Friday, June 7, 2019
Computerized System Essay Example for Free
Computerized System Essay7.1 Architectural Design7.1.1 Entity-Relationship DiagramFig. 7.1.1 Database modelOn the figure above, the table point_description contains information about the items in the inventory. This is where the information for new items will be stored and updating of information of existing items takes place. Notice that, the table life-sustaining_items has only two attribute which is status that identifies the critical item if it is rugged or not. The transaction table is where the system stores data regarding individual transaction while item_trans table focuses on list of items and its total price. 7.2 System Function7.2.1 material Data Flow DiagramFig. 7.2.1 Physical DFDThe system mainly consists of functions for sales and inventory management. A customer orders an item and the system checks the inventory by accessing the compass item table. New items can be added by the management and the master item disgrace is updated as such. A process computes th e total price for the items uniform by using the input from the customer and data(prices) from the inventory master table. After the transaction, receipt will be given to the customer and both the inventory record and sales record are updated. If the system detects any item to be at critical level, a notification will be sent to the management.7.2.2 drug user InterfaceFig. 7.2.2.1 Main MenuThis is the interface where the user has access to all function of the system (Fig. 7.2.2.1). The first thing that will show up when the user runs the system is the button with a text of V. When the user chatters the V button the five buttons and upon clicking the inventory and report button their sub items will alike appear and when the user clicks one of these buttons (Point of Sale, View Inventory, Update Inventory, Add Inventory, Critical Items, View Sales Report, and View Inventory report) the visibility of all buttons will be disabled and then the desired form of the user will appear on the gray space.The sub buttons of Inventory is where the user viewing of inventory and critical items ( if theres any ), update, and adding of inventory. The sub buttons of reports is where the user views the sales and inventory report of the system, the help button mainly focuses on how to use it or what we cry user manual and about the system.Fig. 7.2.2.2 Point of SaleLastly, this form is where the transaction between the manager and the customer takes place. First thing that the user will do is choose an item code and then the quantity for the item and it will automatically compute for the price after that, he will have to click the add item button then the item will appear on the white space on the right side and then a message will prompt if he want to add another or not if he doesnt want to add another item the uwser will require to input the customers payment and clicking the complete transaction button will prompt another message if the user is surely about the transactio n. And then if the user is sure, the system will prompt another message if he want to print the receipt or not.
Thursday, June 6, 2019
How Americas Foreign Policy Shaped Essay Example for Free
How Americas Foreign Policy Shaped EssayForeign policy determines how America conducts relations with different countries. It is designed to further certain goals, and to ensure Americas security and defense. Originally American foreign policy was based isolationism however, as the United States began to survive more powerful, its foreign policy evolved. Through the 19th century, America concentrated on creating a nation that spanned the continent, and it avoided foreign entanglements. Once industrialized and more prosperous, it began flavour for foreign markets and colonies. Dollar diplomacy was one strategy used to increase American Influence abroad. In addition to the need to exert more baffle in foreign affairs for political reasons, Americans had a belief that their own cultural, moral, and racial superiority justified an increased orbiculate involvement. This can also be referred to as the Whitemans burden. The late nineteenth century to the 1920s can generally be de scribed as a change of the United States from a very regional power, to a dominant world power. This shift began with the Spanish-American war.This war gave the United States, for the first time, an overseas empire. This war was also a fulfillment of the U.S put of the Monroe Doctrine, which was that the U.S should secure the western hemisphere of colonial European rivalry which could infringe on U.S economic and political interests. This is one of the reasons why the U.S went to war against Spain, to kick the Spanish out of nearby Cuba. Along with the threats to America from Central America, and Cuba, trouble was brewing over seas in Europe during the early 20th century. When WWI began, the U.S proclaimed a policy of strict neutrality. However, due to unrestricted submarine warfare and the Zimmermann Note, Wilson went to congress calling for a declaration of war on Germ both.After being victorious in war, Wilson hoped to revolutionize the conduct of international affairs. He came up with the Fourteen Points, which attempted to restore territories occupied during car, eliminate imperialism, trade restrictions, secret treaties, and to set up global organization to prevent future wars. In addition to the Fourteen Points, the Dawes Plan was also enacted. This plan made the U.S banks lend money to Germany so that Germany could meet its fixation payments to countries such as France and United Kingdom. These countries in return, used these payments to service their war debts to the United States.I believe the most significant foreign policy development, is the transmutation from isolationist nation to an imperial power, as well as the rapid change from a conservative to progressive government, helped to shape America to be what it is today. At the dawn of the 20th century, the United States was in the midst of industrialization. But because the U.S was a different continent from Europe, it desired not to get involved in any of the entanglements of the European na tions. However, due to the need for foreign markets to feed the industrial growth, foreign outreach was becoming a necessary evil, and the U.S needed to develop a less isolationist foreign policy.
