Monday, September 30, 2019

Investigatory Project “ Kaymito Leaves Decoction as Antiseptic Mouthwash ” Essay

Introduction 1.1 Problem Statement Fractures are prevalent in natural and synthetic structural media, even in the best engineered materials. We find fractures in bedrock, in sandstone aquifers and oil reservoirs, in clay layers and even in unconsolidated materials (Figures 1.1 to 1.4). Fractures are also common in concrete, used either as a structural material or as a liner for storage tanks (Figure 1.5). Clay liners used in landfills, sludge and brine disposal pits or for underground storage tanks can fracture, releasing their liquid contents to the subsurface (Figure 1.6). Even â€Å"flexible† materials such as asphalt fracture with time (Figure 1.7). The fact that fractures are inevitable has led to spending billions of research dollars to construct â€Å"safe† long-term (10,000 years or more) storage for high-level nuclear waste (Savage, 1995; IAEA, 1995), both to determine which construction techniques are least likely to result in failure and what are the implications of a failure, in terms of release to the environment and potential contamination of ground water sources or exposure of humans to high levels of radioactivity. Why do materials fail? In most cases, the material is flawed from its genesis. In crystalline materials, it may be the inclusion of one different atom or molecule in the structure of the growing crystal, or simply the juncture of two crystal planes. In depositional materials, different grain types and sizes may be laid down, resulting in layering which then becomes the initiation plane for the fracture. Most materials fail because of mechanical stresses, for example the weight of the overburden, or heaving (Atkinson, 1989; Heard et al., 1972). Some mechanical stresses are applied constantly2 until the material fails, others are delivered in a sudden event. Other causes of failure are thermal stresses, drying and wetting cycles and chemical dissolution. After a material fractures, the two faces of the fracture may be subject to additional stresses which either close or open the fracture, or may subject it to shear. Other materials may temporarily or permanently deposit in the fracture, partially or totally blocking it for subsequent fluid flow. The fracture may be almost shut for millions of years, but if the material becomes exposed to the surface or near surface environment, the resulting loss of overburden or weathering may allow the fractures to open. In some cases, we are actually interested in introducing fractures in the subsurface, via hydraulic (Warpinski, 1991) or pneumatic fracturing (Schuring et al., 1995), or more powerful means, to increase fluid flow in oil reservoirs or at contaminated sites. Our particular focus in this study is the role that fractures play in the movement of contaminants in the subsurface. Water supply from fractured bedrock aquifers is common in the United States (Mutch and Scott, 1994). With increasing frequency contaminated fractured aquifers are detected (NRC, 1990). In many cases, the source of the contamination is a Non-Aqueous Phase Liquid (NAPL) which is either in pools or as residual ganglia in the fractures of the porous matrix. Dissolution of the NAPL may occur over several decades, resulting in a growing plume of dissolved contaminants which is transported through the fractured aquifer due to natural or imposed hydraulic gradients. Fractures in aquitards may allow the seepage of contaminants, either dissolved or in their own phase, into water sources. Fluid flow in the fractured porous media is of significance not only in the context of contaminant transport, but also in the production of oil from reservoirs, the generation of steam for power from geothermal reservoirs, and the prediction of structural integrity or failure of large geotechnical structures, such as dams or foundations. Thus, the results of this study have a wide range of applications. The conceptual model of a typical contaminant spill into porous media has been put forward by Abriola (1989), Mercer and Cohen (1990), Kueper and McWhorter (1991) and Parker et al. (1994). In some cases, the contaminant is dissolved in water and thus3 travels in a fractured aquifer or aquitard as a solute. Fractures provide a fast channel for widely distributing the contaminant throughout the aquifer and also result in contaminant transport in somewhat unpredictable directions, depending on the fracture planes that are intersected (Hsieh et al., 1985). More typically a contaminant enters the subsurface as a liquid phase separate from the gaseous or aqueous phases present (Figure 1.8). The NAPL may be leaking from a damaged or decaying storage vessel (e.g. in a gasoline station or a refinery) or a disposal pond, or may be spilt during transport and use in a manufacturing process (e.g. during degreasing of metal parts, in the electronics industry to clean semiconductors, or in an airfield for cleaning jet engines). The NAPL travels first through the unsaturated zone, under three-phase flow conditions, displacing air and water. The variations in matrix permeability, due to the heterogeneity of the porous medium, result in additional deviations from vertical flow. If the NAPL encounters layers of slightly less permeable materials (e.g. silt or clay lenses, or even tightly packed sand), or materials with smaller pores and thus a higher capillary entry pressure (e.g. NAPL entering a tight, water-filled porous medium), it will tend to flow mostly in the horizontal direction until it encounters a path of less resistance, either more permeable or with larger pores. Microfractures in the matrix are also important in allowing the NAPL to flow through these lowpermeability lenses. When the NAPL reaches the capillary fringe, two scenarios may arise. First, if the NAPL is less dense than water (LNAPL, e.g. gasoline, most hydrocarbons), then buoyancy forces will allow it to â€Å"float† on top of the water table. The NAPL first forms a small mound, which quickly spreads horizontally over the water table (Figure 1.9). When the water table rises due to recharge of the aquifer, it displaces the NAPL pool upward, but by that time the saturation of NAPL may be so low that it becomes disconnected. Disconnected NAPL will usually not flow under two-phase (water and NAPL) conditions. Connected NAPL will move up and down with the movements of the water table, being smeared until becomes disconnected. If the water table goes above the disconnected NAPL, it will begin to slowly dissolve. NAPL in the unsaturated zone will4 slowly volatilize. The rates of dissolution and volatilization are controlled by the flow of water or air, respectively (Powers et al., 1991; Miller et al., 1990; Wilkins et al., 1995; Gierke et al, 1990). A plume of dissolved NAPL will form in the ground water, as well as a plume of volatilized NAPL in the unsaturated zone. If the NAPL is denser than water (DNAPL, e.g. chlorinated organic solvents, polychlorinated biphenyls, tars and creosotes), then once it reaches the water table it begins to form a mound and spread horizontally until either there is enough mass to overcome the capillary entry pressure (DNAPL into a water saturated matrix) or it finds a path of less resistance into the water-saturated matrix, either a fracture or a more porous/permeable region. Once in the saturated zone, the DNAPL travels downward until either it reaches a low enough saturation to become disconnected (forming drops or â€Å"ganglia†) and immobile, or it finds a low-permeability layer. If the layer does not extend very far, the DNAPL will flow horizontally around it. In many cases, the DNAPL reaches bedrock (Figure 1.10). The rock usually contains fractures into which the DNAPL flows readily, displacing water. The capillary entry pressure into most fractures is quite low, on the order of a few centimeters of DNAPL head (Kueper and McWhorter, 1991). Flow into the fractures continues until either the fracture becomes highly DNAPL saturated, or the fracture is filled or closed below, or the DNAPL spreads thin enough to become disconnected. The DNAPL may flow into horizontal fractures within the fracture network. In terms of remediation strategies, DNAPLs in fractured bedrock are probably one of the most intractable problems (National Research Council, 1994). They are a continuous source of dissolved contaminants for years or decades, making any pumping or active bioremediation alternative a very long term and costly proposition. Excavation down to the fractured bedrock is very expensive in most cases, and removal of the contaminated bedrock even more so. Potential remediation alternatives for consideration, include dewatering the contaminated zone via high-rate pumping and then applying Soil Vapor Extraction to remove volatile DNAPLs, or applying steam to mobilize and volatilize the DNAPL towards a collection well. An additional option is to use5 surfactants, either to increase the dissolution of DNAPL or to reduce its interfacial tension and thus remobilize it (Abdul et al., 1992). An issue with remobilizing via surfactants is the potential to drive the DNAPLs further down in the aquifer or bedrock, complicating the removal. If an effective remediation scheme is to be engineered, such as Soil Vapor Extraction, steam injection or surfactant-enhanced dissolution or mobilization, we need to understand how DNAPLs flow through fractures. Flow may be either as a solute in the aqueous phase, as two separate phases (DNAPL-water) or as three phases (DNAPL, water and gas, either air or steam). Another complication in any remediation scheme, not addressed in this study, is how to characterize the fracture network. Which are the fractures that carry most of the flow? What is their aperture and direction? What is the density of fracturing in a particular medium? Are the fractures connected to other fractures, probably in other planes? How does one sample enough of the subsurface to generate a good idea of the complexity involved? Some techniques are beginning to emerge to determine some of the most important parameters. For example, pumping and tracer tests (McKay et al., 1993; Hsieh et al., 1983) may provide enough information to determine the mean mechanical and hydraulic aperture of a fracture, as well as its main orientation. Geophysical techniques like seismic imaging, ground-penetrating radar and electrical conductivity tests are being improved to assist in the determination of fracture zones (National Research Council, 1996). However, there is room for significant improvement in our current ability to characterize fractures in the subsurface. Even if we come to understand how single and multiphase flow occurs in a fracture, and the interactions between the fracture and the porous matrix surrounding it, how do we describe all these phenomena in a modeling framework? Clearly, we cannot describe every fracture in a model that may consider scales of tens, hundreds or thousands of meters in one or more directions. One approach is to consider the medium as an â€Å"equivalent continuum† (Long, 1985), where the small-scale properties are somehow averaged in the macroscopic scale. Probably the best solution for averaging properties is to use a stochastic description of properties such as permeability (or6 hydraulic conductivity) including the effect of fractures on overall permeability, diffusivity, sorption capacity, grain size, wettability, etc. Another approach, first developed in the petroleum industry, is to consider a â€Å"dual porosity/dual permeability† medium (Bai et al., 1993; Zimmerman et al., 1993; Johns and Roberts, 1991; Warren and Root, 1963), referring to the porosity and permeability of the matrix and the fracture. Diffusive or capillary forces drive the contaminants, or the oil and its components, into or out of the matrix, and most advective flow occurs in the fractures. None of these models has yet been validated through controlled experiments. 1.2 Research Objectives The objectives of this research are:  · To characterize the fracture aperture distribution of several fractured porous media at high resolution;  · To study the transport of a contaminant dissolved in water through fractured media, via experimental observation;  · To study the physical processes involved in two- and three-phase displacements at the pore scale;  · To observe two- and three-phase displacements in real fractured porous media;  · To bring the experimental observations into a modeling framework for predictive purposes. 1.3 Approach7 To understand single and multiphase flow and transport processes in fractures, I first decided to characterize at a high level of resolution the fracture aperture distribution of a number of fractured rock cores using CAT-scanning. With this information, I determined the geometry and permeability of the fractures, which I then use to construct a numerical flow model. I also use this information to test the validity of predictive models that are based on the assumed statistics of the aperture distribution. For example, stochastic models (Gelhar, 1986) use the geometric mean of the aperture distribution to predict the transmissivity of a fracture, and show that the aperture variance and correlation length can be used to predict the dispersivity of a solute through a fracture. These models have not been, to my knowledge, been tested experimentally prior to this study. I compare these theoretical predictions of fracture transmissivity and dispersivity of a contaminant, with experimental results, both from the interpretation of the breakthrough curve of a non-sorbing tracer and from CAT-scans of the tracer movement through the fractured cores. To study multiphase displacements at the pore scale, we use a physical â€Å"micromodel†, which is a simile of a real pore space in two dimensions, etched onto a silicon substrate. The advantage of having a realistic pore space, which for the first time has the correct pore body and pore throat dimensions in a micromodel, is that we can observe multiphase displacements under realistic conditions in terms of the balance between capillary and viscous forces. I conduct two- and three-phase displacements to observe the role that water and NAPL layers play in the mobilization of the various phases. The micromodels are also used to study the possible combinations of double displacements, where one phase displaces another which displaces a third phase. The pore scale observations have been captured by Fenwick and Blunt (1996) in a threedimensional, three-phase network model which considers flow in layers and allows for double displacements. This network model then can produce three-phase relative permeabilities as a function of phase saturation(s) and the displacement path (drainage, imbibition or a series of drainage and imbibition steps).8 In addition, I use the fracture aperture information to construct capillary pressuresaturation curves for two phase (Pruess and Tsang, 1990) and three phases (Parker and Lenhard, 1987), as well as three-phase relative permeabilities (Parker and Lenhard, 1990). The fracture aperture distribution is also an input to a fracture network model which I use to study two-phase displacements (drainage and imbibition) under the assumption of capillary-dominated flow. To observe two- and three-phase displacements at a larger scale, in real fractured cores, I use the CAT-scanner. I can observe the displacements at various time steps, in permeable (e.g. sandstones) and impermeable (e.g. granites) fractured media, determining the paths that the different phases follow. These observations are then compared with the results of the network model as well as with more conventional numerical simulation. 1.4 Dissertation Overview The work is presented in self-contained chapters. Chapter 2 deals with the high resolution measurement and subsequent statistical characterization of fracture aperture. Chapter 3 uses the fracture aperture geostatistics to predict transmissivity and diffusivity of a solute in single-phase flow through a fracture, which is then tested experimentally. We also observe the flow of a tracer inside the fracture using the CAT-scanner, and relate the observations to numerical modeling results. Chapter 4 presents the theory behind the flow characteristics at the pore scale as well as the micromodel observations of two- and three-phase flow. In Chapter 5, twophase flow in fractured and unfractured porous media is presented, comparing CATscanned observations of various two-phase flow combinations (imbibition, drainage and water flooding) against numerical modeling results. Chapter 6 presents three-phase flow9 in fractures, comparing numerical results against CAT-scanner observations. Finally, Chapter 7 considers the engineering relevance of these studies. 1.5 References Atkinson, B. K., 1989: Fracture Mechanics of Rock, Academic Press, New York, pp. 548 Abdul, A. S., T. L. Gibson, C. C. Ang, J. C. Smith and R. E. Sobczynski, 1992: Pilot test of in situ surfactant washing of polychlorinated biphenyls and oils from a contaminated site, Ground Water, 30:2, 219-231 Abriola, L.,: 1989: Modeling multiphase migration of organic chemicals in groundwater systems – A review and assessment, Environmental Health Perspectives, 83, 117-143 Bai, M., D. Elsworth, J-C. Roegiers, 1993: Multiporosity/multipermeability approach to the simulation of naturally fractured reservoirs, Water Resources Research, 29:6, 1621-1633 Fenwick, D. H. and M. J. Blunt: 1996, Three Dimensional Modeling of Three Phase Imbibition and Drainage, Advances in Water Resources, (in press) Gelhar, L. W., 1986: Stochastic subsurface hydrology: From theory to applications., Water Resources Res., 22(9), 1355-1455. Gierke, J. S., N. J. Hutzler and J. C. Crittenden, Modeling the movement of volatile organic chemicals in columns of unsaturated soil, Water Resources Research, 26:7, 1529-1547 Heard, H. C., I. Y. Borg, N. L. Carter and C. B. Raleigh, 1972: Flow and fracture of rocks, Geophysical Monograph 16, American Geophysical Union, Washington, D. C. Hsieh, P. A., S. P. Neuman, G. K. Stiles and E. S. Simpson, 1985: Field determination of the threedimensional hydraulic conductivity of anisotropic media: 2. Methodology and application to fracture rocks, Water Resources Research, 21:11, 1667-1676 Hsieh, P. A., S. P. Neuman and E. S. Simpson, 1983: Pressure testing of fractured rocks- A methodology employing three-dimensional cross-hole tests, Report NUREG/CR-3213 RW, Dept. of Hydrology and Water Resources, University of Arizona, Tucson, AZ 85721 IAEA, 1995: The principles of radioactive waste management, International Atomic Energy Agency, Vienna Johns, R. A. and P. V. Roberts, 1991: A solute transport model for channelized flow in a fracture. Water Resources Res. 27(8): 1797-1808. Kueper, B. H. and D. B. McWhorter, 1991: The behavior of dense, nonaqueous phase liquids in fractured clay and rock, Ground Water, 29:5, 716-728 Long, J. C. S., 1985: Verification and characterization of continuum behavior of fractured rock at AECL Underground Research Laboratory, Report BMI/OCRD-17, LBL-14975, Batelle Memorial Institute, Ohio McKay, L. D., J. A. Cherry and R. W. Gillham, 1993: Field experiments in a fractured clay till, 1. Hydraulic conductivity and fracture aperture, Water Resources Research, 29:4, 1149-1162 Mercer, J. W. and R. M. Cohen, 1990: A review of immiscible fluids in the subsurface: properties, models, characterization and remediation, J. of Contaminant Hydrology, 6, 107-163 Miller, C. T., M. M. Poirier-McNeill and A. S. Mayer, 1990: Dissolution of trapped nonaqueous phase liquids: mass transfer characteristics, Water Resources Research, 26:11, 2783-2796 Mutch, R. D. and J. I. Scott, 1994: Problems with the Remediation of Diffusion-Limited Fractured Rock Systems. Hazardous Waste Site Soil Remediation: Theory and Application of Innovative Technologies. New York, Marcel Dekker, Inc. National Research Council, 1994: Alternatives for ground water cleanup, National Academy Press, Washington, D. C. National Research Council, 1996: Rock Fracture and Fracture Flow: Contemporary Understanding and Applications, Committee on Fracture Characterization and Fluid Flow, National Academy Press, Washington, D. C. (in press). Parker, J. C. and R. J. Lenhard, 1987: A model for hysteretic constitutive relations governing multiphase flow: 1. Saturation-pressure relations, Water Resources Research, 23:12, 2187-219610 Parker, J. C. and R. J. Lenhard, 1990: Determining three-phase permeability-saturation-pressure relations from two-phase system measurements, J. Pet. Sci. and Eng., 4, 57-65 Parker, B. L., R. W. Gillham and J. A. Cherry, 1994: Diffusive disappearance of immiscible-phase organic liquids in fractured geologic media, Ground Water, 32:5, 805-820 Powers, S. E., C. O. Loureiro, L. M. Abriola and W. J. Weber, Jr., 1991: Theoretical study of the significance of nonequilibrium dissolution of nonaqueous phase liquids in subsurface systems, Water Resources Research, 27:4, 463-477 Pruess, K. and Y. W. Tsang, 1990: On two-phase relative permeability and capillary pressure of roughwalled rock fractures, Water Resources Research, 26:9, 1915-1926 Reitsma, S. and B. H. Kueper, 1994: Laboratory measurement of capillary pressure-saturation relationships in a rock fracture, Water Resources Research, 30:4, 865-878 Savage, D., 1995: The scientific and regulatory basis for the geological disposal of radioactive waste, John Wiley, New York Schuring, J. R., P. C. Chan and T. M. Boland, 1995: Using pneumatic fracturing for in-situ remediation of contaminated sites, Remediation, 5:2, 77-90 Norman R. Warpinski, 1991: Hydraulic fracturing in tight, fissured media, SPE 20154, J. Petroleum Technology, 43:2, 146-209 Warren , J. E. and P. J. Root, 1963: The behavior of naturally fractured reservoirs, Soc. Pet. Eng. J., 3, 245-255 Wilkins, M. D., L. M. Abriola and K. D. Pennell, 1995: An experimental investigation of rate-limited nonaqueous phase liquid volatilization in unsaturated porous media: Steady state mass transfer, Water Resources Research, 31:9, 2159-2172 Zimmerman, R. W., G. Chen, T. Hadgu and G S. Bodvarsson, 1993: A numerical dual-porosity model with semianalytical treatment of fracture/matrix flow, Water Resources Research, 29:7, 2127-2137

