Thursday, October 31, 2019

English - Answer questions from 3 Articles Article

English - Answer questions from 3 Articles - Article Example es how the onus must be on developed countries to take the lead in combating rampant over-consumption, because it is these countries that are over-consuming. Furthermore, these practices of overconsumption create problems in developing countries – climate change, for instance, has a global impact despite being caused almost entirely by developed countries. 2. The most significant impact the article â€Å"The Last Empire† by Jacques Leslie is the inherent idea that the current world order expects so-called â€Å"developing† countries to never truly develop, and if they did the quality of life in so-called â€Å"developed† countries would drop perceptibly – meaning that not only do industrialized nations have an incredible incentive to keep developing countries down, they can actually only afford their quality of life on the backs of developing countries. China is one of the few countries, along with Brazil and India, to truly have â€Å"developed† in the past thirty years – with its economy, and consumption, skyrocketing. This increased consumption has led to vast increases in commodity prices, as more and more food, for instance, had to be imported from abroad (Leslie). Now, if China’s economy improving alone could do that, imagine how drastic the increase in commodity prices, and thus decrease in standard of living, would be caused by the rest of the â€Å"developing† world improving. 3. The main point of â€Å"Rethinking the Meat Guzzler† by Mark Bittman is that the cost of raising meat for consumption is absurdly high, and is increasing at an exponential rate. But by far the most significant aspect of his argument is that the raising of livestock puts a great deal of pressure on grain and energy production, meaning in essence meat, and meat eaters are taking resources away from people who need them. According to Bittman, â€Å"nearly 30 percent of the earth’s ice-free land is directly or indirectly involved with livestock production† – and

Tuesday, October 29, 2019

The impact of the new technologies is revolutionising typographic Essay

The impact of the new technologies is revolutionising typographic practice. How is typograhpy and the role of typographic designers changing to meet new challen - Essay Example drew Haslam (2005), in their book Type and Typography, referred to the term as that concerned with the creation of typefaces and their arrangement to convey a message. (introduction) There are various other versions of these definitions but it all boils down to one thing: Typography’s existence occurred sometime in the 15th century and is tied with the invention of the printing press because it was responsible for the mechanical notation and arrangement of language. To borrow the words of Philipp Meggs, Rob Carter and Ben Day (2002): â€Å"The development of printing technology so drastically changed the nature of written communication that the term typography was coined to describe the study, use, and design of sets of identical repeated letterforms. According to Meggs, Carter and Day, the invention of typography was, in fact, the beginning of the Industrial Revolution, writing that the earliest mechanization of a handicraft is the hand-lettering of books. (p. 103) With the above information established, we underscore that typography evolves because of technology and thus, have had slightly differing meanings at different periods of history. In the age of the metal type, for instance, type and typeface were distinguished from each other, while in today’s digital age, they are used interchangeably. This will discussed, further later on. Peter Bil’ak offered us an interesting perspective when he said that typography should not be connected to any specific medium because it tends to change and evolve. The idea is that we continue to define and redefine the visual systems of visual language. We see this in the great leap we have achieved since the cave paintings to the synthesis of the digital pictographs. Tova Rabinowitz (2006) tells us that the widespread participation in typography’s recent evolution and its vibrant and experimental nature present an optimistic outlook for the continuation of type as a vehicle for expression and a democratizing cultural

Sunday, October 27, 2019

Medico-Legal Examination of a Radiography Incident

Medico-Legal Examination of a Radiography Incident Patients’ safety is of huge paramount when undergoing diagnostic treatment. It is the participating staff’s fiduciary duty to ensure patients do not sustain any injury during this process. But however, sometimes mistakes happen and when injuries occur, there could be repercussions. These mistakes could be as a result of negligence, no up to date training and incompetence. According to the Management of Health and Safety at Work†¦(date), all employees are required to perform their job safely without causing any harm to patients and also, it is the employers obligation and duty to give adequate training, clear information and instructions to employees, in order for them to carry out their roles diligently. In reference to the court scenario, the incident that occurred between the patient, student radiographer and the supervising radiographer shall be discussed and related to the medico-legal aspects, scopes of practice and ethics and other principles related to the health and social care environment. So also, the actions of the radiology manager and the manual handling expert would be discussed. Student Radiographer From the court room video, it is obvious that the student radiographer and the radiographer did not have good communication. Mr Lung, the patient, was transferred from the Porter to the student radiographer but the supervising radiographer was not there to make sure the student did the right checks. The student inspected the wheelchair, in which Mr Lung was brought to the department and confirmed it was safe. The student also went ahead to do the identity checks and risk assessment and during this period, the radiographer still was not there to supervise. The student radiographer, as a result of the risk assessment done on the patient, decided to do an AP (Anterior Posterior) view chest x-ray. The radiographer came along after the student had just finished the risk assessment on Mr Lung and was about to take an AP view of the chest. The radiographer never asked the student to update him on what she had done so far. He went ahead to ask the Mr Lung to stand for PA (Posterior Anterior) view of the chest x-ray, without carrying out a proper risk assessment and ascertaining Mr Lung had the capability of standing for the x-ray. Ehrlich and Daly (2009) states a radiographer should assess situations, exercise care, discretion and judgement. He should assume responsibilities, professional decisions and act in the best interest of the patient. Although he decided to do PA view on the patient in order to get the best image of the patient’s chest, he compromised Mr Lung’s safety by asking him to stand, without doing a proper risk assessment on him. â€Å"The Society’s Code of Professional Conduct states: You must communicate effectively and appropriately with patients, introducing yourself and giving relevant information during their examination or treatment† (sor.org). â€Å"The importance of interacting effectively with the patient is critical to the radiographer as well as to the patient. Those techniques greatly improve the quality of the radiology image, as well as the patient’s care† (Adler and Carlton, 2003) Although the radiographer is known to have good years of experience in his field, the student should not have hesitated to query his judgement of asking the patient to stand, despite the patient’s condition or told him that she had done a risk assessment of the patient standing and the patient would not be able to stand. While the patient was standing, the radiographer moved the wheelchair behind the patient and told him to sit when he felt the need. The patient sat down when he needed to sit down but unfortunately, the wheelchair rolled back and turned around, causing the patient to land on his hip and suffered from NOF (Neck of Femur) fracture. The A and E consultant also confirmed this but however the NOF fracture could have been made easier as a result of bone degeneration, associated with old age (Gunn, 2007). But, this accident should not have occurred if proper risk assessment and precautions were undertaken. As one of Dutton et al, ( 2013) ethical principles; non-maleficence: the radiographer is obligated to practice in a safe manner at all times. To further disapprove of the radiographer’s action, which affected the patient, (Dutton et al, 2013) gave another principle; paternalism. This simply means a radiographer is justified to take action in instances in which not acting would do m ore harm than the lack of patient input into the decision. This however was not the case, as the potential outcome (good view of the chest) did not justify compromising the patient’s health The patient suffered pain as a result of negligence on the part of either the student radiographer not being able to assess the wheelchair’s safety or the supervising radiographer forgetting to apply the brake. The radiographer claimed the accident was not his fault, as he applied the brake when he placed the wheelchair behind the patient. This could mean the wheelchair tyres had low pressure. If this were true, he could have realised the low pressure in the tyre when he did the safety checks on the wheelchair. And if indeed the wheelchair were unsafe when transferred to the student radiographer and she did not do the right assessment, the supervising radiographer will still be held responsible because the job was delegated to the student radiographer. According to NLIAH (2010), â€Å"delegation is the process by which you (delegator) allocate clinical or non-clinical treatment or care to a competent person (delegate). However the delegator remains responsible for the overall management of the service and accountable for the decisions and actions of the delegate†. After the accident occurred, the supervising radiographer told the student to agree to the fact that the brake to the wheelchair was applied before placing it behind the patient, otherwise, they both would be in trouble. The student radiographer felt coerced into supporting his false intention, as she believed the brake was not applied. Dutton et al (2009), in one of their ethical principles; autonomy- states â€Å"the right of all persons to make rational decisions free from external pressure†. Coercing the student radiographer made her feel bullied and harassed. According to Bullying and Harassment at Work (2014), it is the employer’s duty to prevent bullying. It is an â€Å"offensive, intimidating, malicious or insulting behaviour; an abuse or misuse of power through means that undermine, humiliate, denigrate or injure the recipient. Bullying could lead to retaliation, anxiety, humiliation, or demotivation. All these could lead to stress, loss of self-confidence and self-esteem†. The next day after the incident, the student radiographer followed one of the guidelines of dealing with bullying and harassment at work, by confiding in someone and expressing her emotions of her feeling bullied (Dignity at Work Policy, 2012). This person was her practice educator and she listened without judgment. She transferred the case to the radiology manager for investigation. When accidents occur at work, these are meant to be reported in the accident report form. In the NHS, Datix reporting is used, where incidents are reported on a web-based system that can be used by anyone with access to the NHS net. Some of the information required includes details of the incidence and people involved. Reporting Incidents, Disease and Dangerous Occurrences Regulation (RIDDOR, 2013) is a law that requires employers and other people who are in control of work premises to report certain incidents. This is a legal requirement and it informs the enforcing authorities (Health and Safety, and Local Authorities) about deaths, injuries, occupational disease and dangerous occurrences, so they can identify where and how risks arise and whether they need to be investigated. Moreover, when the radiographer reported this incident in the datix system, it was reported that the wheelchair had its brake on, which was a false. He did this consciously just because he did not want to be in trouble or disciplined.

Friday, October 25, 2019

Rainy Mountain :: Essays Papers

Rainy Mountain Summary of â€Å" The Way To Rainy Mountain â€Å" ( Momaday p. 430 ) Momaday, tells the story of his grandmother and how she evolved from a land of her ancestry. She, being one of the few â€Å"belonging to the last culture to evolve in North America† (431). In a descriptive detail, Momaday, portraits the events that takes us on a journey through time before our modernized society had come into existence. A time of survival, rituals, suffering, and extinction. He starts out by setting the scenery of the place where his grandmother lived. A somewhat rigid area of the Southern Plains, where the seasons were of raging intensity. A place in time occupied by his grandmothers people, the Kiowas. A very â€Å"lordly and dangerous society of fighters and thieves, hunters and priest of the sun† (431). They had descended down out of Montana, and â€Å"war was their sacred business, and they were the finest ho rseman the world has ever known† (430). But as time had evolved into the migration of civilization, her people were forced to surrender their way of life to the soldiers. Fortunately, this was before her time. Momadays grandmother, Aho, lived an eventful life amongst her people, bearing stories of her participation in one of the last rituals of the sun-dance, which was interrupted by the soldiers.

