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In the case of partition damage, the job for the undelete files software is to analyze the surface of the HDD and retrieve clues around structure of the logical data in order to reconstruct the partition or drive parameters (such as the first sector number, cluster size, file system type, etc.). As this process makes logical connections based on probability, it creates an entity called a virtual drive. Without any kind of drive structure, no data can be retrieved. The virtual drive partition will give the user some data to work with. This User Guide assumes that you have some basic knowledge of hard disk drive and file system organization to be able to understand the recovery terminology and examples.
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CC-MAIN-2024-51
http://www.uneraser.com/pdamaged.htm
2024-12-08T00:04:25Z
s3://commoncrawl/crawl-data/CC-MAIN-2024-51/segments/1733066433271.86/warc/CC-MAIN-20241207224914-20241208014914-00759.warc.gz
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When you assume about how Blended Fact enhances finding out, you think about interactive visible trainings. You imagine pupils entirely immersed in an environment in which teachings are brought to daily life. You visualize learners engaging with a digital twin hologram of a human physique or other distinct simulations. The very last point you would visualize Blended Truth becoming applied for is to read through regular text off a ebook or a piece of paper. Why would this sort of a significant-tech piece of devices be utilised assistance with looking through? East Carolina University is at present functioning on a proof of concept with Microsoft’s Blended Truth headset the HoloLens, to support 5th graders who battle with looking at. A common trouble researcher uncovered was that when young children ended up requested to examine out loud, they struggled with the text. Students acquire a studying stress and anxiety in addition to total standard stress. This affects university student inspiration and affects their drive to improved, resulting in low proficiency studying amount. In small the moment youthful pupils reading through degree slide driving, they are likely to continue to be guiding utilizing prevalent educational strategies. The job serves as an help to aid learners who have low studying proficiency amounts and wrestle to keep up with their quality stage. How this task works is college students put the headset on and examine like they typically would. A potent eye monitoring digital camera on the HoloLens will recognize every time a college student is trapped on a term or phrase. An animation and audio recording will come to lifetime to make clear the term or phrase they are trapped with. For example, let’s say a university student does not know what photosynthesis is or usually means. An animation will reveal and demonstrate the procedure. The application has started out off with a aim on science or what they like to connect with it “read-to-study science.” As you can picture that this could be made use of in heritage, English, and just about any matter you can feel about. Why is this technique working with Combined Actuality better than regular examining? In the course of the project researchers identified that with all the audio-visible technology college students examine improved from paper than screens. The HoloLens and Combined Fact permits college students to keep on reading through usually and boosts the encounter. Like pointed out ahead of the HoloLens offer an help but also keeps the consumer experience individualized. This permits students to learn at their own pace and with the comfort and ease knowing that no one can decide them. The job has been a achievements with panic ranges reducing and looking through levels expanding.
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CC-MAIN-2024-51
https://abusinessowner.com/how-mixed-reality-helps-struggling-readers.html
2024-12-08T00:35:11Z
s3://commoncrawl/crawl-data/CC-MAIN-2024-51/segments/1733066433271.86/warc/CC-MAIN-20241207224914-20241208014914-00759.warc.gz
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عنوان مقاله [English] Any country's vital infrastructure, including transportation, plays a major role in a disaster situation. As transportation networks are threatened by different events such as natural disasters (e.g., earthquakes) and also man-made disasters (e.g., terrorism).Therefore, the identification, protection, stability, and development of transportation infrastructure is a vital issue during a disaster. In this paper, a spatial decision support tool, termed ISRT, is proposed. By using this tool, the road transportation network performance is evaluated based on four criteria, i.e., capacity of the roads, accessibility of the roads to military locations, vulnerability of the roads and the importance of the roads in the geometric structure of the network. By proposing the concept of strategic roads, the road networks, studied in this paper, are ranked. The tool is able to interact with decision-makers, receive their priorities and show the results on a map. The results indicate that eight percent of the roads under study are strategic.
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CC-MAIN-2024-51
https://adst.ihu.ac.ir/article_204120.html
2024-12-07T23:15:59Z
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Text analytics, a key component of artificial intelligence (AI), involves the application of computational techniques to process, analyze, and derive insights from textual data. It encompasses a range of tasks aimed at extracting meaningful information from unstructured text sources, such as documents, emails, social media posts, and more. Text analytics leverages natural language processing (NLP) methods to understand the language’s nuances, structures, and context, enabling AI systems to interpret and organize textual information for various purposes. Text analytics encompasses multiple levels of analysis, including sentiment analysis, which determines the emotional tone of the text, and entity recognition, which identifies and categorizes specific named entities like people, places, or organizations. Text classification is another common task within text analytics, involving categorizing text into predefined classes or topics. Summarization techniques aim to condense lengthy texts into concise, informative summaries. Moreover, text analytics has applications in information retrieval, content recommendation, and even machine translation, where it aids in bridging language barriers. By automating the extraction of insights from textual data, text analytics significantly improves the efficiency of information processing and decision-making. It enables businesses to gain actionable insights from customer feedback, assists in legal document review, and supports various research endeavors. « Back to Glossary Index
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CC-MAIN-2024-51
https://ai-magazine.com/glossary/text-analytics/
2024-12-07T23:33:17Z
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Modern motor vehicles are increasingly dependent on electronic systems. Electronic actuators play a key role in this process, controlling the flow of energy and ensuring that various vehicle components function optimally. However, over time and intensive use, the adjusters may wear out, which leads to a loss of vehicle efficiency. In such cases, the regeneration of electronic controllers is one of the most advantageous forms of restoring their original technical properties. In this article, you will learn more about the process of remanufacturing electronic actuators at Arcoore and the benefits of this solution. What are electronic adjusters? Electronic actuators are essential components for the proper functioning of individual systems in motor vehicles. These are electronic devices that control the flow of energy between various vehicle systems and components. Their main task is to provide the right amount of power to individual components, such as the engine, lights, audio system, security systems, etc. Actuators operate on the principle of electronic control, where electronic signals are processed and adjusted to ensure optimal vehicle operation. These can be relays, electronic controllers or other devices that control the flow of current depending on the signals received from various sensors. What are the faults of electronic actuators? In the event of failure or wear of the electronic actuators, there may be problems with the functioning of various systems in the vehicle, including immobilization of the car or malfunctioning of the safety and driving assistance systems. Therefore, it is important to monitor the condition of these components and regenerate them if necessary. What factors cause electronic actuators to fail? There are many factors that can contribute to the wear of electronic actuators in trucks or other vehicles. Among the most common are, for example: intensity of vehicle use; - exposure to extreme working conditions; - wrong voltage or unstable electronic power supply; - quality and technical condition of adjusters; - improper maintenance and lack of regular inspections. How is the regeneration of electronic actuators? The process of regeneration of electronic controllers is a complicated but effective way to restore their full efficiency. At the beginning of the process, the positioner is disassembled and thoroughly inspected. Any damaged or worn components are then removed. The next step is professional cleaning of the adjuster. Specialized agents and tools are used to remove dirt, dust and deposits that may affect the operation of the device. All components are then thoroughly tested to detect any faults. In the case of damaged parts, such as relays or contacts, they are replaced with new components. It is also possible to repair damaged components if it is possible and cost-effective. After replacement or repair of parts, the adjuster is reassembled and final performance tests are carried out. It is important to ensure that the element is operating within the correct parameters and is ready for reuse. Why is it worth choosing regenerated electronic actuators? The entire remanufacturing process of electronic actuators at Arcoore is carried out by trained specialists who have the necessary skills and experience. Thanks to this, you can be sure that the remanufactured adjuster will work like new. Regeneration of electronic actuators is definitely a cost-effective alternative to replacing them with new ones. This ensures not only financial savings, but also allows you to care for the environment by reducing the amount of waste. Therefore, it is worth considering remanufacturing electronic actuators if they are defective or worn. Regenerated electronic adjusters in the Arcoore offer Is there a failure of the electronic actuator in one of the vehicles in your fleet? In the Arcoore offer you will find regenerated electronic actuators for vehicles of various brands, e.g. Mercedes-Benz, MAN, DAF, Volvo, Scania, Ford, Renault. We offer parts compatible with various years and models of vehicles. Before shipment, we carefully check each part for efficiency and quality, and protect it against possible damage in transit. Do you have questions or are you looking for a remanufactured electronic actuator for your vehicle? Contact us!
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CC-MAIN-2024-51
https://arcoore.co.uk/regeneration-electronic-adjusters/
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A Colonoscopy is a relatively normal procedure, but it’s rare for someone to get one at 25. Here’s my story: I have been suffering from stomach issues for years. In an attempt to treat the problems, I made significant changes to my eating habits, all at the recommendation from a mixture of both medical and homeopathic doctors. My stomach hasn’t improved dramatically. Though I am not a doctor, I like researching about health and I believe it is important to understand what’s going on. Preventative measures and preventative medicine is the key to help stay healthy. Though I generally prefer a more holistic approach, sometimes you have to go full medical to figure out if there is something dramatically wrong. I had reached my breaking point so I went to a gastroenterologist (doctor who specializes in treating the digestive system) and he recommend I get a colonoscopy. I thought to myself… “I’m 25, isn’t that for people over 50?” But once he explained, it made more sense to me, and somewhat ignorantly, I agreed to schedule one for the following week. What is a Colonoscopy? A colonoscopy is a medical procedure where gastroenterologists evaluate the inside of the colon, also called the large intestine. The doctors examine the large intestine by placing a four-foot-long tube with the camera up the anus that is then advanced slowly through to the cecum, the first part of the colon. There are two types of colonoscopies, a screening and a diagnostic. A screening is where the doctor looks but doesn’t take any biopsies to study; it is considered as more of a checkup. Screenings are more common for people who reach a certain age, generally 45 and above- looking for signs of colon cancer. It is recommended that healthy people get a colonoscopy every 10 years after the age of 45. A diagnostic colonoscopy is used when patients exhibit issues, like my stomach problems, and it doesn’t matter the age. Diagnostic colonoscopies are slightly more intense because doctors can perform biopsies (taking tissue from the body) to examine it for problems. I received a diagnostic colonoscopy. Colonoscopies are generally a safe procedure but they do have risks, learn more information about them here. Preparing for My Colonoscopy Okay… Here is where I should have listened more attentively. You are not allowed to eat solid foods the day before the colonoscopy. Only clear liquids like water, broths, or tea. For more on the pre-colonoscopy diet check out Harvard Health. I forgot this in the morning, did a crazy workout and was hungry most of the day. Thankfully I wised up during the afternoon because my evening would have been terrible if I didn’t follow the directions. The reason you can’t eat is because you have to make your stomach completely empty so it can be properly examined by a doctor. You may be wondering… How do you clean out your stomach to get it ready? I know I was. No, I’m not kidding. You drink poo poo juice. I call it poo poo juice because that’s what it makes you do. The one I drank is actually called Suprep. Suprep cannot be bought over the counter because it is an extremely strong laxative. To be fair it is the only one I have ever used, but it worked very effectively on me. My research on how to use the Suprep came from the nurse’s prep sheet and from watching this video on how to use it. Dr. Davidson, in the video, was not my doctor but he gave great advice. Drink the Suprep through a straw because it makes it more palatable. It doesn’t taste good at all. You have to drink a lot of water within the next hour. You drink the juice twice, the night before, and morning of the surgery. I was running to the bathroom within minutes of drinking it. Don’t want to get into the details… But, it causes you to go a lot in a short amount of time. I was not mentally prepared. At first, I was laughing. Then, after about an hour of running back and forth, I was more uncomfortable. It made me feel loopy a bit so I had to make sure to stay hydrated. According to WebMD, “Suprep works by drawing large amounts of water into the colon. This causes watery bowel movements. Clearing stool from the intestines.” Learn more here. Stool, if it wasn’t obvious, is a medical term for poo poo. Though I drank a lot of water the first time I took the Suprep, it’s important to take note of when you hydrate if your colonoscopy involves anesthesia, most do. You should not drink 2 hours prior to going under because there is the possibility that you may choke. My colonoscopy was at 10 AM. I woke up at 5 AM because I had to drink my second round of Suprep. It was less intense in the morning because I cleared out most of my colon the night before, but I still had to run. I arrived at hospital around 8:30 to get set up. The nice nurses prepared me and put me in the typical hospital outfit. I felt pretty relaxed until then. The outfit made me feel like I was a patient in Grey’s Anatomy, which I mentioned to the nurses. I think they appreciated the joke, but maybe it was too cheesy to get a laugh. I get cheesy when I’m nervous, and at this point I was incredibly nervous. The doctors came in around 10:15 AM with a few nurses. They gave me a tube to put in my nose and stuck a needle in my arm. The tube smelled like fresh plastic, it was new. I made some jokes with the anesthesiologist and asked a few anxiety-ridden questions. The sleeping drugs went into my system, my ears began to ring like I just walked out of a nightclub after a long night of partying. I woke up an hour later, groggy, and in a different room then where I started, which was a bit disorienting. Didn’t feel anything during the procedure because I was under anesthesia. I woke up saying someone’s name over and over. Maybe I had dreamt about them during the procedure. The nurses kept me in the bed for about another hour because my heart rate and blood pressure were low. The nurses joked that I wasn’t allowed to make any big decisions, such as get married, because my judgement was impaired. I found that funny because my cousin was getting married that day. The wedding was in Israel so I couldn’t attend. Nice photos though, looked beautiful. You’re also not allowed to operate any heavy machinery. I was in no condition to do anything, honestly, so the thought never crossed my mind. I came home- ate a little- but had to be careful because I had some slight soreness, and then I went to bed and zooinked out. Next Few Days As I mentioned, the Colonoscopy is a relatively safe procedure, but it is invasive. The next few days I felt stomach pain worse than before. You have to be careful about the amount you eat and what you eat for a while after. I had just cleaned out my system entirely and then had it poked and prodded by a doctor, so it was a bit of a shock to my stomach. Thankfully the procedure-related pain went away after about a week, but it was a lot more uncomfortable than normal. What They found Which is good and bad. Good because it means I don’t have a blaring untreated major disease. Bad because it doesn’t give any answers, except ruling out diseases such as Cohn’s. I also did a blood and stool sample, and I am waiting for results. I will do an imaging of my lower intestine next week. Inflammation there needs to be studied and it cannot be seen through the colonoscopy procedure. Other Potential Causes It is important to mention that there are many potential causes for why someone like me would have stomach problems. Some because I am allergic to dairy and gluten, although I don’t eat foods that possess either. Other problems could be genetic, as this runs in my family a bit. Could also be stress related. I don’t always feel stressed on the surface, but sometimes your body can tell you things that your mind may not always be aware of, or willing to accept. I am curious to see if the doctors find anything. I hope so. With the stomach it doesn’t feel that this will be an easy fix, however, I hope I will find out more and soon. Would I recommend the procedure to others? Yes, I think it is okay, but I do wish I knew more about what it would have entailed before I did it. I am thankful to my doctors and their medical team for being so amazing and professional throughout the entire process. Wishing everyone stays healthy. All the best,
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CC-MAIN-2024-51
https://arielknowsnothing.com/colonoscopy-at-25/
2024-12-07T22:52:09Z
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What They Are Rod fishing is one of the most common forms of fishing. It is popular throughout the world because rods are easy to manufacture and use. Rods are long and usually made from a flexible material. They are sticks or poles which are attached to a line. At the end of this line is a hook. Bait is placed onto this hook and the line is cast out onto the water. Hopefully the fish will be attracted to this bait and bite into it. When this happens the fish gets caught on the hook and the fisherman must then reel them in. If the reel is successful then the fish will be caught. The length of a rod can be anywhere from 2 to 20 feet. The line is often stored on a reel. This method reduces any potential snags or tangles. It also makes landing a fish much easier. Types Of Rod Older, more traditional rods were made of bamboo. Modern ones utilise stronger and more durable materials. This includes carbon fibre and fibreglass. Fishing rods are favoured more by hobbyists, rather than those in the industry. This is because a rod reduces the number of fish that can be caught in contrast to nets. The type of fish being caught will affect the rod that needs to be used. It will affect the rods size, configurations and actions. Whether the water is fresh or salt will also have an impact. Some rods are designed for specific purposes. For instance, fly rods utilise artificial flies. Spinning and bait casting rods are made specifically for casting certain lures and types of bait. Ice fishing rods need to be able to fit into small holes in ice covered water. Trolling rods are made for fishing from boats that are constantly in motion.
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CC-MAIN-2024-51
https://boat-fishing-monthly.co.uk/rod-fishing/
2024-12-07T23:44:12Z
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Parents today are faced with tough decisions when it comes to disciplining a child. Methods of discipline that were once accepted now lead to potential law suits and court appearances. Other methods prove less effective in controlling the behavior of an out of control adolescent. Many parents and guardians are turning to a form of punishment that seems demoralizing and possibly psychologically damaging. This method is diaper punishment. In diaper punishment a child, usually aged from three or four years up to age eighteen, are made to wear a diaper all day and night. These children are also denied access to bathroom facilities. The result is that the child must urinate and defecate into the diaper. Diaper changes are at the option of the punisher, normally the parent. Some punishing parents only allow changes at long intervals or delay changing as additional punishment if the child requests a change. This can be quite demoralizing to a child, especially a teenager or young adolescent. The reasons for such punishment are varied; perhaps the child has acted like a baby, or refuses to act like an adult. One diapered child was punished for excessively drinking alcohol and then urinating on the bathroom floor. Whatever the cause, the reasoning behind the punishment appears to be if the child reverts to baby like behavior they should be treated as a baby. This could include changing the diaper of an adolescent in front of friends and guests much as the diaper of a baby would be changed when it is soiled. However, a teenager would be embarrassed to be naked in a room full of people where a baby may not know the difference. As you may guess, there is a lot of debate as to the appropriateness of this type of punishment. Whether it is appropriate or not, this form of punishment, considered an option to corporal punishment, appears to be catching on. The long term effects on the punished child are still to be determined. The effectiveness of such punishment also has to be questioned. Rewarding the child is a good way to reinforce the potty training. A toddler bed is a great way to do this. Baby hampers are a nice way to reward the parents.
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CC-MAIN-2024-51
https://buying-guide.net/new-ways-to-train-the-little-ones/
2024-12-08T00:38:51Z
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What can you do as a parent when there is an emergency? ♦ PLEASE DO NOT CONTACT YOUR CHILD DURING AN EMERGENCY. Contacting your child may slow down the school’s efforts to get all students to safety if your child is not paying attention to instructions. Also, a ringing or vibrating cell phone, or a student talking, even in a whisper, may indicate to an intruder where your child and others are hiding. ♦ PLEASE DO NOT RUSH TO YOUR CHILD'S SCHOOL WHEN INFORMED OF AN EMERGENCY. Emergency responders will determine when it is safe for students to be released, and the District will inform all parents of how their children will be transported home, or where and when they can be picked up. ♦ BE SURE TO ALWAYS UPDATE YOUR SCHOOL IF YOUR CONTACT INFORMATION CHANGES. If there is an emergency involving your child, and the school does not have your most current contact information, precious time will be lost as the school tries to contact you. ♦ DO NOT RELY ON ONE FORM OF COMMUNICATION FOR INFORMATION FROM THE SCHOOL DISTRICT. See the communication methods that the District uses. ♦ During an emergency, PLEASE DO NOT CALL THE SCHOOLS FOR INFORMATION. In an emergency, staff members will be busy dealing with the safety of students and will not be able to answer the phones. For information during a crisis, please check the District's sources of communication. ♦ BE PATIENT as you wait for more information. As soon as new information becomes available, the District will update the community as rapidly as possible through its communication methods. Check the District website and social media often for updates. ♦ DO NOT COME TO PICK UP YOUR CHILD until the District has notified you of the time and the location where you can do this. Emergency responders will determine when and where it is safe to pick up students. You might put yourself and others in harm’s way if you attempt to pick up your child before the District has been told it is safe for you to do so. Be sure to have identification with you when picking up students.
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CC-MAIN-2024-51
https://bville.org/57435_3
2024-12-07T23:50:38Z
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How To Raise Humidity in Grow Tent The biggest worry for any indoor grower is seeing their plants begin to dry out. It's game over for you if we add problems like stressed-out plants and underdeveloped plant roots to the mix. Guess what? Low humidity in the grow room is the fundamental cause of all these problems. You could observe the leaves getting extremely dry, curling, or nutritional burn if you have low-humidity herbs. Fortunately, regulating humidity in grow tent setups is not too complicated. Adaptability with your humidity settings is essential since your plants' humidity needs might alter as they mature. We'll examine what occurs when your humidity levels are too low, the heat is too high and what your humidity levels should be. The following article explains some of the most efficient techniques and options to regulate humidity in your grow tent. When you learn how to control all the tiny, complicated moving pieces, such as light, temperature, ventilation, and humidity, you'll be able to grow your plants in grow tents with fantastic success. Why is Humidity Level Important for Plant Growth? In a grow room or tent, humidity is excellent since it means your plants are healthy and have access to enough water to thrive. Different degrees of humidity are required at different times in a plant's life to properly seed, veg, and bloom. Photosynthesis requires humidity to be achievable. Since Anthurium can only absorb a little humidity and evaporates less water than other plants, maintaining a proper humidity level surrounding the plant is even more crucial than most other crops. The stomata will close if the plant loses too much water, ending photosynthesis. No more CO2 can be absorbed if this occurs, even though photosynthesis needs CO2 to continue. A plant cannot make water evaporate or extract nutrients from the soil when relative humidity levels are too high or there is insufficient air circulation. The result is that a plant finally rots when it happens frequently. A plant's transpiration rates rise in warm environments with low relative humidity levels, which minimizes the requirement for fertilizer application by a gardener. Related: How to Add CO2 to Your Grow Tent? What are Relative and Absolute Humidity? Absolute and relative humidity indicates the amount of water vapor in the air, but they are very different. Particular techniques are used to measure humidity, and each technique has a different use. Let's get a better understanding of relative and absolute humidity further. Relative humidity is a measure of the percentage of water vapor in the air compared to its saturation level at a certain temperature. It is expressed as a percentage and is based on the ratio of actual water vapor pressure to saturated water vapor pressure. It represents a portion of the potential moisture in the air. Unless the air temperature accompanies the relative humidity measurement, it is impossible to determine the amount of moisture in the air. The relative humidity falls as the temperature rises if the moisture content of the air stays constant and vice versa. The air's density or vapor concentration is known as absolute humidity. It symbolizes the weight of vaporized water per kilogram of dry (moisture-free) air in a humid environment. The mass of the water vapor in the air is used to calculate the absolute humidity. Both kilograms and pounds of water vapor can be used to express it. The volume of the water vapor is then taken into account. Typically, this density measurement is represented in grams per cubic meter or pounds per cubic foot. In other words, absolute humidity calculates the water vapor's density. Why Low Humidity is a Bad Idea The plants develop poorly when the humidity within the grow tent is reduced. As a result, the plants are unable to develop and ultimately perish. Additionally, less humidity causes plants' leaves to dry up more quickly. Numerous insects, including mites, molds, and others, would take advantage of this circumstance and attack the plants. The only way the roots get absorbed by the surface is in the case of less than enough humidity. This results in the leaves drying out since they lack sufficient nutrients. Essential PH Levels for Every Plant Stage of Growth You probably already know that all plants need nutrients to flourish properly. In addition to the nutrients and minerals calcium, magnesium, iron, copper, and a bunch more, they need the macronutrients nitrogen, phosphorus, and potassium. Plants will suffer from deficits and other major health issues if they cannot get these nutrients. Simple benefits of taking care of and regulating your plants' pH levels include healthier plants that develop more vigorously and, as a result, yield higher harvests. Additionally, you'll ensure that the money and time you invested in fertilizing your plants has been profitable. You can ensure your plants can absorb all the nutrients you're providing by routinely testing your growing medium's ph. Additionally, you'll be able to identify any pH imbalances early on, reducing the likelihood that you'll experience nutritional deficiencies further on in your bloom. Read More: How To Clean A Grow Tent. Ways to Raise Humidity in a Grow Tent Increasing the levels of humidity is the secret to preventing plants from browning and withering and promoting blooming and growth. Various widely used methods exist to treat the effects of low humidity on plants. Keep your Grow Tent Clean It's crucial to keep your grow tent clean if you want to keep elevated humidity levels. Maintaining a clean grow tent is essential to prevent mold or germs, even when using a humidifier. When you see dirt particles, use a vacuum cleaner around your grow tent to stay clean. Sweeping up stains on the floor of your grow area is also made much easier with a wet/dry vacuum. To remove any bacteria that could have accumulated on surfaces while you were away caring for your plants, you should also wipe them down with water- or alcohol-based cleansers. Use a Humidifier Adding a humidifier is one of the simplest and easiest methods to increase tent humidity, in the grow room. You can locate the humidifier you're searching for because they come in various sizes, styles, and features. A grow tent humidifier is crafted to constantly release water vapor in the air and increase moisture levels, producing the most excellent growing environment for indoor plants. The humidifier present in a grow tent ensures that it manages its operation. This means you can leave it on without any worries. Ensure your humidifier is operating as needed and isn't producing excessive humidity. Since humidity will change often and cannot be maintained on a routine like watering or lighting, digital models feature sensors that activate the humidifier when it exceeds a set level. Timers for humidifiers should not be utilized since humidity will change frequently. Place water sources in the grow tent Placing water sources in the vicinity of your plants will help increase the levels of humidity in your grow tent. You have several solutions to properly do that: Water tray: You can place a tray of clean water underneath your plants. As the water evaporates, it will help to increase the humidity in the grow tent. Wet towels: You can get a few towels and hang them inside the grow tent. As the towels dry, they will release moisture into the air, raising the humidity in the grow tent. - Bucket of water or a wet sponge: You can put a bucket of water or a wet sponge close to an airflow which will help you mist, create lots of moisture, and therefore raise humidity in your grow tent benefiting the various stages of plant growth. Adjust Fan Speed The quantity of humidity evaporating from the tent can be momentarily reduced by reducing the extraction fan's settings. Proper ventilation is necessary to establish an ecosystem where plants may grow and thrive. Grow tents include air vents or holes so the air inside them may be continually changed. If your tent has fans, turn them on as slowly as possible to avoid making the air inside the tent too dry. If your tent has numerous fans, consider taking off a few to raise the relative humidity. Additionally, fans provide good air circulation and distribution to your developing plants. At various phases of plant growth, people typically keep their fans running at a moderate speed to save moisture. High-speed fans will cause the air to dry up faster than usual. Like this, running fans at a fast speed can keep water vapor from condensing on the leaves of your plants so it can't be absorbed. This prevents moisture from getting to the plants, which might lead to dryness and dehydration. Don't Forget About Grow Lights Although light only has a minor influence on humidity levels in the various stages of growth of your plants, it's an effect nonetheless. As plants photosynthesize and use light energy to convert carbon dioxide and water into glucose and oxygen, they release water vapor into the air. This process, called transpiration, can contribute to an increase in humidity in the grow tent. The amount of heat that they generate can affect the humidity levels. If the grow lights are generating too much heat, they can cause the air inside the grow tent to become warmer and more dry, which can lower the humidity levels. On the other hand, if the grow lights are not generating enough heat, the air inside the grow tent may become cooler and more humid, which can raise the humidity levels. It's important to keep the temperature and humidity levels in the grow tent within the optimal range for your plants. Too much or too little humidity can have negative effects on plant growth. The air becomes more humid when the temperature within the grow tent drops of some degrees. This temperature drop increases the amount of water vapor available for your plants to absorb and creates lots of moisture which can be good for the growth of plants at a certain stage. Because the stomata are open, your plants won't be able to dry up and will continue to produce energy through the photosynthesis process. You can regulate the temperature of your grow tent by adjusting the setting on your heater or air conditioner. Additionally, decreasing the intensity of the UV light for your plants slows down water evaporation and helps maintain a comfortable temperature. If dropping the temperature in your grow tent will bring it outside the ideal range for your plants, try not to. Cold air requires less moisture to reach full saturation, and so decreasing it can raise humidity levels too. The relationship between temperature and humidity is inverted; the more heat in the air, the more water vapor it will hold. More humidity will gradually envelop the tent in a colder atmosphere. Lowering the air temperature in your heater or air conditioner causes the hotter, moister air to ascend toward the tent's top while the colder air falls to the bottom. The procedure will make the air more humid. Combine Mature and Infant Plants Combining mature plants with baby plants is a simple additional method to increase tent humidity. To ensure that young plants receive the proper quantity of moisture throughout their most crucial developmental periods, you can group them with larger plants. Just be careful not to overdo it since the younger plants won't be able to obtain the nourishment they need. The relative humidity in a grow tent will increase as you add more plants since different plants, huge ones, respire more and raise humidity. To guarantee that larger plants receive equal air, light, and nutrients and develop appropriately, don't cram them into small spaces. The larger plants' respiration results in carbon dioxide and water vapor emission, which feeds the larger plants. To ensure that the plants get a fair share of light and nourishment, it's important to avoid overcrowding them. Fans used for extraction or venting are proven to supply developing plants with enough air. Doing this can stop germs and mold from growing within the tent. However, excessive ventilation may prevent mist from condensing for absorption on your plants' surface. You can raise the relative humidity without creating other problems within the tent if you can decrease the air circulation brought on by your extraction fan. Therefore, enough ventilation is necessary to maintain appropriate RH values. You may use a stand-up fan, an extractor fan, or a clip-on fan to make sure there is adequate air moving about. It's crucial to consider the geometry of where you put the fans for ideal humidity level in the grow tent. Try these suggestions to help increase the humidity in grow tents. The most crucial thing, though, is to ensure that your plants are receiving adequate water. Their ability to endure dry air improves as they consume more water. To learn more about grow tents, you can always check out Grow Tent Ventilation Guide for thorough directions.
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The Denver Museum of Nature & Science's latest temporary exhibition, "The Power of Poison," promises to take visitors on a spellbinding journey into the paradoxical world of nature's toxic arsenal. Through live performance and interactive dioramas, this captivating exhibition explores the fascinating realm of poisons, their roles in defense, survival and even medical treatments. Get your tickets, here. Become a Museum member, here. Learn about the many plants and animals living deep in the Colombian forest that use poison as a vital tool for defense and survival. Find out how studying poison’s effects on human cells can help scientists figure out how to protect, repair and heal our own bodies and improve our health. Whether used as a defense against predators, a source of magical strength or a lifesaving medical treatment, "The Power of Poison” is sure to surprise you at every turn! As we open this exhibition, here are seven interesting facts from the exhibition that offer a glimpse into the vast and paradoxical world of poison and venom: 1. Hallucinogenic Herbs and Flying Ointments Toxins found in henbane, mandrake and belladonna, all used in flying ointments, were capable of inducing dreams and hallucinations so vivid that users might have imagined they were truly flying or dancing. The potent hallucinogenic effects of these plants blur the line between reality and fantasy. In this famous scene from William Shakespeare's dark tragedy "Macbeth," three witches circle a boiling cauldron. The witches'' potion contains several well-known poisons. (Photo/ Julio Poletti) 2. Venoms as Medicines Poisons can come from almost any species, and surprisingly, studying venoms and toxins has led researchers to many promising new drugs. Nature's deadliest substances hold the potential to save lives when harnessed by modern medicine. 3. The Yew Tree's Paradox The yew tree (Taxus baccata) is so poisonous that consuming just a handful of its needles can be fatal to humans. However, a chemical found in its bark has proven to be an effective anti-cancer medicine, showcasing the incredible duality of poisons and their potential for healing. The yew tree (Taxus baccata) is so poisonous that eating a handful of needles can kill a person. Yet a chemical found in yew bark has proven to be an effective anti-cancer medicine. (Photo/ Rick Wicker) 4. Venom-Derived Treatments Research on spider and scorpion venom may someday help doctors treat a wide range of conditions, from pain management to heart disease. These venomous creatures hold the key to unlocking new therapeutic possibilities for various ailments. 5. Anticoagulants from Viper Venom The venom of the Malayan pit viper contains chemicals that prevent blood from clotting, leading to the development of anticoagulant drugs. This remarkable discovery illustrates how nature's deadliest poisons can be harnessed for life-saving medical applications. 6. Chemical Poisonings In Europe In the late 18th and early 19th centuries, poisonings accounted for 20% of all murders in Europe. Nearly half of the murderers chose to kill with arsenic, followed by opiates, strychnine, acids and mercury. Once chemicals became controlled by the state and a test was created by Dr. James Marsh to detect arsenic poisoning, poison deaths declined. 7. Long and Ignoble History Poisons have laid kings low and raised up emperors, turned back armies and brought down empires, but the history of poison is also the history of medicine and also a significant part of the histories of science, industry and agriculture Wishing to live forever and rule eternally, Emperor Qin drank potions containing large amounts of mercury that he hoped would make him immortal. (Photo/ Julio Poletti) Bonus Fact: Scientists know of 1,200 kinds of poisonous marine organisms, 700 poisonous fish, 400 venomous snakes, 60 ticks, 75 scorpions and 200 spiders. In fact, there are 750 kinds of poisons in more than 1,000 plant species, in addition to several birds whose feathers are toxic when touched or ingested. As we get ready to welcome visitors to the Museum for "The Power of Poison" exhibition, these facts serve as a preview of the captivating and fascinating world that awaits those who visit. We hope to see you here soon!
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By Arlene Bridges Samuels The Day of Atonement (Hebrew: Yom Kippur) is the holiest day of the year for the Jewish community worldwide. It began yesterday at sundown and ends tonight, September 16, when the stars become visible in the night skies. No work is done. Traditions of fasting and prayer fill the day with themes of repentance and forgiveness. The prayers are called selichot, which means “forgiveness.” Yom Kippur ends with shofars sounding to confirm the ideals of repentance, forgiveness, determination, and optimism for the year head. Yom Kippur originated in the desert. In Leviticus 16:30, God enshrined the Day of Atonement, saying through Moses, “For on this day He will forgive you, to purify you, that you be cleansed from all your sins before God.” The Israelites were on their 40-year trek from enslavement in Egypt. Yet, when Moses ascended Mount Sinai, sin abounded below. Israelites built the golden calf idol to worship, and sinfulness went wild in the wilderness. Enslavement of another kind emerged. Moses had quite a climb, since the mountain is 7,497 feet high. However, when Moses walked down, the Israelite iniquities required a radical remedy: a Day of Atonement. Two goats were at the center of the ancient priestly ceremonies in the sands near Sinai. One goat was sacrificed. The living goat—the scapegoat (Azazel in Hebrew)—was sent out of the Israelite encampment, symbolically carrying the Israelites’ burdens of sin. “Scapegoat” is a familiar word, but less known is its origin. In Leviticus 16:21-22, God gives detailed instructions about the scapegoat. “Aaron shall lay both his hands upon the head of the live goat and confess over it all the iniquities and transgressions of the Israelites, whatever their sins, putting them on the head of the goat; and it shall be sent off to the wilderness through a designated man. Thus, the goat shall carry on it all their iniquities to an inaccessible region; and the goat shall be set free in the wilderness.” The ancient Day of Atonement is another signaling shadow in the Old Testament of our Lord Jesus in the New Testament. Psalm 103:12 encapsulates Jesus’ sacrifice as our true, perfect, holy scapegoat: “As far as the east is from the west, so far does He remove our transgressions from us.” His sacrifice was not a complicated annual ceremony like the ancient ones. It was a one-time event in the history of the world, so profound in its unconditional love that that we can barely grasp it. When we bow before God through the words of the Bible, we can—with deep sorrow and repentance for our own sins—invite Jesus into our lives. Not one of us is an exception, because we all sin. Nevertheless, all of us are welcome at the foot of the cross. Jesus is now our High Priest advocating for us with God the Father. He shoulders our burdens daily in a trustworthy relationship of grace. In His resurrection, God’s beloved Son seals our opportunity of new life forever. Hebrews 9:12 describes Him this way: “He entered once for all into the holy places, not by means of the blood of goats and calves but by means of His own blood, thus securing an eternal redemption.” In our brief Yom Kippur tour here, we move from ancient times, when the Israelites left Egypt in 447 B.C., to Jesus’ crucifixion and resurrection, then on to the modern Jewish state in 1973. Only seven years after the Six-Day War—when Israel victoriously united their capital, Jerusalem, and regained their holiest site, the Western Wall—Egypt, and Syria triggered the Yom Kippur War. The day chosen for the attack—October 6, 1973—was no mistake. Egypt and Syria knew Israel would be shut down on its holiest day. At the time, Israeli intelligence failed to detect the clandestine Egyptian and Syrian preparation months before Yom Kippur. Israel, of course, was praying, fasting, not working, and the IDF was observing the holy day, too. The surprise attacks left Israel completely exposed in a mad scramble, with their enemies attacking on two fronts—in the Sinai and on the Golan Heights. Israel had recaptured them in the 1967 war. Nonetheless, Israeli victory seemed completely out of the question on October 6, 1973, the first day of the war. The Arab attacks indicated a quick victory while Israel rushed to get the IDF and their reserves into action. The Israelis were losing ground and equipment fast. After four days—on October 10, beset by indecision and domestic crisis—former U.S. President Richard Nixon finally decided to send armaments to Israel. Made nearly half a century ago, that decision has been mostly overlooked due to the Watergate scandal and Nixon’s subsequent resignation. However, since the communist Soviet Union was supplying the Arab nations with weapons, Nixon understood the seriousness of an Israeli defeat in the surprise attacks. Jim Byron, executive vice president of the Nixon Foundation, penned an article on October 8, 2010, “How Richard Nixon Saved Israel,” in which he listed the incredible, against-all-odds facts: “180 Israeli tanks faced over 1400 Syrian tanks; closer to the Suez Canal, a mere 436 Israeli infantry were poised to fight over 80,000 Egyptian soldiers—this even after Israel’s military buildup. The attacks by Egypt and Syria were backed by nine Arab states—as well as one non-Arab state: the Soviet Union. “He [Nixon] knew that his enemies… would never give him credit for saving Israel. He did it anyway.” The operation Nixon authorized was an airlift code-named “Operation Nickel Grass.” It replaced all of Israel’s lost munitions. “Planeload after planeload of supplies literally allowed munitions and materiel to seemingly re-spawn for the Israeli counter effort. 567 missions were flown throughout the airlift, dropping over 22,000 tons of supplies. An additional 90,000 tons of materiel were delivered by sea.” Nickel Grass was an astonishing and timely rescue by any measure and resulted—at the time—in forcing the Soviet Union out of the Middle East. The 1973 war took a terrible toll, killing 2,688 Israeli soldiers. The Nixon Foundation also offered this commentary: “The Yom Kippur War would instantly go down in infamy as the bloodiest military confrontation between Israel and its Arab neighbors totaling nearly 53,500 total casualties on all sides involved; compared to 5,500 casualties during the 1967 Six-Day War, and 10,000 casualties during the 1956 Suez Crisis.” Golda Meir, Israel’s prime minister (1969-1974) during the Yom Kippur War, referred to Richard Nixon as “my president.” Her accolades for the 37th president speak volumes. “For generations to come, all will be told of the miracle of the immense planes from the United States bringing in the materiel that meant life to our people.” In the ever changing, surprising history of the Middle East, on November 19, 1977, Egypt’s daring president, Anwar Sadat, landed at Ben-Gurion Airport—the first Arab leader to visit Israel. He spoke at the Knesset in a groundbreaking speech saying, “I declare it to the whole world, that we accept to live with you in permanent peace based on justice. We do not want to encircle you or be encircled ourselves by destructive missiles ready for launching, nor by the shells of grudges and hatreds.” Sixteen months later, Sadat and Israeli Prime Minister Menachem Begin stood on the White House lawn hosted by former President Jimmy Carter. They signed the peace treaty on March 26, 1979, which took effect in January 1980. Their warm handshakes and smiles set the treaty on a course that has thankfully lasted 41 years. Now, with the Jewish New Year off to its start in 5782 and the end of Yom Kippur 2021, we convey our sincere wish to Israelis and the Jewish community worldwide: “May you be inscribed in the Book of Life.” Please join CBN Israel in prayer on this Yom Kippur, the Day of Atonement: - Pray for the Jewish nation and people that they would experience a renewal of faith and hope on this holy day. - Pray in overflowing gratitude for Jesus’ sacrificial death carrying our burdens and sins away for us. - Pray with thankfulness for the Scriptures, both Old and New Testaments, and for the rich meanings in ancient Jewish practice and culture. - Pray that other world leaders will follow the peacemaking examples of Egypt, Israel, Jordan, and nations in the Abraham Accords. Today, may we Christians meditate on this wonderful verse that symbolizes Jesus’ gift of life for all who believe: “But He was wounded for our transgressions, He was bruised for our iniquities; the chastisement for our peace was upon Him, and by His stripes we are healed. All we like sheep have gone astray; we have turned, everyone, to his own way; and the LORD has laid on Him the iniquity of us all” (Isaiah 53:5-6). Arlene Bridges Samuels pioneered Christian outreach for the American Israel Public Affairs Committee (AIPAC). After she served nine years on AIPAC’s staff, International Christian Embassy Jerusalem USA engaged her as Outreach Director part-time for their project, American Christian Leaders for Israel. Arlene is now an author at The Blogs-Times of Israel and has traveled to Israel 25 times. She co-edited The Auschwitz Album Revisited by Artist Pat Mercer Hutchens and sits on the board of Violins of Hope South Carolina. Arlene has attended Israel’s Government Press Office Christian Media Summit three times and hosts her devotionals, The Eclectic Evangelical, on her website at ArleneBridgesSamuels.com.
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In today’s digital world, websites and applications are expected to perform flawlessly, even under heavy traffic. This is where load balancing comes into play. Load balancing is a crucial aspect of web servers that helps distribute incoming network traffic across multiple servers, ensuring optimal performance and preventing any one server from getting overwhelmed. Understanding the Basics of Load Balancing Before we delve into the specifics of Nginx load balancer, let’s first understand the concept of load balancing itself. In simple terms, load balancing is the process of evenly distributing incoming network traffic across multiple servers, also known as a server farm or server cluster. This distribution of traffic ensures that no single server is overwhelmed, resulting in improved performance, reliability, and scalability. What is Load Balancing? Load balancing involves the use of a software or hardware device, known as a load balancer, that acts as a central point of contact for incoming network traffic. The load balancer intelligently distributes traffic based on predefined rules or algorithms, ensuring that it is evenly distributed across the available servers. Importance of Load Balancing Load balancing is crucial for modern web servers as it helps mitigate the risk of downtime and ensures that websites and applications remain accessible even during peak traffic periods. By distributing traffic evenly, load balancing minimizes the chances of any single server becoming overloaded and causing service disruptions. In addition to improving the overall performance and availability of web servers, load balancing also enhances scalability. As user demands increase, additional servers can be added to the server farm seamlessly, without causing any disruptions to ongoing operations. Different Types of Load Balancing Load balancing can be achieved using various techniques and algorithms. Some commonly used methods include: - Round Robin: In this method, incoming traffic is distributed equally among the available servers in a circular manner. - Least Connections: This algorithm directs traffic to the server with the fewest active connections, ensuring that the load is evenly distributed across all servers. - IP Hash: This method uses the client’s IP address to determine which server to send the request to, ensuring that subsequent requests from the same client are always directed to the same server. - Weighted Round Robin: This algorithm assigns different weights to servers based on their capabilities, allowing more powerful servers to handle a higher proportion of incoming traffic. Each load balancing method has its own advantages and use cases. For example, Round Robin is a simple and effective method for evenly distributing traffic, while Least Connections ensures that servers with fewer active connections are prioritized. IP Hash is useful for maintaining session persistence, as subsequent requests from the same client are always directed to the same server. Weighted Round Robin, on the other hand, allows for fine-tuning the distribution of traffic based on server capabilities. It’s worth noting that load balancing can also be performed at different layers of the network stack, such as the application layer, transport layer, or network layer. Each layer has its own benefits and considerations, depending on the specific requirements of the system. Introduction to Nginx Load Balancer Now that we have covered the basics of load balancing, let’s explore one of the most popular and powerful load balancing solutions available today – Nginx Load Balancer. Nginx is a high-performance, lightweight web server that also functions as a reverse proxy and load balancer. What is Nginx Load Balancer? Nginx Load Balancer is a feature of the Nginx web server that enables the distribution of incoming traffic across multiple servers. Nginx excels in handling a large number of concurrent connections efficiently, making it an ideal choice for load balancing in high-traffic environments. Key Features of Nginx Load Balancer Nginx Load Balancer offers several key features that make it a popular choice among developers and system administrators: - High Performance: Nginx is renowned for its exceptional performance even under heavy load, thanks to its event-driven and asynchronous architecture. - Scalability: Nginx Load Balancer can effortlessly handle thousands of concurrent connections, making it highly scalable to meet the demands of growing websites and applications. - Flexibility: Nginx supports various load balancing algorithms, allowing you to configure it based on your specific requirements and application needs. - SSL Termination: Nginx can offload SSL encryption and decryption, improving overall server performance and reducing the load on backend servers. - Advanced Configuration: With its extensive configuration options, Nginx Load Balancer provides fine-grained control over load balancing behaviors, helping you optimize performance and resource allocation. Benefits of Using Nginx Load Balancer Implementing Nginx Load Balancer can bring numerous benefits to your website or application. These include: - Improved Performance: By distributing incoming traffic intelligently, Nginx Load Balancer ensures that server resources are utilized efficiently, leading to faster response times and improved performance for end users. - Enhanced Reliability: Load balancing eliminates the single point of failure by distributing traffic across multiple servers. This means that even if one server goes down, the others can seamlessly handle the incoming requests, ensuring uninterrupted service. - Scalability and Flexibility: Nginx Load Balancer enables easy scaling of your infrastructure by adding or removing backend servers as needed. It adapts to changing workload requirements and allows your system to grow alongside your business. - Improved Security: Nginx offers advanced security features, such as rate limiting and request filtering, that help protect your servers from malicious traffic and potential cyber threats. Setting Up Nginx Load Balancer Now that you are familiar with the benefits and features of Nginx Load Balancer, let’s explore the process of setting it up in your environment. Pre-requisites for Installation Before you begin installing Nginx Load Balancer, there are a few requirements you need to fulfill: - A Linux-based server or virtual machine with root access - Nginx web server installed - A DNS record pointing to your load balancer’s IP address - Backend servers configured and ready to handle incoming traffic Step-by-Step Installation Guide Follow these steps to install Nginx Load Balancer: - Update your server’s package repository and install Nginx using your distribution’s package manager. - Configure Nginx as a load balancer by editing the Nginx configuration file and specifying the upstream servers. - Test the configuration and restart the Nginx service to apply the changes. - Verify that Nginx Load Balancer is functioning correctly by accessing your website or application through the load balancer’s IP address. Configuring Nginx Load Balancer Nginx Load Balancer offers extensive configuration options to fine-tune its behavior. Some essential configuration directives include: - Load Balancing Algorithms: You can choose from various load balancing algorithms, such as round-robin, least connections, and IP hash, to distribute traffic effectively. - Health Checks: Nginx can periodically check the health of backend servers and exclude any unresponsive servers from the load balancing rotation. - Persistence: If your application requires session persistence, Nginx can be configured to direct subsequent requests from the same client to the same backend server. - SSL/TLS Offloading: Nginx can handle SSL termination and decryption, allowing your backend servers to focus solely on processing application logic. Advanced Configuration of Nginx Load Balancer While the default configuration of Nginx Load Balancer is sufficient for most scenarios, advanced users may want to explore additional configuration options to further optimize their setup. Understanding Nginx Configuration Files Nginx configuration files are written in a concise and easy-to-understand format. The main configuration file is typically located at /etc/nginx/nginx.conf and includes other configuration files from the /etc/nginx/conf.d/ directory. These files are organized into several contexts, each serving a specific purpose, such as global settings, HTTP server settings, and load balancing configuration. Load Balancing Algorithms in Nginx Nginx offers multiple load balancing algorithms to suit different needs. It is essential to choose the appropriate algorithm based on your application’s requirements and the characteristics of your backend servers. Some common load balancing algorithms include: - Round Robin: Requests are distributed equally among backend servers in a circular manner. - Least Connections: Traffic is directed to the server with the fewest active connections, ensuring a balanced distribution. - IP Hash: Requests from the same IP address are consistently sent to the same backend server, ensuring session persistence. - Weighted Round Robin: Servers are assigned different weights, allowing more powerful servers to handle a higher proportion of traffic. SSL Termination in Nginx Load Balancer SSL termination, also known as SSL offloading, is a commonly used technique wherein the SSL encryption and decryption process is offloaded to the load balancer, relieving the backend servers of this resource-intensive task. By terminating SSL connections at the load balancer, backend servers can focus on processing application logic, resulting in improved performance and scalability. With this comprehensive guide, you now have a solid understanding of load balancing, the key features of Nginx Load Balancer, and how to set it up and configure it for optimal performance. Nginx Load Balancer is a robust and versatile solution that can greatly enhance the reliability and scalability of your web servers, ensuring a flawless user experience even during high traffic periods. So why wait? Start harnessing the power of Nginx Load Balancer and take your applications to new heights!