Sunday, September 29, 2019

Philippine Daily Inquirer

â€Å"The Philippine Daily Inquirer† I. Introduction Philippine Daily Inquirer is one of the most prominent newspapers in the Philippines. It is the most widely read newspaper nowadays because of its updated content. The Philippine Daily Inquirer is undeniably the country’s most widely read and circulated newspaper. With over 2. 7 million nationwide readers daily, it enjoys a market share of over 50% and tops the readership surveys. Not only is it the most read among all sectors and ages, it is also the country’s most trusted source of hard-hitting news and countless exposes. Distinguished by award-giving bodies like the Catholic Mass Media Awards, Jaime Ongpin Awards for Investigative Journalism and Anvil Awards, it is the Philippines’ most awarded broadsheet with over 200 awards and citations. Besides being the country’s leading journalistic voice, the Inquirer is also strongly committed to social responsibility and has taken an active role in various socio-civic programs. Its business savvy and social conscience have been recognized with the Agora Award for Outstanding Marketing Company of the Year in 1998, Anvil Award of Merit for its participation in Tabang Mindanaw and Gold Quill Award of Excellence for Economic, Social and Environmental Development in 2003. It is also the most environmentally friendly newspaper in the country, being the first local newspaper to use organic soy-based ink, 100% recycled newsprint and a resizing of the paper saving seven trees a day. It won a special citation from the Catholic Mass Media Awards for its environmental initiatives and a Gold Quill Award of Excellence for its youth readership program. Its meaningful goal of making a difference in the everyday life of Filipinos continues to be the driving force behind its journalistic and corporate initiatives. As the country’s no. 1 newspaper, the Philippine Daily Inquirer will remain steadfast in its commitment to bring â€Å"Balanced news, fearless views† to readers when and where it matters. II. History The Philippine Daily Inquirer was born in the last days of 1985. Like its predecessors, the Mr. and Mrs. Special Edition and the weekly Philippine Inquirer, it was to play an important role in helping bring about chronicling the historic EDSA revolution. The Sandiganbayan on December 2, 1985 acquitted all 25 soldiers and a civilian accused in the Aquino-Galman double murder case. At about the same time, President Ferdinand E. Marcos called for a snap presidential election. Ms. Corazon C. Aquino, widow of Sen. Benigno S. Aquino Jr. , was soon nominated by the opposition to run against Marcos. A strong demand then arose for a credible alternative broadsheet that would compete with the three national dailies controlled by the government. Mrs. Eugenia D. Apostol, Chair of Mr. & Ms. Publishing Co. , and a group of media people organized the INQUIRER to meet the demand for a credible broadsheet. The group headed by Mrs. Apostol wanted to have a newspaper that was truly independent, free from the influence of interest groups. The INQUIRER started publishing with less than P1 million in seed money, its maiden issue, published on December 9, 1985, sold 30,000 copies. The first issue said that the INQUIRER would chronicle the times with candor and courage. The paper later adopted the slogan â€Å"Balanced News, Fearless Views. The new daily was housed in the dilapidated one-story Star Building on 14th and Railroad streets in Port Area, Manila. It was put out by 40 editors, reporters, correspondents, photographers and other editorial employees working in a 100 square meter newsroom. Columnist Louie Beltran was named its Editor-in-Chief. The INQUIRER's circulation increased as Ms. Aquino's campaign picked up. By January 1986 it was selling 100,000 copies and by February 1986, shortly before the election, it was selling more than 250,000 copies and circulation was continuing to climb beyond the 300,000 mark. After the EDSA Revolution, the circulation settled down, but the INQUIRER still ranked second among the top broadsheets with 175,000 paid copies daily. On June 27, 1986, the INQUIRER transferred to the former Madrid Restaurant on EDSA. The new president, Ms. Corazon C. Aquino, was the guest of honor at the inauguration. In its first year of operation, the Philippine Daily Inquirer, Inc. ranked 339th on the list of top 1,000 companies of the country. Since then it has been consistently on the list in 1988, 530th; in 1989, 467th; in 1990, 451st in 1991; 451st again; in 1992, 349th ; in 1993, 333rd; in 1994, 315th; and in 1995, 296th. Frederico D. Pascual, former assistant managing editor of the Daily Express, was named executive editor in February 1987, replacing Beltran. Pascual was appointed Editor-in-Chief two years later. On Sept. 22, 1987, two veterans in newspaper management joined the INQUIRER: Mariano B. Quimson, Jr. as president and Ben M. Pangilinan as Vice President for Marketing, it was also at that time that the INQUIRER received an additional capital infusion. In November of that year, the INQUIRER began setting up a modern electronic newsroom Today, the entire editorial and production operation of the INQUIRER is 100 percent computerized. On November 17, 1987 the INQUIRER moved again, this time to the BF Condominium on Aduana Street, Intramuros. It was in 1990 that the INQUIRER overtook the lead of another daily and became the country's biggest circulated broadsheet. This was validated by a circulation audit conducted by Sycip, Gorres and Velayo for the Print Media Audit Council which found that the INQUIRER had an average net paid daily circulation of 200,759 for the period of October 1989 to March 1990. Since that time the INQUIRER has consistently led in the circulation ratings. The BF Condominium building was damaged in the earthquake of July 1990. On January 5, 1991 the INQUIRER transferred to the YIC building on United Nations Avenue and Romualdez Street in Malate. On June 14, 1991, Leticia Jimenez Magsanoc, columnist and associate publisher, was appointed Editor-in-Chief. On January 26, 1994, Ms. Apostol, the INQUIRER founding chair, retired and Ms. Marixi R. Prieto took over her post. A group led by Eduardo Espiritu, former PNB president bought Ms. Apostol's shares in the company. Previously, a group headed by Ms. Prieto had bought into the Philippine Daily Inquirer, Inc. On Feburary 4, 1994, the PDI board of directors appointed Isagani Yambot as publisher. The INQUIRER transferred to its building on Chino Roces Street (formerly Pasong Tamo) corner Yague and Mascardo Streets in Makati City on January 5,1995, its printing press was installed earlier, only about 20 meters away from the office building. The INQUIRER is now the No. 1 newspaper in the country in terms of ciculation and readership. It has a daily average circulation of 250,000 and a Sunday circulation of 270,000. Based upon the Asia Research Organization's (ARO) trimedia survey, it is estimated that more than 2. million readers nationwide are now reading the INQUIRER. Of the INQUIRER'S 416 employees, 192 are with the editorial group and 224 with the business group. In addition to its 56 regular reporters based in Metro Manila, the INQUIRER has 90 provincial correspondents who cover the news throughout the country. It has four news bureaus in Baguio City (Northern Luzon), Legaspi City (South ern Luzon), Cebu City (the Visayas) and Davao City (Mindanao). To date, The Inquirer is the most awarded broadsheet. It's writers have been honored with over 100 awards and citations. It was chosen Newspaper of the Year by the Rotary Club of Manila in 1992 and was lone print media awardee in January 1995, during the visit of Pope John Paul II, when it was cited by the Catholic Mass Media Awards for Best News Reportage. In May 1997, it was again given the CMMA award (now the Lorenzo Ruiz Award) for its â€Å"pork barrel† series. It also received the Webby Award for its website (www. inquirer. net), and Agora award for Marketing Company of the Year, and in 1999, the grand prize of the 1998 Citibank Excellence in Journalism Award (Elena Torrijos) as well as an Anvil Award for Merit for its Tabang Mindanaw campaign in '98. In May 1998, Ben Pangilinan formally retired from the office and was succeeded by Alexandra P. Romualdez as president. The INQUIRER has come a long way from December 1985 when it started on a P1 million budget and enjoyed an initial circulation of 30,000. It is now the daily newspaper with the biggest circulation and readership. It is considered one of the most influential dailies in the country today. III. Mission, Vision, and Values The mission of the Philippine Daily Inquirer is to be the dominant, most respected and influential Philippine media organization for Filipinos here and abroad. Generally speaking, they want to be known having an important role in the society. Not only locally but to be acclaimed internationally. Their vision is focused on becoming a world-class processor of news and information, publishing the country's newspaper of record, informing and influencing our public, providing other excellent services and serving as a catalyst for social progress – all within the framework of a liberal democracy. And lastly, their corporate values which are focused on these things as follows: Excellence We uphold the highest standards in journalism and provide top-quality service to readers, advertisers and clients. We perform our roles to the best of our abilities and continuously seek to improve our expertise and skills. We strive to be reliable, accurate, efficient and effective in the delivery of our services and management of our finances. Integrity We abide by the principles of honesty, fairness and incorruptibility in our journalistic, business and interpersonal conduct. Through these, we establish our credibility and become worthy of the trust of our stakeholders. Editorial Independence We maintain the freedom to take a position regardless of external and internal pressure, ensure that we hear out all sides, decide responsibility without fear or favor, and respect independent thinking and freedom to express views and opinions. Responsibility We work for the betterment of our nation and strive to preserve and conserve resources in all our undertakings. Teamwork We respect and trust each member of the team and work harmoniously to achieve the organization's goals. Dynamism We continuously improve and respond to the changing needs of the environment, the market and the organization. We adopt an open-minded, forward-looking and proactive stance in meeting the challenges of the future. In upholding these values, we seek the guidance of Divine Providence to attain higher levels of development. IV. S. W. O. T. ANALYSIS This is an analysis which enumerates the strengths, weaknesses, opportunities and threats. Philippine Daily Inquirer has fully established a good name in the media industry. It is known as one of the best leading newspapers in the country. We have asked few people with regard to their opinion about the newspaper to determine its strengths and weaknesses. STRENGTHS †¢The main strength of PDI is their news paper Name. No matter where people live, almost everybody knows their news paper Name. †¢The Philippine Daily Inquirer is undeniably the country’s most widely read and circulated newspaper. †¢It is also the most environmentally friendly newspaper in the country, being the first local newspaper to use organic soy-based ink, 100% recycled newsprint and a resizing of the paper saving seven trees a day. †¢Following the principle of honesty, fairness and credibility when giving information. †¢One of the reputed news paper industries today. They have digital edition available to all readers. †¢Good reputation among customers. WEAKNESSES †¢PDI news paper is not readable by a commoner. †¢High cost structure. Not all people can afford the price of the news paper. OPPORTUNITIES †¢Aside from the internet (inquirer. net) and radio (radio inquirer) there is the opportunity for the famous publish er to go on television. †¢ As a medium, it helps to inform the general public to be aware of the latest events in the country in all aspects be it in the politics, showbiz, economy, etc.. Another thing is it emphasized quality news reporting which can bring up the mind of the people to think broader things in life. †¢It also helps the economy in terms of employment, as they hire people who qualify to their requirements. †¢ It plays a good competition in the media industry which can influence other media companies to perform a healthy and balance information to the public. THREATS †¢Because of the many forms of new media, people would not be interested anymore to subscribe to newspaper †¢Because of the majority of the Filipinos are uneducated, they tend to prefer to buy newspaper which are printed in tagalong. In terms of price, small media companies who print newspaper in tagalog are more affordable so they patronize more on them. †¢The computers and in ternet can affect the print media to boom the industry specifically the newspapers because they can also be read through the internet without buying them. †¢ If public would not patronize their newspaper chances would be more unemployment scenario if the company closes if they could not survive anymore. V. Competitors In the world of media, competition is never an outcast. Even television and radio stations are all aiming to be number one, and so as all the newspaper companies throughout the country. Philippine Daily Inquirer is only one of those competing newspaper companies. One of the most famous newspapers in the country is the Manila Bulletin. The Manila Bulletin (also known as the Bulletin and previously known as the Manila Daily Bulletin and the Bulletin Today) is the Philippines' largest broadsheet newspaper by circulation, followed by the Philippine Daily Inquirer. It bills itself as â€Å"The Nation's Leading Newspaper†, which is its official slogan. Founded in 1900 as a shipping journal, it is the second-oldest Philippine newspaper, second only to The Manila Times. Its name was changed from Bulletin Today on March 12, 1986. It was originally owned by a Swiss expatriate named Hans Menzi. The Manila Bulletin survived the Martial law era of President Ferdinand Marcos for propaganda purposes. The newspaper is owned by Filipino-Chinese business mogul Emilio Yap, who, aside from the Manila Bulletin Publishing Corporation (the paper's controlling company), also owns the Manila Hotel, Centro Escolar University and Euro-Phil Laboratories. The company has been listed on the Philippine Stock Exchange since 1990, and had revenues of approximately US$45 million in 2004. Besides its flagship it publishes two other daily tabloids, Tempo and Balitia, as well as nine magazines such as thePhilippine Panorama, Bannawag, Liwayway, Bisaya and a host of other journals in English, Tagalog,Cebuano and other Philippine languages. Another newspaper that is reigning in the media organization today is the Philippine Star. The Philippine Star is a daily English-language broadsheet newspaper based in Manila and circulated nationwide in the Philippines. Owned and published by PhilSTAR Daily, Inc, it was founded on July 28, 1986 by veteran journalists Max Soliven, Betty Go-Belmonte and Art Borjal. The Philippine STAR has an established circulation in Hong Kong and Saudi Arabia. It is among the top three broadsheets in the country, by circulation, along with the Philippine Daily Inquirer and the Manila Bulletin, with other Philippine newspapers trailing far behind. Data from the Neilsen Media Index for the first quarter of 2008 show that the Philippine Star is the most read broadsheet in the Philippine capital of Metro Manila, with a Monday-to-Saturday readership of 47. percent. As of the last semester of 2007, the Media Index also showed the Star is the number one broadsheet among the ABC1 socio-economic class, with 47. 3 percent of the market, up from 35. 7 percent the previous year. A separate survey by the Nielsen Media Research – Print Advertising Information Service, which monitors print advertising placements, shows that in 2007, the STAR received the lion's share of advertising expenditure among all other Philippine broadsheets. It reports P2. 97 billion worth of advertising went to the Philippine Star, followed by P2. 8 billion for the Philippine Daily Inquirer, and P1. 35 billion for the Manila Bulletin. All of the leading newspapers today already have many similarities today. It only depends on how they market themselves to prove that they are better than anybody. Some of the other newspapers gaining prestige today are Manila Times, Business Mirror, Manila Tribune and many more. VI. Recommendation Philippine Daily Inquirer has already done all the best to establish their good name and image in the media industry. Based on the analysis that we did, I would like to focus more on the suggestions to improve their weaknesses and make it become part of the strength. We have stated in the weaknesses that Philippine Daily Inquirer is not readable by a commoner and it is something that seems to be a high cost structure. We would like to recommend to the company to have a Filipino version of the newspaper written in the native language so it is easier for all types of readers to understand the content and meaning. Make it friendlier to all readers. Because today, not all Filipinos are able to understand the English language and most of them belong to the middle and average classes only. Even those who are really capable of reading in the English language are not becoming interested in newspapers written in English simply because it needs a little more of effort to fully understand. When it comes to the high cost structure, we would like to recommend to the company to lessen the pages. As one of the readers of their newspaper, we find it a little too hard to understand and our interests focus only in one page or two. We don’t really like reading all of the pages of the paper. Another suggestion, make it more attractive. Just like with the advertisements of products, make it pleasing for the eyes of their readers. Also make it more affordable for the Filipino people. Media Management and Marketing Group Members: Montereza A. Veloria Natasha Kate Mendoza Ma. Theresa Cambel Carylle Estrella Charles Aguilar Monday/Thursday 6:00 pm to 7:30 pm Professor Dino Cantal

Saturday, September 28, 2019

EnvironmentD Essay Example | Topics and Well Written Essays - 1250 words

EnvironmentD - Essay Example Due to our careless activities in pursuit of our own comforts and luxuries, we have destroyed the various species of plants and animals that have inhabited our planet for millennia. This write-up deals with one of the danger spots of the world, as pointed out by UNESCO. We will be discussing the Manas Wildlife Sanctuary, which is the danger-zone in terms of its ecological factor, situated in India. It has been highlighted as an ecological property that is on the World Heritage list on the website of the United Nations Educational, Scientific and Cultural Organisation (UNESCO). We will talk about the causes for the destruction, potential threats, programmes for conservation that have been taken up by the Government of India; besides how it can lead to the extinction of some of the world's endangered species! Located on the foothills of the world's tallest mountain ranges, the Himalayas, the Manas Wildlife Sanctuary is home for numerous species of animals and birds. It is one of the numerous spots around the world that is inhabited extensively by the wildlife. Since it lies at the confluence of the Indo-Gangetic and the Indo-Malayan plain, it exhibits great degree of diversity, in terms of the wildlife inhabiting the area, inclusive of few endangered species like the Indian rhinoceros, the elephant, the pygmy hog and the tiger. Since it is located on the fertile alluvial soil that is conducive for the growth of woodlands and grasslands, it is densely populated by the varied species of wildlife. However, due to the invasion of man and materialism into this animal kingdom, the sanctuary has suffered some extensive damages. Falling aprey to the numerous atrocious activities of man, in his attempt to extract the most amount of benefits from natural resources, the sanctuary has witnessed heavy diminishment. It was named under the list of the Danger Spots of the World, in the year 1992, as a result of the destruction of the sot due to the invasion of the Assamese Bodo tribes. Extensive damage had also been done due to destructive activities like poaching and others. Political stability and civil unrest are also cited as the reasons for this. Militant invasion, heavy human activity, etc. led to the diminishment of the quality of infrastructure of the sanctuary. The insurgency and militant movement that is quite rampant in the area has led to the destruction of about 30% of the tigers and 50% of the rare Indian rhinoceros. The loss is estimated to be about two million USD. This extensive damage and its high amounting has led to numerous outcomes. The main one seems to be that fact that the site has been declared a Danger Spot. This listing has instigated the Government of India and the State Government of Assam to take up measures of rehabilitation and resurrection of the exotic spot. The surrounding villagers being very poor

Friday, September 27, 2019

Prosady and Poetic Devices Assignment Example | Topics and Well Written Essays - 1500 words - 1

Prosady and Poetic Devices - Assignment Example It is evidently clear from the discussion that the former consists of what it literally is as well as something a little more abstract that stands for the same thing; the latter is when the word is used for what it stands for. Extended metaphors are metaphors that are drawn out beyond just the typical word. It usually extends itself throughout the stanza or the entire length of the poem. This is done by using more than one comparison between the different objects or concepts. While an allegory can sometimes be considered an extended metaphor, it is even rarer when trying to view it the other way around. It depends entirely on how constant the comparisons are within the poem itself. A symbol is the representation of another object through the use of graphics, the written word, and vocal or physical objects. These symbols are complex and abstract, and they usually present another concept that is even more abstract than the symbol itself. Symbolism is one of the most common poetic devic es, as well as a device often seen in regular forms of literature. Symbols are used when trying to display a concept without the author saying straight forwardly what they are trying to convey to their readers. It is important to include Historical Fiction in a schools curriculum that is written from more than one perspective and is culturally accurate because it allows students to see the different sides from an event that took place. Many historical pieces become biased based on which side they would have represented, making the opposing side into something horrible that it is not. Furthermore, in terms of being biased, sometimes the story is not told as it really went. Some authors twist the story around to make the losing side the winner, especially if they are representative of that winning side.

