Sunday, October 6, 2019

Systems Methods for Problem Solving Assignment Example | Topics and Well Written Essays - 3500 words

Systems Methods for Problem Solving - Assignment Example Based on the metaphor chosen, methodology of Viable Systems Method (VSM) was used to redesign the critical parts of the project execution. The paper ends with the action steps necessary to implement the redesign. A summary and list of references are included at the end. Total Systems Intervention (TSI) is an approach to problem solving for any organization that stands firm with the original holistic intent of systems thinking (Flood 1994). It provides principles, processes and tools to look at problems and organizations from a macro point of view that needs to be considered as the problem is scrutinized and analyzed into its micro components. The micro components must be approached not as a stand-alone entity itself, but as part of a complex system of the whole. This in consideration allows for a more comprehensive analysis and resolution process of the problem. e. The mission and various interpretations must come together at some point, through organizational design and management style, balancing the needs of both the organization and the member ensuring the bottomline business needs is reflected. The TSI process has three phases: creativity, choice and implementation (Flood 1995, p.178). In creativity phase, issues are identified and brought about through the use of decontextualization, or breaking down the issue into micro components, and making sense of such components by contextualizing them into the interacting issues that needs to be managed. This feeds into the choice phase where the use of methods will be implemented to find the most suitable to manage the issues. The methods will have its own strength and weakness, and so depending on how the issues are viewed, the resolution will be influenced by such strengths and weaknesses. The resolution, happening in the last phase of implementation will capture changes needed to be made on the organization, specifically and holistically in order to address the issues identified in the creativity

Saturday, October 5, 2019

Biography on Richard Ashcroft & ExplicationInterpretation of song Essay

Biography on Richard Ashcroft & ExplicationInterpretation of song - Essay Example I'm quite a shy, introverted person and I could easily melt away into the background. But I am driven to write tunes. Creativity for me is almost like therapy, my songs take you into the underbelly of my mind and there's some dark stuff in there. If I lived in LA, I'd be seeing someone three times a day, every day. But I'm a northern Englishman dealing with his shit in his own way." (Ashcroft, 2006). . This song is one of great poetry, and is by the same account, accurately titled 'Sonnet'. This song is a 14 line poem with an octave rhyming of abbaabba. It is almost a country-tinged gentle pop song "that floats in an extraordinary amount of space through which what sounds like echo effects of ping and wobble, but it's heart is the strummed acoustic that opens the song and carries its theme." (The Zine, n.d.). There is a certain subtlety and craft in this song; of which is considered to be one of the band's most respected and poetic songs of all. Sonnet is a yearning mid-tempo love song; a lovely, surprisingly understated ballad. The innate beauty of this song is truly everlasting. When Ashcroft sings in Sonnet, "Like a cat in the bag / waiting to drown / this time I'm coming down," it doesn't take a psychoanalyst to understand what the man is feeling. It was this song, along the Bittersweet Symphony which was considered to make the album worthwhile enough, even without the entire rest of the album included. Bittersweet Symphony Easily one of the Verve's most infamous songs, Bittersweet Symphony is in fact considered to be one of the greatest rock and roll songs of all time. The lyrics are a somber look at the ennui of everyday life: "You're a slave to money, then you die." The lyrics and meanings of these lyrics are obvious and overt in this song; the undying honestly and heartfeltness in this song is made openly clear: "Well I never pray But tonight I'm on my knees, yeah I need to hear some sounds That recognize the pain in me, now I let the melody shine, Let it cleanse my mind, I feel free now But the airways are clean and there's nobody singing to me now" The song expresses much emotion, basically describing someone who feels conformed by society, and who wants to change themselves. The song is incredibly liberating, with an easy sensibility about the person's emotion, excitement, and willingness to changenot for someone else, but rather for himself, "It's a bittersweet symphony, this life," meaning that there is both good and bad in this world, and that, "depending on how you choose to live your life, you may experience its bitterness, sweetness, or both." (Thedaythemusicdied, 2006). From this review, we can see that the band the Verve is an emotional, incredibly talented, and linguistically brilliant group, whose somewhat short period of infamousness will surely never be forgotten. At the height of their fame in 1997, they were easily considered as one of the finest bands from the UK and were one of the most popular groups worldwide before they abruptly called it quits. Despite whatever turmoil the band may have