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photo courtesy of lovethesepics.com Dave Walsh 19 Jan ’16 This Wonder is a celebration of Native American culture, and it involves a lot of dancing. The dancers perform to the beat of drums, and chants, and they are communicating with the Great Spirit. This Wonder is actually an annual event that takes place many different times, and in many different places. Its very name is an Algonquin term, meaning “Medicine Man”. At these events, you’ll see two different and distinct styles of dance, traditional dancing and fancy dancing. At many of these Wonders, there are competitions with prizes, there are professional dancers, descendants so to speak, of the Indian dancers in Buffalo Bill Cody’s Wild West Show in the 1880’s. There are half-a-dozen of these Wonders on the Wind River Reservation alone, each year. Powwows. The Plains Indian Powwow in Cody, the Fort Washakie Eastern Shoshone Indian Days Powwow and Rodeo, and the Ethete Powwow, are the biggest in Wyoming, and just a few of the many that remember in celebration, Wyoming’s Indian cultures. Powwows, Wonders of Wyoming.
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'Tis the season to be jolly, but let's face, it has huge environmental implications - both from an over-consumption perspective and waste. But it doesn't need to fill you with eco-guilt, there's so many ways you can reduce your impact over the festive season. But first, the scary stats. We've all found ourselves in the awkward position of receiving a gift that leaves us questioning the thought behind it. And it seems we're not alone, as more than half of UK adults find themselves nodding in agreement. Astonishingly, 19% of these less-than-ideal gifts find themselves destined for the landfill (UKGVA). A further 33% of unwanted gifts are handed off to charity, while 20% end up tucked away, never to see the light of day again (as reported by the UK Gift Card & Voucher Association). Additionally, 3 million tonnes of Christmas-related waste from decorations and wrapping paper inundate landfills annually, worsening environmental impact. The repercussions of such gifting mishaps extend beyond just unwanted trinkets. Consider the statistics around our love of indulging over the festive season: four million Christmas dinners are thrown away, with the equivalent of 2 million turkeys wasted (Wildlife and Countryside). But don’t lose hope, here are the ways you can bring the Merry back to Christmas: 1. Prioritise Quality over Quantity: Invest time in selecting a high-quality durable and useful item that lasts. This reduces waste and is cost-effective. 2. Gift Experiences: Create lasting memories with experiences that require fewer resources. Consider shows, homemade coupons, or a special day out. Remember gifts last a day, memories last forever. 3. Mindful Material Choices: Choose gifts and wrapping paper made from recycled or FSC-certified materials, and make sure to reuse those bottle-gift bags. Repurposing newspaper as wrapping paper can also make a gift stand out, things are trendier in monochrome (right?). 4. Minimise Food Waste: Plan meals thoughtfully to reduce waste this season. And if you don’t want to keep eating leftovers for days, you can donate it to the homeless (also sit down and have a chat with them, Christmas can be a lonely time). 5. Embrace Plant-Based Eating: Shift towards plant-based meals (or at least plant-based sides) to reduce waste and lower greenhouse gas emissions. The turkeys will thank you. 6. Mindful Table Setting: Opt for recyclable or DIY Christmas crackers. Use durable fabric alternatives to disposable tablecloths and napkins, these can be reused year after year. 7. Illuminate Responsibly: Use energy-efficient LED lights on your tree and remember to switch your Christmas lights off at night. LED also lasts longer so your tree can stay bright in the years to come. 8. Mind Your Christmas Tree: Opt for a reusable tree or a living tree to add to your houseplant collection. Dispose of it responsibly or consider renting one. You can also try a different type of tree, look on Etsy for wooden or structural trees which can still be decorated and look just as cool. 9. Deck your halls: Make your own biodegradable Christmas decorations and use roasted oranges and Cinnamon sticks bunched with string to make your home smell Christmassy. So, as we revel in the spirit of Christmas, let's do our bit to lessen our impact and celebrate more consciously this season. Remember, it's the thought that counts.
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Key Details of Junior Genius English Grammar - 1 - The e-reader app has important features for using e-textbooks in the classroom. - Last updated on - Virus scan status: Clean (it's extremely likely that this software program is clean) The e-reader app has important features for using e-textbooks in the classroom. Some functionality of e-book are mentioned below: 1. Zoom in/Zoom out : When you want to get a closer look at a high-quality image that deserves a more detailed study. 2. Thumbnail : This feature is used basically for a small image representation of a larger image, usually intended to make it easer and faster to look at or manage a group of larger images. 3. Flipbook : This feature combine the ease of interaction with the efficiency and increased value offered by todays e-reading technology. 4. Search and find: When you want to look at some important words inside the content, Search and find option helps you to steer straight to the desired words. 5. Bookmark: When you want to add some interesting part as a bookmark, Bookmark feature allows you to add a bookmark and also you can jump to specific bookmarks. Huruful Hija 2 FreeEnochian Alphabet Trainer FreeMindfulness For Depression FreeBPharm Study Notes FreeRedox Reaction - Chemistry PaidFreedom fighters in US FreeLindsay Public Schools Leopard FreeGrade 11 Accounting Mobile Application FreeElectrical Engineering Symbols
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Embarking on a research journey, we often find ourselves at the crossroads of choosing the appropriate methodology to map out evidence and discern gaps within a particular domain. Understanding the scoping review process, benefits, and protocol is pivotal for us, as it provides a holistic view of the evidence available. Scoping reviews represent a fundamental framework that guides researchers, clinicians, and policymakers within various fields to synthesize information effectively. The initial phase of a scoping review, known as the protocol development, is an integral component that defines the direction and depth of the review. Scoping Review Usage Guide: Best Practices A comprehensive guide to conducting effective scoping reviews 1. Introduction to Scoping Reviews A scoping review is a systematic approach to mapping evidence across an area of research. It is particularly useful for: - Examining emerging evidence when it is still unclear what specific questions can be addressed by a systematic review - Mapping key concepts, types of evidence, and gaps in research - Clarifying working definitions and conceptual boundaries of a topic 2. When to Choose a Scoping Review - Examining the extent, range, and nature of research activity - Determining the value of undertaking a systematic review - Summarizing and disseminating research findings - Identifying research gaps in existing literature Key Differences from Systematic Reviews: Aspect | Scoping Review | Systematic Review | Purpose | Maps evidence landscape | Answers specific question | Question | Broader in scope | Focused, precise | Quality Assessment | Optional | Mandatory | Synthesis | Typically narrative | Often meta-analysis | 3. Step-by-Step Process Stage 1: Planning Identify Research Question - Use PCC framework (Population, Concept, Context) - Keep questions broad but with clear scope - Register protocol (e.g., OSF, Figshare) - Define inclusion/exclusion criteria - Document search strategy Stage 2: Searching Search Strategy Development - Identify key terms and concepts - Consult librarian if possible - Include multiple databases 4. Timeline Planning Stage | Time Required | Protocol Development | 2-4 weeks | Literature Search | 2-3 weeks | Screening | 4-8 weeks | Data Extraction | 4-6 weeks | Analysis & Writing | 6-8 weeks | 5. Best Practices Checklist - Clearly define boundaries - Involve multiple reviewers - Document all decisions - Acknowledge limitations - Make the scope too broad - Skip protocol registration - Conduct quality assessment without justification - Draw conclusive recommendations Our commitment to formulating a robust scoping review protocol embodies our endeavor to ensure that the review process is transparent, and the findings genuinely benefit the scientific community and stakeholders. By meticulously planning and outlining the scoping review protocol, we establish a clear pathway that not only informs our conduct throughout the study but also reinforces the integrity of the information we present to our audience. - Scoping reviews provide a comprehensive mapping of evidence, crucial for researchers across various disciplines. - The implementation of a scoping review protocol is the foundational step that ensures clarity and transparency. - Understanding the scoping review process aids in identifying gaps and paves the way for future research. - Methodical structuring of scoping review benefits both healthcare decision-making and policy formulation. - Our approach to guiding scoping review protocol development is designed to enhance the applicability and effectiveness of the review’s outcome. Understanding Scoping Reviews in Evidence Synthesis Our exploration of evidence within the fields of health care and beyond is often guided by a defined methodology involving scoping reviews. A scoping review definition delineates it as a research tool employed to map out existing literature in a systematic, inclusive manner without the analytical comparisons that are hallmark of systematic reviews. Instead, scoping reviews draw from a breadth of evidence to outline the landscape of knowledge and inform stakeholders on the state of research within specific domains. To enhance the application of scoping reviews, we work in accordance with established scoping review guidelines, which direct us in assembling a protocol that is rigorous, transparent, and replicable. These guidelines are instrumental in clarifying our objectives, refining the research questions, and delineating the criteria for inclusion and exclusion of studies, in addition to prescribing the methodology for data extraction and synthesis. Gleaning from scoping review examples, we observe a commonality in their purpose—to provide a wide-angle view of the literature available, draw connections among different study results, and reveal patterns and gaps in research. Our protocols thus follow a structured process to encapsulate the essence of the data collated, offering a panoramic view that informs further inquiry and policy. Scoping Review Step | Description | Purpose | Defining the Research Question | Identifying the main objectives and the extent of the scoping review. | To ensure focused retrieval of relevant literature. | Developing Protocol | Outlining procedures for search strategy, inclusion, extraction, and synthesis of data. | To maintain methodological transparency and replicability. | Literature Search | Extensive database search to gather pertinent studies aligning with the defined question. | To compile a comprehensive dataset representing the current state-of-research. | Selection of Studies | Applying the pre-defined criteria to filter the literature. | To ensure relevance and scope coverage of selected articles. | Data Extraction | Systematically drawing information from the chosen studies. | To distill essential elements that inform the evidence map. | Data Synthesis | Integrating the data to articulate key themes, concepts, and knowledge gaps. | To provide structured insights and direction for future research. | In our dedication to the scientific community’s advancement, we assiduously abide by these meticulously crafted procedures within our scoping review endeavors. Through this, we contribute to a nascent body of evidence, poised for strategic expansion, and ultimately, to the betterment of practices and policies influenced by the research we synthesize and report. Scoping Review When to Use: Indications and Appropriateness When embarking on a journey of evidence synthesis, it’s crucial for us to discern whether a scoping review is the most fitting approach for our research objectives. Scoping reviews are highly beneficial when our aim is to explore the breadth of evidence on a given topic, especially when the field is complex or has not been comprehensively reviewed. It’s imperative to understand the scoping review when to use not only to guarantee the efficacy of research efforts but also to leverage the scoping review benefits. Such an understanding will ultimately shape the outcomes of our research, influencing policy and practice in meaningful ways. As researchers in Japan, we frequently navigate through volumes of literature across disciplines, determining the necessity and utility of a scoping review. Our methodological rigor and strategic foresight support us in choosing the review methodology that will best serve our research pursuits and the communities that rely on our findings. Clarifying Scoping Review Definitions and Objectives Defining the scoping review’s scope and objectives is the first step in our evidence synthesis journey. A scoping review’s primary objective is not to evaluate the quality of evidence but to map it. We aim to identify research trends, gaps, and emerging themes within a certain domain. This is paramount when investigating areas where research is burgeoning or when the evidence base is vast yet disparate. Our understanding of scoping review methodology drives the development of review protocols that go beyond mere data aggregation. Instead, we aspire to produce a comprehensive overview that both informs and instructs future concentrated reviews. Scoping Versus Systematic Review: Making the Right Choice In contrast to a systematic review, which seeks to answer a specific research question through rigorous evaluation and synthesis of evidence, a scoping review casts a wider net. The decision to choose a scoping review vs systematic review hinges on our goal: whether we are laying the groundwork for further study or looking to methodically summarize existing research on clinical interventions. We consider the scoping review particularly when our aim is to clarify concepts, examine scopes of practice, or prepare for a subsequent, more targeted systematic review. The flexibility of the scoping review methodology is key in addressing broad questions, laying the foundations for focused investigations that may arise. Identifying Knowledge Gaps and Emerging Evidence Through Scoping Reviews Through our scoping reviews, we endeavor to uncover knowledge gaps and provide a clearer picture of untapped research opportunities. Our methodical approach involves cataloging and characterizing the evidence, setting the stage for future investigations. It’s this careful and conscientious process that makes the scoping review an invaluable tool in our evidence synthesis arsenal. Amid emerging evidence, the scoping review is our methodology of choice for navigating through new terrains of research, offering substantial benefits in conceptual clarity and strategic research planning. As we undertake each review, we become more adept at utilizing this versatile approach to serve as a compass in our evolving landscape of healthcare research and policy development. Scoping Review Methodology: Steps to Ensure Thoroughness and Transparency As passionate researchers, we are committed to ensuring that each step in our scoping review process adheres to the principles of thoroughness and transparency. This dedication is reflected in our approach to developing a scoping review methodology that not only satisfies the curiosity of our peers in Japan but also contributes to the global compendium of knowledge. Our carefully devised scoping review protocol underpins our every action, setting out an unequivocal roadmap for the scoping review process. It is our blueprint for identifying relevant literature, summarizing findings, and recognizing the often nuanced gaps in existing research. Let us walk you through the fundamental steps that define our methodology: Step | Activity | Rationale | 1. Establishing a clear review question | Determining the aim and breadth of the scoping review to guide the literature search. | A precise question ensures the review remains focused and relevant. | 2. Formulating inclusion and exclusion criteria | Defining the parameters that determine which studies will be considered for inclusion. | Clear criteria are critical for both the integrity of the scoping review and the replicability of the process. | 3. Conducting a comprehensive literature search | Searching various databases and sources to gather a broad range of studies. | To capture the full scope of existing evidence relevant to the research question. | 4. Selecting appropriate studies | Applying the criteria to filter the literature collected during the search phase. | To ensure the selected studies align with the objectives of the review and the research question. | 5. Extracting and charting data | Systematically pulling relevant information from each study. | Accurate data extraction provides the foundation for meaningful analysis and synthesis. | 6. Synthesizing findings | Integrating the collected data to highlight patterns, themes, and gaps in the research landscape. | An insightful synthesis offers value to the academic and clinical communities by elucidating the state of current knowledge. | Faithful to our rigorous protocols, we report our methods and findings with precision, allowing our work to be testable by fellow academics and practitioners. This is why we also abide by the recognized reporting standard, PRISMA (Preferred Reporting Items for Systematic Reviews and Meta-Analyses), specifically adapted for scoping reviews to ensure the quality and credibility of our endeavors. To us, these methodological underpinnings are not mere formalities but are integral to the integrity of our work. By applying a rigorously structured approach to scoping review methodology, we pave the way forward for subsequent evidence synthesis, grounded in the robust and transparent presentation of our findings. It is our hope that through these meticulous practices, we impart lasting contributions to the repository of global health knowledge and support the refinement of evidence-based practices. In an era where the landscape of research methodologies continues to expand, we’ve seen first-hand the pivotal role scoping reviews play in evidence synthesis. Throughout our discussion, we have delved into the steps and guidelines of the scoping review methodology, emphasizing how it diverges from systematic reviews to serve a unique purpose. In essence, scoping review guidelines construct a solid framework for our inquiries, allowing us to depict a comprehensive landscape of existing knowledge within broad research fields. A cornerstone of our research strategy, scoping reviews facilitate the identification of gaps, broaden our understanding of subject matter, and lay the groundwork for future analysis or systematic reviews. Moreover, by showcasing profound scoping review examples, we illustrate the adaptability and depth this approach affords researchers and policymakers alike in Japan and beyond. Our experiences suggest that when precisely and appropriately applied, scoping reviews greatly enhance the collective understanding and application of evidence, thereby influencing healthcare outcomes and policy development. As guardians of research integrity, we are compelled to advocate for transparency and diligence in the application of any evidence synthesis methodology. Thus, we posit that scoping reviews should be deployed with clear intent and firm grounding in established criteria. When employed under such prerequisites, the benefits of scoping reviews are manifold, rendering them an indispensable tool in the pursuit of well-informed, evidence-based practice. What is a scoping review? A scoping review is a form of knowledge synthesis that aims to map key concepts, available evidence, and research gaps within a defined area. It is an exploratory approach that provides a broad overview of a topic without performing a detailed assessment of study quality or risk of bias. Scoping reviews are typically used to clarify definitions and concepts and to identify key characteristics or factors related to a concept. When should a scoping review be used? A scoping review should be used when the purpose of the research is to identify and map out the breadth of a particular field, to clarify key concepts and definitions within that field, or to identify knowledge gaps that could guide future research. It is particularly useful for emerging topics or when the literature on a subject is vast and complex. What are the benefits of conducting a scoping review? Conducting a scoping review offers several benefits, including the ability to provide a structured overview of the literature, to inform policy and practice, to identify research gaps, and to serve as a precursor to a more detailed systematic review. It also helps to consolidate evidence on topics where there is a diverse range of study designs or where a systematic review may not be feasible due to the broad nature of the research question. How does a scoping review differ from a systematic review? Scoping reviews differ from systematic reviews mainly in their objectives and methods. Scoping reviews aim to provide an overview of existing evidence without synthesizing results, while systematic reviews seek to consolidate findings and often assess the risk of bias in order to answer specific clinical or policy-driven questions. Unlike systematic reviews, scoping reviews do not typically include meta-analysis due to their broader scope and the exploratory nature of the research questions they address. What should a scoping review protocol include? A robust scoping review protocol should outline the rationale, objectives, and research question(s) of the review. It should provide clear inclusion and exclusion criteria for studies, describe the method for searching and selecting relevant literature, and detail the approach for extracting and charting the data. Additionally, it should describe the process for synthesizing the findings and specify any stakeholder involvement. What are some examples of when a scoping review is appropriately used? Examples of appropriate use cases for scoping reviews include examining the extent of research on a given topic, identifying types of available evidence in emerging areas of research, exploring complex or heterogeneous topics where study designs may differ, and clarifying key concepts or definitions in a field. What are the guidelines for reporting a scoping review? Guidelines for reporting a scoping review are outlined in the PRISMA Extension for Scoping Reviews (PRISMA-ScR). These guidelines promote transparency and uniformity in the reporting of scoping reviews, ensuring that they include essential items such as the rationale, eligibility criteria, information sources, search strategy, data extraction process, and synthesis of results. How is the scoping review process structured? The scoping review process is typically structured into several key stages: (1) identifying the research question, (2) developing and following a protocol, (3) conducting a comprehensive literature search, (4) selecting studies based on clear inclusion and exclusion criteria, (5) charting the data by extracting key information, and (6) collating, summarizing, and reporting the results. There is often an iterative element to the process, with the potential for refinement at any stage.
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Many attempts to document Egypt's 25 January revolution have been made over the past year. The American University in Cairo's Revolution Wiki Dictionary — “Isqat al-Nezam” (or “Deposing the Regime”) — is, however, particularly interesting. In a seminar last week at the National Translation Center, Khaled Fahmy, chair of the history department at AUC, explained how the initiative started. Two days after Hosni Mubarak resigned, the history department suggested putting together a course entitled “Isqat al-Nizam: Egypt’s 25 January Uprising In Comparative Historical Perspective.” Many students were interested in the course, which examined uprisings in Egypt, Algeria, Palestine, Eastern Europe and Latin America. For their final project, they were asked to write biographical entries on people they believed influenced the January uprising in some way. Structured as a Wiki, but with rigorous academic documentation of sources, “Isqat al-Nezam” promises a credible source for present and future generations interested in understanding the complex events of the uprising. What began as a new and popular history course has developed into a huge documentation project. And as the revolution continues to change and surprise the world, so does the Wiki. It keeps expanding and developing, updated with entries as recently as March 2012. But what kind of information does "Isqat al-Nezam" include? Entries include biographical information on members of the Mubarak regime, government officials before and after the 18-day uprising, "youth of the revolution," bloggers, journalists, prominent writers, activists of various ages, and even presidential hopefuls. And with the click of a button, one gets to learn about these subjects' early lives, education, careers, families, apolitical activities, and roles before and during the revolution. Facebook, Twitter and blogs are linked to in each entry. Dealing with contemporary history is, however, no easy task. Nareman Amin, a recent graduate of the AUC history department and one of the original contributors to the dictionary, has been working part time on the project since June 2011. Amin's job is what makes the rather raw work of undergraduate students a reliable resource. She edits all entries, seeking quality and consistency, cross-references all the information and keeps adding new entries for personalities who have gained prominence in the intervening months. The main challenges she faces are finding reliable sources, keeping information relevant with the fast pace of events, and of course overcoming possible biases. At the National Translation Center, she spoke of how dealing with contemporary history has been more difficult than dealing with other periods. Amin explains that a lack of sources is a major problem sometimes. Many of the figures she needs to gather information on were not previously well-known, so there is limited information available in the public domain. Depending on blogs or interviews becomes an unhappy solution for the problem. But another major challenge is overcoming biases, even her own. The fact that she has to continually fight her natural inclination toward the revolution made her job editing the entries and answering questions about contemporary events all the more difficult. And as the revolution continues, and the scene keeps changing — sometimes around the clock — the relevance of the huge amount of material becomes another issue. Sometimes, Amin needs to edit previously edited entries to delete material that is no longer relevant. Amid continued daily uncertainty on the political scene, the AUC Wiki Dictionary of the Revolution comes as a note of hope. As Amin states, "it should help us understand our present better and stay hopeful for a better future." If you want to access the ever-growing Wiki Dictionary of the Revolution click here.
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With the re-election of former U.S. President Donald Trump, NATO’s dynamics and expectations around defence spending gained heightened attention, especially among new member states that were once part of the Soviet bloc (and some who appear to express nostalgia for the days of the Cold War). As nations like Poland, Hungary, the Czech Republic, and the Baltic States integrated into NATO, they committed to the alliance’s collective defence principles, which included pledges on military spending. Yet, despite this commitment, many have fallen short of the NATO benchmark: spending at least 2% of GDP on defense. Under Trump, the pressure on all NATO members to meet this target intensified, with the possibility of serious political repercussions if they failed. Historically, NATO’s former Soviet bloc members have had unique defence needs due to their geographic proximity to Russia and shared history. Joining NATO represented a shift from Soviet influence and a chance to align with Western allies, particularly the United States, to enhance security. However, membership came with obligations, and under Trump’s presidency, the U.S. pushed harder than ever for every NATO member to shoulder a fair share of the defense budget. The 2% Benchmark and its Importance The 2% GDP spending target for defence is not new. NATO has set this benchmark to ensure that all members contribute proportionally to the alliance’s military capabilities, helping maintain collective defence and deterrence against potential aggressors. However, defence spending has varied significantly among NATO members. Wealthier nations like the United States, which has consistently spent above 3% of its GDP on defence, have covered much of NATO’s funding, while other countries, especially newer members, often struggle to reach even half of the 2% target. Many of these newer NATO members face competing financial priorities, including infrastructure, healthcare, and education, and are cautious about diverting significant funds toward defence. Additionally, some nations struggle with internal political divisions on military spending, while others are hesitant to strain relations with Russia through heightened military expenditures. Yet, Trump’s vocal insistence that NATO members “pay their fair share” will place unprecedented pressure on these nations to meet their financial commitments or risk losing U.S. support. Loss of Influence and Security Concerns For former Soviet bloc nations, failing to meet NATO spending targets could result in diminished influence within the alliance. Trump has often criticised NATO allies for what he perceived as freeloading on American military power, and he has implied that the U.S. might reconsider its support if allies did not meet their obligations. Such rhetoric was particularly concerning for Eastern European members who rely heavily on NATO’s military capabilities as a deterrent against Russian aggression. A loss of influence within NATO would have a serious impact on these countries. It could mean less say in key alliance decisions, from military strategy to defence resource allocation. For countries that share a border with Russia, like Estonia, Latvia, and Lithuania, maintaining a strong NATO presence is critical to their national security. If they lose influence in NATO, they may also lose some of the strategic deterrence NATO provides, leaving them vulnerable to external threats. Balancing Domestic and Alliance Pressures To meet NATO’s requirements, some countries have taken steps to increase their defence budgets. Poland, for instance, has been vocal about its commitment to defence spending, pledging to raise its military budget above the 2% target and working closely with the United States on joint defence initiatives. However, other countries find themselves caught between NATO obligations and domestic pressures. In nations where the economy is smaller and public priorities focus on social services or infrastructure, spending 2% of GDP on defence may seem excessive and politically challenging. NATO’s Eastern European members thus face a complex balancing act. While the alliance’s security guarantees are essential, especially against a resurgent Russia, they must also address domestic political realities and financial constraints. Furthermore, as NATO expands, it increasingly needs cohesion and mutual accountability among its members to maintain effective collective defense. The days of Freeloading on Defence are Over For former Soviet bloc members, this means they will face ongoing pressure to meet defence spending targets or potentially risk diminished support from the U.S., NATO’s largest and most influential member. As NATO moves forward, its Eastern European members will need to reassess their budgets and prioritise defence spending if they wish to retain influence and maintain security guarantees. The Trump administration’s strong stance on spending has underscored the reality that collective security comes with collective responsibility. NATO’s former Soviet bloc members must navigate these obligations carefully to secure their future within the alliance and reinforce their protection against any looming threats on their eastern borders.
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Did you know that the Paul Revere House is one of the oldest buildings in downtown Boston? This historic gem, built around 1680, has witnessed centuries of American history. Paul Revere, the famous patriot, called this house home from 1770 to 1800. Imagine the stories those walls could tell! From Revere's midnight ride to the American Revolution, this house has seen it all. Today, visitors can step back in time and explore the life of one of America's most iconic figures. Whether you're a history buff or just curious, the Paul Revere House offers a fascinating glimpse into the past. - Paul Revere House is a historic landmark in Boston, showcasing colonial life and Revere's midnight ride. It's a must-visit for history buffs and offers a peek into America's past. - The house's unique architecture, preservation efforts, and Revere's legacy make it a fascinating destination. Visitors can explore interactive exhibits and learn about the American Revolution. The History of Paul Revere House The Paul Revere House, located in Boston, Massachusetts, is a historic landmark with a rich past. This house offers a glimpse into colonial America and the life of Paul Revere, a key figure in American history. - Built around 1680, the Paul Revere House is one of the oldest buildings in downtown Boston. - Paul Revere purchased the house in 1770 when he was 35 years old. - The house originally belonged to a wealthy merchant named Robert Howard. - Revere lived in the house with his family, which included his wife and 16 children. - The house is a classic example of 17th-century urban architecture. Paul Revere's Midnight Ride Paul Revere is best known for his midnight ride to warn the colonial militia of the approaching British forces. This event is a significant part of American folklore. - On April 18, 1775, Revere set out on his famous ride from this very house. - He rode from Boston to Lexington, covering approximately 20 miles. - Revere's ride was part of a larger network of riders and signals to alert the colonies. - Contrary to popular belief, Revere did not shout, "The British are coming!" Instead, he used more discreet warnings. - Revere was captured by British troops during his ride but was later released. The Paul Revere House boasts unique architectural features that reflect its colonial origins. These elements have been preserved to maintain the house's historical integrity. - The house is a timber-framed structure, common in the 17th century. - It features a steeply pitched gable roof, typical of colonial homes. - The exterior walls are covered with wooden clapboards. - Inside, the house has low ceilings and large, central chimneys. - The house includes a small, enclosed courtyard, which was rare for urban homes of that era. Restoration and Preservation Over the years, the Paul Revere House has undergone several restorations to preserve its historical significance. These efforts ensure that future generations can appreciate this important landmark. - The house was restored in 1907 by Revere's great-grandson, John P. Reynolds Jr. - During the restoration, efforts were made to retain as much of the original structure as possible. - The house was opened to the public as a museum in 1908. - It is now managed by the Paul Revere Memorial Association. - The house is a designated National Historic Landmark. Paul Revere's Legacy Paul Revere's contributions to American history extend beyond his midnight ride. His legacy is preserved in various ways, including through the Paul Revere House. - Revere was a skilled silversmith, and many of his works are displayed in the house. - He also worked as an engraver, creating political cartoons and other prints. - Revere was involved in the early American industrial revolution, establishing a copper rolling mill. - His role in the Sons of Liberty, a group of patriots, is highlighted in the museum. - The house features exhibits on Revere's life and the American Revolution. Visiting the Paul Revere House Today, the Paul Revere House is a popular tourist destination, attracting visitors from around the world. It offers a unique opportunity to step back in time and learn about colonial America. - The house is located in Boston's North End, a historic neighborhood. - Visitors can take guided tours to learn about the house's history and Revere's life. - The museum includes interactive exhibits and educational programs for children. - The house is part of the Freedom Trail, a 2.5-mile route that passes by 16 historic sites. - The Paul Revere House hosts special events and reenactments throughout the year. There are many lesser-known facts about the Paul Revere House that add to its charm and historical significance. - The house has survived multiple fires that devastated much of Boston. - It was once used as a boarding house and a tenement. - The house's original kitchen hearth is still intact and on display. - Some of the original 17th-century beams are still visible in the house. - The house has been featured in various films and television shows about the American Revolution. - Paul Revere's descendants have played a significant role in preserving the house. - The house's gift shop offers replicas of Revere's silverwork and other colonial-era items. The Final Bell Paul Revere House stands as a testament to American history. Visiting this historic site offers a glimpse into the life of a key figure in the American Revolution. From its architecture to the artifacts within, every corner tells a story. Revere's midnight ride, his work as a silversmith, and his contributions to the early United States are all encapsulated here. Exploring this house isn't just about learning facts; it's about connecting with the past. Whether you're a history buff or just curious, the Paul Revere House provides a rich, educational experience. It's a place where history comes alive, making it a must-see for anyone interested in America's roots. So next time you're in Boston, make sure to stop by. You'll walk away with a deeper appreciation for the man who played a pivotal role in shaping the nation. Frequently Asked Questions Was this page helpful? Our commitment to delivering trustworthy and engaging content is at the heart of what we do. Each fact on our site is contributed by real users like you, bringing a wealth of diverse insights and information. To ensure the highest standards of accuracy and reliability, our dedicated editors meticulously review each submission. This process guarantees that the facts we share are not only fascinating but also credible. Trust in our commitment to quality and authenticity as you explore and learn with us.
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A free two-day workshop on the impact of understanding the impact of changing climate on salmon abundance and distribution trends is slated for June 4-5 in Richmond, British Columbia by the North Pacific Anadromous Fish Commission (NPAFC). Workshop objectives include improving knowledge of the migration, growth and survival of salmon and their environments, plus anticipating future changes in salmon ecosystems and resulting changes in distribution, survival and abundance of salmon. Topics of discussion include Pacific salmon and steelhead trout in a changing North Pacific Ocean, new technologies and results from the International Year of the Salmon surveys. NPAFC said an improved understanding of linkages between environmental changes and Pacific salmon production would help in planning for economic consequences of changes in variability and overall declines in the carrying capacity and usable habitat of Pacific salmon in the North Pacific Ocean. Specific objectives of the first panel include understanding and quantifying effects of environmental variability and anthropogenic factors affecting salmon distribution and abundance, and projecting future changes with improved models. The NPAFC has said that novel stock and fish identification methods — including new molecular techniques, hatchery mass marking and intelligent tags—continue to be developed, and that these tools are integral to comprehensive and cost-effective monitoring and mechanistic studies to facilitate formation of effective models predicting distribution and abundance of salmon populations. The commission also noted that winter is believed to be a critical period for salmon, where reduced prey resources and increased competition may impact survival. One major objective of the special session on results of the surveys is to conduct international collaborative research in the North Pacific Ocean during winter to help understand winter marine ecology for Pacific salmon. A large-scale international research survey was conducted in the winter of 2022, including four research vessels that sampled from the eastern to the central North Pacific Ocean. Initial survey results were presented at the IYS Synthesis Symposium in Vancouver, Canada in October 2022. The upcoming session is intended to provide a venue for new results from ongoing analyses being conducted by international scientists, the NPAFC said.
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Dr Sarvepalli Radhakrishnan essay. Sarvepalli Radhakrishnan was born on September 5, 1888, in Tirutlani, Tamil Nadu, India. Radhakrishnan was born in a middle-class Brahmin family in a small town in Tamil Nadu on September 5, 1888. Sarvepalli Veeraswami, his father, was a revenue officer for a local zamindar. Sitamma was the name of his mother. Madras Christian College awarded him a Master’s degree in Philosophy. During this period, he was exposed to Western thought. He was appointed Professor of Philosophy at the University of Mysore in 1918. His birth Anniversary is celebrated as teachers’ day on 5th September every year. Radhakrishnan had a clear vision. He saw an increasing need for global unity and universal fellowship during his presidency. He believed in international cooperation and peace. He advocated for the advancement of creative internationalism based on the spiritual foundations of integral experience in order to foster understanding and tolerance among people and nations. Radhakrishnan was invited to become a teacher at Manchester College, Oxford, in 1929. This allowed him to give lectures on Comparative Religion. Radhakrishnan accepted his second Vice-Chancellorship at Banaras Hindu University in 1931. (BHU). To know more about Dr Radhakrishnan read this Dr Sarvepalli Radhakrishnan essay. Table of Contents Awards and Achievements of Dr Radhakrishnan During his lifetime, Radhakrishnan received several honours, including a knighthood in 1931, the Bharat Ratna, India’s highest civilian award, in 1954, and honorary membership in the British Royal Order of Merit in 1963. He was also one of the founders of Helpage India, a non-profit organisation in India that helps the elderly and underprivileged. “Teachers should be the best minds in the country,” Radhakrishnan believed. Political Life of Dr Sarvepalli Radhakrishnan Radhakrishnan entered politics “rather late in life,” following a successful academic career. His international stature predates his political career. In 1931, he was appointed to the League of Nations Committee on Intellectual Cooperation, where he became “the recognised Hindu authority on Indian ideas and a convincing interpreter of the role of Eastern institutions in contemporary society.” When India gained independence in 1947, Radhakrishnan represented the country at UNESCO (1946-52) and later served as India’s Ambassador to the Soviet Union from 1949 to 1952. He was also elected to India’s Constituent Assembly. Radhakrishnan was selected as India’s first Vice-President in 1952 and as the country’s second President in 1954. (1962–1967). Why do We Celebrate Dr S Radhakrishnan’s Birthday As Teachers Day? When Dr Radhakrishan became India’s second President in 1962, his students approached him to request permission to observe September 5 as a special day. Dr Radhakrishnan instead requested that September 5 be designated as Teachers’ Day in order to recognise teachers’ contributions to society. Teachers’ Day has always been a time in India to reflect on the importance of teachers in our lives. Let’s Remember Dr S Radhakrishnan on their birth anniversary. It is a privilege to have such a great philosopher, educator, and humanist in our country. He will always be remembered in our hearts for his extraordinary contributions to education.
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Starting creative works, such as stories, poetry, and creative essays can be intimidating, especially for new writers. This class will help to give students the skills and tools to feel confident in learning how to write down their ideas. Learning to make up stories in your head, and being able to write them down, can be challenging, and even experienced writers get writer’s block, or have trouble in starting a new piece. In this class, learners are going to play with words, put ideas together in amusing ways, and bring writing into a format that is easy to access. While we won’t be turning out fully fleshed out works in this one-time class, we will be breaking down mental barriers, and learning to enjoy simply putting pen to paper, or fingers to keys. Note: As there is not a specific written output for this class, students are welcome to repeat it in order to keep working on writer’s block, writing frustration, or even writing intimidation. The goal is to make writing accessible – and enjoyable.
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Old is gold for sure but in this case old is bad and bold Google’s security researcher Dan Kaminsky along with Redhat Linux has identified a flaw in “glibc” also known as the Gnu C standard library. This flaw isn’t a new one as Kaminsky reported that it has “been around for quite some time,” approx. 8 years since the first time it was discovered in May 2008. This bug CVE-2015-7547 is found in the DNS (Doman Name Service) of the Internet and can be easily exploited to spread malware in every nook and corner of the world. The nature of this bug is so serious that Kaminsky has called it a “solid critical vulnerability by any normal standard.” The bug was first discovered in 2008, that means it’s an 8-year-old bugKaminsky states that this flaw tricks browsers into searching for shady domains after which servers would reply with excessively lengthy DNS names. This causes a buffer overflow in the software of the victim’s computer. Evidently, the bug is very dangerous as it can fully control the victim’s computer and let a hacker exploit it remotely. Kaminsky further says that the bug has “really worked its way across the globe.” Surprisingly, the bug cannot attack Android devices but otherwise, it seems to be quite similar to bugs like Heartbleed as far as the extensiveness of range is concerned. In fact, Kaminsky believes that it can leave behind all its predecessors in scope and range of attack. The latest hole in the Gnu DNS libraries was coded only a few months after he corrected the flaws identified in 2008 in DNS, claims Kaminsky. One aspect isn’t yet clear if the code can be remotely executed and exploited in the wild or not. Redhat conducted a back of the envelope analysis, which revealed that: “It is possible to write correctly formed DNS responses with attacker controlled payloads that will penetrate a DNS cache hierarchy and, therefore, allow attackers to exploit machines behind such caches.” As of now, the bug is capable of making servers vulnerable to MiTM (man in the middle) attacks if only the hackers could gain access to specific servers. This is not the first time when an old flaw has threatened the Internet users. Last year, a researcher discovered 18-year-old bug allowing attackers to steal data from all versions of Windows OS.
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GET TO KNOW OUR Tigers are the largest cat species in the world and is exclusively found in Asia The Malayan Tiger (Panthera tigris jacksoni) is a subspecies of tigers that exists uniquely in the Malay Peninsula. There are a total of nine (9) subspecies of tigers in the world, three (3) of which are extinct. - Bali tiger (Panthera tigris balica), in Bali, Indonesia - Javan tiger (Panthera tigirs sondaica), in Java, Indonesia - Caspian tiger (Panthera tigris virgata), in Caspian Sea, Turkey, Iran and Central Asia - Siberian tiger (Panthera tigris altaica), in Amur-Heilong (Russia-China) - South China Tiger (Panthera tigris amoyensis), in Southeast China-Hainan - Indochina Tiger (Panthera tigris corbetti), in Myanmar, Thailand, Laos, Vietnam, Cambodia, Southwestern China - Bengal Tiger (Panthera tigris tigris), in Bangladesh, Nepal, Bhutan, China and Myanmar - Sumatran Tiger (Panthera tigris sumatrae), in Sumatra, Indonesia The Malayan Tiger Survey has never been carried out on a large scale to represent the forests throughout Peninsular Malaysia. The presence of tigers is an indicator of the well- being of the ecosystem. Tiger habitats range across three forest landscapes; Belum-Temengor Complex (Perak), Taman Negara National Park (Pahang, Terengganu, Kelantan) and Endau-Rompin Complex (Johor, Pahang). Malayan tigers appear to be smaller compared to Bengal tigers and are not much different from Indochinese tigers. The Malayan tiger is averagely 2.4m metres in length and weighs 120kg. Average Size of a Male Tiger: Average Size of a Female Tiger: CLASS | PHYLUM Mammalia | Chordata Carnivora | Eats Meat FAMILY | GENUS Felidae | Panthera Panthera Tigris Jacksoni 2014: Population surveys by the Department of Wildlife and National Parks Peninsular Malaysia (PERHILITAN), WWF, WCS and RIMBA estimates the number of tigers are between 250 to 340. Location: 7 major tiger landscapes in Belum-Temengor, Taman Negara and Endau-Rompin. 2015: The 1st National Tiger Survey (NTS) was conducted in collaboration of government and non-government agencies; PERHILITAN, World Wide Fund (WWF) Malaysia, the Wildlife Conservation Society (WCS) Malaysia and Pertubuhan Pelindung Alam Malaysia. The 1st National Tiger Survey (1st NTS) in 75% of the 44,000km survey plots from 2016 to 2018 discovers that the population of Malayan tigers were below 200. Survey Location: 20 plots in the Central Forest Spine across eight major tiger habitats in the Malay Peninsula; Kedah, Perak, Selangor, Negeri Sembilan, Johor, Pahang, Kelantan and Terengganu Methodology: Systematic Camera Traps TIGERS AND FOREST ECOSYSTEM Ecology and Behaviour The Malayan Tiger is an apex predator, its diet consisting of boars, antelope, deer, porcupine, wild ox and mousedeer. The extinction of tigers will disrupt the ecological system; the population of wild boars will dramatically increase tenfold thus destroying the agriculture infrastructure. Malayan tigers are solitary animals, excepts for associations between individuals of both sexes at the time of mating or the mother and her cubs. Malayan tigers mate year around and give birth to a live litter comprising two or three cubs. Malayan tiger cubs stay with their mothers until they are about 2 years old. Malayan Tiger Uniqueness The Malayan tigers is unique in which no two tigers have the same markings, their stripes as individual as fingerprints are for humans. The Malayan Tigers are protected under the Wildlife Conservation Act 2010 (Act 716) as a Totally Protected Species. The biggest threat tigers face is illegal hunting. Local and foreign poachers ensnare tigers in traps to capture and then sell the animal for profit. Snaring is a favoured method used by poachers. A tiger caught in a snare would suffer horrible injuries or a lingering death. It would likely only escape the trap if it chewed off its own paw. Illegal demand for tiger parts are very high – from its bones, blood, sex organs, skin and teeth are sold as trophies and jewelleries, while its meat is used for exotic dishes. There are also high demands for tiger parts from foreign countries for traditional medicine. The tiger habitat is steadily decreasing and tigers are forced to move from one area to another due to habitat fragmentation. Habitat fragmentation threatens the risk of wildlife roadkill. In 2016, a pregnant Malayan tiger was killed instantly after getting hit by a vehicle on the East Coast Highway II (LPT2) at night. Lack of Food Source The main food source of Malayan tigers consists of boars, antelope, deer, porcupine, wild ox and mousedeer. However, even these wildlife are hunted by irresponsible poachers. Stay Informed And Share The News Stay informed on the threats our Malayan tigers face and share with your family and friends via conversations or social media. Increasing the awareness on our Malayan tigers will eventually increase the people’s willingness to help save the Malayan tigers from extinction. Follow us on Facebook, Instagram and Twitter.
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A new elearning programme has been released for frontline and administrative health and care staff and their supervisors, to help support the better understanding of the principles of sharing information. Developed by Health Education England elearning for healthcare (HEE elfh) in collaboration with the NHS Transformation Directorate, the programme is designed to support the ‘smooth transition of patients’ between different settings. It features a 20 – 30 minute session that helps learners understand the principles behind information sharing and presents examples of practical scenarios in which information might be shared with colleagues such as GPs, nurses, care home managers and midwives. By the end of the session, learners are expected to be able to explain the key principles when deciding to share information, and also to identify the circumstances in which further advice should be sought. The programme is free to NHS users via the elfh Hub, and can be accessed here. The information sharing support comes as part of the organisation “delivering or developing more than 400 programmes in collaboration with organisations including Royal Colleges, Department of Health and Social Care, NHS England and NHS Improvement and Public Health England.” In recent news, Health Education England launched a Population Health Digital Toolkit to help provide insight and knowledge into population health. The organisation also launched an evidence and knowledge portal, to provide NHS staff and others with access to published evidence and research.
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08 Aug Moisture in parquet: causes, consequences and solutions Parquet is a type of wood flooring that brings warmth and elegance to any space, but it is also particularly sensitive to variations in humidity. Moisture can affect your appearance, structural integrity and durability. From our position as a professional company, at Humilogic we want to talk about the causes and consequences of moisture in parquet flooring, as well as solutions to prevent and treat this problem. Problems of moisture in the parquet Parquet, with its aesthetic appeal and natural feel, is a popular choice in many homes. However, unlike other types of floor, wood is a living material that reacts to changes in the humidity in the environment. When the parquet is exposed to inadequate levels of moisture, problems such as deformation, swelling or the appearance of mold may arise. Causes of moisture in the parquet Some of these causes are: One of the most common causes of moisture in parquet is water leakage, which can come from broken pipes, leaky ceilings, or even accidental spills that are not cleaned quickly. When water penetrates the floor, it is absorbed by the wood, which can cause swelling and deformation. This is another factor that can affect the parquet, especially in cold climates or areas with poor ventilation. Moisture in the air can condense on the floor surface, being absorbed by the wood and causing long-term damage. Moisture in the subfloor Moisture that leaks from the ground can also cause problems. Water vapour from the floor under the parquet often rises and accumulates in the wood. This problem is common in homes built without a vapour barrier. Consequences of moisture in the parquet When the parquet absorbs too much moisture, the wood sheets may begin to deform. This problem, known as “bulging” or “swelling”, manifests itself as a lifting of the boards, creating an uneven and uncomfortable floor. On the other hand, wet wood is an ideal breeding ground for mold and fungus growth. These microorganisms not only damage the parquet, but can also affect air quality. In addition to structural problems, moisture can also cause aesthetic damage in the home. Wood may discolour, lose its natural shine or have stains that are difficult to remove. Solutions to prevent and treat moisture in parquet If you want to prevent the appearance of moisture in your home parquet, we show some so that you do not have this problem: - Installing vapour barriers: placing a vapour barrier under the parquet can help prevent moisture from the subfloor from leaking into the wood boards. - Improve ventilation: ensure that rooms are well ventilated to reduce condensation. - Leak repair: identifying and repairing any water leakage is crucial to prevent the problem from getting worse. - Sanding and sealing: if the parquet has suffered minor bulges, sanding the surface and applying a suitable sealant can restore its appearance. - Replacing damaged boards: in cases where the boards are badly damaged, the only solution may be to replace them. Note that the new boards you put in must be the same model of parquet as those already installed. Tips for maintaining Por ejemplo, un consejos súper importante es que debes mantener el parquet limpio y seco, evitando el uso de agua en exceso durante la limpieza. También, debes hacer revisiones al estado del suelo y detectar cualquier signo de humedad de inmediato. For example, a super important tip is to keep the parquet clean and dry, avoiding using excessive water during cleaning. Also, you should make checks to the condition of the floor and detect any signs of moisture immediately. If you want to protect your floor of your home, do not hesitate to contact us.
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This lesson covers the concept of multiphase flows, focusing on the differences between single phase and multiphase flows, their applications, and the need for their study. The lesson delves into the hydrodynamics and other characteristics of multiphase flow, explaining how they are governed by various forces and how they differ based on the distribution of the two phases. The lesson also discusses the different types of flow patterns that can occur in a vertical tube, a horizontal tube, a heated tube, and a tube with liquid-liquid flow. The lesson concludes with a discussion on the phase inversion phenomenon in liquid-liquid flows. 00:17 - Introduction to multiphase flows and its importance in various applications 07:10 - Explanation of the concept of continuous phase and discontinuous phase 14:15 - Explanation of the flow patterns in a vertical heated tube 43:32 - Explanation of the concept of phase inversion in liquid-liquid flows 49:11 - Presentation of pictures showing different flow patterns in liquid-liquid flows - Multiphase flows differ from single phase flows in terms of their applications, the forces governing them, and the distribution of the two phases. - The distribution of the two phases in a multiphase flow governs the entire physics of the flow, including the slip, heat mass, and reaction kinetics. - Different types of flow patterns can occur in a vertical tube, a horizontal tube, a heated tube, and a tube with liquid-liquid flow. - The phase inversion phenomenon in liquid-liquid flows is marked by a drastic increase in pressure drop and can enhance several transfer operations.