Thursday, September 26, 2019

TMA02 B300 Part 2 Policy issues Essay Example | Topics and Well Written Essays - 2000 words

TMA02 B300 Part 2 Policy issues - Essay Example The Diamond Model consists of four attributes which are interlinked and interrelated with each other. These four attributes must be present in order to ensure rapid growth and development in the industrial sector. Porter stated that national competitive advantage is based upon the application of smart and prudent strategies. Flexible, agile, and reliable government policies will assist in the creation of advanced industries. Other variables like productivity, quality, knowledge base, innovation, and creativity were identified as enhancing the competitive edge of nations. This research paper will explain the four attributes of the Diamond Model. It will analyze the impact of four attributes on national policy. Previous theories related to industrial development and production focused on the availability of human and material resources. However these theories were considered to be flawed because of their linear and simplistic line of reasoning. Most developing countries have abundant material and human resources, yet they have failed to improve economic standards of living. Porter sought to address these concerns by proposing the theory of competitive advantage. National strategy is based upon the application of smart and prudent methods. Governments should have clear and precise goals which encourage investment and business growth. Porter argued that labor intensive industries lead to the production of low level products and services (Suneja, 2002: Pg 113). Competitive advantage helps in knowledge acquisition, quality, innovation, and productivity. It creates highly efficient and effective industries that can eventually target the international market. Porter assumed that competitive advantage occurs in a systematic and methodical manner. An organization focuses on a single process or attribute in order to develop its capabilities. The systematic

Reserch paper The Management of Innovation Essay

Reserch paper The Management of Innovation - Essay Example To explicate, therefore, is a process of describing in detail what we observe over a prolonged period of time shadowing principals, senior and middle managers, administrative and teaching staff as they go about their everyday work. This project attempts to investigate the nature of leadership and the everyday challenges of leading. It focuses on what leadership is and how it has become an ever-changing process. The text will be central to revealing the nature of leadership, relations between leaders and the led, risk-taking and entrepreneurship. In doing so, it would draw upon Richard Daft's text, Organization Theory and Design and apply his concept of the complexities of globalization (as in Chapter 6) in aiding managers design their organizations to be more effective on a global scale. As educational institutions in the word embrace new managerial and business approaches, they have simultaneously adopted a range of new technologies. This research summary reports on how information and communication technologies (ICT) are used to support aspects of educational leadership. Richard Daft makes it clear that no organization can stand still in today's reality - managers and workers have to think constantly of better ways of doing things, learn from every source, which bears knowledge, and can give the organization a better competitive advantage. Things have never moved so fast and threats and opportunities have never been so immense. Competitors have to be efficient and different to survive and stay on the top. Daft continues and presents the most recent developments in organizations' design - structures and management methods that have only emerged lately in response to the turbulences in the environments and competition worldwide. The rise of an emerging managerial philosophy of efficiency, system, and process is, according to Daft, reflected in the forms of internal communication that serve as mechanisms for managerial coordination and control. These have developed as a product not only of changing organizational needs but also of the technologies available to support them. Forms of organizational communication can thus be organized into specific and recognizable 'genres' such as letters, memorandums, meetings, agendas, proposals etc. These technologies as used by principals and senior managers within colleges not only to account for, but also to promote and disseminate, specific leadership visions and objectives. The overflow of more general managerial philosophies into the realm of globalizations in recent years has included the need to demonstrate competence, compliance and effectiveness to a variety of audiences. Going with Daft's idea1, the purpose of my study would suggest that this need for visible competence is now a dominant theme, driven by external inspection, funding and governance mechanisms as well as the service culture expectations of users and other stakeholders. Such 'audit cultures' (Strathern, 2000) are increasingly common in both

Wednesday, September 25, 2019

Briefly discuss the functions of NAT, ICS, and WINS as well as their Essay

Briefly discuss the functions of NAT, ICS, and WINS as well as their uses - Essay Example It does the access control to resources between computers on the either sides of the firewall. NAT also conserves the number of public addresses used within an organization, considering the economic and security aspects Windows Internet Name Service (WINS) is the Microsoft’s NetBIOS name resolution service for the TCP/IP networks. WINS helps the users to access the resources with NetBIOS names in the remote network. WINS supports NetBIOS over TCP/IP (NetBT). Internet Connection Sharing (ICS) is a feature implemented in Windows Operating system to share a single Internet connection present in one computer with the other computers on the same local area network. ICS works with the help of Dynamical host control protocol of (DHCP) and network address translation (NAT).This Internet connection sharing is done by using a device with Internet access such as 3G cellular service, broadband via Ethernet, or other Internet gateway as the access point for the other devices

Monday, September 23, 2019

Education - professional setting Essay Example | Topics and Well Written Essays - 2000 words

Education - professional setting - Essay Example occurs in an educational environment.3 It appears to be necessary for teachers to adopt unconventional methods of teaching within the conventional educational framework, aided by structural changes, in order to bring about real change. The two films â€Å"Dead poets Society† and â€Å"Stand and Deliver† both present unconventional teachers, who challenge their students to think out of the box and who impart an unusual element into their classrooms, thereby engaging the interest of their students and leading them on to active participation in learning.4 Therefore, they raise the following issues: â€Å"Make your lives extraordinary!† says the Robin Williams character, John Keating who encourages his students to follow their passions. He is an unconventional teacher who encourages his students not to follow by rote learning methods but to follow their passions and to learn to think for themselves. The character of Jaime Escalante, a Math high school teacher in east Los Angeles is equally unconventional and daring in his classes, forever challenging his students to perform. He has a simple philosophy about learning – students will rise and perform to the level of the expectations about them and he constantly challenges the invisible barriers that exist in the students’ minds, about their Hispanic race and their poor socio economic status being barriers to their performance in their lessons and challenges them all to study for an advanced AP calculus exam. The relationship between the teacher and his students in the â€Å"Dead Poets Society† that of mentor and co-conspirator, encouraging them to eschew traditional male socialization norms instilled in them by their own fathers, to follow a more unconventional path, although the non conformist views propagated by John Keating are unable to fly because the boys must face the reality of traditional socialization and gender roles. According to Spence, â€Å"in contemporary society, gender is a central organizing

Sunday, September 22, 2019

Kevin Carter's 1993 Pulitzer Prize Winning Photograph Essay

Kevin Carter's 1993 Pulitzer Prize Winning Photograph - Essay Example The 2nd Sudanese Civil War commenced in the 1980's. This was a time of extreme turmoil and poverty in Sudan which was a former British colony. The war which is often believed to have been based on racial and religious conflicts between the warring tribes caused thousands of deaths and the destruction of the agricultural sector of the nation. Poverty was a way of life and famine was the main cause of death for these people. Just like in any war, it is the children that suffer the most from the seemingly never ending strife and turmoil within the country. It was this struggle and suffering that South African photojournalist Kevin Carter managed to capture with his camera lens back in 1993. Those familiar with the goings on of the war in Sudan know that by the time the photograph was taken, 1.3 million people in the Sudan had already died of hunger, disease or violence. Senseless deaths that were caused by the civil war between the Arab and Muslim dominated government in the north of the country and the mostly Christian animist, black rebel in the south. (Taylor, J, 1998) There were quite a number of photojournalists who were on the beat during this war. Most of them took decent and memorable photographs of the war torn country. However, none of them were able to come to par when it came to the lucky shot that Kevin Carter was lucky enough to have witnessed and captured on film the day that he came to visit Sudan in 1993. The story behind this Pulitzer winning photograph is one which shall emotionally tug on the heartstrings of any man. Carter had flown in to Sudan as part of a UN Food Distribution group. He was on the ground for 30 minutes taking various photographs of everything that was going on around him. This photograph of a vulture hovering over an emaciated and almost dead child was a one in a million shot that he managed to capture on film. (Taylor, J, 1998) The New York Times bought the photograph from Carter and published it for the world to see. It struck a cord amongst the people of the world. Most people asking why he had not stopped to help the child. Although the picture was met with mixed reactions, the reality of the photograph is what won it the Pulitzer Prize in Photography for that year. This picture was the embodiment of the struggle that the Sudanese people faced on a daily basis. The child with barely any life in her clawing and crawling her way to the food center at the United Nations camp a mere kilometer away. The child was so near to salvation and yet so far and possible, too late to be helped because vultures are known to only circle around almost dead bodies, waiting for their prey to die so they can rip away the flesh for their own food. The vulture and the child. Both represent the two sectors of starving populations in the country, the people, and the animals struggle for suvival in what literally become a dog eat dog world for them. Both were starving and in need of food. But only one was sure to gain the sustenance it required sooner rather than later. If I didn’t have any background information about this picture, I could never imagine that the vulture is waiting for the child to die so that it can eat it. It was a scary and real thought for those who saw what was going on but the child, weakened by life struggles and barely alive, had no idea as to the fate that was awaiting her if she did not make it to the food camp in time. To this very day nobody knows if the child made it to the camp or if she became a casuality of the war time food chain. Though Carter had won the highest possible accolades for his excellent composition piece, the criticism and controversy that the picture created resulted in his becoming one of the most hated men in the world because he chose to take a picture of a tragedy rather than coming to the aid of the child in the hopes of preventing an even larger tragedy from occuring. Little did everyone know that this particular picture and all of the events that he had covered in South Africa

