which include, for example, muscle tension. A variety of different treatments have been used for GAD including both directive and non-directive therapies. Fisher Durham (1999) examine the effectiveness of different treatment methods and the number of clients making a full recovery. The most successful treatments in their meta-analysis were CBT which achieved a recovery rate of 51% and applied relaxation which achieved a 60% recovery rate. To understand how GAD is treated using CBT, it is necessary to understand the model of worry that it is based upon. Beck (1976) produced the most widely referenced model of anxiety which links emotions and thinking. In this model it is the patients thoughts and images relating to anticipated danger that immediately precede, and cause, anxiety attacks. In appraising their environment, anxious patients overestimate both the likelihood and severity of a negative event occurring and so take defensive action (Blackburn, 1995). Under the umbrella term of CBT a number of different approaches to treating GAD have been used. They normally focus on two main factors: cognitive work aimed at challenging the clients beliefs and thought processes as well as behavioural work teaching anxiety management strategies (Wells, 2002). Borkovec (2002) describes the cognitive aspect of CBT as focussing on how the client perceives the world and attempting to move this onto a more accurate footing. Generally, this is done by eliciting how the client is perceiving events in an anxious way. Then, the client is encouraged to apply logical thought processes to their own perceptions to challenge the way they are thinking. The therapist attempts to supplant these original thought processes with cognitive interpretations that do not lead to increased anxiety. Clients are usually given homework in which they attempt to identify anxiety attacks, what preceded them and what followed them. Hopefully, by demonstrating to the client that their catastrophic predictions do not occur in reality, it is possible to break down the automatic negative thoughts. Some researchers have been critical of this basic cognitive approach as it does not focus on meta-cognitive factors (Wells, 2002). A revision to the model has been added by Wells (1995) who introduces the distinction between Type 1 and Type 2 worry. Type 1 worry is that referred to above the worry about physical symptoms and external events. Type 2 refers to worrying, as it were, about worrying: meta-worrying. Type 1 worrying is dealt with in approximately the same manner described above, but greater focus is given here to Type 2 worrying. Type 2 cognitive interventions focus on two factors: the uncontrollability of the worrying and appraisals and beliefs about the dangers of worrying. Once negative meta-cognitions have been elicited, they can be challenged and worked with in the same way as before. An example of this type of metacognition is that a client can believe that worrying is harmful because it increases blood pressure and thereby this is harmful to the body (Wells, 2002). The therapist would address this by explaining that occasional high blood pressure is not associated with chronic health problems. The second aspect in treating anxiety by CBT is the use of behavioural strategies (Borkovec, 2002). This involves teaching the client techniques for relaxing their body such as meditation, progressive muscle relaxation and relaxing imagery. Clients are encouraged to practice these techniques even when they are not anxious so they feel comfortable with their implementation. In addition, in some circumstances clients will be exposed to situations which make them anxious in order to provide realistic practice opportunities (Borkovec, 2002). A further type of behavioural strategy employed is a stimulus control method. This involves the client in deciding on a period of the day in which worrying will be carried out, carrying out monitoring of their daily worrying, and trying to only worry in the designated period. Then, in the designated period of worrying, clients practice their cognitive skills. Two other techniques used are behavioural activation strategies encouraging the client to engage in more pleasant activities and imagery rehearsal techniques which involve practicing new responses to environmental cues likely to cause worry (Borkovec, 2002). CBT Treatment of Psychosis Unlike the symptoms of anxiety which can be stated relatively succinctly, the experiences of those with psychosis vary to a large degree. Those with schizophrenia-spectrum disorders, for example, can suffer from hallucinations, delusions, perceptual anomalies as well as some associated problems like depression and anxiety itself (Garety, Fowler Kuipers, 2000). The CBT therapist will, therefore, be targeting a greater variety of symptoms than with anxiety, and usually over a much longer period: perhaps three or more times as many sessions as for anxiety. The use of CBT in psychosis was nevertheless developed from the techniques used to treat conditions like depression and anxiety (Tarrier, 2002). CBT is generally used in addition to powerful antipsychotic medications and is aimed at helping clients to better cope with their psychoses. CBT has been investigated in a number of different patient groups, the largest body addresses those with chronic conditions that are treatment-resistan t, with studies generally finding it to be effective (Sensky et al., 2000). More recent studies