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Principles of Scientific Management Scientific management is involved with rationalization and labor-control methods whereby production systems will involve both people and machines in order to improve efficiency. In most countries, the natural resources are seen to vanish with no action being taken against people responsible for depleting these resources. Most people argue that they lack professionals who can handle such instances well. Why should a whole nation wait for someone to emerge from nowhere and take control of their resources while they could manage it themselves? Those past things whereby people though managers and leaders are born and not developed should be dealt away with since every individual has the capacity of leading or managing others, the only requirement is trust, courage and faith in oneself. A nation that conserves its available resources always achieves good national efficiency in terms of labor and production. In the absence of scientific management, a nation suffers great loss through many inefficiencies occurring day in day out. Every individual has the responsibility in ensuring that a nation’s resources are well managed through taking part in various management practices. According to Taylor scientific management principles are applicable in all human related activities thus people should call for elaborate collaborations in their actions (2006). Frederick Taylor came up with some key elements in his approach to scientific management discussed below. The five elements of scientific management discussed by Taylor are; labor, position, selection, actions and decisions, and management (Taylor, 2006). From the first element, labor, Taylor discussed the relationship between employers and employees. These two parties should have maximum prosperity that ensures an organization or business achieves its best and excels well in all its activities. By maximum prosperity towards employees, the employer does not have to motivate the employees through giving them high wages while their level of production is low. Employees have the responsibility of ensuring high productivity by an individual working to his or her maximum efficiency and striving to reach the highest level that an individual can achieve. It creates a bad image in an organization to find people idle simply because a machine has broken down due to a small fault and instead of employees fixing the situation; they sit down waiting for experts to work on it. These are small issues that lead to slowing down of operations in an organization. In management, development of true science, and a good selection of scientific workmanship form the two important elements (Sandrone, 2012). The manager today has to make crucial decisions regarding business opportunities every day. The greatest challenge is that the business environment is fast growing and extremely dynamic. One finds that whatever business strategy that worked yesterday effectively is no longer applicable today. The business environment is global meaning macroeconomic factors from all over the world sometimes have impacts on businesses in different parts including small businesses. The modern environment has consumers with varying lifestyles and values from time to time. This affects the consumers and target market needs since it affects their tastes and preferences and thus the business managers should keep changes in order to maintain their customers and attract others Shim & Siegel, 1999; Daft, & Marcic, 2008). In scientific management, every person is a stakeholder thus has the responsibility occupying a given position in decision making. Organizations hire risk managers to foretell about the future of the business they engage in. organizational culture also makes managers engage themselves in certain actions that are worthless leading to depression of the organization. Commitment in all actions geared at benefiting the business and nation at large is very important since through this, people come to realize the importance of engaging at nation building activities. This worldwide advancement in technology has seen to it that many organizations managers adopt the new technology and get into new positions. This has been so since most of the current global business transactions are been carried out via the internet. The changes in technology have further triggered the managers to adopt them in the management systems. These management systems help the manager to keep an effective track of the organization ranging from employee management to organization process management (Levin, n.d). On the other hand, psychology has a commonly established perception that it is a study in the science field, which explores cognitive processes and behavior of human beings (Simond, 2008). Being a scientific phenomenon, psychology should have a definable subject matter, a construction theory, and a hypothesis that has the potential of testing. Science has elements of being objective and free from any form of bias. As such, psychology receives a myriad of definitions based on key theoretical approaches and orientations. This leads to scholars stipulating differing arguments on the psychology topic. In 1998, Kline claimed that psychology is a self-contained discipline with contrasting facets in the discipline. He claims psychology consideration as a science can occur only if there is a global perspective from all the workers. Kuhn, on the other hand, argues that psychology has no paradigm, while other scientists perceive psychology as a field that has undergone two revolutions. Finally, psychology receives a third view, which claim psychology has several paradigms. Selection forms the third key element of scientific management. In every situation, selection of the best practice to undertake is very important since it allows people to evaluate and come up with the best alternative. In a working environment, managers carryout interview in order to select the best candidates for a given post. Production and operations management entails the decision-making process to ensure that goods and services creation occurs within the scheduled time, according to the stipulated specifications, and at a minimum cost. Resources, such as labor and materials inputs, aid in service and goods creation through the use of transformation or conversion processes to aid in value addition. As such, scientific management process starts at high-level business strategies and plans, over both short and long run. Product and service demand dictates the strategies and plans adopted. After the production process gives the output of goods, the distribution of the goods occurs geographically in line with the business market (Lewis & Slack, 2003). Actions and decisions made by employers and employees contribute a lot in the success of an organization. Organizations need to adopt a system whereby each person has the right to contribute in decision making since even the minorities have their say. Development cannot take place in the absence of mistakes because it is through this that people come to learn the best route to take. Since all organizations have a goal of attaining effectiveness in their endeavors, Taylor claimed that a good relationship among people is the key to success (Jones and George, 2006). Employees in an organization are the principle elements for success attainment, and thus, the article makes it clear that the employee needs to enjoy their working environment, and get job satisfaction at the same-time. Therefore, the topic of the article is very important in understanding organization behavior and effectiveness advancement. In achieving scientific management, changes made in a given nation should be gradual in order to allow every individual understand the need for changes and take them positively. In work places, managers should know their employees well and assign them duties depending on the individual’s capability (Griffin & Moorhead, 2007; Harris & Hartmen, 2002). Finally, the fifth key element of scientific management principle is management. Arguments arise concerning whether management is a science or art. In general, management is both a science and art since it involves an individual applying skills and knowledge in showing facts and principles. In scientific management, leaders are asked to use specific ideas and information to educate their followers. Taylor described management as effective when someone achieves what other expected. Development lacks in situations where managers take advantage of their position and misuse others in lower levels. In most developed countries, both managers and their followers work together with no fear and favor. According to Dubrin, management entails leading people in doing activities that bring about development in a nation. In his book, Dubrin suggested Frederick Taylor as one of the researches who were involved in determining the impact of management in various organizations (2003). In building a nation’s vision, science plays a great role since it forms the basis of all activities in the world. Countries should teach their citizens to manage themselves in order to avoid instances such misuse of available resources. Organizations should encourage management talents through sending their managers in developed countries to learn the art of management and deliver back their knowledge to people at grassroots (Kuhn, 1996). Applying the above principles in our daily activities will lead to more developments and understanding among individuals in a nation. Some industries have tried to adopt scientific management principles and this has assisted them a lot in making various decisions and changes within the organization. In most cases, manufacturing firms utilize scientific management in all their activities. Taking an example of plastic molding company, employees are always exposed to many life risks and require good observation while undertaking their duties. On the other hand, the activities carried out in such industries bring about a lot of pollution leading to global warming. Managers involved in such industry should know how to do away with such issues while at the same time achieve high profits (). Daft R. L. & Marcic, D. (2008). Understanding Management. The seventh Edition. United States of America: Cengage Learning. DuBrin, Andrew J. (2003) Essentials of Management. 6th ed. Peterborough, Ontario: Thomson Griffin, R, & Moorhead, G, (2007) Organizational Behavior: Managing People and Organizations. Ninth Edition. South-Western, Cengage Learning. Harris, O, & Hartman, S, (2002). Organization Behavior. The Second Edition. Binghamton: The Haworth Press. Inc Jones, G. R., and George, J. M. (2006). Contemporary Management. The fourth edition New , NY: McGraw-Hill Irwin. Kuhn, Thomas S. (1996). The Structure of Scientific Revolutions. 3rd ed. Chicago, IL: The University of Chicago Press. Lewis Michael, & Slack N. (2003). Operations Management: Critical Perspectives on Business and Management. London: Routledge. Levin Institute. (n.d). Technology and Globalisation.. Retrieved from: Rue, Leslie W., and Byars, Lloyd L. (2003). Management: Skills and Applications. The tenth edition. New York: McGraw-Hill Irwin. Sandrone, V. (2012). F.W. Taylor & Scientific Management. Retrieved from: Shim, J, & Siegel, J. (1999). Operations Management. New York: Barron’s education series, Simond, M. (2008). Psychology-A Science As Well As An Art. Retrieved from:
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The biphasic dose curve, also known as the Arndt-Schulz Law or hormesis, is a principle that describes the relationship between the dose (intensity or duration) of a treatment and its biological response. This principle plays a crucial role in understanding how light therapy works and determining the optimal treatment parameters. In the context of light therapy, the biphasic dose curve suggests that there is an optimal range of light exposure (intensity and duration) that produces the most significant therapeutic benefits. When the dose is too low or too high, the positive effects may be reduced or even become detrimental. This phenomenon is known as the biphasic dose response. The biphasic dose curve is a bell curve, which can be visualized as an inverted U-shaped curve, with the x-axis representing the dose (intensity or duration of light exposure) and the y-axis representing the biological response (healing, pain relief, etc.). The peak of the curve indicates the optimal dose that elicits the most significant therapeutic effects. Understanding the biphasic dose curve is essential for determining the most effective light therapy parameters. If the light exposure is too low, it may not be sufficient to stimulate the desired cellular responses. On the other hand, if the light exposure is too high, it can potentially cause adverse effects, such as increased inflammation or tissue damage. Therefore, finding the optimal dose for each individual and specific condition is crucial for maximizing the benefits of light therapy. Factors that may influence the optimal dose in light therapy include: - Wavelength: Different wavelengths of light (red or infrared) penetrate the skin and tissues at different depths and have varying biological effects. It's essential to choose the appropriate wavelength for the specific condition or injury being treated. - Intensity: The intensity of the light used in therapy is typically measured in milliwatts per square centimeter (mW/cm²). The optimal intensity varies depending on the specific condition, treatment goals, and individual factors. - Duration: The duration of each light therapy session is another critical factor in determining the optimal dose. Treatment times can range from a few minutes to an hour or more, depending on the specific condition, goals, and individual response. - Frequency: The frequency of light therapy sessions also impacts the overall effectiveness of the treatment. In some cases, daily treatments may be necessary, while in others, sessions can be spaced out over several days or weeks. - Individual factors: Each person's response to light therapy may be influenced by factors such as age, skin type, overall health, and the severity of the condition being treated. These factors should be considered when determining the optimal treatment parameters. In conclusion, understanding the biphasic dose curve is crucial for optimizing light therapy treatments. By considering factors such as wavelength, intensity, duration, frequency, and individual characteristics, healthcare professionals and individuals can determine the most effective treatment parameters to maximize the therapeutic benefits of light therapy. For more articles on light therapy, read:
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Labour Laws in India: India is a developing country having billions of populations where majority of people depends on the income earned by the head of the family working in Government departments, private companies, factories and in unorganized sector. There are a number of Labour Laws in India formed by the Government to protect the rights of employees to provide them social security benefit and feasible working environment that ultimately contributed to the work satisfaction and better standard of living of the employees. Time to time Government reforms the Labour Laws in India according to the necessity and to provide better working experience not only for employees but also for employer to get benefit under various subsidy scheme of Government, Tax Rebates and get them complied according to the provisions of the Labour Laws and Acts. We have listed out 17 important Labour Laws in India that every individual should know or employees should be aware of before starting their career to get a basic idea about the Labour Laws, rules & regulations under Various Acts. Minimum Wages Act Minimum Wages Act ensure the payment of Minimum Wages to an employee according to his Skilled Categories, Categories of the Employer or Company and the current Minimum Wages of the State. Minimum Wages generally segregated according to the skilled level and every state/Central Government publish notification on Minimum wages on yearly basis. Aside that the Minimum Wages for Contract Labours/ Workers are different from person falls under schedule employment or Shops & Establishment Act of the State. For example, if a company engage contractors/ Vendors for deployment of manpower in their organization and you are engaged under such contractors or vendor that your Minimum Wages would be according to the notification published under Contract Labour Regulation and Abolition Act (CLRA) of the State. If you are a direct Payroll employee of the company and your company falls under Shops and Establishment Act then your Minimum Wages would be according to the notification publish under Shops and Establishment Act of the state for Schedule Employment. Again some companies falls under state jurisdiction and some companies falls under Central Government Jurisdiction. So, your Minimum Wages may very according to the Company. If your company falls under State Giverment jurisdiction then it will follow state Minimum Wages notification and if company falls under Central Govt jurisdiction then it should follow central Govt Minimum Wages Notification. Payment of Wages Act: Labour Laws in India Payment of Wages Act administer the wages of the employees so that they can get their salary on time on or before 7the of every month. It also specify the deduction part from the salary and the employer cannot deduct unnecessary amount as per the provision of the Act. For any non-compliance, the employer or company may face legal obligation and some time penal provisions also imposed on the employer by the competent authority. So, it is advisable for companies to maintain the rules and regulation according to the provision of the Act. If an employee want to report any non-compliance or violation of rules specified under the POW Act, then the Labour commissioner of the respective state is the best option available out there to report such complain. Payment of Bonus Act Bonus Act imposed statutory liability on employer or companies covered under the Payment of Bonus Act, 1965 to provide Bonus to its employee on yearly basis. Bonus is provided by companies from their profit to every employee who have worked in the organization at least 30 days in a financial year. The minimum payable Bonus is 8.33% of the wages or salary of the employee and the rate goes up to 20% depending on the profit and desire of the company. To become eligible to get bonus, Salary of the employee should be less than 21000/- at present. (subject to change in future). For more information on Payment of Bonus and other relevant provision you may click here. Payment of Gratuity Act Payment of Gratuity Act, 1972: Gratuity can be considered as loyalty bonus or the payment made by the employer to the employee who have served more than 5 years of continuously to a particular company or establishment. In tern of sudden/accidental death of the employee, the 5 years continuous service provision is waved off and Gratuity is provided by the employer to the nominee of the deceased employee. Gratuity is provided at a rate of 15 days salary for every completed year. For example, if an employee worked 5 years continuously, then he will be eligible to get 75 days salary based on the last salary drawn by the employee. Contract Labour Regulation and Abolition Act (CLRA) CLRA Act is applicable on the companies or establishment, who wish to engage contractual manpower in their organization through contractor or vendor. First the establishment required to take registration under the Act then they can engage manpower through vendor or contractor. If a person employed under such contractor then the Minimum Wages is applicable according to the provision of the Act. The employer of contractor should be liable to pay the wages according to the latest notification without any unnecessary deduction to employees periodically. The establishment and contractor should maintain the compliance and provisions under the Act and provide proper facilities to the employees like rest room, canteen facilities, proper sanitation and healthily working environment etc. The rules and regulation under CLRA Act may very in different states. So, you may refer to your respective state CLRA Act or rules for better understanding. Maternity Benefit Act: Labour Laws in India Maternity Benefit Act, 1961 is formed with an objective to protect the rights of a working women when she is not in a position to perform her duty during her pregnancy. The act give an assurance to the working women that her job is safe and secure when she is at home taking care of her newly born child. Under Maternity Benefit Act, 26 week paid leave provided to the female employee where she can take 8 weeks leave before delivery and remaining leave can be taken post delivery or confinement. If an employee covered under ESIC, then it is the responsibility of the ESIC to provide 26 week leave payment to the female employee when she applied though proper channel for such payment subject to the eligibility condition. If the employee is not covered under ESIC Act, then the employer have to make the payment for her Maternity Leave. To know more about the the procedure, you may click here to get complete information on how to to apply for Maternity benefit in India. Shops and Establishment Act Shops and establishment Act applicable for Schedule employment and govern the leave entitled to an employee and fixed the holidays an employee can avail during a year. It also specify the working hours, breaks during works, daily and weekly limit of working hours, opening and closing our of work, etc. The employer or company required to register themselves under the Shops & Establishment Act of the respective state even they have zero employee count subject to eligibility condition for registration according the the provision of the Act. To know more about the Act you may refer to your respective state Shops and Establishment Act for better understanding. For, Assam Shops and Establishment Act, you may click here. EPF and MP Act Employees Provident Funds and Miscellaneous Provision Act, 1952 is applicable to those establishment who engage manpower more than 20 number and the Act is extended to the whole of India. It is a social security scheme that enables the employee to save or invest a part of their income towards the scheme during the service period. The employer also contribute same amount of money on behalf of the employee. Individual working in private sector organization, company or firm whose monthly salary (Basic+ DA+ Retaining Allowance) is less than Rs-15000/- eligible for PF in India. At present the contribution rate under provided is 12% for employee and 12% for employer. But the employer contribute 1% more towards the scheme as per the provision of the Act for EDLI which is 0.50% (Employees Deposit Link Insurance) and Administrative charges which is 0.50%. Every Provident Fund subscriber will get an Universal Account Number (UAN) to access their provident Fund Account. The following benefit an employee may get under the said Act: - High interest rate on the amount deposited towards PF around 8.50% per annum subject to change. - Advance facilities for illness, construction of House, Marriage etc. subject to eligibility condition. - Retirement benefit like monthly pension to the subscriber and the nominee or legal heir. - EDLI benefit during the death of the provident fund subscriber during his service up to INR 7 Lacs subject to eligibility. For more information you may Click Here. Employees’ State Insurance Act Employees’ State Insurance Act, 1948 also aimed to provide health security and protection against life hazard to employees working under private companies or organization. ESIC not only provide benefit to the employee but also covered the family member of the employee to get medical facilities and care subject to eligibility. To be eligible under the ESI Scheme, the employee should get a salary less than INR 21000/- gross per month. The contribution rate under the ESI scheme is 0.75% on gross for employee and 3.25% on gross for employer at present. ESIC provide a number of benefit to the eligible employee. Some of those pointed out below: - Medical Benefit for Treatment and diagnosis of illness. - Sickness Benefit. - Enhance Sickness Benefit. - Extended Sickness benefit. - Temporary and Permanent Disablement Benefit. - Maternity Benefit etc. To know more you may visit the official website by click here. Factories Act, 1948 is a social welfare legislation applicable to factories that aimed to provide a healthy, secure and safe working environment to employees under the premises or Factories. There are various provision under the Act like Health, Safety and Welfare Provision, Provision relating to working hour and leave, Provision relating to employment of young adult etc. The employer should maintain the compliance under the Act like to avoid penal provisions. You may read in details about the Factories Act and the compliances that need to maintain under the Factories Act, 1948 by click here. Equal Remuneration Act: Labour Laws in India Equal Remuneration Act, 1976 is an Act that protect the rights of Female employees in the organization and ensure that she will get same remuneration or salary that a Male employee is getting for same position or job without any discriminations on the ground of sex, against women in the matter of employment and for matters connected therewith or incidental thereto. For example, if a company hire a male software engineer having qualification B.Tech and providing salary of INR 50000 per month then the company must pay the same salary to a female software engineer having same qualification and experience. This Act is applicable to whole of India to ensure a fair practice of wages for male and female employees. It is the Duty of employer to pay equal remuneration to men and women workers for same work or work of a similar nature. If an employer or company used to practice discriminations in the process of recruitment and don’t follow the provision under the Act, penalties or fines or imprisonment up to a period of one month may be imposed by the appropriate Government on the employer. Professional Tax Act Professional Tax Act is applicable in most of the state in India. But in some state this Act is not applicable. Aside that, the Professional Tax may defer state to state. The Act is came into effect with the object of levying tax on professions, trades, callings, and employments. According to Income Tax Act 1961, the profession tax paid by an employee is allowed as a deduction from his/her gross salary income. Employer deduct the professional tax before paying salary to an employee and same will be deposited to appropriate Government on periodic intervals like monthly, quarterly, half yearly or annually. The deduction under the Act against professional Tax may not exceed INR 2500 per annum. There is no benefit you may claim under the Act. This is just an ordinary tax collected by Government. If you want to know about The Assam Tax on Professions, Trades, Callings and Employment Act, 1947 you may click here. Industrial Dispute Act: Labour Laws in India Industrial Dispute Act, 1947 came into effect from 1st April, 1947. The main purpose of Act is to make provision for investigation and settlement of Industrial dispute and for certain other purpose. This Act governs the relationship between the employee and the employer. It also formulated the procedure to be followed at the time of termination of an employee. It also includes the compensation to be provided at the time of termination. According to the Act, no employer can terminate an employee immediately from his or her job without giving at least 6 week of notice in advance. This Act helps the employees to to fight against employer for non payment of wages and illegal termination from job etc. The Sexual Harassment of Women at Workplace Act The Sexual Harassment of Women at Workplace (Prevention, Prohibition and Redressal) Act, 2013 is an Act that seeks to protect the female employees from Sexual Harassments at their workplace and for the prevention and redressal of complaints of sexual harassment and abuse and for matters connected therewith or incidental thereto. The Act defines sexual harassment at the work place and creates a mechanism for redressal of complaints. It also provides safeguards against false or malicious charges. This Act not only applicable to to workplace but also covered the schools and hospitals or medicals to prevent sexual abuse against females. According to the Act, every employer is required to form an Internal Complaint committee which needs to complete the inquiry against the grievances received in connection of sexual abuse within 90 days from the date of getting such complain or grievance. The employer also need to conduct periodic awareness program within the organization for better prevention of such activities. You may click here for more information. Workmen Compensation Act: Labour Laws in India Workmen Compensation Act, 1923 came into effect from 1st July, 1924. The main objective of the Act to compensate an employee against the injury by accident in connection to his or her employment. The Act ensure to provide financial protection to employee as well as their dependents in the form of compensation, in the case of accidental injury during the work. According to the Act, if personal physical injury caused to an employee by accident arising out of or in the course of his employment his employer shall be liable to pay compensation not only to employee but also his dependent according to the provision of the Act. This act also specify the condition where it is applicable and the amount of compensation an employee may get. The Act extended to the whole of India. Apprenticeship Act, 1961 is applicable to whole of India. The Act is applies to those apprentices who are undergoing to apprenticeship training in designated trade in the organization. From time to time Central Govt. has specified the designated trade under the Act. It is the responsibility of the employer to provide suitable arrangement for Apprentice trainee. The apprentice will entitled to receive stipend not less than the prescribed Minimum Wages. Apprentice trainee also entitled to receive compensation against injury during the work under Workmen Compensation Act, 1961. According to the provision of the Act, no Apprentice trainee should be allowed to do overtime work. After completion of the Apprenticeship Training Program completion certificate will be provided to the Apprentice trainees. For more information you may click here. Labour Welfare Fund: Labour Laws in India Labour Welfare Fund is also similar to Professional Tax where a little amount is deducted from the salary of an employee and deposited to Labour Welfare Fund of the respective state. But in Labour Welfare Fund employee may get certain facilities where in Professional Tax employee get nothing. At present in India, Labour Welfare Fund is Applicable only in a few states around 16 states out of 37 states including union territories and managed by individual state authorities. The state labour welfare board determines the amount and frequency of the contribution. Labour Welfare Fund Act is introduced by the state Governments of many states in order to provide social security benefit to workers in the unorganized sector. The applicability of LWF Act is depends on the number of employees of the organization & also depends upon the wages earned and designation held by an employee. And the rules may defer from state to state. For more information you may check the applicability of the Act in your respective state. I hope this article will help you to get a basic knowledge on Indian Labour Laws. If you have any query regarding this article please do comment below.
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- Issue Time - May 27,2021 Led heat sinks guarantee high light output and prolong the service life of high-performance leds LEDs have become very popular, which is mainly due to their excellent energy efficiency and long service life. While the lighting efficiency of LEDs is much higher than that of conventional incandescent light bulbs, 75 to 85 percent of the consumed power is still lost in the form of heat, depending on the light colour and the luminous intensity. This heat is transferred by the depletion layer through the metal connections to the PCB and dissipates into the environment. The temperature of the depletion layer also affects the dominating wavelengths and the brightness of the LED, and thus the colour of the emitted light. As the temperature increases, the brightness of the luminaire is gradually reduced while there is a marked colour change. Application-specific thermal management is therefore a must and can be achieved by mounting heat sinks that ensure uniform light output and colour while prolonging the service life of the LED.
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21 Aug Bitcoin Bits Some of you may have heard of bitcoin; others, perhaps not. Bitcoin is not a coin you collect in Super Mario Brothers; it is a “cryptocurrency” that has caught this year’s headlines—and it has more than doubled in price. As more people ask about bitcoin and the viability of investment, we wanted to educate our members and share our thoughts on what bitcoin is and to identify some of the hurdles bitcoin and other cryptocurrencies face. So, what, exactly, is bitcoin? Bitcoin is a peer-to-peer cryptocurrency, or digital asset, designed to work as a medium of exchange using cryptography to secure the transactions. These virtual tokens represent an entry on a digital ledger, similar to how a bank records money on its ledger. Banks, however, track and maintain records in centralized databases that are subject to the rules and regulations of each institution’s governing body. Your personal information is stored in these centralized databases and is, therefore, vulnerable to identity theft. The appeal of bitcoin is there is no centralized authority. Because bitcoin transactions use a decentralized ledger system, bitcoins can move freely between users without regulatory intervention, and in a secure and discreet manner collectively across the network. Instead of your private information being kept on a central system, a decentralized ledger allows the encrypted information to be public and stored on your personal computer or on cloud-based storage devices. No one owns or controls the network. The way your information is protected is based on the cryptography or “digital signature.” All cryptocurrency transactions take place using a digital signature, a constantly-changing encrypted identifier specific to the user. No personal information is stored in the public database, making it difficult to hack or to identify a specific user. A concern with bitcoin is that no central bank or governmental authority backs the safety or reliability of digital currencies. It is the wild west when compared to fiat currencies like the U.S. dollar, which is printed by the Federal Reserve. Bitcoins are minted by complex interactions across a global computer network through “mining.” Bitcoin mining is the practice of computers processing transactions for the network by adding them to the ”blockchain”—the public ledger of every bitcoin transaction since the inception of the network. (For more information on this topic, please see our article on blockchain here). Miners are rewarded with bitcoin for every block of transactions processed. Inherently, circulation is capped at 21 million bitcoins and, as more computers come online to “mine,” the more difficult the computations become, thus slowing down bitcoin creation. As uncertainty in the global financial system rises, cryptocurrencies such as bitcoin will garner more attention. The inherently limited supply of bitcoin, coupled with increasing demand, inevitably also has increased the bitcoin price. Much of the demand originates oversea – in April 2017, Japan officially recognized bitcoin as a payment method. The recent and unprecedented price movements have investors wondering if we are in the midst of a bitcoin “bubble.” Shown below is a chart from Charles Schwab that illustrates the level and speed of bitcoin price appreciation relative to other historical bubbles. Bubbles typically take 10 years to inflate to around 1,000% before bursting. Essentially, the longer the rise, the more embedded and damaging a burst (if it occurs) is to the economy and financial markets. There is some debate, however, about whether bubbles form more quickly today than what are historical norms, which is what has us concerned when evaluating bitcoin as a viable investment. The one silver lining: the rapid price increase evidences bitcoin’s growing popularity, and an apparent desire for it to go mainstream. Just as PayPal, Venmo, and other payment processing systems gained traction because of the failure of “traditional” payment methods to meet users’ needs, bitcoin has the potential to radically change the payment method and currency games. Its open architecture could be even more disruptive, upending existing familiar and deeply entrenched monetary concepts. In addition, we believe there could be a significant market for bitcoin-based services that more effectively or affordably perform than conventional banking services. But before bitcoin can become a mainstream alternative currency, it must overcome many hurdles. Blockchain complexity is a source for investor skepticism, and many people do not comprehend the value of such technology. Bitcoin exchanges must also significantly improve security surrounding transactions in order to strengthen confidence in the system. Despite advances in security, exchanges have a checkered past of hacking attacks and theft. Although we believe there are a lot of opportunities for bitcoin to complement conventional financial networks and global banking, such attacks weaken confidence in its sustainability and inhibit its movement to replace traditional currencies. Bitcoin also is not (yet) currently a practical form of payment and it is not widely accepted. The slow pace of its integration could be the result of uncertain regulatory status—traditional currencies are regulated by national governments or major financial institutions. Until businesses begin to accept bitcoin, traditional payment methods such as cash and credit cards will remain the standard. Although a slow transition has begun, there still is a long way to go. The bitcoin market is very dynamic. Rapid advances in digital technology are transforming the financial services landscape and the currency is extremely volatile. We are in the midst of a gold-rush mentality on an asset whose value is based on perception alone and which operates in an unregulated environment. Only time will tell if bitcoin will be known as a worthless experiment or as the greatest disruption to the financial industry we have ever seen. The implications are undeniable, but that does not mean that they are inevitable. Bitcoin and other cryptocurrencies will continue to create opportunities and challenges for everyone—from users to service providers to regulators—as it continues to challenge conventional banking practices. A “cryptocurrency” is a digital currency that uses encryption technology to regulate the number of units that may be generated and to transfer funds; a cryptocurrency typically is outside the realm of “traditional” banking.
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Struggling with long timesheets in Excel? You’re not alone. Without the right knowledge, entering large time values can be a daunting task. But fear not, this article will provide you the tips you need to quickly and accurately generate time values for Excel. Excel Time Format: A Guide to Understanding and Optimizing it Ever needed to enter values bigger than 24 hours into Excel? It’s really annoying if you don’t know the right time format. In this guide, we’ll cover all you need to know about Excel time format and how to make it work for you. First, let’s explore formatting cells for time values. Different time formats and how to customize them to your data. Next, let’s look at converting time values into decimals. A great technique for tasks like calculating billable hours. Let’s get started and make Excel time format work for you! Formatting Cells for Time Values in Excel Formatting cells for time values in Excel is a must-have skill. It helps you keep track of time entries and analyse them properly. Here’s a 4-step guide on how to do it: - Select the cells you want to format and right-click. - Click on ‘Format Cells’. This will open a dialog box. - In the dialog box, go to the ‘Number’ tab. Choose ‘Time’ under Category. - Pick the formatting style you like. Then click ‘OK’. It’s important to remember that Excel stores time values as decimal fractions of a day. For example, when you type “12:00 PM” into a cell and format it as “Time”, Excel automatically converts it into a decimal value. To make the most of your Excel formatting for time values, it’s best to break down large time values (over 24 hours) into hours, minutes and seconds before inputting them. Instead of typing “38:25:40” as one string, enter “38” in one cell, “25” in another, and “40” in a third. Then use a formula like “=SUM(A1:C1)” to add them together. Pro Tip: If you frequently enter the same time formats (e.g., military time), create custom formats using the ‘Format Cells’ dialog box. Now you’re ready to convert time values to decimal for better analysis. Converting Time Values to Decimal for Better Analysis Select cells or range of cells containing time values. Right-click and select “Format Cells.” In the Format Cells dialog box, select “Number” and choose category “Custom” from list. Type [h]:mm:ss in the “Type” field. Click “OK” to apply format and convert cells into decimal time. Calculate values of converted decimals for further analysis. Benefits of converting time values to decimals: - Makes data easier to analyze - Quickly understand in short intervals for planning - Calculate total hours worked or other quantities Investing time in learning how to convert time values into decimals is worth it. In our next section, learn to enter large time values in Excel confidently and efficiently. How to Enter and Handle Large Time Values in Excel Managing time values in Excel can be hard! Don’t panic though – I’m here to help. Here I’ll talk about tips and tricks to handle large time values. I’ll cover hours, minutes, and seconds too. Plus, I’ll show you how to format and use formulas to add and calculate seconds. Ready? Let’s go! Entering Time Values with Ease: Tips and Tricks Choose the format for time entry. It can either be in hours, minutes, seconds or microseconds. You can set this on the cell. Type your time into the cell. Put a colon between hours and minutes for it to convert properly. When entering time values, you can use shortcuts. For instance, use a slash (/) to enter fractions of seconds without typing multiple zeros. If you want to avoid typing mistakes when converting time values with formulae or functions like TIME(), use bracket symbols ( () ) around every component value of the conversion formulae. Inputting large data sets is much easier if you know how to do it like a pro! Learn the tips above to be the best with Excel spreadsheets and their time-sensitive tasks. This will help you become more effective and efficient. Adding hours and minutes with formulas in Excel helps users to easily perform calculations without having to input figures into cells over and over. Adding Hours and Minutes with Formulas in Excel Start by picking the cell where you’d like to enter hours and minutes. Then, type in the formula to add them. For example, type “=4/24+15/(24*60)” if you want to add 4 hours and 15 minutes (no quotes). This formula transforms hours and minutes into a decimal form of days, then adds them together. Press Enter, and the cell will now show “0.177083333” which equals 4 hours and 15 minutes. There are other formulas to try out, depending on what you need. To subtract time values use similar formulas, or multiplication using ‘*24’. To convert decimal time back into regular formatting, multiply it with ‘1440’ or ‘86400’. To avoid errors, make sure all calculations are based on the same unit. When you’re converting between seconds, minutes, and hours in Excel, make sure the same unit is used throughout the formula. Fun Fact: Excel is Microsoft’s popular tool used by over one billion people around the globe! Calculating Seconds in Excel: A Step-by-Step Guide makes it easy to calculate seconds within Excel! Calculating Seconds in Excel: A Step-by-Step Guide To calculate seconds in Excel, follow these steps: - Open a worksheet and select the cell you want to display the result in. - Type this formula: = TIME(hour, minute, second) (no quotes). Replace “hour”, “minute”, and “second” with the values you need, separated by commas. - Press Enter. - Use formatting options to adjust results. - Repeat for other cells. Now that you know how to calculate seconds in Excel, here are some tips to ensure accuracy and avoid errors: - Always use a colon (:) between hours, minutes, and seconds, not a period (.). Because a period is a decimal separator in numeric formats. - Format cells as time or customize date/time display formats. - Remember to enter times with two digits for hours and minutes (e.g., 09:30) instead of one digit (e.g., 9:30). Else Excel may interpret them as text. Follow these tips, and you’ll be able to handle large time values in Excel without any errors. Now let’s look at avoiding time-related errors in Excel – keep reading! Avoiding Time-related Errors in Excel Let’s dodge common time-related formulas mistakes in Excel! It can be tricky to handle date and time values in Excel. Here are tips to help: - Spot and fix incorrect time values. - Understand how to avoid time errors. Then you’ll be more confident managing time values in spreadsheets. Voila! Excel time managing skills improved! Troubleshooting Time-related Formatting Issues Check the formatting of cells. Set it to Time format. If time value displays as decimals, change formatting to time (h:mm:ss). Right-click the cell. Check if data has been imported or copied from a different source. Might affect formatting. Try converting time value to seconds. Then use custom formula to display in desired format. Avoid using apostrophe before time values. Converts it to text. Prevents Excel recognizing it as time. Enter AM/PM correctly while entering time values. Timezone settings might affect data calculations. Lead to discrepancies in results. Cause confusion while working on data. Make sure date and time formats are consistent throughout sheets in Excel. Prevent discrepancies during calculation processes. Fun Fact: Excel was first released for Windows in 1987. Common Mistakes to Avoid While Using Time-related Formulas – discuss briefly. The common mistakes to avoid while using time-related formulas in Excel include: - Ensuring the cells are formatted properly to time format and not as text or numbers. - Using the correct time values while entering data, including entering AM/PM correctly. - Avoiding the use of apostrophes before time values, which can convert them to text and prevent Excel from recognizing it as time. - Being consistent with date and time formats throughout the Excel sheets to prevent discrepancies during calculation processes. - Checking for the import or copy of data from different sources that might affect the formatting of cells. - Converting time values to seconds when needed and using custom formulas to display in the desired format. - Being aware that timezone settings can affect data calculations and lead to discrepancies and confusion. Common Mistakes to Avoid While Using Time-related Formulas Avoid time-related mistakes in Excel! Use the correct format, no AM/PM indicators, formulas for calculations and double-check the result. Rounding off minutes instead of seconds, or not entering a leading zero can cause significant issues. John Koetsier’s article ‘Psychology Experts: How To Use Excel Pivot Tables To Evaluate Data And Get Insights’ on Forbes Business notes that 94% of businesses worldwide use excel for data handling and analytics. This highlights the importance of proper data handling in decision-making. Spotting and Fixing Incorrect Time Values in Excel Check the cell format. Ensure that time values are formatted as a time category. If wrong values, use “Format Cells” feature under “Home” tab to set custom time formats. Check for AM/PM labels– they can cause incorrect time calculations. Double-check input time values- mistakes like minutes as hours or vice versa. Use conditional formatting to highlight cells with incorrect times. Finally, validate source data to avoid discrepancies. Excel can mistakenly enter large numbers as timestamps. For example, 6357 becomes ’06:35 AM’ and 10543 becomes ’10:54 PM’. As seconds elapsed from midnight, Excel converts to appropriate timestamp formats. Detect wrong inputs. Save time on manual error-spotting exercises. Spotting mistakes will increase efficiency. Make work easier and faster. FAQs about Entering Large Time Values In Excel What are large time values in Excel? Large time values in Excel are time values that exceed 24 hours, which is the default time format in Excel. These time values can be entered and displayed using custom time formats in Excel. How do I enter large time values in Excel? To enter large time values in Excel, you can use the h:mm:ss time format to display the value in hours, minutes, and seconds. You can also use the square bracket notation to enter the time value in the format [d]:hh:mm:ss, where d represents the number of days. Can I perform calculations using large time values in Excel? Yes, you can perform calculations using large time values in Excel. Simply enter the time values using the correct format, and then use standard Excel formulas to perform calculations on them. How do I convert large time values to decimal numbers in Excel? To convert large time values to decimal numbers in Excel, you can divide the time value by 24. For example, if you have a time value of 48 hours in cell A1, you can use the formula =A1/24 to convert it to a decimal value of 2. How do I change the format of large time values in Excel? To change the format of large time values in Excel, select the cells containing the time values and then click on the “Format Cells” option in the “Home” tab. In the “Category” list, select “Custom” and then enter a custom time format in the “Type” field. What is the maximum time value that can be entered in Excel? The maximum time value that can be entered in Excel is 9999:59:59, which represents 9999 hours, 59 minutes, and 59 seconds. This limit is due to Excel’s internal storage system, which uses a decimal value to represent time values.
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AI are supposed to make our world easier, faster and more efficient with digital tools. But one fear remains: the fear that AI will eventually have enough. Singularity and the takeover of machines are a basic fear of humans, but are we as a society really that annoying that AI will eventually just have enough? Is there a way to stop it? The company Anima has launched what it calls Onlybots. These are meant to be augmented reality companions, but not for us humans, but for the machines. If the New York-based company is to be believed, the Onlybots are meant to be emotional AI companions for bots. To better cope with the data they’ll be exposed to, the AI digital pets are meant to provide an emotional outlet to ward off a future AI rebellion. “Augmented reality is the medium that truly bridges the gap between the real and the digital. So it’s only fitting that the next project built on our AR technology bridges the gap between living and artificial beings.”-Alex Herrity, co-founder of Anima The so-called onlybots are not like cats, birds or dogs. They are created algorithmically and stored on the blockchain. When a bot accesses a website that hosts an onlybot, that bot can adopt its pet, provided it can prove it is not human. For both owners and the general public, Onlybots can be placed in and interact with any environment. But whether this will really provide an emotional outlet for artificial intelligence or whether it’s more of an artistic experiment remains to be seen. Currently, however, it’s more likely that people are intentionally falling through the reCAPTCHAs to adopt their own bot. Not quite the inventors’ idea. Post picture: Anima
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It’s important to remain as fit and healthy as possible. These are some suggestions that help to stay healthy. • Eating sugary foods can cause peaks and troughs in energy levels, making mood swings worse, try and avoid them. • Make sure meals aren’t missed. • Consider finger foods if it’s a struggle to eat using cutlery. ‘Soft’ foods are sometimes easier to deal with too. • Drink plenty of fluids. Dehydration is a health risk and can increase confusion in someone with dementia. Older people should drink about 1.6 litres or six to seven glasses a day. • Smoking is bad for us all, however when a person has memory loss, smoking can also mean an increased fire risk. People with dementia can become confused about night and day and may get up in the middle of the night, thinking that it is morning. Things that can help include: • Limiting daytime naps (which can impact on sleeping through the night) and ensuring a range of stimulating activities to prevent dozing off during the day because due to boredom. • Avoid caffeinated drinks such as tea and coffee, particularly in the evening. • Taking some form of exercise during the day. • Finding soothing and relaxing ways to encourage sleep, such as a warm milky drink (which does not contain caffeine) at bedtime. Support positive mental health • A certain amount of depression or anxiety is very common in people with dementia – particularly in the early stages. As a carer or family member it’s important to listen, offer affection, reassurance and support. Do not brush feelings aside or attempt to ‘jolly them along’ – their feelings are very real. If you are a person with memory problems or dementia, try and explain how you are feeling to others so they understand better. • If a person is extremely depressed or anxious, ask a GP for advice – the sooner the better. Manage alcohol intake • Having a drink in company can be a pleasant way to relax. However, people with dementia can become more confused after a drink. • Alcohol doesn’t mix well with certain medicines. If in doubt, ask a GP for advice. Help with hearing • Poor hearing can add to feelings of confusion and isolation. Ask a GP for a referral for a hearing test. The test and hearing aids, if needed, are free on the NHS. The following tips may also help: • If a hearing aid is being used, make sure it’s switched on and working properly. • If hearing difficulties can’t be resolved using a hearing aid, try to attract attention before speaking e.g. by touching an arm, facing each other when talking and speaking slowly and clearly. • Change words rather than repeating the same phrase more loudly. • Move away from distractions such as the television, radio or loud voices. • Keep questions simple, with not too many questions at a time. Looking after your eyesight • Problems with eyesight can increase confusion in people with dementia and can make it harder to recognise people or objects. Optometrists have special techniques for assessing sight, which are useful for people in the later stages of dementia. • If glasses have been prescribed, use them to prevent additional eye strain. • If someone with dementia has sight problems, you may need to tactfully remind them to wear their glasses and check that lenses are clean.
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2024-12-08T01:03:11Z
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Unpaid work trials refer to the practice of asking job applicants to carry out a trial shift or other unpaid work, as part of the recruitment process. All workers are entitled to be paid at least the National Minimum Wage (NMW) for any hour worked, under the National Minimum Wage Act 1998. A person is only entitled to be paid the NMW if they are a ‘worker’. The concept of a work trial is not defined anywhere in statute. With work trials the question is therefore whether a person qualifies as a ‘worker’ or not, which will depend heavily on the facts of any case. An unpaid trial lasting more than one day is highly likely to be illegal in all but very exceptional circumstances. Read more here.
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World War II and Impact on the American Society 1933-1945 World War II and impact on the American society o The economy o African Americans, and Mexican Americans • Wartime treatment of ethnic nationalities o German, Italian, and Japanese Americans • Ending the war in the Pacific o The use of the atomic bomb. Even as World War II was ending 70 years ago, Americans already knew it had transformed their country. What they didn’t know was just how much or for how long. In that last wartime summer of 1945, the seeds of a new America had been sown. Not just postwar America — the Baby Boom, the Cold War, the Affluent Society, the sprawling suburbs — but the one in which we live today.
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https://mybestwriter.com/world-war-ii-and-impact-on-the-american-society/
2024-12-08T01:10:06Z
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Elan Javanfard, L.M.F.T. In Parshat Nitzavim we encounter the concept of mutual responsibility, which holds profound psychological significance pertaining to collective wellbeing. Moshe gathers the entire nation for his final address to renew our covenant with Hashem. Mutual responsibility teaches us that we are connected. Regardless of background, status, or personal journey, every individual is united in this pivotal moment, forming a collective covenant. The first passuk of the Parsha starts by stating: “Attem nitzavim hayyom kullechem lifnei Hashem - You stand this day, all of you, before Hashem” (Deuteronomy 29:9). The Ohr HaChaim expounds that Moshe gathered every member of the nation from the elderly to the young, to stress that under the renewed covenant every Jew is obligated to help others observe the Torah and create a meaningful life. It is here that the concept of Arevut, often translated as mutual responsibility or collective accountability, is introduced. The Gemarah in Rosh Hashanah 29a states "kol Yisrael areivim zeh la'zeh, - All Israel is responsible for one another." From a psychological perspective, Arevut reminds us that we are not isolated individuals, but rather part of a larger community. Just as Bnei Yisrael stood together, we too stand united in the web of human connection. It suggests that individuals are not only responsible for their own behavior but also for the well-being of their fellow community members. The Gemarah Shevuot 39a teaches that the entire Jewish people are considered guarantors for one another to ensure that others don’t come to sin. Furthermore, the idea of Arevut underscores the importance of empathy. Understanding and sharing in the experiences of others fosters emotional connection and promotes a sense of belonging. This aligns with psychological studies demonstrating that empathy contributes to healthier relationships and increased emotional connections. As mentioned in Pirkei Avot 1:14 “Im ein ani li, mi li. Ucheshe'ani le'atzmi, mah ani. - If I am not for myself, who is for me? But if I am for my own self only, what am I?” Rabeynu Yonah writes on this Mishna that we are unable to reach our full potential when we are only looking out for ourselves. A single thread is like a fragile strand, easily breakable with a little force. However, when woven together with many other threads, it forms a robust and unyielding fabric. Bnei Yisrael, like string, can be easily broken alone but powerful when interconnected. We must be accountable to one another because our lives are connected in ways we cannot always see through divine providence. Here are three concise tips to increase the feeling of mutual responsibility within our community: - Shared Goals: Establish clear, common objectives that everyone agrees upon and works towards together for a bigger purpose. - Collaborative Recognition: Acknowledge and celebrate the joint efforts and achievements of the group, reinforcing the sense of shared responsibility. Celebrate in each other’s successes. - Empathic Awareness: Empathize with each other's viewpoints, challenges, & perspectives by placing yourself into each other’s shoes. Take time out of your day to check on those who may be struggling. Parshat Nitzavim's lesson of mutual responsibility aligns with psychological principles promoting connectedness, empathy, and a sense of purpose. The synergy between Parshat Nitzavim and the principle of Arevut teaches us that our collective strength lies in our unity. As we enter the High Holy Days, a period of reflection and renewal, let us remember that just as our ancestors stood together before Hashem, so too do the ties of Arevut bind us. May we approach this season of introspection with open hearts and minds that bring blessings and renewal to ourselves, our community, and the world at large. Elan Javanfard, M.A., L.M.F.T. is a Consulting Psychotherapist focused on behavioral health redesign, a Professor of Psychology at Pepperdine University, & a lecturer related to Mindfulness, Evidence Based Practices, and Suicide Prevention. Elan is the author of Psycho-Spiritual Insights: Exploring Parasha & Psychology, weekly blog. He lives in Los Angeles Pico Robertson community with his wife and three children and can be reached at [email protected].
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Experimental system uses footsteps to power pneumatic prostheses Although great advances are occurring in the field of powered prosthetics, the devices typically still require bulky, heavy batteries. Scientists at Rice University are trying to change that, by creating a pneumatic "extra limb" that's powered by the wearer's footsteps. The experimental technology is being developed by a team led by Asst. Prof. Daniel Preston, Mechanical Engineering grad student Rachel Shveda, and postdoctoral associate Anoop Rajappan. In its current form, the lightweight, inexpensive, machine-washable setup incorporates three main components: a set of open-cell-foam-filled textile pumps worn like insoles inside the wearer's shoes, an energy storage bladder worn around their waist, and an inflatable textile "arm" that stays curled around one hip when not in use. Air hoses connect the pumps to the bladder, and the bladder to the arm. As the user walks and compresses the pumps with their body weight, those pumps push air up into the bladder, until it's fully inflated. With the press of a button, the bladder releases some of that air into the arm, causing it to extend out from the body. Once the arm has been positioned adjacent to an object, another button-press releases some air from it, causing it to curl back in around the object. A silicone rubber coating helps it maintain a grip on the item, allowing the user to carry the object from one location to another. Once the person wishes to release the item, they just release some air back into the arm, causing it to extend back out again. The team also created another version of the system, in which the bladder releases air into a bellows-like apparatus worn over the armpit beneath one arm. As that bellows inflates and expands, it raises the arm, letting the wearer lift up to 10 lb (4.5 kg) without using any arm-muscle power. Preston and colleagues are now working on lowering the profile of the system, and on giving it the ability to predict the user's actions, so not every step of those actions has to be manually activated. It can be seen in use, in the video below. Source: Rice University
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Too few adults taking antipsychotic medications are being screened for abnormalities in lipids, which include cholesterol and triglycerides, new research from the University of Colorado Anschutz Medical Campus finds. The biggest gap in screening is among adults age 40 and younger, the group for whom early detection and intervention has been shown to be effective when additional cardiovascular risk is present. Adults with serious mental illness die 20 to 30 years earlier than their peers, largely due to increased risk for diabetes, high cholesterol, high blood pressure and heart disease. Taking antipsychotic medication increases that risk. The American Diabetes Association and American Psychiatric Association recommends more intensive diabetes and cholesterol lipid screening for patients receiving antipsychotics, but rates of screening have remained low. “Antipsychotic medications are associated with substantial weight gain, as well as changes in insulin sensitivity and lipid metabolism, which increase the risk of diabetes and cardiovascular disease,” said lead author Elaine Morrato of the Colorado School of Public Health at CU Anschutz. Compared with prior reports, progress has been made to improve diabetes screening, but lipid screening remains particularly underutilized. The study, published May 11 in the journal JAMA Psychiatry, included 9316 Missouri Medicaid patients to identify factors associated with failure to receive annual glucose and lipid testing during treatment with antipsychotics. Another notable study finding is understanding who is prescribing antipsychotics. About 75 percent of patients initiated therapy with a prescriber not practicing in a Community Mental Health Center and about half initiated therapy with a non-behavioral health care professional. Federal and state investment to prevent and reduce cardiovascular disease among those with mental illness has focused on psychiatrists practicing in community mental health settings. Failure to receive testing was most strongly associated with patient characteristics and factors affecting frequency of health care utilization. Lack of testing was highest among adults 40 and younger, who have fewer chronic conditions. One possible reason for low rates of testing may be the result of conflicting messages on whether younger adults should be tested. Some guidelines call for the use of screening tests in all patients receiving antipsychotics regardless of mental health diagnosis, while others prioritize screening only in adults with schizophrenia or bipolar disorder and other guidelines have prioritized screening based on age, ethnicity and other risk factors. Better integration of behavioral health and primary care services is a public health priority. More research on the effectiveness of metabolic screening for younger adults receiving antipsychotics is needed to resolve the ambiguity in screening guidelines. Clarity is important for health system directors and policy makers who must decide on the most efficient use of limited resources for improving screening rates and achieving public health goals to reduce cardiovascular disease. The University of Colorado Anschutz Medical Campus The University of Colorado Anschutz Medical Campus is the only comprehensive academic health sciences center in Colorado, the largest academic health center in the Rocky Mountain region and one of the newest education, research and patient care facilities in the world. Home to 21,000 employees, more than 4,000 degree-seeking students and two nationally recognized hospitals that handle 1.7 million patient visits each year, CU Anschutz trains the health sciences workforce of the future and fuels the economy. CU Anschutz features schools of medicine, pharmacy, dental medicine and public health, a college of nursing and a graduate school. All interconnected, these organizations collaboratively improve the quality of patient care they deliver, research they conduct, and health professionals they train.