Friday, October 4, 2019

Posttraumatic Stress Disorder Essay Example for Free

Posttraumatic Stress Disorder Essay This paper examines the diagnosis of Posttraumatic Stress Disorder as demonstrated by David Pelzer in his autobiographies A Child Called It and The Lost Boy, with a focus on the latter book. Dave is the son of alcoholic parents whose mother severely abused him while his father turned the other cheek. Dave has been subjected to torturous mind games, starvation, and physical abuse so horrendous that he is left scarred, bruised, and nearly dead. The staff at his elementary school eventually takes action and David is removed from his parents’ custody. From there, he spends his teenage years in various foster homes while he struggles with the emotional scars left by the trauma he endured. His search for answers to why he was treated this way and effort to understand the frightening nightmares and emotions he experiences becomes a long journey toward self-love and forgiveness. David meets the criteria for Posttraumatic Stress Disorder firstly because he has been exposed to a traumatic event in which he both experienced events that involved actual or threatened death or serious injury, or a threat to the physical integrity of himself and his response involved intense fear, helplessness, or horror. After being caught by his mother begging for food on the way to school because she was starving him, David’s mother decides to punish him by forcing him to swallow a spoonful of ammonia. David says that, â€Å"I could feel the force of my pounding fists weaken The colors seemed to run together. I began to feel myself drift away. I knew I was going to die† (Pelzer, A 75). In addition to beating David on a regular basis and â€Å"accidentally† stabbing him, his mother would order him to clean the bathroom with a mixture of Clorox and ammonia, after which he says he â€Å"coughed up blood for over an hour† (Pelzer, A 109). David has illustrated a markedly diminished interest or participation in significant activities at school, including difficulty concentrating, by the time he is removed from his home. As David is taken into protective custody, he exhibits symptoms of increased arousal through an exaggerated startle response. When the officer reaches out to touch David’s hand in a reassuring way, David flinches by reflex (Pelzer, T 27). Furthermore, once David enters his first Foster home with Aunt Mary, his behavior is uncontrollable. He runs from room to room, jumps on mattresses, and nearly knocks over a lamp. He explains, â€Å"By reflex, Aunt Mary grabbed my arm. She was about to scold me until she looked down at me. I covered my face, and my knees began to shake† (Pelzer, T 43). At ight, David has recurrent distressing dreams of the event, including a nightmare about â€Å"The Mother† marching toward him with a knife. He can feel her rancid breath on his neck and he hears her chanting that there is no escape and that she will never let him go. He becomes fearful of sleeping because he doesn’t want to fall into the nightmare again. For many nights he stays awake while the other children sleep; holding on to his knees while rocking back and forth and humming to himself (Pelzer, T 45). This is also another example of a persistent symptom of increased arousal because he has difficulty falling or staying asleep. David exhibits persistent avoidance of stimuli associated with the trauma and numbing of general responsiveness in his efforts to avoid thoughts, feelings, or conversations associated with the trauma. When David gets his first visit from a Child Protective Service worker, Ms. Gold, he feels as if he does not deserve her kindness and is too scared to have her touch him and hold his hand. She slowly gains his trust and becomes his friend. During their long talks, David says, â€Å"At times I was too scared to talk and long moments of silence followed. Other times, for no apparent reason and not understanding why, I’d burst into tears† (Pelzer, T 46). David’s mother comes to drop off some clothes for him at his foster home. While Aunt Mary is in the other room, his mother tells him she’s going to â€Å"get him back† for telling the family secret of abuse (Pelzer, T 53). This very direct exposure to internal or external cues that symbolize or resemble an aspect of the traumatic event causes David intense psychological distress. The next day Ms. Gold tells David that they are going to court in two days and that she needs to ask him a few questions to clarify their case. However, David is consumed with fear because of his mother’s threat and proceeds to retract as many statements he could; claiming that he had lied about everything, had beaten himself, and that everything was his fault (Pelzer, T 55). In doing so, he is making an effort to avoid activities, places, or people that arouse recollections of the trauma. David illustrates another symptom of increased arousal through his irritability and outbursts of anger. After another of his mother’s visits, David has a breakdown. He cries as he rants and raves to Mrs. Catanze about his mother, asking why she treated him so viciously. He proceeds to tell his foster mother some of the horrendous abuse he suffered at the hands of his mother (Pelzer, T 100-103). After his revelation to his foster mother, she sends him to a therapist. While in the therapist’s office, David starts to feel as if one of the traumatic events were recurring and has a sense of reliving the experience of when his mother held him over the gas stove. He explains, â€Å"I lost track of the doctor’s voice. My right arm began to itch. I scratched it before I glanced down. When I did, I saw that my right forearm was engulfed in flames. I nearly jumped out of my seat as I shook my arm, trying to put out the fire† (Pelzer, T 130). Lastly, David shows that he has a feeling of detachment or estrangement from others when, after being â€Å"set up† to get caught shoplifting, he says to himself, â€Å"I should have known better†¦I knew they couldn’t have liked me for just being another kid† (Pelzer, T 156). While David wants to avoid his mother, he does not make really make an effort to avoid activities, places, or other people that arouse recollections of the trauma. In fact, he continues to keep hope that his father will visit him. He is also able to have loving feelings toward his social worker and certain foster parents. The duration of the disturbances is much more than 1 month and has caused David clinically significant distress or impairment in social and other important areas of functioning. Treatment considerations for David should involve individual therapy including a goal that involves getting his nightmares and flashbacks to stop. David should be gradually exposed to more stressful stimuli in exposure therapy and be taught relaxation techniques to set free all negative consequences and to achieve extinction. He should be offered support and empathy in therapy and be encouraged to express his feelings and to let things out. Also, cognitive restructuring in the form of Rational Emotive Therapy is recommended to help David think rationally and clearly about the abuse and neglect he suffered and about his present situation. It is expected that this form of therapy will also improve his self-esteem, destructive thought patterns, and help him to sleep better. The use of medication does not appear to be necessary.