have found it to be effective in acute and recent-onset schizophrenia (Lewis et al., 2002). The theoretical model for CBT in psychosis is necessarily much broader than that used for anxiety. While the relations between thoughts, feelings and behaviour are important, these have to be set against wider issues. The causes of psychosis are usually multi-factorial and thought to stem from the social environment, biological vulnerability and psychological processes (Garety et al., 2000; see also the stress-vulnerability model: Strauss Carpenter, 1981). In order to reach an effective case formulation, therefore, the therapist needs to examine the confluence of these different factors along with the clients stresses, vulnerabilities and responses. Like anxiety, at the centre of the cognitive model of psychosis lies the idea that the therapist can address all the different types of symptoms by examining cognitive processes. One example Garety et al. (2000) point to was made by Frith (1992), which claims that symptoms of thought insertion are a result of deficits in normal cognitive self-monitoring processes. Similarly, the anxious component of psychosis is seen as resulting from maladaptive appraisals. At heart, the theoretical model of CBT for psychosis relies on the same fundamentals as that for anxiety: that making the client aware of these problematic thought processes will provide some relief. Where it differs theoretically is that it is addressing a wider variety of factors social and biological as well as psychological and so the treatment has to reflect this fact. Turning now to the practical aspects of CBT for psychoses, Garety et al. (2000) outline a six-stage process. The first involves building and maintaining a therapeutic relationship. This was taken for granted in the discussion of anxiety because, to a therapist, this is a given. With psychotic clients, though, there are significantly greater barriers to the building of a therapeutic relationship. The client may well suffer psychotic symptoms during sessions as well as being paranoid about and suspicious of those trying to help them. The second stage is providing cognitive-behavioural coping strategies for the positive symptoms of psychosis (Garety et al., 2000). Similarly to anxiety treatment, this might include reality testing on delusional thoughts, self-monitoring of symptoms and using distraction and withdrawal (Phillips Francey, 2004). The third stage involves attempting to understand the experience of psychosis. Here, the therapist attempts to bring together strands from the clients life and experiences and link them to their psychotic symptoms. Further, however, the therapist also looks to provide some sort of normalisation to the already high level stigmatisation associated with psychosis. This third stage in treating psychosis differs considerably from the treatment of anxiety, which generally does not address wider social issues in depth. Fourthly, the therapist will specifically examine hallucinations and delusions (Garety et al., 2000). This will often be hard as the client will have developed a series of beliefs that are heavily reinforced. These are addressed using standard CBT techniques such as those used in anxiety. Where the approach for psychosis differs, however, is that attempts to change long-held thoughts are not made until well into the therapeutic process and the therapists manner is slower and softer. In addition, compared to CBT for anxiety, there is less emphasis on the patient generating their own alternative interpretations, and more on the therapist providing them. Some clients may not even agree their beliefs are delusional and so the therapist has to work within the boundaries set by the client. The fifth aspect of CBT for psychosis as laid out by Garety et al. (2000) focuses on depression, anxiety and negative self-evaluations. Those suffering from psychosis will often have low self-esteem. This can be the result of long-standing negative self-evaluations which can be targeted by cognitive therapy techniques of reviewing how they arose and then providing a challenge to the thinking. Both depression and anxiety are also treated in this way. Finally, Garety et al. (2000) look at issues of social desirability and risk of relapse. Throughout therapy, the therapist is looking to the future and helping the client to think about their short and medium-term plans. While Garety et al.s (2000) model is influential, it should be noted that the treatment of psychoses, like that for anxiety, is not monolithic there are a variety of different formulations and approaches. Some focus more on particular aspects such as the delusions or coping strategies. Garety et al. (2000) argue, however, that many treatments are now becoming more integrated in order to address the wide range of symptoms in psychosis. Outcomes and Comorbidity The outcome research varies across different types of psychosis and so it is difficult to compare with anxiety outcomes. A further complication is the different methods used and the rapidly developing nature of CBT as an intervention. Psychosis is certainly harder to work with than anxiety because of the sheer number of factors involved and, as a consequence, the outcomes are generally not nearly as good as those for anxiety. One clear similarity between the CBT treatment of psychosis and that for anxiety is their comorbidity in psychotic disorders. Looking across bipolar disorder, schizoaffective