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Pre-earthquake magnetic pulses Abstract. A semiconductor model of rocks is shown to describe unipolar magnetic pulses, a phenomenon that has been observed prior to earthquakes. These pulses are suspected to be generated deep in the Earth's crust, in and around the hypocentral volume, days or even weeks before earthquakes. Their extremely long wavelength allows them to pass through kilometers of rock. Interestingly, when the sources of these pulses are triangulated, the locations coincide with the epicenters of future earthquakes. We couple a drift-diffusion semiconductor model to a magnetic field in order to describe the electromagnetic effects associated with electrical currents flowing within rocks. The resulting system of equations is solved numerically and it is seen that a volume of rock may act as a diode that produces transient currents when it switches bias. These unidirectional currents are expected to produce transient unipolar magnetic pulses similar in form, amplitude, and duration to those observed before earthquakes, and this suggests that the pulses could be the result of geophysical semiconductor processes.
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So you’ve bought a new 16 GB memory kit with two RAM sticks and full-on RGB features. Excitedly, you install the new RAM sticks in the motherboard and boot up your system. Everything seems fine till your PC starts stuttering. Your games take significantly longer to load, and your FPS is taking a hit. Is the RAM defective? Did you get ripped off at the PC store? Chances are, you’ve installed your RAM incorrectly, and the two RAM sticks aren’t working in dual-channel mode. What is RAM dual channel? How to check if RAM is dual-channel or single-channel? In the following article, I will attempt to demystify these questions. TABLE OF CONTENTS What is Dual-Channel Memory? Dual-channel memory is a type of multi-channel memory configuration. You must know how RAM works to understand multi-channel memory and how it affects a computer’s performance. Your PC doesn’t fetch data directly from the hard drive or SSD. When you launch your favorite game, it is first loaded into the memory (RAM). Your RAM and CPU must communicate through a memory controller before giving you that juicy 120 frames per second. Some memory controllers have multiple channels to allow faster RAM communication. Dual-channel RAM configuration means two sets of 64-bit buses, lanes, or channels are available (instead of one in a single-channel config) for the CPU to communicate with the memory modules, thus effectively reducing any chance of a bottleneck. Simply put, the more channels a CPU has to communicate with the memory, the faster everything works. Dual-channel means your CPU can simultaneously talk to two RAM modules, distributing the workload evenly. Motherboards supporting multi-channel memory have dedicated slots (often color-coded, more on it later) that let the RAM ‘talk’ to the memory controller. Also Read: Which RAM Slots to Use? Does it Matter? It is NOT the RAM That is Dual-Channel It should be noted that dual-channel is NOT the characteristic of the RAM but that of the CPU and the motherboard. In other words, any RAM can work in dual or even triple-channel mode so long as your CPU and motherboard support it. What are the Expected Differences Dual-Channel Memory can Make The answer is: it depends. You will have people who swear by dual-channel memory, claiming it increases performance. Conversely, you will find people who say it doesn’t make a difference. So, which one is it? GamersNexus.net has a comprehensive study on this. According to their tests, dual-channel memory configuration can boost performance by up to 30%. The real boost depends upon what program and tasks you run. Hence, if your RAM sticks are in the wrong slots, it doesn’t matter if you’re using the latest shiny memory. Your CPU and RAM communication will be bottlenecked severely. So How do you Check if RAM is Dual-Channel? Now that you know the advantages of using memory in dual-channel mode, let’s see how to check if you have installed your RAM sticks correctly. There are various methods of doing so. We’ll focus on the 3 most common ones: - Checking with CPU-Z - Checking with HWiNFO64 - Checking the RAM sticks physically Checking through CPU-Z You can quickly check your PC’s hardware information using a nifty tool like CPU-Z. To use it, you can download and install it from here. There’s also a portable version that requires no installation. The program is free to use. Once you’ve downloaded CPU-Z, head over to the Memory tab; there, you can see the configuration of your PC’s RAM. As you can see, our HP Pavilion gaming laptop is running on 16 GB of memory in a single-channel configuration. This is probably the reason for its rather sluggish performance in games. If you see Dual in the “Channel #” field, you are already running your memory in an optimal configuration. You can also watch the following video to check if RAM is in dual-channel mode or not: Checking with HWinfo64 HWiNFO64 is another program you can use to get the hardware details of your PC. Just like CPU-Z, HWiNFO64 also has a portable version. To download the installers, click here. Open the program once it finishes installing. Unlike CPU-Z, HWiNFO64 seems a bit daunting to use initially because it throws a lot of information at you upon starting up. In the Motherboard section, look for the field named “Mode.” If it shows “dual-channel,” unlike our laptop, you’re good to go! Checking the RAM Sticks Physically You can also open up your PC and check the slots occupied by the RAM. If you have an older motherboard, then chances are that it may have color-coded RAM slots to help you place the memory. For example, if the motherboard you’re using has 4 RAM slots, slots 1 and 3 will be of the same color, whereas slots 2 and 4 will be of another color. If you have two RAM sticks and a motherboard like the one pictured above, placing both sticks in the same colored slots will make your RAM work in dual-channel mode. Placing the two sticks in different colored slots will not only cause your RAM to run in a single-channel mode but can also potentially downclock your RAM. So which slots should you fill first? Well, that depends on the motherboard you have. Check the instructional manual to see the order in which the slots should be filled. You can find manuals for the commonly used motherboards here. Let’s say you’re using a relatively modern motherboard, which does not have any colored slots – most modern motherboards have all-black colored RAM slots for aesthetic appeal. In that case, you can play it safe and fill slots 2 and 4 first. Not only will the RAM run in dual-channel, but it will also probably be in the correct order. How Much of a Difference Does Dual-Channel Config Make in Gaming? Well, repeated tests show that dual-channel memory does indeed make a difference. I will reference here a study conducted by Testing Games YouTube Channel. They tested several games on the following specifications: - Intel i7 8700k 3.7Ghz - Asus ROG Strix Z390-F Gaming - RTX 2080 8Gb - 16 GB DDR4 3200 MHz RAM Let’s take Battlefield V as an example. *Test rig specifications: The average FPS on dual-channel memory was 162; on single-channel memory, they tested a measly 143. Hence you can see a fair amount of FPS improvement here. Shadow of the Tomb Raider showed a similar story, clocking around 132 FPS on the dual-channel configuration. A substantial difference over single-channel config, which struggled around 104 FPS. The pattern remained similar to games such as Assassin’s Creed: Odyssey, Batman: Arkham Knight, and Star Wars: Battlefront. It is safe to say dual-channel RAM does help you squeeze out more performance. Most modern motherboards support dual-channel RAM setups, so there is no reason to use your RAM in a single-channel mode. Also Read: How to Check RAM Type in Windows 10? Why Does RAM Come in Kits If you’ve bought RAM recently, you might’ve noticed that it comes in kits or bundles. This ensures maximum compatibility across your PC and gives you access to dual-channel mode. You don’t want to mix and match RAM of different frequencies, as all the RAM sticks will be downclocked to the lowest common denominator. You don’t want your shiny new 3600 MHz RAM running at a measly 2600 MHz, right? Using RAM of the same frequencies and manufacturer is generally a good idea. Of course, you cannot mix DDR3 and DDR4 RAM as they are built for different slots, but often novice PC builders combine other RAM models and end up with a PC that performs sub-optimally. Buying two 8 GB sticks is often cheaper than a single 16 GB stick, so you might as well utilize dual-channel configurations. Some motherboards also support triple-channel, quad-channel configs or even higher-channel memory. These are often reserved for servers or workstations, though. Also Read: What to Do After Upgrading RAM? Summing It Up This article should have given you a good insight into why it is a good idea to learn how to check if your RAM is dual-channel. The dual-channel mode gives your PC a very noticeable performance boost. So, if you’re going to build a PC, make sure you install the RAM correctly, and while you are at it, make sure you always get your RAM sticks in pairs. FREQUENTLY ASKED QUESTIONS 1. How can I tell if my computer is running slower than it should due to single channel RAM? If you suspect that your computer’s RAM is running in single channel mode, there are a few signs to look out for. These include slower performance when running memory-intensive applications, lower benchmark scores than expected, and a reduced overall system performance. You can use various software tools, such as CPU-Z or AIDA64, to check your RAM configuration and see if it’s running in dual channel mode. 2. Is it possible to upgrade a computer from single channel RAM to dual channel RAM? Upgrading from single channel RAM to dual channel RAM is possible, but it requires replacing your existing RAM with a matched pair of dual channel RAM modules. Before doing so, you should check your computer’s documentation to ensure that it supports dual channel RAM and verify the maximum capacity and speed of the RAM that your motherboard can handle. 3. Can using mismatched RAM modules affect dual channel operation? Using mismatched RAM modules can prevent dual channel operation and cause other issues, such as instability, crashes, and data corruption. To ensure proper dual channel operation, you should use identical RAM modules with matching capacity, speed, and timings. If you need to upgrade your RAM, it’s best to replace all your existing RAM modules with a matched set of dual channel RAM. 4. How can I optimize my BIOS settings to ensure my RAM is running in dual channel mode? To optimize your BIOS settings for dual channel RAM, you should first enable dual channel mode in the memory settings of your BIOS. You may also need to adjust the memory timings, voltage, and frequency settings to match the specifications of your RAM modules. It’s best to consult your motherboard manual or manufacturer’s website for detailed instructions on optimizing your BIOS settings for dual channel RAM. 5. What are some common issues that can cause dual channel RAM to not function properly? Some common issues that can cause dual channel RAM to not function properly include using mismatched RAM modules, incorrect BIOS settings, defective RAM modules, and incompatibilities between the RAM and the motherboard. If you experience issues with dual channel RAM, you should try testing each RAM module individually and adjusting the BIOS settings to match the specifications of your RAM. If the issues persist, you may need to replace the defective RAM module or consult a professional for further troubleshooting.
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CC-MAIN-2024-51
https://pcguide101.com/ram/how-to-check-if-ram-is-dual-channel/
2024-12-07T23:08:50Z
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Recent terrorist attacks by Hamas on Israeli civilians and Israel’s harsh reaction to this by cutting electricity, water, and fuel supply to Gaza, where Hamas is located, shows how dangerous political problems could become for children and civilians in general during times of war and crisis. As usual, hatred leads to more hate and strengthens radicals on both sides; while Hamas gains popularity in the Islamic world by bringing the Palestinian cause to the agenda of Muslim countries after many years, ultranationalists and ultra-Orthodox groups in Israel also find a comfortable ground in Israeli domestic politics to defend radical solutions to decades-old Palestinian problem such as forcefully sending all Palestinians to Jordan, Egypt, etc. and to sweep away the Palestinian State completely from the region. Hamas’ attack and Israeli response led to a polarization between pro-Israeli and pro-Palestinian states as well. While the United States as well as all Western bloc countries sided with Israel immediately and condemned terrorism, some countries including the Islamic Republic of Iran openly supported Hamas and the Palestinian Authority. In many Arab/Islamic countries, on the other hand, pro-Palestinian demonstrations were organized. Latin American and African states also gave different reactions as some of them openly supported Israel and condemned Hamas with heavy criticism, whereas some others criticized the Palestinian side with a softer rhetoric, while some Latin American leaders including Columbian President Gustavo Petro supported Palestine. Moreover, some other countries like Türkiye (Turkey) invited both sides to sobriety and tried to act like a moderator. While Brazil invited the United Nations (UN) Security Council to an urgent meeting after the attack, so far, the Council has not made any resolution or statement on newly developing conditions. The ambivalent position in many countries’ foreign policy on this issue stems from the fact that they were not able to establish a foreign policy based on ideals and values until now and acted solely on national interests, which will always create problems between different states since interests are varying from state to state. On the contrary, states acting on the basis of international law could take a position easily, without any hesitation, since their foreign policy is navigated through principles. This principle for sure should be based on the implementation of UN decisions. However, a problem appears at this point when the UN Security Council’s structure does not represent the current-day political power equation correctly and even the architect of this system, the United States (U.S.) might act against the previous binding resolutions. It is a fact that the composition of the UN Security Council reflects the power dynamics of the late 1940s and the 1950s, but the contemporary political balance is completely different. But we also know that the UN could reform itself and make strategic decisions such as including the People’s Republic of China to replace Taiwan in the 1970s. In that sense, Turkish President Recep Tayyip Erdoğan’s quest for reforming the UN becomes reasonable and even necessary to solve political problems and end widespread violence. The current UN Security Council is composed of 5 permanent members: the U.S., the Russian Federation, China, the United Kingdom, and France. There are also 10 temporary members elected by the General Assembly in every 2 years. But as these 5 countries stay within the Council, they have a chance to control all political disputes and make decisions (resolutions) that will help them rather than helping other states or the international system. Questions arise at this point when there is not even a single Muslim, Latin American, or African country in the UN Security Council and Muslims are left unrepresented. Similarly, a gigantic country like India and a large religious group, Hindus, are left outside of the decision-making process. So, is not it rational for 5 permanent member countries to work on a reform plan for the UN to include other influential states in the Council in order to better respond to political, economic, and social problems of the contemporary world? My answer would be definitely “yes”, but it seems like there is not much support for reforming the UN within the Security Council. These states and their rulers are not ashamed of not being able to solve earthly problems and allow the continuation of terrorism, wars, ethnic conflicts, etc. But we, human beings, are ashamed on their behalf as we want children to continue to live safely and happily in all countries. The way to realize this is to apply UN decisions in cases like Palestine where there is a realistic and viable solution and to reform the UN by including new influential countries such as the European Union (EU), Türkiye, Iran, India, South Africa, Nigeria, Brazil, etc. for better reflecting the current-day power equation and to solve other problems such as the Cyprus Dispute, Kashmir Conflict, Taiwan, etc. with new resolutions/decisions. It is a fact that we have to reform the UN because otherwise the system will collapse at one point and all states will begin to pursue their own national interests solely, which would lead to an international ‘state of nature’ in the 21st century. To prevent this, leaders of the 5 permanent members should react quickly to stop massacres, terrorism, etc. instead of thinking of the profit of the arms companies. UN’s mission is not to make companies richer but rather to make people safer. Save the UN before it is too late… Assoc. Prof. Ozan ÖRMECİ
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CC-MAIN-2024-51
https://politikaakademisi.org/2023/10/16/why-we-need-the-international-law-and-a-reformed-united-nations/
2024-12-08T00:51:06Z
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The power to use the abilities of a boobrie. Variation of Mythical Avian Physiology. - Boobrie Mimicry User with this ability either is or can transform into an boobrie, a mythological shapeshifting entity inhabiting the lochs of the west coast of Scotland that commonly the appearance of a gigantic water bird resembling a cormorant or great northern loon "larger than seventeen of the biggest eagles put together" that bellows noisily with displeasure, sounding more like a bull than a bird. It can also materialize as a water bull, water horse or infrequently as a large insect that sucks on the blood of horses, described as a "big stripped brown gobhlachan or ear-wig" with "lots of tentacles or feelers". The boobrie is a generally malevolent entity that commonly preys on animals being transported on ships, preferably calves, but will also eat lambs and sheep, carrying its prey away to the deepest water before consuming it. It is also extremely fond of otters, which it consumes in large quantities. Although sea lochs are the boobries' natural home they will shelter on land in overgrown heather. - Aquatic Adaptation - Avian Physiology - Bovine Physiology - Enhanced Strength - Horse Physiology - Insect Physiology - Boobrie (Celtic Mythology/Folklore) - Boobrie (Forgotten Realms)
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CC-MAIN-2024-51
https://powerlisting.fandom.com/wiki/Boobrie_Physiology
2024-12-08T00:50:52Z
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Worldwide, nearly 2 million children are living with HIV, with 160,000 new infections annually. Untreated, HIV progresses to AIDS, which kills 100,000 children annually, mainly in African countries (UNAIDS 2022). These deaths are now largely preventable due to the widespread availability of free antiretroviral therapy (ART). ART is a highly effective treatment, allowing HIV patients of all ages to live near-normal lives. ART also prevents HIV transmission during childbirth and breastfeeding. Yet, lapses in treatment, for both mothers and children, lead to many unnecessary new infections and deaths. There is an urgent need to understand the needs of HIV-affected children and their families, and to identify practical approaches to prevent paediatric infection, promote adherence to treatment, and empower families with the knowledge that HIV-positive children can lead long, healthy and productive lives, if they get the right care. In order to address these knowledge needs, we must build a strong and equal partnership that can effectively identify the distinct barriers to HIV care for children, and co-design effective interventions. This collaboration must include an interdisciplinary team of health researchers with local and contextual knowledge, as well as public sector healthcare providers and local health organizations. We will use the pre-project to travel to Malawi and meet with potential partners. The purpose of these meetings will be to better understand the needs of children affected by HIV, strategic considerations of policy actors, and the scope for the establishment of an equal and effective partnership across a network of collaborators. This will allow us to develop theories and potential interventions that effectively address research and policy needs.
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https://prosjektbanken.forskningsradet.no/project/FORISS/356280?Kilde=FORISS&Kilde=EU&distribution=Ar&chart=bar&calcType=funding&Sprak=no&sortBy=date&sortOrder=desc&resultCount=30&offset=0&LTP.1=LTP3+Samfunnssikkerhet+og+beredskap
2024-12-08T00:01:53Z
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Animals with human characteristics have been appearing in picture books for so long that their place or purpose in a story is rarely questioned — readers accept and embrace the conventions around all permutations of talking, clothed, and civically engaged creatures. But anthropomorphism often has a specific function and three new releases show how different the results can be when animals start talking. The Dog Who Wanted to Fly is about a pup named Zora with one goal in life: catching a squirrel. Motivated by the examples of flight she notices around her, Zora makes many unsuccessful attempts at liftoff, all the while chided by a cat named Tully. Written by Kathy Stinson, Zora’s story exemplifies how animals often act similarly to children in picture books: having conversations, asking questions, and boldly trying new things. Both animal characters in the story fulfill the expectations of their respective species – Zora is lovably dopey and Tully is smugly superior. This makes for some funny moments, but it’s the artwork by Brandon James Scott, an accomplished animator, that turn up the humour and add a lively zing to a fairly predictable story. Two hilarious back-to-back aerial illustrations show Zora looking up in awe at a commercial plane followed by her sprawled out on the ground, willing herself to levitate. Scott’s work is luminous, like a beautifully lit film paused at just the right moment. Sara O’Leary also imbues animals with human characteristics in her new abecedarian but implicitly asks readers to reflect on and react to the results. Owls Are Good at Keeping Secrets: An Unusual Alphabet features different creatures engaging in unexpected activities and behaviours. Some are particularly clever, riffing on a young reader’s assumptions and prior knowledge. The letter D, for example, reveals that “Dragons cry at happy endings”; it pictures a weeping mauve dragon, book in claw, and tail wrapped around a box of tissues. U shows a unicorn building its likeness out of sand because “Unicorns believe in themselves.” Some letters are underwhelming, with no clear species connection or punchline. (“Lions like a nice nap,” for instance, could feature any animal.) But illustrator Jacob Grant excels at stirring up genuine feeling quickly and efficiently in the limited space he has with each letter. Most of the animals are pictured as part of an engaged, doting family, which realistically includes mildly annoyed and fatigued parents. All the images are surrounded by white space and can stand successfully on their own, a crucial characteristic of this type of alphabet book where each new letter signals the beginning of a new micro-narrative. The anthropomorphism in The Girl and the Wolf, by Métis writer Katherena Vermette and Cree-Métis illustrator Julie Flett, functions very differently, helping a human character see deeper inside herself. When an unnamed girl strays away from her mother and gets lost in the forest, a wolf appears and starts asking questions. It’s notable that the wolf never gives the girl the answer but instead says to her, “Take a deep breath. Close your eyes, then look. What do you see?” This thoughtful prompt, which could be used with children in any unfamiliar or overwhelming circumstance, lets the girl find solutions on her own. Flett’s pictures make careful use of sightlines, always directing the reader’s eye up to the sky or down to the land and river. The dusk setting is a perfect match for Flett’s transcendent trademark tree silhouettes, which clearly communicate the time of day while also showing that the woods are not a one-dimensionally scary or threatening place. In the end, the girl leaves tobacco in a red cloth for the wolf, with Vermette explaining in her author’s note that “Tobacco is one of the four sacred medicines” and is given “in thanks.” All the talking, clothed, employed, and upright animals that appear in children’s books deserve a bit more interrogation. Chatty creatures need reasons for being there and these picture books show there are many to choose from – including relatability, humour, and furthering deep character development in those around them.
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CC-MAIN-2024-51
https://quillandquire.com/review/the-girl-and-the-wolf/
2024-12-08T00:09:15Z
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Resveratrol (3,4′,5 trihydroxystilbene), a naturally-occurring molecule known as a phytoalexin, is synthesized by plants in response to attacks by fungi, bacteria, or other injurious substances; it is also known to possess an array of cardioprotective effects. Recently, studies have shown resveratrol to protect against the metabolic changes associated with hypercaloric diets in mice with induced insulin resistance, hyperglycemia, and dyslipidemia. Despite impressive gains in diagnosis and treatment, cardiovascular disease (CVD) remains a serious clinical problem and threat to public health. The metabolic syndrome, which identifies persons at higher risk for diabetes mellitus and CVD, is approaching a prevalence of nearly 25% of the western world. If the metabolic syndrome can be considered a polar opposite to caloric restriction, then agents that mimic caloric restriction may offer a new therapeutic approach to preventing CVD. The authors discuss the cardioprotective effects of resveratrol and highlight its role in glucose homeostasis and lipid metabolism in mice. Armed with the ability to prevent the deleterious effects of excess caloric intake and prevent detrimental cardiovascular events, resveratrol merits proper clinical investigations for its efficacy in treating metabolic diseases and CVD. ASJC Scopus subject areas - Internal Medicine - Endocrinology, Diabetes and Metabolism - Cardiology and Cardiovascular Medicine
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CC-MAIN-2024-51
https://researchexperts.utmb.edu/en/publications/resveratrol-biologic-and-therapeutic-implications
2024-12-08T00:02:13Z
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What does wood for building homes have in common with water for drinking? They both are natural resources, and they both must be managed wisely to protect nature and to ensure the well being of future generations. Animals and plants are also natural resources that must be preserved to keep the planet healthy. If you choose this major, you’ll learn what it takes to keep a natural area functioning. You’ll also explore smart ways to use nature for recreation and for producing goods. You'll use everything from biology to economics to confront some of the most world’s toughest problems.
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https://roadtripnation.com/major/03.0101
2024-12-08T00:15:28Z
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We all need to do some type of fitness and exercise to stay healthy and strong. If you want to be fit and strong, then you need to learn what types of exercise you like to do. The more active you are, the better off you are in your fitness journey. Fitness is the state of being able to do various parts of daily activities, jobs and sports and, more importantly, maintaining proper health. Proper fitness is usually achieved through light-weight, appropriate-vigorous exercise, proper nutrition and adequate rest. One must work on skill-related components as well to enhance fitness. There are many factors that determine a person’s fitness level. It is not just the amount of exercise one engages in, but the quality and intensity of that exercise. Some things that affect fitness level include body composition, muscle strength, health-related components and life performance. One’s age, body size and shape as well as muscular endurance also play an important role in determining one’s fitness level. The quality of an activity or exercise is also a key determinant factor in determining a person’s fitness level. It may be easy for some to engage in exercises such as walking or jogging whereas others need a lot of stretching to keep fit. It is important to determine the level of difficulty of an activity before undertaking it. For instance, it would be impossible for someone who is very short in stature to engage in high-impact aerobics, whereas someone of the same height and weight could take up rowing and aerobic exercises. Similarly, someone with poor flexibility can make great use of stretching exercises. Life performance is an aspect of fitness that is often overlooked by individuals other than fitness specialists. In general, life performance is self-examined on a daily basis through things such as job satisfaction with one’s social network. It is also affected by personal relationships. However, this aspect of fitness has particular significance in terms of increasing one’s fitness levels. Basically, it measures how well an individual does in various areas of life such as work, relationships and recreation. The three main components of fitness are physical exercise, activity level and life performance. Physical exercise is considered the first component because it is what will get the body moving and provide it with calories and oxygen. An active lifestyle is always encouraged for people to live longer and be healthy. While it may be easy to do some activities such as smoking and drinking alcohol, sedentary lifestyles can still affect fitness. Thus, it is important for a fitness expert to determine the factors and components that affect fitness levels in individuals and design a fitness plan accordingly.
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CC-MAIN-2024-51
https://robaseball.com/2021/04/07/the-essential-components-of-fitness-and-why-they-matter/
2024-12-07T23:42:07Z
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What is a Business Continuity Plan (BCP)? A Business Continuity Plan (BCP) refers to the processes, procedures, decisions, and activities outlined and defined to ensure that an organisation can continue and recover its operations in the face of a significant adverse event. This could be due to natural disasters, fires, data breaches, cyberattacks, supply chain issues, or other business threats. Benefits to Businesses: - Minimised Downtime: A well-defined BCP can reduce the downtime experienced during unexpected events, ensuring essential functions can continue and thus reducing potential financial losses. - Protects Reputation: Proactively managing and preparing for potential crises demonstrates a commitment to stakeholders, customers, and employees that the business takes its responsibilities seriously. This can maintain and even enhance the organisation's reputation. - Improved Recovery Time: With clear steps to follow, businesses can accelerate their recovery post-incident, restoring normal operations more swiftly. - Operational Resilience: BCP ensures that an organization can still operate even in partial capacity, ensuring essential services or products are delivered. - Employee Confidence: Knowing that there's a plan in place provides employees with a sense of security and clarity about their roles during crises. - Compliance and Legal Protection: For certain industries, having a BCP is mandatory for regulatory and compliance reasons. Even if not mandatory, a robust BCP can shield a business from potential legal consequences post-disruption. - Financial Protection: By identifying potential threats and planning for them, a business can potentially reduce the financial impact of unexpected disruptions. - Competitive Advantage: In the event of industry-wide disruptions, companies with a robust BCP might recover faster than their competitors, providing a significant advantage in the market. - Supplier and Stakeholder Confidence: External partners may be more willing to do business with a company that has proven resilience and continuity strategies in place. - Enhanced Decision-Making: A BCP provides clear guidelines and decision-making processes during a crisis, which can prevent hasty or ill-considered decisions that can exacerbate the situation. - Testing Organisational Preparedness: Regularly updating and testing a BCP can highlight vulnerabilities in an organisation's operations, leading to improvements even outside of crisis scenarios. In summary, a Business Continuity Plan is not just about managing risks; it's about ensuring the longevity and resilience of a business in an unpredictable world. In the face of disruptions, whether they are global pandemics or local power outages, having a BCP can make the difference between a temporary setback and a devastating blow to the business.
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CC-MAIN-2024-51
https://robotlawyer.co/services/business-continuity-plan
2024-12-07T23:56:37Z
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Few readers of ROOM - The Space Journal will be unaware of the significance of 2019 in the realms of human spaceflight and it would be surprising if space book publishers were unprepared to celebrate the 50th anniversary of that first manned lunar landing. The fact that this one ‘got in early’ indicates the potential interest in producing a retrospective of what its subtitle calls “the Golden Age of Moon Explorers”. It has also stolen a march on potential competition by offering something a bit different in terms of presentation. Rather than attempt to provide a comprehensive historical analysis, the author has summarised the era with a selection of carefully chosen photographs and quotations tied together by his own personal observations. In covering the 24 men that went to the Moon, the book explains why they went; what they did; what they were thinking at the time; and how they decided to spend the rest of their lives. In eight chapters, it reviews what the lunar astronauts did before their Apollo assignments, how they were trained and some of what they did afterwards. It concludes with appendices, source materials and an index. Each astronaut gets a bio page with two photos and brief details of qualifications and experience. The rest of the book is well illustrated with colour photographs, which offer a nice balance between the ‘stock shots’ and those less often seen (among them many from the author’s own collection). In his introduction, he reports his surprise at the fact that there is no single photograph that shows all 24 astronauts who went to the Moon, and even more surprisingly that “no one even thought to take a group photo of the 12 men who walked on its surface”.
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CC-MAIN-2024-51
https://room.eu.com/review/afterglow-reflections-on-the-golden-age-of-moon-explorers
2024-12-08T00:17:10Z
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Use this method to pause the test execution until the specified Java runtime instance loaded to the process becomes available to TestComplete. The method returns a program object that provides access to the Java virtual machine loaded to the process. TestObj | A variable, parameter or expression that specifies a reference to one of the objects listed in the Applies To section | ||| Index | [in] | Required | Integer | | Timeout | [in] | Required | Integer | | Result | Object | The method is applied to the following object: To view this method in the Object Browser panel and in other panels and dialogs, activate the Advanced view mode. The method has the following parameters: Specifies the zero-based index of the desired Java virtual machine among those loaded to the process. The default value is 0. To get the total number of Java virtual machines loaded to a process, use the JavaVMCount The number of milliseconds to wait until the specified Java runtime instance becomes available. If Timeout is 0, the method is returned immediately. If Timeout is -1, the waiting time is infinite. Note that the Timeout value is not strict and if the tested application is busy, TestComplete can wait for the object longer than it is specified by the parameter. This can be caused by the following: A call to any WaitXXXObject method causes the object tree to refresh. To update object data, TestComplete may call some of object’s native methods that are accessible only from the application’s thread. When the thread is busy, TestComplete tries to call those methods during some pre-defined time (one second) thus delaying the refresh. There could be several attempts to get the object’s data which could result in a noticeable difference from the Timeout value. method returns a JavaRuntime object that provides access to a Java virtual machine loaded to the specified process. If TestComplete cannot access the specified Java runtime instance (for example, this object does not exist), the method returns an empty stub object. To determine whether WaitJavaRuntime returns a valid object, use the Exists property of the resultant object. If this property returns False, then the returned object is a stub object and the call to WaitJavaRuntime was not successful.
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Dansk samarbejdspolitik - tysk jødepolitik The German occupation in 1940 was a so-called peace occupation, i.e. without preceding war. The Germans declared that they would not interfere with Danish internal affairs. Denmark’s diplomatic representative operated until German capitulation in 1945. The foundation for collaboration between the Danish government and the German occupational force was hereby created. The Danish foreign minister, Erik Scavenius, led a policy that aimed to adjust Denmark to German plans of a Europe under German leadership. Early on, collaboration was accompanied by crises often followed by rumors that Germans wanted to take action against Jews in Denmark. Meanwhile, Danish politicians let the Germans understand that taking action against Danish Jews would mean to sever the diplomatic ties between the two countries. After a crisis in 1942, Hitler sent Dr. Werner Best as superior and authorized diplomatic representative. Best was a leading Nazi ideologist who had previously been appointed high positions in the security agency, SS, and Gestapo. His policy in Denmark aimed at keeping the country calm so that important food export to Germany could take place unperturbed. Increasing incidents of sabotage executed by the resistance movement and a revolt by the people in August 1943 resulted in German military taking over power and declaring martial law. Best had lost his powerful position but quickly regained his strength. He suggested to Berlin to use martial law to arrest and deport Danish Jews. Hitler accepted the plan. Subsequently, Best initiated different damage control activities with the mission of subduing the Danish people. In particular, he feared a new Danish revolt. He told an employee with good contacts among Danish politicians that personally he would not mind if the Jews escaped to Sweden. Three days before action was planned to take place, he leaked to the same employee that it would happen on the night between October 1st and 2nd, 1943. The Danish reaction to the persecution of the Jews was different than Best had imagined. A broad cross section of the Danish people undertook a rescue operation that in two weeks brought approx. six thousand Jews to safety in Sweden. Among other things, the operation was unique because it was spontaneous and without any central management. Germans arrested and deported approx. five hundred Danish Jews and took them to Theresienstadt. Best told the Danish public authorities that here the Jews had self-government and lived under proper conditions. In the time that followed, the Danish administration among other things posed several questions to the Germans about people that had been deported by mistake and asked if they could be sent home. They also sent a request for a visit by Danish Red Cross and others. In late October, Best traveled to Berlin to obtain an answer for the Danes. A few days later, Adolf Eichmann came to Copenhagen officially to discuss “details” with Best. Everything suggests that they also met to plan the Danish visit. Theresienstadt would be turned into a “Potemkin village” so that Red Cross could report that Jews were well and lived under proper conditions. This propaganda trick was successful. In a telegram with three items, Best dictated how the Danish requests should be met. The last item has been misinterpreted, so that it has generally been held that there was an agreement that said that Danish Jews should not be transported to Auschwitz. However, there is no trace to suggest such an agreement. That Danish Jews avoided being sent to extermination was most likely the result of Gestapo categorizing them as “prominent”, meaning Jews who were known and followed by people abroad. Gestapo had decided to save them until the final phase of the extermination procedure.
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Cognitive testing evaluates brain activities such as thinking, learning, memory, and language to discover cognitive impairment. Various assessments require you to answer questions and do easy tasks in 15 minutes or less. While it is more common in the elderly, cognitive impairment is not a normal component of the aging process and can be caused by physical or mental health disorders, some of which are treatable. Looking for cognitive testing Atlanta services? Visit the website. Are there any limitations? Although treating underlying illnesses can improve or cure cognitive impairment, dementia, such as Alzheimer’s, has no treatment and worsens with time. Cognitive testing cannot diagnose dementia on its own, but it can help uncover brain function concerns that may require more testing. Even if the reason cannot be cured, it aids in future care planning. Cognitive testing is often referred to as cognitive assessment, cognitive screening, Montreal Cognitive Assessment, MoCA test, Mini-Mental State Exam (MMSE), and Mini-Cog. What is its use? Memory, reasoning, and brain processes are all evaluated via cognitive testing. It aids in the identification of problems that may necessitate additional testing. It is frequently used to screen older people for moderate cognitive impairment (MCI), which can progress to dementia but can also remain stable or improve over time. MCI has no cure, however, regular testing can detect abnormalities in brain function. Is it important? If you exhibit indicators of cognitive impairment, such as forgetfulness, difficulty finding words, or increased anger, cognitive testing is required. The tests consist of answering questions and doing easy tasks. The Montreal Cognitive Assessment (MoCA), Mini-Mental State Exam (MMSE), and Mini-Cog are common tests used to examine memory, attention, and other brain functions. Scores are used to indicate cognitive test results. A normal result does not rule out the possibility of disability, therefore, additional testing may be required if there are concerns. Lower scores indicate cognitive impairment, however, these data cannot be used to make a diagnosis. Neuropsychological testing may be performed by a neurologist to measure brain function in greater depth, including abilities such as problem-solving and decision-making. The tests will be based on the results of your medical history, physical exam, and cognitive assessment. Blood vessel abnormalities, sleep difficulties, hypothyroidism, vitamin deficiencies, mental health issues, brain injuries, strokes, and UTIs are all possible diagnoses. If the damage is irreversible, medication and lifestyle changes may help reduce the deterioration in brain function.
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Scientists have known about the connection between hearing loss and dementia for some time. A new study looking at changes in the brain of patients with hearing loss and Alzheimer’s Disease (AD) may offer more insight as to why. Previous Research on Hearing Loss and Dementia A previous study from John Hopkins University found that hearing loss may contribute to a faster rate of atrophy in the brain. The same research also shows that hearing loss is associated with a higher risk of dementia. The more severe the hearing loss the higher the risk of cognitive decline becomes. Changes in Brain Structure May Explain Hearing Loss Link A 2020 study from the Carle Illinois College of Medicine compared MRIs of people with AD and hearing loss to those with AD and normal hearing. They found a higher incidence of shrinkage in the brainstem and cerebellum in patients with both hearing loss and AD. Researchers were intrigued by these findings. They had expected to find changes to the temporal lobe, as that is the brain’s auditory and language processing center. “This is a surprising finding but one that relates to newer studies that link Alzheimer’s Disease with dysfunction in auditory function which requires cerebellar activation,” said Susie Kwok, medical student and collaborator on the study. Meanwhile, Dan Llano, lead researcher and associate professor of biomedical and translational science at Carle Illinois, is optimistic that this research could aid in the discovery of early intervention measures. “Our hope is that eventually, this work will help us to come up with better diagnostic and treatment strategies for Alzheimer’s Disease and dementia more generally,” said Llano. Using Hearing Aids to Protect Your Mind One intervention method that may prevent or delay the onset of cognitive decline and dementia is treating hearing loss with hearing aids. While researchers don’t quite know what fuels the connection between hearing loss and dementia, it’s believed that a lack of brain stimulation plays a part. Hearing loss decreases brain stimulation in several ways: - Depriving the parts of your brain that process sound. This deprivation may lead to the structural changes seen on brain scans of those with hearing loss. - Social isolation. Some people with hearing loss tend to isolate themselves from others as a response to feeling frustrated and overwhelmed in social situations. Hearing aids can help remedy both of these issues. - They help you hear and process more sounds which allows your brain to receive proper stimulation. - They make it easier to engage with others when dining out at Local Kitchen or other social situations. If you have additional questions or would like to make an appointment with one of our specialists, contact Torrance Audiology today.
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CC-MAIN-2024-51
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Giraffes are the tallest mammals on Earth, with long necks and legs that allow them to reach high branches for leaves. Native to African savannas, their unique spotted patterns are as individual as human fingerprints. Giraffes are social animals, living in loose, open herds without a strict hierarchy. They are known for their long necks, which they use to browse leaves and twigs from the tops of trees, primarily acacia species. Their height also provides a vantage point to spot predators. Females give birth standing up, dropping their calves from a height of about 2 meters. Calves can stand and run within a few hours of birth. Giraffes have a gestation period of around 15 months, and mothers are protective, keeping their calves close for the first few weeks. The giraffe is the tallest land animal, with adult males reaching up to 5.5 meters in height. They have a distinctive coat pattern of brown patches separated by lighter lines, which is unique to each individual. Their long legs and necks are adaptations to their browsing lifestyle. Giraffes have fascinated humans for millennia, depicted in ancient Egyptian art and later described by Roman and Greek scholars who marveled at their unique appearance. They were often given as exotic gifts to European monarchs. Giraffes are classified as Vulnerable to extinction by the IUCN Red List, with some subspecies being more endangered. Their populations are declining due to habitat loss, poaching, and civil unrest in their native habitats. Conservation efforts include habitat restoration, anti-poaching patrols, and education programs to ensure their survival.
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Ţūz Khūrmātū, Iraq Region: Salah ad-Din Governorate Geographic Coordinates: 34.877200, 44.638300 Temperature Range: 10.0°C to 45.0°C (50°F to 113°F) Climate: Hot summers and cool winters with occasional rainfall. Tuz Khurmatu is a small city located in the Salah ad Din Governorate of Iraq. It is situated on the banks of the Tigris River and is about 175 kilometers north of Baghdad. The city has a population of approximately 50, 000 people and is inhabited mainly by Turkmen, Arabs, And Kurds. The name Tuz Khurmatu means salt pits in Arabic, Which refers to the salt mines that were once located in the area. These mines were an important source of income for the local population until they were closed down in the 1970s due to declining demand. One of Tuz Khurmatu’s most notable landmarks is its ancient citadel, Which dates back to at least the 5th century AD. The citadel was used as a military fortification during various periods throughout history and was also used as a prison during Saddam Hussein’s regime. In recent years, Tuz Khurmatu has been affected by sectarian violence between Sunni and Shia Muslims. In October 2017, Clashes erupted between Iraqi government forces and Kurdish Peshmerga fighters over control of the city following Kurdistan’s independence referendum. Despite these challenges, Tuz Khurmatu has seen some development projects including infrastructure improvements such as roads being paved with asphalt instead of dirt or gravel roads; new schools have also been built with modern facilities such as computer labs; healthcare centers providing medical services to residents have opened up too. Tuz Khurmatu’s economy depends mainly on agriculture with crops such as wheat, Barley, Cotton among others being grown here. The region also produces fruits like pomegranates which are exported throughout Iraq. Overall, While Tuz Khurmatu may be relatively small compared to other cities in Iraq it has a rich history dating back centuries that continues to be preserved today. Despite its challenges, The city remains an important cultural and economic center for the region. - The Great Mosque of Tuz Khurmatu: A stunning mosque situated in the city center. - Tigris River: The river flows through the town and provides picturesque views for tourists. - Amadiya: A historical town located approximately 70 km from Tuz Khurmatu with ancient architecture and cultural sites. - Kirkuk Citadel: A historic fortress situated around 50 km from Tuz Khurmatu, which holds significant cultural importance. - Erbil Citadel: One of the oldest continuously inhabited cities globally, located around 100 km from Tuz Khurmatu, with many historical landmarks such as mosques and bazaars. - Alqosh Monastery: An ancient monastery placed about 150 km from Tuz Khurmatu that attracts tourists interested in religious history and architecture. - Dukan Lake: A natural lake positioned roughly 200 km from Tuz Khurmatu that offers boating activities and scenic views for tourists visiting Iraq’s Kurdistan region. - Oil and gas production - Small-scale manufacturing The city is home to several oil fields and refineries which provide employment opportunities for local residents. Agriculture is also an important industry in the region with many farmers growing crops such as wheat, barley, and cotton. Additionally, there are a number of small-scale manufacturing businesses in Ţūz Khūrmātū that produce goods such as textiles and food products. - The Battle of Tuz Khurmatu (2014): Iraqi security forces fought against ISIS militants in Tuz Khurmatu resulting in the town’s liberation from ISIS control. - The Kurdish uprising (1991): In the aftermath of the Gulf War, Kurdish rebels rose up against Saddam Hussein’s regime in Tuz Khurmatu and other parts of northern Iraq. - Sheikh Mahmoud Al-Sarkhi Al-Jawhari: A prominent Sufi scholar and religious leader who lived in Tuz Khurmatu during the 19th century. - The Turkmen community: A significant population of Turkmen people reside in Tuz Khurmatu, playing an important role in shaping the town’s culture and history. - Saddam Hussein’s regime: During his rule, Saddam Hussein committed numerous atrocities against Kurds and other minorities living in Tuz Khurmatu and other parts of northern Iraq. Museums and Things To See - Al-Mustafa Mosque - Tuz Khurmatu Museum - Qal’at Sherqat Castle - Al-Askari Shrine - Samara Archaeological City - Ali Air Base Memorial - Tikrit Museum - Salahaddin University-Erbil Art Gallery - Sulaymaniyah Museum - Erbil Citadel - There is limited information available online about sports teams and their histories in Ţūz Khūrmātū, Iraq. - This may be due to the fact that the town has been affected by conflict and instability in recent years. - However, it is known that football (soccer) is a popular sport in Iraq and it is likely that there are local football clubs or teams in Ţūz Khūrmātū. - Additionally, other sports such as basketball and volleyball may also be played at a recreational level. - It should be noted that due to security concerns and ongoing conflict in the region, organized sports activities may be limited or disrupted. - Eid al-Fitr - Newroz (Kurdish New Year) - Baghdad International Film Festival - Babylon Festival of International Theatre and Arts It is recommended that you reach out to local tourism boards or event organizers for more detailed information on particular events in Ţūz Khūrmātū or other Iraqi cities/towns/villages as they may differ from year to year depending on local customs and traditions. - Kebab restaurants – There are several kebab restaurants in Ţūz Khūrmātū that offer delicious grilled meat dishes. - Shawarma shops – Shawarma is a popular Middle Eastern fast food dish made with meat (usually chicken or beef), vegetables, and sauces wrapped in pita bread. - Iraqi-style biryani – Biryani is a rice dish that is popular all over the world; however, each country has its variation of it. In Iraq, the biryani typically includes lamb or chicken and flavored with spices like cumin and cardamom. - Falafel stands – Falafel is another Middle Eastern favorite that consists of deep-fried balls made from ground chickpeas and spices. - Al-Ma’moon restaurant – This restaurant serves traditional Iraqi cuisine such as lamb kebabs, chicken tikka masala, and hummus. - Al-Baghdadiya restaurant – This restaurant offers a variety of dishes including shawarma wraps, grilled meats served with rice or bread, salads and soups. - Al-Sultan Restaurant- This place offers traditional Iraqi dishes such as kubba halabiya (stuffed bulgur wheat dough), dolma (stuffed grape leaves), margoog (vegetable soup) among others. - Al-Rashid Park: This is a popular park located in the city center of Ţūz Khūrmātū. It has a playground, walking paths, picnic areas, and sports facilities. - Football fields: Football (soccer) is a popular sport in Iraq and there may be several football fields or pitches available for public use in Ţūz Khūrmātū. - Al-Tahrir Sports Club: This is a local sports club that may offer various recreational activities such as swimming, weightlifting, and martial arts. - Cultural events: Depending on the season and local traditions, there may be cultural events such as festivals or fairs that offer entertainment and recreation for residents of Ţūz Khūrmātū. Parks and Recreation It’s important to note that due to ongoing security concerns in Iraq, it’s recommended to check with local authorities or travel advisories before visiting public places or participating in outdoor activities.
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Manzanita trunks begin as Manzanita trees; these grow in the Western regions of the United States, most notably in California. The Manzanita belongs to the genus Arctostaphylos. Some Manzanita species are among the rarest in the world. At one time, the Manzanita grew wild in San Francisco’s historic Presidio military base, which dates back to 1776. In 1883, Major William Jones ordered the planting of 100,000 non-native pine trees, cypress and eucalyptus in the Presidio to surround the Manzanita and the natural sand dunes. One species of Manzanita, called the Presidio Manzanita, is the most endangered and restricted plant on the entire mainland United States. By 1987, one remained at an anonymous location in San Francisco’s Presidio. There are about 60 to 70 other species of Manzanita growing elsewhere, from British Columbia in Canada south to central Mexico. They prefer hilly slopes and well-drained soil. Manzanita is often called “mountain driftwood” because its branches and trunk look like the wood is sculpted by ocean waves. The name in Spanish means “little apple” and the Manzanita tree fruits a bright red berry, which resembles a tiny apple. Manzanita trunks and branches are often used in decoration or in aquariums for their intricate shapes and hardiness of wood. Manzanita trunks support these gnarled branches, which have smooth, naturally reddish wood underneath shredded bark. If the wood is exposed to sunlight, the color can be bleached out – again, hence the nickname “mountain driftwood”. Our master tree builders discovered years ago that Manzanita trunks could be transformed into the most beautiful and unique permanent trees and bonsai. The rich colors of the wood and one-of-a-kind shapes make them perfect natural building materials for our plant art and artificial trees. Our harvesters cut huge branches off the tops of living trees, some of which grow to over 30 feet tall. Often these branches are art to themselves. They can be foliated with dozens of artificial leaf choices to build a personal tree just for you. In addition to Manzanita trunks, our bonsai trunks can also be made with grapevine trunk, rough oak, and all hardwoods. TreeScapes & PlantWorks can help you showcase permanent bonsai accents from tabletop size to 14-foot free-standing, where ever you choose to showcase these works of plant art. The Manzanita tree is a lovely specimen found in nature, and whether you live in the West or elsewhere, you can enjoy its beauty, colors, and shapes. TreeScapes & PlantWorks transforms Manzanita trunks into functional, completely new forms of artificial plants and trees.