Thursday, October 3, 2019

Malaysian Market For Sago Palm

Malaysian Market For Sago Palm In this chapter, we will discuss the background of Malaysia market for sago. The discussion of the market consists of production, consumption, export and price. To understand about sago, we will first briefly discuss on sago palm, sago starch and sago processing. 1.1 Sago Palm Sago palm or Metroxylon sagu is a crop that produces starch for food and non-food processing industries. Sago palm is widely cultivated in Sarawak with more than 60,000 hectare of area recently. Commercial cultivation area for sago palm was increased from 43 hectare in 1988 to 10,700 hectare in 1996 and the remaining was cultivated by smallholders. In year 2000, there are 21 sago processing plants which produced around 60,000 tonne of sago starch. In west Malaysia, sago palm cultivation is too small with only 2 sago processing plant operated in Johor. 1.2 Sago Starch Most of sago starch that been produced in Sarawak is used in west Malaysia (almost 30,000 tonne). Sago also been exported as high quality food grade starch and low quality industry grade starch. Export for food grade starch was increased from 3,600 tonne in 1985 to 11,000 tonne in 1995 while export for industry grade starch was decreased from 8,400 tonne in 1985 to 5,100 tonne in 1995. The major destinations for sago starch export are Japan, Singapore, United Kingdom, Taiwan, Canada, South Korea, New Zealand and Thailand. 1.3 Sago Processing Sago Palm Sago palm took 10 to 15 years to be matured. When sago palm is matured, it will be felt down so that its trunk can be cut. Sago palm has a huge trunk, upright, reaches a height of 10-12 meters, with the contents of the soft and contain high starch content. It is a staple food source for indigenous people in Sabah and Sarawak, including ethnic Bisaya, and Melanau. Sago Log Sago trunk is cut into section with each section is 75 cm to 90 cm long. This section is known as sago log. Every sago trunk yield around 10 to 12 sago log. Then, these sago logs will be tied together in the form of rafts and tugged by boats to sago processing plant through river. Sometimes, these sago logs are carried by lorry to sago processing plant. Processing Sago Starch Processing of sago starch is done in the sago processing plant. In the sago extraction process, the sago logs are first debarked, followed by maceration using a rasper. Newer types of raspers have eliminated the need for debarking. The sago chips resulting from the maceration process are then further disintegrated using a hammer mill. The starch slurry is then passed through a series of centrifugal sieves to remove the coarse fibres. Cyclone separators are then used to extract the starch which is then dried using a rotary vacuum drum drier, followed by hot air drying. 1.4 Malaysia Market for Sago Source: Department of Agriculture, Sarawak. Agricultural Statistics of Sarawak From table 1.4, we can see how the development and the status of sago industries in Malaysia were. The number figure shows inconsistency in the export of sago starch every single year. Thus, it is influenced by the current economic climate. We can see that the figure of the total export of sago starch are not really consistence compared to its price which is going high all the way starting from the year of 1993 until it reaches its highest price in the year 1998. The year after, the figure shows that the price is going down. Even though, the total of production was increased in 2002 and 2003. The lowest price ever was in year 1993 where it was only around RM584 per tonne for industry grade starch and RM596 per tonne for food grade starch. The highest price was RM915 per tonne for industry grade starch and RM 897 food grade starch in the year 1998; a year after the economic erosion occurs. From the view of total export quantity and production, Malaysia produced the highest quantity of sago starch back in the year 1995 where it reaches its highest possible production with exported quantity up to 45,130.96 tonne for food grade starch and 4,816.43 tonne for industry grade starch. The lowest total production was in the year 1997 where only 27,285.50 tonne of food grade starch and 5,121.83 tonne of industry grade starch were exported; the same year when the economic erosion occurs. If referred to the net export value, the biggest amount is during the sago price recorded its highest price which is in year 1998. The amount is RM5, 638,142. Meanwhile, the lowest export value was in year 1993 with the net total of export value is RM2, 314,787. CHAPTER 2: CURRENT POLICIES DESCRIPTION 2.0 Introduction This chapter will discuss the agricultural policies relevant to sago; providing an accurate, clear understanding of the policies affecting the market for sago and its product. There are 4 policies that relevant to sago consist of policies by the Malaysia government (federal) and Sarawak government (state). 2.1 Sarawak Policy on Sago Plantation (Before NAP3) The Sarawak government is trying to pioneer the cultivation of sago on a plantation scale, trying to tap 20th century agricultural technology and large-scale organisational structure to grow this supposedly wonder crop. The aim of sago plantations is the application of modern, scientific agricultural technology and a large-scale institutional organisation, to exploit the cultivation of sago that has thus far been cultivated in a very primitive and semi-wild fashion. This is the first attempt at growing sago on a plantation scale anywhere in the world. Since the clone material and plantation technology for sago palm have not been established by private entrepreneurs, Sarawak government had developed the policies to cultivate sago palm on a plantation scale. With proper drainage, maintenance and fertilizer in plantation, sago palm will mature faster. This will increase the productivity of sago palm which supply starch to the local and international market. 2.2 Third National Agricultural Policy (NAP3) on Sago (1998-2010) In NAP3, sago is fallen under the group of new product and future industries. The policy objective for this group is: To develop innovative products and new industries which will provide source for the development of agriculture in the future The strategies for this policy are: To strengthen the economy base To generate and encourage private sector participation To reduce cost and increased productivity, commercial sago cultivation in large scale by private sector has been encouraged. This has been done alone by private sector and in collaboration with government subsidiaries. Infrastructures and basic facilities have been provided by the government to support the production of sago by private sector. Furthermore, cultivation with high quality seeds and better agronomy practices has been done to increase the productivity of sago smallholders. Sago cultivation has been encouraged on peat soil area in Sarawak due to the suitable of this crop with peat soil. This is the best way to use peat soil area in natured way. Production of value-added sago based products have been implemented to wider the market opportunities. The products include modified sago starch, sorbitol, dextrin and ascorbic acid. Research and development on both upstream and downstream activities for sago has been strengthen. The activities include: Breeding high quality crops material Farm management Processing technology New products development Usage of side products including wasted materials and sago scraps Sago smallholders have been encouraged to wider their farm through institution support. Research and market encouragement for sago starch and other sago products have been stressed due to strengthen the existing market and venture the new market. Sago processing plants have been encouraged to practice quality control management. Investment and strategic raw material gain for upstream industry has been encouraged. This is to sustain the supply of sago in the industry. To control the wasted materials and sago scraps, pollution control management has been implemented. 