Thursday, October 31, 2019

Review #2 Essay Example | Topics and Well Written Essays - 250 words

Review #2 - Essay Example Yet there are still many unanswered questions, and it is likely that our current understanding of pre-Homo sapiens past will change completely as new evidence is discovered (Wenke and Olszewski, 85). Many scientists fascinated by the relatively short time between the earth’s formation and the density of the modern day human civilizations, believe that life on earth comes from the accidental connection of the earth’s orbit with the cloud of complex chemicals brewed in some ancient stellar explosion. On the other hand, many people believe in the Divine creation story. However, the major argument of anthropology is that one should begin any research into our origins, history as well as destiny bearing in mind the real-world factors of culture, climate, and genetics among others. With the careful study of the shattered fragments of our ancestors, their tools and other material evidence we can at least detect something about our nature and our past. According to Wenke and Olszewski (86), a human being is a unique animal who is different from other life-forms. A traditional view is that we are unique in our ability to manipulate symbols and that the evolution of this ability underlies in all human achievements. Although it’s a fact that modern humans are different from other primates, it should be noted that our earlier ancestors were so much alike to other primates as one goes back in time and we must also admit that symbolic capacities of our ancestor remain unknown to

Tuesday, October 29, 2019

Organisational Change And Development Essay Example | Topics and Well Written Essays - 2500 words

Organisational Change And Development - Essay Example It has three stages or phases, viz. design, planning and implementation. As much as organizations differ in their internal leadership and cultural set up, the theoretical approaches to change also differ. For instance there are entrepreneurial, bureaucratic and autocratic organizations or/and leadership styles. They need equally diverse and effective theoretical approaches for change. Nowadays nature and the needs of the organizations are changing rapidly and organizational development is changing to meet the changing need of the organization. Thus typical organizational development activities include some forms such as team building, organizational assessment, carrier development, training, coaching, leadership development and change management. It is aim to improve health and effectiveness of the individual and organizational level. It was Kurt Lewin who first suggested a model based on force field. According to Lewin a typical business organization is in equilibrium at a given time. Two opposing forces act on the organization to bring it in to equilibrium. These forces were named by him as driving forces and restraining forces. The former consists of those elements within the organization seeking to change the direction of the organization constantly while the latter is opposed to such changes. When these two forces match each other's strength, the organization would not experience any disequilibrium. However when the driving forces become stronger change becomes inevitable. Thus the organization moves in to a new equilibrium. Thus Lewin came up with new ideas of group dynamics and action research based on organizational development process which is a growing field in many modern organizational approaches. It is often connected with organizational effectiveness.Another theoretical construct on organizational c hange is based on research carried out by Rosabeth Moss Kanter who argued that it is not necessary to have the backing of the management to bring about change. For instance according to this theory the organization requires authority power, vision, leadership, management and cultural change so that a better view of the organization's capabilities can be obtained. However Kanter suggested that irrespective of where a certain individual employee is in the organization there would be no exclusive power given to one of them to change the organization. These theories were followed by some other not so important variants. Analysis During the past two decades organizational change and development has become a very important aspect in the modern day management practice. Change is more appropriate when everything else has failed to ensure the continuous survival of the business (Clark, 1999). However change and development in itself might not be desirable when the degree of resistance to change becomes stronger because when resistance gathers momentum that in itself is an indicator of the existence of other solutions. If organizational change and development were focused on improving critical success factors related to financial management, Human Resource