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The Striped Barb, scientifically known as Puntius johorensis, is an intriguing freshwater fish that originates from Southeast Asia. With its captivating horizontal stripes on a dull yellow-gold base color, this species effortlessly grabs attention in any aquarium. Its active nature and distinct riverine body shape make it a visually appealing addition to any aquatic environment. However, there is more to discover about the care, maintenance, and breeding of this fascinating fish. So, let's dive into the world of the Striped Barb and uncover the secrets to successfully keeping and breeding this unique species. - Puntius johorensis is a uniquely patterned barb with horizontal stripes, making it visually appealing in aquariums. - It is native to Southeast Asia, specifically Malaysia, Singapore, Sumatra, and Borneo, and is typically found in riverine habitats with a dull yellow-gold base color and six prominent black stripes. - Puntius johorensis can grow up to 5 inches (12.5 cm) and requires a minimum tank size of 40 gallons long (150 L) with proper water quality. - They are undemanding in terms of water parameters, but maintaining good water quality, providing dim lighting, plenty of plant cover, and a secure environment are crucial for their well-being. Overview of Puntius Johorensis The Puntius johorensis, commonly known as the Striped Barb, is a uniquely patterned fish with horizontal stripes that is native to Southeast Asia, specifically Malaysia, Singapore, Sumatra, and Borneo. This species has specific habitat requirements that need to be met in order to ensure their well-being. Puntius johorensis thrives in peat swamps, slow-moving blackwater streams, and stagnant pools. They prefer a bottom covered with mud and decaying leaf litter, and water stained with tannic acids and other organics. Additionally, the presence of fallen trees and wood in their natural habitat is crucial for their comfort. In terms of behavior and socialization, it is recommended to keep Puntius johorensis in groups of at least 6, preferably 10 or more, to create a secure environment where they can exhibit their natural behaviors. Quick Stats of Puntius Johorensis Puntius johorensis, commonly known as the Striped Barb, is a highly active and entertaining fish native to Southeast Asia, specifically Malaysia, Singapore, Sumatra, and Borneo. This species can reach up to 5 inches (12.5 cm) in size and requires a minimum tank size of 40 gallons long (150 L), preferably 55 gallons. The Striped Barb is primarily a midwater swimmer, but it can also feed at the top and bottom of the tank. When selecting tank mates, it is important to consider their compatibility with the Striped Barb's active nature. While Puntius johorensis is adaptable to various water parameters, maintaining optimal water quality is crucial for their well-being. It is recommended to keep nitrates below 20 ppm at all times to ensure a healthy environment for these fish. Maintenance of Puntius Johorensis To properly maintain Puntius johorensis, it is essential to prioritize water quality and create a secure environment for these highly active and entertaining fish. This can be achieved by monitoring and maintaining the following water parameters: - Keep nitrates below 20 ppm at all times to ensure optimal water quality. - Provide dim lighting and plenty of plant cover, especially floating plants, to mimic their natural habitat. - Keep them in groups of at least 6, preferably 10 or more, to promote social behavior and reduce stress. Ensure a secure environment by providing hiding spots and suitable tank mates that are peaceful and compatible with Puntius johorensis. Regularly test and maintain water temperature, pH, and hardness within the recommended range for the species. Diet of Puntius Johorensis In order to meet the dietary needs of Puntius johorensis, it is important to provide a balanced and varied diet that consists primarily of high-quality flake or pellet food, supplemented with live and frozen foods for added nutritional value. These barbs have omnivorous feeding habits, meaning they consume both plant and animal matter. However, their diet should primarily consist of commercially available flake or pellet food that is specifically formulated for tropical fish. This ensures that they receive the necessary vitamins, minerals, and proteins to support their growth and overall health. To add variety to their diet, you can also offer them live or frozen foods such as bloodworms, brine shrimp, and daphnia. Additionally, providing soft-leaved, fast-growing plants for grazing can also be beneficial. It is important to note that while Puntius johorensis may nibble on plants, caution should be exercised to avoid excessive damage. Offering a diverse diet is essential to meet their nutritional requirements and promote their well-being. Food Type | Frequency | High-quality flake or pellet food | Daily | Live or frozen foods (bloodworms, brine shrimp, daphnia) | 2-3 times a week | Soft-leaved, fast-growing plants | As grazing option | Biotope and Breeding of Puntius Johorensis To facilitate the successful breeding and replication of Puntius johorensis, it is imperative to understand its natural biotope and the specific environmental conditions required for optimal reproductive behavior. This species is known to inhabit peat swamps, slow-moving blackwater streams, and stagnant pools in Southeast Asia, particularly in Malaysia, Singapore, Sumatra, and Borneo. In their natural habitat, the bottom is covered with mud and decaying leaf litter, and the water is stained with tannic acids and other organics. Additionally, fallen trees and wood are commonly present. When attempting to breed Puntius johorensis, it is essential to provide a similar environment that mimics their natural habitat. Breeding techniques include proper conditioning and the use of healthy specimens. Understanding and replicating the natural habitat of Puntius johorensis is crucial for successful breeding endeavors. Additional Care Tips for Puntius Johorensis When it comes to the care of Puntius johorensis, there are a few additional tips to consider. Breeding challenges may arise, so it's important to provide optimal conditions. Maintaining water quality is crucial, as nitrates should be kept below 20 ppm at all times. Dim lighting and plenty of plant cover, including floating plants, should be provided to create a secure environment. Keeping Puntius johorensis in groups of at least 6, preferably 10 or more, will help them feel comfortable. As for tank mates, peaceful and similarly sized fish are recommended to minimize aggression and competition. By following these additional care tips, the well-being and thriving of Puntius johorensis can be ensured in the aquarium setting. Frequently Asked Questions What Is the Average Lifespan of Puntius Johorensis in Captivity? The average lifespan of Puntius johorensis in captivity is approximately 4-5 years. When keeping Puntius johorensis, it is advisable to avoid aggressive or territorial tank mates to prevent stress and potential harm to the barb. Are There Any Particular Tank Mates That Should Be Avoided When Keeping Puntius Johorensis? Puntius johorensis, the Striped Barb, is best kept with peaceful community fish that share similar water requirements. Avoid aggressive or territorial species that may harm or stress the barb. Can Puntius Johorensis Be Kept in a Community Tank With Other Fish Species? Puntius johorensis can be kept in a community tank with other fish species, but caution is advised. Ideal tank mates include peaceful, similarly-sized fish that can thrive in similar water conditions and share similar dietary needs. How Often Should Water Changes Be Performed for Puntius Johorensis? Water change frequency for Puntius johorensis depends on the size of the tank, number of fish, and water parameters. Generally, a 25% to 50% water change every 1-2 weeks is recommended. Breeding techniques involve providing proper conditioning and a separate breeding tank with suitable water conditions. What Is the Recommended Temperature Range for Keeping Puntius Johorensis? The recommended temperature range for keeping Puntius johorensis, the striped barb, is between 74-82°F (23-28°C). Ideal tank mates for this species include peaceful and similarly sized fish that can tolerate the same water parameters. In conclusion, the Striped Barb, Puntius johorensis, is a captivating freshwater fish native to Southeast Asia. With its unique pattern and active behavior, it makes a visually appealing and engaging addition to any aquarium. With proper maintenance, including a suitable tank size and excellent water quality, as well as a diverse diet, this species can thrive. Breeding these fish is also achievable with healthy specimens and proper conditioning. Overall, the Striped Barb is a delightful choice for aquarists seeking an aesthetically pleasing and lively aquatic companion. Like a shimmering gem in a flowing river, the Striped Barb adds depth and complexity to any aquarium setting.
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In an era where educational choices are abundant, the debate surrounding Catholic schools has been a contentious one. While some families swear by the values and discipline instilled in these institutions, others raise concerns about the potential drawbacks. If you’re seeking an in-depth exploration of this topic, you’ve come to the right place. If you’re short on time, here’s a quick answer to your question: Catholic schools can be considered bad due to factors such as religious indoctrination, lack of diversity, strict disciplinary measures, and potential for discrimination against non-Catholic students or those with different beliefs. In this article, we’ll delve into the various aspects that contribute to the perception of Catholic schools as potentially problematic. From religious dogma to academic limitations, we’ll examine the arguments put forth by critics and provide a balanced perspective on this complex issue. Religious Indoctrination and Lack of Diversity Catholic schools are often criticized for their emphasis on religious indoctrination and lack of diversity, which can be detrimental to the development of critical thinking and open-mindedness in students. This section will delve into three key issues related to this concern: mandatory religious instruction, potential for proselytization, and limited exposure to different beliefs and cultures. Mandatory Religious Instruction In most Catholic schools, religious education is a mandatory subject, and students are required to attend religious classes and participate in religious activities such as Mass and prayer services. According to a report by the Center for American Progress, approximately 80% of Catholic schools in the United States require students to attend religious classes. While proponents argue that this fosters a sense of community and moral values, critics contend that it amounts to indoctrination, as students are exposed to only one religious perspective and may not have the opportunity to explore alternative worldviews. Potential for Proselytization Closely tied to mandatory religious instruction is the concern that Catholic schools may engage in proselytization, or actively attempting to convert students to Catholicism. According to a report by Education Week, there have been instances where Catholic schools have been accused of pressuring non-Catholic students to convert or face discrimination. While Catholic schools have the legal right to promote their religious beliefs, critics argue that this practice can be coercive and undermine the religious freedom of students and their families. Limited Exposure to Different Beliefs and Cultures Another concern raised by critics is that Catholic schools may not provide adequate exposure to different beliefs and cultures, which can hinder students’ understanding and appreciation of diversity. A study by the National Catholic Reporter found that only 19% of Catholic school students in the United States are non-white, and many schools lack diversity in terms of religious and cultural backgrounds. This lack of diversity can reinforce biases and stereotypes, and may not prepare students for navigating an increasingly multicultural and globalized world. While Catholic schools aim to instill moral values and a strong sense of community, the emphasis on religious indoctrination and lack of diversity can be seen as problematic by some. It’s important for parents and students to carefully consider these factors when choosing an educational institution, and for Catholic schools to strive for a balance between promoting their religious values and fostering an environment that encourages critical thinking, open-mindedness, and respect for diversity. Strict Disciplinary Measures and Conformity Catholic schools are known for their strict disciplinary measures and emphasis on conformity. These practices are often justified as a means of instilling values such as respect, responsibility, and self-discipline in students. However, critics argue that they can be excessive and detrimental to a child’s development and individuality. Rigid Dress Codes and Behavioral Policies One of the most visible aspects of Catholic school discipline is the rigid dress code. Students are typically required to wear uniforms, which can range from simple polo shirts and khakis to more formal attire like blazers and ties. While proponents argue that uniforms promote a sense of unity and professionalism, opponents contend that they stifle self-expression and individuality. In addition to dress codes, Catholic schools often have strict behavioral policies that govern everything from hairstyles to the use of electronic devices. According to a study by the National Catholic Educational Association, nearly 90% of Catholic schools have policies prohibiting the use of cell phones during school hours. While these rules are intended to promote discipline and minimize distractions, some argue that they are overly restrictive and fail to prepare students for the realities of the modern world. Emphasis on Obedience and Conformity Beyond specific rules and regulations, Catholic schools often place a strong emphasis on obedience and conformity. Students are expected to follow instructions without question and adhere to a strict code of conduct. This approach is rooted in the belief that obedience and respect for authority are essential virtues. However, critics argue that this emphasis on conformity can stifle critical thinking and creativity. It may also discourage students from questioning or challenging authority figures, even in situations where it may be warranted. According to a study by the American Psychological Association, children who are raised in environments that prioritize obedience over independent thought are more likely to struggle with decision-making and problem-solving skills later in life. Potential for Excessive Punishment Another concern regarding Catholic school discipline is the potential for excessive punishment. While corporal punishment is generally prohibited in most Catholic schools, other forms of punishment, such as detention, suspension, and expulsion, are common. Critics argue that these punishments can be disproportionate to the offense and can have negative psychological and academic consequences for students. According to a report by the American Civil Liberties Union, students who are suspended or expelled are more likely to experience academic difficulties, drop out of school, and become involved in the juvenile justice system. Additionally, some argue that excessive punishment can breed resentment and undermine the very values that Catholic schools aim to instill. Academic Limitations and Curriculum Concerns One of the primary concerns surrounding Catholic schools is the potential for bias in their science and history curricula. While many Catholic schools strive to present a balanced perspective, there is a risk that certain topics, such as evolution or historical events involving the Church, may be taught from a perspective that aligns with Catholic doctrine. This could potentially limit students’ exposure to alternative viewpoints and hinder their ability to develop critical thinking skills. Potential Bias in Science and History Curricula According to a study by the National Center for Science Education, a significant number of Catholic schools continue to teach creationism or intelligent design alongside evolutionary theory, potentially presenting a biased view of scientific concepts. Additionally, some history curricula may downplay or omit certain events that cast the Catholic Church in a negative light, such as the Inquisition or the Church’s historical treatment of marginalized groups. Limited Elective Offerings and Extracurricular Activities Catholic schools, particularly smaller or underfunded ones, may have limited resources, leading to fewer elective course offerings and extracurricular activities compared to public schools. This can restrict students’ opportunities to explore diverse interests and develop well-rounded skillsets. A report by the National Catholic Educational Association found that only 58% of Catholic secondary schools offered Advanced Placement (AP) courses, potentially limiting students’ ability to gain college-level academic experience. Lack of Emphasis on Critical Thinking Critics argue that Catholic schools may prioritize the memorization of doctrine and dogma over the development of critical thinking skills. This approach could hinder students’ ability to question, analyze, and form independent opinions, skills that are essential for success in higher education and the modern workforce. However, it’s important to note that many Catholic schools have made efforts to incorporate critical thinking into their curricula, recognizing its importance in preparing students for the future. While Catholic schools undoubtedly offer a unique educational experience rooted in religious tradition, it’s crucial to address potential academic limitations and curriculum concerns. By fostering a more balanced and inclusive approach to teaching, Catholic schools can better equip their students with the knowledge, skills, and critical thinking abilities necessary to thrive in an increasingly diverse and complex world. Striking the right balance between faith-based education and academic rigor remains an ongoing challenge for many Catholic institutions. Discrimination and Exclusion Concerns Potential Discrimination Against Non-Catholic Students One of the primary concerns regarding Catholic schools is the potential for discrimination against non-Catholic students. While these institutions are often open to enrolling students from diverse religious backgrounds, there have been instances where non-Catholic students have faced subtle or overt forms of discrimination. According to a study by the Center for American Progress, nearly 20% of non-Catholic students in Catholic schools reported feeling marginalized or treated differently due to their religious beliefs. This discrimination can manifest in various ways, such as exclusion from certain religious activities, differential treatment by faculty or staff, or a lack of representation in the curriculum and school culture. Non-Catholic students may feel pressured to conform to Catholic practices or beliefs, which can create an uncomfortable and unwelcoming environment. It’s crucial for Catholic schools to foster an inclusive atmosphere that respects and celebrates diversity, ensuring that all students feel valued and supported regardless of their religious affiliation. Exclusion of LGBTQ+ Students and Families Another significant concern surrounding Catholic schools is the exclusion and discrimination faced by LGBTQ+ students and families. The Catholic Church’s traditional stance on LGBTQ+ issues has led to policies and practices that can be perceived as discriminatory and harmful to this community. According to a report by the Human Rights Campaign, over 30% of LGBTQ+ students in Catholic schools reported experiencing harassment or bullying based on their sexual orientation or gender identity. Many Catholic schools have strict policies prohibiting same-sex relationships or gender non-conformity, leading to the potential expulsion or disciplinary action against LGBTQ+ students. Additionally, LGBTQ+ families may face barriers to enrollment or full participation in school activities. This exclusion can have detrimental effects on the mental health and well-being of LGBTQ+ students and their families, fostering an environment of fear, stigma, and marginalization. Limited Accommodation for Students with Special Needs While Catholic schools strive to provide quality education, concerns have been raised regarding the limited accommodation and resources available for students with special needs. According to a study by the National Catholic Educational Association, only 7% of Catholic schools in the United States have a full-time special education teacher on staff, and many lack the necessary facilities and resources to adequately support students with disabilities or learning differences. This lack of accommodation can lead to students with special needs being denied admission or facing significant challenges in receiving the support they require to thrive academically and socially. Catholic schools may struggle to provide individualized education plans, assistive technologies, or specialized instruction, potentially hindering the educational outcomes and overall well-being of these students. It’s crucial for Catholic schools to prioritize inclusivity and ensure that all students, regardless of their abilities or needs, have access to the resources and support necessary for their success. The debate surrounding Catholic schools is a complex one, with valid arguments on both sides. While some families value the religious foundation and disciplined environment, others raise concerns about indoctrination, lack of diversity, strict disciplinary measures, and potential discrimination. Ultimately, the decision to enroll a child in a Catholic school is a personal one that should be carefully weighed against individual values, beliefs, and educational goals. It’s crucial to thoroughly research and understand the specific policies and practices of any institution before making a choice that will shape a child’s formative years. As with any educational institution, Catholic schools have their strengths and weaknesses. By objectively evaluating the potential drawbacks highlighted in this article, parents and students can make an informed decision that aligns with their priorities and aspirations for a well-rounded, inclusive, and enriching educational experience.
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Data Science and Big Data Analytics may appear like interchangeable at times, but they both serve different purposes. Dr. Ghosh explains that Data Science is the in-depth evaluation of data and has been around for decades (probably under different names). Big Data, on the other hand, hit the scene a little later. So despite being called ‘Big’ data, it is the younger sibling, in this case. It is different in its approach and is based on the problem you want to solve. Big Data is not necessarily about having a huge amount of data. There are two dimensions to it. One is amassing different varieties of data. The other one is where you have to deal with certain questions, but you do not have the data. Big Data doesn’t necessarily mean sitting over a pre-availed chunk of data. It often involves working around the lack of required data. For example, take Donald Trump’s Presidential campaign. It relied on a combination of structured and unstructured data. It pooled social media data (unstructured) with information gathered from surveys and polls (structured). Combining Big Data and Data Science Now, the Big Data problem is that there is a lot of unstructured data, which may need some cleaning and refining to make it usable. The volume of data may be large too. So how do you solve the challenging issue of combining the two and drawing insights from them? That’s where Data Science comes into the picture. It trains people in certain skill sets, which allows amalgamation of both the above-mentioned factors. So Big Data is more like a topic (theory), while data science involves more of training. They are not two different concepts, they are interlinked and interdependent. However, they are not a substitute for each other. Also, Data Science has evolved over time. Initially, it was more like computer science or engineering. However, industry experts soon realized that slicing and dicing a huge set of data as per the requirements was not enough to have meaningful insights. There was a need to understand the relationship between all the elements to be able to make reliable predictions. That paved way for tools used by statisticians and economists, which when tied together defines the function of a data scientist. Big Data largely focuses on storing and processing data. It usually involves a massive amount of data, which cannot be effectively processed with the help of traditional data segregation tools. Data Science, on the other hand, is more focused towards the decision and actions based on the collected data. It comprises of the use of Mathematical, Machine Learning and Statistical algorithms for generating and using data. Fill in the details to know more What Are SOC and NOC In Cyber Security? What’s the Difference? February 27, 2023 Fundamentals of Confidence Interval in Statistics! February 26, 2023 A Brief Introduction to Cyber Security Analytics Cyber Safe Behaviour In Banking Systems February 17, 2023 Everything Best Of Analytics for 2023: 7 Must Read Articles! December 26, 2022 Best of 2022: 5 Most Popular Cybersecurity Blogs Of The Year December 22, 2022 From The Eyes Of Emerging Technologies: IPL Through The Ages April 29, 2023 Data Visualization Best Practices March 23, 2023 What Are Distribution Plots in Python? March 20, 2023 What Are DDL Commands in SQL? March 10, 2023 Best TCS Data Analyst Interview Questions and Answers for 2023 March 7, 2023 Best Data Science Companies for Data Scientists ! Add your details: Upgrade your inbox with our curated newletters once every month. We appreciate your support and will make sure to keep your subscription worthwhile
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Being smaller in size pumpkin seeds provide a pack full of valuable nutrients that are essential for the human body. Consuming even a small quantity of pumpkin seeds can offer a human body a substantial amount of zinc, magnesium, and healthy fats. There are many health benefits of pumpkin seed extracts intake. The health benefits include prostate health, protection against particular cancers, and heart health. The best part with the pumpkin seed is that these can be easily incorporated in a diet without compromising on anything. Uses of Pumpkin Seeds The nutrients and elements that are found in the oil of pumpkin seeds significantly focus on the urinary tract and the reproductive area of a human body. The fatty acid and the plant sterol that is present in the pumpkin seed oil are able to play a part in the enhanced functionality of the bladder and the urethra. This is one the reason that patients undergoing benign prostatic hypertrophy are getting better and are feeling relived using these seeds. Pumpkin seeds are used for treating the issues of kidneys and for urinary problems along with roundworm and tapeworm infestations. The nutrients that are found present in the oil of the seeds resist the kidneys to form stones. This happens because the oil helps the kidneys in lowering or reducing the concentration of those substances, which fosters the stone formation process. Benefits of Pumpkin Seeds The Following are some health benefits of combining pumpkin seeds with the regular diet: Carotenoids and vitamin E are some kinds of antioxidants that pumpkin seeds contain to offer health benefits to a body. These antioxidants help in reducing the inflammation and keep the cells in our body protected against many diseases. it is true that pumpkin seeds are highly responsible for their strong and positive effects on the human body. Reduces the risk of certain cancers Food and diet containing pumpkin seeds help in reducing the risks associated with breast, prostate, stomach, and colon cancers. Women who are in the phase of post-menopause are suggested to include pumpkin seed extracts in their diet to reduce the risk of breast cancer and other related problems. The lignans present in the pumpkin seeds play a significant role in defeating, treating, and preventing breast cancer. It also contains the potential of slowing down the development of prostate cancer cells. Improvement in bladder and prostate health Pumpkin seeds aids in treating the symptoms of benign prostatic hyperplasia that is a disease in which the prostate glands enlarge, resulting in causing problems with urination. Pumpkin seeds and its supplements also help in treating an overactive bladder. The consumption of pumpkin seeds helps in reducing the symptoms of cancer and assist in improving the quality of life. Well, that’s all about the benefits and uses of pumpkin seeds extracts and its supplements. It becomes imperative in today’s time to take proper care of our health in order to lead a long and healthy life. Do consider adding pumpkin seeds in your diet for the same.
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Table of Contents Ambiques and Cowpeas What is the origin of Ambiques and Cowpeas ? There are several species in the genus Vigna, seven of which are commercially harvested for their grains. They come from India, the Far East, and West Africa. Despite the fact that they have been and continue to be the staple meal for millions of people throughout the world, little is known about their domestication. For example, we know that amberico red (azuki) and amberico green (mungo) were imported to Japan roughly 1000 years before our time, but we don't know when they were domesticated. Aside from cowpea, which was consumed in Europe before the dawn of our period, legumes of the genus Vigna were only recently brought to the West, thanks to waves of immigration from Asia and Africa. Furthermore, unlike rice and soybeans, they have never played a significant part in our societies. We now have a better understanding of cowpea, which was cultivated 5,000 to 6,000 years ago in Abyssinia (modern-day Ethiopia), as well as sorghum, an important crop on the continent. Cowpea was, of course, eaten in the wild long before it was domesticated. The Greeks imported the moth cowpea, a subspecies, from Marseilles to what was still Gaul at the beginning of our period, from where it progressively spread to the rest of the nation. It was widely used until the Renaissance, despite the fact that medical writings from the Middle Ages accuse it of inducing “terrible and misleading nightmares.” It will be displaced by the New World bean after the invasion, and its culture will only endure in a few parts of France: Vendée, Poitou, and Charente. It is still grown in Italy, Spain, and, particularly, Portugal. It is also prevalent in Arab nations, and it is one of the most important native legumes in Brazil. It is thought to have been transported to America from Jamaica in considerable quantities by black slave traffickers about 1675 to feed their unfortunate cargo. It swiftly expanded throughout the West Indies because it is well suited to tropical temperatures and is nutrient-rich. It was widely grown during the 18th century. Its cultivation extended throughout the southern states after it arrived in the United States around 1700, displacing the pea, which was poorly suited to hot temperatures and arid soils. It continues to play a major role in feeding the people of these areas today. What Are The Nutritional and caloric values of Ambiques and Cowpeas ? Ambiques and cowpeas come in a broad range of colors. These legumes are high in dietary fiber, complex carbs, and antioxidants, all of which are beneficial to your health. Phosphorus, iron, zinc, and copper are among the minerals found in them. Pulses are among the top five foods with the highest micronutrient / price ratio, in addition to their inexpensive cost. The following information applies to the same family of plants as amber, mung, azuki, and cowpea. Amberic and cowpea characteristics Excellent dietary fiber sources; high in vegetable proteins; antioxidant power; starch sources; promote transit and cardiovascular health The following are some of the nutrients found in large quantities in amberic and cowpeas: ** Phosphorus. Phosphorus is abundant in azuki (see our Phosphorus Nutrient List), while cowpea and mung are also rich sources. After calcium, phosphorus is the second most prevalent mineral in the body. It is essential for the development and maintenance of healthy bones and teeth. It also has a role in tissue development and regeneration, as well as assisting in the maintenance of appropriate blood pH. Last but not least, phosphorus is a component of cell membranes. ** Iron. For humans, azuki and cowpea are great suppliers of iron, while mung is also a decent supply. Mungos, azukis, and cowpeas are sources for women, as the demands of the two sexes differ. Iron is found in every cell in the body. This mineral is required for oxygen delivery and the production of red blood cells in the blood. It also helps to make new cells, hormones, and neurotransmitters (chemical messengers in nerve impulses). ** Zinc. Because men and women require different amounts of zinc, azuki is an excellent supply for women and a decent source for males. Mungo and cowpea, on the other hand, are sources. Zinc is involved in immunological responses, the generation of genetic material, taste perception, wound healing, and embryonic development, among other things. It also interacts with thyroid hormones and sex hormones. It is involved in the synthesis (manufacturing), storage, and release of insulin in the pancreas. ** Manganese. Manganese is abundant in azuki, whereas mung and cowpea are also significant sources. Manganese is a cofactor for various enzymes that help in a variety of metabolic activities. It also aids in the prevention of free radical damage. ** Copper. Copper is abundant in azuki and cowpea, whereas mung is a source. Copper is required for the creation of hemoglobin and collagen (a protein involved in the development and repair of tissues) in the body, as it is a component of various enzymes. Several copper-containing enzymes also aid the body's anti-free radical defenses. ** Folate. Mung, azuki, and cowpea are excellent sources of folate, while mung is also an excellent source. Folate (vitamin B9) is required for the formation of all body cells, including red blood cells. This vitamin is necessary for the creation of genetic material (DNA, RNA), the proper functioning of the neurological and immunological systems, as well as wound and wound healing. Consumption is critical throughout periods of growth and development of the fetus since it is required for the formation of new cells. ** Magnesium. Magnesium is abundant in azuki. Mung and cowpea are suitable sources for both women and men, depending on their needs. Magnesium has a role in bone growth, protein synthesis, enzymatic reactions, muscular contraction, dental health, and immune system function. It is also involved in energy metabolism and nerve impulse transmission. ** B1 vitamin. Vitamin B1 is found in cowpea, mung, and azuki, among other foods. Vitamin B1, also known as thiamine, is a coenzyme that is required for the synthesis of energy, mostly from carbohydrates. It also aids in the passage of nerve impulses and encourages optimal development. ** Potassium. Potassium is found in azuki and cowpea. Potassium is utilized in the body to help digestion by balancing the pH of the blood and stimulating the generation of hydrochloric acid in the stomach. It also assists in the contraction of muscles, including the heart, as well as the transmission of nerve signals. ** B2 vitamin. Vitamin B2, commonly known as riboflavin, is found in mung and azuki. It, like vitamin B1, plays a part in all cells' energy metabolism. It also helps with tissue development and repair, hormone synthesis, and red blood cell creation. ** B3 vitamin. Vitamin B3 is found in mung and azuki beans. This vitamin, also known as niacin, is involved in a variety of metabolic processes, including the creation of energy from carbs, lipids, proteins, and alcohol. It also aids in the synthesis of DNA, allowing for appropriate growth and development. ** Pantothenic acid is a kind of B vitamin. Pantothenic acid may be found in mung, azuki, and cowpea. Pantothenic acid, often known as vitamin B5, is a crucial coenzyme that helps us to properly use the energy in the foods we eat. It also plays a role in the synthesis (manufacturing) of steroid hormones, neurotransmitters (neurotransmitter messengers), and hemoglobin at various stages. ** B6 vitamin. Vitamin B6 is found in azuki and cowpea. Vitamin B6, commonly known as pyridoxine, is a coenzyme involved in protein and fatty acid metabolism as well as neurotransmitter synthesis (manufacturing) (messengers in nerve impulses). It also increases red blood cell development and allows them to transport more oxygen. Pyridoxine is also required for the conversion of glycogen to glucose and adds to the immune system's normal functioning. Finally, this vitamin aids in the creation of specific nerve cell components as well as hormone receptor regulation. Nutritional and caloric values of Ambiques and Cowpeas For 100 g of Ambiques and Cowpeas : Weight / volume | Dry mung, 100 g | Dry azuki, 100 g | Cooked black-eyed peas, 90 g | Calories | 334 | 329 | 105 | Protein | 24.5 g | 20 g | 7.0 g | Carbohydrates | 47.6 g | 63 g | 18.9 g | Lipids | 1.42 g | 0.5 g | 0.5 g | Dietary fiber | 16.7 g | 13 g | 5.9 g | Why should you eat Ambiques and Cowpeas ? Regular consumption of legumes has been associated to a variety of health advantages, including improved diabetes control, a decreased risk of cardiovascular disease, better body weight management, and a lower risk of colon cancer, according to some research. These advantages are due in part to several substances found in legumes, such as dietary fiber. Dietary guidelines in the United States recommend eating 3 cups of beans a few times a week. Finally, the community is urged to adopt a diet rich in plant foods, including a range of vegetables and fruits, legumes, and grain products, as one of the primary recommendations in terms of public health and cancer prevention. a small amount of processing Rich in dietary fiber Fiber may be found in a variety of legumes. Dietary fibers are chemicals that are not digested by the body and are exclusively present in plant products. Ambera and cowpeas have 6 to 9 grams of fiber per 125 mL serving, with a larger proportion of insoluble fiber than soluble fiber, like other legumes. A diet high in soluble fiber can help balance blood cholesterol, glucose, and insulin levels, whereas a diet high in insoluble fiber can assist maintain appropriate bowel function. It's important to remember that women between the ages of 19 and 50 should consume 25 grams of fiber per day, and men between the ages of 19 and 50 should consume 38 grams per day, and that eating legumes makes it simpler to attain this objective. Legumes can be digested more slowly when dietary fiber is combined with other chemicals like amylose (a component of starch). Legumes enhance glycemic control (blood sugar level) in diabetics and healthy persons alike, however existing scientific evidence makes it difficult to pinpoint the processes involved. Fibers would almost certainly play a role, but they would not act on their own. Other components found in legumes would be worried as well. The glycemic index of five legume kinds (mung, chickpea, white bean, black bean, and pigeon pea) was measured in one research. These all have a low glycemic index, with the exception of mung, which has a little higher glycemic index than the other legumes. The authors attribute differences in the glycemic index across legumes to the kind and amount of fiber present, as well as the proportion of amylose. However, the true significance of these two chemicals has yet to be determined. Antioxidant compounds can be found in legumes. These compounds are mostly present in the plant's seed. Beans also contain volatile compounds that have antioxidant properties. In an in vitro examination of the antioxidant activity of volatile chemicals isolated from several bean species, those recovered from the mung bean had the highest antioxidant potential. Two aromatic chemicals, eugenol and maltol, are likely to be responsible for the antioxidant action. The outer shell of mungs is efficient against lipid oxidation and, as a result, against cell injury in two further in vitro tests. These findings show that substances with antioxidant properties can be discovered in the mungs' outer layer. Cowpeas also exhibit antioxidant activity, which is enhanced when they are fermented and then heated in an autoclave. Fermentation increases the quantity of phenolic chemicals in the food. Antioxidant properties are seen in several phenolic compounds. The high temperature obtained during the autoclave treatment permits the production of novel antioxidant-active molecules (by-products of the Maillard process). Proanthocyanidins (a kind of polyphenol) are found in azukis and are considered effective natural antioxidants. Proanthocyanidins, which are antioxidants like vitamins C, E, and beta-carotene, have been shown to give superior protection in studies. Proanthocyanidins have been found to reduce oxidative damage in a variety of disorders, including inflammation, cardiovascular disease, atherosclerosis, diabetes, and cancer. The outer shell of azukis, which includes polyphenols and fiber, appears to prevent the invasion of a certain type of cell (macrophages) and the development of glomeruli (blood capillaries) to the kidneys, according to recent research in diabetic rats and people with renal issues. Diabetic nephropathy, a kidney disorder that can lead to renal failure, is caused by the development of these capillaries. These early findings will need to be confirmed in a clinical trial involving diabetic individuals with kidney disease. Good source of starch An average of 50% starch is contained in dry mungs, with roughly 11% of it in the form of resistant starch. This form of starch, like dietary fiber, avoids digestion in the small intestine. Mung starch is unique in that it contains significantly more amylose than most other legumes. Mung starch has unique culinary qualities because to its chemical composition. Vermicelli prepared from this starch, for example, is more heat resistant, preventing it from breaking or deforming while cooking. Mung starch is a low-glycemic-index sugar that is slowly digested. In the case of mung starch, it appears that the high amylose concentration and presence of resistant starch help to improve glucose response. This was one of the findings of a human investigation, which found that mung starch-based pasta had a lower glycemic response than other forms of raw and processed starch (tapioca and extruded wheat). Researchers discovered that mung starch was absorbed more slowly in humans than maize starch or glucose, resulting in a lower rise in blood sugar levels and a lower glycemic index. lower. When compared to wheat starch, taking mung starch for five weeks reduced blood glucose levels after feeding in healthy rats. Using mung starch instead of wheat starch in the feed of healthy diabetic rats resulted in lower blood triglyceride levels and fat cell volume. This difference in adipose tissue cells was also seen in a second animal investigation, this time comparing mung starch to maize starch. The findings of these research suggest that eating mung starch can help healthy people improve their carbohydrate and blood fat profiles. It's thought that the starch in mung beans might give similar advantages to diabetics. To be sure, controlled clinical trials are required. How can you choose the finest Ambiques and Cowpeas and properly store it? Ambérico and cowpeas, like other legumes, are members of the Fabaceae family. They come from Asia, namely the Indian subcontinent. They are becoming increasingly popular in France, and may be bought canned or dried throughout the year in most supermarkets and grocery stores. Legumes, unlike animal protein, are poor in methionine (an important amino acid for the body), making their protein incomplete. People who eat little or no animal protein, on the other hand, can combine beans with grain products or nuts to have a complete protein source (which contains all of the essential amino acids). Adults don't need to look for this complementarity in the same meal because obtaining it the same day is generally enough. Protein complementarity should be achieved in the same meal for children, adolescents, and pregnant women, on the other hand. Green long-hulled cowpea pods can be found at Asian grocery stores as well as select urban supermarkets. They can also be found in a tin. The majority of supermarkets sell young amberico (mung or green ambique) shoots, sometimes known as “bean sprouts.” They should be hard and crispy, with a white germ. Dry grains of the bulk of the seven species listed above can be purchased in ethnic markets or a few western supermarket shops. Cowpea is a common English name for the black-eyed cowpea. Azuki flakes are found in France, but not in North America, to our knowledge. How to Prepare Ambiques and Cowpeas ? Before entering the kitchen, Before cooking the amberic and cowpeas in water, dry roast them for around ten minutes, depending on the recipe. They'll take on a lovely nutty flavor after that. Ambiques and cowpeas are quite adaptable and may be utilized in a variety of dishes. Amberic is also simpler to digest than many other legumes. All lentil recipes, as well as meals made with their flour, are suited for amberic and cowpeas. Furthermore, we shall not hesitate to use any of the grains listed on this sheet in the recipes. ** An crucial step is to soak. Cowpea grains are traditionally steeped for a few hours in Africa, then massaged between the palms to remove the skin, which is less edible than the heart. When this treatment is done to the legumes in issue, they become more digestible. This is also why a lot of them come shelled and split. ** Salty version of ambérico with peas * Amberic and cowpeas can be germinated. Whole grains are preferable over shelled and broken grains. Young shoots can be eaten raw or sautéed for a few minutes; * they can also be prepared in a salad with chicken, green onions, and parsley. Drizzle with a honey mustard vinaigrette and garnish with dried cranberries and toasted peanuts. They may also be made using potatoes, green onions, and Indian spices and boiled in water. Serve immediately with a side of green veggies. ** Daring beans in a sweet form * To make a spread, combine red ambera puree, grated ginger, lemon juice, and tahini; * to make ambérico pudding, boil the beans with a little sugar and arrowroot starch diluted in water. Return to the heat until all of the water has been absorbed. Serve with a dash of coconut milk, hot or cold. ** Thanks to amberic and cowpeas, I'm traveling in the kitchen. * Thiébou Niébé is made in Africa by simmering cowpeas for approximately 20 minutes, then browning an onion and beef cubes in oil, then adding other vegetables (cassava, carrots, okra) and a large amount of water. Cook until the veggies are soft, about 15 minutes. These are then taken out of the pan, along with a small amount of sauce, and replaced with rice and half-cooked cowpeas. Cooking will continue until the rice is done. We serve it with a dipping sauce. * The green ambiques are used to make Harusame vermicelli, which is named from its look when cooked and meaning “fine spring rain.” When cooking, keep an eye on them since they decompose fast. * Another Congolese pudding is moyin-moyin, which is made by cooking cowpeas after soaking them overnight and removing their peel. After that, mash them to make a thick puree. Add water gradually until the mash is workable. Using a whisk, combine the ingredients and add a few drops of oil. Combine the tomatoes, onion, and hot pepper, finely chopped, along with salt and pepper, in a mixing bowl, and stir into the cowpeas. In ramekins, the cooking is done in the oven (30 to 35 minutes) in a bain-marie. Africans may make this meal their own by adding a little meat (fresh, cooked, or tinned), fish or shellfish (fresh, dry, or smoked), carrots, peas, peppers, a hard-boiled egg, and so on to the basic veggies. * This fundamental dish is adapted into Accras. We prepare patties that are fried in oil and served with a spicy sauce instead of baking the mash in ramekins in the oven. Cowpeas are frequently boiled with maize (fresh, frozen, or dried) until disintegrated and a thick purée forms. * All legumes may be used to make soup or mash in India: boil them in water with turmeric, then smash them and add tomatoes, fresh cilantro, spicy peppers, and salt. Cook for another 15 minutes. Add onions to the soup after sautéing them with cumin. Over basmati rice, serve. Changing the spice balance (turmeric, cinnamon, ginger, cumin, cardamom, coriander, garam masala, mustard seeds, assa-foetida, tamarind, spicy peppers, lemon, etc.) and serving with different veggies allows for endless permutations. It's worth noting that several of these spices contain carminative characteristics, which help with legume digestion. * Rajasthani bread is a complicated dish created of green ambers that have been split and boiled with spices in a huge amount of water, as well as dumplings made of wheat, salt, and oil or clarified butter (baflas). The meatballs are made and poached in amberic water for 25 minutes before being removed. We slather them with butter, create a little depression in the center with our thumbs, and bake them until they crack and turn a wonderful golden hue. The ambiques are drained and then cooked in oil with onions for a few minutes. They're served with carrots and chutney on meatballs. Contraindications and allergies to Ambiques and Cowpeas In patients with irritable bowel syndrome and/or intestinal hypersensitivity, ambérico and cowpeas, like most legumes, can cause digestive issues. As long as the individual digestive tolerance is respected, the amount taken, the soaking, and the cooking style can have a good influence on the symptoms. ** Both Harmful and Beneficial Compounds in Legumes Phytochemicals found in legumes, such as lectins and saponins, can reduce the bioavailability of some nutrients. However, studies believe that this effect has minimal influence on health in a North American setting, where there is abundance and dietary diversity, and nutritional insufficiency is minor. In recent years, research in vitro and in animals has linked the ingestion of these chemicals to a variety of health advantages, including decreased cancer cell development and better blood lipids. ** Digestive disorders Cowpeas, like most legumes, are frequently limited in their usage due to the gastrointestinal pain they induce when eaten (for example, gas and bloating). Beans include oligosaccharides (sugars) such stachyose, raffinose, and verbascose, which produce gas. Because humans lack the enzymes needed to break down these oligosaccharides, they are difficult to digest. In the ileum, the oligosaccharides ferment (lower part of the small intestine). Various techniques, like as soaking, boiling, and husking, can be employed to reduce gas and improve bean digestibility. Shelling is a mechanical process that removes the beans from their husks in an industrial setting. Bean husks contain polyphenols, which can reduce protein digestion and consequently cause digestive discomfort.
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Leukemia starts when the DNA of a single cell in your bone marrow changes (mutates) and can’t develop and function normally. Leukemia cells often behave like abnormal white blood cells. Treatments for leukemia depend on the type of leukemia you have, your age and overall health, and if the leukemia has spread to other organs or tissues. Below we will discuss about Leukemia Symptoms, Causes, Diagnose & Treatment. Overview of Leukemia, Recognizing Symptoms, Causes, Diagnostic Techniques, Treatment Options Leukemia is a group of cancers that result from high levels of abnormal white blood cells. It usually starts in the bone marrow or blood. White blood cells, called leukemia cells or blasts, do not develop fully and their DNA is damaged. Healthy blood cells die after some time and new cells start forming. But, leukemia causes the old cells to grow. Leukemia occupies more space and eventually leaves no room for good cells. What are the Symptoms of Leukemia? o Bruising and Bleeding Problems o Increased Frequency of Infection o Feeling Tired o Bleeding Gums o Loss of Appetite o Intermenstrual Bleeding What are the Causes of Leukemia? The development of leukemia is environmental and inherited. Different types of leukemia are caused by different causes. Certain chemicals such as smoking, benzene, ionizing radiation, prior chemotherapy, and family history of leukemia and Down syndrome are some of the risk factors. Other factors that increase the risk of leukemia: - Untreated Fungal Infection - Mercury Poisoning - Nuclear Radiation - Cell phone Tower Radiation - Overhead Power Lines What Things Should Be Done to Manage Leukemia? o Managing fatigue and boosting energy, which one loses in the process of treatment, is needed to manage one’s life in the best possible way: o Do brief exercise 5 days a week, as it helps to make up for lost energy. o Aim for at least 10 fruits and vegetables a day to get enough vitamins, minerals and anti-oxidants. o Decreases the appetite of the patient, as a side effect of chemotherapy. Even if you don’t feel like eating, take small portions of food often. But one has to force-feed oneself to some extent. o Depression is the most common thing happening to a person undergoing chemotherapy. Get the help of professional caregivers and try to involve yourself in various activities. o Fatigue is caused by anemia and should be managed with iron-rich foods, iron-rich foods and blood transfusions. o Some patients may have mental fog (memory loss, confusion, lack of concentration). It can be short term or long term. o Most of the patients experience hair loss, digestive disorders, oral and dental complications, but these are short term and go away as treatment ends. So, maintain a positive attitude that everything will be fine soon. o Consider a hair shave before chemotherapy to protect the patient from hair loss trauma, which is one of the common side effects of chemotherapy. o Eat boiled food. o What Are Things To Avoid To Manage Leukemia? o Excess smoking and alcohol are directly linked to cancer. o Do not go for frequent X-rays, unless absolutely necessary. o Body has low immunity during treatment, eat less raw fruits or vegetables as they may contain bacteria. Some fruits like bananas and oranges are safe. Take off the thick peel before eating. What are The Best Foods For Leukemia? o Whole Grains: Whole wheat bread, brown rice, whole grain cereals and quinoa are the best sources of nutrition. o Protein rich foods like nuts seeds, tofu, eggs, oatmeal, fish and chicken etc. are essential for building strength. o Pomegranate, beetroots are known to increase hemoglobin, hence should be included in daily diet. o Low fat dairy items o Olive oil o Lean Meat and Poultry Items What Are The Best Foods For Leukemia? o Stomach gets easily upset after chemotherapy, so avoid foods like coffee, spicy food, tobacco, alcohol etc. o Sugar, sweets. o Saturated fats, fried foods as they become difficult to digest. o Food additives, artificial flavour, refined foods. o Some patients may experience excessive stomach discomfort with dairy products, soy or wheat. If your symptoms get worse, remove them from your diet while the problem is being investigated. (Disclaimer : The purpose of this health-related article is to wake you up and aware of your health and to provide health-related information. Your doctor has a better understanding of your health and there is no substitute for their advice.) F.A.Q. (Frequently Asked Questions) Q. 1 What is the main cause of leukemia? Answer : The cause of acute leukaemia is unknown, but factors that put some people at higher risk are: exposure to intense radiation. exposure to certain chemicals, such as benzene. viruses like the Human T-Cell leukaemia virus. Q. 2 Is leukemia a serious cancer? Answer : Leukemia is a broad category of cancers that affects white blood cells. The chances of survival depend on various factors, including a person’s age and response to treatment. The American Cancer Society estimates there will be around 60,650 new cases of leukemia in the United States in 2022, resulting in 24,000 deaths. Q. 3 Who is at high risk for leukemia? Answer : Individuals over the age of 65 are more at risk for leukemia. Demographics – While anyone can conceivably develop leukemia, white males are statistically most susceptible. Radiation exposure – Exposure to radiation from an atomic bomb increases the likelihood that leukemia cells will form.
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RGB isn't a standard term used to describe a specific image file format. Instead, it likely refers to the color model used to represent images, which is RGB (Red, Green, Blue). In the RGB color model, colors are created by combining different intensities of red, green, and blue light. RGB is the most common color model used in digital imaging, as it accurately represents the way colors are perceived by human vision. It's used in various applications ranging from digital cameras and computer monitors to image editing software and web graphics. YUV is a color space representation that stands for Luminance (Y) and Chrominance (UV). It's a way of representing color in digital video and image compression schemes. YUV separates the brightness (luminance) information (Y) from the color (chrominance) information (U and V). In YUV color space: Y represents the luma (brightness) component, indicating the overall brightness of the image. The web app can convert photo jpeg gif png bmp tif webp heic svg to rgb yuv file, also resize/rotate/flip them online. Please select output file format:
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Symptoms of Hemifacial Spasm Hemifacial spasm is a cranial nerve hyperactivity disorder that causes involuntary contractions of the facial muscles on one side of the face. Symptoms often overlap with other movement disorders involving the face and can be misdiagnosed. The spasms typically start around the eye and eventually affect other facial muscles, causing various degrees of discomfort. Over time, these movements can spread to other muscles in the face, including those involved in smiling, frowning, and raising the eyebrows. The contractions might become more frequent and severe, making it difficult to perform normal facial expressions or even talk. In severe cases, these contractions can spread to the neck muscles. Hemifacial spasm symptoms are caused by compression or irritation of the facial nerve, which controls the muscles on one side of the face. The facial nerve is a complex nerve that is responsible for a range of functions, including facial expressions, taste, and tear production. The facial nerve exits the skull at the base of the brain, travelling through a small opening to reach the face. Any pressure or irritation on the facial nerve can cause it to malfunction, which can lead to involuntary muscle contractions. Because our facial muscles are used in many aspects of our day, something as simple as enjoying a cup of coffee in the morning can become challenging with this disorder. In this article, we discuss the various symptoms of hemifacial spasm and provide answers to common questions that patients might have. Common Symptoms of Hemifacial Spasm To start, let’s look at a list of common symptoms associated with hemifacial spasm and characteristics of the spasms themselves. Many of these symptoms can mimic other movement disorders involving the face. The following are a few of the possible symptoms and qualities of hemifacial spasms. - Painless involuntary twitching near the eye on one side of the face. - Twitching that progresses to other facial muscles. - Impaired vision. - Hearing changes (a “ticking” sound might be heard on the affected side). - Spasms that persist during sleep. These symptoms can develop gradually over time or appear suddenly. In some cases, the symptoms might start with mild twitching or facial spasms that are not noticeable. Over time, the spasms can become more frequent and severe, making it difficult to perform normal facial expressions. The onset of symptoms can be triggered or intensified by a variety of factors, including stress, fatigue, and caffeine intake. The following are answers to some of the most common questions regarding hemifacial spasm symptoms. Where Do Hemifacial Spasm Symptoms Originate? Most of the time, hemifacial spasms occur as a result of the facial nerve being compressed or contacted by a blood vessel at the level of the brainstem. The facial nerve, also known as cranial nerve VII, is responsible for the movement of facial muscles and courses from its origin near the brainstem to the muscles of the face. We have a left and right facial nerve that controls the facial muscles on each side. The pressure of the neighboring blood vessel can irritate the facial nerve and ultimately lead to the involuntary twitching associated with this condition. The facial nerve is also responsible for movement of a small muscle in the ear called the stapedius muscle. Contraction of this muscle can cause a “ticking” noise on the affected side. Why should you have your surgery with Dr. Cohen? - 7,000+ specialized surgeries performed by your chosen surgeon - More personalized care - Extensive experience = higher success rate and quicker recovery times Major Health Centers - No control over choosing the surgeon caring for you - One-size-fits-all care - Less specialization For more reasons, please click here. Other possible but less common causes of hemifacial spasm include compression of the facial nerve from a tumor and viral inflammation of the facial nerve from a condition such as Bell’s palsy. In some cases, no specific cause can be found. How Long Does It Take for Hemifacial Spasms to Develop? Hemifacial spasms often begin near the muscles around the eye and result in involuntary eye closure or squinting, making it difficult to see. The twitching can gradually expand to other facial muscles on the same side, such as those near the mouth. The development of hemifacial spasms is typically slow, although in some patients, the spasms can become severe in just a few months. Over time, severe contractions of all facial muscles on the involved side can pull the corners of the eye and mouth into a grimace, which can cause significant stress and embarrassment. The spasms can be emotionally, psychologically, and economically disabling by interfering with daily life, activities of enjoyment, and work. On average, patients suffer from hemifacial spasms for around 8 years before they receive treatment. Although hemifacial spasm usually involves only one side, 2% of patients experience spasms on both sides of their face. This condition occurs more commonly in adults during the fourth and fifth decades of life and affects twice as many women than men. If hemifacial spasms occur in a younger person, it could rarely be an indication of another neurological condition (for example, multiple sclerosis). Is Hemifacial Spasm the Same as Facial Myokymia? A rare neurological disorder that is similar to hemifacial spasm is facial myokymia. However, unlike the sharp intermittent contractions of hemifacial spasms, facial myokymia presents with subtle continuous contractions of the facial muscles typically involving the entire side of the face. These twitches can appear like flickering waves or worm-like movements under the skin that can be difficult to notice unless observing the face up close. Patients with facial myokymia might feel like the side of the face affected is swollen or stiff. This stiffness can interfere with creating facial expressions. Unlike hemifacial spasms, facial myokymia can resolve on its own after a few weeks to months. Both hemifacial spasms and facial myokymia can be symptoms of multiple sclerosis or a brain tumor. Is Hemifacial Spasm Related to COVID-19? Although COVID-19 is associated predominantly with respiratory symptoms, eye twitching and facial spasms have also been reported. However, eye twitching can also be caused by caffeine, allergies, eye strain, stress, or dry eyes. The connection between hemifacial spasm and COVID-19 is currently unclear. The more common neurological symptoms associated with COVID-19 include the following: - Loss of taste and/or smell - Difficulty concentrating It is a common misconception that COVID-19 vaccines can cause facial paralysis or muscle twitching. Although these symptoms were reported in a few people during the vaccination trials, the frequency of this condition was within the expected rate for the general population. - Symptoms of hemifacial spasm arise mainly from compression of the facial nerve by a blood vessel at the level of the brainstem. - Understanding the signs and symptoms of hemifacial spasms is essential for proper and timely diagnosis. - Hemifacial spasms can resemble other movement disorders of the face such as facial myokymia; however, each condition is its own distinct entity and presents with unique spasm characteristics.