Wednesday, June 5, 2019
Dress for Success Essay Example for Free
Dress for Success EssayAbstractWeve all heard the saying Dress for Success, and I believe this saying holds a genuinely valuable meaning in any profession. The way you dress not only affects your confidence and your self-esteem, but it also casts the first impression you ar cock-a-hoop to your fellow colleagues and/or prospective employers. What you wear will portray a visual communication of what you have to offer and what they can expect from you in the plow field. The primary goal of dressing professional is to feel good ab come to the fore yourself and to project a positive image. Your non-verbal communication is just as important as your verbal communication in any situation. Of course your skills and knowledge are an important factor, but wearyt forget to dress the part and regain out any possibilities why people will doubt your abilities to perform.Wed like to think that we live in a world where people dont count on us by the clothes we wear, but the truth is appea rance does proposition and the first impressions we portray reflect how we are initially judged by others. . When you dress for success people will take you more seriously and take what you have to say into consideration. Appropriate attire in the workplace gives you respect, and a professional image that will give your superior, colleagues, and patients trust and confidence in your abilities.There has been a lot of research that has proven that employers will likely postulate a potential employee who dress and emotional state the part. How you dress sends out many signals, one being an effective leader. When you take the extra step to make confident(predicate) your clothes are ironed, and your physical attire is up to par, people will recognize that and follow your lead.In my opinion, people today underestimate the importance of a professional image. Many workplaces have a casual attire policy and people would rather blend in with the crowd then stand out and make their own per sonal impression. Looking for a job in the medical field is very competitive, and although your resume may be one of the virtually outstanding and qualified, how you look will sum up the final judgment. When potential employers look through tons and tons of paperwork day in and day out, everything starts to look the same, so when you come in for an interview you should try to standout and show them that you care about your image and how they perceived you. How you look will throw up a face to the resume and help you stand out from the other competitors. Ever since we were young, we were taught to never judge a book by its cover, and what really matter is whats on the inside.Although the topic of how you look and what you wear may sound superficial, you have to look at yourself as a brand. Many companies today hap millions of dollars trying to upgrade and re impertinently their visual image. Making sure how they look as a company and how their brand look will attract the new gener ations. So, it only makes sense that if a company cares so much of their image, they will also care about how their employees look and carry their name to the outside world. This system goes hand in hand, if a company cares about how their employees look, the employees themselves should take the initiative and care about their professional image.When we purchase stuff from the store, what initially attracts is that packaging, before we judge the product by its performance. When you look good, you feel good, and ultimately that is all that matters in the end. When a person feels confident there is not stopping them from achieving he/she goals. Interviews are not intended to be a fashion show or beauty contest, but how you look and how you present yourself will always receive a positive reaction from the interviewer. By maintaining a professional image it can help you achieve the career you deserve.
Tuesday, June 4, 2019
Factors Affecting Hand Washing Compliance
Factors Affecting hatful Washing ComplianceFactors Affecting the Compliance of Hand Washing Among health care Workers in a Long-term Care Facility in Los Angeles, CaliforniaNoela GadinganSamantha Tweeten, PhDhealth care proletarians deal with different types of patients every day. Every patient has their own microorganisms that contributed to the evolution of their diagnosis. Hand hygiene plays a critical role especially among healthcare workers as they deal with non only angiotensin converting enzyme but several patients. Hand slipstream is vital in the prevention of the different hospital acquired infections or also known as the nosocomial infections. The increasing incidence of nosocomial infection is very alarming knowing that there are many organizations such as the Joint Commission and Centers for Disease Control and Prevention who exert exploit to mechanism the guidelines of moot hygiene among healthcare workers.A inquiry article on a survey on collapse swear turn up practices and opinions of healthcare workers shows that healthcare workers knew the importance and benefits of glove dry wash, but still, they tend to overestimate their own compliance. It also shows that healthcare workers were more concerned on the different interventions that would make happen washing easier (Harris et al., 2000).Another research article on collapse hygiene compliance rate in the linked States of America presented a 12-month multicenter collaboration where researchers measured the crossing practice session and provided feedback about tump over washing compliance to treasure the distribute washing compliance rates in the United States of America. The result shows that the rate of hand washing among healthcare workers is still at or below 50% the researchers suggest that with the combination of monitoring and providing feedback, compliance rate would increase (http//ajm.sagepub.com.ezproxy.nu.edu/content/24/3/205).The researcher of this cartoon chose this head beca engagement there are many programs and organizations that exerted efforts, time, and money to implement hand washing, yet there are still incidences of non-compliance. The topic on hand washing seems is common and seems to be easy yet ignored by some individuals. As a result, there are a lot of unanswered questions on the aspects of hand washing compliance. The increasing incidence rate of nosocomial infections among the patients provides a significant reason to conduct this research breeding. Healthcare providers are expected to care, cure, and attention patients progress to a quality of life thus, hand washing should not be a want but or else a need.However, there are some knowledge gaps that still need answers and limitations that whitethorn not have given a complete solution to share this issue. The purpose of the study is to know the different factors that affect the compliance among healthcare workers in a long-term care facility in Los Angeles Calif ornia and to treasure the knowledge and attitude of the healthcare workers concerning the practice of hand washing.The hypothesis is that there are several factors affecting the compliance of hand washing among healthcare workers, such as lack of awareness, lack of education on the importance of hand washing, personal attitude of healthcare workers, and insufficient supply of hand washing materials. The researcher believes that through knowing the different factors that affect the compliance of hand washing among healthcare workers, it would give benefits not only among individuals but also to the community and high society as a whole. Individuals, two patient and healthcare providers, protect themselves from different infectious diseases knowing that becoming hand washing is the universal precaution. It would