disorder and schizophrenia, Cosoff Hafner (1998) found 43% to 45% of psychotic patients had a form of anxiety disorder. Indeed, in their sample, Cosoff Hafner (1998) found that, even though anxiety disorders are often responsive to treatment, none of the patients had been treated for it. Research has questioned whether anxiety might be a dimension of a psychotic disorder like schizophrenia while others suggest they form a subgroup of the patient population (Braga, Petrides Figueira, 2004). Supporting the dimensional view, Lysaker Hammersley (2006) have found a relationship between both delusions and inflexible thought (characteristic of psychosis) and higher levels of social anxiety. Further, looking at schizophrenia in particular, Braga, Petrides Figueira (2004) argue that much of the research shows better outcomes for those treated for comorbid anxiety. While the repertoire, order and specific implementation of techniques used in CBT differs between psychosis and anxiety, the therapeutic relationship will be central to success in both treatments. Factors that Beck Emery (1990) highlight include trust on the part of the client in the therapist, a collaborative approach and a focus on educational issues. Conclusion The treatment of both anxiety and psychosis with CBT is based on identical underlying principles. Theoretically, both approaches involve focussing on the types of attributions and automatic negative thoughts the client is experiencing as well as aspects of behaviour. Similarly, both approaches require a strong therapeutic alliance in order to be successful. The practical implementation of each intervention is, however, tailored for the disorder. The client suffering from psychosis is likely to have a much wider range of symptoms to deal with and, as such, CBT for psychosis generally takes longer and addresses more complex issues. Part of this will involve the therapist in attempting to understand and interpret the experience and causes of psychosis. This is in contrast to CBT for anxiety which will focus more on problem solving. There is evidence to suggest, however, that anxiety forms a part of certain psychoses, and in this situation its treatment should form part of a wider integr ated approach. Finally, outcomes in CBT for psychosis are generally more modest than in anxiety as psychotic symptoms are considerably more challenging for the therapist. References American Psychiatric Association (1994) Diagnostic and statistical manual of mental disorders (4th ed.). Washington DC: American Psychiatric Association. Beck, A. T. (1976) Cognitive Therapy and the Emotional Disorders. New York: International Universities Press. Beck, A. T., Emery, G. (1990) Anxiety Disorders and Phobias: A Cognitive Perspective. Cambridge: Perseus Books. Blackburn, I. M. (1995) Cognitive Therapy for Depression and Anxiety. Oxford: Blackwell Publishing. Borkovec, T. D. (2002) Psychological aspects and treatment of generalized anxiety disorder. In: D. J. Nutt (Ed.). Generalised Anxiety Disorder: Symptomatology, Pathogenesis and Management. London: Taylor Francis. Braga, R. J., Petrides, G., Figueira, I. (2004) Anxiety disorders in schizophrenia. Comprehensive Psychiatry, 45(6), 460-468. Cosoff, S. J., Hafner, R. J. (1998) The prevalence of comorbid anxiety in schizophrenia, schizoaffective disorder and bipolar disorder. Australian and New Zealand Journal of Psychiatry, 32(1), 67-72. Fisher, P. L., Durham, R. C. (1999) Recovery rates in generalized anxiety disorder following psychological therapy: An analysis of clinically significant change in the STAI-T across outcome studies since 1990. Psychological Medicine, 29, 1425-1434. Frith, C. D. (1992) The cognitive neuropsychology of schizophrenia. Hove: Lawrence Erlbaum Associates. Garety, P. A., Fowler, D., Kuipers, E. (2000) Cognitive-behavioural therapy for people with psychosis. In: B. Martindale, A. Bateman, M. Crowe, F. Margison (Eds.). Psychosis: Psychological Approaches and Their Effectiveness Putting Psychotherapies at the Centre of Treatment. London: Gaskell. Graham, P. J. (2004) Introduction. In: P. J. Graham (Ed.). Cognitive Behaviour Therapy for Children and Families. Cambridge: Cambridge University Press. Lewis, S. W., Tarrier, N., Haddock, G., Bentall, R., Kinderman, P., Kingdon, D., Siddle, R., Drake, R., Everitt, J., Leadley, K., Benn, A., Grazebrook, K., Haley, C., Akhtar, S., Davies, L., Palmer, S., Faragher, B., Dunn, G. (2002) A randomised controlled trial of cognitive behaviour therapy in early schizophrenia: acute phase outcomes in the SOCRATES trial. British Journal of Psychiatry Supplement, 43, 91-97. Lysaker, P. H., Hammersley, J. (2006) Association of delusions and lack of cognitive flexibility with social anxiety in schizophrenia spectrum disorders. Schizophrenia Research, 86(1-3), 147-53. Phillips, L. J., Francey, S. M. (2004) Changing PACE: Psychological interventions in the prepsychotic phase. In: P. D. McGorry (Ed.). Psychological Interventions in Early Psychosis: A Practical Treatment Handbook. Chichester: John Wiley and Sons. Sensky, T., Turkington, D., Kingdon, D., Scott, J. L., Siddle, R., OCarroll, M., Barnes, T. R. (2000) A randomised controlled trial of cognitive- behavioural therapy for persistent symptoms in schizophrenia resistant to medication. Archives of General Psychiatry, 57, 165-172. Strauss, J. S., Carpenter, W. T. (1981) Schizophrenia. New York: Plenum. Tarrier, N. (2002) Cognitive-behaviour therapy in the treatment