2.3 Sarawak Policy on Sago (Based on NAP3) Sarawak Policy on Sago has been formulated, planned and developed from NAP3 by Ministry of Modernisation of Agriculture Sarawak (MoMA). The policy is for sago starch-based product industry as a potential industry and sago as a crop industry. For sago starch-based product industry as a potential industry, the policy objective is: To explore new frontier industry which might have substantial return to the local producers and the economy The strategies for this policy are: To encourage private sector participation To intensify research and development on sago starch product development For sago as a crop industry, the policy objective is: To develop and expand sago industry and exploit the opportunities of market of sago and sago starch-based products The strategies for this policy are: To assist smallholder in planting sago using mini estate approach To encourage private sector participation in planting and processing of sago 2.4 Ninth Malaysia Plan; Policy on Sago Under the Ninth Malaysia Plan, sago is one of the crops that included in land consolidation and rehabilitation. Land consolidation and rehabilitation will be continued on a larger scale to accelerate the modernisation of smallholdings as well as increase productivity of the crops. CHAPTER 3: OBJECTIVE Objective To determine Sago cultivation area in Sarawak To determine policy implication on Sago industry in Sarawak To determine the changes of policy in Sago industry CHAPTER 4: POLICY ANALYSIS 4.0 Introduction In this chapter, we will analyze the effects of policy that have been discussed in the previous chapter. The policy that we will analyze here is the Sarawak Policy on Sago based on NAP3. 4.1 Effects on Sago Cultivation Area According to Chew, Abu Hassan Isa and Mohd. Ghazali Mohayidin (1999), the aim of sago plantations is the application of modern, scientific agricultural technology and a large-scale institutional organisation, to exploit the cultivation of sago that has thus far been cultivated in a very primitive and semi-wild fashion. With commercial planting on large scale have been encouraged through the policies, the sago cultivation area was increased. The estimated area for sago cultivation in 1998 is 45,000 ha and it increased to 60,700 ha in 2000 (Third National Agricultural Policy, 1998) Since year 2000, the estimated area for sago cultivation in Sarawak is over 60,000 ha and slowly increased from year to year. The increment of sago cultivation area in Sarawak from year 2000 to 2004 is shown as below (Ministry of Modernisation of Agriculture Sarawak, 2005). Year 2000 2001 2002 2003 2004 Hectares (ha) 60,709 61,523 62,141 63,053 62,308 % compared to other crops 7.8 7.6 7.3 7.1 6.7 Table 4.1: Estimated Area for Sago Cultivation Source: Ministry of Modernisation of Agriculture Sarawak, 2005 Even though the area for sago cultivation is increased in term of hectares, but in term of percentage compared to other crops, sago cultivation is decreased. The policies might be effective to increase the area of sago cultivation, but the increment is rather too slow compared to other crops especially oil palm. Figure 4.1.1: Sago Cultivation Area in Sarawak Source: Ministry of Modernisation of Agriculture Sarawak, 2005 Figure 4.1.2: Percentage of Sago Cultivation Area Compared to Other Crops in Sarawak Source: Ministry of Modernisation of Agriculture Sarawak, 2005 4.2 Effects on Sago Starch Export and Starch Import The highest sago starch export was in 1998 with 46,518.43 tonne of sago starch was exported and the value of it was RM41, 855,722 with price per tonne is RM897 for food grade starch and RM915 for industry grade starch (Craun Research Sdn Bhd, 2004). After 1998, the sago starch export decreased making the worst export value was in year 2000 with only 36,382.78 tonne was exported and the value of it was RM29,782,916 with price per tonne is RM830 for food grade starch and RM766 for industry grade starch. This might be derived from the price drop of starch in world market. The effects of the policies were only been seen after year 2000 where the export value of sago starch increased every year starting from year 2001 to 2004. Only in year 2003, the export value was decreased by RM55,000. The export value of sago starch from year 1998 to 2004 is shown as below (Ministry of Modernisation of Agriculture Sarawak, 2005). Year 1998 1999 2000 2001 2002 2003 2004 Export Value (RM000) 42,182 36,450 29,783 30,680 32,165 32,110 37,020 Table 4.2.1: The Export Value of Sago Starch SOURCE: Ministry of Modernisation of Agriculture Sarawak, 2005 While exporting sago starch, Malaysia still has to import other starch due to local consumption. In year 1997, estimated total production of sago starch in Malaysia is 60,000 tonne with almost 30,000 was used for local consumption (Third National Agricultural Policy, 1998). In 1998, the import value of starch was RM552,000 made it was the highest import value for starch. With local demand for starch is good for food and non-food industries, the policies were able to support the supply of starch in local market. It helps to reduce the import value of starch in 1999 to RM55,000. From this year, the import value of starch per year was going up and down where in year 2000 there is no starch was imported. The import value of starch from year 1998 to 2004 is shown as below (Ministry of Modernisation of Agriculture Sarawak, 2005). Year 1998 1999 2000 2001 2002 2003 2004 Import Value (RM000) 552 55 134 0 45 71 57 Table 4.2.2: The Import Value of Starch Source : Ministry of Modernisation of Agriculture Sarawak, 2005 Figure 3.2: Export Value of Sago Starch and Import Value of Starch from 1998 to 2004 4.3 Effect on Sago Research Involvement According to Chew, Abu Hassan Isa and Mohd. Ghazali Mohayidin (1999), there was no private group and only two government centres carrying out research on sago in Malaysia. Researches on sago are important to avoid the extinction of sago industry in Malaysia. When the policies were implemented, Land Custody and Development Authority of Sarawak (PELITA) have formed Craun Research Sdn Bhd to carry out research and development on sago. Craun Research Sdn Bhd was once lead by former Sarawak MARDI Director, Mr. Yusup Bin Sobeng. The policies also encouraged local universities to carry out research on sago. With UPM already carry out researches on sago before the policies; UNIMAS have joined them to do more researches on sago. Recently on 4 August 2006, UNIMAS signed an MOU with New Century Fermentation Research Co. Ltd. (NECFER) of Fukoka to enable both institutions to cooperate and collaborate in the establishment of the fermentation parameters and structural set-up in a joint research and development endeavour on sago starch fermentation for large-scale production of ethanol and lactic acid. 4.4 Effects on Private Sector Involvement in Sago Plantation Presently, sago is grown in Sarawak as a smallholders crop (Chew, Abu Hassan Isa and Mohd. Ghazali Mohayidin, 1999). When Land Custody and Development Authority of Sarawak (PELITA) started the development of two sago plantations; Dalat Sago Plantation and Mukah Sago Plantation, several private companies in Sarawak got the initiative to involve in sago industry. With the policy encouraged private sector participation in planting and processing of sago, the numbers of private companies involve in sago plantation and processing had increase. Now, private companies which involve in sago industry have their own association for the benefits of members in the industry. Sarawak Sago Manufacturers Association is the well known sago companies association in Sarawak. It is joined by: Nee Seng Ngeng Sons Sago Industries Sdn Bhd Nitsei Sago Industries Sdn Bhd Song Ngeng Sago Industries (EM) Sdn Bhd C. L. Nee Sago Industries Sdn Bhd Grand Safeways (S) Sdn Bhd Igan Sago Industries Sdn Bhd 4.5 Effects on Traditional Sago Starch Production Before the policy was introduced, there were 11 modern sago processing plants in Sarawak which had fixed assets and equipment valued around RM2-RM5 million (Chew, Abu Hassan Isa and Mohd. Ghazali Mohayidin, 1999). The policy helps to increase this number to 21 modern sago processing plant in year 2000. The increasing number of modern sago processing plant had slowly replaced the production of traditional sago starch called lemantak with high quality, dry sago flour. 