also help build a healthy community if there depart be an absence or decrease incidence of infectious diseases. To the society as a whole, it would help in developing app ropriate planning to identify the different solutions that would address the different factors identified. It would contribute to the different healthcare organizations and health policy makers to implement suitable actions and would hopefully achieve 100% compliance among healthcare workers and decreasing incidence rate of nosocomial infections among patients.Review of LiteratureA research study by assessed the knowledge, attitude, and practice of hand washing among healthcare workers in Ain-Shams University Hospital and had an inspection of 10 wards on that hospital for facilities needed for hand washing (Elaziz, 2009). A cross-sectional study was being conducted from the end of June until November 2006. For the data collection of this study, 10 infection control nurses were trained on how to carefully observe hand washing opportunities and to fill out pees needed for the study. There were three research instruments intentiond observation manakin on hand washing, form on ward inspection, and, to assess the knowledge and attitudes of healthcare workers regarding hand washing, a self-administered questionnaire was used. The results showed that doctors had a 37.5% compliance, which is significantly higher compared with the other groups of healthcare workers, but only 11.6% executed the proper hand washing correctly. Routine hand washing, which is 64.2%, was the most common type of hand washing that is being practiced among healthcare workers, compared with the antiseptic hand washing, which is only 3.9%. In addition, scant(p) supply of paper towels was identified as another factor. Nurses were identified to have more knowledge on hand washing compared with doctors. They believed that to increase the compliance on hand washing, administrative orders and a continuous observation as well must be implemented. The researchers of this study suggested that to give solution to theses factors that affect the compliance of hand washing, there should be an implementa tion on multifaceted interventional behavioral hand hygiene program that would monitor and provide performance feedback, an increase in hand washing supplies, and an institutional support.McGuckin, Waterman, and Govednik (2009) studied on hand hygiene compliance rates in the United States of America. Their study is a 1-year multicenter collaboration with the use of a product/volume usage measurement. All healthcare facilities were offered the measurement program. The only criteria for enrollment that was used in the study was the sites departingness to submit the periodical summaries of the volume of the product usage and patient bed days to a more secure protected database that is important in generating, measuring, and benchmarking reports. The sites that were enrolled were encouraged to make use of the reports in giving feedback to the healthcare workers. They received as well an implementation manual, and they would also receive a support from the researchers of the study in i mplementing the program at their site. The researchers made use of three reported methods of measuring the hand washing compliance. These are as follows direct observation, healthcare workers self-reporting, and an indirect calculation based on the product usage of hand washing. The results showed that hand washing compliance in an intensive care unit were 26% and 36% for non-ICUs. Meanwhile, after 12months of measuring the usage of product and giving feedback, the compliance rate increased to 37% for ICUs and 51 for non-ICUs. However, the compliance rate on hand washing among healthcare workers is at or below 50%. The researchers suggested that to give solution to this, there must be a combination of monitoring and feedback to increase the compliance rate.Aziz (2013) studied on how approachability of materials improved the hand hygiene compliance. The annual National Health Survey provides healthcare workers the opportunity to share their opinions on the availability on the materi als used in hand washing. There were three community buildings and 31 wards that were reviewed to assess the availability of materials needed in hand washing, as well as alcohol hand rub located on wards and at entrances. The results showed based on the audit that in 30 out of 34 areas, the availability of hand washing materials was good. two staffs in ward and in community emphasized what other materials were required for hand washing. After knowing the inadequacies, steps were made to provide these. The audit carried out made the practice of hand washing to be benchmarked across the trust and enhanced the awareness of the staff on the importance of hand washing. Therefore, as a result of this, compliance of hand washing among healthcare workers increased from 80% to 95%.A survey on hand washing practices and opinions of healthcare worker was conducted (Harris et al., 2000). The research instrument that was used in this study is a 74-question survey that was given to healthcare wo rkers in two tertiary care hospitals. The result of the study shows that healthcare workers knew the importance and benefits of hand washing, but still, they tend to overestimate their own compliance. It also shows that healthcare workers were more concerned on the different interventions that would make hand washing easier.The different literature review from the four researches provide an explanation to conduct further studies to enhance the compliance rate of hand washing practices among healthcare workers. Alhough there are many studies conducted previously from different researchers, there is still a need to know more on the different factors why we cannot achieve a 100% compliance among the healthcare workers who were known to care and cure the sick.MethodsThe participants of the study are the healthcare workers, which includes the following doctors, nurses, nursing assistants, and therapists. It will include both male and female, all types of ethnicity, and age. They must be a current employee in a long-term care facility.This research study will make use of a cross-sectional study design that will be conducted in a long-term care facility in Los Angeles in a period of 2years. The researcher will conduct a study observation where different areas in the healthcare facility will be checked. The observation will be carried out where healthcare workers usually do invasive procedures, have personal contact with the patients, and perform non-invasive procedures such as taking the vital signs of the patients and obtaining specimen for the laboratory, during prodigality disposal.For the data collection, it will make use of the same process that was carried out on the research study by Elaziz (2009). In collecting data, there will be two infection control nurses who will be trained on doing the hand washing observation and in filling out the data-based and ward inspection form. In a covert manner, the nurses that were trained will fill out the observational for m, which records whether hand washing was carried out or not and if it is carried out appropriately or not. He or she will also record the type of hand washing that was carried out by the person observe and note what type of errors that was committed when it was done incorrectly. In checking the availability of the hand washing materials, which include soaps, sinks, towels, drying materials, and hand washing posters and guidelines, a ward inspection form will be filled up.There will be three research instruments that will be used in gathering the data for this research study. The same research instruments that were used by Elaziz (2009) in her study