Sunday, October 27, 2019

Approaches to Flat Slab Design

Approaches to Flat Slab Design Abstract This dissertation aims at the flexure behaviour of reinforced concrete flat slabs in the elastic range and at the ultimate load. As such, it endeavours to give readers a thorough knowledge of the fundamentals of slab behaves in flexure. Such a background is essential for a complete and proper understanding of building code requirements and design procedures for flexure behaviour of slabs. The dissertation commences with a general history background and the advantages of using flat slab as the type of floor construction. After that, an introduction of various slabs analysis method as well as the determination of the distribution of moments using elastic theory will be discussed. The building code based methods like ACI direct design method, Simplified coefficient method for BS8110 and EC2 and Equivalent frame method will be explained in details. After that follows a detailed of limit procedures for the ultimate analysis and design of flat slab using general lower bound theory for strip method and upper bound theory for yield line analysis. Besides, the fundamental of the finite element method will be discussed as well. Then, analysis will be carried out on a typical flat slab panel base on each design approach available such as yield line method, simplified coefficient method, direct design method, finite element method as well as Hillerborg strip method. The flexure resistant obtained from the analysis result will then be compared among each others and highlighting the possible pros and cons of the different analysis. Eventually, the analysis results will then be discussed in order to conclude a rational approach to flat slab design and further recommendation will be given to the future improvement of this research. 1. Introduction Concrete is the most widely used construction material in the world compare to steel as concrete is well known as the most versatile and durable construction materials. In fact, concrete is also one of the most consumed substances on Earth after water [1]. Concrete has played a major role in the shaping of our civilization since 7,000 BC, and it can be seen everywhere in our built environment, being used in hospitals, residential buildings, schools, offices, industrial buildings and others [2]. Nowadays, construction should not just be about achieving the cheapest building possible, but providing best value for the client. The best value may be about costs, but also includes speed of construction, robustness, durability, sustainability, spacious environment, etc. In fact, many type of concrete floor construction can easily fulfilled the above requirements. In the past, forming the concrete floor construction into shape was potentially the most costly and labour intensive part of the process. Nowadays, with the help of modern high efficiency modular formwork has speed up the concrete floor construction process. Alternatively, floor slab elements may be factory precast, requiring only assembly, or stitching together with in-situ elements. The result is an economic and swift process, capable of excellent quality and finishes to suit the buildings needs. 1.1 Types of concrete slab construction Concrete slab floor is one of the key structural elements of any building. Concrete floor choice and design can have a surprisingly influential role in the performance of the final structure of the building, and importantly will also influence people using the building. In general, cost alone should not dictate slab floor choice in the construction. However, many issues should be considered when choosing the optimum structural solution and slab floor type that give best value for the construction and operational stages. The optimum slab floor option should inherit benefits such as fabric energy storage, fire resistance and sound insulation between floors and others as achieving these requirements will eventually help the concrete building to lower the operation costs and maintenance requirement in long term. In general, reinforced concrete slab floors can be divided into three categories as detailed below: Flat slab Flat slab is also referred to as beamless slab or flat plate. The slab systems are a subset of two-way slab family, meaning that the system transfer the load path and deforms in two directions. It is an extremely simple structure in concept and construction, consisting of a slab of uniform thickness supported directly by the columns with no intermediate beams, as shown in Figure 1.1. The choice of flat slab as building floor system is usually a matter of the magnitude of the design loading and of the spans. The capacity of the slab is usually restricted by the strength in punching shear at the sections around the columns. Generally, column capitals and drop panels will be used within the flat slab system to avoid shear failure at the column section when larger loads and span are present, as shown in Figure 1.2. Figure 1.1: Solid flat slab Figure 1.2: Solid flat slab with drop panel Flat slab is a highly versatile element widely used in construction due to its capability of providing minimum depth, fast construction and allowing a flexible column grid system. Slabs supported on beams One-way spanning slabs are generally rectangular slabs supported by two beams at the opposite edges and the loads are transferring in one direction only. Figure 1.3 shows the type of one-way slabs. Deep beam and slab Band beam and slab Figure 1.3: Type of one-way slabs However, slab supported on beams on all sides of each panel are generally termed two-way slabs, and a typical floor is shown in Figure 1.4. Figure 1.4: Two-way slab The beams supporting the slabs can generally be wide and flat or narrow and deep beam, depending on the structures requirements. Beams supporting the slabs in one or two way spanning slabs tend to span between columns or walls and can be simply supported or continuous. In this beam-slabs system, it is quite easy to visualize the path from the load point to column as being transferred from slab to beam to column, and from this visualization then to compute realistic moments and shears for design of all members. This form of construction is commonly used for irregular grids and long spans, where flat slabs are unsuitable. It is also good for transferring columns, walls or heavy point loads to columns or walls below. This method is time consuming during the construction stage as formwork tends to be labour intensive [3]. Ribbed and Coffered slabs Ribbed slabs are made up of wide band or deep beams running between columns with equal depth narrow ribs spanning the orthogonal direction. Loads are transferring in one direction and a thin topping slab completes the system, see Figure 1.5. Ribbed with deep beam Ribbed with wide beam Figure 1.5: Types of ribbed slabs Coffered slab may be visualized as a set of crossing joists, set at small spacing relative to the span, which support a thin slab on top. The recesses in the slab usually cast using either removable or expendable forms in order to reduce the weight of the slab and allow the use of a large effective depth without associated with slab self weight. The large depth also helps to stiffer the structure. Coffered slabs are generally used in situations demanding spans larger than perhaps about 10m. Coffered slabs may be designed as either flat slabs or two-way slabs, depending on just which recesses are omitted to give larger solid areas. Figure 1.6 shows the types of waffle slabs. Coffered slab with wide beam Coffered slab without beam Figure 1.6: Type of coffered slabs Ribbed and coffered slabs construction method provides a lighter and stiffer slab, reducing the extent of foundations. They provide a very good form where slab vibration is an issue, such as electronic laboratories and hospitals. On the other hand, ribbed and coffered slabs are very consuming during the construction stage as formwork tends to be labour intensive [3]. 1.2 Flat slab design as the choice of research The choice of type of slab for a particular floor depends on many factors. Cost of construction is one of the important considerations, but this is a qualitative argument until specific cases are discussed. The design loads, serviceability requirements, required spans, and strength requirement are all important. Recently, solid flat slab is getting popular in the construction industry in Europe and UK due to the advantages as below: Faster construction Construction of flat slabs is one of the quickest methods among the other type of floors in construction. The advantages of using flat slab construction are becoming increasingly recognised. Flat slabs without drops (thickened areas of slab around the columns to resist punching shear) can be built faster because formwork is simplified and minimised, and rapid turn-around can be achieved using a combination of early striking and flying systems. The overall speed of construction will then be limited by the rate at which vertical elements can be cast [4]. Reduced services and cladding costs Flat slab construction places no restrictions on the positioning of horizontal services (eg. mechanical and electrical services which mostly running across the ceiling) and partitions and can minimise floor-to-floor heights when there is no requirement for a deep false ceiling. In other words, this helps to lower building height as well as reduced cladding costs and prefabricated services [4]. Flexibility for the occupier Flat slab construction offers considerable flexibility to the occupier who can easily alter internal layouts to accommodate changes in the use of the structure. This flexibility results from the use of a square or near-square grid and the absence of beams, downstands or drops that complicate the routing of services and location of partitions [4]. Undoubtedly, flat slab construction method is getting popular but there are still many different views about what constitutes the best way of reinforcing concrete in order to get the most economic construction. In addition, a range of methods is available for designing the flat slab and analysing them in flexure at ultimate state. Different analysis and design methods can easily result in variety of different reinforcement arrangements within a single slab, with consequent of making the different assumptions in each analysis and design method. Therefore, this research project will concentrate in examining the various analysis methods for the design of flexural reinforcement of reinforce flat slabs in terms of the code provisions, yield line analysis as well as finite element analysis method. 1.3 Research objectives Reinforced concrete slabs are among the most common structural elements, but despite the large number of slabs designed and built, the details of elastic and plastic behaviour of slabs are not always appreciated or properly taken into account especially for flat slab system. This happens at least partially because of the complexities of mathematic when dealing with elastic plate equations, especially for support conditions which realistically approximate those in multi-panel building floor slabs. Because the theoretical analysis of slabs or plates is much less widely known and practiced than is the analysis of elements such as beams, the provisions in building codes generally provide both design criteria and methods of analysis for slabs, whereas only criteria are provided for most other elements. For example, Chapter 13 of the 1995 edition of the American Concrete Institute (ACI) Building Code Requirements for Structural Concrete, one of the most widely used Codes for concrete design, is devoted largely to the determination of moments in slab structure. Once moments, shear, and torques are found, sections are proportioned to resist them using the criteria specified in other sections of the same code [5]. The purpose of this research project is to examine the analysis methods such as Hillerborgs strip, yield line analysis, equivalent frame method, finite element method and etc. particularly for the design flexural reinforcement of reinforced flat slabs, and meanwhile to gain full understanding of the theories. The different analysis methods will then be analysed and compared with the flexural capacity method calculated using general codes of ACI 318 [5], Eurocode 2 [6] and BS8110 [7]. The outcomes of the comparison will lead to highlight the pros and cons of different approaches and codes paving the way to find out a rational approach for the flat slab design in flexure. The main objectives of the proposed research are: To examine the different methods and codes use to handle the flexural capacity of the slab. To outlined the different positive and negative aspect in a specific code or method of design To gain full understanding of the flexural design theories and code requirements. To highlight the most economical design solution to overcome the flexure in a flat slab while maintaining the safety as code requirements. 1.4 Research dissertation methodology The following will be the proposed methodology of the research dissertation: Background of flat slab in construction industry Research of the evolution of flat slabs in the past decades and the major contributions made for the construction industry. Difficulties faced during the flexure design of flat slabs in the past and the possible solution for the problems will be discussed. This part of research process result in closer to the background history and the revolution of flat slab in construction. Overview of flat slab design methods Examine each design approaches used to design for flexure in flat slab such as yield line analysis, Hillerborgs strip method, the simplified coefficient method for BS8110 or Eurocode 2 and direct design method for ACI. An insight into different methods and codes will help to establish and revise the general code provisions and also gain the full understanding of theory and design of flat slab. Analysis of flat slab with different approaches Different analysis and design approaches for flexural reinforcement of RC flat slabs will be performed based on the same model slab. For instance, finite element computer software packages will be used to perform the finite element analysis. This part will eventually provide a deep understanding of various design methods as well as the ability to use finite element software in analysis and design. Research the flexural pros and cons in a flat slab among each design methods to get the rational design approach. Discussion The numerical analysis results obtain from different design methods and the codes will be discussed and compare among each others and also to the experimental results obtain in the previous research papers such as Engineering journals and other relevant engineering sources. This process will ultimately lead to a proper and systematic comparison of the codes and methods used, and highlighting their pros and cons. Conclusion This part will conclude the discussion on advantages and disadvantages of all the examined design methods trying to establish which design method may result in a more economic and rational solution. Furthermore recommendations if required and the possible future areas of research will be brought up. 1.5 Dissertation layout Chapter 2 Overview of Design This section will cover the brief of the evolution of flat slabs history. Brief introduction to the current codes for flat slab design such as American Concrete Institute ACI-318, British Standard BS8110 and Eurocode 2. In addition, the fundamental of analysis and flexure strength requirement of each code will be briefly described. Brief introduction to design methods and history of yield line analysis, Hillerborgs strip method and finite element analysis in the slab flexure design. Chapter 3, Analysis Introduction of the analysis process and assumption made for each analysis methods. Focusing on different numerical aspects of the design under different codes and approaches. This section will provide deep understanding of various design methods and how the methods deal with the flat slab flexure problem. Chapter 4, Discussion Comparison between different code equations and theories. Various numerical result from different approaches will be compared and discussed based on the experimental results from past research papers. Pros and cons of different methods for design codes (eg. ACI, EC2 and BS8110), Hillerborg strip method, yield line analysis Graphs and tables will be available to show the summary of the results from different methods. Chapter 5, Conclusion Summarise the economic and rational flexural design approach for flat slab Further recommendations 2. Overview of Design Method The aim of chapter 2 is to provide an overview of the current practice of the design of reinforced concrete flat slab systems. General code of practice of ACI 318, EC2 and BS 8110 requirements are presented, along with the brief of the ACI direct design method, EC2/BS8110 simplified coefficient method, equivalent frame method, yield line, Hillerborgs strip method as well as finite element method. Each procedure and the limitations are discussed within. The following discussion is limited to flat slab systems. That is, the design methodologies presented below relate only to slabs of constant thickness without drop panels, column capitals, or edge beams. In addition, prestressed concrete is not considered. 2.1 Approaches to the analysis and design of flat slab There are a number of possible approaches to the analysis and design of reinforced concrete flat slab systems. The various approaches available are elastic theory, plastic analysis theory, and modifications to elastic theory and plastic analysis theory as in the codes (eg. ACI Code [5]). All these methods can be used to analyse the flat slab system to determine either the stresses in the slabs and the supporting system or load-carrying capacity. Alternatively, these methods can be used to determine the distribution of moments to allow the reinforcing steel and concrete sections to be designed. 2.1.1 Elastic theory analysis Conventional elastic theory analysis applies to isotropic slabs that are sufficiently thin for shear deformations to be insignificant and sufficiently thick for in-plane forces to be unimportant. The majority floor slabs fall into the range in which conventional elastic theory is applicable. The distribution moments forces found by elastic theory is such that: Satisfied the equilibrium conditions at every point in the slab Compliance with the boundary conditions Stress is proportional to strain; also, bending moments are proportional to curvature The governing equation is a fourth-order partial differential equation in terms of the slab deflection of the slab at general point on the slab, the loading on the slab, and the flexural rigidity of the slab section. This equation is complicated to solve in many realistic cases, when considering the effects of deformations of the supporting system. However, numerous analytical techniques have been developed to obtain the solution. In particular, the use of finite difference or finite element (FE) methods enables elastic theory solutions to be obtained for slab systems with any loading or boundary conditions [8]. Nowadays, with the advancement of computer technology software, designer can easily obtained the bending and torsional moments and shear forces throughout the slab easily with any finite element software packages such as ANSYS, LUSAS, STAAD PRO, SAP2000 and others. 2.1.2 Plastic analysis The plasticity, redistribution of moments and shears away from elastic theory distribution can occur before the ultimate load is reached. This redistribution occur because for typical reinforced concrete section there is little change in moment with curvature once tension steel has reached the yield strength. Therefore, when the most highly stressed sections of slab reach the yield moment they tend to maintain a moment capacity that is close to the flexural strength with further increase in curvature, while yielding of the slab reinforcement spreads to other section of the slab with further increase in load. To determine the load carrying capacity of rigid-plastic members, two principles are used as below: Lower Bound Theorem states that if for any load a stress distribution can be found which both satisfies all equilibrium conditions and nowhere violates yield conditions, then the load cannot cause collapse. The most commonly used approach is Hillerborgs Strip method [9]. Upper Bound Theorem states that if a load is found which corresponds to any assumed collapse mechanism, then the load must be equal to or greater than the true collapse. Finding a load which may be greater than the collapse load may be considered to be an unsafe method; however, because of membrane action in the slab and the strain hardening of the reinforcement after yielding, the actual collapse load tends to be much higher. The commonly used approach of this method is yield line theory [9]. 2.2 Early History and Design Philosophies Credit for inventing the flat slab system is given to C.A.P. Turner for a system describe in the Engineering News in October 1905. However, the first practical flat slabs structure, Johnson-Bovey Building was built in 1906 in Minneapolis, Minnesota, by C.A.P. Turner. It was a completely new form of construction, and in addition there was no acceptable method of analysis available at that time. The structure was built at Turners risk and load-tested before hand in to the owner. The structure met its load test requirements hence the flat slab system was an instant commercial success and many were built in the United States later on [10]. Robert Maillart was also one of the founding fathers of flat slab from Europe, a design-and-built contractor who was perhaps better known for his work on the design of Reinforced Concrete Bridge. In 1908 Malliart carried out a series of full-scale tests on his flat slab system, see Figure 2.1. About the same time, Arthur Lord, a research fellow at the University of Illinois, also became interested in understanding how flat slabs behaved. In 1911, Lord obtained approval to instrument and test load a seven-storey flat slab building in Chicago. The view and work by them paves the way for the development of flat slabs. Their work evolved into a codified method of design and in 1930 became the London Building Act [11]. Then, Robert Malliarts dimensioning method is reviewed and compared with methods of elastic plate theory and plastic analysis. When compared the results with as elastic analysis, Malliart method considerably underestimate the bending moments acting for the flat slabs. However, the comparison made on limit analysis procedures, Malliarts design is still within the reasonable safety margins [12]. Figure 2.1: First test on flat slabs carried out in 1908 at Maillart Co. works in Zurich [11] In 1878, Grashoff have tried to use polynomial approximation deflection function to work out the flat slab design but was unsuccessful to satisfy certain boundary conditions. At that time, concrete flat slab was emerged in the use as boiler cover plates for steam engines. Due to this problem, in 1872, Lavoinne was forced to work out the flat slab using the Fourier series. Lavoinne assumed a uniformely load is loaded on an infinite large plate and the plate is under simply supported conditions. In this assumption, Lavoinne neglected the poissons effect but Grashoff did consider [12]. Maillart was aware of Grashoffs approach but he thought that it was useless for his purpose because it was restricted to uniformly distributed loads and did not account for the stiffening effect of columns. Based on simple equilibrium considerations, Nicholas managed to prove that all these systems resulted insufficient reinforcement [12]. In the year of 1921, Westergaard and Slater managed to develop a new flat slab theory by comparing the theory results to the available experimental results at that time. In the theory, the stiffening effects due to the presence of columns under different load condition were discussed. Marcus had considered this theory later on by applying finite differences approach; Marcus assumed few different boundary conditions and loads. During the past, due to the absence of a proper theory for flat slab design in Germany hence flat slab construction was almost impossible to be carried out. After sometime later, requirements for the flat slab design theory were established. This theory again mentioned that the design moment must follow Lewes theory (1920, 1922) or theory developed by Marcus (1924). [12]. 2.2.1 Robert Maillarts Contribution In 1902, Maillart has successfully developed dimensioning procedure to design a flat slab. This method was used and succeeds in building few numbers of large flat slabs structure. Due to the absence of strict construction rules in Switzerland, Maillart managed to design flat slab by considering the principle of superposition and successfully performed several arbitrary loads testing on flat slabs. Maillart derived the flexure moments at intermediate points by multiplying the flexural stiffness of the slab with the respective curvatures. The curvatures were derived using the double differentiation of the eight-order polynomial functions meanwhile the flexural stiffness of the slab was analysed using simple one way flexure test on respective slab strips [12]. Maillarts reinforcement pattern for flat slab was very close to the current design approaches. Maillarts method required to reinforce the slab in only two directions. However, C.A.P. Turner insisted to reinforce the slab in four directions (see section 2.2.2 for details). Maillart dimensioning procedure emphasised in designing for positive moments at three different locations labeled as O, Q, and C in Figure 2.2 (where O at the midspan, Q at the quarter point of transverse span l2, and C in the column axis). Negative moments were not checked in Maillart dimensioning procedure and all the bottom bars were simply bent up in the columns strips. In this method, the span ratios, size of column capital and the minimum height of the column capital were restricted to certain values, limiting the nominal shear stress at the circumference of the column to a permissible value [12]. Figure 2.2: Robert Maillarts system and notation for plan view [12] Later, Maillarts results were found underestimated with elastic analysis method. In addition, Maillarts method predicts a reduction in average moment value corresponding to span ratio while elastic plate theory remaining constant. Maillarts method underestimated elastic moments especially for a very large slab structure. In other words, Maillarts dimensioning method has significant differences with elastic analysis procedure in the flexure result of slab [12]. Since Maillarts dimensioning method ignored the negative moments hence this worries the designer when came to the safety of the slab design. In conclusion, Maillart underestimated the moments compared to the elastic analysis on the other hand similar approach to the limit analysis [12]. 2.2.2 C.A.P. Turners Concept Turner never published complete details of his design methods in order to maintain a competitive advantage in the design industry. However, some insights of Turners conceptual design of his flat slabs are available in his patent applications (C.A.P. Turner, Steel Skeleton and Concrete Construction and Elasticity, structure and strength of materials used in engineering.) [10]. In fact, Turners principle design was more concerned about shear in flat slabs as stated by him, Beside the unreliability of concrete in tension, it is unreliable in shear in its partially cured condition. This renders desirable use of reinforcement near the columns or supports to take care of shear [10]. In Turners principle, a so called Mushroom heads or cantilever caps were designed to provide shear resistance in flat slabs. As quoted by Turner, heads may be constructed in accordance with the shearing strain. The diameter of cantilever head was about one-half of the span length. Turner presumed the reinforcement cage acted as part of cantilever support to the slab [10]. Figure 2.3 is an example of the cantilever support mentioned by Turner. Figure 2.3: C.A.P. Turner, mushroom or cantilever shear head [10] Besides shear, Turner also focused on moments and used a four way reinforcement which also known as reinforcement belts, see Figure 2.4. These belts have the same width as that of the cantilever shear head. Turner believed that the positive moments were small due to the cantilever support which is stated as, Referring to flat central plate, or the suspended slab portion, there is practically no bending moment at the center [10]. Figure 2.4: C.A.P. Turners four belt floor reinforcement system [10] Also, Turner believed reinforced the slab in four directions (four belt floor reinforcement system) would provide the moment resistance to counter the negative moments at supports. With these conceptions, Turner considered a very small total design moment to proportion the flexural steel in the four belts. Turner simplified the equation as following: (1) where, W = total dead and live load in one bay L = nominal dimensions in one bay As = total flexural steel, distributed among the four belts fs = allowable steel stress d = distance to tension reinforcement Turner used the co-efficient of 1/50 for equation (1) above reference to Grashoff (1878) and to Prof. Henry T. Eddy (1899) from University of Minnesota. In fact, Turner decided to use such a small coefficient due to the consideration of shorter effective span between cantilever heads. Moreover Turner also considered the slab spanning continuously instead of simply supported design. Numerous experiments data performed by Turner proved that such a coefficient was sufficient for flexure resistant. Besides, the use of cantilever head lead to the unnecessary of drop panels in Turners concept. Turners design concept has successfully built many buildings and bridges from year 1905 to 1909 [10]. 2.3 Current Methods of Flat Slab Design 2.3.1 American Concrete Institute (ACI) American Concrete Institute (ACI) is one of the oldest codes and widely been used to design for reinforced concrete structures. The code covers a number of methods to design a flat slab system. The design of structural concrete is dictated by Building Code Requirements for Structural Concrete (ACI 318-05) and Commentary (ACI 318R-05). The ACI code contains procedure for the design of uniformly loaded reinforced concrete flat slab floors. These methods are direct design techniques and equivalent frame method. All these methods are based on analytical studies of the distribution of moments using elastic theory and strength using yield line theory, the results of tests on