Thursday, October 24, 2019

Family and Household Essay

Sociology is the subject which looks at the social world around us, how the social world works and how it effects and influences our daily lives. People tend to accept the social arrangements in which they grew up as normal or too complicated to understand. The family is the natural way to bring up children and schools are the normal places for children to learn. For most people the social world is just there, challenging their lives, they cannot change it and it is not really worth while trying to understand it. There is a consequence of that argument, which is when people try to understand their place in society, rich or poor, isolated or popular; they usually do so by saying it is their personal abilities, weaknesses and situations that cause them to be as they are. Sociologists do not fully agree with this, they regard it as their job to understand society and the way it affects different people. They do this by using certain concepts such as, values, beliefs, norms and identity, they also look at different theories, which are explanations that link together social events and show how the social events have different effects on different people. Within this essay the writer will be looking at functionalism, feminism and Marxism and how the different aspects affect people and how they impact on the family and household. Family and household are two different things, a household simply means one or more person living in the same home, where as a family typically means a group of people related by ceremonial and or blood ties, living together or in frequent contact. (Moore, 2001) The functionalist perspective is one of the main theoretical perspectives within sociology. It has its origins in the likes of Emile Durkheim, who was especially interested in how social order is possible and how it remains relatively stable. Functionalism was the dominant branch of western sociology until the 1960s, since when it has been increasingly criticised by sociologists, favouring different sociological perspectives. Functionalists argue that â€Å"societies consist of inter-related social institutions such as schools, mass media, political systems and the family each of which contribute positively to the maintenance of stability of society as a whole.† (earlyhamsociologypages.co.uk, 2011) These institutions are said to be functional for societies as a whole. Broadly speaking it is assumed by functionalists that societies operate in the interests of all of their members so that there is no reason for fundamental conflict in society. Instead there is a high degree of consensus that societies are organised efficiently and relatively fairly. Functionalists believe every institution in society contributes to the smooth running of society as a whole. To functionalists the family is at the heart of the family. Murdock claimed that â€Å"the nuclear family is so useful to society that it is inevitable and universal, appearing everywhere† (historylearningsite.com, 2012). Murdock claimed that he had found evidence of nuclear families in the 250 societies he studied. The family is universal because it fulfils essential functions for the family, such as sexual, which controls sexuality and provides stability for adults, reproduction, which provides new members of society, economical, the family provides for its members and education, the family socialises the young into society’s norms and values. They are essential for social life since without the sexual and reproductive functions there would be no members of society, without the economic function (for example, the provision and preparation of food) life would cease, and without education a term Murdock uses for socialization there would be no culture. Human society without culture could not function. (historylearningsite.com, 2012).parsons states there are two irreducible functions of the family, these functions are primary socialisation, through which children learn to accept the norms and values of society and the stabilisation of adult personalities, the family gives adults the emotional support necessary to cope with everyday life. (Moore, 2001) The functionalist view suggests that the nuclear family has become socially isolated from extended family and geographically separated from wider family and more reliant on the welfare state. The family is self-contained, inward looking with little contact with neighbours and community, home leisure’s have made the family more home centred. Functionalists have been accused of idolising the family; they ignore conflict, abuse and gender equality within families and the ever growing divorce rates and family diversity. Feminists have been highly critical of the highly positive view of the family presented by Functionalists and the more critical view presented by Marxists. The reason for this scepticism boils down to one key concept: patriarchy. Patriarchy refers to a system of male dominance. Historian and activist Cheris Kramaroe once famously remarked that† feminism is the radical notion that woman are human beings† (Head, 2012). Feminism is about woman living on equal terms with men and not being pushed down by law or culture into a lower role within society. Feminists believe that the family is patriarchal, dominated by men and it exploits and oppresses women. The family supports and reproduces inequalities between men and woman, woman are Oppressed because their socialised to be dependent on men and remain second place. They reject the new rights view of the separate roles and also reject the march of progress view, in that society has not changed and it is still unequal. Feminists believe that marriage remains patriarchal and that men benefit from wives, they reject the functionalist view of one best family type, and they welcome fre edom and diversity. (Anderson, 2008). Critics argue that there is too much focus on negative aspects and that feminists sometimes ignore recent social changes. Critics claim that feminists portray woman as passive victims as if they are unable to act against discrimination. The same critics believe that feminists focus on one specific group and ignore woman in families from other cultures and ethnicities Marxist Feminists argue that within capitalist societies the nuclear family is part of the overall structure of capitalism and that its organisation and functions are heavily influenced by the nature of the capitalist economic base which means that women’s oppression derives primarily from the organisation of the capitalist system rather than from the patriarchal behaviour of men. According to Marxist Feminists housewives fulfil several important functions for the capitalist system: they bear and rear children at no cost to the capitalist system and, along with their husbands, encourage their children to accept authority such that a new, suitably obedient generation of workers becomes available; housewives also provide many domestic services at low or zero cost which reduces the wage levels which the capitalist system needs to pay its male workers. Women also form part of the reserve army of labour which is available for employment during times of economic boom but which can return to the traditional housewife- mother role during economic recession. Marxist feminists also believe women provide emotional support for their husbands/partners without this they would be unable to face the oppression and alienation of the capitalist workplace. Without this emotional support it is also possible that workers would be more prepared to challenge the capitalist system. However, family responsibilities may also dissuade workers from strike activity and the existence of families with its demands for cars, washing machines and other consumer durables also helps to maintain spending and capitalist profits. The socialisation process which operates within the family both stabilises the capitalist system as a whole and also by discouraging female career aspirations, restricts female career opportunities. (Head, 2012). Marxists shares some similarities with feminism, it argues that society is unequal and that it is characterised by oppression, however, Marxists believe that the oppression is of the proletariat by the bourgeoisie. Marxism is a conflict theory which sees all societies’ institutions, such as the education system, the media, religion and the state as helping to maintain class equality and capitalism for Marxists, therefore, â€Å"the functions of the family are performed solely for the benefit of the capitalist system† (sociogeeks.com, 2011). Marxists believe that the family aids capitalism by being a big consumer of goods, which they have to pay for, as long as the family are around, people will keep buying the products and the bourgeoisie will continue to make money. (earlyhamsociologypages.co.uk, 2011)Marxists also believe that woman staying at home looking after the children are producing the next generation of the proletariat. This means that more people will be created to fill the jobs of the retiring proletariat. Marxists believe that the family cushions the main producer, this is similar to the functionalist perspective where after a hard day at work, the main provider, usually the male, will be comforted by his family, they are there to relieve the pressures so he can return to work the next day less stressed than when he left the day before. This allows the bourgeoisie to have a worker in the next day and to have a guaranteed work force. Marxists believe that family is a strong influence on education and is considered the primary socialisation, this is beneficial for the bourgeoisie because the family and education system will teach the norms and values, which are that the society they are living in is correct. (Moore, 2001) Education makes the proletariat believe in the benefits of capitalism and will make the children believe in the myth of meritocracy. Feminists argue that the Marxist emphasises on social class and capitalism underestimates the importance of gender inequalities within the family, for feminists, the family primarily serves the interests of men rather capitalism. Functionalists argue that Marxists ignore the very real benefits that the family provide for its members, such as intimacy and mutual support. Others feel that Marxists tend to neglect the meanings families have for individuals and how family members interpret family relationships. (Head, 2012) In conclusion Functionalists see society as similar to a human body. Each part of the human body relies on different organs in order to function correctly. According to functionalists society operates in exactly the same way because it relies on different social institutions such as the family, schools, and the government working together to keep the social body working properly. In contrast Marxists see society as operating solely to make a profit for the ruling class. The proletariat are socially engineered to conform to the needs of a ruling class who benefit the most from societies using a capitalist economic system. Therefore schools and the family exist solely to provide a compliant labour force who will willingly serve the needs of capitalism. On the other hand feminists see society as operating in order to meet the needs and wishes of men (patriarchy). Patriarchal societies are engineered to meet the desires and needs of men through institutions like the family and the education system. On this basis feminists say women are second-class citizens. References Anderson, M. L., 2008. Sociology. In: J. Cheng, ed. understanding a diverse society. USA: Thompson Wadsword, pp. 308-312. earlyhamsociologypages.co.uk, 2011. early ham sociology pages. [Online] Available at: www.earlhamsociologypages.co.uk

Wednesday, October 23, 2019

Etiquette and Sophistication

Sue Lees Eng. 0300 HCCS-Katy Center 4/4/2012 Definition Essay Elegance in Modern Society Sophistication is the quality of refinement a person acquires with the course of life. You don’t acquire this status, privilege, or superiority over night; it takes time. People are not born with this status. Sophistication is not necessarily wealth or materialistic items, as for displaying good taste, wisdom, and good manners. People who have highly developed in society and showing worldly experience and taste in matters of culture or fashion.People who have sophistication have good taste, whether it is in their clothes, hair styles, or accessories is always being watched by society. Their appearance is neat and fashionable; not to say the clothes are expensive. Their hair is styled to what is in for that season, year, decade with an elegant poise. The woman’s hairstyle is secure in place with no fly away hair. Men of this status tend to have neatly cut and shaved, trimmed mustache s and beards. Also, women of sophistication tend to have artificial nails as well as men’s manicures and pedicures for both gender.Good manners are another quality of sophistication. People who respect others and their feelings show signs of sophistication. Another example of good manners are showing respect to your elders. Table etiquette, not chewing or talking with mouth open, is a sign of good table manners. People with sophistication do not use slang words, they use proper English to pronounce words. Finally, people of a sophistication status have wisdom. Book smart people with a degree or certificate are known a sophisticated.Also, people who display signs of sophistication require street smarts, also known as common sense. Additionally, someone with sophistication should have the knowledge of technology in personal computers. In conclusion, sophistication might be described as the ability to cope gracefully in a situation, but in modern society it is a combination of q ualities, such as good manners, wisdom, and good taste. Reaching the qualities of sophistication that are mentioned takes a process that is learned with life’s experience, education, and the way to carry and present yourself with poise and elegance.