will be used. The three research instruments are observation form of hand washing, form for ward inspection, and, to know whether there is lack of awareness and education and whether a problem on healthcare workers attitude is a factor, a self-administered questionnaire will be used as part of the research instrument. The self-administe red questionnaire would assess whether lack of awareness and education, and personal attitude among healthcare are factors affecting the compliance on hand washing. The questionnaire to assess for lack of awareness and education will include different questions covering different aspects of hand washing practices, including the use of time, proper execution, and materials needed for hand washing. A Likert scale will be used in assessing the attitude of healthcare workers. The program that will be used for data entry, checking, and analysis will be the Statistical Package for Social Science.For the ethical consideration, the approval of the design and the different steps of the study were conducted with the different members of the infection control unit in a long-term care facility in Los Angeles, California. This study will prepare informed consent forms that will provide prospective study participants training regarding the research. The observation of hand washing practices amon g healthcare workers is already considered as a routine checking of infection control activities by the infection control nurses.The bias that may include in this study is information bias because participants may not provide honest answers to appear in compliance to the guideline on proper hand washing. Another bias that might happen is the measurement bias when a research cannot control for the effects of the data collection and measurement, knowing that self-administered questionnaire is one of the types of the research instrument used in this studyThe limitation of the study will include the possible biases that might be present especially in the data collection process, which will affect the credibility and reliability of the result of the research study, and the time and resources in conducting this research study.ReferencesAziz, A. (2013). How better availability of materials improved hand-hygiene compliance. British Journal of Nursing, 22(8), 458463.Elaziz, K. (2009). Assess ment of knowledge, attitude and practice of hand washing among health care workers in Ain Shams University hospitals in Cairo. Journal of Preventive Medicine and Hygiene, 50(1), 1925.Harris, A. D., Samore, M. H., Nafziger, R., Rosario, K. D., Roghmann, M. C., Carmeli, Y. (2000). A survey on hand washing practices and opinions of healthcare workers. Journal of Hospital Infection. doi 10.1053/jhin.2000.0781McGuckin, S., Waterman, R., Govednik, J. (2009). Hand hygiene compliance rates in the United StatesA one-year multicenter collaboration using product/volume usage measurement and feedback. American Journal of Medical Quality. doi 10.1177/1062860609332369
Monday, June 3, 2019
History of Contract Law
History of tweet lawfulnessContract LawIn Brief History of Contract LawThe development of produce practice of law into its modern conception is fundamentally based on the Latin principle of pacta sunt servanda (all pacts mustinessiness be unplowed) dating back to when trade first began in earnest. Therefore, with this in mind, as the law has developed, breach of take has come to be recognized by the super acid law legal system. As a result, it is to be appreciated that remedies suffer and so be effectively provided as a consequence for all agency of organisations that are reached by parties at various levels from individuals to corporations to countries themselves leading to the establishment of obligations between the said parties entered into freely with the aim to create legal relations.This is because of the fact that clearly, in control of the nature of the relationships that are organise, it is grievous to watch to take steps to effectively guarantee equality in these relationships so that the party that is seen to be in the close superior position asshole non simply ride roughshod over the consumer simply because it suits them. As a consequence, the common law and the legislation that has since been developed through the old age in this area has served to establish where a shrivel up has been effectively and legally formed and as to how and when it can be reached and the remedies that are said to be in stock(predicate) in such circumstances for the party that is injured by the breakdown in the relationship. Therefore, with this in mind, it is generally believed that the system is effective but, with ongoing technological advancements, and go out tell how long it entrust take before the law is changed in recognition of this.In the development of the concept and principles of the law of switch off in this surface area the courts, in relation to various aspects of the topic, shake off reached m either significant decisivenesss. By way of illustration, one of the to the highest degree famous cases in the whole of the law of contract must be the seminal decision in Carlill v. Carbolic green goddess Ball Comp each 1893 1 QB 256, in relation to the distinction between an exsert and an invitation to treat, that must be closely followed by the decision in Adams v. Lindsell (1818) 1 B Ald. 681, that served to establish the postal rule that has since been somewhat adapted, through technological advancements, so as to also be read in accordance with Entores v. Miles Far East Corporation 1955 2 QB 327. Moreover, the issue of mistake, as a reason for considering a contract to be void, was effectively illustrated by Bell v. Lever Bros Ltd 1932 AC 161, HL, that was also support by the decision in Derry v. Peek (1889) 14 App Cas 337, HL, in relation to the concept of misrepre directation. Finally, in relation to consumer protection, the decision in Saphena Computing v. Allied Collection Agencies 1995 FSR 616 is ref lective of the need for quality in the goods that are offered by way of contract so that thither are standards to be adhered to that can be redressed.In looking to consider whether a valid contract has been formed it is generally considered to be a good idea to look at the negotiations that defecate taken place between the parties. But this can be sort of problematic where there there is a lengthy course of negotiations between the parties because it may be difficult to effectively determine when they have actually reached an agreement, supported by Kennedy v. Lee (1817) 3 Mer 441. Nevertheless, inspite of a prolonged period of continuing negotiations, the courts may be willing to find a concluded bargain and, if so, a continuance of the negotiations thereafter will not necessarily terminate that agreement, illustrated by Davies v. Sweet 1962 2 QB 300.However, in making their decision in relation to any series of negotiations put before them, the courts will also look to consider the three fundamental aspects that are prize as part of any contract (a) offer (b) consideration and (c) acceptance in order to make their decision about whether an agreement has been fromed leading to a binding contract.(a) OfferThe offer is considered to be concerned with the making of a written or oral proposal to give or do something as part of an agreement that may be deemed to be a legally binding contract in certain circumstances that may be express or implied from the conduct of the parties in any given case. As a consequence, it is important to beneathstand that the person making the offer is the offeror, whilst the person to whom the offer is made is the offeree and any given offer must adhere to the following rules (i) it must be made to a definite person, class or person, or thus far the world at large (ii) it must be effectively communicated to the offeree before acceptance but (iii) the offer is except considered to have been made when it actually reaches the of feree see, by way of illustration, the decision in Adams v. Lindsell (1818) 1 B Ald. 681.