Saturday, September 21, 2019

The Grapes of Wrath and California History Essay Example for Free

The Grapes of Wrath and California History Essay I. The Joad Family is the main character in the novel of John Steinbeck entitled The Grapes of Wrath. The said novel was published in the spring of 1939 during the Great Depression. The Joads in the novel portrayed the migrants of California. From Collins and Steinbeck point of view, the migrants of California can be compared to â€Å"Jeffersonian yeomen† who aspire to gain their respective small farms. Jeffersonian Yeomen, historically, however, did not succeed in their goal. It was the farms owned and mange by the businessmen of San Francisco that ruled the rural economy of the state. Its big agricultural output was favored by the â€Å"goldrush† which permitted the growing of â€Å"cash crops† in the urban markets and the mining camps of San Francisco (David Igler Davis, 2002). It was in 1935 and 1939 when the great depression happened in California. The migrants came from Missouri, Arkansas, Texas and Oklahoma; the lower Plain states of the southwest. The number of migrants by that time was about 300,000. They were caked â€Å"Okies†. In the Grapes of Wrath, it was the Joads who migrated to California. The thirteen members of the family rode in one vehicle which includes even the grandparents and their grandchildren. Along the way the grandparents as well as the in-laws and uncles died. It was the fifty-year old Ma Joad who was left to lead the group in their journey. Tom Joad, son of Ma Joad and an ex-convict also played a significant role in the story. They join the thousands other migrants in their quest for better opportunities in California. II. In The Grapes of Wrath, the Joads migrated to California to seek for employment. They left the almost â€Å"perfect† and â€Å"peaceful† Weedpatch Camp because of the misfortunes that happened in their homeland. Dust storms occurred in Oklahoma and they had suffered financial crisis. Based on California history, the migration can be explained by several factors. The farms in Oklahoma and other states affected by the depression became unprofitable due to drought that happened in their land. There was low economic activity and widespread unemployment by that time. Tenant farmers were evicted by the landowners as a consequence of the New Deal Agricultural Adjustment (AAA). These programs had forbidden farmers to plant grain or cotton in exchange of cash. New Deal Programs inevitably had effects that went beyond the farm economy, through the recovery of the agricultural sector was the administration’s primary aim. Some agencies attempted to reorient the rural social structure, making it possible for laborers and tenants to live with dignity and even become landowners. Relief agencies operating in rural America improved public buildings and transportation facilities, hired unemployed people, maintained institutions, and enriched lives. And the New Deal undertook a revolutionary-and successful- effort to electrify the countryside. More federal activities were undertaken in response to the Dust Bowl, an ecological crisis that beset the Great Plains with especial severity. Government agencies promoted conservation, retired highly erodible acres from farming, resettled some victims on more viable lands, and provided sustenance for others (Danbom, 2006). The use of machinery which produces greater efficiency also contributed to the said eviction. Moreover, a big percentage of farmlands was destroyed by the great dust storms that occurred in the mid-1930s. Since then, poverty stroked Oklahoma. The Okies decided to move to California to be able to survive. They were encouraged by the â€Å"word-of-mouth campaign† by their friends and relatives. They were inspired by the information from other people that they could earn high salary in California by simply picking cotton and fruits. Moreover, transportation from Oklahoma to California was not a problem by that time (Orsi, 2001). III. The migrants moved to California because they believe that they will be able to find a brighter future there. Aside from the effect of the Great Depression in the life of the Okies, the mass migration was also brought by false advertising. In October 1929, the stock market of the United States fell and California was affected. This incident had caused California to suffer acutely because California oil shares which are the most active sectors in the 1920s had collapsed and many investors suffered. The depression also hit California but the economy recovered in the year 1934 and 1937 (Eymann 2004). It was then when California needed many laborers in the cotton fields. Indeed California offered high salary during those times when the number of cotton plantation in California was multiplied. A need for thousands of harvesters of crops had commenced especially in San Joaquin Valley. They had a problem of labor shortage not unemployment that is why high salary was offered to those Okies who were employed to pack meat, cement clay, railroad and even ice manufacturers. The salary that California offered was twenty to fifty percent higher than the salary of Okies in their homeland. Due to the nature of their work, the migrants had chosen to settle in one place with their children. IV. In the novel and in historical reality the migrants are hoping to find a better life in the fertile fields of California. They are expecting that when they reached â€Å"the promised land† they will be employed and earn high wages. They had believed that when they reach their destination, life will become easier. They will â€Å"simply† work in the cotton fields and harvest fruits and earn a big amount of money. They will raise their children there and all of them will not starve and will be able to gain bright future in California. They hoped to revitalize their wealth and recover their source of revenue on the land V. When they had reached their destination, they found themselves as victims there. Work was inadequate, salaries were small, and they were disliked, refuse to be accepted and suppressed by the residents. Their endeavors to upgrade their lives were branded as Communism, a system much disliked and feared by many Americans of the time. (John Steinbecks The Grapes of Wrath By Lee Cusick) Agricultural workers were not covered by Social Security, unemployment insurance, the minimum wage and the National Labor Relations Act. The New Deal was primarily a political response to the Depression, and unlike farm owners, the migrants had little political influence. While California Growers obtained federal price supports for some products, legally enforced marketing orders for others, and massive government expenditures for irrigation projects, migrant laborers received a small, poorly funded camp program that never got beyond the â€Å"demonstration† stage (Harvest of Gypsies). Grower satisfaction with the Okies was short-lived. The flood of migrants in 1937 had created an embarrassing oversupply of labor, and the squalor of their camps refelected on the industry. In 1938 it became apparent that the Okies were politically embarrassing as well. They were democrats, supported Culbert Olson, and displayed firm loyalty to the New Deal. They also disrupted the strong Republican hold on rural communities, a fact that led to the formation of the California Citizen’s association (CCA), which, like the Associated Farmers, fronted for banking, oil, railroad, real estate, and insurance interess allied with the agribusiness community. The CCA, detrmined to attack the New Deal and Olson through the migrants, launched a publicity campaign that, as Walter Stein has pointed out, went a long way toward creating a popular view of the Okie in California as â€Å"degenerate, degraded loser in the American struggle for survival. † Like migrants of the 1920s, nearly half settled in metropolitan areas, primarily Los Angeles, the Okies were quickly absorbed. The rest, however, turned north to the San Joaquin Valley where they sought work in the complex, industrialized agricultural system. Ineligible for relief for a year because they were new to the state, they accepted the low wages that the Mexican work force would not, and in a short time almost completely displaced the Mexicans as California’s harvest laborers. When the Okies became eligible for unemployment relief, the state relief administration under Gov. Meriam cut off relief payments if work was available in an agricultural harvest, forcing them into the old relief, harvest labor, relief cycle that essentially subsidized low farm wages. Important distinctions between the Okies and traditional harvest labor were not only that the migrants were white Anglo-Saxon Protestants but also that they sought permanence. They settled in Central Valley towns, sent their children to the local schools, and registered to vote. Their poverty could not be ignored. Living in shocking conditions in tent camps along irrigation ditches, they exposed the exploitation of farm labor in California’s peculiar agricultural system and became a highly visible burden in local communities, particularly in the San Joaquin Valley (The Great depression Chapter 21). A year later, the labor surplus of the Depression had been transformed into an extraordinary wartime shortage of workers. Migrants who were not subject to military service found well-paying jobs in California’s booming shipyards, aircraft factories and other defense plants. The Joads and their fellow Okies ultimately found economic salvation, not on the small farms they dreamed of owning, but in urban industry fueled by billion of federal defense dollars (Steinbeck, 1988). VI. The story of the migrants fit California History due to the efforts of Steinbeck and Collins who â€Å"actually lived† at California gathering information to capture â€Å"true scenarios† in California. Steinbeck stayed at Weedpatch Camp for several days, talking to residents, attending camp committee meetings and dances, and watching Collins tactfully promote his concept of limited and guided elf-government. Steinbeck and Collins travelled in the old bakery truck to nearby farms and ditch-side migrant settlements, and the author read the manager’s regular reports to the Resettlement Administration’s regional office in San Francisco. The reports, which included social and cultural observations on migrant life and individual anecdotes sometimes told in Okie dialect, were extraordinary documents. The News had already published excerpts from them, and Steinbeck eventually mined them for the material for The Grapes of Wrath. In 1936 he used them to get beneath the surface of migrant life, to understand the deep despair and hopelessness that poverty and homelessness had created (David Igler Davis, 2002). References: Danbom, D. B. (2006). Born in the Country: A History of Rural America Johns Hopkins University Press. David Igler, C. , Davis. (2002). The Human Tradition in California: Rowman Littlefield. Eymann, M. , , C. W. (2004). Whats Going On? : California and the Vietnam Era: University of California Press. Orsi, R. R. W. B. a. R. (2001). The Elusive Eden McGraw-Hill. Steinbeck, J. (1988). The Harvest Gypsies: On the Road to the Grapes of Wrath Heyday Books.

Friday, September 20, 2019

Discuss the challenges facing forensic scientists

Discuss the challenges facing forensic scientists GENETICS FOR IDENTIFICATION ESSAY Discuss the challenges facing forensic scientists for DNA-based identification of the remains of the victims of war or other conflicts (both civilian and military personnel). Illustrate with a range of examples. Discuss the challenges facing forensic scientists for DNA-based identification of the remains of the victims of war or other conflicts (both civilian and military personnel). Illustrate with a range of examples. Introduction The remains of victims of war often pose numerous challenges to forensic scientists enlisted to aid in the identification process using DNA analysis. Foremost, the remains of victims of war have frequently been buried for long periods of time, often over 50 years, and this can cause degradation and contamination of DNA. This affects the quality and quantity of extracted DNA, making it difficult to amplify and generate a genetic profile. This concise report highlights the problems facing forensic scientists during the analysis of war remains and the methods used to overcome some of these issues. DNA techniques The DNA techniques which can be used in DNA identification of skeletal bones include: mitochondrial DNA analysis (mtDNA); autosomal Short Tandem Repeat (STR) and Y-STR analysis; and mini-STR profiling. STRs, also known as microsatellites, are DNA repeat units between two and seven base pairs long that can easily be amplified by Polymerase Chain Reaction (PCR). The number of repeat units varies considerably amongst individuals, hence why sensitive STR analysis is highly discriminative for identification, even in degraded DNA samples (Butler et al., 2012). Fifteen years ago, results of a study where teeth were buried in soil for up to eighteen weeks revealed that mtDNA analysis using primers for the HV1 and HV2 regions generated the best results in comparison to other DNA techniques; thus mtDNA was a reliable method for the identification of skeletal remains (Pfeiffer et al., 1999). Developments in technology mean that analysis of mtDNA alone is now insufficient information for positive identification, and more specific methods are employed, such as STR analysis. Nevertheless, when nuclear DNA (nDNA) samples are too degraded to be processed using STR analysis, identification using mtDNA and hypervariable regions is used. This is because mtDNA is present in high copy numbers and the circular structure of mtDNA makes it more resistant to degradation, but again there are limitations (Higgins et al., 2013; Coble et al., 2005). Mitochondrial DNA is passed on maternally; therefore it will be the same throughout generations of females of the same maternal lineage and could identify a familial match to a sister or aunt, for example. However reference samples are solely restricted to maternal relatives, thus its discriminatory power is far less than an STR match (Lee et al., 2010). Finally, where female relatives are absent, Y-STR analysis can be carried out to identify paternal lineage of the Y-chromosome. Mutations within the Y-chromosome are possible, and they may occur between generations as well as within the same bone samples, particularly if they are old skeletal bones. This must be considered when making conclusions from Y-STR analysis as it may cause problems for the forensic scientist during the identification process (BoriĆ¡ et al., 2011). DNA samples from skeletal remains With war victim