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Preparing People For Emergencies Evacuation Terms, abbreviations and acronyms Evacuation glossary: terms, abbreviations and acronyms for emergency building evacuations This evacuation glossary is a collection of commonly used terms, abbreviations and acronyms related to evacuating buildings during emergencies, along with their meanings and definitions. Familiarity with these terms can enhance understanding and coordination in critical situations: - AED (Automated External Defibrillator): A portable device used to deliver an electric shock to restore a normal heartbeat during cardiac arrest, often available in evacuation zones. - AHJ (Authority Having Jurisdiction): The organization, office, or individual responsible for enforcing codes and approving safety measures, including evacuation procedures. - Alarm Signal: An audible or visual notification, such as a siren or strobe light, indicating the need for immediate evacuation. - ARFF (Aircraft Rescue and Firefighting): Specialized firefighting teams responsible for airport emergencies and evacuations. - Assembly Point: A pre-designated safe location where building occupants gather after evacuating, ensuring everyone is accounted for. - Australian Standard AS1851-2012: This standard applies to the Routine maintenance, inspection and service of fire protection systems and as such has crossover into the evacuation space. See our AS1851 Compliance Package for more information. - Australian Standard AS3745-2010: This standard applies to Planning for Emergencies in Facilities lays out the recommended framework for emergency planning in the workplace. See our Evacuation Compliance Package for more information. - BMS (Building Management System): A computerized control system installed in buildings to monitor and control mechanical and electrical equipment, including fire alarms and evacuation systems. - BOWS (Building Occupant Warning System): an emergency communication system designed to alert and guide occupants of a building during emergencies such as fires, evacuations, or other critical incidents. It plays a crucial role in ensuring a safe and orderly evacuation by providing clear and timely warnings. - Buddy System: A safety procedure in which two individuals are paired to assist and ensure each other’s safety during an evacuation. - CEMP (Comprehensive Emergency Management Plan): A detailed plan outlining the procedures for managing emergencies, including evacuations. - Command Post: The centralized location where emergency responders coordinate evacuation and rescue efforts. - Containment Zone: A section of a building designed to prevent the spread of fire, smoke, or hazardous materials, aiding in safe evacuation. - COOP (Continuity of Operations Plan): A plan to maintain critical functions during and after emergencies, often including evacuation protocols. - Designated Evacuation Coordinator: A person assigned to oversee and manage evacuation procedures in a specific area or building. - Drill: A practice exercise simulating an emergency evacuation to familiarize occupants with procedures and identify potential issues. - EAP (Emergency Action Plan): A written plan outlining the actions occupants and staff must take during an emergency, including evacuation routes and responsibilities. - EOC (Emergency Operations Center): A centralized location where emergency management teams coordinate response efforts, including evacuations. - EMS (Emergency Medical Services): Medical teams responsible for providing care during emergencies and evacuations. - Emergency Exit: A door or pathway specifically designated for use during evacuations, often marked with illuminated signage. - Evacuation diagram: A plan or map showing pathways or series of pathways leading occupants from a building to a safe assembly area during an emergency. It also indicates the location of fire extinguishers as well as relevant emergency numbers. - Evacuation Route: A planned pathway or series of pathways leading occupants from a building to a safe area during an emergency. - EAA (Emergency Assembly Area): A predetermined location that acts as a middle point between the emergency and the final safety destination, the assembly is a space to perform head counts and assess whether there are people still located at the emergency site. - EPD (Evacuation Planning Division): - EWIS (Emergency Warning Intercommunication System): When a fire is detected, the EWIS system is activated and a voice message with evacuation instructions is played. The chief fire warden can use an internal phone to communicate with other wardens and ensure everyone has evacuated - EWS Emergency Warning System): A life safety system that helps people evacuate during a fire or other emergency. EWSs can include emergency intercom systems, audible messages, and visual emergency warning signals. - FACP (Fire Alarm Control Panel): The central hub of a building’s fire alarm system, which plays a critical role in initiating evacuation procedures. It monitors and activates fire alarms and other safety systems in a building - Fire Compartment: A section of a building separated by fire-resistant barriers to limit the spread of fire and provide safe evacuation zones. - FIP (Fire Indicator Panel): This is the controlling component of a fire alarm system. The fire indicator panel receives information from environmental sensors such as heat or smoke detectors. These detect changes in the environment associated with fire. Manual triggers such as break glass units can also be in the system so that occupants can manually trigger the system. - FRC (Fire Response Coordinator): A designated individual responsible for overseeing fire evacuation efforts in a building or organization. - Fire warden: a member of your workforce that is given the responsibilities that relate to fire emergency procedures as well as fire prevention plans. - ICS (Incident Command System): A standardized system used by emergency responders for managing emergencies, including evacuations, by organizing personnel and resources effectively. - Incident Command System (ICS): A standardized system to coordinate resources and personnel during evacuations. - Intercom System: A communication system used to provide evacuation instructions to building occupants. - Lockdown: A procedure to secure a building during specific emergencies (e.g., active shooter incidents), which may restrict movement rather than require evacuation. - MCI (Mass Casualty Incident): An event where the number of casualties overwhelms available medical resources, often requiring large-scale evacuations. - MNS (Mass Notification System): A communication system used to deliver emergency alerts and evacuation instructions to occupants. - Muster Point: Another term for an assembly point, where evacuees gather for head-counts and further instructions. - MECP (Master Emergency Control Point): a designated location where the Chief Warden or Campus Emergency Coordinator directs emergency control operations during an incident. The MECP is usually within or close to the building that is affected by the incident. - PPE (Personal Protective Equipment): Equipment worn to protect individuals during hazardous situations, including evacuations (e.g., masks, helmets, gloves). - PVA (Public Voice Alarm): A system used to broadcast evacuation messages to occupants during an emergency. - Personal Emergency Evacuation Plan (PEEP): A tailored evacuation plan designed to meet the needs of individuals with disabilities or mobility impairments. - Point of Safety: A location within or outside the building deemed safe from hazards during an emergency. - PVC (Polyvinyl Chloride material): When PVC burns, it releases harmful chemicals, including Hydrogen Chloride (HCl). This is a corrosive and toxic gas that can cause severe respiratory irritation and damage. It also releases Dioxins and Furans. These are highly toxic compounds formed during the incomplete combustion of PVC. Dioxins are persistent environmental pollutants (POPs) and are linked to cancer, immune system damage, and reproductive issues. - RACE (Rescue, Alarm, Confine, Extinguish): A mnemonic used in fire safety to guide occupants during an evacuation. - Refuge Area: A designated safe space within a building where individuals can wait for rescue if evacuation is not immediately possible (e.g., due to mobility impairments or blocked exits). - Roll Call: A process conducted at the assembly point to account for all building occupants after evacuation. - RP (Responsible Person): The individual designated to manage and oversee evacuation procedures in a specific area. - SOP (Standard Operating Procedure): A set of guidelines or instructions for carrying out specific tasks, including evacuation protocols. - SCBA (Self-Contained Breathing Apparatus): Equipment used by emergency personnel during evacuations in smoke-filled or toxic environments. - SECP (Secondary Emergency Control Point): a control panel that can be connected to an Emergency Warning and Intercommunication System (EWIS) to monitor and control the system from multiple locations. SECPs duplicate the functions of the Master ECP, and can take over full control if the Master ECP fails. - Shelter-in-Place: A procedure where individuals remain inside the building in a safe location during certain emergencies, such as chemical spills or severe weather, instead of evacuating. - Staging Area: A location where emergency responders assemble and prepare before entering a building to assist with evacuation or rescue. - Tactical Fire Plans (TFPs): these help fire fighters when they arrive at the scene of a conflagration. They are are to scale basic building floor plan showing the location of installed active and passive fire and safety equipment, as well as paths to exits and building services. - TIC (Thermal Imaging Camera): A device used by rescue teams to locate individuals during evacuations, especially in low-visibility conditions. - Turnout Time: The time it takes for occupants to begin evacuating after an alarm is triggered or evacuation instructions are given. - Wayfinding Signs: Visual aids, such as illuminated arrows or maps, placed throughout a building to guide occupants toward exits during an evacuation. - Wind-Driven Fire: A phenomenon where strong winds exacerbate fire spread, potentially complicating evacuation efforts. - WSP (Workplace Safety Plan): A plan outlining safety measures, including evacuation procedures, specific to a workplace or facility. By familiarizing yourself with these abbreviations and acronyms, you can better understand and implement evacuation procedures during emergencies. Understanding them is critical for effective communication and coordination during building evacuations. Clear knowledge of roles, procedures, and tools ensures a safer environment for all occupants. Contact us if you wish to discover how we can help you acquire the knowledge to help you in your evacuation needs. If you have any suggestions for the evacuation glossary, we’d love to hear from you.
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SEO, or Search Engine Optimization, is the process of improving a website’s visibility in search engine results. By optimizing various aspects of a website, businesses can attract more organic traffic and improve their online presence. This guide provides a detailed overview of what SEO is, how it works, and why it is crucial for online success. 1. What Is SEO? SEO refers to the techniques and practices aimed at improving a website’s ranking in search engine results pages (SERPs). The goal is to make a site more visible to users searching for relevant topics, products, or services. SEO involves optimizing both on-page elements, like content and HTML tags, and off-page factors, such as backlinks. 2. How SEO Works Search engines like Google use algorithms to determine which pages are the most relevant to a user’s search query. These algorithms consider hundreds of factors to rank websites. SEO helps influence these factors to improve a site’s ranking. There are three primary areas in SEO: - On-Page SEO: This involves optimizing the content, HTML code, meta tags, and other elements on the website. - Off-Page SEO: This involves activities outside of your website, such as building backlinks, social media presence, and other external signals. - Technical SEO: This includes site speed, mobile-friendliness, site structure, and other technical aspects that impact search engine crawling and indexing. 3. Statistics on SEO Effectiveness - Over 90% of online experiences start with a search engine, making SEO a key strategy for driving traffic (Source: Search Engine Journal). - Organic search accounts for 53% of website traffic, showing the importance of ranking well on search engines (Source: BrightEdge). - 75% of users never scroll past the first page of search results, emphasizing the need for high-ranking pages (Source: HubSpot). 4. How SEO Helps Businesses By ranking higher in search results, businesses can reach potential customers who are actively searching for relevant products or services. This increases the chances of generating leads and driving conversions. SEO helps businesses: - Improve their website’s search ranking - Attract more organic traffic - Increase visibility and brand awareness - Build credibility and trust with users 5. What Experts Are Saying About SEO SEO experts agree on its importance for businesses looking to build a strong online presence. According to Neil Patel, an SEO expert and co-founder of NP Digital, “SEO is not just about getting traffic, it’s about getting the right traffic” (Source: Neil Patel). By focusing on high-intent keywords and relevant content, businesses can attract visitors who are more likely to convert into customers. 6. The Future of SEO With the continued advancement of search algorithms and user behavior, SEO is constantly evolving. Voice search, artificial intelligence, and mobile-first indexing are just some of the factors that will shape the future of SEO. As search engines become more sophisticated, businesses will need to stay updated on best practices to remain competitive.
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StudyCrumb sounds like an AI-powered summarization tool designed specifically for students to help them grasp complex academic material more efficiently. StudyCrumb leverages artificial intelligence to summarize and analyze academic texts, catering to students who need to comprehend and learn from various study materials. StudyCrumb positions itself as an AI-powered learning companion for students. By offering summaries tailored to academic content, along with tools for creating flashcards and quizzes, StudyCrumb aims to enhance student comprehension and improve academic performance. Features of StudyCrumb - AI-powered Summarization for Academic Texts: StudyCrumb focuses on summarizing academic content such as textbooks, research papers, or lecture notes. It extracts key concepts, definitions, and arguments, providing students with a concise overview of the material. - Focus on Learning and Comprehension: Unlike some general summarizers, StudyCrumb might tailor its summaries to highlight important learning points and reinforce understanding. This could involve generating summaries with emphasis on definitions, formulas, or key arguments. - Flashcard Creation: StudyCrumb might offer features to automatically generate flashcards based on the summarized text. This can be a valuable tool for students to create self-study materials and test their understanding of key concepts. - Quizzes and Knowledge Checks: The tool might offer built-in quizzes or knowledge checks based on the summarized material. This allows students to actively engage with the content and assess their learning progress. - Integration with Learning Management Systems (LMS): In an ideal scenario, StudyCrumb might integrate with popular Learning Management Systems (LMS) used in schools and universities. This would allow students to access summaries and learning materials directly within their LMS platform. - You can choose a pricing model according to your needs. Just Click Here to calculate your needs. 10 Best Alternatives of StudyCrumb No reviews available.
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With World War I now leaving the scope of living memory, there is no better time to revaluate this controversial war and shed fresh light on the conflict. On the Western Front the fighting raged for nearly four and a... Read moreRead less With World War I now leaving the scope of living memory, there is no better time to revaluate this controversial war and shed fresh light on the conflict. On the Western Front the fighting raged for nearly four and a half years, but this was only a part of what was truly a world war. From the Falkland Islands to the lakes of Africa, to the former German colonies in the Pacific, and the battles along the Isonzo river in Italy, the six-volume World War I series brings to life the battles and campaigns that raged across the surface of the globe, on land, at sea and in the air. With the aid of over 300 photographs, complemented by full-colour maps, The Western Front 1917–1918 provides a detailed guide to the background and conduct of the conflict on the Western Front in the final years of World War I. Following the climactic battles of Verdun and the Somme the previous year, the Allies sought to finish the war on the Western Front in 1917 through a major French offensive designed to rupture the German front and roll up their position. This attack was to be supported by a diversionary British offensive at Arras in the north, which would draw off both German attention and their reserves. In the event, the French offensive in Champagne failed to deliver the promised breakthrough, leaving the French Army in a state of open mutiny. While French discipline recovered, the British Expeditionary Force took on the burden of the bulk of the fighting for the rest of the year. The need for an Allied offensive to take the pressure off the French resulted in the Third Battle of Ypres, more commonly known as Passchendaele. The battle degenerated into a slaughter in the Flanders mud thanks to heavy rain, and the only rays of light for the Allies at the end of 1917 were the arrival of fresh American troops on the Western Front, and the potential for a decisive victory shown by the use of armour at the Battle of Cambrai. However the Russian Revolution brought the fighting on the Eastern Front to an end, releasing numerous battle-hardened divisions to reinforce the Germans in the west. The year 1918 saw Germany launch her Spring Offensives, desperate attempts to defeat the Allies before the Americans could arrive in force. Although these assaults came close to breaking the Allied line, they eventually petered out in the face of determined resistance and over-extended supply lines. Following the Battle of Amiens in August, the Allies pressed onwards: the British in Flanders, the French and the Americans in the Meuse-Argonne region. By September it was obvious that Germany was losing the war, and the decision was made to sue for peace before Allied troops reached German soil. The Armistice came into force at 11am on the morning of 11 November 1918, although the war did not officially end until the signing of the Treaty of Versailles in June 1919. Format: 246 x 195mm hb Word count: 75,000 Illustrations: 150 b/w photos, 100 a/ws ‘one of a series of authoritatively written books… This volume does a fine job of explaining a complex situation in a readable manner with the help of 20 full-colour maps, plus numerous photographs and artwork illustrating the participants and their equipment.’ 9781838861209 pb US/Can 9781838861339 pb UK, Europe, Australia and ROW 9781906626136 hb [out of print, foreword by Dennis Showalter] 9781906626020 hb [out of print, foreword by Gary Sheffield]
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In the story To Build a Fire the protagonist proves to be a fool because he only brings one sandwich, he does not listen to the old man from Sulphur Creek, and he is also unmindful. The man from To Build a Fire made a foolish mistake of bringing a little bit of food for his journey. He decided to go on a journey in a new and very cold area and brought only one sandwich for him to eat. He has to keep the sandwich wrapped in a handkerchief and right against his body so it does not freeze. “As he thought of lunch, he pressed his hand against the package under his jacket. It was also under his shirt, wrapped in a handkerchief, and lying for warmth against the naked skin. Otherwise, the bread would freeze. He smiled contentedly to himself as he thought of those pieces of bread, each of which enclosed a generous portion of cooked meat” (London 66). This shows how he is not prepared for what may happen and that he only brought one sandwich that could freeze unless it is against his body. Bringing one sandwich is not the man’s only mistake for his journey. …show more content… The man had a conversation about his journey to the old man and the old man shared some wise advice. He did not listen to this advice which led him to making many foolish decision. Also because he did not listen to the old man in the first place, he started to regret it near the end of the story. “The old man on Sulphur Creek was right, he thought in the moment of controlled despair that followed. After 50 below zero, a man should travel with a companion” (London 75). This is when he realized he made the foolish mistake of going on his journey alone, defying what the old man had advised him. The man had also many other mistakes throughout his After coming up with enough money to eat for the day he would go get himself some lunch. He couldn’t get any perishable foods do to the fact that he didn’t have amenities such as a refrigerator. Therefore he had to rely on bread, chips and vegetables that could be eaten raw, not the greatest of a diet but enough to get him by. While exiting the Buffet, the cashier asked how the meal was, in which he replied “confusing.” The article continues with the main character describing to his friend that his life is “like a huge menu that offers no sampler plate” (Davis, 296). The protagonist then states, that he is afraid he will get too full off of one meal and not be able to taste all the other meals offered. Therefore, he orders many side dishes that do not mix together well therefore, leaving him without having a significant meal. The article unfolds with the protagonist thinking about how other people choose the type of life they are going to live and how they let everything else go He does this to show what goes through his mind when he is trying to acquire food for himself, and he gives a broad insight on how difficult it is to find healthy, non-poisoned food to eat in an everyday life. Isolation revealed in two literary works. In many works that we have read isolation is a found in a lot of them. Two different literary works that implicate isolation are “To build a fire” and “The Scarlet letter”. Isolation in the literary work “To build a fire” is exemplified when the man and his dog go up north to search for gold in the worst weather conditions. In to Build A Fire written by jack London, the main character fails at life and the choices he makes. The man named Jim Bob was not prepared for his trip from one camp to another camp. Jim Bob was freezing cold from the weather,and its environment. Jim Bob made very foolish decisions. Jim failures were caused by lack of preparation natural environment. Casey Kimmel Scale Comp “To Build a Fire” Naturalism describes a type of literature that attempts to apply principles of detachment and objectivity to the study of human life . Naturalism was a movement that occurred during the late nineteenth century and was an outgrowth of literary realism. There are a lot of themes in naturalistic narratives. They key ones are detachment, survival, determinism, and violence. Though London illustrates how nature is a difficult external force, the man is responsible for his misfortune, as his circumstances are the consequences of his choices. The narrator explains that the man was traveling ?to take a look at the possibilities of getting out logs in the spring? (978); more than likely, he did not have to perform this task, which required taking ?the roundabout way? (978). Also, despite being a ?newcomer to the land? (977), the man fails to bring a human companion to the ?unprotected tip of the planet? (982): just as the Earth is exposed to space here, as the narrator describes, the man has little defense against the cold. The man is not ignorant of the extreme cold, but rather, arrogant; though warned about the conditions (982), the man does not bring anything except a small lunch (978). Another sign of his lack of preparation is his failure to sufficiently protect himself from frostbite: he ?experienced a pang of regret that he had not devised a nose-strap...[that] passed across the cheeks, as well, and saved them? (979). Granted, the man can not see the water he falls into (981), but the fundamental responsibility for the journey is his. Furthermore, he elects to build the fire to thaw himself under the spruce tree, which proves disastrous (983). The narrator notes, ?It was his own fault, rather, his mistake? (982); the man also recognizes this, and knows he Mind you, this was the little rations he had the night before he was left behind, he saved it just in case they’d run out. With him doing this, he gave himself the hopes to not only sustain the little amount of food he had but also the strength and energy that he was going to need in case he would end up in the heat of battle. Readers of all ages, literature lovers, and book fanatics often find conflicts within their own lives just as the characters of the stories they read do. Some are able to find a way to overcome and conquer, while others get stuck behind or can not find a way to beat them. In Jack London’s short story called “To Build a Fire,” the main character conflicts with mother nature, who keeps tearing him down at every possible point. The main character, who is only referred to as the Man, is battling his way alone through the harsh temperatures of the Yukon. On this journey he runs into many obstacles and challenges. The Man does not listen to the advice he is given, leading to his inevitable death at the end. The most notable theme London builds “To Build a Fire” is a short story written by Jack London. It is viewed as a masterpiece of naturalist fiction. “To Build a Fire” features a miner who is traveling to the Yukon Territory with a dog as his companion. The miner is the protagonist and the dog companion is called the foil. The dog plays off of the traits of the protagonist. “The central motif of “To Build a Fire” concerns the struggle of man versus nature.” (Short Story Criticism) The most argued point in the short story is the reason of the protagonist death. “Some critics believe that it was his lack of intuition and imagination that lead to his death, while others say that he dies because of panic.” (Short Story Criticism) The protagonist in “To Build a Fire” struggles in “To Build a Fire” by Jack London is a short story about a man traveling through the Alaskan Yukon to meet up with his friends for lunch. The author keeps the character nameless and refers to him only as “The Man” which is used to show a connection between humanity and nature. The story shows the hardships the man goes through to get to his destination through the Alaskan Yukon, yet unfortunately doesn’t make it. The conflict is a man versus nature theme which contrasts strong and direct relations of the hardships in nature. Throughout this analysis, I am going to explore the conflict between the man and the merciless nature he has to go through before his death. In the beginning of the story, the man, who was foreign to the wintry conditions, had an attitude of dauntlessness, but nevertheless, him being ignorant about the warnings and circumstances. When he was in the dawning of his journey, the man would journey cautiously having time limits of how long he would expose skin, and how the man would travel an amount of miles per hour to reach his destination safely. As told in the book, “Empty as the man’s mind was of thoughts, he was keenly observant, and he noticed the changes in the creek, the curves and bends and timber jams, and always sharply noted where he placed his feet (page 84-85, lines 121-123).” After the midst of the journey where the man was nearing his fate, he felt as if he would not make it or survived, so therefore, he took perilous acts of desperation which led him to his downfall. When the man and the fire was buried in snow, the man thought to himself, “For a moment he sat and stared at the spot where the fire had been, Then he grew very calm. Perhaps the old-timer on Sulphur Creek was right. To build a fire is a short story written by Jack London. It is a story about an individual’s choice. The main character’s self-centeredness overcomes him, as he tries to survive the wintery weather in his travel in the Yukon Trail. He made a choice of ignoring the weather warnings, which evidenced danger in his journey. There were warnings like the absence of fellow travelers due to the cold season, but his egoism made him still embark on the journey alone, despite the warnings. The protagonist’s pride and arrogance leads to a regrettable outcome, as it leads to his downfall. The protagonist made the wrong choices because of his egotism, and arrogance and they led to his downfall. He defied nature due to his lack of logical judgment, and One of the most prominent facets of the man’s personality is his overwhelming arrogance. The man is a newcomer to the Yukon territory or “chechaquo”, and is inexperienced in the customs of the land. The man believes that he will be unaffected by the harsh conditions and does not seem to grasp the grave reality of the situation. This characteristic is displayed early in the story, when the man rebuffs the old timer’s warning advice and later mocks the old man and his caution of the danger of traveling in the freezing temperatures, especially without a partner. “Those old-timers are rather womanish, some of them, he thought” (1210). Despite the likelihood that the old-timer has spent his lifetime in the area, the man considers his advice to be weak and believes, arrogantly, that he is superior in his masculinity and abilities. Eventually, the man realizes that he should have listened to the words of the old man in Sulphur Creek. Further, the man’s arrogance is displayed again when he ignores the warning signs that the environment is not suitable for such a long solo trek. Despite the incredible cold, the man fails to comprehend just how miniscule he is compared to nature. “…the absence of sun from the sky, the tremendous cold, and the strangeness and weirdness of it all made no impression on the man” (1205). It is this arrogance that limits the man’s ability to grasp how insignificant his life is compared to the great power of
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The provision of healthcare to patients is the delivery of interventions within an organizational or home setting, including medical services, devices, health insurance, pharmaceuticals, and facilities. Healthcare Around the World The provision of public healthcare was not a priority until the last 100 years. Prior to World War I, public healthcare expenditure on healthcare was less than 1% of all national incomes worldwide. Today, the countries with the highest levels of public healthcare spending commit nearly 10% of their national revenue to it. Wealthier nations spend more per person on healthcare and, not surprisingly, they have longer rates of life expectancy. In most countries, government is heavily involved in healthcare markets. And in most wealthy countries, such as in Europe and Canada, the government runs the healthcare system. Universal healthcare is achieved in these nations through: - Government tax-funded systems - Privately run but government funded systems - Private insurance but with regulation and subsidies to ensure universal coverage and non-discrimination based on pre-existing conditions The United States is the only industrialized nation with no universal healthcare option, where big pharmaceutical companies and insurance giants wield heavy influence on the industry. Many developing countries make an effort to provide universal healthcare but face challenges associate with poverty, corruption, and inequality. There is also reliance on foreign aid. A major difference between government-funded and market-based healthcare lies in the realm of medical innovation and advancement in new, effective treatments. Under government-financed systems, price and budgetary limits and other restrictions reduce investment in medical research. Healthcare provision is extremely complex and is also subject to cultural, political, social, and economic conditions. This makes the sector very different from other business markets that operate based on supply and demand, especially when governments ensure that healthcare provisions are distributed in adherence with certain policies. A New Era in Healthcare Provision Healthcare spending makes up a growing share of the world economy. As the 21stcentury progresses, the provision of healthcare to patients is undergoing changes to the overall landscape. People are living longer and spending more on healthcare. Evolving technologies are changing every aspect of healthcare. Chronic diseases remain a burden on healthcare systems. And more integration is needed for the continued improvement of the provision of healthcare to patients. New technologies, such as fitness monitors for example, are empowering people to take more control over their own health. There is an opportunity to further help patients play a larger role in symptom disease management and their overall health through continued innovation in the healthcare sector. There is a massive opportunity to improve patient outcomes through the engagement between clinicians and patients. Healthcare facilities are being reimagined so that they are designed around patient experiences rather than the need of the providers. They are also being digitally equipped with interfaces that streamline admission processes and recordkeeping, improve the continuity of care, and ultimately provide better patient care. New digital frameworks are allowing facilities to be updated rather than entirely rebuilt when technology undergoes drastic changes. Integrated care is a growing focus in the healthcare provisions sector. How communities work with facilities is being reexamined to formulate the right platforms for patients and alleviate the demand for inpatient beds. Healthcare Provision and M&A Mergers and acquisitions in healthcare tend to always be a topic of debate, as they can have a serious impact on the patient experience. And as M&A healthcare deals become more frequent, concerns over monopolies arise. However, structure changes can be quite vital for some companies to survive in an ever-evolving industry. Additionally, M&A can actually help patients have better access to quality care and improve costs. - According to the American Hospital Association, certain mergers can boost access to capital and other resources, lowering costs for patients. - When small independent facilities are acquired by larger organizations, they can remain open and patients do not lose access to care. - Under a merger, it is common to streamline protocols, which can lead to enhancements and new standards in quality care. This can also reduce the instances of patients undergoing surgical procedures at a facility with limited experience in that area. Is it time to make a deal? At Benchmark International, our expert M&A advisors are looking forward to your call. Together we can do great things. Get These Insights Delivered Directly To Your Email Explore our curated collection today and stay ahead of the curve in M&A.
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A hidden video camera records the unwelcome advances faced by a woman in Manhattan, New York. You may not have heard the term “street harassment”, but if you’re a woman, you’ve probably experienced it: whistles, stares, unwanted comments, touching or being followed by strangers in the street. According to research by the Australia Institute, 87% of us have experienced some form of physical or verbal street harassment, often before the age of 18. Internationally, this figure is higher, at 96%. As with other forms of sexualised violence, men are overwhelmingly the perpetrators of street harassment and women the victims – although victims may also be targeted on account of ethnicity and or sexual orientation. While it may be tempting to dismiss such occurrences as “minor” or “harmless”, there is a substantial body of research that tells us this is not the case. The impacts of street harassment vary depending on the context, and range from the immediate, visceral responses of anger, repulsion and shock, through to longer-term effects such as anxiety, depression and, in some cases, post-traumatic stress disorder. Street harassment also has a very real impact on women’s use of and access to public spaces. Women consistently report that they limit their movements in public in order to avoid street harassment as well as more “serious” sexual violence. While there is considerable merit in documenting the prevalence and impacts of street harassment, we need to ensure that this is not all we do. Violence against women Street harassment is part of the continuum of men’s violence against women, which includes what we might consider to be more “serious” forms of gender-based violence, such as sexual assault, rape and physical abuse. These seemingly vastly different forms of behaviour are interconnected, and all contribute towards women’s oppression and inequality. Despite this, minimal attention has been paid to how we might prevent and respond to street harassment. There is little legal or other recourse for women who have experienced street harassment. And street harassment is notably absent from policy documents and discussions on the prevention of men’s violence against women. Yet, if we are to eliminate all forms of violence against women it is vital that street harassment is included in our prevention efforts. Avenues for prevention So, what avenues are there for responding to, and preventing, street harassment? Improving justice responses to street harassment is one option that could be pursued. Although some forms of street harassment are covered under current legislation, others, such as staring, are not. We know relatively little about victims’ experiences of reporting to the criminal justice system, although as with other forms of sexual violence it is likely vastly under reported. However, a formal justice response may not be the best, or most appropriate, option for responding to and preventing street harassment. Certainly, it is an avenue that should be kept open to street harassment victims should they desire to pursue it. Yet, the justice system has a long history of responding poorly to violence against women – a problem that persists, despite efforts to reform the system. The nature of street harassment makes it difficult to respond to through the justice system. The often-fleeting nature of street harassment means that perpetrators have moved on, often before women are able to identify who they were. Additionally, the harm from street harassment may arise from the cumulative experience of repeated harassment and not from the action of individual perpetrators. When it comes to responding to street harassment, we need think outside of the formal justice box. Bystander intervention, for instance, is gaining increasing prominence as a response to gender-based violence, and offers much potential when it comes to the prevention of street harassment. Bystander intervention can mean directly confronting the perpetrator – where safe to do so – and other actions such as asking the victim if they are okay. Speaking up when we see street harassment tells perpetrators their behaviour is not acceptable, while simultaneously offering our support to victims. Internationally, public transport companies have run campaigns communicating that harassing behaviour will not be tolerated. Australian-based companies could easily do the same. Continuing to challenge the attitudes towards women and gender stereotypes that underpin street harassment is also vital. While programs such as “Sex and Ethics” are increasingly being introduced into our schools to help achieve this, research shows that we still have a long way to go in shifting attitudes. A lack of current responses to street harassment, while disappointing, allows us to develop responses from the starting point of victims’ needs and experiences. While some victims may prefer to access the traditional justice system, others may desire innovative or new responses such as voicing their experience online. A one-size-fits all approach is unlikely to be successful; we need a suite of responses. Whichever options we ultimately decide on, one thing is clear: it’s time to stop just talking about street harassment and start taking some action. This article was authored by Bianca Fileborn. Bianca is a Research Officer at the Australian Research Centre for Sex, Health & Society at La Trobe University. This article was republished from theconversation.com.
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Origin and Common Names Pedalium busseanum (Engl.) Stapf, also known as Gokhru, is a small flowering plant belonging to the family Pedaliaceae. It is native to Africa and is commonly found in tropical regions of the continent. The plant is also commonly known by several other names, including puncture vine, devil's thorn, and caltrop.Appearance The plant Pedalium busseanum has a low-lying growth habit and reaches a maximum height of about 90cm tall. The stems and leaves of the plant are covered in small thorns, which can puncture the skin and cause pain if not handled carefully. The leaves are lobed and relatively small, measuring up to 7cm in length. The flowers are small and yellow in color, and they usually bloom from July to October. The fruits of the plant are known as burrs and are rounded in shape with two sharp spines. They measure about 2cm in diameter.Uses Pedalium busseanum has been traditionally used in African medicine for a wide range of ailments. The plant is known for its diuretic and anti-inflammatory properties and is commonly used to treat urinary tract problems such as infections, bladder inflammation, and kidney stones. The plant is also believed to have aphrodisiac properties and is used to improve fertility in men. The fruits of the plant, known as Gokhru fruits, are used to make teas, tinctures, and powders, which are used for medicinal purposes. Additionally, the plant is sometimes used in traditional African cuisine, where the leaves and stems are cooked as vegetables or added to soups and stews.Light Requirements Pedalium busseanum requires plenty of sunlight to grow and thrive. It can tolerate partial shade, but the plant performs best when it receives full sunlight. In areas with high temperatures, it is advisable to grow the plant under partial shade to avoid damage from extreme heat. Pedalium busseanum grows best in warm environments with temperatures ranging between 20 and 30 degrees Celsius. The plant can tolerate higher temperatures but may require more watering under such conditions. In places with extremely low temperatures, the plant may not survive or may enter a dormant stage until the temperature rises significantly. The plant grows best in well-draining soils that are rich in organic matter. The pH level of the soil should be between 5.5 and 6.5 for optimal growth. Pedalium busseanum is relatively adaptable to different soil types, including sandy, loamy, and clay soils. However, the plant requires adequate water supply to grow and may require more watering in sandy soils. Additionally, the plant cannot tolerate waterlogged soils, and it is essential to ensure proper drainage in areas with heavy rains. Pedalium busseanum is a hardy and drought-resistant plant that is best grown in areas with a tropical climate. It prefers well-drained soil but can grow in various soil types. It can be propagated from seeds or stem cuttings. If planted by seed, the seeds should be sown at a depth of 1-2 cm in well-prepared, fertile soil. It is important to keep the soil moist during the germination period, which can take up to 2-4 weeks. Once the seedlings have grown to at least 10 cm, they can be transplanted to their permanent location. Pedalium busseanum requires moderate watering. In areas with high rainfall, occasional watering may be enough. However, in dry regions, regular watering is essential. It is important to ensure that the plant does not get overwatered, as this can lead to root rot. The plant is generally not a heavy feeder and can do well even with low levels of fertility. If required, organic fertilizers can be applied during the growth period. Compost or well-decomposed manure can be applied around the base of the plant for best results. Pedalium busseanum requires minimal pruning. The plant will naturally take on a shrubby shape, and occasional trimming may be required to keep it looking tidy. Dead or diseased branches should be removed promptly to prevent the spread of diseases. Pruning can also be done to control the plant's size and shape as required. Propagation Methods of Pedalium busseanum Pedalium busseanum (Engl.) Stapf, commonly known as the devil's thorn or puncture vine, is a species of plant that belongs to the Pedaliaceae family. It is native to Africa and widely distributed in tropical and subtropical regions. The plant is an annual herb that grows up to 30 cm tall and has small yellow flowers that produce a woody fruit covered with thorns. There are different methods to propagate Pedalium busseanum. The most common ones are: Seed propagation is the most effective method to propagate Pedalium busseanum. The plant produces a large number of seeds that are easy to collect and store for future use. To propagate from seeds, sow them in a well-drained soil mixture and water regularly. It is important to keep the soil moist, but not waterlogged, until the seeds germinate. The germination period typically ranges from 7 to 14 days. Pedalium busseanum can also be propagated from stem cuttings, but this method is less common. To propagate from cuttings, take a stem about 10 cm long and remove the leaves from the lower part. Dip the stem in rooting hormone and plant it in a well-draining soil mixture. Keep the soil moist and place the cutting in a shaded area until roots develop, which may take up to several weeks. Division propagation is another method to propagate Pedalium busseanum but may be difficult because the plant has a shallow root system. To propagate by division, dig up the plant and gently separate the roots into several sections. Plant the sections in a well-draining soil mixture, and water regularly until the roots are established. Pedalium busseanum is a relatively easy plant to propagate, and it is widely grown for its medicinal properties and as an ornamental plant. Choose the propagation method that works best for your skill level and available resources. Disease and Pest Management for Pedalium busseanum (Engl.) Stapf Pedalium busseanum (Engl.) Stapf, also called the Devil's Apple, is a rapidly growing plant that is known to thrive best in areas with well-drained soil and abundant sunlight. Despite its hardiness, the plant can still be affected by a variety of diseases and pests that can hinder its growth and reduce its yield. Here are some of the most common diseases and pests that might affect the plant and some suggestions on how to manage them. One of the most common diseases that affects Pedalium busseanum is leaf spot, which is usually caused by the fungus Alternaria alternata. Symptoms of leaf spot typically include black spots on the leaves that can increase in size over time. To manage this disease, it is important to remove and destroy any infected leaves or plants, apply appropriate fungicides, and maintain proper watering practices that minimize the amount of moisture on the leaves. Powdery mildew is also a common disease that can affect Pedalium busseanum. It is a fungal disease that can cause a white powdery coating to form on the leaves. To manage this disease, it is essential to prune any infected areas of the plant, apply appropriate fungicides, and ensure that the plant is well-ventilated to reduce humidity. Aphids are a common pest that can attack Pedalium busseanum. Symptoms of an aphid infestation include yellow and distorted leaves and a sticky substance on the plant. To manage this pest, it is vital to remove any infected parts of the plant, apply appropriate insecticides, and use natural predators such as ladybugs and lacewings to control the population of aphids. The spider mite is another pest that can affect the plant and can cause yellowing and curling of leaves. These pests can be managed through the regular application of insecticidal soap and horticultural oils. It is important to note that prevention is the key to managing pests effectively, so regular monitoring of the plant to detect any signs of infestation is essential. Overall, the best practice in managing diseases and pests for Pedalium busseanum is through careful observation of the plant, proper pruning practices, and the application of appropriate fungicides and insecticides as necessary. With these measures in place, you can enjoy healthy and productive Devil's Apples year after year.
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Teaching Dividing Signed Fractions Easily - Whenever, we divide two fractions of the same sign, always multiply the second fraction with the first one in reciprocal form and keep the same sign. - However, the division of fractions can be represented horizontally by multiplying the numerator of the first fraction with the denominator of the second one and the denominator of the first fraction with the numerator of the second fraction. Let us take an example mentioned below to understand more about Dividing signed fractions. Example 1: Solve for ¾ x 5/2. According to the question, both numbers are of the same sign. Hence, we can easily divide them. So, ¾ / 5/2 = (3 x 2)/(4 x 5) = 6/20 Why Should You Use a Divide Signed Fraction Worksheet for Your Students? - These worksheets will help your students to know more about signed numbers: positive and negative. - Solving these worksheets will help your students easily divide signed fractions. Download Divide Signed Fraction Worksheets PDF You can download and print these super fun divide signed fraction worksheets pdf from here for your students. You can also try our Divide Signed Fractions Problems and Divide signed fractions Quiz as well for a better understanding of the concepts.
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As one navigates through the trials and joys of reaching middle age, there’s a pressing awareness of how transient life’s phases are. Youth might feel like it lasts forever, but middle age often brings with it a quiet reminder that body and mind are intrinsically linked, more than ever. In our modern society, where youth is often celebrated, reaching middle age can seem daunting, particularly concerning physical health. But it’s crucial to remember that the benefits of keeping fit extend far beyond physical wellness; they impact your mental health in a myriad of beneficial ways that are too vital to overlook. The Physical Changes of Middle Age One can hardly deny that our bodies experience significant shifts as we reach middle age. It’s not just the slowing down of metabolism or the diminishing muscle mass; it’s also the subtler effects like reduced bone density and lower energy levels. While these changes are a natural part of ageing, they can have a negative impact on your activity level, which in turn affects your mental health. When we reduce physical activity due to these changes, we inadvertently step into a detrimental cycle. Lack of exercise exacerbates physical decline, which then affects mental wellness by limiting the body’s ability to combat stress and mood fluctuations. The Invisible Strain on Mental Health Middle age presents a unique set of challenges that go beyond physical limitations. The mounting stress from work, familial duties, and societal expectations can form a heavy burden, affecting your mental health. And this is where the conversation needs broadening; mental well-being in middle age isn’t discussed nearly enough. Stress is not just a state of mind; it has concrete physiological implications. Chronic stress can lead to hormonal imbalances, causing conditions ranging from anxiety to clinical depression. It becomes a vicious cycle of physical health affecting mental well-being, which in turn, further dampens your motivation for physical activity. Exercise: The Natural Mood Lifter Talk to anyone who has made exercise a regular part of their routine, and they’ll tell you about the mental clarity and emotional upliftment they experience post-workout. Exercise releases endorphins—your body’s natural feel-good chemicals—that act as mood elevators. The link between exercise and mood is so robust that many healthcare providers now include an exercise regimen as part of the treatment plan for depression and anxiety. It is not a substitute for medication or psychological therapy but can significantly complement other treatments to expedite recovery. Options for Effective Weight Management As one ages, effective weight management often becomes a growing concern. Exercise and a balanced diet form the crux of any healthy lifestyle, but sometimes additional interventions are beneficial. When lifestyle changes aren’t providing quick results, medications like orlistat tablets can be a viable option. These appetite suppressants, which can be purchased from trusted providers such as The Independent Pharmacy, can help you gain that initial momentum. Alongside regular physical activity and a balanced diet, these medications can provide the extra push towards a fitter, healthier you, positively impacting your mental health. The Social Benefits of an Active Lifestyle Getting in shape often brings social advantages that indirectly influence your mental health. The camaraderie formed in group exercise sessions or team sports fosters a sense of community that is immensely beneficial. Such social interactions can lower feelings of loneliness and provide emotional support, critical factors in improving mental well-being. The importance of human connection should not be underestimated; it replaces solitude and isolation with a sense of belonging and shared goals, creating a conducive environment for mental wellness. The Link to Cognitive Function A fit body is not just about a svelte figure or enviable muscle tone; it’s also about a sharp, agile mind. Research has consistently shown that regular physical activity is linked to better cognitive function. Exercise improves blood flow to the brain, enhances synaptic connections, and can even facilitate new neural pathways, all of which contribute to better mental function. As we approach middle age, maintaining cognitive health becomes increasingly vital. While exercise is not a panacea, it certainly serves as a formidable ally in slowing cognitive decline. A Journey, Not a Sprint Embracing fitness as you approach middle age isn’t about rapid transformations or drastic overhauls. It’s a journey that requires patience and steady, sustainable change. The immediate benefits, both physical and mental, are gratifying, but the long-term rewards are even more significant. Every step you take towards a healthier lifestyle is a step away from potential mental health issues. Setting achievable goals can serve as motivating milestones, further enhancing your psychological well-being. You’ll find that the relationship between your physical efforts and mental state is cyclical: improving one invariably uplifts the other. The conversation around fitness in middle age often leans heavily on physical outcomes, but it’s high time we broaden the scope to include the immense benefits for mental well-being. With a holistic approach that considers both the body and mind, getting into shape as you approach middle age becomes more than a duty; it becomes a rewarding journey towards a happier, healthier you.