4.6 Effects on Sago Starch Contribution in World Starch Market In the world market, sago starch has to compete with other starch such as maize starch, potato starch, cassava starch and wheat starch. According to ISO Technical Committees (2005), the world starch output was estimated to be 48.5 million tons in year 2000. Below is the total export value (in USD) for starches in world market based on type of starches between years 2000 to 2002 (ISO Technical Committees, 2005). 2000 2001 2002 Wheat Starch 79,299,188 66,494,945 71,158,617 Maize Starch 247,354,215 254,598,496 250,744,561 Potato Starch 186,513,628 192,451,543 189,591,770 Cassava Starch 155,221,419 146,818,270 27,307,528 Other Starch 44,592,792 42,295,983 42,245,903 Table 3.6: Export Value (USD) for Starches in World Market Source: ISO Technical Committees, 2005 Other starch in table 3.6 refers to barley starch, rice starch, sago starch and waxy xaize starch. Though the export value of other starch is decreased from year 2000 to 2002, it was only 5% reduction compared to 82% reduction of cassava starch. However, the percentage or reduction for other starch including sago starch is higher than wheat starch, maize starch and potato starch. The policy to develop and expand sago industry in Malaysia helps to make Malaysia been acknowledged as one of the main exporter for starch in the world market. Malaysia also been acknowledged as the highest sago starch exporter in the world (ISO Technical Committees, 2005). CHAPTER 5: POLICY IMPLICATIONS This chapter will discuss the positive and negative aspects of the policies analyzed in the previous chapter. The discussion demonstrates a close relationship between the analysis in the previous chapter and the implications drawn in this chapter about the positive and negative aspects of the policies analyzed. 5.1 Positive Aspects First positive aspect, the policies implicate the sago cultivation to be increased. With 1.69 million hectares of peat soil in Sarawak, the policies had increased the sago cultivation area. This was due to the encouragement of private sector participation in sago plantation and the assistant of smallholder in planting sago using mini estate approach. Private sectors will not just focusing to oil palm plantation in term of the land usage in Sarawak. Even though sago is less profitable compared to oil palm, the policies which imply government support in sago cultivation helps to involve private sector in sago cultivation. Second positive aspect, the policies implicate the export and import of starch in Malaysia. With current consumption of starch in Malaysia is estimated around 100,000 tonne per year, the policies help to increase the supply of starch for local consumption. More than half of sago starch is been exported because of its high value as food grade starch and industry grade starch. This is more profitable than using it for local consumption. However, the usage of sago starch for local consumption still can support the local demand where the import value of starch in Malaysia is far too small (below RM80,000 from year 2001) compared to the export value of sago starch. Third positive aspect, the policies implicate the sago researches involvement in Malaysia. The policies help to increase the number of government subsidiaries and private group involvement in sago researches and development. The researches mostly focus on increasing its starch yield, reducing the gestation period of sago and reducing the cost of sago production. Fourth positive aspect, the policies implicate the income of sago smallholders. With most of sago palm is cultivated by smallholders, the policies help to increase their income. Most of sago farmers are having income from non-sago agricultural activities or from off-farm employment. This is because sago palm has the gestation period of 10 to 15 years which considered as too long to generate income. The policies are focusing on economic strategies in planting sago at farm level where the farmers can maximize the profit in sago cultivation. Fifth positive aspect, the policies implicate the collaboration between federal government and state government. With agriculture as the third instrument to generate Malaysias economy, the policies play an important role in developing the abundant crop such as sago. The federal government creates policies to develop sago cultivation for the state government. Then the state government will innovatively formulate, plan and develop the policies to be implemented. The policies consist of budget and land for sago cultivation. Finally, the policies ensured sago not to be abundant and will be developed to support the agriculture industry as well as other industries in Malaysia. 5.2 Negative Aspects First negative aspect, the policies implicate the manipulation of private companies in sago industry. Most of private companies that involve in planting and processing sago have their own association to protect their importance in the industry. They might control the price of sago section (sago trunk which is cut to yield its starch) and the fee for transportation to factories. When this happened, the sago smallholders might gain small profit or even worst they gain loss. Second negative aspect, the policies implicate the traditional value of sago processing. With the number of modern sago processing plant is increased, the traditional, small-scale cottage mills which produce a type of inferior wet sago called lementak for the local markets are slowly being wiped out. The Melanau community especially will slowly lose their traditional way in processing sago. Finally, the policies are considered not very effective in developing sago industry. This can be seen in the small increment of sago cultivation area for the past 5 years compare to other crop in Malaysia. CHAPTER 6: CONCLUSIONS Even though, sago is considered by many plant scientists, especially Japanese scientists, as the starch crop of the 21st century (Jong, 1995), the present method of cultivation of sago palm shows that it is currently grown using very primitive agricultural technology. Sago is at present grown essentially as a smallholder crop, producing low yields with minimal maintenance and zero fertilization. Current methods of cultivation in Sarawak is not that much different from what had occurred through the millennium and what is occurring now in the virgin, unexplored jungles of Papua New Guinea. The policy was implemented and sago industry also given impotency in Sarawak region. The cultivation area was showing increment and the yield as well, at the same time Malaysia market and world market for sago also increase. We found every policy try their level best to develop the sago industry from cultivation up to market it. Now they also start focus in research and development (RD), which will improve the sago industry. The sago plant lot of RD, to improve the plant and make it more economically profit. In sago industry there need two important thing need to improve. Make sure the plant produce high starch or high yield and decrease the gestation period that is from 10 to 15 years to 5years. The yield can be improved by good plant materiel and good plant breeding as well. This can only be achieved by a prolonged, sustained research program in plant selection and breeding work. The spectacular improvements in the yield of oil palm and its maturity period in Malaysia were achieved by a similar long-term research program, undertaken by a wide variety of governmental and private groups, beginning in the 1900s (Hartley, 1967). Unfortunately, there are currently no private groups carrying out research on sago in Malaysia. In fact, there are now only two government centers, the Dalat Sago Research Station and CRAUN (Crop Research and Application Unit, Lembaga Pembangunan dan Lindungan Tanah, Sarawak or PELITA), carrying out research on sago cultivation. The amount of research resource devoted to sago is clearly inadequate for the monumental task of converting sago from its present semi-wild status to a modern clone with high yields, short maturity periods and responsiveness to fertilizers. The proper management and good care to sago will improve Sarawak Sago industry and the policy will make the sago as golden crop of Sarawak.