Tuesday, October 22, 2019

Economic loss in contract law Essays

Economic loss in contract law Essays Economic loss in contract law Essay Economic loss in contract law Essay In regard to the extract taken from Markensinis and Deakins Tort Law (5th Edition), from the writers comments we see that there is dispute on whether cases of pure economic loss in regard to compensation and damages, should be exclusive to the area of contract law instead of appearing in both the areas of contract law and tort law. We therefore must explore the similarities and differences between recovering damages and/or compensation in regard to pure economic loss in both tort and contract law. We must pose the question of whether we believe that tort law should allow cases of pure economic loss or whether it should remain exclusively in contract law. The definition for pure economic loss could simply be put as economic loss which is unaccompanied by physical injury or damage; it is also commonly known that pure economic loss is an umbrella term used to bring together various different policies regarding compensation, damages and loss. For a more in depth image of pure economic loss and how the courts approached cases for damages or compensation due to pure economic loss we must look at precedent cases and how pure economic loss is recovered in both divisions of law. In the law of tort there is a limited approach to pure economic loss which means that recovering for pure economic loss relies on there being a special relationship between the two parties it must be established by the claimant that in fact, there was a special relationship between themselves and the defendant. This approach is outlined in the case of Williams v Natural Life Health Foods Ltd [1998]1. In this case, it was held that the second defendant was not liable for the economic loss by Williams because he had acted through the company Natural Life Health Foods Ltd to advise the plaintiff and therefore did not have a special relationship with the claimant or did they have any personal contact with the second defendant. The House of Lords also found that due to the fact that there had not been any special relationship between the second defendant and the claimants that therefore the second defendant did not at any point express that he had held personal responsibility for their dealings. As we can see from that case the defendant did not have any assumption of personal responsibility towards the plaintiff or did they have any special relationship and therefore the claim for damages related to the pure economic loss of the plaintiff failed. In addition observe the case of Smith v Bush2 for a further example of the courts taking into consideration whether there was a special relationship between the plaintiff and defendant or a personal responsibility between the defendant and the claimant. In this case it is clear the disregard for the claimants financial safety in giving misinformation purposefully is obvious and the courts found that there was reliance and a special responsibility between the two parties. Due to this the claimant was successful as there was an assumption of a duty of care by the surveyors towards the plaintiff. In the law of tort, recovery of damages due to economic loss can also be made in cases of negligent misstatements a claimant seeking to recover damages must establish that the statement was made within a relationship and where the claimant could reasonably rely on the skill and care of the defendant in the statement3- in other terms, a special relationship should be established as is common within tortuous claims for damages due to pure economic loss. A precedent case of a tortuous claim due to negligent misstatements by the defendant would be Chaudhury v Prabhakar4 in which the defendant claimed to be a specialist in the field of motor cars and assisted his friend, Prabhakar, the claimant in purchasing a motor car his advice proved to be negligent. A relationship in this case was obvious. Chaudhury claimed to be a specialist in the field that Prabhakar had asked his advice Chaudhury accepted the request for assistance from the claimant and gave intentional misstatements and as a result Prabhakar suffered a pure economic loss. As we can see in the law of tort, a special relationship even in regard to negligent misstatements and an assumption of a duty of care must be evident in order for there to be a successful claim for compensation or damages due to pure economic loss through the actions or negligence of another. The most commonly cited aim of damages in the law of tort is to restore the claimant to the position he would have been in but for the tort5. The aim of contractual damages on the other hand is generally that of Parek B in Robinson v Harman (1848): the claimant is, so far as money can do it, to be placed in the same situation, with respect to damages, as if the contract had been performed. 6 In contract law, firstly and obviously, there must be a legally binding contract between the two parties. There must also be reliance by the claimant on the defendant to fulfil a promise or expectation outlined in the contract. For a claim in regard to pure economic loss the expectation interest of that plaintiff must be protected. The expectation interest is an amount close to or equal to the net value of what the plaintiff would have been in receipt of if the contract had been performed and not broken by the defence. An alternative to the expectation measure sometimes used in its place is the reliance measure which protects the plaintiffs reliance interest this is a measure which puts the plaintiff in a position which s/he would have been in had they not relied on the terms in the contract. In regard to both expectation and reliance damages being granted there must have been a action or rather lack of action from the defendant, which went in opposition to the terms of the contract between both parties, in order for the plaintiff to suffer a pure economic loss due to the expectation or reliance on the contractual obligations which went unfulfilled. A case which outlines the way in which contract law deals with pure economic loss would be CCC Films (London) Ltd. v Impact Quadrant Films Ltd. 7 The defendants granted the plaintiffs a licence to exploit, distribute and exhibit three films, the rights to which were owned by the defendants. The plaintiffs paid the agreed consideration of $12,000 for the licence and then requested the defendants to insure and send by recorded delivery to the plaintiffs nominee in Munich video tapes of the films, without which the plaintiffs were unable to market the films. In breach of the agreement for secure transmission of the tapes the defe ndants posted them uninsured by ordinary post in the course of which they were lost. The defendants also failed to perform subsequent agreements with the plaintiffs to deliver replacement tapes. The plaintiffs were unable to produce any evidence of loss of profits but instead brought an action in which they claimed to recover the $12,000 as wasted expenditure. The defendants contended that it was not open to the plaintiffs to claim for wasted expenditure save where the evidence established either that it was impossible to prove loss of profits or that such loss of profits as could be proved was small. Furthermore, the defendants, relying on the principle that a claim for wasted expenditure could not succeed if the plaintiffs returns, had the contract not been broken, would not have recouped that expenditure, contended that the onus was on the plaintiffs to prove that they would have recouped the expenditure and that the plaintiffs were only relieved of that onus of proof if the breach itself made it impossible to assess whether the returns would have been sufficient to recoup the expenditure. Neither the plaintiffs nor the defendants produced evidence whether the plaintiffs would or would not have recouped the $12,000 if they had been able to exploit the films. The issue therefore arose on whom the burden of proof lay. Since the onus of proving that the plaintiffs would not have recouped their outlay of $12,000 if they had received the tapes and exploited the films lay on the defendants, who had not discharged that burden, the plaintiffs were entitled to judgment. 8 Now we have covered both areas of law and what must be fulfilled in order to file a successful claim for damages or compensation in regard to pure economic loss, in both contract and tort law, we must look at the case of Hedley Byrne v Heller Partners9. Hedley Byrne v Heller Partners was a groundbreaking case in that the decision by the House of Lords first recognised the possibility of liability for pure economic loss. The House of Lords recognised that a claim could be made for negligent statements instead of being dependent on contractual relationships, as it had been previously. This is where the argument arises between leaving the compensation of pure economic loss to contract law or allowing it to be a part of both tort and contract divisions of law. The Hedley Byrne case found that the plaintiff must prove that there was a liability was held as an assumption of responsibility to the claimant, a special relationship between the two parties or a relationship equivalent to contract. In Hedley Byrne v Heller Partners, Hedley Byrne (an advertising partnership) were about to undertake contracts with Easipower Ltd, one of Hellers client companies. Before taking out the contracts, Hedley Byrne decided to contact the bank of Heller Partners Ltd. in order to gain knowledge on the financial state of Easipower Ltd. Heller claimed the company were financially secure Hedley Byrne relied on this information and entered into a contract with Easipower Ltd. whom soon afterwards became bankrupt. Hedley Byrne filed a claim against Heller Partners for giving negligent and misleading information the court found in Hedley Byrnes favour claiming that there was a special relationship between the two parties as to create a duty of care but due to a disclaimer for Hellers actions there were no orders for damages. Prior to the Hedley Byrne case, negligent misstatements were lead by the case Derry v Peek10 Hedley Byrne revised this decision. Before Hedley Byrne, a person suffering from economic loss due to careless or negligent statements could sue in the tort of deceit. In Derry v Peek, Peek, the defendant, a director of the Plymouth, Devonport and District Tramways Co. Ltd, had the notion that he and the company were allowed to run their trams with steam power provided they had the permission from the Board of Trade. However, their permission was not granted and the company had prior to a decision being made issued a prospectus that declared they were running trams on steam rather than animal power on the belief they would be granted permission. Derry, the claimant, due to the representation of the company in the prospectus steam powered trams, had obtained shares in the company and sued the defendants for financial loss under the tort of deceit. However since there was no evidence proving that the defendants intentionally issued the prospectus knowing the information provided was false, the House of Lords held that they were not guilty under the tort of deceit. As it was in Derry v Peek, the difficulty in this was that the House of Lords held that the claimant must prove fraud to establish deceit. Meaning that the claimant must prove that the defendant knew that his or hers statement was untrue, malicious or reckless. The House of Lords held that sheer negligence was not sufficient. The House of Lords re-examined the precedence on careless statements, Derry v Peek was limited to its function of defining the tort of deceit and was held irrelevant to the issue of whether a duty of care was evident in negligence. Lord Devlin also held the non-existence of a contract was not relevant in the case of Hedley v Byrne, he said: a] promise given without consideration to perform a service cannot be enforced as a contract by the promisee, but if the service is in fact performed and done negligently the promisee can recover in an action in tort. 11 The House of Lords were not willing to identify a duty of care born from negligent statements on the foundations of the Donoghue v Stevenson12 neighbour principle alone. The House of Lords though, in protecting against a flood of cases, held tha t there was not a special relationship between Derry and Peek. A prospectus, like an advertisement in a newspaper, is open for all to see and therefore a special relationship cannot be formed from this instead the claimant must prove that the statement was made within a relationship where the plaintiff could reasonably rely on the skill and expertise of the defendant in making the statement. So rising from the Hedley Byrne case we can come up with three questions that may be considered in regard to negligent statements and a claim for pure economic loss: One, was there an assumption of responsibility for the claimant by the defendant? Two, was there a special relationship between the two parties? And three, was the relationship equivalent to a contract? If the answer to at least one of those questions is yes, then the claimant has a clear case for a recovery of damages or compensation. Where the case of Hedley Byrne gives the principle that one who makes a statement may voluntarily assume responsibility to the person they make it to if this statement is made negligently then he or she is liable for any damage which may occur because of their negligent statement/s. We must also though bear in mind the Caparo principles which have risen from the case of Caparo Industries PLC. v Dickman13. These principles question the scope of assumption of responsibility and what the limits of liability ought to be. The Caparo principles, four conditions outlined by the House of Lords which must be met for the defendant to be liable for economic loss resulting from negligent advice or information are. (1) The defendant must be fully aware of the nature of the transaction which the claimant had in contemplation as a result of receipt of the information. 2) He must have either communicated that information to the claimant directly, or know that it would be communicated to him (or a restricted class of persons of which the claimant is an identifiable member). (3) He must specifically anticipate that the claimant would properly and reasonably rely on that information when deciding whether or not to engage in the transaction in question. (4) The purpose for which th e claimant does rely on that information must be a purpose connected with interests that it is reasonable require the defendants to protect14. The case of Hedley Byrne had a major impact on the courts outlook on cases regarding tortuous and contractual claims for pure economic loss and brings us to the position we are in now in discussing whether the claims should be left to one division of law. What is clear, in my opinion, from my investigations into both pure economic losses being recovered in both contract and tort law is that they both have a reasonable claim for being an advocate of claims of compensation or damages for pure economic loss. What has been found is that in tort a relationship which is deemed special or equivalent to a contract must be in place otherwise a claim cannot be made whereas in contract a legally binding agreement is already in place. The difference being is that the claims in either law of tort and contract protect different interests of the defendant. In contract you will find that the defendants reliance and/or expectation of the contract are shown in the damages rewarded, if the court deem necessary of course. A claimants reliance or expectation which is not fulfilled, as stated it would be in the contract, will be rewarded with damages which cover the money they may have lost in one of two conditions: one, an amount close to or equal to the net value of what the plaintiff would have been in receipt of if the contract had been performed or two, placing the plaintiff in a position which s/he would have been in had they not relied on the terms in the contract. In tort though, compensation will be granted if the claimant has consequential economic loss because of the defendants actions or negligence. As long as there be a special relationship between the two parties or a relationship equivalent to a contract as was born from the case of Hedley Byrne then the claimant is likely to be successful. Now, if you look at both sides you will see they cover different interests and arise from various different scenarios this is something which has made me form an opinion that I believe this is what has been happening and how things should remain. 15