of schizophrenia. In: H. Hafner (Ed.). Risk and Protective Factors in Schizophrenia: Towards a Conceptual Model of the Disease Process. Berlin: Steinkopff Verlag. Wells, A. (1995) Meta-cognition and worry: A cognitive model of generalised anxiety disorder. Behavioural and Cognitive Psychotherapy, 23, 301-320. Wells, A. (2002) Cognitive therapy for generalised anxiety disorder. In: F. W. Bond (Ed.) Handbook of Brief Cognitive Behaviour Therapy. Chichester: John Wiley and Sons. Southwest Airlines: Culture, Values and Operating Practices Southwest Airlines: Culture, Values and Operating Practices Rollin King planned to start low cost airlines that would shuttle passengers between San Antonio, Dallas and Houston. This idea came in his mind due to the complaint of businessmen about the delay of airlines. When all airlines were in losses at that time the Southwest Airlines were earning profit. It was because of the business strategy. They offered lowest and simple charges to get passengers to their destination on time and Muse wanted his executive team to be willing to think independently instead of worked on the institutional practices. One of the things that attract me a lot that there was a plan of profit sharing with senior employees that was first in the airline industry (Arthur A. Thompson, 2008). What grade would you give Southwest management for the job it has done in crafting the companys strategy? What is it that you like or dislike about the strategy? Does Southwest have a winning strategy? Southwest airlines performed successful in the airlines industry. The company demonstrated the ability to quickly dominate markets. Here are some strategies that were really appreciable: Product Positioning Strategy: Southwest airlines carefully projected its image in front of customers and competitors. It offered ticketless travelling by not assigning seats to the passengers so that they could reach the destination on time (Arthur A. Thompson, 2008). Price Strategy: Southwest airlines had offered the lowest domestic airlines charges. There was a plan of profit sharing with senior employees that was first in the airline industry (instituted in 1973) (Arthur A. Thompson, 2008). Promotion Strategy: Southwest airlines wanted to concentrate more on customer preference and benefits. It encouraged its employees to dress casually at work and this created a positive image in front of the customers. (Arthur A. Thompson, 2008). Digital Media Promotion: This was a first airline that developed a web site and online booking facility (Arthur A. Thompson, 2008). One drawback of southwest airlines was that it was taking 6 to 12 rounds in a day. Fuel, air frames and diesel were very costly and southwest airline were not fully boarded. Hence the revenue generation was minimal and the airlines could not make sufficient profits (Arthur A. Thompson, 2008). QUESTION 3 What are the key policies, procedures, operating practices, and core values underlying Southwests efforts to implement and execute its low-cost/no frills strategy? Some policies for the low cost are: The company was operating only one type of aircraft having 737 seats which minimized the spare parts, inventories, maintenance training, and proficient improvement. The company offered ticketless journey which eliminated the expenses of printing and processing paper tickets. The company was serving airports near metropolitan areas and medium sized cities that minimized fuel cost and helped to reach destination on time. Southwest was using point-to-point scheduling of flights instead of hub-and-spoke system which was more efficient in comparison with the later. Southwest didnt have first class section in any of the flights and offered only beverages and snacks (Arthur A. Thompson, 2008). QUESTION 4 What are the key elements of Southwests culture? Is Southwest a strong culture company? Why or why not? What problems do you foresee that Gary Kelly has in sustaining the culture now that Herb Kelleher, the companys spiritual leader, has departed? The company provided free and satisfied environment to the employees. It had positive, innovative and simple culture which contributed to the growth of the company. (Arthur A. Thompson, 2008). Garry Kelly was appointed as vice chairman of the board of directors in 2004. There are some problems that I foresee when Gary Kelly has sustaining the culture: Other rival airlines can copy their spirit and culture that can be problem for the company. Gary was applying changes according to his taste and the company was facing continuous changes. Hence it became difficult to survive in rapidly changing environment. There was no market stability because of the rapidly changes environment (Arthur A. Thompson, 2008). QUESTION 5 What grade would you give Southwest management for the job it has done in implementing and executing the companys strategy? Which of Southwests strategy execution approaches and operating practices do you believe have been most crucial in accounting for the success that Southwest has enjoyed in executing its strategy? Are the any policies, procedures, and operating approaches at Southwest that you disapprove of or that are not working well? The southwest management should get the highest grade in my opinion. Employees maintenance has been crucial in accounting for the success of southwest airlines. The strategy of lowest price with accommodation was very tough but the southwest airlines made it easy (Arthur A. Thompson, 