Friday, October 25, 2019

The Internet May Harm a Child’s Physical Well Being and Mental Health :: Technology Computers Children

Internet May Harm a Child’s Physical Well Being and Mental Health While online exploration opens a world of possibilities for children, expanding their horizons and exposing them to different cultures and ways of life, they can also be exposed to many dangers exploring the information highway. If not used properly, the Internet may be severely damaging to the mental and physical health of children. There are many different hazards on the Internet. Chatting on the Internet, which enables people as well as children to communicate, without revealing their true identity, is probably THE most dangerous area on the Internet. By engaging in chat, you open yourself up to all sorts of exploitation, and personal harm. Chatting brings people closer, which may not always be a good thing. Offensive dialogue and adult conversation during chat also influences children to use inappropriate language at home as well as in school. Because of the interactive nature of chatting, it is most likely activity online through which children may be harmed. Too much time online limits a child's well-rounded development by taking the place of friends, schoolwork, sports and other activities. While on the Internet, it is probable that one will get carried away and lose track of time. Since being on the Internet is so time consuming, it is possible for anyone to get addicted. Any parent that values his child’s mental and physical well being should avoid this. Easy access to sites promoting hatred, violence, drugs, cults, and other things not appropriate for children, is another great hazard of the Internet. Besides offering opportunities and access to unsavory activities, these sites also, quite often present misleading and inaccurate information. In most cases, parents cannot censor what their children read online, what sites they visit, what kind of people they chat with, or the things they purchase. Accessing the Internet means accessing violent material, by means of reading and watching. Basically, a parent does not have control over what their child does. There are no restrictions on marketing products such as alcohol, tobacco, and arms to children- Marketing deceptively collects personal information from kids in order to sell products to them or their parents. Requests for personal information for contests and surveys that are used in unauthorized ways often may occur. By submitting personal information in order to purchase goods or services through the Internet, we are exposing ourselves to hackers. Hackers illegally obtain private files stored on computers.