Monday, October 21, 2019

RFID Tags essays

RFID Tags essays We all buy and shop in retail stores everyday and do not think anything of it. Know imagine walking into your favorite or local retail store and within seconds, a retail staff member offers you your favorite types of products from clothing to toothpaste. Not only does the staff member offer you your favorite types of products, but also your preferences. For instance, they offer you Scope mouthwash over Colgate because that is what you prefer. In addition, they know your pants size and style, that you buy a new tube of hemorrhoid cream every three months or so, which stores you usually shop in, your credit rating, and the number of miles currently on all four tires of your vehicle; and that is just the beginning (about.com, 2004). A sound like fiction right, but the reality is that there is a technology out there tracking consumers through the clothes and shoes they wear, and other products that we buy without us even knowing about it. The source of all that information lies within a new tracking technology known as RFID, which stands for radio frequency identification, which involves tags and readers (Kantor, 2003). RFID tags are microchips that range in size from as large as a grain of sand to as small as a speck of dust (about.com, 2004). Something this small would be hard to spot and can be placed on everything without the consumers knowledge, even in food products bought at the local grocery store (about.com, 2004). RFID tags are not to be confused with security tags or barcodes because they cannot identify products and detect them at long distances (about.com, 2004). RFID tags can work at close range levels, while others work at long-range levels. What this means is that a product can be traced at a distance 5-miles from the store or 20-miles or more from the store. How are these tags traced? They are traced by using an RFID reader that picks up signals coming from a products RFID tag. When an RFID tag gets...

Sunday, October 20, 2019

A Calm Mind Is A Healthy Mind

A Calm Mind Is A Healthy Mind For many people, a low-grade amount of stress is a part of everyday life. So, they may not recognize that it has a negative impact on their overall health. Studies have shown that feeling stress or anxiety on a long-term basis doesn’t just affect your peace of mind. In fact, you’re more likely to suffer from things like digestive issues and a weak immune system if your mind is persistently stressed. Cortisol, the hormone your body produces when you’re feeling stressed, can take a heavy toll on your physical and mental health. Because of this, giving your mind time to relax and recover is one of the most important self-care routines that you can practice. Your state of mind has the potential to greatly benefit your health, or degrade it, over time. Digestion Your liver produces glucose to give you an energy boost when your body is feeling the effects of stress. Whatever your body doesn’t use is then reabsorbed. However, if you’re suffering from chronic stress, your body may not be able to keep up with the extra blood sugar your liver is producing. You may be at an increased risk of developing type-2 diabetes if your body is producing too much glucose. You’re more likely to have heartburn or acid reflux if you suffer from stress. Stress doesn’t cause ulcers, but it may cause pre-existing ulcers to act up. Sexuality and Reproductive System Stress affects the menstrual cycles of some women. You may have irregular or even non-existent periods or more painful or heavier cycles. Too much stress may magnify the physical symptoms of menopause for women. For men, prolonged periods of stress can result in a drop of testosterone levels, erectile dysfunction and even impotency. For many, the loss of sexual appetite is a common occurrence as a result of too much stress. Immune System Stress is known to stimulate the immune system, which is good if it’s short-term because it helps your body stave off infection and heals wounds. But if you’re stressed for prolonged periods of time, cortisol compromises your immune system. This inhibits histamine secretion and your body’s inflammatory response to foreign dangers. People who are affected by chronic stress are more likely to catch viral illnesses like the common cold. It also takes more time for the body to recover from injuries or illness, if you’re chronically stressed. Relaxation Techniques to Calm Your Mind There are numerous techniques for calming your mind. For some, exercise is an excellent outlet to give their mind time to recharge. Meditation is a well known method for clearing your mind. There are many different styles of meditation, tailored to suit your needs and lifestyle. Remember to focus on the positives rather than focusing on everything that’s going wrong around you. Practice self love and compassion and acknowledge your reality rather than criticizing yourself. Set daily routines that will provide a day-to-day sense of peace and comfort that you can use to escape the stresses of everyday life, even if it’s just for a few minutes each day. The well-being of your mind plays a very significant role in your health, physically and mentally. Maintaining a peaceful state of mind is one of the best ways to protect your body from the negative effects of stress. Remember that stress and anxiety are inevitable hurdles everyone deals with. It’s how you manage the stresses of your everyday life that’s important. It’s also the key to overcoming them.

Friday, October 18, 2019

The Overall Picture for Benefit-Cost Analysis for Illicit Drugs in Research Paper

The Overall Picture for Benefit-Cost Analysis for Illicit Drugs in General and for Cocaine and Heroin - Research Paper Example Rosen (1995) emphasised on the mathematics part of benefit-cost assessments. At the same time, he also emphasised that instead of benefit-cost assessments, cost-effectiveness may be the better approach to use for some projects or decisions involving intangibles. Stiglitz (2000) proposed a set of principles for measuring non-monetized costs and benefits. He prescribed a set of techniques for valuing time, life, and another alternative method of valuation (2000, p. 278-283). Rather than conceding on the concepts of â€Å"intangibles†, it seems that Stiglitz emphasised on monetisation end emphasised that the concept of benefit-cost analysis is â€Å"developing systematic ways of analyzing costs and benefits when market pride do not reflect social costs and benefits† (2000, p. 274). In 1998, the Risk and Policy Analysis Limited prepared a document for the European Commission elaborating on the techniques of benefit-cost assessment. The document is used for policy and propos als evaluations. We are guided by the said materials as we explore on the benefit-cost assessment of legalising the use of cocaine and heroin. As pointed out by the Matrix Knowledge Group (2007), the drug supply chain covers several continents. This is also discussed in Fox and Albertson (2010, Lecture 1 Slide 18). The drug supply chain includes the dealers who bring the drugs into the UK from overseas, the dealers who distribute the drugs at the national level or the dealers who buy the drugs in one city and sell it in another (Matrix Knowledge Group 2007, p. 17).

The Engineering Field Research Paper Example | Topics and Well Written Essays - 1250 words

The Engineering Field - Research Paper Example Civil engineering is one of the oldest fields in engineering that arose out of the many challenges that humanity experienced in the early days. Civil engineers are concerned with overseeing the construction of tunnels, roads, bridges, airports and many other infrastructures. In the course of their job, civil engineers take account of several factors just to ensure that the final product meets the standards expected. This is done taking account of the fact that the products are normally expected to last for several years and withstand many environmental challenges. In that regard, the engineers will normally consider factors such as the best design to use, the environmental conditions, the lifetime expected from the infrastructure and even government regulations. Civil engineering itself incorporates many different specializations that are in one way or another related to one another. These disciplines have gradually evolved over time as new realities forced engineers to seek better w ays to cope. Some of the major components of civil engineering include structural, environmental, geotechnical water, construction and urban planning. Normally in practice these fields relate to each other as engineers do their work. The most conspicuous field that comes to mind whenever someone talks about civil engineering is structural engineering. Here, engineers are faced with the difficult task of designing enduring structures that will resist all the environmental confrontations. They must use the appropriate materials to ensure the work is properly done. On the other hand, the knowledge of environmental engineers become almost indispensable as we try conserve the few resources that continue to diminish as the world’s population continue to surge. Their main concern is to provide a safe environment for humanity despite the pollution, to provide better ways of disposing our hazardous waste and how to manage the world’s water resources for us and for the posterity . Geotechnical engineering is concerned with those infrastructural facilities that are below the ground or dealing with the soil. A geotechnical engineer will therefore analyze such aspects as the type of soil, the stability of the ground, slopes and the quality of the rocks in a given area to determine whether they can support structures like tunnels, sewage systems, dam embankments and other infrastructure. A construction engineer on the other hand is concerned about all forms of transport infrastructure like roads, highways, railroads, airports etc. All these areas will no doubt require the best of minds given that quality should never be compromised in engineering. The most important aspect to note is that engineering is never a solitary venture. It is all about interdependence of different disciplines like architecture, survey and other areas all of which combine to give the knowledge that we seek in advancing humanity forward. List specific core (junior and/or senior) courses which are of the most interest to you and why. Also include three schools which offer the program.