2008). I disapprove due to the following reasons: Southwest should try to expand its existing route. They didnt have Miami International airport as hub even though it is a city of population with a large number in and out flights. Another policy was that the fat people had to take two tickets for being able to sit comfortably in the airline. This was embarrassing to the people who were overweight (Arthur A. Thompson, 2008). QUESTION 6 What weaknesses or problems do you see at Southwest Airlines as of mid-2010? There were some problems that came in the mid of 2010 at the southwest airlines: It depended on only one producer. Southwest was running only one flight of 737 seats there must be some optional flight. Booking of flights became difficult because southwest had eliminated the intervention of agents because of commission amount. Southwest were only focusing on the economy class but have no attention towards business class who were willing to pay for their seats. Money was not the big issue for them (Arthur A. Thompson, 2008). QUESTION 7 Does the Air Tran acquisition make good strategic sense for Southwest? Southwest have a very distinctive and unique culture. The Air Tran acquisition put significant risk. Southwest has one type of plane 737. With the acquisition of Air Tran it started flying the 717 to Mexico and the Caribbean. It was a big shift for southwest (Arthur A. Thompson, 2008). The main base of Air Tran was Atlanta that was a huge delta hub while southwest had started to fly their flights out of the United States. This proves that the acquisition made a good sense not only in business perspectives but also for maintaining the cost effectiveness of the service (Arthur A. Thompson, 2008). QUESTION 8 What strategic issues and problems do Gary Kelly and Southwest executives need to address as they proceed to close the deal with the Air Tran acquisition and contemplate how best to integrate Air Trans operations and Air Trans employees into Southwest? Some problems that need to address Gary and the southwest executives are: Southwest needed to incorporate Air Tran employees into the culture of Southwest that was serving good customer service, lowest costs and lowest charges. To analyze the level of Air Tran employees and the Southwest employees. They have to look on the opportunities and try to enhance business share. They have to analyze that how to conduct flights outside the United States (Arthur A. Thompson, 2008). QUESTION 9 What recommendations would you make to Gary Kelly and Southwest executives as the company heads into 2011? The following are the recommendations for the company: The company has to work on the long term goals. Strategies should be made in accordance with the fuel prices which usually act as a barrier to conventional business growth. Provision should be made for reservations to be performed directly on the site of southwest.com without any intervention of third parties. There must be opportunity for internet marketing. The management of the company should start travelling outside the United States for increasing the market shares. The turnaround time should be improved. The prices of the services should be kept as low as possible. Offering of different types of seating classes with different rates should be helpful for increasing the revenue (Arthur A. Thompson, 2008).
Sunday, January 19, 2020
Analysis of The World Bankââ¬â¢s Findings on Air Pollution Essay -- Pollut
Analysis of The World Bankââ¬â¢s Findings on Air Pollution (PM10 Concentration) in World Cities The World Bank is an international non-governmental organization with the goal of aiding developing countries throughout the world with financial and technical assistance. Besides the obvious concern of financial stability for the impoverished countries of the world, the World Bank also focuses on education, health, infrastructure, and communications. Our analysis deals with the environment and infrastructure aspects of the World Bankââ¬â¢s work. The World Bank provided us with the dataset entitled ââ¬Å"Air Pollution in World Cities (PM10 Concentration).â⬠ââ¬Å"PMâ⬠stands for particulate matter pollution in the air. This dataset showed every major city in the world with a population of 100,000 or more and also every countryââ¬â¢s PM concentration. The country-based portion of the dataset was used for this analysis. The primary determinants of PM concentrations are the scale and composition of economic activity, population, the energy mix, the strength of local p ollution regulation, and geographic and atmospheric conditions that affect pollutant dispersion in the atmosphere. (World Bank) Thanks to economic improvements throughout the world and technological advancements, PM10 concentration has increased at a very slow rate. The objective of this analysis was to determine the pollution concentration of several regions throughout the world, including Africa, Asia, Australia/Oceania, Central America, Europe, the Middle East, North America, and South America. Our original null hypothesis was that the à ¼ of the pollution concentration of each region was equal. Conversely, the alternative hypothesis states that the à ¼ of each region is not equal. We used se... ... show the discrepancy between region means, but it can also be physically observed when comparing the two extremes of Europe at 30.95 and Africa at 73.31 PM10 concentrations. It is obvious from the results of this analysis that the world has a wide range of pollution effects. Traditionally more advanced regions such as Europe and North America have pollution under control because of a stable economy and a wide array of technological resources. Other regions such as Africa and Central America are struggling with pollution, relative to more developed regions, improvements in technology and structural shifts (World Bank) in the world economy are helping these regions keep air pollution to a minimum. WORKS CITED 1. The World Bank http://econ.worldbank.org/WBSITE/EXTERNAL/EXTDEC/EXTRESEARCH/0,,contentMDK:20785646~pagePK:64214825~piPK:64214943~theSitePK:469382,00.html