Thursday, October 24, 2019

Texting, Bad or Good

When it comes to texting, people either love it, hate it, or just don’t even try because they may feel that they are â€Å"too old for that young people stuff†. Some people will promote it as one of the easiest ways to communicate or consider it a waste of time and murderous to the English language. I, for one, consider it a blessing and a curse. I can see both sides of the subject. I do agree that people shouldn’t text in some situations or places where it is considered rude, dangerous, or where it would take away from the human interaction that people need to mentally survive. Some may argue that with the rise of texting, it has hindered our grammar, the way we interact with others, and possibly our business relations. I used to be a cashier at a grocery store, and from a personal point of view, when the customers were on their cell phone, it made my job as a cashier rough to do. When that happens, the person isn't paying attention because they are busy texting or talking to someone on their phone. It made the job difficult because you were trying to get their attention for a payment method and sometimes had to repeat yourself two or three times. Then, other customers waiting get impatient and look at you like you aren’t doing your job in a speedy fashion. On the other hand, texting can be great and beneficial in some situations. I’ve been in some situations where it was easier to send a text message. At my church I either play the piano or I’m in the sound booth doing the Media for service. From the sound booth to the platform, it’s at least one hundred feet or more. There have been occasions where people on the platform and sound booth needed to tell each other something about the sound or some other situation. It was easier and faster to send a text message to each other rather than trying to read facial expressions or hand signals. All in all, texting is what you make of it. There are some situations in which you need to have respect and not text, such as classrooms, church, and driving in your automobile for example. The thing to do is use common sense and think, â€Å"Is this safe? Is this respectful to others? If I were teaching, would I be okay with people’s attention being divided? † Most of all, we need to just use our brain and use moderation. We can survive without our phones. Our society survived for hundreds of years without mobile devices. I’m pretty sure we could too if we had to.

Wednesday, October 23, 2019

Recycling and Plastic Bag Essay

They are also cheap, light, durable, easy to carry and in many cases, free. The most commonly used shopping bag is made of High Density Polyethylene (HDPE). This type is used in the majority of supermarkets and stores. After these bags are used, they often end up in landfills or as litter, roughly only three percent of plastic bags is actually recycled per year (Planet Ark, 2011). The materials used in making plastic bags make them non-biodegradable. According to the science dictionary, 2011 refers to â€Å"these materials cannot be decomposed into environmentally safe waste materials by the action of soil bacteria. † These harmful substances are toxic and take approximately four hundred years to break down, or in this case photo-degrade; which is how plastics made from (HDPE) break down. Since they are not biodegradable, they remain in the environment and are absorbed in soil or water (Indian Centre for Plastics in the Environment, 2010). This essay will discuss the various harmful effects of plastic bags, and demonstrate the risks that these bags impose on humans, animals and the environment. It will also discuss a series of suggested solutions that could help reduce plastic bag usage. Although plastic bags appear to be fragile and light, their negative environmental effect is devastating. Plastic bags may cause large amounts of pollution in every step of their limited life cycle, from the extraction of raw materials, production, transportation, and recycling or disposal. Plastic bags can be defined as the most damaging form of environmental pollution. They can have a damaging effect on marine animals and wildlife in addition to the aesthetic effects on beaches, parks, and trees. Plastic bags are potentially one of the main causes of death to marine animals (Harbor keepers,2008). Up to one hundred thousand marine animals or more die each year from eating plastic bags which are mistaken for food. This can result in blocking the animal’s intestines and possibly lead to the animal’s death. Another possible situation is that wildlife, such as birds, can get tangled in plastic bags causing choking and immobility, which may eventually lead to death. (Senior, 2008) and (Citizen Campaign, 2010). In other situations, after plastic bags photo degrade they remain toxic and could be eaten by fish, shellfish or any other marine life and survive this allows the toxins to enter our food chain through bioaccumulation (Puget Soundkeeper Alliance, 2011). As a solution to these types of problems is taking action by educating and increasing the public’s awareness to the harmful affects that a plastic bag impose on our environment. Applying this would mean to get consumers involved in reducing the number of plastic bags they consume and instead of getting new bags they can simply reuse their old bags (Sea Turtles Conservancy,2011). Another important solution would be using bio degradable bags instead; these types of bags take up a shorter time to degrade and become environmentally safe to both humans and animals. These types of bags are made from natural materials therefore; they are digested if animals swallow them (Biodegradable Plastic Bags,2011). The harmful effects of plastic bags extend to affect human health and social lives. According to the US CPSC (Consumer Product Safety Commission, 2011) suffocation has been a significant of death among children under the age of one. According to a report presented in 2007 by Clean up Australia, when plastic bags are thrown in the streets they may block the drains and result in flooding during heavy rain. Stagnant water in blocked drains may create a breeding ground for many forms of insects like mosquitoes, which can transmit dangerous diseases such as malaria, dengue fever, and encephalitis (World Health Organisation, 2011). Reducing, reusing and recycling, in that order, could be the most viable option to decrease the social and health impact of plastic bags. Reducing the number of plastic bags can be applied by imposing a fee such as PlasTax. In 2002 PlasTax was issued in The Republic of Ireland, which is a fee on plastic bags. This new tax resulted in a ninety four percent drop in plastic bag consumption in one year (Convery F, McDonnell S, Ferreira S, 2007). The next step is to reuse, instead of disposing of plastic bags consumers should be encouraged to keep reusing their bags. The final step is to recycle the plastic bags, many supermarkets such as Tesco and Sainsbury’s give the consumers the option to bring in their old bags for recycling. In conclusion, usages of plastic bags are very limited unlike their infinite damages. They are harmful to health, the environment and wildlife. The solutions to put an end to the problems associated with plastic bags are available, cooperation between governments, shops and individuals is vital to take the necessary actions by reducing, reusing and recycling plastic bags.

Tuesday, October 22, 2019

Сhromosomal abnormalities Essays

Ð ¡hromosomal abnormalities Essays Ð ¡hromosomal abnormalities Essay Ð ¡hromosomal abnormalities Essay The development of psychotic disorders has been linked to chromosomal abnormalities. Research conducted to establish whether there is a link between psychotic disorders and chromosomal abnormalities show that Schizophrenia and bipolar disorder are associated with chromosomal disruptions (Muir et al, 2008). Studies that have been conducted on patients who have been diagnosed with psychotic disorders show that about 30 per cent of the patients have a micro deletion at chromosome 22q11. In addition, researchers associate gene G72/G30 at chromosome 13q33.2 with susceptibility gene for developing schizophrenia at childhood. The development of brief psychotic disorder has been linked to the genes, and this support the claim that psychotic disorders have a biological origin. The link of brief psychotic disorder to the genes is due to the fact that for people who have family members who have bipolar disorder or have shown symptoms of mood disorder, development of brief psychotic disorder is common. However, arguments that the brief psychotic disorder is caused by poor coping skills shows that the genes are not the major cause of the disorder. A traumatic experience or major stress in a person increases one vulnerability to develop the disorder. Genes may increase one’s risk of developing the disorder and although the brief psychotic disorder has been associated to the genes one inherits from the parents, carefully controlled clinical studies have not been able to show that psychotic disorders are biological in origin. Manic depression which characterizes the brief psychotic disorder is associated with an imbalance of serotonin and norepinephrine in the body. During the depressed period, these two are in low levels while during the manic periods the chemicals are in high levels. The predominance of the bipolar disorder has been linked to genetic inheritance. A study done on twins supports the argument that psychotic disorders may have a biological origin . The study that has been conducted on twins show that bipolar disorder is predominant in identical (monozygotic) twins as compared to fraternal (dizygotic). This indicates that a greater chance of inheriting the disorder is in monozygotic twins The fact that psychotic disorders are treated using medication shows that the disorders have a biological component (Samuel, 2003) . For example, the bipolar disorder can be treated using medication. Examples of medication that is used to treat the disorders include mood stabilizers and medication that tries to balance the depressive and manic states in patients. The use of lithium results to counterbalancing of depression and mania effects since it increases the reuptake of nonepinephinne and serotonin. Anticonvulsants such as Carbamazepine (CBZ) and Valproate (VPA) are prescribed to treat bipolar disorders. A case of three sisters who had shared psychotic disorder in United States show that individual who are close can be affected by delusions. The disorder which is shared by individuals who had emotional ties involved three sisters (Kaustubh et al, 2006). The three sisters’ illness was linked to the family’s psychiatric history which showed that the sisters had two first degree relatives diagnosed with schizophrenia. Both the mother and brother had the psychotic disorder and the mother had been hospitalized often- based on this case. The information relating to the disorder show that the case of shared psychotic disorder may involve members of one family and cases of the disorder are more common in members of the same family. It is more common between sisters than in brothers. Research has been conducted on twins and multiple families and show that genetic factors play a major role in promoting the development of psychotic disorders. Studies that have been conducted on twins show that when one twin develops mood disorder, the identical twin is three times more likely to develop the disorder as compared to fraternal twins or siblings who have not been born as twins. In addition, researchers have asserted that the neurotransmitter system in one’s body plays a role in the development of bipolar disorder. However, more research is recommended to determine the exact role of neurotransmitter system in the development of the bipolar disorder. The potential cause of delusional disorder which characterizes psychotic disorders includes neurological abnormalities and changes in brain chemistry as well as heredity. In addition, the disorder has been associated with abnormalities in the limbic system. The limbic system in the brain regulates emotions. Research studies to determine whether biological factors play a role in causing schizophrenia have involved establishing whether there is any connection between Val66Met which is a brain-delivered neurotrophic factor. The results indicate that homozygous carriers Met/Met increased the risk of one developing schizophrenic by 10 percent (Gratacos et al, 2007). The connection between Val66met to the development of schizophrenia shows that psychotic disorders may have a biological origin. The development of psychotic disorder is linked to biological functioning of the brain. An imbalance of the neurotransmitting chemicals in ones brain contribute to the development of psychotic disorders. The imbalance is considered to be inherited or triggered by physical or psychological events. For example, some disruption of early brain development while in the womb may trigger psychotic disorders. Substance-induced psychotic disorders may be caused by one’s withdrawal from using a certain drug and this may to some extent support the claim that the development of the disorder has a biological component (Matcheri and John,1991). For instance, recreational drugs such as cocaine, PCP, Marijuana, alcohol, and hallucinogenics may result to psychotic reaction when a user withdraws from using them (Rashmi and Mark, 2009). In addition, psychotic symptoms may be induced by prescribed medication such as anticonvulsants, chemotherapeutic agents and steroids. Conclusion Psychotic disorders cause abnormal perceptions and thinking in patients. Hallucinations and delusions are two major symptoms of the disorders. Individuals who are affected by psychotic disorders have their ability to make good judgments and to think clearly altered. There are various types of psychotic disorders which vary in cause and treatment. Treatment of the disorder includes therapy and medication. Research that have been conducted in relation to psychotic disorders show that some cases of the disorder may have a biological origin. However,research on the disorders indicate that the disorders result from the interaction of biological, psychosocial and environmental factors. References Bentall, R. , and Slade, P. 1988. Sensory Deception. Taylor and Francis Publishers. Daryl, F. , and Iqbal, A. 2007. The spectrum of psychotic disorders: neurobiology, etiology, and Pathogenesis. Cambridge University Press Freudenreich, O. 2007. Psychotic Disorders: A Practical Guide, Practical Guides in Psychiatry Gratacos, M ET al. 2007. Brain-Derived Neurotrophic Factor Val66Met and Psychiatric Disorders: Meta-Analysis of Case-Control Studies Confirm Association to Substance- Related Disorders, Eating Disorders, and Schizophrenia Biological Psychiatry, Volume 61, Issue 7, Pages 911-922 Habermann, T. , and Ghosh, A. 2006. Mayo Clinic. Mayo Clinic Internal Medicine Board Review, CRC Press Publishers, 2006