Early years in the uk context Essay Example | Topics and Well Written Essays - 2000 words - 2

Early years in the uk context - Essay Example This England framework is goal based and outlines large number of goals, which children should achieve in their early education. In this essay, there is an outline of comparison of England and Scotland framework of early education. This comparison gives different aspects on various themes. For instance, the education approach of early childhood in England focuses on the individual child- centered approach. On the other hand, in England all children in a class should adhere to uniform approach. In order to make a comparison between the two curriculum policies one needs to consider the aspect of flexibility. This flexibility includes teacher’s interpretation of the framework and guidelines, which appears to be the identifiable difference between these two curriculum policies. In Scotland, the mode of early year’s education, which applies, is 0-8 program while National curriculum is the mode, which applies in England, North Ireland, and Wales. There are some similarities b etween the process of National Curriculum guidance of England and Scotland. In both nations, curriculum activities follow a subject-oriented system (CLARK, 2012:14). In England, educational syllabuses followed decisions from isolated educational working groups, which include everything covering all curricular activities. Contrastingly, in Scotland each review group gave out its ideal decisions in which some were complex map of primary education. Another similarity between the two aspects of early years curriculum is how the isolated working groups were confident, had tight timetables, and fast introduction to pre-schools. Apart from these similarities, the England National Curriculum has been more effective and has more central development than Scotland 0-8 curriculum. A great difference has been due to political influence in England arising from involvement of government in Curriculum policy. However, due to lack of good approaches to National Curriculum assessment in the year 1988 through 1993 led to the establishment of slimmed down curriculum in the year 1995. During this time, the England National Curriculum differed fro Scotland (0-8) assessment program. This was due to the separation primary and secondary stages. There was first and second stage of the 0-8 Scotland Curriculum Assessment program (DELORENZI & ROBINSON, 2005:41). Stage 1and 2 involves five to seven years and seven to eleven years for primary schools and major stages 3 and 4, which involves eleven years to fourteen years and fourteen years to sixteen years for secondary schools. This Scottish form of 0-8 Curriculum and Assessment Program covers a longer time span compared to the England policy of early year’s curriculum. Another difference occurs when comparing the curriculum coverage at each stage of education. The Scotland 0-8 Curriculum and Assessment programme covers all the required concepts of curriculum with the exception of a core curriculum. On the other hand, the England Na tional Curriculum concentrates on subjects such as mathematics, English, and Science as the key subjects. Subjects like technology, history, art, music, geography, and PE are the foundation subjects at first and second stage with an addition of a National language as foundation subject at the third stage. The nature of early years study program of the two systems is of a fussy interest. In En gland, teachers and education officers

Thursday, October 17, 2019

Date (phoenix dactylifera L) Research Paper Example | Topics and Well Written Essays - 1500 words

Date (phoenix dactylifera L) - Research Paper Example A single bunch of date palms that weighs about 8 kg may contain as many as 1000 dates. â€Å"The dried fruit is more than 50% sugar by weight and contains about 2% each of protein, fat and mineral water† (online-family-doctor.com, n.d.). Date palm belongs to the Phoenix dactylifera tree in the palm family. The mt genome of P. dactylifera shows a variety of unique traits as it happens to be the first of the family plants of palm. It not only positions at the known monocot mt genomes’ roots, but also has a significantly low repeat content level while it exhibits the RNA editing events in abundance. Date palm shows â€Å"a high level of chloroplast sequence insertions as compared to other known angiosperm mt genomes† (Fang et al., 2012, p. 9). There is no objective record of the exact location where and time when the date palm originated as this information is believed to have been lost in antiquity, yet there are many records that suggest the cultivation of date palm in 4000 B.C. as the date palm was employed in the construction of the moon god’s temple in the Southern Iraq, Mesopotamia. Another proof of the antiquity of this fruit is the Nile Valley in Egypt where the date palm was adopted to symbolize a year in the Egyptian hieroglyphics whereas the frond of the date palm was used as a month’s symbol. â€Å"[This information] is confirmed by history, and corroborated by the archaeological research into ancient historical remains of the Sumerians, Akadians and Babylonians†¦Houses of these very ancient people were roofed with palm tree trunks and fronds. The uses of date for medicinal purposes, in addition to its food value, were also documented† (Zaid and Wet, n.d.). Date palms are believed to originate in Babel, Iraq, though there are also evidences of its origination in Harqan, and Dareen. Date is one of the most nutritious and delicious fruits that have been

Selzer Assignment Example | Topics and Well Written Essays - 250 words - 1

Selzer - Assignment Example Through the story, the lesson learnt is that the narrator and other doctors invented this parrot fever disease and advised the public of its negative influence on people. So it seems as if this doctor was also a journalist â€Å"the parrot fever made malady out to be virulent, mysterious and exotic despite the fact that, the diseases was not baffling: it had been identified in the nineteenth century† (Warren, 611 pp). For patients, it seems, parrot fever instills fear than any other thing in the world. Some people even get more worried than the parrot itself (Warren, 608 pp). Considering the history of the doctor and the patient, the doctor’s is more important in relation to that of the patient. It is the doctor that first discovers the about the parrot disease and then raises public awareness through the New York time magazine. It is a gesture to let people know facts about the fever and consequentially, treats the infected patients. In conclusion, therefore, this story of parrot fever disease as presented, it is prudent to note the educational importance to every reader and pet rears. This paper has the message to all those who keep parrots to be aware of its disease that can prove to be deadly to both the parrot and the entire family. Therefore, it is imperative to consult a pet doctor when buying a pet for a home, for any communicable disease. Where there is a pet already, it is healthy to visit a doctor for a

Wednesday, October 16, 2019

Casino Industry Article Example | Topics and Well Written Essays - 1500 words

Casino Industry - Article Example The letters-to-the-editor column may support this with expressions of disappointments by long-time Las Vegas visitors about their business losing importance to gamers.The bad economy may lead to new international jurisdictions, Mr. Loveman opined. To care for an established customer rather than to attract a new one is also one less expensive option. Mr. T.J. Matthews, International Game Technology Chairman and CEO, said that adapting new slot technology is a resultant option for his company after the failure of several casino projects. From firs-time reading of this article, it seems that the author has written it very hurriedly. The language is poor and with loaded sentences and word use. Though clear, the author's viewpoint remains obscure due to the poor quality of language. For instances, he write - "The faster it adapts to the new economic climate -- and the end of "who cares" easy credit -- the better" and "Looser credit in Bucharest We'll see." The text is full of rhetoric devices; and he has used much material spoken by other people, mainly Mr. Loveman. This is apparent with the word uses of "drunken sailors", "arms race"; along with his own word use like "state of the Industry" and "grass is greener." The use of quotations is widely seen, sometimes mixed with own style; Mr. Loveman and Mr. Matthew have been quoted largely. The overall strength of argument is not powerful. There are evidences of obstacles to critical thinking. The author talks about the emergence of new international jurisdiction opposed to the traditional values through the idiom "grass is greener." Sometimes, the use of taunting language is observed; for example "Old values -- including the avoidance of crippling debt loads -- now reassert themselves." The structure of the article is very weak with an abrupt conclusion with "Imagine that." Despite being in accordance with ideas of the quoted people, the central evidentiary claims by the authors seem imaginary. The thinking about new international jurisdiction seems plausible, and is, maybe, away from central reasoning of Mr. Loveman and Mr. Matthew. Part III: Another reason to worry and one more area detected by the current ongoing global economic crisis - the casino industry is on the target with the people worrying about its current status with future scenario. The world's largest casino company Harrah's EntertainmentInc. has come forward with the fact, stated by theChairman and CEO, Mr.Loveman, thatit is the "overindulgence" in money spending. Other executives of the top casino companies do seem agreeing with Mr. Loveman when they say this business is not goingto remain in a same manner for coming years; because casino owners are shifting the focus to other available properties. This is a natural human tendency needing no explanation. He opined that the industry requires a kind of acceptance to the notion that every project is not a good project keeping in mind a money figure such as $1 billion. As per him the competitors and other businesses along with Harrah's need to change the work style especially considering the financial matters with future professional perspective. He described the competition among the professionals as very tough which might have to deescalate. For financial matters he thinks about a significant change

Selzer Assignment Example | Topics and Well Written Essays - 250 words - 1

Selzer - Assignment Example Through the story, the lesson learnt is that the narrator and other doctors invented this parrot fever disease and advised the public of its negative influence on people. So it seems as if this doctor was also a journalist â€Å"the parrot fever made malady out to be virulent, mysterious and exotic despite the fact that, the diseases was not baffling: it had been identified in the nineteenth century† (Warren, 611 pp). For patients, it seems, parrot fever instills fear than any other thing in the world. Some people even get more worried than the parrot itself (Warren, 608 pp). Considering the history of the doctor and the patient, the doctor’s is more important in relation to that of the patient. It is the doctor that first discovers the about the parrot disease and then raises public awareness through the New York time magazine. It is a gesture to let people know facts about the fever and consequentially, treats the infected patients. In conclusion, therefore, this story of parrot fever disease as presented, it is prudent to note the educational importance to every reader and pet rears. This paper has the message to all those who keep parrots to be aware of its disease that can prove to be deadly to both the parrot and the entire family. Therefore, it is imperative to consult a pet doctor when buying a pet for a home, for any communicable disease. Where there is a pet already, it is healthy to visit a doctor for a