(b) ConsiderationThe element of consideration within a contract refers to that which is actually given or accepted in return for a holler as part of an agreement in the form of a right, interest, profit or benefit accruing to one party, or some forbearance, detriment, loss, or responsibility given, suffered or infrataken by the other, in keeping with the decision in Currie v. Misa (1875) LR 10 Ex 153. Consideration is executed when the act that is considered to constitute the consideration in a given case is performed and is deemed to be executory when it is yet to be performed in the future. But regardless of this, any element of consideration must be legal, not be past, and move from the promisee to the promisor, supported by Lipkin Gorman v. Karpnale 1991 3 WLR 10.(c) AcceptanceThe idea of acceptance relates to the idea of where an offer is made by one party that is considered to be unim peachable to another without qualification in words or through conduct to the offeror in conformation with the indicated or prescribe damage of the offer that has been made, in keeping with the decision in Hyde v. Wrench (1840) 3 Beav 334. But it also must be recognised that it is possible to have an acceptance subject to contract where the parties will only be bound where a formal contract is prepared and then signed, according to Chillingworth v. Esche 1924 1 Ch 97. Moreover, the acceptance of goods within the remit of slit 2 of the Sale Supply of Goods Act 1994 takes place when the buyer indicates to the seller that they have accepted them or, when they have been delivered, acts in a way that is considered to be incompatible with the sellers ownership or retains them for a substantial period without rejecting them.(a) Counter OfferA counter offer is usually taken to refer to the occasions where the offeree makes a response that serves to effectively suggest that there is only likely to be an agreement on terms that are considered to be substantially different from those that were primarily put forward. Therefore, with this in mind, this idea is perhaps best illustrated by way of a practical example i.e. where Party A says to Party B You can have my horse for 10,000 and Party B thinks about this and then says I like this horse, but I am only willing to go to 8,000 that is effectively a counter offer that is also supported by the decision in Butler Machine Tool Co v. Ex-Cell-O Corp 1979 1 WLR 401.(b) Invitation to daintinessThe idea of an invitation to treat is effectively based on the premise of an offer to receive an offer and whilst this principle of the law of contract was considered to have most resplendently been considered in the decision in Carlill v. Carbolic Smoke Ball caller-up 1893 1 QB 256, it is important to appreciate that, in Fisher v. Bell 1961 1 QB 394, Lord Parker most effectively served to summarise the concept. This is because of the fact that, in this case, he said that, by way of illustration, the display of an article with a price on it in the memory window is merely an invitation to treat. It is in no sense an offer for sale, the acceptance of which constitutes a contract.(c) The Postal RuleAs an important aspect of contractual theory, the postal rule was an early nineteenth-century common law doctrinal development. Therefore, it served to hols an epistolary acceptance of a contractual offer will be said to bring to pass binding when it is put within the course of the postal service, according to Adams v. Lindsell (1818) 1 B Ald. 681, as the fairest method of allocating the risk, supported by Household Fire insurance Co. v. Grant (1879) 4 Ex. D 216, and to avoid the revocation of the offer that was made leading to the acceptance until it was received, illustrated by the decision in Re Imperial earthly concern Co of Marseilles (1872) LR 7 Ch App 587.Consequently, it is to be appreciated that a comple te contractual agreement was said to exist when the properly stamped and addressed letter is put in the course of postal transmission, supported by Henthorn v. Fraser 1892 2 Ch 27, and beyond the power of the acceptor so it is immaterial whether it reaches the offeror or not, illustrated by Brogden v. Directors of the Metropolitan railroad Company (1877) 2 App. Las 666. Consequently, the Postal Rule is usually considered to be somewhat advantageous for the offeree since they will not be responsible for delay because the burden of uncertainty of waiting is with the offeror.Whilst the Internet does not require a direct physical link between the users, it does allow the user to be notified if a message is successfully sent and/or received by another machine. But, whilst it is imperative for the user to re-send their message where it has not been successfully sent or received, in keeping with the decision in Entores v. Miles Far East Corporation 1955 2 QB 327, intention to formulate e- contracts effectively is still open to debate, illustrated by Pretty Pictures Sarl v. Quixote Films Ltd (2003) All ER (D) 303. Such a view has arisen because the contract in such cases comes into existence where acceptance is received, supported by Brinkibon Ltd. v. Stahag Stahl Stahl warenhandelgesellschaftmbh (1982) 1 All ER 293. Therefore, generally, for revocation of acceptance of an offer to be effective in this area, revocation would take effect when it is communicated if they were considered to be revoking the offer to take the goods, illustrated by Byrne v. Van Tienhoven (1880) 5 CPD 349. But this is not the case with electronic contracts formed under the postal rule, so anyone contracting on this cornerstone would need to be advised the acceptance of an offer is complete as soon as the acceptance is posted.However, there is some controversy in this area because such a revocation would usually in no way have prejudiced the offeror if they were to receive the revocation bef ore the acceptance and the only direct authority is that of the troubling decision in Countess of Dunmore v. black lovage (1830) 9 S. 190 so the better view is that such acceptance is generally irrevocable, in keeping with Wenkheim v. Arndt (1873) 1 JR 73 (NZ). But statutory provide have provided for a cooling off period since the Consumer Credit Act 1974 with one of the most recent examples found in the Consumer Protection (Distance Selling) Regulations 2000. Therefore, on the terms of the Consumer Protection (Distance Selling) Regulations 2000, it is possible to cancel an order because the effective date of cancellation is when the cancellation is sent, but this is usually after acceptance has been received, making it difficult to resolve on the basis of how their contract was formed.The concept of quasi-contracts generally arises in cases where the law imposes on someone an obligation, through the creation of another contractual arrangement, to make repayments on grounds of below the belt benefit at the expense of someone else, in keeping with the decision in Shamia v. Joory 1958 1 QB 448. Therefore, with this in mind, more particularally, in the case of building and body structure contracts in particular, emplacements may arise where the party that is paying for the pass water may draft the contract to derive money benefits, illustrated by Twinsectra Ltd v. Yardley 2002 2 WLR 802 and, on analogy, Westdeutche Landesbank v. Islington LBC 1996 2 All ER 961, HL and may be considered voidable if they entered into it under duress or un ascribable influence, supported by Barton v. Armstrong 1975 2 All ER 465, PC. But