Monday, October 21, 2019

Free Essays on The Puritan Dilemma

In The Puritan Dilemma we discover Edmund S. Morgan’s views of what Puritanism is and how John Winthrop dealt with the dilemma of being a puritan. Morgan describes that â€Å"Puritanism required that a man devote his life to seeking salvation but told him he was helpless to do anything but evil. Puritanism required that he rest his whole hope in Christ but taught him that Christ would utterly reject him unless before he was born God had foreordained his salvation. Puritanism required that man refrain from sin but told him he would sin anyhow. Puritanism required that he reform the world in he image of God’s holy kingdom but taught him that evil of the world was incurable and inevitable. Puritanism required that he work to the best of his ability at whatever task was set before him and partake of good things that God had filled the world with, but told him he must enjoy his work and his pleasures only, as it were absentmindedly, with his attention fixed on God.â⠂¬  (Morgan p5.) ! Morgan continues to describes a puritan’s belief as â€Å"existing by virtue of a covenant with God, an agreement whereby they promised to abide by His laws, and He in turn agreed to treat them well† (p15.) John Winthrop caught the fever of Puritanism at college and for him the dilemma of living in the world without taking his mind off God was the hardest for him. Winthrop would have much rather been a monk or hermit, but that was not permitted Puritans must live in the world not leaving it. In Winthrop’s life he faces many dilemma’s which all have to do with the problem of living in the world without leaving it. The major dilemma’s are if Winthrop should leave England to go to the New World with the Massachusetts Bay Company and the problem of separatism and dissent in Massachusetts. Winthrop is first faced the problem of leaving England. Winthrop is offered to go to the New World with the Massachusetts Bay Company as a governor. Wint... Free Essays on The Puritan Dilemma Free Essays on The Puritan Dilemma In The Puritan Dilemma we discover Edmund S. Morgan’s views of what Puritanism is and how John Winthrop dealt with the dilemma of being a puritan. Morgan describes that â€Å"Puritanism required that a man devote his life to seeking salvation but told him he was helpless to do anything but evil. Puritanism required that he rest his whole hope in Christ but taught him that Christ would utterly reject him unless before he was born God had foreordained his salvation. Puritanism required that man refrain from sin but told him he would sin anyhow. Puritanism required that he reform the world in he image of God’s holy kingdom but taught him that evil of the world was incurable and inevitable. Puritanism required that he work to the best of his ability at whatever task was set before him and partake of good things that God had filled the world with, but told him he must enjoy his work and his pleasures only, as it were absentmindedly, with his attention fixed on God.â⠂¬  (Morgan p5.) ! Morgan continues to describes a puritan’s belief as â€Å"existing by virtue of a covenant with God, an agreement whereby they promised to abide by His laws, and He in turn agreed to treat them well† (p15.) John Winthrop caught the fever of Puritanism at college and for him the dilemma of living in the world without taking his mind off God was the hardest for him. Winthrop would have much rather been a monk or hermit, but that was not permitted Puritans must live in the world not leaving it. In Winthrop’s life he faces many dilemma’s which all have to do with the problem of living in the world without leaving it. The major dilemma’s are if Winthrop should leave England to go to the New World with the Massachusetts Bay Company and the problem of separatism and dissent in Massachusetts. Winthrop is first faced the problem of leaving England. Winthrop is offered to go to the New World with the Massachusetts Bay Company as a governor. Wint...