Wednesday, October 2, 2019

Savage Contradiction in Heterotopia :: Culture Cultural Essays

Savage Contradiction in Heterotopia During the 1930's, the myth of "the people" was born. This myth stressed the importance of unity, and glorified the notion of "average," as evidenced in a prize-winning essay describing "the typical American boy," written by an eighth grader named Alfred Roberts, Jr., for a contest sponsored by the 1939-40 Fair New York World's Fair. This document, which claims that a typical American boy should be courageous, dependable, and loyal to his beliefs, was "clearly reflective of the values the Fair held dear" (Susman, 1980, p. 22). Yet, for all the unity the Fair stressed, it was plagued by contradictions - Contradictions that can be closely associated with those found in the 1954 novel Lord of the Flies, by William Golding. To begin, I will provide a summary of this novel, as well as insights into the author's motivations for writing such a book. I will then discuss the contradictions found within the novel, and their relation to those found at the 1939-40 World's Fair and its streaml ined view of human nature. William Golding wrote Lord of the Flies following his experiences in World War II when, after witnessing countless acts of man's inhumanity to man, he became disenchanted with human nature. Golding believed that humans, including children, were inherently evil, and if left without guidance, would revert back to savage ways. This is the premise for his most famous novel which opens on a deserted island following the shooting down of a plane carrying a group of boys. All the boys and none of the adults survive the crash, leaving the boys on an island heterotopia - a physical locale set apart from traditional public life where rules and expectations are suspended. Although the first character, Ralph, is originally excited at the idea of "No grownups!," his counterpart, Piggy is focused on the need for guidance and rules. This is when the boys encounter the conch, which is a type of shell, which if blown into in a certain spot, creates a sound loud enough to signal all the boys scattered across the island to a central meeting spot. The conch comes to represent authority, as it is decided that anyone holding it must be listened to. As the boys gather, Ralph is chosen as their leader, much to the dismay off Jack, another main character, and his gang, who refuse to submit to his authority.

William Goldings Lord of the Flies :: Essays Papers

Lord of the Flies In the midst of a raging war, a plane evacuating a group of English boys from Britain is shot down over a deserted tropical island. Marooned, the boys set about electing a leader and finding a way to be rescued. They choose Ralph as their leader, and Ralph appoints Jack to be the leader of the hunters. Ralph, Jack, and Simon set off on an expedition to explore the island. When they return, Ralph declares that they must light a signal fire to attract the attention of passing ships. The boys begin to do so, using the lens from Piggy's eyeglasses to ignite dead wood, but they are more interested in playing than in paying close attention to their duties, and the fire quickly ignites the forest. A large swath of dead wood burns out of control. One of the youngest boys disappears, presumably having burned to death. At first, the boys enjoy their life without grown-ups. They splash in the lagoon and play games, though Ralph complains that they should be maintaining the signal fire and building huts for shelter. The hunters have trouble catching a pig, but Jack becomes increasingly preoccupied with the act of hunting. One day, a ship passes by on the horizon, and Ralph and Piggy notice, to their horror, that the signal fire has burned out; it had been the hunters' responsibility to maintain it. Furious, Ralph accosts Jack, but the hunter has just returned with his first kill, and all the boys seem gripped with a strange frenzy, reenacting the chase in a kind of wild dance. When Piggy criticizes him, Jack hits him across the face. Ralph blows the conch shell used to summon the boys and reprimands them in a speech intended to restore order. Yet there is a larger, more insidious problem than keeping the signal fire lit and overcoming the difficulties of hunting: the boys have started to become afraid. The littlest boys (known as "littluns") have been troubled by nightmares from the beginning, and more and more boys now believe that there is some sort of beast or monster lurking on the island. At the meeting, the older boys try to convince the others to think rationally: if there were a monster, where would it hide during the daytime? One of the littluns suggests that it hides in the sea, a proposition that terrifies the whole group.