Tuesday, October 15, 2019

Study on Financial Analysis of Britannia Essay Example for Free

Study on Financial Analysis of Britannia Essay The total food production in India is likely to double in the next ten years and there is an opportunity for large investments in food and food processing technologies, skills and equipment, especially in areas of Canning, Dairy and Food Processing, Specialty Processing, Packaging, Frozen Food/Refrigeration and Thermo Processing. Fruits Vegetables, Fisheries, Milk Milk Products, Meat Poultry, Packaged/Convenience Foods, Alcoholic Beverages Soft Drinks and Grains are important sub-sectors of the food processing industry. A health food and health food supplement is another rapidly rising segment of this industry which is gaining vast popularity amongst the health conscious. India is one of the worlds major food producers but accounts for less than 1. 5 per cent of international food trade. This indicates vast scope for both investors and exporters. Food exports in 1998 stood at US $5. 8 billion whereas the world total was US $438 billion. The Indian food industries sales turnover is Rs 140,000 crore (1 crore = 10 million) annually as at the start of year 2000. The industry has the highest number of plants approved by the US Food and Drug Administration (FDA) outside the USA. Indias food processing sector covers fruit and vegetables; meat and poultry; milk and milk products, alcoholic beverages, fisheries, plantation, grain processing and other consumer product groups like confectionery, chocolates and cocoa products, Soya-based products, mineral water, high protein foods etc. We cover an exhaustive database of an array of suppliers, manufacturers, exporters and importers widely dealing in sectors like the -Food Industry, Dairy processing, Indian beverage industry etc. We also cover sectors like dairy plants, canning, bottling plants, packaging industries, process machinery etc. The most promising sub-sectors includes -Soft-drink bottling, Confectionery manufacture, Fishing, aquaculture, Grain-milling and grain-based products, Meat and poultry processing, Alcoholic beverages, Milk processing, Tomato paste, Fast-food, Ready-to-eat breakfast cereals, Food additives, flavors etc. India is one of the world’s major food producers but accounts for less than 1. 5 per cent of international food trade. This indicates vast scope for both investors and exporters. Food exports in 1998 stood at US $5. 8 billion whereas the world total was US $438 billion. The Indian food industry’s sales turnover is Rs 140,000 crore (1 crore = 10 million) annually as at the start of year 2000. The industry requires about Rs 29,000 crore in investment over the next five years to 2005 to create necessary infrastructure, expand production facilities and state-of-the-art-technology to match the international quality and standards. The office of the Agricultural Affairs of the USDA / Foreign Agricultural Services in New Delhi says that one of India’s proudest accomplishments has been achieving a tenuous self-sufficiency in food production and that the country produces a wide variety of agricultural products at prices that are at or below world values in most cases. The Indian palate is accustomed to traditional foods, mostly wheat and rice-based, rather than potato and corn-based western palate. In marketing perspective, this is considered an important factor for foreign marketers. The USDA report says initially consumer-ready food products may have to be tailored to include Indian spices and traditional ingredients. In addition to traditional tastes, there are other social factors which affect consumption in India. Hindus account for approximately 80 per cent of India’s population, and while only 25 or 30 per cent are strict vegetarians, beef slaughter is prohibited in all but two states (Kerala and West Bengal) and consumption of other meats is limited. Incidentally, India is the only country where the US-based MacDonalds sells its burgers without any beef content and even offers purely vegetarian burgers. India’s middle class segment will hold the key to success or failure of the processed food market in India. Of the country’s total population of one billion, the middle class segments account for about 350-370 million. Though a majority of families in this segment have non-working housewives or can afford hired domestic help and thus prepare foods of their taste in their own kitchens, the profile of the middle class is changing steadily and hired domestic help is becoming costlier. This is conducive to an expansion in demand for ready-to-eat Indian-style foods. India’s food processing sector covers fruit and vegetables; meat and poultry; milk and milk products, alcoholic beverages, fisheries, plantation, grain processing and other consumer product groups like confectionery, chocolates and cocoa products, Soya-based products, mineral water, high protein foods etc. According to latest official statistics, India exported processed fruits and vegetables worth Rs 5240 million in 1997-98. The horticulture production is around 102 million tones. Foreign investment since 1991, when economic liberalization started, stood at Rs 8,800 crore. Products that have growing demand, especially in the Middle East countries include pickles, chutneys, fruit pulps, canned fruits, and vegetables, concentrated pulps and juices, dehydrated vegetables and frozen fruits and vegetables. Another potential processed food product is meat and poultry products. India ranks first in world cattle population, 50 per cent of buffalo population and one-sixth of total goat population of the world. Buffalo meat is surplus in India. There is vast scope to set up modern slaughter facilities and cold store chains in meat and poultry processing sector. India’s current level of meat and meat-based exports is around Rs 8,000 million. In last six years foreign investment in this segment stood at Rs 5,000 million which is more than 50 per cent of the total investment made in this sector. Compared with meat, poultry industry has registered significant growth. India ranks fifth in the world with annual egg production of 1. 61 million tones. Both poultry and egg processing units have come in a very big way in the country. India is exporting egg powder, frozen egg yolk and albumin powder to Europe, Japan and other countries. Poultry exports are mostly to Maldives and Oman. Indian poultry meat products have good markets in Japan, Malaysia, Indonesia and Singapore. While meat products registered a growth of 10 per cent, eggs and broilers registered 16-20 per cent growth. There are about 15 pure line and grandparent franchise projects in India. There are 115 layer and 280 broiler hatcheries producing 1. 3 million layer parents and 280 million broiler parents. They in turn supply 95 million hybrid layer and 275 million broilers, day-old chick. Presently there are only five egg powder plants in India which is considered insufficient in view of growing export demand for different kind of powder whole egg, yolk and albumen. The scope of foreign investment and state-of-the-art technology in this field is therefore tremendous. Milk and milk products is rated as one of the most promising sectors which deserves foreign investment in a big way. When the world milk production registered a negative growth of 2 per cent, India performed much better with 4 per cent growth. The total milk production is around 72 million tones and the demand for milk is estimated at around 80 million tones. By 2005, the value of Indian dairy produce is expected to be Rs 1,000,000 million. In last six years foreign investment in this sector stood at Rs 3600 million which is about one-fourth of total investment made in this sector. Manufacture of casein and lactose, largely being imported presently, has good scope. Exports of milk products have been decimalized. Grains could emerge as a major export earner for India in coming years. India’s food grains production is now at around 225-230 million tones. These include rice, jawar, bajra, maize, wheat, gram and pulses. Indian basmati rice enjoys command in the international market. Besides growing Middle East market for basmati rice, many other countries are showing interest for this food grain. In 1998-99, export of basmati and non-basmati rice stood at Rs62000 million. There is a total rice milling capacity of 186 million tons in the country. Among plantation, tea emerged as major foreign exchange earner. India is the largest producer and exporter of black tea. However, the most worrying factor for Indian tea industry is that from early next year with the implementation of tea imports into the country, India tea may face a stiff competition within the country as well, specially threat of Sri Lanka’s presence in the Indian market is looming large. The current year’s tea export prospect is not that very good in terms of forex earnings because international prices have fallen significantly this year. India exports between150-170 million kilograms of tea per annum. Of course, the scope of foreign investment in this sector is good and the multinational tea companies would either be trying for marketing joint ventures with the Indian producers or acquire stakes in Indian tea companies. There is a strong possibility of third country exports through such joint venture as quality wise still Indian teas are ruling the international market. An alcoholic beverage is another are where India witnessed substantial foreign investment. Foreign investment in this sector stood at Rs 7000 million which about 70 percent of the total investment made so far. The IMFL (Indian Made Foreign Liquor) primarily comprises wine, vodka, gin, whisky, rum and brandy. Draught beer is a comparatively recent introduction in the Indian market. The Indian beer market is estimated at Rs7000 million a year. One of the major advantages for any investor eyeing the Indian liquor market is that India offers enough raw materials like molasses, barely, maize, potatoes, grapes, yeast and hops for the industry. Yet another catchy investment sector is fisheries. There is growing canned and processed fishes from India. The marine fish include prawns, shrimps, tuna, cuttlefish, squids, octopus, red snappers, ribbon fish, mackerel, lobsters, cat fish etc. In last six years there was substantial investment in fisheries to the tune of Rs 30,000 million of which foreign investments were of the order of Rs 7000 million. The potential could be gauged by the fact that against fish production potential in the Exclusive Economic Zone of 3. 9 million tones, actual catch is to the tune of 2. 87 million tones. Harvesting from inland sources is around 2. million tones. The biggest bottleneck in expanding the food processing sector, in terms of both investment and exports, is lack of adequate infrastructure. Without a strong and dependable cold chain vital sector like food processing industry which is based mostly on perishable products cannot survive and grow. Even at current level of production, farm produce valued at Rs 70,000 million is being wasted every year only because there is no adequate storage, transp ortation, cold chain facilities and other infrastructure supports.