Sunday, October 20, 2019

Biography of Aurangzeb, Emperor of Mughal India

Biography of Aurangzeb, Emperor of Mughal India Emperor Aurangzeb of Indias Mughal Dynasty (November 3, 1618–March 3, 1707) was a ruthless leader who, despite his willingness to take the throne over the bodies of his brothers, went on to create a golden age of Indian civilization. An orthodox  Sunni Muslim, he reinstated taxes and laws penalizing Hindus and imposing Sharia law. At the same time, however, he greatly expanded the Mughal empire and was described by his contemporaries as being disciplined, pious, and intelligent. Fast Facts: Aurangzeb Known For: Emperor of India; builder of the Taj MahalAlso Known As: Muhi-ud-Din Muhammad, AlamgirBorn: November 3, 1618  in Dahod, IndiaParents: Shah Jahan,  Mumtaz MahalDied: March 3, 1707  in Bhingar, Ahmednagar, IndiaSpouse(s): Nawab Bai,  Dilras Banu Begum,  Aurangabadi MahalChildren: Zeb-un-Nissa, Muhammad Sultan, Zinat-un-Nissa, Bahadur Shah I, Badr-un-Nissa, Zubdat-un-Nissa, Muhammad Azam Shah, Sultan Muhammad Akbar, Mehr-un-Nissa, Muhammad Kam BakhshNotable Quote: Strange, that I came into the world with nothing, and now I am going away with this stupendous caravan of sin! Wherever I look, I see only God...I have sinned terribly, and I do not know what punishment awaits me. (supposedly communicated on his deathbed) Early Life Aurangzeb was born on November 3, 1618, the third son of Prince Khurram (who would become  Emperor Shah Jahan) and the Persian princess Arjumand Bano Begam. His mother is more commonly known as Mumtaz Mahal, Beloved Jewel of the Palace. She later inspired Shah Jahan to build the Taj Mahal. During Aurangzebs childhood, however, Mughal politics made life difficult for the family. Succession did not necessarily fall to the eldest son. Instead, the sons built armies and competed militarily for the throne. Prince Khurram was the favorite to become the next emperor, and his father bestowed the title Shah Jahan Bahadur, or Brave King of the World, on the young man. In 1622, however, when Aurangzeb was 4 years old, Prince Khurram learned that his stepmother was supporting a younger brothers claim to the throne. The prince revolted against his father  but was defeated after four years. Aurangzeb and a brother were sent to their grandfathers court as hostages. When Shah Jahans father died in 1627, the rebel prince became Emperor of the Mughal Empire. The 9-year-old Aurangzeb was reunited with his parents at Agra in 1628. The young Aurangzeb studied statecraft and military tactics, the Quran, and languages in preparation for his future role. Shah Jahan, however, favored his first son Dara Shikoh and believed that he had the potential to become the next Mughal emperor. Aurangzeb, Military Leader The 15-year-old Aurangzeb proved his courage in 1633. All of Shah Jahans court was arrayed in a pavilion and watching an elephant fight when one of the elephants ran out of control. As it thundered toward the royal family, everyone scattered except Aurangzeb, who ran forward and headed off the furious pachyderm. This act of near-suicidal bravery raised Aurangzebs status in the family. The following year, the teenager got command of an army of 10,000 cavalry and 4,000 infantry; he soon was dispatched to put down the Bundela rebellion. When he was 18, the young prince was appointed viceroy of the Deccan region, south of the Mughal heartland. When Aurangzebs sister died in a fire in 1644, he took three weeks to return home to Agra rather than rushing back immediately. Shah Jahan was so angry about his tardiness that he stripped Aurangzeb of his viceroy of Deccan title. Relations between the two deteriorated the following year, and Aurangzeb was banished from court. He bitterly accused the emperor of favoring Dara Shikoh. Shah Jahan needed all of his sons in order to run his huge empire, however, so in 1646 he appointed Aurangzeb governor of Gujarat. The following year, the 28-year-old Aurangzeb also took up the governorships of Balkh (Afghanistan) and Badakhshan (Tajikistan) on the empires vulnerable northern flank. Although Aurangzeb had a lot of success in extending Mughal rule north and westward, in 1652 he failed to take the city of Kandahar, Afghanistan from the Safavids. His father again recalled him to the capital. Aurangzeb would not languish in Agra for long, though; that same year, he was sent south to govern the Deccan once more. Aurangzeb Fights for the Throne In late 1657, Shah Jahan became ill. His beloved wife Mumtaz Mahal had died in 1631 and he never really got over her loss. As his condition worsened, his four sons by Mumtaz began to fight for the Peacock Throne. Shah Jahan favored the eldest son Dara, but many Muslims considered him too worldly and irreligious. Shuja, the second son, was a hedonist who used his position as governor of Bengal as a platform for acquiring beautiful women and wine. Aurangzeb, a much more committed Muslim than either of the elder brothers, saw his chance to rally the faithful behind his own banner. Aurangzeb craftily recruited his younger brother Murad, convincing him that together they could remove Dara and Shuja and place Murad on the throne. Aurangzeb disavowed any plans to rule himself, claiming that his only ambition was to make the hajj to Mecca. Later in 1658 as the combined armies of Murad and Aurangzeb moved north toward the capital, Shah Jahan recovered his health. Dara, who had crowned himself regent, stepped aside. The three younger brothers refused to believe that Shah Jahan was well, though, and converged on Agra, where they defeated Daras army. Dara fled north but was betrayed by a Baluchi chieftain and brought back to Agra in June 1659. Aurangzeb had him executed for apostasy from Islam and presented his head to their father. Shuja also fled to Arakan (Burma) and was executed there. Meanwhile, Aurangzeb had his former ally Murad executed on trumped-up murder charges in 1661. In addition to disposing of all of his rival brothers, the new Mughal Emperor placed his father under house arrest in Agra Fort. Shah Jahan lived there for eight years, until 1666. He spent most of his time in bed, gazing out the window at the Taj Mahal. The Reign of Aurangzeb Aurangzebs 48-year reign is often cited as a Golden Age of the Mughal Empire, but it was rife with trouble and rebellions. Although Mughal rulers from Akbar the Great through Shah Jahan practiced a remarkable degree of religious tolerance and were great patrons of the arts, Aurangzeb reversed both of these policies. He practiced a much more orthodox, even fundamentalist version of Islam, going so far as to outlaw music and other performances in 1668. Both Muslims and Hindus were forbidden to sing, play musical instruments, or to dance- a serious damper on the traditions of both faiths in India. Aurangzeb also ordered the destruction of Hindu temples, although the exact number is not known. Estimates range from under 100 to tens of thousands. In addition, he ordered the enslavement of Christian missionaries. Aurangzeb expanded Mughal rule both north and south, but his constant military campaigns and religious intolerance rankled many of his subjects. He did not hesitate to torture and kill prisoners of war, political prisoners, and anyone he considered un-Islamic. To make matters worse, the empire became over-extended and Aurangzeb imposed ever higher taxes in order to pay for his wars. The Mughal army was never able to completely quash Hindu resistance in the Deccan, and the Sikhs of northern Punjab rose up against Aurangzeb repeatedly throughout his reign. Perhaps most worryingly for the Mughal emperor, he relied heavily on Rajput warriors, who by this time formed the backbone of his southern army and were faithful Hindus. Although they were displeased with his policies, they did not abandon Aurangzeb during his lifetime, but they revolted against his son as soon as the emperor died. Perhaps the most disastrous revolt of all was the Pashtun Rebellion of 1672–1674. Babur, the founder of the Mughal Dynasty, came from Afghanistan to conquer India, and the family had always relied upon the fierce Pashtun tribesmen of Afghanistan and what is now Pakistan to secure the northern borderlands. Charges that a Mughal governor was molesting tribal women sparked a revolt among the Pashtuns, which led to a complete breakdown of control over the northern tier of the empire and its critical trade routes. Death On March 3, 1707, the 88-year-old Aurangzeb died in central India. He left an empire stretched to the breaking point and riddled with rebellions. Under his son Bahadur Shah I, the Mughal Dynasty began its long, slow decline into oblivion, which finally ended when the British sent the last emperor into exile in 1858  and established the British Raj in India. Legacy Emperor Aurangzeb is considered to be the last of the Great Mughals. However, his ruthlessness, treachery, and intolerance surely contributed to the weakening of the once-great empire. Perhaps Aurangzebs early experiences of being held hostage by his grandfather and being constantly overlooked by his father warped the young princes personality. Certainly, the lack of a specified line of succession did not make family life particularly easy. The brothers must have grown up knowing that one day they would have to fight one another for power. In any case, Aurangzeb was a fearless man who knew what he had to do in order to survive. Unfortunately, his choices left the Mughal Empire itself far less able to fend off foreign imperialism in the end. Sources Ikram, S.M, Ed. Ainslie T. Embree.  Muslim Civilization in India. New York: Columbia University Press, 1964.Spear, T.G. Percival. â€Å"Aurangzeb.†Ã‚  Encyclopà ¦dia Britannica, 27 Feb. 2019.Truschke, Audrey. â€Å"The Great Aurangzeb Is Everybodys Least Favourite Mughal.†Ã‚  Aeon, 4 Apr. 2019.

Saturday, October 19, 2019

Reaction Paper On The Picture Wind Chime After Dream By Pierre Huyghe Essay

Reaction Paper On The Picture Wind Chime After Dream By Pierre Huyghe - Essay Example This picture was taken from a horizontal close-up position, thus clearly capturing the tree trunks at horizontal positions and the suspended chimes at an elevated angle. From the photographer’s angle, one can see only six of the 47 chimes mounted on the trees. In addition to the mentioned contents, the root section of each tree is covered with dried vegetation as opposed to the rest of the lawn, which is covered with green grass. Tree trunks and branches are dark and gray while the leaves are greenish-yellow in color. Behind the trees are five whitish structures of what appears to be concrete pillars. Having acknowledged the visible contents Pierre Huyghe’s picture, subsequent sections of this report analyze individual elements of art as they appear on the portrait. Keen focus on each element forms the basis of critical analysis in the art. It is through appraisal of individual components of the picture that one conclude on the success or failure to meet its aesthetic objectives. Basically, elements of art include line, texture, shape, and color among others. Each of these elements plays a significant role in creating unique attributes of a portrait. Variation of lines and texture allows an artist to manipulate contents in order to achieve the desired meaning. Variation of lines and shape enables the audience to develop concrete perceptions of space. On the other hand, manipulation of texture and color unearths aspect of time, which enhances the creation of intended theme by an artist.... Tree trunks and branches are dark and grey while the leaves are greenish-yellow in color. Behind the trees are five whitish structures of what appears to be concrete pillars. Having acknowledged the visible contents Pierre Huyghe’s picture, subsequent sections of this report analyze individual elements of art as they appear on the portrait. Keen focus on each element forms the basis of critical analysis in art. It is through appraisal of individual components of the picture that one conclude on the success or failure to meet its aesthetic objectives. Basically, elements of art include line, texture, shape and color among others. Each of these elements plays a significant role in creating unique attributes of a portrait. Variation of lines and texture allows an artist to manipulate contents in order to achieve a desired meaning. Variation of lines and shape enables audience to develop concrete perceptions of space. On the other hand, manipulation of texture and color unearths a spect of time, which enhances creation of intended theme by an artist. These elements must appear in every piece of artwork, whether it is two-dimensional or three-dimensional. In this regard, Pierre Huyghe’s picture incorporates some of these elements in depicting the wind chimed field. Elements of Art in the Picture Line and Shape Pierre Huyghe’s wind chime picture adopts a combination of both horizontal and vertical line techniques. These two techniques cumulatively facilitate creation of a path where viewers can perceive the aspects of space. Horizontal lines in the picture delineate those sections of the lawn and trees which extends into the adjacent space outside the camera’s coverage. In this context, Pierre

Friday, October 18, 2019

Vincennce university should build more parking lots Essay

Vincennce university should build more parking lots - Essay Example In most occasions, it is very rare for residents in the campus to access parking spots during weekdays. For instance, many students find it hard to walk from some areas such as Red Skelton Performing Arts Center. Additionally, the walk in the darkness is somewhat intimidating (Irvine 1). The distance between the dorms and the lots is very short but very long between any dorm and the parking spot. In fact, it approximately three times the distance from one dorm to another. The distance from the common parking spot (Red Skelton Performing Arts Center Parking lot) seems near from the residential areas. However, the to and fro walks from the students parking area to the dorms justifies the point that it to be too far. Lack of enough accommodation is also one of the contributing factors for an increase in demand for the parking spots; majority of the students drive to school. It will be crucial for the school’s management to consider building more parking lots for the residents in order to save the students time. For many years, the management of Vincennes University has been experiencing complaints from the students over the parking rules. According to the students, the rules of the university only value the interest of the staff. This is evidenced by their dislike of the existing rule that bars them from parking their vehicles in areas preserved for commuter and staff members. Most students also argue that the parking spots reserved for the commuter and staff is more than enough. This is evidenced by the number of spots that remain unoccupied even when almost all staff members are in school (Irvine 1). Additionally, it is evident that the school has not only more than enough space for the construction of parking spots, but also enough resources for the building of new parking spots. Majority of the students argue that it is unethical for them to pay $30 on unguaranteed parking spots near the dorms as a way for

Food & Beverage Revenue Management Essay Example | Topics and Well Written Essays - 2500 words