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IEC 60068: Environmental Testing of Electronic Equipment In today's fast-paced world, electronic equipment is an integral part of our daily lives. From smartphones to computers, these devices play a crucial role in how we communicate, work, and stay entertained. However, as electronic equipment becomes more advanced and complex, it is also more susceptible to environmental factors that can impact its performance and reliability. This is where environmental testing comes into play. Environmental testing is a critical aspect of ensuring the quality and reliability of electronic equipment. It involves subjecting the equipment to a series of tests that simulate the conditions that it may encounter in its intended environment. One of the most widely recognized standards for environmental testing of electronic equipment is the IEC 60068. IEC 60068: Overview IEC 60068 is a series of standards published by the International Electrotechnical Commission (IEC) that outline the various environmental tests that electronic equipment must undergo to ensure its reliability and performance. The standard covers a wide range of environmental factors, including temperature, humidity, vibration, and shock. The IEC 60068 standard is divided into different parts, each focusing on a specific aspect of environmental testing. Some of the key parts of the standard include: - Part 2-1: Tests - Test A: Cold - Part 2-2: Tests - Test B: Dry heat - Part 2-3: Tests - Test Cab: Damp heat, steady-state - Part 2-27: Tests - Test Ea and guidance: Shock - Part 2-30: Tests - Test Db: Damp heat, cyclic (12 h + 12 h cycle) - Part 2-41: Tests - Test E: Shock - Part 2-47: Tests - Test Ga: Sine vibration - Part 2-78: Tests - Test Cab: Damp heat, steady-state, accelerated - Part 3: Background information documentation - Part 4: Guidance on the application of the standard Each part of the IEC 60068 standard provides detailed guidelines on how to conduct environmental tests on electronic equipment and interpret the results. By following these standards, manufacturers can ensure that their products are robust and reliable in a variety of environmental conditions. Importance of Environmental Testing Environmental testing is crucial for ensuring the reliability and performance of electronic equipment. By subjecting the equipment to a series of tests that simulate real-world environmental conditions, manufacturers can identify potential weaknesses and design flaws before the products are released to the market. One of the key benefits of environmental testing is that it helps manufacturers predict how their products will perform in the field. For example, by subjecting a smartphone to temperature and humidity tests, manufacturers can determine whether the device will operate reliably in hot and humid environments. Similarly, vibration and shock tests can help identify potential issues with the device's structural integrity and durability. In addition to improving product reliability, environmental testing can also have financial benefits for manufacturers. By identifying and addressing design flaws early in the development process, manufacturers can avoid costly product recalls and repairs down the line. This not only helps protect the manufacturer's reputation but also ensures customer satisfaction and loyalty. Overall, environmental testing is a critical step in the product development process that can help manufacturers deliver high-quality, reliable electronic equipment to the market. In conclusion, the IEC 60068 standard is an essential tool for manufacturers looking to ensure the quality and reliability of their electronic equipment. By following the guidelines outlined in the standard, manufacturers can subject their products to a series of environmental tests that simulate real-world conditions. This allows them to identify potential weaknesses and design flaws early in the development process, ultimately leading to more reliable and durable products. Environmental testing plays a crucial role in ensuring the performance and reliability of electronic equipment in a variety of environmental conditions. By conducting these tests, manufacturers can improve product quality, reduce the risk of defects, and ultimately deliver better products to the market. As technology continues to advance, the importance of environmental testing will only grow, making standards like the IEC 60068 an indispensable tool for manufacturers worldwide. Contact: Eason Wang Add: 1F Junfeng Building, Gongle, Xixiang, Baoan District, Shenzhen, Guangdong, China
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Oct 01, 2013 More than 48,000 global citizens have now signed a petition at www.nukefree.org asking the United Nations and the world community to take charge of the stricken Fukushima nuclear plant. Another 35,000 have signed at www.rootsaction.org. An independent advisory group of scientists and engineers is also in formation. The signatures are pouring in from all over the world. By November, they will be delivered to the United Nations. The corporate media has blacked out meaningful coverage of the most critical threat to global health and safety in decades. This lessens the radioactive burden on the planet. But it makes the aging reactor fleet ever more dangerous. A crumbling industry with diminished resources and a disappearing workforce cannot safely caretake the decrepit, deteriorating 400-odd commercial reactors still licensed to operate worldwide. All of which pales before the crisis at Fukushima. Since the 3/11/2011 earthquake and tsunami, the six-reactor Daichi site has plunged into lethal chaos. For decades the atomic industry claimed vehemently that a commercial reactor could not explode. When Chernobyl blew, it blamed "inferior" Soviet technology. But Fukushima's designs are from General Electric (some two dozen similar reactors are licensed in the US). At least four explosions have rocked the site. One might have involved nuclear fission. Three cores have melted into the ground. Massive quantities of water have been poured where the owner, Tokyo Electric (Tepco), and the Japanese government think they might be, but nobody knows for sure. As the Free Press has reported, steam emissions indicate one or more may still be hot. Contaminated water is leaking from hastily-constructed tanks. Room for more is running out. The inevitable next earthquake could rupture them all and send untold quantities of poisons pouring into the ocean. The worst immediate threat at Fukushima lies in the spent fuel pool at Unit Four. That reactor had been shut for routine maintenance when the earthquake and tsunami hit. The 400-ton core, with more than 1300 fuel rods, sat in its pool 100 feet in the air. Spent fuel rods are the most lethal items our species has ever created. A human standing within a few feet of one would die in a matter of minutes. With more than 11,000 scattered around the Daichi site, radiation levels could rise high enough to force the evacuation of all workers and immobilize much vital electronic equipment. Spent fuel rods must be kept cool at all times. If exposed to air, their zirconium alloy cladding will ignite, the rods will burn and huge quantities of radiation will be emitted. Should the rods touch each other, or should they crumble into a big enough pile, an explosion is possible. By some estimates there's enough radioactivity embodied in the rods to create a fallout cloud 15,000 times greater than the one from the Hiroshima bombing. The rods perched in the Unit 4 pool are in an extremely dangerous position. The building is tipping and sinking into the sodden ground. The fuel pool itself may have deteriorated. The rods are embrittled and prone to crumbling. Just 50 meters from the base is a common spent fuel pool containing some 6,000 fuel rods that could be seriously compromised should it lose coolant. Overall there are some 11,000 spent rods scattered around the Fukushima Daichi site. Dangerous as the process might be, the rods in the Unit Four fuel pool must come down in an orderly fashion. Another earthquake could easily cause the building to crumble and collapse. Should those rods crash to the ground and be left uncooled, the consequences would be catastrophic. Tepco has said it will begin trying to remove the rods from that pool in November. The petitions circulating through www.nukefree.org and www.moveon.org , as well as at rootsaction.org and avaaz.org, ask that the United Nations take over. They ask the world scientific and engineering communities to step in. The Rootsaction petition also asks that $8.3 billion slated in loan guarantees for a new US nuke be shifted instead to dealing with the Fukushima site. It's a call with mixed blessings. The UN's International Atomic Energy Agency is notoriously pro-nuclear, charged with promoting atomic power as well as regulating it. Critics have found the IAEA to be secretive and unresponsive. But Tepco is a private utility with limited resources. The Japanese government has an obvious stake in downplaying Fukushima's dangers. These were the two entities that approved and built these reactors. While the IAEA is imperfect, its resources are more substantial and its stake at Fukushima somewhat less direct. An ad hoc global network of scientists and engineers would be intellectually ideal, but would lack the resources for direct intervention. Ultimately the petitions call for a combination of the two. It's also hoped the petitions will arouse the global media. The moving of the fuel rods from Unit Four must be televised. We need to see what's happening as it happens. Only this kind of coverage can allow global experts to analyze and advise as needed. Let's all hope that this operation proves successful, that the site be neutralized and the massive leaks of radioactive water and gasses be somehow stopped. As former Ambassador Mitsuhei Murata has put it: full-scale releases from Fukushima "would destroy the world environment and our civilization. This is not rocket science, nor does it connect to the pugilistic debate over nuclear power plants. This is an issue of human survival." Common Dreams is powered by optimists who believe in the power of informed and engaged citizens to ignite and enact change to make the world a better place. We're hundreds of thousands strong, but every single supporter makes the difference. Your contribution supports this bold media model—free, independent, and dedicated to reporting the facts every day. Stand with us in the fight for economic equality, social justice, human rights, and a more sustainable future. As a people-powered nonprofit news outlet, we cover the issues the corporate media never will. | Our work is licensed under Creative Commons (CC BY-NC-ND 3.0). Feel free to republish and share widely. We've had enough. The 1% own and operate the corporate media. They are doing everything they can to defend the status quo, squash dissent and protect the wealthy and the powerful. The Common Dreams media model is different. We cover the news that matters to the 99%. Our mission? To inform. To inspire. To ignite change for the common good. How? Nonprofit. Independent. Reader-supported. Free to read. Free to republish. Free to share. With no advertising. No paywalls. No selling of your data. Thousands of small donations fund our newsroom and allow us to continue publishing. Can you chip in? We can't do it without you. Thank you.
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Updated July 12, 2023 Introduction to Independent Director Shareholders invest their money in the business. The business takes a corporate form, and investors cannot look into the organization’s day-to-day activities. Hence, they appoint directors to look after the daily chores of the commercial activities. However, some directors may take advantage of the power imparted by the board. Directors may enter into some transactions with the related parties of directors and squeeze the company’s reserves. Who is the Independent Director? - An independent director is a member of the board of directors of a company who does not participate in the daily chores of the entity’s operations and does not have a material relationship with the company. Thus, he is also referring as the non-executive director of the company. - The word “independent” attains its importance only when the board of directors confirms that the directors do not have any material relationship with the company. Material relationship refers to a business relationship between a person and a limited benefit company transacting through self, a family member, or an officer wherein the person has some beneficial interest. - Material relations can be in the form of direct control of the other entity, being a partner or shareholder or an officer of another entity. Related-party transactions are generally allowed but only up to a certain level. - These provisions apply to the listed entities. In addition, the parent or subsidiary of such a listed company also covers these provisions. Role of Independent Director - The independent director plays a passive role in day-to-day activities but plays an active role in the committees set up by the company. In addition, he is responsible for managing the risks and ensuring corporate governance standards within the company. - He holds a vital role in succession planning for the company. - He ensures a balance between the conflicting interest of the stakeholders. - Independent Director is Mentor and guides the company since he possesses expertise in one of the primary business areas. - He is responsible for being objective while evaluating the performance of the directors. - Independent Directors are vital in ensuring the integrity of the financial controls and systems. - He is involved in the key strategy-making process, appointing key persons, designing the standards of conduct, and risk management. - Should provide levels within which remuneration can pay to the key managerial personnel of the entity and other executive directors. - He provides solutions in case of conflicts between the management and the interest of the company’s shareholders. Responsibility of Independent Director - He Should try to attend the general meeting of the company and meetings of the board of directors. - He should act within the authority provided to him. - Attend the committee meetings wherein he is the committee’s chairperson. - Should have enough knowledge of the company and the environment surrounding the company. - Independent directors should take care of the interests of the company, its shareholders, and its employees. - He is responsible for reporting the actual or suspected chances of fraud or any willful violation of the company’s code of ethics. - He holds critical information such as technologies, promotion plans, price-sensitive knowledge, and business secrets. And should keep the information confidential unless expressly allowed to disseminate by the board or required under the law. - He should safeguard the interest of the stakeholders, especially the minority ones. - He should ensure that the vigil mechanism is adequate and functional at all times and the person using the facility is free from any risk due to using such facilities. Applicability on Appointing Independent Director - At the time of appointment of an independent director, the board needs to determine whether the person has any material relationship with the company. - In doing so, the board checks that the person’s relationship falls within the familial, accounting, consulting, commercial, banking, charitable, or legal category. - If the board successfully determines that no such relationship exists, the person is eligible for appointment as an independent director of the company. Provisions Related to Independent Director A person cannot treat as an independent director if he: - Is an employee, or is an immediate family member of the company’s executive director? - A partner of an employee of internal or external company auditors, whether present or former auditor. - Is an immediate family member of the partner or employee of such auditors in clause b. - Is in receipt of compensation of more than US $ 120,000 per annum for services other than being a director of the listed company. However, such compensation should not be contingent on the continued services and not concern the pension or deferred compensation for prior services. - Is an immediate family of the person as specified in clause d. - Is an employee of the company who receives or makes payments to the listed company concerning the property or services for an amount that exceeds 2% of the company’s consolidated gross revenues or the US $ 1 million in any of the preceding three fiscal years. - An immediate family member of the company’s executive officer as specified in clause f. - Also, if the person has had such a relationship as above in the last three years, the person would not be qualified as an independent director. Thus, the criteria limit is three years preceding the year of appointment. - Companies listed on the New York Stock Exchange and Nasdaq must comply with stricter norms about the independence criteria. Such companies should ensure that the director’s ability to remain independent is not affected by any material relationships, including the impact of any compensatory fee paid or being affiliated with the subsidiary or affiliate of a subsidiary of the company. - If the company imposes additional independence standards, it must disclose the same. - As per NYSE listing rules, the listed companies in the US should have the majority of directors as independent directors. - The business transactions are fair without the dent of being biased toward directors. - Stakeholders’ interest is protected. - Independent directors are free from undue influence from the management. - The expertise of the independent directors can be used for the company’s benefit. - The performance evaluation of the directors is objective and without any bias. - They are essential to good corporate governance policies. - He helps in the succession planning of the company. - He resolves the conflicts between the shareholders and the management. - The company has information asymmetry since independent directors do not know about the daily chores. Thus, the information received by such a director is some systematic noise. - An Independent director is still a director, and his decisions are subject to approval from the board members. - Due to asymmetry in the information exchange, ad hoc invitations to the board meetings do not suffice for the purpose. Thus, a completely independent board would work with poor information, and the objective of independence would be ineffective. Listed companies are required to ensure compliance with independent directors. However, after observing the disadvantages of independent directors, it is not feasible to appoint 100% independent directors to the company’s board. On the other side, a sufficient number (like fifty percent) is required to ensure good corporate governance and the creation of long-term value for the company. This is a guide to Independent Directors. We also discuss the definition, roles, responsibilities, benefits, and disadvantages. You may also have a look at the following articles to learn more –
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When it comes to training a dog, the question of when to start is crucial. The early stages of a dog’s life play a vital role in shaping their behavior and habits for the future. Understanding the developmental stages in dogs and implementing appropriate training methods can make a significant impact on their overall well-being and behavior. In this article, we will explore the importance of early training, age-appropriate exercises, and common mistakes to avoid when training a young dog. Early training is essential for setting the foundation for good behavior in dogs. It helps in preventing behavioral problems and ensures that your furry companion grows up to be a well-behaved member of your family. Understanding the developmental stages in dogs is crucial in determining the right time to start training and what skills are appropriate for each stage. Socialization plays a key role in this aspect as it helps in shaping your dog’s behavior around people and other animals. Positive reinforcement versus punishment is an important consideration when choosing the right training method for your dog. Implementing basic commands at the right time can greatly influence your dog’s response to instructions. Potty training is also an essential part of early training, and knowing effective tips and tricks can lead to success in this area. Lastly, providing age-appropriate exercise and mental stimulation is crucial for a growing pup’s development. By understanding these factors, you can ensure that you are starting your puppy off on the right paw with their training journey. Understanding Developmental Stages in Dogs It’s important to understand the developmental stages in dogs when it comes to training them. Puppies go through various stages of development, and each stage comes with its own set of challenges and opportunities for learning. The age at which you should start training your dog will depend on their individual development, but it’s generally recommended to start as early as possible. Puppies begin learning from the moment they are born, and early training can help set the foundation for good behavior. Basic commands such as sit, stay, and come can be introduced to puppies as young as 8 weeks old. At this stage, they are able to start understanding and responding to simple commands. However, it’s important to keep training sessions short and fun, as their attention spans may be limited at this age. As puppies grow older, they enter adolescence around 6 months of age. This is a crucial stage in their development where they may become more independent and test boundaries. Consistent training and positive reinforcement are key during this stage to prevent any behavioral issues from arising. With the right approach, you can help your adolescent dog successfully transition into adulthood without developing any unwanted habits. Developmental Stage | Training Start Age | Puppy (8 weeks) | 8 weeks old | Adolescence (6 months) | As soon as possible | Why Socialization Matters Proper socialization helps puppies adjust to new environments, people, and other animals. It also reduces the likelihood of fear-based aggression and overall anxiety in adult dogs. By exposing your puppy to different sights, sounds, smells, and experiences during their critical developmental period, typically between 3 weeks to 14 weeks of age, you can help them grow into confident and well-adjusted pets. Strategies for Successful Socialization Introduce your puppy to new experiences gradually and in a positive manner. Take them on walks in different neighborhoods, allow them to meet and interact with various people and other animals, and expose them to different surfaces such as grass, pavement, sand, and gravel. It’s also important to enroll your puppy in obedience classes where they can interact with other dogs under the supervision of experienced trainers. By starting the socialization process early on, you are setting your puppy up for success in their adult life. It’s imperative to remember that positive experiences during this time will shape your dog’s behavior for many years to come. Positive Reinforcement vs Punishment When it comes to training your dog, it’s important to choose the right method for their development. Positive reinforcement and punishment are two common approaches to training, and understanding the differences between them is crucial for effective results. Positive reinforcement involves rewarding your dog for exhibiting desired behaviors. This can include treats, praise, or toys as a form of motivation. By rewarding good behavior, you are encouraging your dog to repeat those actions in the future. This method is known to build a strong bond between you and your pet and create a positive learning environment. On the other hand, punishment-based training methods rely on correcting unwanted behavior through aversive techniques such as yelling, leash jerking, or using shock collars. While these methods may show short-term results, they can have long-term negative effects on your dog’s well-being and behavior. It can lead to fear, anxiety, and even aggression in some cases. To determine the right training method for your dog, consider their temperament, age, and specific needs. Puppies respond well to positive reinforcement due to their playful nature and eagerness to please. Older dogs with behavioral issues may benefit from a more structured approach that includes positive reinforcement along with behavioral modification techniques. - Positive reinforcement builds trust and confidence in your dog - Punishment-based methods can lead to fear and aggression - Consider your dog’s age and temperament when choosing a training method Ultimately, using positive reinforcement creates a harmonious learning environment for your dog while strengthening the bond between you both. By opting for this approach over punishment-based methods, you set the foundation for a well-behaved and happy furry companion. Introduction to Basic Commands When considering how old to start training a dog, it’s important to introduce basic commands at the right time in your puppy’s development. Basic commands such as sit, stay, and come are essential for building a strong foundation of obedience and communication with your canine companion. Introducing these commands at the appropriate age can set the stage for a well-behaved and obedient adult dog. When to Introduce Basic Commands Puppies as young as 8 weeks old can start learning basic commands. At this age, they are receptive to learning and eager to please their owners. It’s important not to overwhelm them with too many commands at once, but rather focus on one or two at a time. As they grow older, you can gradually introduce more commands into their training regimen. How to Teach Basic Commands The key to teaching basic commands is consistency and positive reinforcement. Use treats, praise, and rewards to encourage your puppy to perform the desired behavior. Keep training sessions short (5-10 minutes) and frequent throughout the day. Use clear and consistent verbal cues along with hand signals to reinforce the commands. It’s also important to be patient and understanding during the learning process as puppies may take some time to fully grasp each command. By starting early and using positive reinforcement techniques, you can effectively teach your puppy basic commands that will form the basis of a well-trained dog in the future. When it comes to potty training a dog, many pet owners often wonder how old to start training a dog in this aspect. The truth is, the earlier you start, the better. Potty training is an essential part of a dog’s early education and can set the foundation for good behavior in the future. Ideally, you should begin potty training your puppy as soon as you bring them home, typically around 8 weeks of age. However, it’s important to keep in mind that every dog is different, and some may catch on quicker than others. One of the key tips for success in potty training is consistency. Establishing a routine for bathroom breaks and sticking to it will help your puppy understand what is expected of them. Take your puppy outside first thing in the morning, after meals, before bedtime, and frequently throughout the day. Use a word or phrase such as “go potty” to associate with the act of eliminating, and be sure to praise and reward your puppy when they do their business outside. In addition to consistency, patience is also crucial when potty training a young dog. Accidents are bound to happen, so it’s important not to scold or punish your puppy for making mistakes. Instead, clean up any messes without drawing attention to them and continue with positive reinforcement for successful outdoor bathroom trips. With time and dedication, your puppy will learn where they are supposed to go potty and will become fully house trained. Age-Appropriate Exercise and Mental Stimulation When considering how old to start training a dog, it’s essential to also consider age-appropriate exercise and mental stimulation. Puppies have different needs than adult dogs, and it’s crucial to tailor their exercise routine and mental stimulation to their developmental stage. For puppies, short bursts of playtime and low-impact activities are ideal. This can include exploring new environments, socializing with other puppies, and engaging in gentle play with appropriate toys. As the puppy grows older, longer walks and more active games can be introduced to help them burn off excess energy. It’s also important to provide mental stimulation for dogs of all ages. Interactive toys, puzzle feeders, and obedience training can all help keep a dog’s mind engaged. Mental stimulation is especially important for young dogs as it can prevent behavioral issues such as destructive chewing or excessive barking. Properly tailoring exercise and mental stimulation to a dog’s age will not only help them maintain physical health but also aid in their mental development. It is an essential part of ensuring that a dog grows up happy, well-adjusted, and well-behaved. Common Mistakes to Avoid When Training a Young Dog When considering how old to start training a dog, it’s important to also be aware of the common mistakes to avoid when training a young dog. Training a puppy can be challenging, and many well-intentioned pet owners inadvertently make errors that can hinder the training process. One of the most common mistakes is starting training too late. Puppies have a critical socialization period between 3 and 14 weeks of age, during which they are most receptive to new experiences. Waiting too long to begin training can result in missed opportunities for crucial developmental learning. Another mistake to avoid is using punishment as a primary method of training. While it might be tempting to scold or yell at a misbehaving puppy, positive reinforcement has been shown to be much more effective in shaping desired behaviors. Using treats, praise, and rewards can help build a strong bond between you and your dog while effectively teaching them what behaviors are desirable. Additionally, inconsistency in training can lead to confusion for young dogs. It’s essential to establish clear rules and boundaries from the beginning and maintain consistency in enforcing them. This includes ensuring that all family members are on the same page with regards to behavior expectations and training techniques. By being mindful of these common mistakes when training a young dog, pet owners can set their puppies up for success and ensure that they grow into well-behaved and happy adult dogs. When it comes to the question of how old to start training a dog, the answer is clear: as soon as possible. Early training is crucial in shaping a well-behaved and socialized canine companion. Understanding the developmental stages in dogs and tailoring your training methods accordingly is essential for successful and effective training. Socialization plays a crucial role in ensuring that your dog grows up to be friendly and well-adjusted, making it important to start exposing them to new experiences and environments from a young age. Choosing the right training method, such as positive reinforcement, sets the foundation for a strong bond between you and your furry friend. Knowing when to introduce basic commands and how to teach them ensures that your pup learns important skills early on. Additionally, successful potty training requires patience, consistency, and understanding of your puppy’s needs. Exercise and mental stimulation are key components of your dog’s overall well-being and should be tailored to their age for optimal development. Lastly, being aware of common mistakes to avoid when training a young dog can help you navigate the journey more smoothly. In conclusion, starting your puppy off on the right paw sets the stage for a fulfilling lifelong relationship with your four-legged family member. By prioritizing early training, socialization, positive reinforcement, appropriate exercise, mental stimulation, and avoiding common mistakes, you can ensure that your puppy grows into a well-behaved and well-adjusted adult dog. The effort put into early training pays off in spades as you watch your furry companion thrive throughout their life. Frequently Asked Questions What Age Is Best for Training a Puppy? The best age for training a puppy is around 8 to 12 weeks old. At this age, puppies are more receptive to learning and are able to start understanding basic commands and behaviors. How Early Should You Start Training a Puppy? It’s important to start training a puppy as early as 8 weeks old, as this is the prime window for their socialization and learning abilities. However, it’s never too late to start training a dog, but early training sets a good foundation. What Is the First Thing to Train a Dog? The first thing to train a dog is typically basic commands such as “sit,” “stay,” and “come.” These commands form the foundation for further training and help establish a line of communication between the dog and its owner. Welcome to the blog! I am a professional dog trainer and have been working with dogs for many years. In this blog, I will be discussing various topics related to dog training, including tips, tricks, and advice. I hope you find this information helpful and informative. Thanks for reading!
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Heidegger's Bible Handbook: Exodus: Historical and Doctrinal Synopsis 4. An historical synopsis of Exodus displayed in the narration of Stephen, Acts 7, and a didactic synopsis in the words of Saint Paul, Hebrews 11; Galatians 3. In addition, the Protomartyr Stephen delivered a Historical Synopis of Exodus in his Apology, which is extant in Acts 7:17-44. Saint Paul captures the Didactic content in its principal part in Hebrews 11:23-29: By faith Moses, when he was born, was hid three months of his parents, because they saw he was a proper child; and they were not afraid of the king’s commandment. By faith Moses, when he was come to years, refused to be called the son of Pharaoh’s daughter; choosing rather to suffer affliction with the people of God, than to enjoy the pleasures of sin for a season; esteeming the reproach of Christ greater riches than the treasures in Egypt: for he had respect unto the recompence of the reward. By faith he forsook Egypt, not fearing the wrath of the king: for he endured, as seeing Him who is invisible. Through faith he kept the passover, and the sprinkling of blood, lest he that destroyed the firstborn should touch them. By faith they passed through the Red sea as by dry land: which the Egyptians assaying to do were drowned. Likewise, Saint Paul, Galatians 3:19, The Law was added because of transgressions, till the seed should come to whom the promise was made; and it was ordained by angels in the hand of a Mediator. Dr. Dilday's Lecture: "The Revelation of Jesus Christ at Sinai, Part 2"
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One undeniable benefit of this new technological world is the accessibility of information, both in terms of professional job roles and personal matters and as such, you no longer need to commit to an annual subscription to an encyclopedia to learn about your body. Your eyes are perhaps the most complicated and interesting organ of all and here are five fascinating facts all about them. - Your Eyes Are Made Mostly of Jelly First and foremost, one of the most interesting facts relating to these small, but incredibly complicated, organs is that around eighty percent of each eye consists of hard fluid, akin to jelly. This jelly sits squarely between the retina of the eye and the lens and is both colorless and clear, with the technical name for this jelly being Vitreous Humor. - Cataracts Are Not Always Age-Related Even though you are far more likely to develop cataracts in one or both of your eyes as an older person, they can also develop due to other factors, one of the primary being the onset of Type 2 diabetes. Innovative and impressively effective eye surgery such as LASIK cost considerably less than you might imagine, so if you either already have the beginning formations of cataracts, or else develop them in the future, do bear this in mind. - Everyone Has a Blind Spot You may be one of those people who proudly tell anyone who will listen that you have 20/20 vision and that your peripheral vision is second to none. Now, as accurate as this may be, you may be surprised to learn that you still have a blind spot. Admittedly, this tiny blind spot is almost unperceivable, but is most definitely there. Located according to the position of your optic disk (which is where the blood vessels attach to your eye and the optic nerve leaves it) this small blind spot is automatically ignored by the brain, which impressively fills in the necessary required information. - Red Eye Is Not the Fault of the Camera Everyone has been in the situation where you spend a great deal of time organizing your friend to pose for a beautiful and sentimental photograph and meticulously position everyone so they are visible, only to find that one or more of you have ‘red eyes’ in the resulting picture. Far from simply being a camera or smartphone error, the red eye is actually the blood vessels in that person's eyes being reflected into the camera. - Fingerprints Are Not Your Only Personal Identifier Admittedly, it would take an exceedingly modern criminal to leave behind a print of their iris at a crime scene, but the fact remains that the iris of a person’s eye is even more of an accurate indicator as to the identity of an individual. Your fingerprints have approximately forty unique identifiers, whereas the iris of the average human eye contains a staggering two hundred and sixty, making them the ultimate way to identify someone.
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The following guidelines are intended to help readers to find their way through the present International Bibliography of Dictionaries, Glossaries and Terminological Publications, and consequently to find the appropriate information promptly, reliably and as completely as possible. The dictionaries and vocabularies listed in this publication are divided into the following ten groups, according to the Oxford System of Decimal Classification for Forestry: 0 Forests, Forestry and the Utilization of Forest Products 1 Factors of the Environment. Biology 3 Work Science (Work Studies). Harvesting of Wood: Logging and Transport. Forest Engineering 4 Forest Injuries and Protection 5 Forest Mensuration 6 Forest Management 7 Marketing of Forest Products. Economics of Forest Transport and the Wood Industries 8 Forest Products and their Utilization 9 Forests and Forestry from the National Point of View. Within each group the numbered entries are listed in alphabetical order by author or publishing body. Each bibliographical entry under these ten main groups is headed by a number. This current entry number is cross-referenced with the entries in the two indexes at the end of the Bibliography: Index of Authors, p. 43 and Index of Languages, p. 46 Below the entry number a series of small letters indicate the language(s) of the publication. The following abbreviations are used: my Bahasa Malaysia/Malay nl Dutch, Flemish pe Persian, Farsi sh Serbo Croat and reference to several tribal languages Together with the language symbols, in some cases additional information can be found on the existence of equivalents in other languages, the existence of an index and the arrangement of the terms. These symbols appear in parentheses in the bibliographical entry and have the following significance: d existence of definitions in the respective language a alphabetical arrangement of terms in the respective language s systematic arrangement of terms in the respective language a/s mixed alphabetical/systematic arrangement of terms in the respective language i existence of an alphabetical index of terms in the respective language e terms in the respective language arranged according to the alphabetical order of the terms in another language („equivalents") Titles are given in the original language if a Latin alphabet is used. Russian (but generally not other Cyrillic alphabets) and Greek are given in standard transliterations. English translations are given in square brackets. The indication IUFRO Ter at the end of any bibliographical entry means that one copy is available for consultation in the IUFRO Terminology Collection. GIRARD, P.; BOGNER, A. Vocabulaire de l’informatique et de l’électronique/Wörterbuch der Datenverarbeitung und der Elektronik [Vocabulary of data processing and electronics]. 3rd ed., Paris/Köln: Universum, 1991. 264 p., 14.000 t., 36 fig., symb., 160x215 mm. ISBN 3-207-84914-2. FRF 165,-/DEM48,- IUFRO Ter 1 Reference number 2 Language symbols 3 Additional language related symbols 4 Author(s) or editor(s) 6 English translation of title 8 Place of publication 10 Year of publication 11 Number of pages 12 Number of concepts 13 Number of figures
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Emissions generated by buildings and infrastructure in the world’s cities could be cut by 44% by 2050 if the right action is taken, says a report by Arup, C40 Cities and the University of Leeds. The report says that the interventions identified would reduce air and noise pollution, providing health benefits for citizens and the environment. The report, ‘Building and infrastructure consumption emissions’, urges action in six key areas to reduce the climate impact of construction in cities: – Implementing efficiency in material design; – Enhancing existing building utilisation; – Switching high-emission materials to sustainable timber where appropriate; – Using lower-carbon cement; – Reusing building materials and components; – Using low- or zero-emission construction machinery. – As well as reducing greenhouse gas emissions, the research says that additional economic, social and health benefits could be generated by ‘clean’ construction. The interventions identified in the research would reduce air and noise pollution, providing health benefits for citizens and the environment, says the report. They would also spark change within the growing construction economy, providing opportunities for new jobs and skills. “As the sector responsible for the largest share of consumption-based emissions in C40 cities between now and 2050, it’s clear that the construction sector must do more to reduce its carbon impact,” said Ben Smith, Arup director for energy, cities and climate change. “Our research shows that there are significant opportunities to act, but we need to rethink the way buildings and infrastructure are delivered. Making that change a reality will rely on working with all those with responsibility for delivering development. We believe that the construction sector can embrace this change, if it invests in necessary skills and training and seeks to promote innovation.” “The world’s cities are growing fast, with an area the size of Milan being built every week,” said Mark Watts, executive director of C40 Cities. “It may be a boom time for builders but the construction industry is a major contributor to the climate crisis. “As C40’s research demonstrates, citizens will ultimately benefit from cleaner air, quieter streets and lower prices. Now it is up to businesses and industry to recognise the risks of inaction and work with mayors and consumers to make sure everyone benefits from the huge opportunities that lie ahead from clean construction.”
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top of page WHAT IS KAMBO? Kambo is a secretion produced from the Phyllomedusa Bicolor Frog, a non-psychoactive traditional Amazonian medicine used in ceremony. Kambo is applied through superficial burns (‘gates’) made into the skin. Kambo is well known as the ‘vaccine of the forest’ and most easily understood as a detoxing, immune boosting treatment. It is one of the strongest natural anti-inflammatory antibiotic, antimicrobial and anesthetic substances found in the world. It is one of the strongest natural ways to strengthen your system… It is not psychoactive, and is legal worldwide. BENEFITS OF KAMBO There are many different benefits of Kambo that range from physical to mental to emotional and even spiritual. In its indigenous use, it’s considered to be a medicine. However, in western society, we cannot technically deem this as a medicine, although anyone who has ever experienced the potency of Kambo will attest to its ability to provide relief from physical ailments. It assists in decreasing inflammation in the body. Immediate and short-term effects include enhanced mood, alertness, clarity, focus, energy and increased resistance to stress, tiredness, hunger and thirst. The mind becomes still, you feel lighter and everything becomes easier to manage. In the longer term, Kambo empowers the immune system so that the body is better able to heal itself. Research conducted since the 1980s has shown the chemical makeup of kambo to contain short chains of amino acids, known as peptides, that affect gastrointestinal muscles and blood circulation as well as stimulate the adrenal cortex and pituitary gland in the brain. THE PEPTIDES FOUND IN KAMBO OFFER A PROMISING TREATMENT FOR THE FOLLOWING PHYSICAL CONDITIONS: Alzheimer’s and Parkinson’s disease Heavy or painful periods Chronic fatigue syndrome Gut and digestive issues Boost the immune system Blood circulation problems KAMBO ALSO PROVIDES ENERGETIC SUPPORT WITH THE FOLLOWING: Release stuck, stagnant, and dense energies. Increase energy and stamina. Reignite inspiration and creativity. Gain the fortitude to courageously face difficulties and adversity. Process grief, anger, and other repressed emotions. Heighten spiritual gifts and awareness. Develop a healthy connection to your body Increased appreciation and gratitude for life Release repressed trauma Feel supported through life transitions Breakthrough self-destructive behaviors and patterns Cultivate new perspectives and visions for the future bottom of page
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The use of LiDAR (Light Detection and Ranging) technology has revolutionized the way aerial surveys are conducted. Airborne LiDAR survey is one of the most accurate and reliable survey techniques available today, providing detailed 3D maps of any terrain. In this article, we explore the benefits of an airborne LiDAR survey and how it can be used to effectively survey remote or inaccessible areas. A LiDAR survey uses a laser scanner to measure the distance between an aircraft and the ground surface by measuring the time it takes for a laser pulse to travel from the aircraft to the ground and back. This data is then processed to create 3D digital models of the terrain. These models can be used for engineering applications, such as surveying for construction projects, mapping for infrastructure development, and analyzing changes in land cover for environmental monitoring. The accuracy of LiDAR surveys is unmatched compared to other survey techniques. LiDAR surveys are more cost-effective than traditional methods as they require fewer resources and time to complete. Additionally, LiDAR surveys are less intrusive than other methods, making them ideal for surveying sensitive ecosystems or areas with limited access. LiDAR, or Light Detection and Ranging, is a survey technique that uses laser beams to measure distances and capture accurate data in challenging environments. This sophisticated technology can measure distances with high accuracy over long distances, making it an invaluable tool for surveyors. It is especially useful for projects requiring detailed elevation measurements, making it a popular choice for topographic mapping, land surveys, and other tasks. LiDAR can be divided into two categories: airborne and terrestrial LiDAR. Airborne LiDAR is used to measure the height and shape of objects from an aircraft or drone, allowing surveyors to capture large areas of data quickly. Terrestrial LiDAR is used to measure smaller areas at closer ranges, usually from the ground. Both types of LiDAR use sophisticated laser scanners to capture data points in a 3-dimensional space. Using airborne LiDAR for survey techniques offers numerous advantages. For example, LiDAR can provide accurate data even in challenging environments such as dense forests or extreme weather conditions. It also has the ability to collect data more quickly than traditional surveying methods, allowing surveyors to complete projects in less time. Additionally, LiDAR is able to capture high-resolution data that would be impossible to obtain with other survey techniques. Despite its many advantages, there are some challenges associated with using airborne LiDAR survey. The most notable challenge is the cost associated with it, as LiDAR systems are typically more expensive than traditional survey techniques. Additionally, the data collected by LiDAR must be processed and analyzed before it can be used, which can be time-consuming and complex. The process of using airborne LiDAR for survey techniques typically involves several steps. The first step is data collection, which involves using the LiDAR system to capture data points in a 3-dimensional space. This data is then processed and analyzed using specialized software to generate accurate elevation models and topographic maps. Finally, the data can be used for a variety of applications such as land surveying or floodplain mapping. Airborne LiDAR survey has been successfully used in a variety of projects. For example, it has been used to map topography in remote areas that are difficult to access by traditional surveying methods, such as the Amazon Rainforest or Antarctica. Additionally, it has been used to create 3-dimensional models of archaeological sites and buildings, allowing researchers to study them in greater detail. As LiDAR technology continues to advance, its potential applications are growing rapidly. For example, it could be used for autonomous vehicle navigation or disaster relief efforts by providing detailed elevation maps of affected areas. Additionally, airborne LiDAR could be used for urban planning by providing detailed 3-dimensional models of cities and towns. In conclusion, airborne LiDAR survey is a powerful survey technique that offers numerous benefits over traditional methods. It can provide accurate data even in challenging environments and can capture large areas of data quickly. Additionally, it can generate high-resolution maps that would otherwise be impossible to obtain. While there are some challenges associated with using airborne LiDAR survey, these can be addressed with the right expertise and equipment. Airborne LiDAR survey has already been successfully used in a variety of projects and its potential applications are growing rapidly. Challenges with Airborne LiDAR Survey Airborne LiDAR survey is a survey technique which has many benefits, but it also presents certain challenges. The biggest challenge is that the laser technology used in airborne LiDAR survey is sensitive to environmental conditions like cloud cover, rain, and wind, which can interfere with data collection.Additionally, the quality of the data collected can be affected by the accuracy of the survey equipment being used. In addition to environmental conditions, airborne LiDAR survey has limited range and resolution, which can make it difficult to collect accurate data over a large area. It can also be difficult to process the collected data due to its high volume. Lastly, airborne LiDAR survey requires specialized personnel and equipment which can be costly and time-consuming to acquire. Despite these challenges, there are ways to address them. For example, using multiple surveys can help increase data accuracy by covering a larger area. It is also important to use the most accurate survey equipment available to ensure the quality of the data collected. Additionally, cloud-based software can be used to process large volumes of data quickly and efficiently. Finally, hiring experienced personnel who specialize in airborne LiDAR survey can help ensure that the data collected is of the highest quality. What is Airborne LiDAR Survey? LiDAR (Light Detection and Ranging) is a survey technique that uses lasers to measure distances and capture accurate data in challenging environments.It is used to generate detailed 3D models and maps of the Earth’s surface, allowing for the creation of accurate elevation measurements. Airborne LiDAR survey is a type of LiDAR that is flown on a plane or helicopter. This form of surveying has become increasingly popular in recent years due to its ability to generate high-resolution data in a timely and cost-effective manner. Airborne LiDAR surveys are often used for projects that require detailed elevation measurements, such as mapping terrain features, power line surveys, and measuring forest canopy height. The most common types of LiDAR used for airborne surveys are topographic LiDAR and bathymetric LiDAR. Topographic LiDAR works by sending out laser pulses at regular intervals from an aircraft and measuring the time it takes for them to return to the sensor. The data collected from these pulses is then used to create a 3D model of the terrain. Bathymetric LiDAR works similarly, but uses underwater sensors to measure changes in water depth and generate detailed 3D maps of underwater features. Benefits of Airborne LiDAR Survey Airborne LiDAR survey offers several advantages over traditional survey methods. One of the primary advantages is improved accuracy. As LiDAR uses lasers to measure distances, it offers more accurate measurements than other survey techniques. This means that the data collected is more reliable and can be used for a wide range of applications.Another benefit of using LiDAR for survey techniques is increased speed. This method of surveying can be done quickly, allowing for faster completion times for projects. Additionally, LiDAR does not require as much labor as traditional methods, further reducing the time it takes to complete a project. Finally, LiDAR survey techniques are much more cost-effective than other survey methods. The cost savings from using LiDAR can be significant, especially when considering the accuracy and speed benefits associated with the technique. In summary, the use of Airborne LiDAR survey offers many benefits, including improved accuracy, increased speed, and cost savings. This makes it an ideal choice for projects requiring detailed elevation measurements. How Does Airborne LiDAR Survey Work? Airborne LiDAR survey is a survey technique that uses lasers to measure distances and capture data in challenging environments. The process of airborne LiDAR survey involves three distinct steps: data collection, data processing, and data analysis.Data collection is the first step of an airborne LiDAR survey and involves the use of a laser scanner mounted on an aircraft to scan the area of interest. The laser scanner emits pulses of light which are then reflected back to the aircraft by the terrain or objects in the environment. The data collected is then stored in a computer which is used to create a 3D map of the area of interest. Once the data has been collected, it must be processed in order to be useful. During this step, the data is filtered, cleaned, and transformed into a format that can be easily analyzed. This includes removing noise from the data, such as trees or buildings that may have been captured during the scan. The data is then converted into a point cloud which can be used for further analysis. The final step in an airborne LiDAR survey is data analysis. This involves using specialized software to analyze the point cloud and generate accurate results. This analysis can be used to measure distances between points, calculate elevation changes, and generate precise 3D models of the area of interest. Data analysis can also be used to identify areas that need further investigation or that may require additional surveys. The Future of Airborne LiDAR Survey The use of airborne LiDAR survey has been increasing in recent years and is expected to continue to grow in the near future. As technology advances, the capabilities of airborne LiDAR survey are becoming increasingly more precise and detailed.With the help of modern tools and techniques, it is now possible to obtain a high degree of accuracy with airborne LiDAR survey. In the future, airborne LiDAR survey will be used to create high-resolution 3D models of complex terrain and environments. This will allow for more accurate measurements and data collection. It can also be used to monitor changes in the environment over time, such as erosion or flooding. In addition, it can be used to detect objects that are difficult to see with traditional surveying techniques, such as underground water sources or hidden sinkholes. In the future, airborne LiDAR survey will also be used for a variety of other applications. For example, it can be used to create digital maps for autonomous vehicle navigation, or to measure the height of trees in order to determine the health of a forest. It can also be used for urban planning and infrastructure development. In addition, it can be used to detect objects in hazardous environments, such as underground caves or landslides. The potential applications of airborne LiDAR survey are virtually limitless. As technology continues to evolve, so too will the capabilities of this versatile surveying technique. This means that businesses and organizations can look forward to greater accuracy and more efficient data collection in the future. Examples of Projects Using Airborne LiDAR Survey Airborne LiDAR survey has been used for a variety of projects, from mapping large areas of land to creating detailed 3D models of buildings or other structures. One example is the creation of detailed 3D models of archaeological sites such as the Pyramids of Giza.By using airborne LiDAR survey, archaeologists are able to quickly and accurately capture the size and shape of these ancient monuments. The use of airborne LiDAR survey has also been beneficial in the surveying of large areas of land for construction and development. By using this technique, surveyors are able to quickly and accurately measure distances and elevations across large areas, which helps to ensure that all necessary data is collected quickly and accurately. Airborne LiDAR survey has also been used in the creation of highly detailed maps of urban areas. This technique is often used by urban planners and engineers to get accurate information about the size, shape and elevation of city streets, buildings and other features. This information can then be used to create detailed maps that can be used for planning purposes. Finally, airborne LiDAR survey has been used to measure seafloor depths and other oceanographic features. This technique is often used by oceanographers to gather accurate data about the topography of the seafloor. This data can be used to create detailed maps that can be used for navigation, research or other purposes. In conclusion, airborne LiDAR survey is an effective and reliable survey technique which offers a wide range of benefits to professionals in challenging environments. It enables the collection of accurate data for projects requiring detailed elevation measurements. Airborne LiDAR survey can be used in a variety of applications, from infrastructure development to land management and more. The advances in technology have made it possible for professionals to make quick and accurate decisions with the help of airborne LiDAR survey. We hope this article has helped you understand the benefits of airborne LiDAR survey and how it can help you generate accurate data for your project. We invite you to explore more about airborne LiDAR survey and its potential applications.
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Click on any image for details about licensing for commercial or personal use. Charlotte Bronte, born in 1816, was one of three sisters who became famous novelists. Her best known work is Jane Eyre, originally published under the pen-name Currer Bell. Born in Thornton, Yorkshire, she was educated at the Clergy Daughters’ School at Cowan Bridge, Lancashire, which was so poorly maintained, that it contributed to the deaths of Charlotte’s two elder sisters and left her in poor health. Along with her surviving siblings (Branwell, Emily and Anne) she began chronicling the exploits of an imaginary kingdom and the three sisters published a volume of poetry under pen-names. Charlotte married in 1854 and soon fell pregnant. She died, along with her unborn child, on 31 March 1855, aged 38, officially from tuberculosis, although many speculate that she suffered dehydration and malnourishment caused by severe morning sickness. Her husband, a curate, prayed for her and Charlotte’s last words were: “I am not going to die, am I? God will not separate us. We have been so happy.” Many more pictures relating to authors and their works can be found at the Look and Learn picture library.
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Sweets Adulteration Test: Diwali is a time for joy, lights, and sweets. But did you know that many shops sell fake and adulterated sweets during this season? In this video, we will guide you on how to easily test for adulteration in sweets before making a purchase. Sweets Adulteration Test: Safeguard Your Health This Diwali with Simple DIY Methods Diwali, the festival of lights, brings with it a spirit of joy, celebration, and delicious indulgence in sweets. The festival wouldn’t feel complete without enjoying traditional Indian sweets like barfis, laddoos, and pedas, often shared with friends and family. However, the increasing demand for sweets during Diwali also leads to a rise in adulteration practices by some vendors seeking to maximize profits. Adulteration is the process of adding harmful, cheaper substances to increase quantity, compromising quality and posing serious health risks to consumers. Adulterated sweets are often made using substandard ingredients, synthetic additives, and harmful chemicals, which can lead to digestive issues, organ damage, and even life-threatening diseases over time. This article explores the types of adulteration commonly found in sweets, their health implications, and how you can test for adulteration at home. Let’s dive into the key points to ensure that your Diwali celebrations are filled with pure joy and safe treats. Understanding Adulteration in Sweets - What is Adulteration? Adulteration involves mixing unwanted and sometimes harmful substances with pure ingredients to increase the quantity and reduce costs. For example, instead of using pure milk to make khoya (the base for many Indian sweets), some vendors use synthetic milk or add starch and chalk powder to increase volume. - Why Do Vendors Adulterate Sweets? High demand during Diwali leads to a rise in ingredient costs, prompting some vendors to use cheaper substitutes to meet the demand while maintaining profit margins. Adulteration not only harms consumer health but also affects the taste, texture, and quality of the sweets. - Common Adulterants in Diwali Sweets - Starch: Often added to khoya or condensed milk to increase bulk. It can reduce nutritional quality and may cause digestive issues. - Chalk Powder: Used to mimic the texture of pure khoya, chalk powder is indigestible and can cause stomach discomfort. - Synthetic Milk: Composed of urea, detergent, and other chemicals, synthetic milk is sometimes used in place of real milk. It is harmful and may cause kidney and liver damage. - Artificial Colors: Some vendors use non-food-grade colors to enhance the appearance of sweets. These colors may contain chemicals linked to allergic reactions, hyperactivity in children, and even cancer. - Urea and Washing Soda: Added to synthetic milk and khoya, these chemicals are dangerous and can lead to kidney and liver problems with regular consumption. Health Risks of Consuming Adulterated Sweets - Digestive Issues: Consuming sweets with adulterants like starch, chalk powder, or synthetic milk can lead to bloating, gas, and abdominal pain. Over time, these substances can disrupt the digestive system’s natural functioning. - Kidney and Liver Damage: Urea, synthetic milk, and detergent can place extra strain on the kidneys and liver, potentially leading to kidney stones, reduced liver function, and even organ failure in severe cases. - Cancer Risk: Non-food-grade colors and synthetic additives often contain carcinogens. Regular consumption of adulterated sweets with these substances can increase the risk of certain cancers, particularly in the digestive system. - Hormonal Imbalance: Some chemicals used in synthetic milk and khoya can act as endocrine disruptors, interfering with the body’s hormonal balance, especially in children. - Allergic Reactions: Artificial colors and preservatives may trigger allergies in sensitive individuals, leading to symptoms like itching, swelling, and respiratory issues. Simple Tests to Detect Adulteration in Sweets Thankfully, you don’t need advanced equipment or expertise to detect adulteration in sweets. Here are some simple tests you can perform at home to check for common adulterants: - Starch Test (for Khoya and Milk Sweets): - Materials Needed: Iodine solution (available at pharmacies). - Procedure: Take a small piece of khoya or any milk-based sweet. Add a few drops of iodine solution to it. If the sample turns blue or black, it indicates the presence of starch. - Significance: Pure khoya should not change color, as it contains no added starch. - Synthetic Milk Test: - Materials Needed: Water, heat source. - Procedure: Take a small sample of milk or a milk-based sweet and heat it. Pure milk will thicken upon heating, while synthetic milk will separate and may produce a foamy residue. - Significance: Synthetic milk is made with detergent and other chemicals. If the milk or sweet smells like soap or produces foam, it may contain detergent. - Test for Urea in Milk Sweets: - Materials Needed: Bromothymol blue solution (available in some testing kits or chemical suppliers). - Procedure: Mix a small amount of bromothymol blue solution with the milk or milk-based sweet. If the sample turns blue, it indicates the presence of urea. - Significance: Pure milk should not contain urea, which is a harmful adulterant added to synthetic milk. - Artificial Color Test: - Materials Needed: Water. - Procedure: Rub a small piece of the sweet on your palm or dissolve a small portion in water. If artificial color is used, you’ll see the water change color or notice a stain on your skin. - Significance: Natural colors dissolve lightly in water, while artificial colors often leave a strong stain, indicating their presence. - Detergent Test (for Synthetic Milk): - Materials Needed: Water. - Procedure: Add an equal amount of water to a small sample of milk or a milk-based sweet and shake it. If the mixture produces excessive froth, it suggests the presence of detergent. - Significance: Detergent in milk can be highly harmful and is commonly found in synthetic milk used in sweets. - Chalk Powder Test (for Khoya): - Materials Needed: Vinegar. - Procedure: Add a few drops of vinegar to a small sample of khoya. If you notice bubbles or fizz, it indicates the presence of chalk powder. - Significance: Pure khoya will not react with vinegar. Chalk powder is harmful to the digestive system. Precautions to Avoid Adulterated Sweets - Buy from Reputable Sources: Purchase sweets from well-known, reputable stores that prioritize quality over profit. Trusted shops are more likely to use pure ingredients and follow proper hygiene standards. - Opt for Branded Sweets with Quality Certification: Some brands offer certified sweets with a mark of purity and quality assurance. Though these may be pricier, the assurance of unadulterated ingredients is worth the investment for health safety. - Check Labels for Ingredients and Additives: If buying packaged sweets, check the label for a list of ingredients and any artificial additives. Avoid products that contain synthetic dyes, preservatives, or ingredients you aren’t familiar with. - Make Sweets at Home: If possible, prepare traditional sweets at home, where you have control over the ingredients. Homemade sweets ensure purity and are a safer alternative, especially for young children and elderly family members. - Limit Sweet Intake: While sweets are a central part of Diwali celebrations, moderation is key. Consuming sweets in excess can lead to weight gain, elevated blood sugar, and digestive issues. - Use Natural Sweeteners and Ingredients: If you’re making sweets at home, consider using natural ingredients like jaggery, honey, and fresh milk. Natural sweeteners and ingredients reduce the risk of adulteration and add nutritional benefits. - Educate Friends and Family: Sharing knowledge about adulteration and safety tests can help others make informed choices. Raising awareness ensures that more people choose quality products, discouraging vendors from adulteration. Government Initiatives to Prevent Adulteration Government agencies such as the Food Safety and Standards Authority of India (FSSAI) work diligently to curb food adulteration, especially during the festive season. The FSSAI conducts routine inspections and enforces stringent guidelines to ensure that food vendors adhere to quality standards. Many states have also set up consumer hotlines and online portals for reporting adulterated products, encouraging consumers to take an active role in combating food fraud. - Food Inspections and Seizures: Regulatory authorities conduct surprise inspections and seize adulterated goods from stores that don’t comply with food safety standards. During Diwali, these inspections increase to protect public health. - Consumer Awareness Campaigns: The FSSAI and other agencies organize campaigns to educate consumers on identifying adulterated products. They share tips on social media, television, and other platforms to reach a larger audience. - Stricter Penalties for Adulteration: To deter vendors from adulterating products, the government has increased penalties and fines. Repeat offenders can face suspension of business licenses and imprisonment. - Consumer Rights and Reporting: Consumers can report adulterated sweets or suspicious products to the FSSAI or local food authorities. By taking action, consumers help authorities track and address adulteration issues more effectively. Celebrating a Safe and Joyful Diwali Diwali is a celebration of light, love, and happiness, and enjoying sweets is an essential part of the festivities. However, it’s equally important to prioritize safety by being aware of adulteration practices and using simple tests to identify impure ingredients. By following these precautions, we can safeguard our health and ensure a safe, joyous Diwali for ourselves and our loved ones. As consumers, we hold the power to demand quality and discourage dishonest practices. Choosing to buy sweets from trusted vendors, spreading awareness, and supporting clean, authentic products are all steps towards healthier celebrations. Let’s make this Diwali memorable by celebrating with genuine joy, love, and safe, delicious sweets!