Monday, October 14, 2019

The Problems With Ship Breaking In Bangladesh Environmental Sciences Essay

The Problems With Ship Breaking In Bangladesh Environmental Sciences Essay Introduction Environmental degradation and depletion of resources are alarmingly increasing in developing countries due to lack effective legislations, non-compliance of international standards in ship breaking process. It is manifested mainly by pollution, deforestation, destruction of wetlands, depletion of soil nutrients, etc. In Bangladesh, both rapid population growth and a degraded environment create serious threats to the economic development. This leads to other serious problems such as poverty, malnutrition and illiteracy. Since the majority of people in Bangladesh derive their livelihoods from the use and extraction of all types of resources, the living condition in Bangladesh, especially of the poor, becomes extremely vulnerable to environmental damage  [1]  .  The instant paper is directed to scan the relevant literatures on the impact of ship breaking in Bangladesh and also to put forward some proposals to be undertaken to this end. Super tankers and giant cargo ships are the backbone of our global consumer society. Hundreds of meters long, ferrying millions of tons of goods across the globe, the perpendicular size of these immense vessels is awe inspiring. Even when these ships are not seaworthy anymore, and repairs are not inexpensively viable, the raw material it is constructed from has a greater value for other purposes. Construction of one such behemoth is a fascinating feat of engineering, however, the destruction and final resting place of these steel giants is even more intriguing. Ship breaking is the process that dismantles an obsolete vessels structure for scrapping or disposal. Conducted at a pier or dry dock or dismantling ship, it includes a wide range of activities, from removing all gears and equipment to cutting down the ships infrastructure (OSHA, 2001)  [2]  . Ship breaking although is demanding but a very risky process indeed. It involves pollution, environmental hazards, and health issues. Ship breaking was recognized as a highly mechanized task until the 1960s in the industrialized countries like the United States, United Kingdom, Germany and Italy, but as the costs of upholding environmental health and safety standards increased the activity moved towards the poor Asiatic states from the early 1980s. The industry since then took a different approach where the ship owners to maximise profits sent their vessels to the scrap yards of poor South Asian countries like India, Bangladesh and Pakistan where payment, health and safety requirements are minimal and workers are desperate for work. Ship breaking activities in Bangladesh is concentrated on the port city Chittagong on the Bay of Bengal. Ship breaking activities are being practiced in the coastal areas and have gained importance in the macro and micro-economy of poverty stricken Bangladesh. Rising demand of raw materials for re-rolling mills and other purposes has made ship breaking activity as one of the major character in the industrial revolution of Bangladesh. Bangladesh is dependant on its ship breaking industry for its domestic steel requirements, thus making it as one of the major resources for steel. This is why ship breaking industry is not subject to any environmental laws or health and safety regulations for workers in Bangladesh. Even though there is no such law regarding ship breaking and on top of that no one is even concerned about the environmental hazard which is leading the country to an outrageous environmental exposure. After the vessels end their navigability period, the owners send them to the shipyards in Chittagong to recover their valuable steel where about 95% of a vessel is recycled. However, these ships contain hazardous substances such as asbestos, lead paint and polychlorinated biphenyls (PCB). During scrapping, by manual and basic methods, these toxic substances are released into the atmosphere. This phenomenon produces a strong and considerable contamination of the surrounding environment and lethal diseases into the workers. These activities exemplify both the potentialities and the dangers of an increasingly globalising economy.  [3]   PROBLEMS DUE TO SHIP BREAKING Ships built before the 1980s, contain many deadly materials. Ship breaking activities in Chittagong, Bangladesh pollute the soil, sea and rivers of the surrounding. Local fishing and agriculture as a livelihood are almost impossible over there due to the discharge of this toxic gases and oil pollution in the sea. This erosion of their traditional livelihoods drives more and more impoverished people to the dangerous shipyards. Samples taken from the yard shows contamination with high levels of mineral oil and toxic substances. Discharge of oil to the sea also results physical damage to the birds, mammals and marine organisms and their natural habitats. Wastes like blasting residue and paint chips contaminate the soil and surface water. Improper storage and disposal of scrap metals and wastes also causes lead contamination. Environmentally hazardous fumes evolve when metal and paint is heated during hot work. The pollution is both severe and long-standing. Unlike in Western countries w here there are stringent regulations on hazardous substances and health and safety measure, in Chittagong yard rules and regulations are rarely applied. Laws on health and safety matters although exists but are hardly enforced and moreover even if the law becomes stringent due to corrupt politics the ship owners apply their powers to withdraw the law and orders.  Following a High Court directive, the commerce ministry of Bangladesh incorporated a condition in its Import Policy Order 2009-2012, which said an exporter of a vessel had to submit a pre-cleaning certificate from the country of origin stating the ship was cleaned before exportation but then again the government amended the law allowing the Chittagong ship breaking industry to no longer require the documentation from the selling nations environmental authorities certifying vessels were free of toxic substances.  [4]  Ã‚  The Basel convention and several other international treaties laid down rules and regulations whic h states that ships that are built with deadly toxic substances shall not be exported for recycling unless they are pre-cleaned and has undergone a cleaning test. But in Chittagong ship breaking yard the owners in violation of the law import those toxic vessels without pre-cleaning. As a result of this violation, terrible poisons and toxic gases are released into the environment playing havoc with the health of the people and all living creature in the ecosystem. The workers in Chittagong yard are permanently exposed to toxic substances. They breathe in these toxic fumes and asbestos dust. Not only on the job, but also in the sleeping quarters nearby they inhale these toxic gases. One out of four workers is expected to contract cancer due to workplace poisons. This makes the Chittagong ship breaking industry the most deadly in the world. ENVIRONMENTAL HAZARDS DUE TO SHIP BREAKING Aside from the health of the yard workers, in recent years, ship breaking has become an issue of major  environmental concern. In addition to steel and other useful materials, however, ships contain many hazardous substances. Many ship breaking yards in developing nations have no  proper enforceable environmental law, enabling large quantities of highly toxic materials to escape into the environment causing serious health problems amongst the labours in the ship breaking yard, the local population and wildlife.  [5]  The hazards are as follows: Hazardous Substances Asbestos fibres, dusts PCBs PVC (combustion products) Heavy and toxic metals(lead, mercury, cadmium, copper, zinc etc. Welding fumes Organometallic substances (tributylin, etc.) Volatile organic compounds (solvents) Lack of hazard communication (storage, labelling, material safety data sheets) Inhalation in confined and enclosed spaces Batteries, fire-fighting liquids Compressed gas cylinders Physical Hazards Noise Vibration Extreme temperatures Poor illumination Biological Hazards Toxic marine organisms Animal bites Risk of communicable diseases transmitted by pests, vermin, rodents, insects and other animals that may infest the ship others) Infectious diseases (TB, malaria, dengue fever, hepatitis, respiratory infections, others) Ergonomic and Psychological Hazards Repetitive strain injuries, awkward postures, repetitive and monotonous work, excessive workload. Mental stress, strained human relations (aggressive behaviour, alcohol and drug abuse, violence) IMPACTS OF SHIP BREAKING DUE TO DISCHARGED POLLUTANTS Most hazardous materials nowadays are restricted or banned today but a ship built about 30 years ago still contains these materials. It also carries hazardous and flammable chemicals used for painting, repair and maintenance, etc. Cables and electrical and other control systems contain hazardous material and emit hazardous gases, if burned. The paint coat, contaminated air, soil and water when torched or scraped, is hazardous for human and the environment. The protection of health and of the workers handling the hazardous waste is of crucial importance.  [6]   Persistent Organic Pollutants (POPs) POPs are chemicals that are highly toxic, remain intact in the environment for long periods, become widely distributed geographically, bio accumulate through the food web, accumulate in the fatty tissue of living organisms and pose a risk of causing adverse effects to human population, wildlife and the environment.  [7]  This group of priority pollutants consists of pesticides such as DDT, industrial chemicals such as polychlorinated biphenyls (PCBs), polycyclic aromatic hydrocarbons (PAHs), polyvinyl chloride (PVC) and unintentional by-products of industrial processes such as dioxins, furans and orgaotins. POPs are transported across international boundaries far from their sources no matter wherever they are used, even to regions where they have never been used or produced. Due to its emission the ecosystems particularly becomes risky because of the long-range environmental transportation and bio-magnification of these substances. Consequently, POPs pose a threat to the environm ent and to human health all over the globe. Exposure to POPs may cause acute, medium or long-term impacts. It also gives rise to cancer and other related diseases. Chittagong ship breaking industry is a prospective basis of these fatal chemicals of POPs. Asbestos Asbestos is the name given to a group of six different fibrous minerals (Amosite, Chrysotile, Crocidolite, and the fibrous varieties of Tremolite, Actinolite, and Anthophyllite) that occurs naturally in the environment. All forms of asbestos are hazardous, and inhalation of these fibres can cause severe diseases. On the ship breaking beaches of Chittagong, asbestos fibres and flocks fly around in the open air and the labours over there take out asbestos insulation materials with their bare hands without any safety precautions. Workers who repeatedly breathe in asbestos fibres with lengths greater than or equal to 5ÃŽÂ ¼m may develop a slow build-up of a disease called asbestosis. a scar-like tissue in the lungs and in the membrane that surrounds the lungs. This is a serious disease and can eventually lead to disability or death in people exposed to high amounts of asbestos over a long period. Asbestos workers also have increased chances of getting lung cancer as well. Oil Pollution Oil is a highly volatile compound composed of mainly hydrocarbon, sulphur containing compounds etc. Approximately 75% of the constituents of oil are hydrocarbons. As a result ship breaking, oil residues and the other refuses are being spilled and mixed with soil and water in the beach. In Chittagong yard the beach is black due to oil spills, and fishes have already started to disappear as per the researchers report. In freshwater environments, perhaps the most dangerous problem is contamination of drinking water sources. Food sources, such as fish and crustaceans both marine and fresh water, may be tainted and the consumption of tainted food causes human health problems and also loss for export trade in foreign market. Oil pollution also threatens the livelihoods of fisherman. Impact of ship breaking on the surrounding environment and coastal community Toxic oil and metallic substances through intake of affected fish, causes human health hazards. In ship breaking areas various refuse and disposable materials are discharged and spilled from scraped ships and it often gets mixed with the beach soil .The scrap from the ships is staked haphazardly on the sea shore, leaving behind an accumulation of metal fragments and rust in the soil. These together with extensive human and mechanical activities often go on as routine work for the scrapping of ships in that area as a result the beach soil loses its binding properties and this accelerate the rate and the amount of shore erosion and increase the turbidity of sea water of the surrounding area. Disruption of bio-diversity in the long run may also destroy the suitability of human settlement. During the breaking period accidental death sometimes occurs. Due to lack of proper sanitation and drinking water workers suffer from water borne diseases. As the sound pollution