skeletal remains DNA sample options are minimal, but the preferential samples to obtain for DNA analysis are teeth and bones, which contain both nDNA and mtDNA. DNA in teeth is generally considered more protected against degradation and destruction than bones due their unique composition and their location in the jawbone protecting them against degrading exogenous organisms, making them useful for analysis decades after death. Additionally, they normally yield a higher quality of DNA than bones, and the results of a study by Pilli and colleagues looking into the effect of contamination on samples revealed that teeth have a greater refractory to contamination by exogenous DNA than bones (Higgins et al., 2013; Pilli et al., 2013 respectively). Another reason for utilising teeth is because there are a number of sources of DNA within the tooth, including dentine, and this dentine powder is rich in mtDNA (Muruganandhan et al., 2011). Nevertheless, both of these samples are used because the internal content is unlikely to be contaminated with contemporary DNA compared to other samples, and the recovery of one or both of these is observed in a number of case studies identifying war victims (Lee et al., 2010; MarjanoviĆ¡ et al., 2007; AndelinoviĆ¡ et al., 2005; Ivanov et al., 1999). However, although these sources of DNA are the most likely to be preserved over time, DNA analysis can still be affected by the presence of PCR inhibitors (for example environmental and biological chemicals), insufficient quantity of DNA material, and high levels of DNA degradation (MarjanoviĆ¡ et al., 2007). DNA degradation DNA degradation and PCR inhibitors occasionally cause allele and/or locus dropout, thus not reflecting the true profile of the individual and can cause problems for forensic scientists during the analysis of genotypic DNA profiles, especially if heterozygotes are interpreted as homozygotes (Coble et al., 2005). Exposure to environmental conditions affects DNA, and factors such as heat and humidity affect the rate of DNA degradation and the resulting quantity of DNA, with cooler temperatures delaying the degradation process. This DNA degradation caused by endogenous intracellular enzymes results in smaller DNA fragments sizes and may also cause base mutations (Higgins et al., 2013). Despite the development of sensitive DNA typing identification methods, in some cases excessive DNA degradation can still pose an issue, as seen in Lee et al., 2010. One sample (SR0014) had an exceptionally low DNA yield for both extractions, 28.7 ±20.69 pg/ µL and 27.2 ±16.81 pg/ µL, in comparison to the average yield of 217.5 pg/ µL and 199.1 pg/ µL, respectively (table 1). This DNA yield produced genotypic results at eleven autosomal STR loci; however nine of these were homozygotic and this was interpreted as allelic dropout, which in turn causes problems for profile determination and does not allow for identity inclusion or exclusion. Another example of degraded DNA amplification being below 100% was seen using AmpFISTR Yfiler amplification, which revealed only 34 out of 49 profiles, and MiniFiler which produced 40 out of 49 genetic profiles, with the other profiles being incomplete, likely due to only small amounts of degraded DNA being amplified (BoriĆ¡ et al., 2011). Table 1 – DNA concentrations (pg/ µL) extracted from twenty-one skeletal samples belonging to Korean War victims. Two DNA samples were extracted from each bone sample and quantified to try and replicate the profile for consistency and to highlight any contamination issues. (See Lee et al., 2010. Available at: http://onlinelibrary.wiley.com/doi/10.1111/j.1556-4029.2010.01411.x/pdf. Last accessed on: 24th February 2014) DNA extraction Another issue facing forensic scientists is the quantity of DNA extracted from bones or teeth. Degraded samples offer a paucity of template DNA concentration, hence the smaller PCR products (Ivanov et al., 1999). If precise procedures are not employed then DNA essential for producing a genotypic profile may be lost, and methods are required to maximise the potential from the extraction process. Recently, developments in such methods have massively impacted on the success of obtaining profiles from skeletal remains which are highly degraded. Extraction techniques employed by forensic scientists to overcome this challenge include the standard organic (phenol/chloroform) method, the PrepFiler Forensic DNA Extraction kit, the Qiagen DNA extraction procedure, and a large-scale silica based extraction method, with a minimum of two independent extractions for each sample usually taken. Lee and colleagues used the latter in 2010 alongside demineralisation to maximise the DNA yield, and the p ositive effect of this method was reflected in the high DNA yields observed following quantification, with all samples, except two, being greater than 50pg/ Ã‚ ­L (Lee et al., 2010). Additionally, during the extraction of DNA from 109 bone samples from victims of war in mass graves in Croatia, an advanced extraction method, alongside the phenol/chloroform method, was used. The standard method yielded 20-100ng of extracted DNA across samples, whilst the advanced Promega DNA IQ system produced 20-200ng of DNA (AndelinoviĆ¡ et al., 2005). Contamination The sensitivity of new DNA typing methodologies to minute amounts of DNA brings with it the challenge of contamination. Remains buried for a long period of time and then excavated for analysis are subject to natural cross contamination from foreign material from the surrounding environment as well as from human handling, and this can affect the validity of the findings and interfere with DNA profiles. Thus, procedures are implemented to remove any foreign matter from the outer surface which may contaminate the probe extracting the DNA from the core of the bone or tooth. Common protocols forensic scientists use to overcome the issue of contamination on bones include sanding down the outside of the bone, washing it in mild detergent, irradiating it with UV light and storing it at -20oC until it is required for DNA extraction (Ossowski et al., 2013; BoriĆ¡ et al., 2011; Lee et al., 2010; MarjanoviĆ¡ et al., 2007; Imaizumi et al., 2002). However, in cases where excess contamination has occurred from archaeological handling and repeated excavation and reburial, it is impractical for forensic scientists to remove this extent of contamination, further limiting the samples which can be used for DNA. It is of paramount importance that sterile environments are used for sample analysis and that gloves are worn when handling bones to avoid contamination from humans, and gloves should be changed between the handling of bones belonging to different individuals to avoid DNA transfer. Another issue regarding contamination is the processing of ancient skeletal samples in proximity to contemporary relative reference samples, therefore, DNA from these two sample types should be extracted and amplified in separate laboratories. The majority of studies referenced in this report have not stated whether they adhered to this, with the exception being Ossowski et al., 2013 who reported that all laboratory staff wore masks, lab overalls and sterile gloves and everyone who handled the samples had previously had their DNA sample taken for reference purposes. As a result of the strict procedures implemented, no contamination was seen throughout the examination process, and they successfully identifi ed two individuals through DNA analysis when it was determined that they could not be identified through anthropological methods (Ossowski et al., 2013). Finally, a complete record of everyone that has handled the samples pre- and post-excavation should be kept (Pilli et al., 2013). Issues with mass grave DNA samples A further problem forensic scientists are confronted with is the high number and poor quality of the remains discovered, particularly in mass graves, due to wars being open events with large numbers of unknown individuals involved. The violent nature of wars and conflicts and circumstances of death often renders a number of remains fragmented, meaning that prior to DNA analysis, an anthropologist must examine and match bones suspected to belong to the same individual. This should be considered during DNA analysis in case different profiles arise from bones supposedly belonging to the same individual. Furthermore, explosives can cause bones to become incinerated, damaged and carbonised which will affect DNA extraction and amplification (Ivanov et al., 1999). This issue was presented during the recovery of approximately 10,000 skeletal remains, belonging to approximately 53 war victims in 2009, more than sixty years after World War II. In the majority of cases, it was impossible to conclude which bones belonged to one individual due to the vast number of separated, damaged and intermingled bones and the small grave area to which they were confined. Additionally, a number of victims showed obvious gunshot wounds, which further shattered the skull bones into multiple fragments (BoriĆ¡ et al., 2011). DNA reference samples Prior to DNA analysis, it is paramount that circumstantial investigative research is carried out to narrow down and establish possible victims in the grave to allow for identification of their surviving relatives. This is problematic in the first instance if ante-mortem records of soldiers have not been kept. It is reasonable to assume that relatives of military personnel would be easier to identify, compared to civilians, because records are often kept of the soldiers that fought in a war, as well as when they were reported missing or pronounced dead. Reference swabs are required from these presumptive relatives to compare their DNA profiles with the profiles obtained from the unknown remains to determine if a familial match is seen. Ivanov et al., 1999 reported absent DNA samples on record during their involvement in the identification of the remains recovered following the Chechen War (1994-1996). Few remains were available due to the lethal force of missiles, and this was an additional problem to the lack of DNA samples on record, which meant the absence of comparative reference samples. Accordingly, the timely process of locating potential relatives and collecting their DNA samples began. In comparison to some cases where excavated war remains are over 60 years old (MarjanoviĆ¡ et al., 2007), these remains were excavated three years after the end of the war, however skeletonisation and advanced decomposition, with mummification, was still observed. Bones had been scavenged by animals, further exposing them to contamination alongside the reported careless excavation of the bodies (Ivanov et al., 1999). Mini-STRs Applying mini-STR loci to severely degraded DNA samples is effective in genotyping nDNA profiles that would otherwise yield a negative result with standard STR kits, which use STR loci of up to 250 base pairs and are likely to cause loss of signal (AndelinoviĆ¡ et al., 2005). In comparison, mini-STR technology can amplify loci with alleles that have fewer than 150 base pairs and works by annealing primers as close as possible to the STR repeat region, creating the smallest possible amplicon (Figure 1) (Martin et al 2006; Pizzamiglio et al., 2006). When there is not enough intact DNA to produce full profiles using the larger CODIS loci, mini-STR loci markers are small enough to amplify alleles less than 150 bp in length (Hill et al., 2008). It is important to remember that mini-STRs are designed to profile high quantity, low quality, degraded DNA and should not be used for small amounts of DNA. Fig. 1 – Mini-STR analysis uses primers which anneal as close as possible to the STR repeat region along the genome, creating a small amplicon to be amplified. Successful application of mini-STRs was seen in 2010 when skeletal remains from the Korean War were subject to DNA analysis in the hope to identify the 55 year old remains of the missing casualties (Lee et al., 2010). Twenty-one skeletal samples were extracted from the remains of the victims of the Korean War and, following decontamination, were subjected to PCR amplification and sequencing of the mtDNA HV region, and PCR amplification of autosomal STRs and Y-STRs using common STR kits and in-house miniplex plus systems that use smaller amplicons to optimise the genetic material from degraded samples. Results revealed that mtDNA hypervariable regions were efficiently amplified and determined in all 21 samples. A combination of AmpFISTR Identifiler alongside size-reduced amplicons in AmpFISTR MiniFiler and the in-house miniplex NC01 plus system for autosomal STR, successfully genotyped 17.2 loci out of 18, and the miniplex NC01 system showed 100% success in genotyping the four loci du e to the reduced amplicon size. Additionally, twenty samples were successfully genotyped at 11 or more loci using standard STR kits, but with the in-house system, they were genotyped at 15 or more loci. The results of amplifying autosomal STRs showed the importance of mini-STRs when working with highly degraded DNA, as reduced-sized amplicons genotyped samples with a low quality of DNA in comparison to the standard kits. The same success of genotyping samples of poor quality DNA was seen using the Y-miniplex plus system in conjunction with AmpFISTR Yfiler during Y-STR genotyping (Lee et al., 2010). Profiles were also generated using mtDNA PCR amplification and miniplex NC01 analysis using the buccal samples provided by the 24 suspected relatives (Lee et al., 2010). Smaller quantities of template DNA were extracted from the relatives, as although more DNA was available, it was of a higher quality compared to the degraded unknown samples, so a smaller amount was required. If too much high quality template DNA is used, excess peaks and spurious bands would be observed, making the results unclear (Ivanov et al., 1999), and alternatively too little, or degraded DNA, may reduce the height of some alleles so the peak heights may be too low to distinguish from background noise (NFSTC Science Serving Justice, 2007). Conclusion In conclusion, it is evident that DNA degradation affecting the quality and quantity of DNA, fragmentation of bones, numbers of bones in mass graves, contamination and poor extraction procedures are all challenges that forensic scientists face during DNA based identification of skeletal war victim remains. However, as efficient DNA extraction methods to optimise the template DNA concentration are advancing, and technology is consistently being refined to develop methods such as the mini-STR system, identification of war victims using DNA analysis, alongside anthropological measures, is becoming more successful. Word count: 2668 Page | 1