Saturday, January 11, 2020
Metro Group
Metro Group Executive Summary: Metro has taken initiative to implement RFID tagging to better track its inventory and improve its supply chain management. The palette level tracking which has been implemented at certain stores has proven beneficial and now Metro is considering case level tagging. Given the cost savings, improvement in inventory and store level performance, the case level tagging would yield higher savings as compared to palette level tagging. Since RFID technology is evolving very fast the primary cost ââ¬â price of tags, would decreases significantly and thereby would increase ROI.Therefore, with the assumptions case level tagging is recommended over palette level tagging. In-Store Logistics problem: One factor that contributes to in store logistic problems is on shelf availability of products. Thereââ¬â¢s about 6% to 10% out of stock rate in grocery retailing and that is a major problem in loss of revenue and potential loss of customers. The cause of this pr oblem could be that the inventory already exists in store but the in store inventory system is not sophisticated enough to prevent the problem. RFID, however, can help improve inventory data accuracy and stock visibility.Another problem is promotion compliance ââ¬â because of the numerous promotions going on per store, the stores lack the resources to carry out all the events effectively and that could result in manufacture dissatisfaction due to unsatisfactory promotions. Using RFID can help in pallet and case level by giving accurate stock information so manufacturers can see how their promotions are doing as well as if markets are holding their end of the bargain. Finally, RFID can improve problems in productivity and labor efficiencies. One problem is workers unable to locate items to physically scan them with traditional readers.With RFID, the worker just needs to be within the vicinity so no extra work needed to identify correct pallet from within a case. Another labor pro blem that arises is too much manual work done by workers to scan items when they arrive, with RFID, the pallets can just arrive on location and just be unloaded instead of manually inspecting codes by workers. Process flow of the supply chain: Upon production, the assembly of the pallets is conducted at the manufacturerââ¬â¢s plant. The pallets are stored either at the manufacturerââ¬â¢s warehouse or are shipped to a distribution center (DC).From the DC the pallets are either shipped to one of Metroââ¬â¢s DCs or directly to a Metro store. At the Metro DC pallets are either kept as they arrive or get unbundled and repackaged as mixed pallets. Every pallet contains from 60 to 80 cases with some exceptional cases of 900cases/pallet. The above flow requires high labor force. As a next step, the stock room determines how much of the product should be moved directly to the sales floor and how much needs to remain in the stock room. There are cases where products marked for the sa les floor had to be returned back to the stock room due to lack of display space.The products displayed at the sales floor are also relocated for promotional events. A retail store receives shipments either directly from the manufacturer or from a variety of Metro DCs. In addition to the various locations the shipments originated, the size of the pallets, the pallet mix, the randomness of the delivery schedules there are also cases where a product has to be returned for quality issues or product damage. Business Process Optimization at the pallet level: The major difference between barcodes and RFID tags is that RFID tags do not require a direct line of sight for scanning and processing.This leads to major process automation wherever the process scanning is required, e. g. scan barcode on pallet, scan storage barcode to verify location, forklift driver scans barcode on pallet etc. Whenever a pallet is within a read range from an RFID reader, the scanning automatically takes places, therefore, the employee doesnââ¬â¢t have to physically locate and scan the tag (ultrahigh frequency benefits displayed in Exhibit 3). Apart from that, RFID tags can store information about the object itself (location, case counts, etc. ).This leads to major picking and truck loading process optimization. Whenever a pallet is created, the number of cases and pallet location can be stored in the tag and placed on the pallet. Pallet movement can then be detected by readers placed within the warehouse for improved warehouse visibility. This allows employees to locate the pallets quicker and reduce the time required to move pallets to outgoing docks for shipment. Inbound and outbound pallet inspection during the truck loading process becomes faster, more accurate, and requires less resource utilization.RFID readers at the loading docks will be able to automatically