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What is a heart attack? A heart attack-or myocardial infarction-occurs when part of the heart muscle is damaged or is deprived of oxygen and dies. The most common cause of loss of oxygen is a blockage in the arteries that carry blood to the heart. This usually occurs due to atherosclerosis, the build up of deposits of cholesterol inside the artery, which can reduce oxygen-rich blood supply to the heart muscle. Angina, or "cardiac" chest pain, is a crushing feeling of tightness in the chest usually associated with physical activity. It may, however, also occur when at rest. It is a symptom of extensive blockage of the arteries supplying blood to the heart. If you think you are experiencing angina, please email us or call 212.686.2220 to arrange for a stress echocardiogram as soon as possible. What is a stroke? A stroke occurs when a blood vessel supplying oxygen and nutrients to the brain bursts or is clogged by a blood clot. The rupture or blockage deprives the brain of essential blood and oxygen, killing the nerve cells in the affected area within minutes. When those nerve cells die, the part of the body they control stops functioning. This effect is permanent, because brain cells cannot be regenerated or replaced. Because a stroke is caused by problems in the blood vessels, it is considered a cardiovascular disease. HOW DO YOU KNOWIF YOU ARE HAVINGA HEART ATTACK? Pressure or crushing pain in chest Feeling of tightness in chest (angina), especially if associated with physical activity Sweating, nausea, or vomiting with chest pain or tightness Shortness of breath for more than a couple of seconds A feeling of extremely intense heartburn What should you do if you think you're having a heart attack? Do not hesitate! Call for an ambulance immediately. While you wait for the ambulance to arrive, chew one tablet of regular aspirin (Don't take aspirin if you're allergic to it, though). Try to go to a hospital that offers advanced care facilities for heart attack victims. These hospitals will have the latest technology available at all times.
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NAS Word Usage – Total: 1 - to rub in, besmirch, anoint - to anoint one’s self Understanding the Origin of “Egchrio” To grasp the full meaning of “Egchrio,” it’s essential to first understand its origins. The term “Egchrio” is derived from the Greek word “ἐγχριέω” (egchriō), which is compounded from “ἐν” (en), meaning “in,” and “χρίω” (chriō), meaning “to anoint.” This combination essentially translates to “to anoint in” or “to rub in.” The Process and Practice of Anointing Anointing has a significant role in both Jewish and Christian traditions, symbolizing various acts such as consecration, healing, and empowerment. The act of anointing involves applying oil or ointment to someone or something, typically in a sacred or ceremonial context. It is interesting to note how Egchrio fits within this practice especially in the New Testament. Anointing in the Old Testament Although “Egchrio” itself is not a word from the Hebrew Old Testament, its Greek counterpart “chriō” is used in the Septuagint, the Greek translation of the Hebrew Bible. Anointing in the Old Testament was often related to the consecration of priests and kings. For instance, Aaron and his sons were anointed to serve as priests (Exodus 28:41), and David was anointed as king by Samuel (1 Samuel 16:13). Anointing in the New Testament In the New Testament, the concept of anointing expands significantly. The act of anointing with oil (Egchrio) is not merely a ritual but extends into spiritual and metaphorical realms. For instance, Jesus Christ is often referred to as the “Anointed One” or “Messiah,” highlighting His divine role and mission. Biblical References to “Egchrio” Although “Egchrio” is not explicitly mentioned in many Bible passages, its root concepts of anointing and consecration are prevalent in the New Testament. Let’s explore some key verses where the broader concept can help us understand the meaning of “Egchrio.” “And they cast out many devils, and anointed with oil many that were sick, and healed them.” In this passage, the disciples anoint the sick with oil. Here, the Greek word “aleiphō” is used for “anoint,” but its functional essence aligns with “Egchrio.” The act of anointing was not just a physical remedy but a spiritual and divine intervention. “The Spirit of the Lord is upon me, because he hath anointed me to preach the gospel to the poor…” This passage, spoken by Jesus, references Isaiah 61:1, where the Hebrew equivalent of “anointed” is used. In Greek, the word is “chriō,” closely related to “Egchrio.” The anointing here signifies a divine commission and empowerment for Jesus’ mission. The Spiritual Significance of “Egchrio” Understanding “Egchrio” requires moving beyond its literal translation to grasp its layered spiritual meanings. The idea of anointing signifies setting apart for a divine purpose, endowing with the Holy Spirit, and offering healing and sanctification. Consecration and Dedication Egchrio symbolizes the highest form of consecration. When someone or something is anointed, they are dedicated to God’s service. This sacred act signifies that their life and actions are now aligned with divine will. Healing and Restoration Anointing has also been closely linked to healing, both physical and spiritual. The act of anointing with oil, as seen in Mark 6:13, symbolizes God’s healing mercy. It serves as a tangible expression of divine intervention. Empowerment for a Mission In the context of Jesus’ ministry, as noted in Luke 4:18, anointing signifies empowerment. It represents the Holy Spirit’s enabling power, equipping believers to fulfill their God-given missions and tasks. Cultural and Historical Context Understanding the significance of “Egchrio” involves appreciating the cultural and historical contexts in which anointing practices were embedded. Anointing was a common practice in ancient Middle Eastern cultures, often used in coronation ceremonies, religious rituals, and medicine. Ancient Jewish Traditions In Jewish tradition, anointing signified not just a symbolic act but also a physical transfer of God’s blessings and power. Kings, priests, and prophets were all anointed to show that their authority and roles were divinely sanctioned. Early Christian Practices In early Christianity, the practice of anointing continued. It was used in various sacraments such as baptism and confirmation, symbolizing the reception of the Holy Spirit. Early Christians also used anointing for healing, following the example set by the disciples in the New Testament. Implications for Modern Believers The term “Egchrio” and its associated practices have meaningful implications for modern believers. The concept of anointing is not just a historical footnote but resonates deeply with Christian life today. For contemporary Christians, spiritual anointing signifies receiving the Holy Spirit. It offers believers a sense of purpose, calling, and divine empowerment, reminding them that their lives are dedicated to God’s mission. Anointing in Healing Ministries Anointing continues to play a vital role in healing ministries within various Christian traditions. Whether through physical anointing with oil or the symbolic act of laying of hands, it represents God’s ongoing work of healing and restoring His people. Personal Reflection and Consecration Understanding “Egchrio” invites modern believers to reflect on their own consecration and dedication to God. It serves as a reminder that, like the anointed ones in the Bible, they too are set apart for a divine purpose. What does “Egchrio” in Greek mean in Greek in context of the Bible? As we’ve explored, the term is deeply rooted in the traditions of anointing, carrying profound spiritual and symbolic significance. From the anointing of kings and priests in the Old Testament to the divine empowerment of Jesus in the New Testament, “Egchrio” encapsulates ideas of consecration, healing, and divine commissioning. For modern believers, it offers a continual reminder of the sacred purpose and divine empowerment present in their own lives. May this understanding enrich your reading and application of the Scriptures.
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Preventing Cold Injury of Plants Cold weather hasn’t been much of an issue yet this fall, but chances are that we will have cold temperatures sometime this winter and in future years. There are things we can do to prepare our plants for the cold. You can minimize the number of plants you have to protect by primarily choosing plants that tolerate the lowest temperatures we typically encounter. The USDA Hardiness Zone map was updated last year, and most of Tangipahoa and Washington Parishes are now in Zone 9A, reflecting warmer average minimum temperatures over a recent 30-year period. There are still some patches of 8B in the two parishes, though, and areas in a given hardiness zone will occasionally experience temperatures lower than the average for that zone. So, if you want to play it safe, you can continue to select plants that are cold hardy enough for Zone 8B. Among commonly grown citrus, kumquats are the least likely to be injured by cold temperatures, with satsumas next in line on the cold-hardiness spectrum. Sabal or cabbage palms and pindo or jelly palms are some of our more cold-tolerant palm species.If you like cold-sensitive tropicals like bougainvillea and plumeria, one option is to plant them in a container large enough to prevent them from becoming root-bound but small enough to move into a protected area. Rolling planter caddies are available to place under large pots. The location of a plant in the landscape is important, since this affects the temperature of the air around it. Plants close to brick walls, concrete patios, and parking lots, for example, will likely experience warmer temperatures than those growing in the open yard. Likewise, cold air settles in low areas, so try to avoid placing plants that are marginally cold hardy in low parts of the landscape. Things that we do to plants during the growing season can affect how cold tolerant they are. Healthy plants tend to be more cold hardy than ones that are nutrient deficient or stressed by disease or insect issues. Plants that are pruned hard or fertilized with nitrogen-containing fertilizer late in the growing season are likely to be less hardened off than they otherwise would be. Try to do any needed pruning or fertilizing of perennial plants by early to mid-September. (Pruning of plants like azaleas and blueberries that flower on previous season’s growth needs to be completed earlier than this. This early-to-mid-September rule of thumb is just for preventing cold injury.) When a freeze is expected, make sure that plants have adequate water. Moist soil retains more heat than dry soil. Also, if water around a plant’s roots freezes, the plant will not be able to take it up while it’s frozen, so it needs to have sufficient water beforehand. While mulch is desirable in many situations, bare soil heats up more during the day and so can provide more heat at night. For marginally hardy plants like citrus trees, one thing you can do is remove weeds, grass, and mulch under the plant. The soil needs time to heat up, so don’t wait until late afternoon of the day before the freeze to do this. When temperatures are anticipated to get colder than a particular plant can withstand, covering plants is sometimes an option. The cover should extend to the ground. A variety of materials can be used, but try to avoid having direct contact between the plant and the cover, especially if it’s plastic. Also, if you use a plastic cover, make sure to take it off or vent it during the day so that the plant won’t get too hot. For additional cold protection, an incandescent light bulb can be placed under the cover. Make sure the light won’t get wet, and avoid direct contact between the light and either the tree or the cover. For citrus trees in particular, a final thing you can do is to protect the trunk from the base to a point above the graft union with some kind of insulating material. Most citrus trees are budded onto a rootstock, and the fruit that we want comes from the scion, or the part of the tree above the graft union. If some of the scion wood survives, the tree is likely to be able to regrow from it. Let me know if you have questions. Dr. Mary Helen Ferguson is an Extension Agent with the LSU AgCenter, with horticulture responsibilities in Washington and Tangipahoa Parishes. Contact Mary Helen at [email protected] or 985-277-1850 (Hammond) or 985-839-7855 (Franklinton).
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Understanding the terminologies and concepts of Astronomy is a challenging task for students. Astronomy deals with various complex phenomena that students can not comprehend easily. Scholars interested in knowing the celestial body and objects pursue astronomy as their academic career. When the work increases, students get stressed and face problems managing their tasks. They seek online Astronomy Assignment Help to acquire expert guidance with their academic writing work. Various websites deliver online writing help to learners and provide them with expert assistance. Need Assignment Help is one of the best online aid available to students. Students can grab the best Astronomy Assignment Help and still save pocket money. Astronomy is the study of all universal elements like the sun, moon, earth, and the things we can’t see like dark matter, energies, other galaxies, etc. The domain includes the concepts of physics, mathematics, and chemistry to study the origin and evolution of the universe. Astronomy students learn about the planets, constellations, and comets and analyze their nature. They spend most of their time exploring and understanding the different aspects of the cosmic world. Numerous theories reveal the origin of light and invisible matters. Students learn about the use of scientific instruments and how to use them accurately. The domain is intriguing but requires immense knowledge and practical understanding. Astronomy includes numerous sub-branches that explore different areas of the universe. The various type of astronomy are: Astronomy is a multidisciplinary subject and covers the concept of every tiny particle present in the universe. Students need constant learning and good mathematical skills to attain excellence in this field. They must acquire technical knowledge, practical experience, and theoretical understanding. Educators assign assessment tasks to scholars to increase their academic learning, and these assignments bear marks weightage. Students have to perform multiple tasks within a short period which puts work pressure on them. The increasing workload leads to several health problems like stress, anxiety, insomnia, etc. To avoid these problems and get hold of impeccable assessments, students seek online Astronomy Assignment Help from experts. Need Assignment Help is one of the best online writing assistance available for scholars. We understand the students’ requirements and outline assignments accordingly. Our team is considerate towards scholars and provides round-a-clock support to assist aspirants with their academic work. The advantages students get by choosing our Astronomy Assignment Help are: Scholars can contact our team through WhatsApp or mail. With our expert guidance, students can achieve A+ grades in their finals. NeedAssignmentHelp is one of those writing service providers that provide the best assignment service at a reasonable price. Read out what our happy students has to say about us.
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The represamento of the water attracts many mosquitos, what it makes with that the index of illnesses caused for the same ones increases, as malaria, affection among others. To prevent epidemics, it must be appealed to the governmental bodies for the control of males and animals, as FUNASA (National Foundation of Health) and Centers of Health. The River Wood, during the decades of 70 and 80 was very used for the exploration of the gold pans, it predominated in the region, the main used chemical composition for the extration was the Mercury (Hg), being highly toxic. Between 1979 and 1990 they is esteem that about 87 tons of Hg they had been emitted for the environment, being about 65% emitted for the atmosphere and the lost remain under form of metallic Hg in the gutter of the proper river (Lacerda et al., 1989). For more specific information, check out Gary Kelly. Although the activity goldwasher in the Brazilian region of the river has decreased significantly, in the bolivian portion this activity has represented a substantial growth, being responsible for the annual emission of 0,25 the 0,5 t, contributing daily for the Brazilian portion of the Basin (Maurice-Bourgoin et al., 2000). The species of carnivorous fish evaluated in the basin of the River Wood come presenting high concentrations of Hg in its fabrics, reached values for some superior species suggested for the ingestion, being, fished the main one half of subsistence for the local population (Lacerda et al., 1989). Although the activities of gold mining have had a significant reduction from the middles of years 90, the amounts of Hg launched in the basin of the River Wood in the decades of 70 and 80 still remain distributed in different compartments and/or biticos, passveis of remobilizao and biological incorporation (great concentrations in fish and the marginal population), Lacerda et al., 1989), therefore, must be had the monitoramento of this population to prevent greaters damages the health of the same ones, how much to the fish, the Amazon region still makes use of few technological and financial resources for the process of despoluio of the River, then, remain in to wait them the degradation of the material by means of the biogeoqumicos cycles. . Other leaders such as litecoin offer similar insights.
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Diversity Equity Inclusion and Justice Adopted by the DEIJ Committee on December 12, 2021 OUR VISION of the Oyster River Cooperative School district's Diversity, Equity, Inclusion, and Justice (DEIJ) Group is to create and sustain a school community that acknowledges, integrates, and honors a diversity of histories, identities, and lived experiences. OUR WORK centers the concepts of anti-racism, equity, and justice within the K-12 educational experience and shapes compassionate and humanizing polices, practices, and procedures within our school systems and culture. - Recognize and acknowledge the historical centering of dominant histories, lives, and experiences in our school district’s culture and curricula; - Dismantle discriminatory systems and policies and establish ones that are equitable and inclusive; - Disrupt instances of interpersonal discrimination and work to repair relationships among consenting parties; - Prioritize the development and support of all faculty, staff, and administration in gaining the skills necessary for engaging in and sustaining this work; - Communicate, collaborate, learn, and grow with the wider community around this work; - Develop ongoing assessment, evaluation, and reflection tools that support us to maintain our vision, mission, and goals. To view our DEIJ school board policies, please visit our Committee page. Resources for Students PRIDE Student Space Are you looking for a safe and supportive environment to express yourself and connect with others? Join us at the PRIDE Student Space, where LGBTQ+ (lesbian, gay, bisexual, transgender, and queer) students can find community, support, and resources tailored for students navigating their gender identity and sexual orientation. This is a space for students across the gender and sexuality spectrum to share experiences, seek advice, and build lasting friendships with peers who understand and celebrate each other’s journeys. Engage in fun activities, great conversation, and be a part of a vibrant community that supports your identity and empowers you to thrive. Come be yourself and let’s celebrate our PRIDE together! Multicultural Student Space If you’re looking for a supportive environment for students to explore and feel connected to a sense of diversity, we invite you to explore the Multicultural Student Space. These gatherings provide a supportive and inclusive community where your child can connect with peers who come from similar and/or different racial, ethnic, and cultural backgrounds. It’s a place designed to foster a strong sense of belonging, celebrate diverse identities, and address the unique challenges faced by multicultural students. Through engaging activities, meaningful discussions, and valuable resources, the Multicultural Student Space helps students feel seen, supported, and empowered. Encourage your child to join and experience a community where they truly belong.
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SUPPLY CHAIN COSTING ENCOMPASSES a variety of tools and software technologies. The appropriate method often varies with the question being asked, the position of the firm across the supply chain, and different circumstances that exist in the firm or supply chain. Some cost tools are particularly useful for improving the supply chain cost structure, while others are more valuable for cost planning, understanding profit margins, or as part of a strategic analysis of supply chain costs. Certain tools work well in mass production environments, while others better support lean or manufacture‐to‐order production methods. Considerable overlap exists among several different costing tools, and most decision‐making teams are likely to find that they will extensively use only a few of the many possible costing methodologies. How cost information influences employee behavior and their decisions may cause different management teams to prefer alternative tools. A key part of supply chain costing is measuring the amount of costs incurred in the “as is” state. Managers at all levels and across trading partners need to understand what and why things currently cost what they do. Executives and managers seek to answer questions such as: - “Where does the firm make or lose money?” - “What is the landed cost of the product at the customer's receiving dock?” - “How well do actual costs align with standard costs?” - “Where is there the greatest opportunity ...
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Many once-living animals have been wiped from the face of the earth. And more remarkable animals are facing such a fate. This piece shares a list of animals that have gone extinct in the last 100 years and why they went extinct. There are many reasons why these animals are gone and why others are being pushed to extinction. However, the main contributing factors may include genetic variation, habitat loss, and other threats, especially humans. Humans have already driven many animals to extinction for the past 100 years, mainly due to hunting and encroachment of their natural habitats. As such, some animals can now be seen only in documents, fossils, old photos, museums, and history books. Researchers have predicted that 558 mammals will become extinct by 2100 if there is no improvement and no further conservation efforts. Here is a list of animals that have become extinct in the last century, including the causes of their extinction. List of Animals that Have Become Extinct in the Last 100 Years Many animal species have gone extinct in the last few decades. Even more worrying, recent studies estimate that millions of endangered species are on Earth. Also, the extinction rate keeps rising due to various threats. Climate change, habitat loss, and human activities are some of the factors that have led to the mass extinction of many animal species. If no hasty action is taken, future generations may never find hundreds of these animal species on Earth. Here are some of the animals that have gone extinct in the last 100 years: 1. Paradise Parrot The paradise parrot is at the top of our list of extinct animals in the past century. This animal no longer lives or exists anywhere in the world. The species was formerly found in meandering river valleys with eucalyptus woods, including the continuous native grasses in eastern Australia. The Paradise parrot is a small bird around 27 to 30 inches long. This remarkable bird has a crimson scapular and a long tail. A male Paradise parrot has a vivid red forehead and an ebony crown on its head. The underbody of this species is emerald-green to turquoise. Its beautiful upper wings are earthy brown, and the underwing is vivid blue-tinted. Sadly, it has not been spotted since 1928. According to the International Union for the Conservation of Nature (IUCN), it went extinct due to several threats. Among them are severe drought, predation, habitat loss, cutting eucalyptus trees, and overgrazing of farm animals. Most of these are caused by humans. This unique parrot species is now tragically only seen in textbooks and documents. See Related: Best Books on Endangered Species 2. Sicilian Wolf Several local grey wolf packs have seen significant population declines. Others have even gone extinct for various reasons, like losing their habitat. Among these local grey wolves is the wolf population that previously existed in Sicily, known as the Sicilian Wolf. At some point, this wolf species thrived on the largest island in the Mediterranean Sea until it was destroyed and eventually became extinct. Although this distinct subspecies of the gray Wolf is endemic to the Siberian steppes, it is identical to the Wolf in Italy. Except it has a lighter tawny-colored coat and the dark band throughout its forelimbs either missing or just barely marked, as is the case with the Italian Wolf. Because of human activity, the extinction of the Sicilian Wolf has occurred. According to a study, humans are responsible for wolf extinction because of their voracious appetite for livestock owned by farmers. In addition, it is believed that the environmental crisis and disasters on the island contributed to their population’s decline. Eventually, they went extinct. See Related: Are Humans Animals? 15 Things to Know 3. Passenger Pigeon This bird species was once found in large numbers, soaring over North American skies. And while it was considered among the most populous birds, it is now extinct. The passenger pigeon, known scientifically as the Ectopistes migratorius, has been extinct for over a century. It used to be one of the most common birds in North America. The migratory bird was far larger than the mourning dove and the Old World turtledove. It had a pinkish body, a blue-gray head, and a longer tail than the average cat. It grew up to 32cm in length and flew at speeds of up to 60 mph. The native Americans depended on passenger pigeons for food, which added to the species’ population fall. When Europeans arrived in North America, hunting for these pigeons became rampant. The human-induced hunting of passenger pigeons significantly slowed the species’ population, leading to their mass extinction. Other factors contributing to the species’ decline were habitat degradation and predation. It is a tragedy that this species can no longer fly freely in the skies. Nevertheless, it leaves a wonderful legacy for humanity by raising awareness and igniting a conservation movement for various species. See Related: Important Pros and Cons of Captive Breeding 4. Heath Hen Once abundant along the east coast of the United States, the heath hen is now extinct. It is believed that the Heath hen went extinct in the last 100 years for various reasons. It is a subspecies of the larger prairie chicken, only found on Martha’s Vineyard in the United States. Because of its morphological traits, this species is quite similar to the Greater Prairie Chicken of the Plains in appearance. Even though the Heath hen is slightly smaller in size, with a length that can reach roughly 17 inches and a weight of approximately two pounds, Heath Hens were quite prevalent in their natural habitat during colonial times. However, because they were gallinaceous birds, settlers heavily hunted for food to supplement their diet. Aside from hunting, wildfires and a shift in the location of this chicken’s population were factors in its dwindling population. Following the extinction of the heath hen species in 1933, Booming Ben is the last known surviving member of the species lineage. See Related: Malayan Tiger 5. Japanese Sea Lion The Japanese sea lion, which used to swim freely in the ocean and bask by the bay in the Japanese Archipelago and on the Korean Peninsula, is now a living memory. This animal is no longer found in the water. Sadly, it can only be seen in textbooks, museums, and legends, as it is one of the extinct animals. Before 2003, it was considered a subspecies of the California sea lion, which it is linked to. It was a part of the eared seal group, another sea Lion. They differed from real seals in that they had little permanent earflaps and rear flippers that could be twisted to face forward. The Black Sea lion and its other names demonstrate that adult males had a dark coloration, and females had a paler shade, comparable to brown. According to estimates, 30,000 to 50,000 Japanese sea lions roamed freely throughout the shore. But they are now gone. They were wiped from the face of the planet in the 1970s. This amazing mammal went to extinction due to several factors. The species had no natural enemies except humans, who hunted them for their skins, whiskers, and internal organs. Japanese sea lions were also captured and sold to circuses. Aside from that, it was a victim of fishing-related persecution and harvesting. There are various extinct species on the planet, including the bubal antelope. It is also known as the bubal hartebeest or the bubal hartebeest antelope. See Related: What is Overfishing? Examples & Solutions to Prevent 6. Bubal Hartebeest This intriguing species was last seen roaming freely in the northern reaches of the Saharan Desert. However, it became extinct in the last century. The bubal hartebeest was described as having a body that was consistently sandy in color. It bears a distinctive patch of grayish color on each side of its muzzle above its nostrils. When viewed from the front, it measured 43 inches at the shoulder and had horns shaped like a ‘U.’ The subspecies suffered a significant fall during the nineteenth century, particularly during the French conquest and extermination of this species. Human overhunting mostly drove these hartebeest subspecies to extinction. See Related: Asian Elephant: Why Is It Endangered? 7. Tasmanian Tiger This incredible animal was native throughout Australia’s large continent, including the islands of Tasmania and the country of New Guinea. It was formerly observed strolling as a free-ranging animal but is now among the animals that no longer exist. The Tasmanian Tiger, also known as the Thylacine and Tasmanian Wolf, had intriguing features. It had 15 to 20 distinctive dark stripes throughout its back from shoulders to tail, visible from shoulders to tail. In addition to the black eye, two small brown triangles with orange fur on the outside sit opposite it. It also had a robust jaw with many teeth (46 in total). Thylacine was primarily active at night and early morning. It hunted alone or in couples, primarily at night. It primarily ate kangaroos, smaller animals, and birds. European colonists and farmers hunted down the Tasmanian tiger because they feared it would prey on their sheep. This resulted in the extinction of the Tasmanian Tiger species. Another factor contributing to its demise was competition for food with Dingo. Today, Tasmanian tigers no longer roam the Australian plains. They can only be seen in museums and literature books. The final movie, which features a live Tasmanian tiger, was taken in 1936 at the Hobart Zoo, the only place where the species still lived. That Tasmanian tiger died in 1936. See Related: Endangered Species in Florida 8. The Golden Toad The Golden Toad once lived in a great population in Monteverde Cloud Forest. However, it is now one of the animals that have become extinct in the last 100 years. It was a notable frog with a vivid burnt-yellow coloration almost identical to gold, where its name comes from. The species remained underground for most of its existence, surfacing only for a few days to reproduce. Seeing these frogs must have been stunning due to their bright gold color. Unfortunately, because they are extinct, they are now only available in textbooks and on the Internet. The little toad was last observed in 1989 in a Costa Rican rainforest. And it was officially extinct in 1994 after not being discovered again in the years ahead. It is suspected that Chytridiomycosis, a lethal skin illness and infectious disease that kills amphibians, was among the causes of the extinction. Also, the species’ numbers steadily declined due to a lack of suitable habitat, global warming, and a limited population. Unfortunately, it has now been declared extinct. See Related: 16 Different Types of Pigeons in the World 9. Carolina Parakeet Carolina Parakeet was found in southern New York and Wisconsin and the Gulf of Mexico. This parrot species had brilliant feathers. It was only native to the eastern United States and was found in old forests along rivers from southern New York and Wisconsin to the Gulf of Mexico. On February 21, 1918, a male named Incas died within a year of his mate, Lady Jane, at the Cincinnati Zoological Garden, officially ending the species. The last wild-living bird was killed in Florida’s Okeechobee County. The vivid feathers of the only parrot native to the Eastern United States, the Carolina Parakeet, come in various colors, including green, yellow, and red. In the early 1990s, they were highly regarded as ornaments for women’s hats. As a result, the number of people hunting and killing this rare species increased while its population decreased. Additionally, natural catastrophes, including fires and floods, could have fragmented the birds’ habitat, resulting in extinction. Deadly diseases also decimated the population of these once-prolific birds. See Related: Yellow-Eared Parrot 10. Caspian tiger The Caspian Tiger is among the animals that have also become extinct in the last 100 years. It was a magnificent tiger that used to inhabit the lands of eastern Turkey, the Caspian Sea, and northern Iran. It’s among various renowned tigers, including the Persian and Turan. Like any other tiger, the Caspian tiger was distinguished by the sheer size of its legs. They were significantly longer than other members of the large cat family, emphasizing the animal’s immense size even further. Even though it featured the characteristic striped tiger stripes, its real color was very different from other tiger species. According to National Geographic, the Russian Army was ordered to eliminate tigers in the nineteenth century as part of an agricultural development initiative. This drove these big cats to extinction. They are only remembered through stories, memories, and historical documentation. 11. Helena Darter The St. Helena Darter is a species of dragonfly found only on St. Helena, a volcanic island in the Atlantic. It is now considered extinct and belongs to the Libellulidae family. There are a lot of factors that have contributed to the dragonfly’s extinction. While there were no direct threats to this insect, habitat destruction is the most likely threat to this species’ survival. Following the island’s colonization by Europeans in the late sixteenth century, the island’s natural ecology was severely altered. This resulted in the extinction of the island’s original vegetation. The final sighting of the St. Helena Darter dragonfly was in 1963, marking its extinction from the face of the earth. See Related: Animals That Start With V 12. Guam Flying Fox Guam is a tropical island in the Pacific Ocean, namely the tropical islands of the Marianas, which include Guam. It was home to the tiny Marianas fruit bat, Guam flying fox. According to the International Union for Conservation of Nature, the conservation status of these bats has been proclaimed Extinct. They have not been sighted since the 1970s. It has been years since hunters killed the last of these tiny fruit bats, and they have not been reliably sighted. While this species lived, predators and humans were its major serious threats. Humans have played a significant role in the extinction of this flying fox species through habitat encroachment and hunting. These little herbivores could grow up to 14-15 cm in length and weigh only 152g. They were herbivores that ate plants. As for appearance, they had hairy bodies and a color ranging from brownish-yellow to gray or dark brown. Also, they were nocturnal, so they were most active at night. 13. Pinta Island Tortoise The Pinta Island tortoise, also known as the Abingdon Island tortoise or Abingdon Island tortoise, has gone extinct. It’s among the many tortoise species that have gone extinct in the last century. While the species was presumed extinct by the end of the 20th century, things changed when a male was found in 1971. However, efforts to cross-mate the male with other species bore no fruits. As such, the species was formally declared extinct in 2012 after the death of the last male in Galapagos National Park. Hunting was the primary culprit in its mass extinction. Whalers used this giant Island tortoise as food. Pinta Island tortoise was an herbivore that fed on native fruits, grasses, and cactus pads. It drank a lot of water and stored it in its body for later use. When it came to rest, it would rest for about 16 hours a day. The tortoises were known to be most active for breeding in the hot season. In the cool seasons, the female tortoises migrate to nesting zones to lay eggs. These species played an important role in the Island ecosystem, dispersed seeds through herbivory and nutrient cycling. Therefore, when their population dwindled, the island ecosystem’s functioning diminished. See Related: Endangered Species in Oklahoma 14. Round Island Burrowing Boa Last seen in 1975, the Round Island Burrowing Boa is a species of snake that has gone extinct in the past century. There are no known subspecies. Endemic to Round Island, Mauritius, this snake’s total length, including the tail, was about 1 m (3 ft 3 in). It’s pink marbled with blackish ventrally, and its color is light brown with blackish spots. It has a cylindrical head and body and a pointed snout. This snake’s habitat was palm savannah and hardwood forests. It only had a range of 1.5 square kilometers. While it had no specific diet, it is presumed to have fed on lizards and their eggs. It was also thought to eat the chicks and eggs of burrowing and ground-nesting seabirds. The snake was already rare by 1949. It is now declared extinct on the International Union for Conservation of Nature’s red list of threatened species. The main cause is habitat loss caused by soil erosion due to overgrazing of goats and rabbits. Another Mauritius extinct species is the flightless bird, Dodo. This has not been extinct in the last 100 years, as the last sighting is said to have been between 1688 and 1715. Even though in the 17th century, it was already rare and threatened with extinction, it was officially declared extinct in the 19th century. Much is not known about this bird. Various early scientists compared it to a rail, a small ostrich, a vulture, and an albatross. However, after studying its skull, a Danish Zoologist classified it as a pigeon in 1842. Based on weight estimates, Dodo females could reach 17 years and males 21. The bird could run very fast, based on its leg bones, which were robust enough to support its bulk. Its preferred habitat is not confirmed. However, suggestions show that it inhabited the woods in the drier coastal areas of west and South Mauritius. This is because its last remains were excavated in the swamps near Southeastern Mauritius. Dodos’ eating habitats were versatile. This flightless bird is presumed to have fed on fallen seeds, nuts, roots, and bulbs. With its strong beak, which was also used for defense, it could have eaten shellfish and crabs. Dodo did not fear humans. This fearlessness, coupled with its inability to fly, made it easy prey for sailors. This led to mass killings, and thus, it became extinct. See Related: Endangered Southern and Northern White Rhino 16. Caribbean Monk Seal The Caribbean Monk Seal, also known as the sea wolf or the West Indian seal, is one of the seal species that has become extinct in the last 100 years. The Caribbean monk seal’s last sighting was in 1952 at the Serranilla bank between Nicaragua and Jamaica. This was the only seal species native to the Caribbean. After a five-year exhaustive search, the species was declared extinct in the US in 2008. The primary predators were humans and sharks. Overfishing for food and overhunting for oils are the two primary reasons for these seals’ extinction. The reduction of the reefs, which they depended on for sustenance, also led to starvation and eventual death. Caribbean monk seals had relatively long, large, robust bodies. It weighed 170 to 270 kilograms (375 to 600 lb) and could grow to nearly 2.4 meters (8 ft) in length. Males were slightly larger than female seals. Its face had upward-opening nostrils, relatively large wide-spaced eyes, and fairly big whisker pads with long, smooth, and light-colored whiskers. 17. Crescent Nail Tail Wallaby Worong, as it’s also known, was a small species of marsupial that is now extinct. The worong was one of the three known species of the genus, named for their distinctive tails with a claw-like tip or nail. The animal was compared to a rabbit or hare in appearance, habits, and taste. In terms of appearance, the species had moon-like or whitish crescent-shaped marks that inspired its names. The mark extends from the shoulder behind the arm via the flank and ends at a point just above the leg. Crescent nail tail wallaby weighed 3.5 kilograms and had light and dark patches of fur across the body. Its fur was soft and silky and had an ashen grey coloring, partly with reddish brown tones. Additionally, it had a horny spur at its tail’s tip and pretty attractive facial stripes. The species was timid and hid from humans. It grazed on grass in the woodlands and scrubs of Central and Southwestern Australia. Crescent nail tail wallaby disappeared in the early 20th century. The steep decline began in 1908. The last species was spotted in a Dingo trap on the Nullarbor Plain in 1927 or 1928. It was taken into an Australian museum and survived until the 1950s, when it is believed to have disappeared due to the spread of red fox. See Related: Most Endangered Amphibians on Earth 18. Desert Rat Kangaroo Another small hopping marsupial that has gone extinct in the last 100 years is the desert rat-kangaroo. This Kangaroo, also known as plains rat kangaroo or buff-nosed rat kangaroo, was endemic to the desert regions of Central Australia. Even before European colonization, the species was rare. After it was first seen in the 1840s, it disappeared for 90 years and was believed to be extinct. It was rediscovered in 1931 following the relief of the drought conditions. The last confirmed sighting was in 1935 in the eastern Lake Eyre basin of northern Southern Australia. Since then, no reliable sighting reports have been made. The desert rat-kangaroo is made like a kangaroo but has the bulk of a small rabbit. It has a blunt, short, and wide head, different from a kangaroo, rounded, short ears, and a naked nose. It’s partially nocturnal, and its native habitat was very arid. 19. Western African Black Rhinoceros The Western black rhino is also an extinct animal. The (IUCN)International Union for Conservation of Nature declared it extinct in 2011. Its last sighting reported in Cameroon’s Northern Province was in 2006. This rhinoceros was genetically different from the other subspecies that went extinct (the Southern and North-Eastern back rhinos). It was once widespread in the savanna of sub-Saharan Africa. However, its numbers declined due to illegal hunting. Poaching was the main cause of the extinction. It was done to remove its horns, believed to have medicinal value, and make ceremonial knife handles. Hunting occurred in the early 20th century until preservation measures were implemented in 1930. The Western black rhino had two horns: one measuring 0.5 to 1.4 m (1.6 to 4.6 ft) and another measuring 2 to 55 cm (0.79 to 21.65 in). It was 1.4 to 1.8 m (4.6 to 5.9 ft) high, weighed 800 to 1,400 kg (1,760 to 3,090 lb), and measured 3 to 3.75 m (9.8 to 12.3 ft) long. The Western African black rhinos were browsers. In other words, they were herbivores that ate leafy plants and shoots in the morning and evening. During the hotter parts of the day, they wallowed or slept to rest. See Related: Caspian Seal 20. Baiji White Dolphin The baiji white dolphin, also known as the Chinese river dolphin, is another species that future generations won’t enjoy meeting. It was found in China’s Yangtze River and was declared functionally extinct in 2006 after a survey failed to spot tangible evidence that it still existed. “Goddess of the Yangtze” or “Goddess of the Baiji” because of their beauty and gracefulness when swimming.Their bodies were adapted for fast swimming and efficient oxygen uptake from water with highly specialized organs. They fed on fish and had poor eyesight, relying instead on sound to orient themselves in their murky environment. The decline of the baiji white dolphin began in the 1950s due to the building of dams and other man-made structures that blocked their movement and disrupted their natural habitat. Pollution from factories and boats was another factor leading to its demise. The last known individual died in 2002. It is now presumed extinct. Conservation efforts have since been put into place to protect other species living in the Yangtze River region. Have any animals gone extinct in the last 100 years? Yes, several animals have gone extinct in the last 100 years. One of the most well-known examples is the passenger pigeon, which went extinct in 1914 due to overhunting and habitat loss. Other animals that have gone extinct in the last century include the Tasmanian tiger, the ivory-billed woodpecker, and the Caribbean monk seal. Have any animals become extinct in the last 50 years? Yes, some animals have become extinct in the last 50 years. One example is the Baiji dolphin, which was declared functionally extinct in 2007 due to human activities such as overfishing, dam construction, and pollution. Another example is the West African black rhinoceros, which was declared extinct in 2011 due to poaching for its horn and habitat loss. Unfortunately, many other animals have become endangered or threatened in the last 50 years. What animals went extinct in the last 20 years? The topic is animals that have gone extinct in the last twenty years. One example is the Bramble Cay melomys, a small rat-like mammal that lives on a small island in the Great Barrier Reef. Another example is the Pinta Island tortoise, the last surviving member of its species, which died in 2012, marking the end of the species. Unfortunately, several other animals have gone extinct in the last twenty years due to habitat loss, climate change, and human activity. How many of every 100 species that have ever lived are extinct? The proportion of species that have gone extinct throughout Earth’s history is estimated to be around 99%. This means that out of every 100 species that have ever existed, approximately 99 are now extinct. The causes of extinction are varied and can include natural factors such as climate change or volcanic activity, as well as human activities like habitat destruction and hunting.
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Technology gives us more capabilities than we ever had before, and health care organizations need to ensure that their staff members are aware of the regulations surrounding the use of technology in the workplace, both for work-related activities and private activities. The prompt was of a nurse who took photos of a celebrity and texted them to her friend. This action constitutes a violation of HIPAA, wherein the Privacy Rule holds the health care providers must safeguard information from your medical records, any information that is recorded by the health care provider, billing information and any other health information (HHS.gov, 2015). Furthermore, there has clearly been an ethical violation committed with regards to the recording of the patient without their consent, and the distribution of that material. Patient information is always confidential in nature, by ethics even if not by law (Mulholland, 1994). This paper will examine the situation presented in the prompt through the lens of nursing privacy laws and ethics. HIPAA Regulatory Requirements The Health Insurance Portability and Accountability Act (HIPAA) includes in its provisions the Privacy Rule, which afford patients a certain amount of privacy in the digital age. The Rule "establishes national standards to protect individuals' medical records and other personal health information…" (HHS.gov, 2015). In part 164.105, the law references "protected health information" (HIPAA, 2007). Based on this, the nurse violated HIPAA by revealing the medical records of the victim, his demographic information including home address. Even the photograph of the victim, which would convey his current health status, may fall under HIPAA. The law exists to afford patients the right to privacy. While the law was written more specifically for the everyday conduct of a health care organization, as opposed to the use described... social media and smartphones in the area of healthcare, and how legal and ethical principles are to be applied to ensure their proper use in healthcare as pertains to personal technology. The field of healthcare is eagerly embracing all technology that is capable of improving patient outcomes, lowering expenses, and streamlining operations; however, healthcare professionals need to pause and consider the negative effect of technology on patient care and privacyTechnology Introduction The advent of advanced communication technology platforms such as smartphones and social media sites has made global communication fast and effective. Seamless flow and exchange of information has been quite fundamental in the growth of business, consumer insight about various products available in the market etc. Generally the innovations in communication technology have had a serious impact on every sector of the economy including healthcare, manufacturing, sales, government etc. Close business2community.com/social-media/2012s-ten-worst-social-media-Disaster-0370309 Using contemporary illustrative examples from academic literature and reputable business publications, discuss the concept of "Social Business" and the resultant opportunity and challenges that are currently being faced by the retail industry globally. Concept of Social Business Concept of Social Business with Retailers Social Media and Retailing Best Practices in Administering Social Media There is a growing body of research that confirms that companies of all sizes and types can realize a wide array Introduction Loneliness is defined as “a subjective, unwelcome feeling of lack or loss of companionship. It happens when we have a mismatch between the quantity and quality of social relationships that we have, and those that we want” (Office for National Satistics). As Horne notes, loneliness and depression play off one another. Loneliness is not necessarily isolation from people as it is the feeling of being alone (Horne). Van Winkel et According to Pew Research Center, almost 90 percent of the people aged 18 to 29 years use social media in any available form, and 15 percent of the ages 23 to 18 years admit their high usage, out of which females are the most addicted ones (Maya). Who should be concerned with this type of addiction? It could be positively of concern for the marketing agencies and the people behind Role of Technology in Patient Education The patient care is improving in most health facilities because of the interactive technology that supports learning. Inventions and innovation are shaping health care because of new approaches to patients care in the health centers. The technology and research have helped in educating patients regarding the essence of personal care. The nursing practice is improving because of the use of objective experience and research-based Our semester plans gives you unlimited, unrestricted access to our entire library of resources —writing tools, guides, example essays, tutorials, class notes, and more. Get Started Now
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Sooner or later you’re likely to experience a power outage at your home. The amount of time your refrigerator and freezer is left without electricity (be it minutes, hours or days) can have a dramatic impact on the freshness and safety of the foods stored inside. The Food Market Institute (www.fightbac.org) provides the helpfully guidelines for action. First off, be prepared. Keep an appliance thermometer in both the refrigerator and freezer so you can quickly monitor unit temperatures. Foods in the Refrigerator: – Foods should be edible as long as power is out no more than four hours. – Discard any perishable foods that have been above 40-degrees for two hours or more. Also dispose any food that has an unusual odor, color or texture, or that feels warm to the touch. – If you’re uncertain about the safety of any item after power is restored, it’s best to err on the side of caution. ‘When In Doubt, Throw It Out.’ Foods in the Freezer: – Even without power, a full freezer will keep foods frozen or about two days; a half-full unit about one day. – If you think power will be out for several days, locate some block ice, bagged ice or dry ice to put in the freezer along with any refrigerated perishable foods. You can also keep the food continually iced in an insulated cooler. – Try to pack foods tightly together to insulate one another. – All thawed raw or cooked foods can be refrozen if they still contain ice crystals or are at 40-degree F or below, but there may be some quality loss. – As with refrigerated foods, products thawed or held above 40-degrees F for more than two hours should be discarded. – – – – – This month’s “Facts from the Farm” … - The name mahi-mahi means “very strong” in Hawaiian. The fish is also known by the Spanish name “dorado.” - Most crabs walk sideway because the placement of their claws makes this motion quicker. - Deer can spot movement so well because they have the ability to focus on both nearby and distant objects at the same time. - When Woodrow Wilson was President, the First Lady had sheep graze on the White House lawn to keep it neat and well-manicured.
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The time has finally come for solar energy to be taken seriously as a real contender in providing abundant and reliable power to people the world over. Today great numbers of people all around the globe are converting to solar energy use at home. This has fossil fuel companies shaking in their boots and producing quite a bit of misleading information regarding solar energy. In this article, we will explore the real solar energy pros and cons. All The Great Things About Solar Energy Solar energy is renewable energy because it comes from the sun. The sun is not expected to die for five billion years, so we can count on it to provide us with clean, free energy for a very long time to come. This certainly cannot be said of fossil fuels, which are non renewable. Once we have blasted, drilled and goaded every drop and scrap of oil, gas and coal out of the earth, that’s it. There will be no more, and we will be left with a ravaged earth, polluted air and water and gas and oil companies claiming to have “discovered” the very renewable energy sources that are available to us by choice today. Solar energy is abundant. In fact, its potential is simply unimaginable. The surface of the earth receives more than 120,000 terawatts of solar energy daily. This is equal to enough power to take care of all the energy demands of the earth for 20,000 years. Solar energy is eco-friendly. It can be harnessed with a minimal production of pollution. Unfortunately, today most solar panels are produced in China where environmental standards are lower. For this reason, there is some pollution concern in terms of production; however, stronger environmental regulations can address these problems. Additionally, when compared to the massive amounts of pollution and destruction that result from every aspect of the gathering and use of fossil fuels, these concerns are minute. Solar power is sustainable. We can count on it to meet our energy needs and the energy needs of future generations into perpetuity. Solar energy is more than affordable. With today’s technology, it is possible to power your entire home using nothing but solar energy. In fact, you could install a system that produces excess which you can sell back to the power grid. This means that, once set up, your solar panels will provide you with both free electricity and a regular income. Solar energy is versatile and portable. It can be used for a multitude of purposes. Today, solar energy is used to bring electricity to very remote areas on earth and in space! It is also regularly used for single applications such as heating pools or providing automatic outdoor lighting at night. Portable solar chargers can be used to power and recharge all kinds of electronic devices in areas where there is no electrical outlet available. The Minor Downsides Of Solar Energy There are really very few downsides when it comes to solar power and those downsides are becoming fewer and smaller by the day. One current problem is that installing a solar energy system can be very costly. The cost of solar panels has gone down by more than half in this century, however, it can still get a bit pricey to install a whole house system. Luckily, today there are a number of rebate and incentive programs offered by local, state and the federal government to encourage people to convert to solar energy. These programs can reduce the cost of installing solar by half or more. In the past, one of the cons of solar power was that it was considered intermittent. This has changed considerably in recent years. Today’s modern, efficient panels work consistently and well even in areas that do not have blazing hot sun every day of the year. Furthermore, energy can be stored in batteries, or people using solar power can simply stay hooked up to the grid to draw electricity back from the grid in the event it is needed. Another disadvantage that is fading fast is the idea that solar panels need a massive amount of space. Like all technology, solar panels are becoming smaller and more efficient by the day. Additionally, they are available in a variety of formats and configurations including sturdy, attractive roof tiles that can simply be used to roof your home to provide energy inconspicuously all year round. When considering solar energy pros and cons, it’s easy to see that the pros far outweigh the cons. Modern solar energy is clear a strong and viable contender as a supplier of energy needs for people in all walks of life the world over.
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