Tuesday, October 1, 2019

Non Extraction Treatment In Class Health And Social Care Essay

Anterior and posterior arch breadths in the eyetooth and molar parts from the most labial facet of buccal surfaces the eyetooths and the grinders were measured with the aid of digital caliper on the survey theoretical accounts and compared statistically to find whether the dental arches were narrower after extraction intervention.Consequences:At the start of the intervention maxillary and inframaxillary intercanine breadths both groups did non differ statistically.At the terminal of Treatment in both the groups anterior and posterior arch breadths were same except for the intercanine dimension which was 0.82 millimeter larger ( P & lt ; 0.05 ) in the extraction group.Decision:The extraction intervention does non ensue in narrower alveolar consonant arches than non extraction intervention in intercanine and intermolar part. Clinical significance: The narrow dental arches are non the expected effects of extraction intervention so, esthetically compromising consequence of narrow dental arches on smiling is non a systematic out semen of extraction intervention. Cardinal words: Arch breadth Changes, Intercanine and Intermolar breadth, extraction and Non Extraction Treatment.Introduction:The extraction versus non extraction argument is about every bit old as the coming of orthodontias pattern and boulder clay today the quandary exists. Angle1 believed that all 32 dentitions could be accommodated in the jaws, in an ideal occlusion with the first grinder in Class I occlusion, extractions was bete noire to his ideals, as he believed bone would organize around the dentitions in their place harmonizing to Wolff ‘s law2. However this was criticised by Case who stated that extractions were necessary in order to alleviate crowding and assistance stableness of treatment.3 However depending upon clinical scrutiny, radiographic and accurate diagnosing the extraction determination should be taken. Assorted transverse and perpendicular malrelationships such as crowding, bulge of dentitions are observed in Class I malocclusion which can be handled by extraction or non-extraction intervention depending upon infinite disagreement.However the long term stableness in both interventions is surrounded by a contention. It is good documented fact that addition in dental arch length and breadth during orthodontic intervention tend to return toward their pre-treatment values after retention.4,5,6,7 One of the unfavorable judgment of extraction intervention is that it consequences in narrower arches as compared to non-extraction treatment,8.The popularity of non-extraction intervention are condylar supplanting, narrowed smilings accompanied by dark corners, dished in profiles with extractions and suboptimal inframaxillary growth.9-16 Some surveies claim that dimension alterations occur in both extraction and non-extraction treatments,17 18 It is believed that the pre-treatment values of intercanine and intermolar breadths present a place of muscular balance so it is suggested that the maintaince of these values provide postretention stableness 19,20.Strang21 and Shapiro concluded that inframaxillary intercanine and intermolar breadth dimensions have a strong inclination to get worse. In the past many surveies have been carried out to analyze the effects of extraction and non-extraction intervention but the decisions vary a batch which could be because of different intervention techniques, malocclusion types and sample size examined during these surveies. So the purpose of present survey was to compare dental condescending breadths alterations in Angle Class I malocclusion after extraction of first premolar and non-extraction with a homogeneous survey group in footings of malocclusion and intervention mechanics.The arch breadths were measured in inframaxillary arches because condescending breadths are normally established by inframaxillary arch.Materials and methodsIn this retrospective survey orthodontic survey theoretical accounts of 30 patients who had first premolar extractions and 30 patients treated without extractions were selected.in the extraction group there were 19 misss and 11 male childs with average age 14.2+-2.9 old ages and in the non-extraction group had 18 male childs and 12 misss with average age 14.3+_2.12 old ages All the patients were treated with preadjusted contraption by assorted teachers in a dental institute. While choice the undermentioned standards were applied All patients had skeletal Class I malocclusion All patients had full compliment of teeth upto 2nd grinders without any losing dentition, excess dentition, or congenitally losing dentitions. None of the patients had a adjunctive contraptions such as quad spiral, any functional contraptions, rapid palatine expander during intervention In the extraction group all patients had first premolar extraction as a portion of orthodontic intervention. With an digital calliper, the breadths of the anterior and posterior parts of the maxillary and inframaxillary alveolar consonant arches were measured in the eyetooth and the molar parts from the most labial facet of the buccal surfaces of those dentitions. The calliper was placed at the best estimation of a right angle to the palatine sutura in the maxillary arch and to a line bisecting the incisor section in the inframaxillary arch. The recorded breadths between the grinders were the widest distances between the first or 2nd grinders. The widest portion of the posterior portion of the arch invariably was in the 2nd molar part. Each distance was measured 3 times, and the norm of the 3 values was used as the concluding step. The duplicability of the measurings was evaluated by analysing the differences between 10 dual measurings of intercanine and intermolar distances, indiscriminately selected and taken at different times. The mistake of measuring was assessed by Dahlberg ‘s expression: Sx = where D is the difference between extra measurings, and N is the figure of dual findings. The mistakes were 0.21 millimeter for inframaxillary intercanine breadth, 0.60 millimeter for inframaxillary intermolar grinder breadth, 0.36 millimeter for maxillary intercanine breadth, and 0.21 millimeter for maxillary intermolar breadth. Means and standard divergences were calculated, and a 2-tailed T trial was used to find statistically important differences with P & lt ; 0.05.ConsequencesThe inframaxillary intercanine and intermolar breadths did non demo statistical differences at the start of the intervention in both the groups. ( Table 1 ) At the terminal of intervention the condescending breadths of both the groups were besides statistically similar