check the identity of a pallet when it is moved onto or off the truck, eliminating in that way the need for manual scanni ng and inspection. Business Process Optimization at the case level: Implementation of RFID tags at the case level reduces the need for forklift readers to count cases on the pallets as the case tags provide immediate signal notification of case count. As pallets are stored in the Metro DC for potential case mixing, current process flow is facilitated by improved efficiency of mixed-pallet picking.In addition, RFID tags identify optimal picking paths for the employees or the best route to take through the warehouse when they search for the products that will consist of the mixed pallet. During shrink-wrapping, the need to label the mixed pallets is eliminated as case tags will verify and notify trucks (headed from Metro DC to Metro stores) for the pallet content. Case level RFID tags also eliminate the 1% mixed pallet case recounting process, a result of too many or too few cases being picked for mixed pallets or wrong cases altogether being picked.The tags on the cases notify employ ees of improper inclusion or exclusion without the need for manual recounts. Process improvement is facilitated through more efficient shelf restocking at the store level. For the first time, employees have improved visibility of what is in the backroom, instead of relying upon memory of backroom items. This will help limit the stock outs but will also improve the inventory-ordering accuracy. Last but not least, storage mapping utilized in conjunction with case level RFID tags limits the time required for searching the replenishment cases.When the point-of-sale data indicates that a shelf is empty, employees are notified that replenishment is required, have clear visibility of the number of that particular item available in the backroom, as well as the exact backroom item location. Cost-Benefit analysis: Exhibit 1 shows the cost benefit analysis for the implementation of RFID either at palette level or case level. In both scenarios, Metro would not be generating enough incremental p rofits as opposed to the investment.Certain assumptions were made regarding average cost of tag, average number of pallets reaching DC and number of DC. In case of palette level tagging, manufacture is set to make huge savings per plant which is evident from per palette saving data as well. But for the case level tagging, Metro will be generating high incremental savings but not more than investment. Assuming that tags and portal bought by Metro runs for 5 years, Metro will break even on its investment in less than 2 years and would earn more than $11M savings per year thereafter.
Friday, January 3, 2020
Congress Passed Health Insurance Portability and...
During the 1980ââ¬â¢s, medical-related situations continuously occurred that made patients question their insurance policies as well as the privacy of their health care. Congress worked to create a bill containing strict rules regarding insurance policies and availability for one to keep their insurance if they are to move jobs. These rules were soon applied to all medical facilities and faculty and titled the ââ¬Å"Health Insurance Portability and Accountability Actâ⬠.The H.I.P.A.A. policies brought about change in professionalism, medical standards, taxing, and enforcement. Throughout history, maintaining patient privacy has always been a problem in the medical field. Patients have the right to their privacy and the information that they do notâ⬠¦show more contentâ⬠¦Fortunately, HIPAA does apply to health plans, healthcare clearinghouses, and to any healthcare providers that transmit health information in electronic form in connection with transactions for which th e Secretary of HHS has adopted standards under HIPAA. HIPPA covers five specific sections. In the first section, Health Insurance Access, Portability, and Renewability, HIPPA deals with protecting health insurance coverage for people who lose or change their jobs. Preventing Healthcare Fraud Abuse, Administrative Simplification, Medical Liability Reform, the second section, numerous healthcare offenses are defined with civil and criminal penalties set for each. This section also deals with the standardization of healthcare related information systems. Section 3, Tax-related Health Provisions, provides for certain deduction for medical insurance, and makes other changes to health insurance laws. As for the section 4, Application and Enforcement of Group Health Insurance Requirements, this section specifies conditions for group health plans regarding coverage of persons with pre-existing conditions, and modifies continuation of coverage requirements. Revenue Offsets, the last sectio n that HIPAA covers, includes provisions related to company-owned life insurance, treatment of individuals who lose U.S. citizenship for income tax purposes and repeals the financial institution rule to interest allocationShow MoreRelatedAnalyzing The Past, Present And Future Of The Congressional Attempt At The Health Care Reform1704 Words à |à 7 Pagescongressional attempt at the health care reform. Originally presented to congress was the Health Security Act in 1993, which was not enacted until June 2014. The Health Security Act started the foundation for patient privacy and the security of an individualââ¬â¢s health information. As the years passed the Health Security Act became quickly outdated and needed to be updated to