Thursday, September 19, 2019

James Stewart :: Entertainment Film Papers

James Stewart "In a career of extraordinary range and depth, Jimmy Stewart has come to embody on screen the very image of the typical American.... His idealism, his determination, his vulnerability, and above all, his basic decency shine through every role he plays..."-- The American Film Institute. The Nature of Film and Acting When film was young, acting was overdone. Low quality cameras could only record large movements; posing and enunciation were overstated as a result of theater acting; the development of the character was limited to a script. Starting in the 1930's film acting became more natural. Actors could interpret scripts to find emotion and motivation in their characters. Good acting relies on a kinesthetic, an intrapersonal, and an interpersonal intelligence, all of which work together to form a creative expression. There exist limitless styles of acting; there is always something to learn. The physicality of the actor is the most important part of the creation of the character. Since all experiences are interpreted through a physical means (i.e. our senses), the kinesthetic actor can evoke a response from his audience by connecting his actions to their lives, memories, or emotions. By having distinct facial features or a certain body build, the actor's mere physical presence can convey some detail of his character. However, the most important part of the kinesthetic intelligence in acting is the knowledge of one's body, where it is, what it's doing, and what message it's conveying. This is more than just muscle movement. It includes physique, timing, rhythm, voice and mannerisms. When we watch movies, we notice emotion and characterization mainly in the eyes and mouth. However, a man can not just act from the neck up. What his body tells us is just as important as what his face tells. Try It! Make your body tense. Tighten every muscle you can. Now, smile. How do you feel? How would you appear to feel? For the actor, the hands are a good place to release energy, but conveying meaningful messages through the hands is hard to do. Also, overuse of gestures can be dizzying to a viewer. Voice is another excellent means of communicating the unstated. From sincerity to sarcasm, we can tell as much from the way something is said as from the words themselves. Underneath the physical lies the actor's presence. The intrapersonal unconsciously comes through in the form of a persona that the audience can further relate to.

Wednesday, September 18, 2019

Camera Phones Trigger Controversy Essay -- Communication Technology Ce

Camera Phones Trigger Controversy When Catherine Zeta Jones appeared in a television commercial, she was one of the first to advertise one of the newest additions to a cell phone: the camera phone. The purpose of the commercial was to show how convenient, compact and useful such an apparatus could turn out to be. The theory is quite simple, basically combining a cell phone and a digital camera into one gadget. Major cellular companies like Nokia, Samsung and Sanyo observed how popular digital cameras were becoming, and decided to integrate it with one device most Americans find a necessity and not a luxury; the cell phone. No sooner than the phones hit the market, did the stores sell out of the phone. In 2002 An estimated 16 million camera phones were sold worldwide, with 5 million of those being in the U.S. (strategyanalytics). The camera phone had become a hit. Not even a few months after the release of the phone did controversy hit. What appeared to be a harmless little tech device left some people feeling invaded. Apparently, the phones picture-taking ability was being exploited to covertly photograph individuals with out their consent. In addition to people, certain places could not be captured on disk that usually prohibit photography. This can then allow the picture taker to post these pictures on the internet, sell them, or blackmail people for favors. The question that then must be asked is how is a camera phone any different than any other form of surveillance where your picture is taken? This is a very difficult question to answer and one that will be addressed in a legal sense. After all, having your picture taken by a camera phone or by a hidden camera in a shopping mall could be the s... ...: Look At Me† Ctnow: Technology March 2, 2003 http://www.ctnow.com/technology/hc-camphones.artfeb,27,0,5168365 (2) Batista, Elisa. â€Å"New Privacy Menace: Cell Phones?† WiredNews March 3, 2003 http://www.wired.com/news/print/0,1294,57692,00.html (3) Lacey, Eugene. â€Å"Smile! You’ve just been caught out on camera phone† ZDNet UK Febuary 28, 2003 http://comment.zdnet.co.uk/story/0,,t527-s2122702-pl,00.html (4) â€Å"STRATEGY ANALYTICS: 10 MILLION CELLULAR CAMERA PHONES SOLD WORLDWIDE THROUGH Q3 2002† March 3, 2003 http://www.strategyanalytics.com/press/PR00026.htm (5) Greenspan, Robin. â€Å"The digital imaging big picture† Cyberatlas Hardware March 2, 2003 http://cyberatlas.internet.com/big_picture/hardware/article/0,,5921_1546341,00.html (6) Jones, Rob. â€Å"Saudi phone ban may be lifted† vnunet March 4, 2003 http://www.vnunet.com/news/1337796

Tuesday, September 17, 2019

The Dark Side of Shakespeares Macbeth :: Free Essay Writer

The Dark Side of Macbeth      Ã‚  Ã‚  Ã‚   Can any reader of Shakespeare's tragedy Macbeth not feel the dark hand of death hovering over his head? Why does this sensation occur?    Charles Lamb in On the Tragedies of Shakespeare comments on the "images of night" and their impact on the audience:    The state of sublime emotion into which we are elevated by those images of night and horror which Macbeth is made to utter, that solemn prelude with which he entertains the time till the bell shall strike which is to call him to murder Duncan, - when we no longer read it in a book, when we have given up that vantage-ground of abstraction which reading possesses over seing, and come to see a man in his bodily shape before our eyes actually preparing to commit a muder, if the acting be true and impressive as I have witnessed it in Mr. K's performance of that part, the painful anxiety about the act, the natural longing to prevent it while it yet seems unperpetrated, the too close pressing semblance of reality,give a pain and an uneasiness [. . .]. (134)    Roger Warren states in Shakespeare Survey 30 , regarding Trervor Nunn's direction of Macbeth at Stratford-upon-Avon in 1974-75, how the witches represented the darkness of   black magic:    Much of the approach and detail was carried over, particularly the clash between religious purity and black magic. Purity was embodied by Duncan, very infirm (in 1974 he was blind), dressed in white and accompanied by church organ music, set against the black magic of the witches, who even chanted 'Double, double to the Dies Irae. (283)    In "Macbeth as the Imitation of an Action" Francis Fergusson states the place of darkness in the action of the play:    It is the phrase "to outrun the pauser, reason [2.3]," which seems to me to describe the action, or motive, of the play as a whole. Macbeth, of course, literally means that his love for Duncan was so strong and so swift that it got ahead of his reason, which would have counseled a pause. But in the same way we have seen his greed and ambition outrun his reason when he committed the murder; and in the same way all of the characters, in the irrational darkness of Scotland's evil hour, are compelled in their action to strive beyond what they can see by reason alone.