except in inframaxillary eyetooth part. ( Table 2 ) The mean inframaxillary intercanine dimension was 0.82 millimeter larger in extraction sample than non-extraction sample. During intervention the average inframaxillary eyetooth width addition was 1.28mm in extraction group and the 0.66mm addition in non-extraction group which was non statistically important. ( Table 3 & A ; 4 ) The inframaxillary intermolar breadths for both extraction and non-extraction group were non changed. Table 1. Pretretment inframaxillary intercanine and intermolar arch breadths: agencies and SD ( millimeter ) Extraction ( n=30 ) Non-extraction ( n=30 ) Significance Intercanine 30.47 AÂ ± 2.09 30.27 AÂ ± 1.82 Nitrogen Intermolar 59.25 AÂ ±2.92 59.05AÂ ± 1.67 Nitrogen NS-Not Significant Table 2. station intervention upper jaw and inframaxillary arch intercanine and intermolar breadths: agencies and SD ( millimeter ) Extraction ( n=30 ) Non-extraction ( n=30 ) Difference Significance Mx Intercanine 39.12 AÂ ± 1.98 39.84 AÂ ± 1.81 0.72 Nitrogen Md Intercanine 31.75 AÂ ± 1.84 30.93 AÂ ± 1.92 0.82 0.01 Mx Intemolar 61.01 AÂ ± 1.98 60.98 AÂ ± 2.09 0.03 Nitrogen Md Intemolar 59.81 AÂ ± 1.25 59.01 AÂ ±1.98 0.80 Nitrogen Mx- Maxillary ; Md- Mandibular ; NS-Not Significant Table 3.Mandibular intercanine and intermolar breadth alterations: agencies and SD ( millimeter ) Extraction ( n=30 ) Pre-Treatment Post- Treatment Difference Md Intercanine 30.47AÂ ± 2.09 31.75 AÂ ± 1.84 1.28 Mendelevium Intermolar 59.25 AÂ ± 2.92 59.81 AÂ ± 1.25 0.56 Md-Mandibular ; NS-Not Significant. Table 4.Mandibular intercanine and intermolar breadth alterations: agencies and SD ( millimeter ) Non-extraction ( n=30 ) Pre-treatment Post- Treatment Difference Md Intercanine 30.27 AÂ ± 1.82 30.93 AÂ ± 1.92 0.66 Mendelevium Intermolar 59.05 AÂ ± 1.67 59.01 AÂ ± 1.98 0.04 Md-Mandibular ; NS-Not Significant.DiscussionThe two grounds for which the extraction interventions are criticised are that they result in narrow alveolar consonant arches which are unesthetic because of big black trigons in buccal corridors and it is stated that the intercanine and intermolar breadths tend to diminish during station keeping period 5,19-22 Harmonizing to findings of the present survey the arch breadth in both eyetooth and molar part in the inframaxillary arches did non demo any statistical important results.in fact the arches in extraction group were about 0.82mm wider than non-extraction group. Although these findings might non fulfill some writers who support non-extraction interventions. The consequences of this survey can be compared with surveies on station intervention long term stableness in which inframaxillary incisor stableness was acceptable. The inframaxillary intercanine breadth increased 1.07mm in an extraction sample23 in contrast in non-extraction topics where the addition in inframaxillary intercanine dimension was less than 1mm in Class I 24,25 and Class II patients.. In boundary line instances the long term addition in intrecanine breadth was 1mm in extraction interventions and 0.5mm in non-extraction 26 treatments.Luppanapornlarp and Johnston found that inframaxillary intercanine breadth of extraction topics was greater at all phases of intervention in extraction instances than in non-extraction instances which indicate that extraction of 4 first bicuspids does non bespeak narrowing of arches.27BeGole et Al 28 found 1.58mm addition in extraction sample as compared to 0.95mm in non-extraction sample.Udhe et al 29 found a larger addition in extraction group than in non-extraction group. Gianelly 5 studied inter arch alterations of extraction and non-extraction groups and found that the alterations in maxillary and inframaxillary arch breadths indicated that extraction intervention does non ensue in narrower arches than non-extraction groups. This determination is in conformity with the present study.On the footing of constructs documented in the literature13,30,31 1 might anticipate narrower arches after extraction.However Kim and Gianelly suggested that the breadths of the both the arches were 1-2mm larger when compared with the condescending breadths of non-extraction group at a standardized arch depth.The intermolar breadths of both the groups were same after intervention this determination supports the position of Johnson and smith32. Who stated that arch breadth at any peculiar location is maintained or somewhat increased after extraction. Weinberg and sadowsky33 found important addition in inframaxillary intercanine and intermolar breadth in class1 malocclusion treated non-extraction and stated that the enlargement of buccal sections in the inframaxillary arches helped in declaration of Class I herding. However 16 out of 30 patients had some sort of palatal expander which might hold contributed to inframaxillary enlargement In the present survey no interventions were given for enlargement. To some research workers maxillary arch breadth is deciding of smile esthetics,34, the maxillary arch breadths in extraction and non-extraction groups were same so it can be expected that the intervention effects in maxillary arches will be the same, and there will be no difference in esthetic tonss in both the groups.In fact the intercanine breadths in extraction groups were wider than non-extraction group. However the hereafter surveies in the maxillary arches in assorted malocclusion categorizations with assorted intervention mechanics will be productive. It is stated that enlargement more than 1-1.5mm in intercanine enlargement is unstable so appliances designed to increase arch width more than this were non used in the present survey. On the footing of findings of the present survey it can be said that extraction instances do non ensue in narrow dental arches than non-extraction instances and thereby do non hold compromising consequence on smiling esthetics and stableness of orthodontic intervention. However future surveies with assorted malocclusion groups, intervention mechanics, larger sample size and long term alterations in arch dimensions will be utile.DecisionsThe present survey findings indicate that the premolar extractions to alleviate crowding does non ensue in narrowing of dental arches in extraction interventions when compared to non-extraction interventions. A proper intervention program and intervention mechanics in accurately diagnosed instance can ensue in intervention success regardless of extraction or non-extraction intervention.Clinical significance:The narrow dental arches are non the expected effects of extraction intervention so, esthetically compromising consequence of narrow dental arches on smiling is non a systematic out semen of extraction intervention.