Food & Beverage Revenue Management - Essay Example Established in 2004, Red Bamboo offers a casual and relaxed atmosphere but guarantees an enjoyable dining experience. The star of the restaurant is the food, so people are encouraged to visit in relaxed garments or casual attire. The restaurant is conveniently situated in the heart of Central Dublin's food and restaurant district. The restaurant can conveniently seat around sixty to eighty-five guests and is open seven days a week for lunch and dinner: As in any food business, Red bamboo also encountered problems in controlling yields and revenues, especially in its initial year of operations. The management then decided to use an effective yield management mechanism to address the problems which will eventually affect the overall operations of the restaurant (Kimes, 1989). Yield management is an approach aimed at improving revenues and increasing the course of consumer demand. In order to achieve these goals, yield management utilizes the fundamental stratagem of giving the precise service at the right point in time to the right consumer at the appropriate price (Kimes, 1989). Each segment of this approach entails definite tactical levers that enable the management to come up with an efficient and advantageous yield management plan. The factors that greatly affect the outcome of this strategy are best known as the 4 Cs which are cost, clock, calendar and capacity. Calendar procedures entail control over the timeframe when the transaction/reservation is made. Clock-related strategies rotate on the timing of the service delivered to the customer. Capacity issue is associated with effectively selling seating that is on hand based on the existing demand. Last, cost refers to the appropriate value of the service (Kimes, Chase, Choi, Lee, and Ngonzi, 1998). It is imperative to provide a measurement tool or give definition to the sale which is the outcome of the service provided. For Red Bamboo's case, the management referred to it as available seat per hour or seat/hour (Kimes, 1989). The guiding principle for an effective yield management plan is to take full advantage of the revenue that could be made on the available seat/hour (Kimes, 1989). For purposes of easier identification, management referred to this as REVSH. Being able to quantify in a time-related approach the goal of the process, the management of Red Bamboo then refocused on the specific stratagem levers that will impact REVSH. Among the levers that were initially identified are the following: meal preparation, menu plan/design, operational process, labor setup, etc. Red Bamboo's management first looked into the physical capacity of the restaurant. Red Bamboo conveniently seats sixty persons in its main dining hall, twenty in the bar and when weather permits, can seat around fifteen in an outside patio/area. When the revenue management plan began, Red Bamboo's menu consisted of twelve appetizers, twenty-five entrees and six desserts. In order to ascertain baseline information on mealtime length, arrival sample and REVSH, data was collected on an hourly fashion; though point of sales and observation by the staff. From these collected data, the management then estimated the average periodic meal duration by calculating the standard deviation and variance during meals (Miller, Dopson, and Hayes, 2004). It was found out that the average meal duration of customer was one hour

Thursday, October 17, 2019

Three cheers for the surveillance society Essay Example | Topics and Well Written Essays - 500 words

Three cheers for the surveillance society - Essay Example According to Brin, surveillance society is characterized by immense and irreversible developments in technology that increasingly enables sophisticated surveillance. Brin sees the movement toward the surveillance society as an inevitable process driven by the constant advancement of technology. Hence, the image of technological development as an inexorably rising tide. The mainstay of Brin's argument on surveillance society is the technological environment that makes the emergence of a surveillance society not only a concrete possibility but also a reality in the making. Most importantly, there is nothing inevitable with human societies. Although, the technological developments and the consequent emergence of surveillance society at present may seen as an irreversible phenomenon, there is no guarantee that alternate forms of society cannot emerge. Both culture and politics have tremendous influence in bringing about such profound changes, a fact that Brin has not reflected upon. The problem is that Brin, in his rush to reach the conclusion of "surveillance society", has been overwhelmed by the recent developments in technology that trapped him in a kind of crass technological determinism whereas he identifies technological development as the moving force of human history.

Molecular and Genomic Analysis of Bacterial Pathogenicity Essay

Molecular and Genomic Analysis of Bacterial Pathogenicity - Essay Example So far, in genetic analysis the resolving power has been limited only by the refinement of techniques. In the type of recombination on which classical genetic analysis is based, these structures are the chromosomes and their linearly arranged elements. The latter are recognized as genes as a consequence of their specific activities in metabolism and development (Pontecorvo, 1958). Complete genome sequences are now available for multiple strains of several bacterial pathogens and comparative analysis of these sequences is providing important insights into the evolution of bacterial virulence. Recently, DNA microarray analysis of many strains of several pathogenic species has contributed to our understanding of bacterial diversity, evolution and pathogenesis (Fitzgerald & Musser, 2001). Comparative genomics has shown that pathogens such as Escherichia coli, Helicobacter pylori and Staphylococcus aurues contain extensive variation in gene content whereas Mycobacterium tuberculosis nucleotide divergence is very limited. Overall, these approaches are proving to be a powerful means of exploring bacterial diversity, and are providing an important framework for the analysis of the evolution of pathogenesis and the development of novel antimicrobial agents (Fitzgerald & Musser, 2001). It is of little relevance whether the agents of risk are organic or inorganic; their effects both relate to processes of 'contamination' and 'spreading'. They can both be understood as 'actors'. In the discourses that have brought viruses to our attention, pathogen motivation is of crucial importance. Viruses make us ill because they are replicating themselves; like waste, they are virulent objects of modernity. However, unlike waste, they 'take over' bits and pieces of our bodies because they are motivated by self-replication. That is, they borrow bits of genetic material (DNA or RNA) and ribosome from their hosts (Cann, 1997; Levine, 1992). Popular culture can indeed be seen as playing a crucial role in the social and symbolic organization of risk management; expositions of newly emergent pathogen virulence have fully embraced the technological culture of the risk society. However, our exploration would not be able to escape the ironic turning-inward if it would merely circulate on the plane of textual analysis. Therefore, we turn to more sociological explanations of infections and epidemics to argue that pathogen virulence is part of a wider network of actors (humans, animals, technologies, and spirits). Moreover, it allows us to understand the social in terms of a complex spatialization of body politics and biopolitics, in which pathogen virulence constitutes a particularly effective medium of both 'sense-making' and the management of body boundaries (Joel Cracraft, Michael M. Miyamoto, 1991). Bacterial Pathogenesis Molecular Mechanisms De Bary (1879) broad definition of symbiosis includes parasitism and disease, areas in which significant discoveries are being made. This has been most evident in bacterial pathogenesis. During the past decade, scientists have introduced innovative approaches and concepts from disciplines such as bacteriology,

Wednesday, October 16, 2019

Strategic management of SMEs Essay Example | Topics and Well Written Essays - 1250 words

Strategic management of SMEs - Essay Example The choice of a competitive strategy helps a firm navigate the competitive environment that defines one’s business. This paper concerns with unraveling the sources of comparative advantage among firms. Comparative advantage regards having the ability to satisfy a market in the best way than any other firm. In addition, the paper shall unravel how strategic management influences SME’s. Segmentation differentiation is a useful competitive strategy for an SME. Segmentation differentiation differs with differentiation in terms of product making. This is because segmentation differentiation concerns with dealing a specific market segment (Julien 2003, pp. 230). In this case, a business studies a market segment and determines different factors that define its existence. For instance, the business studies the general preferences and needs of a given market. In addition, a SME studies the aggregate income levels of a market segment towards determining the price and quality level demanded by a particular market segment. This strategy differs from the idea of approaching a market in its whole form because a firm makes the risk of targeting a single market. There are, however, several benefits of choosing a given market segment. To begin with, an SME has the high chances of exhausting the market. Once consumers are satisfied from particular services, they are highly likely to manifest customer loyalty even in cases whereby new competitors enter the market. Innovation occurs in tests of produced uniqueness that a firm has in a poll of competitors. It is crucial to highlight that innovation is a traversing concept that may occur in every level of the supply chain. To begin with, it is essential to examine uniqueness in production. Innovation in production regards using the available resources to produce that does not exist in a market. It also concerns with designing a production process that carets efficiency in terms of time and costs.

Molecular and Genomic Analysis of Bacterial Pathogenicity Essay

Molecular and Genomic Analysis of Bacterial Pathogenicity - Essay Example So far, in genetic analysis the resolving power has been limited only by the refinement of techniques. In the type of recombination on which classical genetic analysis is based, these structures are the chromosomes and their linearly arranged elements. The latter are recognized as genes as a consequence of their specific activities in metabolism and development (Pontecorvo, 1958). Complete genome sequences are now available for multiple strains of several bacterial pathogens and comparative analysis of these sequences is providing important insights into the evolution of bacterial virulence. Recently, DNA microarray analysis of many strains of several pathogenic species has contributed to our understanding of bacterial diversity, evolution and pathogenesis (Fitzgerald & Musser, 2001). Comparative genomics has shown that pathogens such as Escherichia coli, Helicobacter pylori and Staphylococcus aurues contain extensive variation in gene content whereas Mycobacterium tuberculosis nucleotide divergence is very limited. Overall, these approaches are proving to be a powerful means of exploring bacterial diversity, and are providing an important framework for the analysis of the evolution of pathogenesis and the development of novel antimicrobial agents (Fitzgerald & Musser, 2001). It is of little relevance whether the agents of risk are organic or inorganic; their effects both relate to processes of 'contamination' and 'spreading'. They can both be understood as 'actors'. In the discourses that have brought viruses to our attention, pathogen motivation is of crucial importance. Viruses make us ill because they are replicating themselves; like waste, they are virulent objects of modernity. However, unlike waste, they 'take over' bits and pieces of our bodies because they are motivated by self-replication. That is, they borrow bits of genetic material (DNA or RNA) and ribosome from their hosts (Cann, 1997; Levine, 1992). Popular culture can indeed be seen as playing a crucial role in the social and symbolic organization of risk management; expositions of newly emergent pathogen virulence have fully embraced the technological culture of the risk society. However, our exploration would not be able to escape the ironic turning-inward if it would merely circulate on the plane of textual analysis. Therefore, we turn to more sociological explanations of infections and epidemics to argue that pathogen virulence is part of a wider network of actors (humans, animals, technologies, and spirits). Moreover, it allows us to understand the social in terms of a complex spatialization of body politics and biopolitics, in which pathogen virulence constitutes a particularly effective medium of both 'sense-making' and the management of body boundaries (Joel Cracraft, Michael M. Miyamoto, 1991). Bacterial Pathogenesis Molecular Mechanisms De Bary (1879) broad definition of symbiosis includes parasitism and disease, areas in which significant discoveries are being made. This has been most evident in bacterial pathogenesis. During the past decade, scientists have introduced innovative approaches and concepts from disciplines such as bacteriology,