if the contract is voluntarily acted upon, it must also be recognised that it will usually be considered to be binding, in keeping with the decision in Ormes v. Beadel (1860) 2 De GF J 333, unless it is voidable on grounds of restituion.Letter of IntentIn the past, it has been argued a letter of intent could be considered to be akin to cond itional contract, illustrated by British Steel Corporation v. Cleveland Engineering Co 1984 1 All ER 504. But the success in this particular case can also be contrasted with the decision in Regalian Properties Plc v. London Dockland Development Corporation 1995 1 WLR 212 where there was an unsccessful action for reimbursement of expenses incurred by a property developer regarding preparatory use in respect of a contract that also never materialised. Such a differing view is largely based on the fact that these cases are not analogous because, whilst one party, in British Steel Corporation v. Cleveland Engineering Co 1984 1 All ER 504, requested the other to perform go and supply goods that would have been required under the expected contract, the costs that Regalian Properties Plc v. London Dockland Development Corporation 1995 1 WLR 212 sought reimbursements for arose in an effort to put itself in a position to obtain and then actually perform the contract itselfA breach of contr act generally arises where there is a recognised stroke or refusal by one of the parties to a contractual agreement to fulfil one of the obligations that have been imposed on them under the remit of that contract. Therefore, with this in mind, in such circumstances the contract will be discharged where the breach of contract in question has been found to lead to the innocent party to the agreement treating it as having been rescinded and also, where it has been found to have the effect of depriving one of the parties of the whole benefit of the agreement with undertakings still to be performed, supported by the decisions in Hong Kong Fir deportation v. Kawasaki Kisen Kaisha 1962 2 QB 26 and Photo Productions Ltd v. Securicor Transport Ltd 1980 AC 827.The concept of mistake in the context of contract law serves to negative, or to nullify, consent by pr circumstanceing the parties winding from reaching agreement and nullifying consent where the parties reach agreement, according to Bell v. Lever Bros Ltd 1932 AC 161, HL. But it is also important to appreciate equitable remedies do not serve to distinguish between mistakes negativing, and nullifying, consent, as well as where a party who paid money seeks to recover it in restitution, illustrated by Kelly v. Solari (1841) 9 M W 54. However, mistake will not negative consent unless it is material to the agreements formation, according to Dennant v. Skinner Collom 1948 2 KB 164. This is because, without the assent of twain parties, in most cases each party will look as though they are assenting to the proposed terms so the objective test will preclude any party from denying an agreement, supported by OT Africa Line Ltd v. Vickers plc 1996 1 Lloyds Rep 700.Nevertheless, if one party is, to the knowledge of the other in a given case, mistaken as to the terms, evidence of immanent intention is admitted, according to LCC v. Henry Boot Sons Ltd 1959 3 All ER 636, HL, so there will be no agreement in the objective sense and may be rase no agreement at all, illustrated by Belle River Community celestial orbit Inc v. WJC Kaufmann Co Ltd (1978) 87 DLR (3d) 761. However, it is also to be appreciated that there seems to be no reason why there should not be a subjective agreement where the other party is estopped, according to Alternative Publishing Ltd v. Kingstar Manufacturing (UK) Ltd 1996 CLY 1223, CA, and equitable remedies have been granted, supported by A Roberts Co Ltd v. Leicestershire County Council 1961 Ch 555.The concept of misrepresentation refers to the situation where a false statement of fact is made and is considered to be fraudulent if is is made either recklessly or with the intent to deceive, in keeping with the decision in Derry v. Peek (1889) 14 App Cas 337, HL, so anyone induced to enter a contract may then rescind the contract, claim indemnification or even both, according to S Pearson Son Ltd v. Dublin Corpn 1907 AC 351, HL. Moreover, it is also to be appreciated that a contractor induced to enter a contract by reason of an innocent misrepresentation may also rescind the contract or claim damages.Nevertheless, whilst the court has discretion to award damages in military position of rescission, under section 2(2) of the Misrepresentation Act 1967, the measure of damages payable is generally the sum of money that placed the representee in the position they would have been in if the representation had not been made, supported by Gran Gelato Ltd v. Richcliff (Group) Ltd 1992 Ch 560. However, it must be recognised that a contractor who continues to act upon a contract after discovering a statement was false loses their right to rescind, accoridng to Long v. Lloyd 1958 2 All ER 402, CA, so they will only be entitled to the price agreed under that contract, supported by Glasgow South Western Rly Co v. Boyd Forrest 1915 AC 526, HL.(c) FrustrationIt is also to be appreciated, however, that the doctrine of frustration has evolved so as to serve to decr ease the rigour of the common laws insistence on literal performance of absolute promises, in keeping with the decision in J Lauritzen AS v. Wijsmuller BV, The Super Servant Two 1990 1 Lloyds Rep 1, so as to be able to give effect to the demands of justice to escape from shabbiness where it would result from enforcement of a contract. Moreover, the concept of frustration also effectively kills the contract and discharges the parties to any agreement from further financial obligation under it, so the doctrine cannot be lightly invoked but must be kept within very narrow limits, since it brings the contract to an end forthwith, without more and automatically. Therefore, with this in mind, it must be recognised that the essence of frustration should not be the act or election of the party seeking to rely upon it, but due to some outside event or extraneous change of situation, without blame or fault on the side of the party seeking to rely upon it, supported by Kissavos Shipping Co S A v. Empressa Cubana de Fletes, The Agathon 1982 2 Lloyds Rep 211.(d) RestitutionIt is also to be appreciated that, generally, where someone is found to have gained unjustly from anothers conduct, those gains should be returned as a result of, what may be considered apt in this context, for example, a breach of contract. Accordingly, by way of illustration, in the decision of Attorney-General v. Blake 2001 1 AC 268, the defendant in this case had made a sizable profit from the act of breaching his contract with the claimant who was undoubtedly entitled to claim compensatory damages but had suffered little or no identifiable loss. Therefore, with this in mind, the claimant sought restitution for breach of contract and the defendant was ordered to pay over his profits although restitution is still only available in exceptional circumstances.Wrongful TerminationNevertheless, it is also to be appreciated that a wrongful termination does not ipso facto serve to amount to a repudiation of the contract, in keeping with the decision in ER Dyer Ltd v. Simon Build/Peter Lind Partnership (1982) 23 BLR 23. But then it must also be recognised that if the employer ousts the contractor from the site or otherwise shows an intention not to be bound by the contract, the contractor may claim the value of the work done and damages. Such a view has arisen on the basis of any instalment payments, supported by Bank of Boston Connecticut v. European food grain Shipping Ltd 1989 AC 1056, HL, together with payment at contractual rates or prices for work not already included, illustrated by the decision in Felton v. Wharrin (1906) 2 Hudsons BC (4th Edn) 398, CA. Moreover, a reasonable sum will be assessed and payable as a contractual entitlement, with an abatement of the sum otherwise due if the work done is defective, according to Slater v. CA Duquemin Ltd (1992) 29 Con LR 24. Moreover, such an action may also lead to a claim for specific performance of the contract where it should not have been terminated, in keeping with the decision in Beswick v. Beswick 1968 AC 58, HL.As has already been alluded to, there are other kinds of contract outside of the business to consumer, or business to business, agreement that must be recognised. Therefore, with this in mind, it is to be appreciated that within these other concepts of contract, it must be recognised that construction contracts have certain principles that may be considered to very specific to this kind of contract aside from the general principles identifeid for all contracts.