is a regular phenomenon during dismantling, inhabitants of the adjacent areas live in a painful situation .The poor coastal community get a variety of employment opportunities in the industry and it turns into a way of livelihood to them. On the other hand social crime, abuse of drugs and illegal activities increases due to ship breaking activities in that area. As the commercially important species are replaced by low priced species and scarcity of fish, many coastal fishermen are leaving their hereditary profession and moving around everyday as environmental refugees in a state of under employment and poverty to unemployment and grim poverty. SHIP BREAKING AND INTERNATIONAL LAW The Rotterdam Convention on the Prior Informed Consent (PIC) (1998) PIC is internationally applied to the trans-boundary movement of hazardous waste. The Rotterdam Convention, subjects to the Prior Informed Consent procedure for 30 hazardous pesticides and 11 industrial chemicals such as chlordane, chlordimeform, chlorobenzilate, Asbestos, PBBs, PCBs etc. Most of these hazardous substances are present in ships that were built 20 to 30 years back. Countries lacking adequate infrastructure to monitor the import and use of such hazardous substances were in violence of the law. In terms of ship breaking, owners have to make a declaration of hazardous substances on board, on arrival at the yard for dismantling. However, PIC by itself is not sufficient to stop unsafe scrapping. What is needed is that the country from which the toxic ship arrives needs to notify the importing country. The importing country can then take measures for the adequate treatment of these hazardous substances. But unfortunately in the case of Chittagong ship yard it is often seen that end of life vessels have been exported without the importing authorities being alerted. The Basel Convention Articles 4 and 6 of the Basel Convention impose strict conditions that go further than the PIC convention on the trans-boundary movement of hazardous wastes. It imposes an obligation of due diligence, on all ship owners. All parties are required to provide information about a proposed trans-boundary movement of hazardous wastes, to the countries concerned. Three elements must be proved for the violation of the Basel Convention to the issue of ship breaking: (i) Proof that the waste will not be properly dealt with by the ship breaking country. (ii) The legal recognition that ships are waste. (iii) An established intention to discardby the owner of the ship.  [8]  This convention is very much applicable to the Chittagong yard but unfortunately they are hardly followed by both importing and exporting parties of the yard.  [9]   United Nations Environmental Program (UNEP) UNEP is responsible for the implementation of the Basel Convention. It is currently drafting guidelines on the environmentally sound management for the full and partial dismantling of ships, in order to provide recommendations on procedures and practices to be implemented to attain Environmental Sound Management (ESM) in ship breaking yards. International labour Organization (ILO) The International Labour Organization (ILO) is the UN specialized agency which seeks the promotion of social justice and internationally recognized human and labour rights. The guidelines suggest a national framework defining the general responsibilities and rights for employers, workers and regulatory authorities in ship breaking. In addition, the guidelines also provides recommendations on safe ship breaking operations including the management of hazardous substances, protection and preventative measures for workers against hazards and suggestions for a competency based training program. The ILO approach is to facilitate step-by-step improvements to the practice of dismantling ships on beaches. If these approaches are applied, the Chittagong ship breaking yard will reach a satisfactory quality.  [10]  The ILO guideline suggests the: Ensuring there is an inventory of hazardous materials on board; Decontamination and gas-freeing; Planning for safe demolition; Recycling and; Safe waste management. The International Convention for the Prevention of Marine Pollution from Ships (MARPOL) MARPOL is a combination of two treaties adopted in 1973 and 1978 respectively and updated by amendments through the years. It is the main international convention covering prevention of pollution of the marine environment by ships from operational or accidental causes. In the issue of ship breaking MARPOL would apply to the discharges that occur from ships sent for ship breaking, which take place within the territorial waters of the ship breaking country. Practically this means that once the ship is delivered to a ship breaking yard any discharge, notably of oil or oily mixtures will be prohibited under this convention. Such oily wastes must be retained on board or discharged to reception facilities in port.  [11]   International Maritime Organization (IMO) In December 2003, the IMO issued a document entitled Guidelines on Ship Recycling. The Guideline is urbanized to give advice to all relevant stakeholders in the recycling process. The Guidelines suggest practical measures for all stages of the ship recycling process. They are: à ¢Ã¢â€š ¬Ã‚ ¢ New ship and equipment design, in particular to minimize the use to hazardous substances and waste generation as well as to facilitate recycling and the removal of hazardous materials; à ¢Ã¢â€š ¬Ã‚ ¢ Preparation of a Green Passport for new and existing ships; à ¢Ã¢â€š ¬Ã‚ ¢ Selection of a recycling facility and preparation of a ship for recycling including a ship Recycling Plan and;   à ¢Ã¢â€š ¬Ã‚ ¢ Roles for primary stakeholders including flag, port and recycling states, the Basel Convention, the ILO and the shipping industry. The Guidelines seeks to give confidence to recycling as the best means of ship disposal. In general, the Guidelines take the view that the responsibility for environment and worker protection in ship recycling facilities must respite with the recycling feature itself and with the regulatory authorities of the country in which it operates. Nevertheless, it is noted that ship owners and other stakeholders also have a responsibility to address the issues involved. The International Chamber of Shipping (ICS) The aim of ICS is to encourage high standards of operation and the provision of high quality and efficient shipping services. It also strives for a regulatory environment which supports safe shipping operations, protection of the environment and adherence to internationally adopted standards and procedures regarding ship breaking. ICS also promotes properly considered international regulation of shipping and oppose unilateral and regional action by governments. ICS took the initiative to establish an Industry Working Party on Ship Recycling (IWPSR) on the 23rd of February 1999. The IWPSR established an Industry Code of Practice on ship recycling in August 2001. This Code of Practice is the basis for the IMOs own guidelines. It is aimed at the ship owners, and encourages for the present shipping companies to initiate and complete a programme to identify and record, as far as is practicable, on each of their existing ships, any potentially hazardous material, as well as to make every e ffort to minimize the amount of potentially hazardous materials on board of the ship and while recycling of ships. Stockholm Convention on Persistent Organic Pollutants (POPs) The Stockholm Convention (Article 3.2) restricts the import and export of POPs to cases where, for example, the purpose is environmentally sound disposal. It also requires that POPs may not be transported across international boundaries without taking into account relevant international rules, standards and guidelines (Article6.1). The Stockholm Convention requires Parties to take measures to reduce or eliminate releases of POPs from intentional production and use (Article 3), unintentional production (Article 5) and stockpiles and wastes (Article 6). Concepts of Best Available Techniques (BAT) and Best Environmental Practices (BEP) are to be further elaborated by the Conference of the Parties. Bangladesh being a signatory government of the convention must take measures to eliminate or reduce the release of POPs into the environment in the Chittagong ship breaking yard.  [12]   The Universal Declaration of Human Rights The issue of human rights in ship breaking yards came to the attention of the international community in the 1990s through the concerted actions of different non-governmental organizations, above all Greenpeace, trade unions such as the International Transport Workers Federation and the International Metalworkers Federation, and intergovernmental bodies, such as the International Labour Organization. The awful working conditions and the dangers to the health and safety of the workers, publicized by several investigative media reports, led to a public outcry, which in turn generated an international mobilization on the issue.  [13]   SOLUTIONS FOR A SAFER ENVIRONMENT Abide by the law All the international treaties and the international UN bodies must together act against unacceptable ship breaking practices. The yard owners and the workers must have the appropriate knowledge regarding the law, health and safety issues and they also have to be encouraged to abide by the law as requires. The government must take reasonable steps to make the law obligatory to abide by on the ship breaking yards. Stop dumping toxic ships The shipping industry is responsible for its own vessels. They should take immediate measures to prevent pollution of the environment and protect the workers that dismantle their ships. They can do that by decontaminating and gas-freeing their ship-for-scrap before export to developing countries.  [14]   Gas Free Certificates No ship recycling facility shall undertake any cutting or dismantling activity onboard a vessel until a ship has been tested for flammability and a Gas-Free for hot works certificate granted. This test must take place at the ship recycling facility just prior to any cutting or dismantling taking place. Prevent pollution The shipping industry is responsible for its own vessels. They should take immediate measures to prevent pollution of the environment and protect the workers that dismantle their ships. They can do that by decontaminating and degassing their ship-for-scrap before export to Asia. Governments Role The government of Bangladesh should formulate and implement a national policy and principles for safe and sustainable ship breaking after having consultation with relevant organizations, employers and workers. They should also include this sector under the ministry of industry defined by the Factory Act, 1965 and formulate a policy so that, workers rights and welfare; occupational safety health (OHP) could be ensured and it could be eco-friendly as well. Usage of Technological Renovation Ship-owners should gradually make their vessels cleaner by the usage of better technology machineries during the recycling process. They should provide their workers with more and more safe and precautionary machineries that do not risk the workers life. During maintenance and survey stops, hazardous materials should be replaced with clean alternatives. In addition, ship-owners should, together with shipbuilders and classification societies, commit to the development of clean ships to avoid future disposal problems.  [15]   CONCLUSION Though in Bangladesh, ship breaking is now considered as a formal industry by law but the activities in real are not at all formalized yet. There is no enforcement of the labour laws, no legal binding framework to ensure Bangladesh comply with international human rights and environmental commitments. Above all, there are no consolidated policies or strategies or guidelines in Bangladesh for ship dismantling and there is a serious lack of communication between the responsible Ministries. According to several researchers the whole coastal area in Chittagong is in high risk by pollution generated from the ship breaking activities. Toxic chemicals and hazardous materials are not managed in an environmentally sound way; the beach is black due to oil spills, and fishes have started to disappear. Also the ship breaking activities has impact on the human health, directly to the workers; it has impacts on the food chain, on physiochemical properties of seawater, inter tidal sediments and soil and above all the on the biodiversity . As Bangladesh is one of the largest countries in respect of ship breaking activities, the subsequent impact on the environment and violation of human rights in the ship breaking yards drew the attention of different concerned bodies around the world as well as within Bangladesh in recent years. If the ship breaking industry is to bring development in the country, the same shall also be applied to ensure minimization of pollution effect. A longer stretch along the seashore is in no way justified for continuation of this business. Rather a certain separate zone like a dockyard should be selected by the competent authority to be undertaken at the right time, before it is too late. Considering the vital role of ship breaking in national economy ship breaking can not be stopped. Rather a sustainable approach should be taken to minimize the negative consequences of ship breaking activities in our coastal zone.