Tuesday, October 15, 2019

Adaptive effectiveness Essay Example for Free

Adaptive effectiveness Essay The business environment is dynamic and changes constantly thus making it complex. As a result, our understanding of the environment and ability to predict its response to management actions becomes limited. In conjunction with the changing social values, a knowledge gap emerges which results in ambiguity regarding the most appropriate way to manage an organization. Despite the ambiguity, managers have to make decisions and implement organizational plans. An adaptive model of management therefore comes into perspective in providing a proper way for managers to proceed sensibly with their decisions and plans in the face of uncertainties (Nyberg, 1999). An adaptive model of management can be valuable to organizations in testing, refining and improving their policies and objectives. Despite the fact that development and implementation of organizational policies and objectives is based on the best available information and expertise, the organization is required to implement numerous new and experimental strategies. See more:  Masters of Satire: John Dryden and Jonathan Swift Essay In such situations, the organization is faced with questions regarding how best to implement the strategies such that they are aligned with its objectives and the best actions for the implementation (Nyberg, 1999). In addressing such questions effectively, an adaptive model offers the most appropriate approach. An adaptive model of management entails â€Å"integration of design, management, and monitoring to systematically test assumptions in order to adapt and learn† (Salafsky, Margoluis Redford, 2001). A comprehensive research is incorporated into conservation action to ensure the model is effective and produces best results. Moreover, the model seeks to use management intercession as a tool to examine the functioning of the ecosystem through testing of its key hypothesis (Resilience Alliance, 2010). Uncertainties are first identified and methodologies for testing their hypotheses are established. In addition to management being utilized as a tool for changing the system, it is also used as a tool for learning about the system. This paper seeks to explore the Model of Accessing Adaptive Effectiveness in organizations and its role in the realization of organizational success. The appreciative inquiry approach, a technique that supplements the adaptive model, will be examined as a result of its influence on organizational changes. Moreover, in probing the adaptive model, business impact assessment is crucial in evaluating the changes realized and their effects on the organization’s position. This paper will therefore examine the features of this model and its impact on organizational changes.

Monday, October 14, 2019

Organizational Behavior Leadership Analysis Social Work Essay

Organizational Behavior Leadership Analysis Social Work Essay Academic theories about employee motivation, empowerment and performance are just that theories, they are of little practical use to business leader or their companies, with reference covered to the material cover on the OBL course, and the people management of one Employee of Choice, please evaluate the validity of this statement. Organizational Behavior is the study of behavior of individual, group and people in the organization. It focuses in the relationship between individual and organization in the holistic manner. It focuses on meeting the social objectives, organizational level objectives and individual level objectives. (Leadership and Organizational Behavior, 2010) In managing the organizational behavior with in the organization, there are various managerial theories being proposed by various people to meet the organizational and individual requirement. The role of business leader is to effectively manage the workforce with in the organization to achieve the maximum output from the employees. It is also required from the business leaders to increase the productivity of the organization, to reduce employee turnover, to increase job satisfaction, to reduce absenteeism among the employees, to establish organizational citizenship. The productivity of the employees could be increased by increasing the motivational level of the employees and by imparting training and development programs. An organization is said productive if it converts its inputs into outputs at lowest operating costs. Organizational behavior studies help managers to understand the general behavior of the individuals, but not the exact behavior of the individual. For example Douglas McGregors Theory X and Theory Y give an idea about type of people in the organization. According to Theory X, people would tend to avoid the work and are not responsible, on the other hand according to Theory Y, people are self directed and self motivated. Now this theory does not highlight the exact reasons for being lazy and self-motivated. In this way organizational studies only direct the managers about the general concepts, but could not point the exact behavior of the individual. It is so because the behavior of individual may vary from situation to situation and may also differ from person to person. (Douglas McGregor-Human Relations Contributors, Theory X and Theory Y) The turnover of the employee is another important managerial duty to be considered by leaders. The increase in turnover costs high for the organization by increasing the recruitment, interview, selection and training costs. It is one of the essential parameter to be considered by the managers for increasing the efficiency of the organization. There could be various reasons for increased in turnover. It could be because of work environment, job position mismatch, compensation and rewards, job stress etc. It is required from the leaders to find out the reason for the increase in turnover. As there could be various different reasons for the increase in turnover, the organizational theories could not find the exact reason for the increase in turnover. The method that could be used by manager to find exact reason for the increased turnover could be interviews or survey. With the help of organizational behavior theories leaders could find out the general behavior of the group of employees in the organization, but it is required to carry out individual analysis to find the exact reason for the absenteeism with in the organization. Increasing the Job satisfaction is another important managerial duty. It is essential for leaders to maintain the job satisfaction level of the employees with in the organization. This would not only decrease the turnover of the employees but also generate the healthy environment with in the organization. Organizational Behavior theories help the managers to understand the general behavior of the employee about job satisfaction, but it does not showcase how to increase job satisfaction for a particular employee. According to dispositional theory individual who is happy in his life is happy at his job as well. According to this theory there are the factors affecting job satisfaction i.e. positive and negative affectivity, personality attributes and self evaluation. This theory as well does not find the actual reason specific to a particular individual and hence managers would need to carry out the analysis specific to the individual. Another important function of the business leaders is to reduce absenteeism among the employees. The reduction in absenteeism is directly related to the job dissatisfaction and improper work environment. It is required for the leaders to understand the individual needs and expectations of the individuals from the organization and meet those expectations. It is also observed that unhealthy work environment creates problem for the employee and in turn reduced their efficiency and hence productivity of the organization. Here as well leaders have to sit individually with the employees and seek out the possible hindrances for the employees with respect to work environment. The reasons for the unhealthy work environment could be racial discrimination, manager-subordinates relationship, gender discrimination, work pressures etc. Organization Behavior theories works as the general framework for the leaders but could not act as the specific solution for a particular organizational problem. It require extensive analysis and thorough understanding of the organization and individual behavior to meet the objectives of the organization. Question 2: With reference to Organizational Behavior leadership on gender inequity in organization, and you own work experience if relevant, evaluate the extent to which this issue will require further attention from public and private sector organization in the UAE now and in the future. How can local organization ensure that there is true equity of opportunity for their women Emirati employees and what will be the likely commercial benefits of doing this? Answer: Gender Inequality means differentiation between individuals on the basis of their gender. As per gender inequality the responsibility, human and social possibilities differ from men to that of women. (Long, 2001) It is found that most of the theories showcase the organizational structure as the reason for gender inequality. It is as per organizational structure which causes differences in roles, difference in position, and difference in behaviors between men and women. Materialist theory: As per this theory the connection of men and women with the societys economic structure causes the gender inequality. As per this theory, womens role of mother and wife in the society devalued its right to access high valued resources. Women are less paid as compared to the men in the labor class market. The reason for this is the social responsibility attached to women to take care of family and children. Division between Domestic and Public Work: Their role of mother and wife devalued their role social roles and hence high profile. Women are bound with the domestic responsibilities and hence have to take care of the family and have to invest time there as well. On the other hand men are free from domestic responsibilities and have greater access to high valued resources. It is noticed that there is inequality in pay of men and women, and women are paid less than men. It is also found that two-third of the women works in areas low profile areas like catering, cleaning, clerical jobs, caring jobs. The reason for women being paid less than men is that their job includes discontinuity because of maternity leaves, and to take care of family and children. Moreover still the ratio of highly qualifies women is less than that of men. This gives men an edge to work in high profile jobs and so being paid more than women. Gender Inequality in UAE: The UAE government is trying their best to reduce the gender inequality in UAE. In the year 2008, UAE is participating actively in reducing the gap of gender disparity by organizing various conferences for the same. Dubai School of Government along with Centre of Arab Women for Training and Research and World Bank, organizes a conference to narrow down the gender gap in North Africa and Middle East. The conference named Gender and Economics in MENA: from Theory to Policymaking (ZPRESS, 2008). The main purpose of the conference was to highlight the importance of high education over women. In the conference, Nabeel Al Yousuf, vice chairman of trustee board in Dubai School of Government, focused on gender inequality for the social, national and economic development. Community Development Authority is coordinating with various government and non-government organizations to maintain gender equality. (ZPRESS, 2008) In the recent years UAE has worked well in reducing the gender gap in the emirates. As per a report, UAE has topped in human development chart among gulf countries. Though the ratio of educated women is increasing, but still UAE needs to improve on gender equality. This gender inequality further drags the human development index of the country. The gender equality could be improved with the help of combined effort from public and private companies. Protect Women Rights: It is essential to get women aware of their rights and also make them aware how to fight against the violation of any basic right. This education would help them to fight for their basic rights. It is required for both public and private organizations to coordinate with Convention on the Elimination of All Forms of Discrimination against Women (CEDAW) to protect the rights of women. Women Education: To increase the status of women in the society it is required to further increase the level and quality of education for women. To achieve the same it is required for public and private educational institutions to work together to achieve the common objective. Healthy Work Environment: It is required for the private and public organizations to maintain healthy work environment for the women at workplace. It could be done by providing facilities for women like pick and drop from home, work from home etc. The local organization could ensure the equal opportunity for women by ensuring that jobs are offered as per the qualification and not on the basis of gender. The pay should be equal as per the caliber and qualification of the individual. It is required for the local organization to create equal opportunities for both men and women and should not create any disparity between the two. Gender equality would ensure equal status for the women in the society and would increase their standard of living. It would ensure right investment of the income and less wastage of money. It has been found that women invest 90% of her income on family whereas men only invest 35% of his income on family. This would change political and public welfare policies would increase focus on women as well. Increase in education level of women would reduce the health problems and diseases in the society.