(a) Sub-contractors Quantum MeruitBy sub-letting part of the work, it is important to appreciate that, within the context of a construction contract, the main contractor impliedly contracts with the sub-contractor that they will not prevent the sub-contractor from doing their work otherwise they will have a claim for damages against them, in keeping with the decision in British Steel Corporation v. Cleveland Engineering Co 1984 1 All ER 504, under the principle of Quantum Meruit. However, it is also to be appreicated that the sub-contractor is also liable to the main contractor for defective work, as the relationship between them is similar to that of employer and contractor, supported by Aurum Investments Ltd v. Avonforce Ltd (in liquidation) Knapp Hicks Partners advanced(a) Underpinning Ltd (Pt 20 defendants) (2001) 3 TCLR 461.Therefore, this effectively means that where the sub-contractor is in breach and this has caused injury to a third party, they will be liable even if both have been held liable to the third party in tort, illustrated by Sims v. Foster-Wheeler Ltd 1966 2 All ER 313, CA. On this basis, it must be recognised that the sub-contractors liability in contract may include damages and costs the contractor has had to pay to the third party, in keeping with the decision in Caister Group Developments Ltd v. Paul Rackham reflexion Ltd (1973) 226 Estates Gazette 809.(b) Sub-contractors liabilityA construction contract is also considered to be particularly useful in such cases where, in breach of a contract, the sub-contractor then proceeds to delay completion of the overall work, having known at the date of contracting that the main contractor is liable to liquidated damages or forfeiture for delay, the liability of the sub-contractor to the contractor is increased, in keeping with the decision in Hadley v. Baxendale (1854) 9 Exch 341. Therefore, with this in mind, the main contractor will then be able to recover the damages they have had to pay out to the client owing to the delay caused by the sub-contractor, or profit they would have made, together with the cost of work, supported by Biggin Co Ltd v. Permanite Ltd 1951 2 KB 314, CA.However, it is also to be appreciated that knowledge of the main contract is not sufficient to prove the sub-contractor agreed with the main contractor to be bound, so if the sub-contractor properly completes their work, their right to payment will not depend upon the certificate of the architect, notwithstanding it is a condition precedent to payment to the main contractor, in keeping with the decision in Southern Water Authority v. Carey 1985 2 All ER 1077. But where the sub-contractor expressly contracts to be bound by the terms of the main contract, provisions as to retention money will be applied to them proportionally, supported by Geary, Walker Co Ltd v. Lawrence Son (1906) 2 Hudsons BC (4th Edn) 382, CA. Nevertheless, it must also be recognised that a sub-contractor who voluntarily undertakes extra work or uses better materials than those stipulated has no claim, according to Ashwell Nesbit Ltd v. Allen Co (1912) 2 Hudsons BC (4th Edn) 462.(a) Sale of Goods Act 1979The remit of the Sale of Goods Act (SGA) 1979 effectively applies to sale of goods contracts with its implied terms in relation to quality and fitness for finding with regards to both business-to-consumer and business-to-business sale of goods con tracts. But whilst, in view of the changes made by the SGA 1995, the standard covering issues such as freedom from minor defects and durability seems to have become quite high, this may, in fact, be something of a misnomer, according to, for example, Saphena Computing v. Allied Collection Agencies 1995 FSR 616. Moreover, there is an old legal maxim, nemo dat quod non habet, which means no one can give what he does not have, that was enshrined in the SGA 1979 long ago in 1893 so that if someone sells goods that are not theres, or which they do not have the authority to sell, the buyer cannot acquire good title, so that the ability to pass property and the time of its divergence are very important.In looking to appreciate the significance of the Unfair Contract Terms Act (UCTA) 1977, it must be recognised that, whilst, generally, the law of contract has created a range of ways for the individual terms of a contract to be avoided or blunted, the remit of UCTA 1977 is actually almost e ntirely focused upon contractual provisions and notices that look to effectively limit or exclude liability, or its equivalent. As a result, whilst some of UCTA 1977s controls apply universally and incite down particular terms unconditionally, other controls actually allow a term to be effectively justified as reasonable, so a large business can still impose onerous terms, because there is no statutory protection provided for.This is supported by the fact courts in this country have also looked to apply principles to make contracts work, according to the principle established in G Percy Trentham Ltd v. Archital Luxfer Ltd 1993 1 Lloyds Rep 25 at p.27 that the proceeding performed on both sides will also make it unrealistic to argue that there was no intention to enter into legal relations Specifically, the fact that the movement is executed makes it easier to imply a term resolving any uncertainty, or alternatively, it may make it possible to treat a matter as not finalised in negotiations as inessential. Therefore, with this in mind, each and every case that comes before the court in this country must be decided alone on the specifics of its facts and the construction of its agreement.As a result, some surprisingly draconian exclusion clauses have been upheld, supported by SAM Business Systems v. Hedley Co 2002 EWHC 2733, notwithstanding the fact English case law developed no general principle allowing terms apparently agreed by parties to a contract to be attacked solely on grounds of unfairness, illustrated by Mitsubishi Corp v. Eastwind Transport Ltd 2004 EWHC 2924. This is because, according to the Law Commissions Second Report on Exemption Clauses ((1975) (Law Com no. 69)), a contract term bears its natural meaning of any term in any contract (and is not limited to terms in a contract between the instant parties). But it is also to be appreciated that a contract term or notice may amount to a contractual exclusion clause which is apt to exclude or restrict liability for breach of either a contractual or tortious avocation of care, supported by Johnstone v. Bloomsbury Health Authority 1992 QB 333, or a disclaimer notice apt only to exclude or restrict tort liability, capable on the nature of the contract(c) The Consumer Protection Act 1987In keeping with this line of thought, it