Coffee Shop Essay

â€Å"Closing Time† has the meaning set out in section 1. 3; â€Å"Contract† means a formal written contract between the City and a Preferred Proponent to undertake the Services, the preferred form of which is attached as Schedule B; â€Å"Evaluation Team† means the team appointed by the City; â€Å"Information Meeting† has the meaning set out in section 1. 4; â€Å"Preferred Proponent(s)† means the Proponent(s) selected by the Evaluation Team to enter into negotiations for a Contract; â€Å"Proponent† means an entity that submits a Proposal; â€Å"Proposal† means a proposal submitted in response to this RFP; â€Å"RFP† means this Request for Proposals; â€Å"Services† has the meaning set out in Schedule A; â€Å"Site† means the place or places where the Services are to be performed; and â€Å"Statement of Departures† means Schedule C-1 to the form of Proposal attached as Schedule C. Instructions To Proponents 2 Closing Time and Address for Proposal Delivery Proposals must be received by the office of the: Kam Grewal, BBA, CMA Acting Purchasing & AP Manager Address:6645 – 148 Street Surrey, BC V3S 3C7 on or before the following date and time (the â€Å"Closing Time†): Time: 3:00 pm local time Date: Monday, July 5, 2010. Submissions by fax [or email] will not be accepted. There will be no extension to the Closing Time for the submission of proposals. 3 Information Meeting An information meeting may be hosted by the City Representative to discuss the City’s requirements under this RFP (the â€Å"Information Meeting†). While attendance is at the discretion of Proponents, Proponents who do not attend will be deemed to have attended the Information Meeting and to have received all of the information given at the Information Meeting. At the time of issuance of this RFP a meeting has not been scheduled. 4 Number of Copies. Proponents should submit the original plus 5 hard copies (6 in total) of their Proposals. 5 Late Proposals Proposals received after the Closing Time will not be accepted or considered. Delays caused by any delivery, courier or mail service(s) will not be grounds for an extension of the Closing Time. 7 Amendments to Proposals Proposals may be revised by written amendment, delivered to the location set out above, at any time before the Closing Time but not after. An amendment must be signed by an authorized signatory of the Proponent in the same manner as provided by section 2. 3. Fax amendments are permitted, but such fax may show only the change to the proposal price(s) and in no event disclose the actual proposal price(s). A Proponent bears all risk that the City’s fax equipment functions properly so as to facilitate timely delivery of any fax amendment. 8 Inquiries All inquiries related to this RFP should be directed in writing to the person named below (the â€Å"City Representative†). Information obtained from any person or source other than the City Representative may not be relied upon. Kam Grewal, BBA, CMA Acting Purchasing & AP Manager. Address:City of Surrey – Purchasing 6645 – 148 Street Surrey, BC V3S 3C7 Phone: 604-590-7274 Fax:604-599-0956 Email:purchasing@surrey. ca Inquiries should be made no later than 7 days before Closing Time. The City reserves the right not to respond to inquiries made within 7 days of the Closing Time. Inquiries and responses will be recorded and may be distributed to all Proponents at the discretion of the City. Proponents finding discrepancies or omissions in the Contract or RFP, or having doubts as to the meaning or intent of any provision, should immediately notify the City Representative. If the City determines that an amendment is required to this RFP, the City Representative will issue an addendum in accordance with section 1. 9. No oral conversation will affect or modify the terms of this RFP or may be relied upon by any Proponent. 9 Addenda If the City determines that an amendment is required to this RFP, the City will post a written addendum on the City website at www. surrey. ca (the â€Å"City Website†) and upon posting will be deemed to form part of this RFP. Upon submitting a Proposal, Proponents will be deemed to have received notice of all addenda that are posted on the City Website. 10 Examination of Contract Documents and Site Proponents will be deemed to have carefully examined the RFP, including all attached Schedules, the Contract and the Site (as applicable) prior to preparing and submitting a Proposal with respect to any and all facts which may influence a Proposal. 11 Opening of Proposals The City intends to open Proposals in private but reserves the right to open Proposals in public at its sole discretion. 12 Status Inquiries All inquiries related to the status of this RFP, including whether or not a Contract has been awarded, should be directed to the City Website and not to the City Representative. Proposal Submission FORM AND contents 2 Package Proposals should be in a sealed package, marked on the outside with the Proponent’s name, title of the Project and reference number. 3 Form of Proposal Proponents should complete the form of Proposal attached as Schedule C, including Schedules C-1 to C-4. Proponents are encouraged to respond to the items listed in Schedules C-1 to C-4 in the order listed. Proponents are encouraged to use the forms provided and attach additional pages as necessary. 4 Signature. The legal name of the person or firm submitting the Proposal should be inserted in Schedule C. The Proposal should be signed by a person authorized to sign on behalf of the Proponent. 1 If the Proponent is a corporation then the full name of the corporation should be included, together with the names of authorized signatories. The Proposal should be executed by all of the authorized signatories or by one or more of them provided that a copy of the corporate resolution authorizing those persons to execute the Proposal on behalf of the corporation is submitted. 2 If the Proponent is a partnership or joint venture then the name of the partnership or joint venture and the name of each partner or joint venturer should be included, and each partner or joint venturer should sign personally (or, if one or more person(s) have signing authority for the partnership or joint venture, the partnership or joint venture should provide evidence to the satisfaction of the City that the person(s) signing have signing authority for the partnership or joint venture). If a partner or joint venturer is a corporation then such corporation should sign as indicated in subsection (a) above. 3 If the Proponent is an individual, including a sole proprietorship, the name of the individual should be included. evaluation and Selection 2 Evaluation Team The evaluation of Proposals will be undertaken on behalf of the City by the Evaluation Team. The Evaluation Team may consult with others including City staff members, third party consultants and references, as the Evaluation Team may in its discretion decide is required. The Evaluation Team will give a written recommendation for the selection of a Preferred Proponent or Preferred Proponents to the City. 3 Evaluation Criteria The Evaluation Team will compare and evaluate all Proposals to determine the Proponent’s strength and ability to provide the Services in order to determine the Proposal which is most advantageous to the City, using the following criteria: 1 Experience, Reputation and Resources The Evaluation Team will consider the Proponent’s responses to items in C-2 of Schedule  C including supplementary information. 3 Technical The Evaluation Team will consider the Proponent’s responses to items (i) to (vii) in C-3 of Schedule  C. 5 Financial The Evaluation Team will consider the Proponent’s response to C-4 of Schedule  C. (d)Statement of Departures The Evaluation Team will consider the Proponent’s response to C-1 of Schedule  C. The Evaluation Team will not be limited to the criteria referred to above, and the Evaluation Team may consider other criteria that the team identifies as relevant during the evaluation process. The Evaluation Team may apply the evaluation criteria on a comparative basis, evaluating the Proposals by comparing one Proponent’s Proposal to another Proponent’s Proposal. All criteria considered will be applied evenly and fairly to all Proposals. 4 Discrepancies in Proponent’s Financial Proposal If there are any obvious discrepancies, errors or omissions in C-4 of a Proposal (Proponent’s Financial Proposal), then the City shall be entitled to make obvious corrections, but only if, and to the extent, the corrections are apparent from the Proposal as submitted, and in particular: (a)if there is a discrepancy between a unit price and the extended total, then the unit prices shall be deemed to be correct, and corresponding corrections will be made to the extended totals; (b)if a unit price has been given but the corresponding extended total has been omitted, then the extended total will be calculated from the unit price and the estimated quantity; (c)if an extended total has been given but the corresponding unit price has been omitted, then the unit price will be calculated from the extended total and the estimated quantity. 6 Litigation In addition to any other provision of this RFP, the City may, in its absolute discretion, reject a Proposal if the Proponent, or any officer or director of the Proponent submitting the Proposal, is or has been engaged directly or indirectly in a legal action against the City, its elected or appointed officers, representatives or employees in relation to any matter. In determining whether or not to reject a Proposal under this section, the City will consider whether the litigation is likely to affect the Proponent’s ability to work with the City, its consultants and representatives and whether the City’s experience with the Proponent indicates that there is a risk the City will incur increased staff and legal costs in the administration of the Contract if it is awarded to the Proponent. 8 Additional Information. The Evaluation Team may, at its discretion, request clarifications or additional information from a Proponent with respect to any Proposal, and the Evaluation Team may make such requests only to selected Proponents. The Evaluation Team may consider such clarifications or additional information in evaluating a Proposal. 10 Interviews The Evaluation Team may, at its discretion, may invite some or all of the Proponents to appear before the Evaluation Team to provide clarifications of their Proposals. In such event, the Evaluation Team will be entitled to consider the answers received in evaluating Proposals. 12 Multiple Preferred Proponents and Changes to the Proponent Team The City reserves the right and discretion to divide up the Services, either by scope, geographic area, or other basis as the City may decide, and to select one or more Preferred Proponents to enter into discussions with the City for one or more Contracts to perform a portion or portions of the Services. If the City exercises its discretion to divide up the Services, the City will do so reasonably having regard for the RFP and the basis of Proposals. Likewise, the City reserves the right to ask for changes in the member/s comprising the Proponent Team as it deems beneficial to the overall composition of the Team and without any obligation to justify its preference. In addition to any other provision of this RFP, Proposals may be evaluated on the basis of advantages and disadvantages to the City that might result or be achieved from the City dividing up the Services and entering into one or more Contracts with one or more Proponents. NOT APPLICABLE 14 Negotiation of Contract and Award If the City selects a Preferred Proponent, then it may: (a)enter into a Contract with the Preferred Proponent; or (b)enter into discussions with the Preferred Proponent to clarify any outstanding issues and attempt to finalize the terms of the Contract, including financial terms. If discussions are successful, the City and the Preferred Proponent will finalize the Contract; or. (c)if at any time the City reasonably forms the opinion that a mutually acceptable agreement is not likely to be reached within a reasonable time, give the Preferred Proponent written notice to terminate discussions, in which event the City may then either open discussions with another Proponent or terminate this RFP and retain or obtain the Services in some other manner. General Conditions 2 No City Obligation. This RFP is not a tender and does not commit the City in any way to select a Preferred Proponent, or to proceed to negotiations for a Contract, or to award any Contract, and the City reserves the complete right to at any time reject all Proposals, and to terminate this RFP process. 4 Proponent’s Expenses Proponents are solely responsible for their own expenses in preparing, and submitting Proposals, and for any meetings, negotiations or discussions with the City or its representatives and consultants, relating to or arising from this RFP. The City and its representatives, agents, consultants and advisors will not be liable to any Proponent for any claims, whether for costs, expenses, losses or damages, or loss of anticipated profits, or for any other matter whatsoever, incurred by the Proponent in preparing and submitting a Proposal, or participating in negotiations for a Contract, or other activity related to or arising out of this RFP. 6 No Contract By submitting a Proposal and participating in the process as outlined in this RFP, Proponents expressly agree that no contract of any kind is formed under, or arises from, this RFP, prior to the signing of a formal written Contract. 7 Conflict of Interest A Proponent shall disclose in its Proposal any actual or potential conflicts of interest and existing business relationships it may have with the City, its elected or appointed officials or employees. The City may rely on such disclosure. 8 Solicitation of Council Members and City Staff. Proponents and their agents will not contact any member of the City Council or City staff with respect to this RFP, other than the City Representative named in section  1. 8, at any time prior to the award of a contract or the termination of this RFP. 10 Confidentiality All submissions become the property of the City and will not be returned to the Proponent. All submissions will be held in confidence by the City unless otherwise required by law. Proponents should be aware the City is a â€Å"public body† defined by and subject to the Freedom of Information and Protection of Privacy Act of British Columbia. Schedule A. SERVICES 1. GENERAL This RFP is inviting potential Proponents to submit Proposals to act as the tenant and sole vendor for a proposed coffee shop (the â€Å"Coffee Shop†) at the Surrey City Centre Library (the â€Å"Library†), currently being constructed at 10350 University Drive, Surrey, BC. The successful Proponent will be responsible for the managing and daily service of the Coffee Shop located on the ground floor of the Library. There will be an opportunity for the successful Proponent to provide catering for meetings and other similar functions, although it is not mandatory for the client to use the Coffee Shop for catering. 