complement the sudden progression of current technology advances. Congress was presented the Kennedy-Kassebaum Act, which defined patientRead MoreThe Hipaa Act Of 1996851 Words à |à 4 PagesWhat is the HIPAA Act of 1996? HIPAA, what is it? It is privacy, control, and peace of mind. You have the right for your medical information to be kept confidential. You have the right to decide whether or not family members are privy to your medical information. If you are changing jobs, why worry about health insurance coverage. Picture this. A woman called a local hospital and inquired about the condition of a patient. She was informed by the nurse that the patient was on a ventilator and couldRead MoreHealth Insurance Portability And Accountability Act Essay1382 Words à |à 6 Pages Health Insurance Portability and Accountability Act Final Research Paper Dominique Bracco Healthcare Today (300) Professor Diana December 7, 2016 ââ¬Æ' Abstract The Health Insurance Portability and Accountability Act (HIPAA) is divided into five titles. Title I is health insurance portability, Title II is administrative simplification, Title III is medical savings accounts and health insurance tax related provisions, Title IV is enforcement of group health plan provisions, and title V is revenueRead MoreHipaa Which Stands For Health Insurance Portability And716 Words à |à 3 Pages HIPAA which stands for Health Insurance Portability and Accountability Act was established August 21st in 1996. The bill was signed by Bill Clinton who was president of United States during the following date. HIPAA is used for protecting the privacy of a clientââ¬â¢s personal and health information. This policy is also used to providing electronic and physical security of oneââ¬â¢s information. HIPAA is also known as being a security rule. In order to get this policy passed, the HIPAA required the SecretaryRead MoreThe Health Insurance Portability And Accountability Act1438 Words à |à 6 Pagestype of power you can bet that the country would be corrupt. The Health Insurance Portability and Accountability Act is there to prevent such events happening. HIPAA, or Health Insurance Portability and Accountability Act, was implemented to help serve the people and keep information safe. Originally it started out as a way to ensure that Americans going between jobs would still be covered by their insurance companies. Since then the act has came a long way in protecting the American citizens. It preventedRead MoreThe Health Insurance Portability And Accountability Act Essay1704 Words à |à 7 PagesThe Health Insurance Portability and Accountability Act, most commonly known as HIPAA, was passed by Congress and signed by President Bill Clinton on August 21, 1996. The purpose of t his act was to regulate the privacy of patient health information, lower the cost of health care, as well as to help fix the many pieces of our complicated healthcare system. When switching employers or possibly losing employment, HIPAA secures individuals their health insurance. HIPAA nearly affects all individualsRead MoreThe Health Insurance Portability And Accountability Act1416 Words à |à 6 PagesHistory The history of the Health Insurance Portability and Accountability Act, or HIPPA, began in 1996 when a legal mandate was issue by Congress to protect the ethical principles and confidentiality of patient information (Burkhardt Nathaniel, 2014). Prior to this legislation, employees were not protected between jobs. Waste, fraud and abuse in health insurance and healthcare delivery was prevalent. The need to protect the rights of the patient was needed but also the Act contained passages to promoteRead MoreThe Health Insurance Portability And Accountability Act1609 Words à |à 7 Pagesthe job of health care providers to maintain doctor-patient confidentiality. Not only is it a legal obligation it is also an ethical obligation to many doctors, nurses, physicianââ¬â¢s assistants and many other medical staff. Until recently medical records were primarily recorded on paper and stored in cabinets and locked in what was believed as a secure room. The Health Insurance Portability and Accountability Act also known as HIPAA, was passed on August 21, 1996. Although the law was passed in 1996 itRead MoreThe Health Insurance Portability And Accountability Act Essay1267 Words à |à 6 PagesAbstract The Health Insurance Portability and Accountability Act (HIPAA) is divided into five titles. Title I is health insurance portability, title II is administrative simplification, title III is medical savings accounts and health insurance tax related provisions, title IV is enforcement of group health plan provisions, and title V is revenue offsets. HIPAA affects many features of health care, including providing the privacy rights of patients for release of financial and medical informationRead MoreHIPAA: Privacy and Security Rules The Computer, the Nurse and You1436 Words à |à 6 PagesHIPAA: Privacy and Security Rules The Computer, the Nurse and You Introduction How would you like to keep track of your personal health information record in your computer at home? The electronic data exchange was one of the goals of the government to improve the delivery and competence of the U.S. healthcare system. To achieve this plan, the U.S. Congress passed a regulation that will direct its implementation. The Department of Health and Human Services is the branch of the government that
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