is also important to appreciate that the remit of the Consumer Protection Act (certified public accountant) 1987, between sections 10 and 19, supported by the decision in R v. Liverpool City Council, ex p Baby Products Association Ltd 2000 LGR 171, DC, has looked to effectively establish a system so as to be able to impose liability in relation to unsafe consumer goods and a standard of saftey that all maufacturers and retailers must look to comply with or risk committing an offence. Therefore, on this basis, the CPA 1987 has also served to establish that any breach of the safety regulations is an offence that not only provides a consumer with ev en greater scope to reject the goods, but also serves to give the Secretary of State the power to be able to serve prohibition notices.Halsburys Laws of England Lexis Nexis, Butterworths (2007)Law Commissions Second Report on Exemption Clauses (1975) (Law Com No. 69)A Roberts Co Ltd v. Leicestershire County Council 1961 Ch 555Adams v. Lindsell (1818) 1 B Ald. 681Alternative Publishing Ltd v. Kingstar Manufacturing (UK) Ltd 1996 CLY 1223, CAAshwell Nesbit Ltd v. Allen Co (1912) 2 Hudsons BC (4th Edn) 462Aurum Investments Ltd v. Avonforce Ltd (in liquidation) Knapp Hicks Partners Advanced Underpinning Ltd (Pt 20 defendants) (2001) 3 TCLR 461Bank of Boston Connecticut v. European Grain Shipping Ltd 1989 AC 1056, HLBarton v. Armstrong 1975 2 All ER 465, PCBell v. Lever Bros Ltd 1932 AC 161, HLBelle River Community Arena Inc v. WJC Kaufmann Co Ltd (1978) 87 DLR (3d) 761Beswick v. Beswick 1968 AC 58, HLBiggin Co Ltd v. Permanite Ltd 1951 2 KB 314, CABrinkibon Ltd. v. Stahag Stahl Stahl warenhandelgesellschaftmbh (1982) 1 All ER 293British Steel Corporation v. Cleveland Engineering Co 1984 1 All ER 504Brogden v. Directors of the Metropolitan Railway Company (1877) 2 App. Las 666Butler Machine Tool Co v. Ex-Cell-O Corp 1979 1 WLR 401Byrne v. Van Tienhoven (1880) 5 CPD 349Caister Group Developments Ltd v. Paul Rackham Construction Ltd (1973) 226 Estates Gazette 809Carlill v. Carbolic Smoke Ball Company 1893 1 QB 256Chillingworth v. Esche 1924 1 Ch 97Countess of Dunmore v. Alexander (1830) 9 S. 190Currie v. Misa (1875) LR 10 Ex 153Davies v. Sweet 1962 2 QB 300Dennant v. Skinner Collom 1948 2 KB 164Derry v. Peek (1889) 14 App Cas 337, HLEntores v. Miles Far East Corporation 1955 2 QB 327ER Dyer Ltd v. Simon Build/Peter Lind Partnership (1982) 23 BLR 23Felton v. Wharrin (1906) 2 Hudsons BC (4th Edn) 398, CAFisher v. Bell 1961 1 QB 394G Percy Trentham Ltd v. Archital Luxfer Ltd 1993 1 Lloyds Rep 25Geary, Walker Co Ltd v. Lawrence Son (1906) 2 Hudsons BC (4th E dn) 382, CAGlasgow
Sunday, June 2, 2019
The Last Samurai :: essays research papers
The Last Samurai-Scene 11 - 17The scene st artistryed off with a man by the name of Capt. Nathan Algren (Tom Cruise) laying on a floor wearing dirty garments and yelling out the name of a man that he had just killed before his capture. The Captain was captured during a battle between the Americans and the Japanese, however instead of killing the American, the Samurai leader Katsumoto (Ken Wantanobe) wanted him alive so that he could learn from his enemys ways. The Captain was staying in Katsumotos ex brother-in-laws house with the now widowed young lady and her children. The lady was truly un-accepting of the war hero at first, because he was the man who killed her husband, but as the story grew, she, along with the rest of her Buddhist tribe grew to like the American. As the American got stronger and was given more rights by their tribe, he started to learn the art of Japanese language and symbolism. While he was learning the semantics of another culture, I noticed that he had completely forgotten his ways as an American pass and instead, took on the way of the Samurai. As the ways of the Samurai embodied him, he grew emotionally and spiritually enough to the point of complete change of being. He was now spontaneous to fight for the Samurais, and although they did not have all the weapons that the Americans possessed, they did have much more structure of discipline and self control. The clip ends with the American apologizing to the young lady for the off of her husband. She accepts, and then tells him in Japanese that they ware each doing their duty, and that it was only karma that took her husband. I would have to say that it was the semantics of this Japanese culture that he was learning that intrigued me the most about this film. That is why I chose to tie in the concept of semantics with this movie clip, because its definition is very culturally-bound in a way that combines the study of words and meaning with the ways of the Japanese.Semantics ti es into this scene from its beginning when the Captain first gets a glance of how these natives speak, all the way though to the ways that they frame and prepare for war. The Japanese had a very different way of structuring words than the American had ever seen, but as he started to take part in their teachings, the Captain started to be able to write and even speak in their native language.
Saturday, June 1, 2019
Themes in The Crucible Essay -- Essay on The Crucible
Themes in The CrucibleIn the crucible Arthur Miller takes the chill story of the Salemwitch hunt in 1692 and combines it with the issues of McCarthyism inthe 1950s. The play reflects Millers ideas and opinions aboutMcCarthyism and what he thinks are the similarities to the Salem witchhunts. monitoring device is the main character Millers uses to reflect theunfairness of the Salem and McCarthy trials and how the truth died inthe 1950s. This makes Proctors role very dramatic and fire.Miller also uses a dramatic licence to make this even more so addingthe love to Elizabeth and guilt about Abigail gives the story anintriguing twist.The whole nature of Proctor makes him an exciting and complexcharacter as a result this makes him entertaining to the interview andhis complexity keeps the audience enthralled throughout the play. Hispersonality is not boring or simple. He has a quick temper and isoften angry, it seems he cant control his feelings. turning on her,rifle in hand I will anat hemize her hotter than the oldest cinder inhell. This has the effect of exciting the audience and adds interest(not to mention tension with this particular line) but this line canhave the effect of qualification Proctor look like a bad person.Alternatively it could suggest that Proctor is human and has hisfaults, the audience would sympathise with this.Inside Proctor lacks self confidence, he was shamed when he had an liaison with Abigail. Proctor shows this when he says, I may blush formy sin, this line give the audience the impression that John realisesthat the affair was wrong, that is was a sin and he regrets it. Italso implies that he hasnt forgiven himself for what he did withAbigail and he still ... ...relevance to them.John Proctor is the character which the audience relate to and haveopinions about the most. They see him fight although he stands toloose everything and admire his courage. They see him battle againsthimself to sign a confession or set up the truth about Ab igail andrespect his conviction. They see him become almost a martyr or tragichero as he dies for his belief in the truth and his pride in his name.These things add drama, excitement, structure and interest to the plotof the Crucible. He has a fatal flaw, whether it be his pride,attraction to Abigail or trust in Elizabeth, but this means theaudience can relate to him. The Crucible is a story of Proctorspersonal tragedy but it also a story of the Salem witch hunt, and of McCarthyism. Miller strikes a balance between these things to get theplot which makes up the Crucible.
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