2. BACKGROUND As part of the Surrey City Centre plan review and update, the Surrey City Council has approved the construction of a new 5-level library. While the project is currently in the design phase, construction has commenced due to the fast track nature of the project. Currently excavation is complete on the basement and the ground floor slab and reinforcement is being set. It will be poured by Friday June 18, 2010. The Library is conveniently located near bus loops, transit and SkyTrain. The Library will eventually become part of a plaza where community celebrations will take place. Once completed it will be Surrey’s largest library at 75,000 square feet. The City’s new Library will be a unique state of the art environmentally friendly landmark that provides access to the broadest range of information, learning opportunities, and diverse cultural experiences. The new Library will be: The centrepiece for Surrey’s City Centre; adorned in architectural excellence for the 21st century, the library will contribute to the vitality of the city and put Surrey in a class with other great cities. A foundation for the City’s future success by boosting economic and cultural activity and attracting visitors from all parts of the country. A source of pride and a great public space, where the community gathers to celebrate, reflect, connect and share information, knowledge and culture. 3. PROJECT GOAL The goal of this project is to identify a coffee and related food services operator for the Library. 4. THE COFFEE SHOP An exciting opportunity exists on the ground floor to operate a commercial Coffee Shop. The Coffee Shop is located in a high traffic area, between the two main entrances, elevators and new book display. The licence awarded to the successful Proponent would also include a seating area where customers can sit. The consumption of food within the Library itself is allowed. There are several meeting rooms and a large room which can host community events, along with teen areas, study areas, children’s areas and much more. It is also expected that the Library will be utilised by SFU students on a constant basis. 5. LIBRARY HOURS Library opening hours are: Monday to Friday9:30am – 9:00pm Saturday10:00am – 5:00pm Sunday 1:00pm – 5:00pm 6. 2009 PEDESTRIAN TRAFFIC The following figures represent the estimated visits at all the public library branches for 2009. |BRANCH |VISITORS | |Cloverdale | 163,605 | |Fleetwood | 262,717 | |Guildford | 582,361 | |Newton | 357,045 | |Ocean Park | 193,167 | |Port Kells | 7,410 | |Semiahmoo | 305,162 | |Strawberry Hill | 357,166 | |Whalley | 276,406 | It is estimated that traffic for the Library will mirror that of the Whalley branch, and is expected to increase due to the development taking place in the area. 7. EXPECTATIONS OF THE SUCCESSFUL PROPONENT The City would require the successful Proponent to offer a variety of food and beverage choices that include healthy and nutritious options for all customers, many of whom are school-aged children. The Surrey Public Library Board has approved the policy (policy 3. 8 Healthy Food Options) that the Library provides a healthy food option for programs, special events and contests. No alcohol is to be allowed. There is to be no food smell generation if preparation is required and there is to be no electric grinding (e. g. coffee beans) on the Coffee Shop floor due to noise levels. All grinding can be done in the storage room, manually or prior to Library opening hours. Loading of stock for the Coffee Shop can be done via the west entrance of the ground floor or via the elevators from the underground parkade. Persons meeting in the conference rooms are permitted to cater from external companies although there is the opportunity for the successful Proponent to cater these functions if prior arrangements are made between the two parties. The opening date for the Coffee Shop is yet to be determined, however, it is expected to be up and running by early Summer of 2011. The Coffee Shop is expected to be operational during Library opening hours. Opening times for the Coffee Shop are to be from the Library’s opening time to half an hour prior to the Library’s closing. The successful Proponent would be able to enter the building half an hour prior to the Library’s opening time. The successful Proponent is to supply any equipment needed for the Coffee Shop to function including, but not limited to, coffee machines, refrigerator, signage, counter cooler case, etc. All business licences and food permits are the responsibility of the Proponent. 8. SUCCESSFUL PROPONENT’S WORK RESPONSIBILITIES a) Should there be any structural changes which have been reviewed and approved by the City prior to the execution of such changes, the tenant is to supply all tenant improvement plans signed and sealed by professional engineers or architects to be approved by the City. b) The tenant is to provide evidence of insurance for the City`s approval as specified in the License Agreement (refer to Schedule B – License Agreement). c) The tenant is expected to supply all equipment needed to sufficiently run the coffee shop including, but not limited to, coffee machines and espresso equipment, undercounter refrigerators, shelving in the storage room, display cooler case, paper towel dispenser, milk cooler, microwave, cash register and trash bins. 9. COLD DRINK BEVERAGES The City has an agreement with The Pepsi Bottling Group (Canada), Co. (â€Å"Pepsi†), for the exclusive supply of cold drink beverages for all City facilities, including the Library. Therefore, the successful Proponent is to work directly with Pepsi for the supply of cold drink beverages, including: †¢ Carbonated soft drinks †¢ Teas other than fresh brewed †¢ Juices. †¢ Juice-based products †¢ Lemonade †¢ Isotonics †¢ Sports drinks †¢ Energy drinks †¢ Bottled water Excluded Beverages: †¢ Milk †¢ Flavoured milk †¢ Cold coffee †¢ Branded or unbranded fresh brewed coffee or tea †¢ Hot chocolate †¢ Unbranded fresh squeezed juices †¢ Smoothies and milkshakes The agreement with Pepsi is to expire in 2011. 10. SNACK FOODS The City has an agreement with Ryan Company Ltd. (â€Å"Ryan Vending†), for the exclusive supply of a healthier snack foods program and vending services for all City facilities, including the Library. Therefore, the successful Proponent is to work directly with Ryan Vending for the supply of snack foods. 11. CITY’ RESPONSIBILITIES The City is to complete the Licence Area, as set out in Schedule B, in a good and workmanlike manner, at the City’s cost, using new materials and to the following extent: a) Interior wall taped and sanded drywall to code, painted white; b) Ceiling is to be painted concrete; c) The floor will be finished with a rubber covering; d) Counter tops on the horizontal front counter is to be a white laminate; e) The vertical section of the counters shall be an East Coast maple; f) The counter at the back of the shop floor containing the sink, and the backsplash, is to be white Corian; g) There will be an apple ply edging where the vertical edge of the counters meets the horizontal at the front counter; h) There is to be recessed lighting fixtures above the back counter, surface mounted fixture on painted concrete ceiling to light signage and menu and pendant fixtures at the front counter; i) All signage, including Menu board, must be approved by the City and the design team (Bing Thom Architects). The preferred signage for the Coffee Shop is electric flat screens, however, the design team is open to ideas regarding electronic signage from Proponents. This will have no impact on the evaluation of the Proponent’ Proposal; j) The City will provide the main sink and handwash sink located in the back counter; k) A 25mm domestic hot and cold water line with backflow preventor will be installed for refrigerator and coffee machine; and l) A 20mm domestic hot and cold water pipe and a 40mm sanitary drain will be installed for each of the two (2) sinks. term The Proponent will provide the Services set out in this Schedule  A and A-1 for a term not to exceed five years (including renewal) commencing in the early Summer of 2011 (the â€Å"Term†). A. The Licensor is the owner of those lands and premises located at 10350 University Blvd within the City of Surrey, Province of British Columbia, and more particularly known and described as: Parcel Identifier: 028-179-951 Parcel 1 Section 27 Block 5 N Range 2 West New Westminster District Plan BCP44240 (the â€Å"Lands†) on which is located theCity Centre Library. B. The Licensee wishes to obtain from the Licensor a licence to use those portions of the building located on the Lands as follows: 1. Area A Concession and Storage Room (â€Å"Licence Area A†) which area is approximately 141. 9 sq. ft. and shown on the plan attached hereto as Schedule â€Å"A†; and 2. Area B Seating Area (â€Å"Licence Area B†) as shown on the plan attached hereto as Schedule â€Å"A† (collectively the â€Å"Licence Area†) C. The Licensee intends to use the Licence Area for the retail sale of coffee, tea, and other products as outlined in this Licence. D. Licence Area A shall be for the exclusive use of the Licensee, and Licence Area  B shall be for the non-exclusive use of the Licensee. NOW THEREFORE in consideration of the sum of ONE DOLLAR paid by each of the parties to each other and other good and valuable consideration (the receipt and sufficiency of which each party hereby acknowledges) the parties hereby covenant and agree as follows: 1. In this License the parties agree that: (a)†Additional Rental† means the moneys payable hereunder, together with all other sums of money, whether or not designated as Additional Rental, to be paid by the Licensee whether to the Licensor or otherwise under this License save and except Minimum Rental and Percentage Rental; (b)†Commencement Date of Term† means ______________, 2011; (c)†Gross Revenue† means the entire amount of the sales price, whether wholesale or retail, for cash, credit, or otherwise of all sales of merchandise and services, and all other receipts and receivables whatsoever of all business conducted at, in, upon, or from the Licence Area, including, without limiting the generality of the foregoing, receipts and receivables in respect of any sale effected by the Licensee using any computer. Electronic, telephone, internet, or like system, where the Product is sent via the Licence Area or by the Licensee directly to a consumer, orders taken at or received at the Licence Area, although such orders may be filled elsewhere by the Licensee, deposits not refunded to customers, the selling price of gift certificates, charges to customers in the nature of interest or carrying or financing charges, sums, and credits received, and settlement of claims for loss of or damage to goods. No deductions shall be allowed for uncollected or uncollectible credit accounts. There shall not be included in Gross Revenue: (i)any sums shown separately from the price and collected and paid out for any direct retail sales tax imposed by any duly constituted governmental authority; (ii)the exchange of goods and merchandise between the stores of the Licensee, if any, where such exchange of goods or merchandise is made solely for the convenient operation of the business of the Licensee and not for the purpose of consummating a sale which has previously been made or agreed to be made at, in, from, or upon the Licence Area or for the purpose of depriving the Licensor of the benefit of a sale which otherwise would be made at, in, from, or upon the Licence Area; (iii)the Licensee’s original cost of returns to suppliers or to manufacturers; (iv)the amount of merchandise sold when such merchandise is thereafter returned by the purchaser and accepted by the Licensee, and a complete credit is given to the purchaser; and (v)the selling price of gift or merchandise certificates or coupons sold other than from the Licence Area, provided that such gift or merchandise certificates or coupons shall be included in the calculation of Gross Revenue at the time of their redemption. (vi)Each sale upon an installment or credit basis shall be treated as a sale for the full price in the month in which that sale is made regardless of the time when the Licensee receives payment, whether full or partial, from its customer; (d)†Lands† means as hereinbefore defined in recital A; (e)†Licence Year† means a 12-month period commencing with the first day of January in one calendar year and ending on the last day of December of that year, providing that the first Licence Year shall commence on the Commencement Date of Term and end on the last day of December next following and the last Licence Year shall end on the last day of the Term and commence on the first day of January preceding that date; (f)†Licence Area† means Licence Area A and Licence Area B; (g)†Licence Area A† means those portions of the building located on the Lands shown highlighted in pink and marked as Area A. Concession and Area A Storage room, which area is approximately 141. 9 sq. ft. ; (h)†Licence Area B† means those portions of the building located on the Lands shown highlighted in yellow and marked as Area B. Seating Area; (i)†Minimum Rental† means the minimum annual rental reserved hereunder payable by the Licensee; (j)†Product† means coffee, tea, soft drinks, juices, pastries, sandwiches and related items as specified in the menu attached as Schedule â€Å"C† which menu may be amended from time to time with the agreement of the Licensor and the Licensee; (k)†Percentage Rental† means the percentage rental reserved hereunder and payable by the Licensee; (l)†Real Property Taxes† means all taxes, rates and assessments, whether general or specially levied or assessed for municipal, school, general or any other purposes by any lawful government authority payable by the Landlord in respect of the Demised Premises and shall include any other taxes payable by the Landlord which in the future are levied in lieu of or in addition to such taxes, rates and assessments the whole as finally determined for each calendar year as a result of assessment, appeal or judicial review, and shall include any legal fees, or appraisers fees incurred by the Landlord in respect of such final determination. (m)†Rental† means Additional Rental, Percentage Rental, if any, and Minimum Rental; and (n)†Term† means _______ (__) years commencing on the Commencement Date of the Term and ending on the _____ day of ________, 20__. 2. The Licensor hereby grants to the Licensee a licence to occupy and use Licence Area A on an exclusive basis and Licence Area B on a non-exclusive basis commencing on the Commencement Date of Term for Term unless sooner terminated as hereinafter provided. 3. To use Licence Area for the retail sale of the Products and to use Licence Area B to provide a seating area for the benefit of visitors to and staff of the City Centre Library and for no other purpose during the Term. 4. The Licensor covenants and agrees to pay to the Licensor, in lawful money of Canada, on the days and at the times hereinafter specified, Rental which shall include the aggregate of the sums required to be paid: (a)Minimum Rental and Percentage Rental: The Tenant shall pay the greater of: (i). Minimum Rental of $________ per month commencing on the Commencement Date of Term and the 1st day of each and every month thereafter throughout the Term; or (ii)the Percentage Rental which shall be ___% of Gross Revenue per Licence Year; (b)Additional Rental Any sums, costs, expenses or other amounts from time to time due and payable by the Tenant to the Landlord or to any third persons under the provisions of this Licence, including, without limitation, all amounts payable under Section 4. 3 and Article 5 and all amounts payable by the Tenant by way of indemnity, whether expressed in this Licence to be Basic Rent or Additional Rent or not shall be treated and deemed to be Rent and the Landlord shall have all remedies for the collection of such sums, costs, expenses or other amounts, when in arrears, as are available to the Landlord for collection of Rent in arrears. The Licensee shall also pay for: (i)the removal of garbage generated by the Licencee to the main garbage receptacle, cleaning of spills and pick up of litter in Licence Area B, and any other like service rendered to the Licence Area for the benefit of the Licensee and paid by the Licensor. (ii)the amount of Real Property Taxes applicable to the Licence Area in every Licence Year during the Term or any renewal thereof as and when prescribed by the Landlord.