Wednesday, September 2, 2020

Financial Reporting and Analysis Essay Example | Topics and Well Written Essays - 1250 words

Monetary Reporting and Analysis - Essay Example b) The Board might be required to relinquish impartiality and build up principles of revealing that hides the specific exchanges sway from the clients of the money related reports. These costs will, notwithstanding, exist in any case whether FASB approves their acknowledgment in budget summaries. It won't change the financial matters of exchange and it will just retain data from the clients of the monetary reports while settling on educated choices and, in the long run, the believability of budgetary reports is debilitated. c) The SEC depends on the Board and the private part forerunners to build up and redesign money related bookkeeping and the announcing guidelines Accounting principles are subsequently, settled through a fair treatment and open thoughts framework to improve and affirm the Board’s crucial improving budgetary detailing. By creating unbiased bookkeeping measures to the wellbeing of people in general, comparative exchanges ought to be dealt with also and various exchanges rewarded in an unexpected way. This plainly shows standard setting is in private segment in US. d) Some bookkeeping principles are undercut with the goal that they can accomplish their motivation which isn't identified with reasonable and exact introduction of fiscal summaries. They there front come up short in the reason they serve and thus need financial impact since they are not of significance to chiefs on allotment of assets and settling on other monetary choices. a) Dividends ought to be uncovered in changes of value articulation and in the notes as follows. Profits that are announced are entered in the Retained Earnings account on the credit side and credited to the profits payable record. At the point when paid, profits are presented on the profits payable record in the charge side and to the Cash account, are presented on the credit side. Notes concerning the profits can be outlined as follows; b) The arrangement for a claim ought not be unveiled in light of the fact that the probability of

Saturday, August 22, 2020

Implications of Clonal Genome Evolution for Cancer Medicine Essay

Ramifications of Clonal Genome Evolution for Cancer Medicine - Essay Example What's more, the creators show their degree of information on the current theme in that it is truly familiar passing by the data introduced before, present and future utilization of hereditary qualities in the treatment of malignant growth. The above infers that the creators have a tremendous bank of information on the issue. This is a reality that is hard to disprove as even the terms applied in the article just slime ability in the field by even the correlations verified parts of cells as found in the examination work. Something like this must be finished by an individual with satisfactory information on the current issues, and not any individual who thinks they have sufficient data on the theme, which is the situation with this article. So as to speak to the feelings of the crowd, the creators apply various procedures that prove to be useful to content conveyance. Thusly, the writers apply realities and the educational idea of the article to speak to the crowd in that, by being fo unded on a science subject, it delivers data legitimately. Comparable to this, the article doesn't leave the crowd to look for the significant point for themselves however rather, contains each sort of data that the crowd would need to appreciate. The feeling of the article starts with the immediate articulation of the rationale or objectives of the article and graduates to the advancement of malignant growth, which is given realities about evolutionism, and afterward goes further to make conclusions of the ramifications of the history to present day times.... th a solid feeling of expert in hereditary qualities dependent on the dialect applied to convey the substance, which is a non-reluctant progression of word after word, which all show how much intrigue the creator has. All things considered, the creators express their enthusiasm for the issue following the endeavors that have been made in the field of medication so as to inch nearer to some type of treatment and comprehension of malignant growth and its suggestions. Considering this, the article shows how much the writers have experienced so as to convey the substance, which is additional verification of their personal stake in the subject of advancement and malignant growth for the crowd to focus. Likewise, the creators show their degree of information on the current subject in that it is quite familiar passing by the data introduced on the past, present and future use of hereditary qualities in the treatment of malignant growth. The above suggests that the creators have a gigantic b ank of information on the issue. This is a reality that is hard to disprove as even the terms applied in the article just slime skill in the field by even the correlations verified parts of cells as found in the exploration work. Something like this must be finished by an individual with sufficient information on the current issues, and not any individual who thinks they have satisfactory data on the theme, which is the situation with this article. So as to engage the feelings of the crowd, the creators apply various procedures that prove to be useful to content conveyance. Thusly, the writers apply realities and the enlightening idea of the article to engage the crowd in that, by being founded on a science subject, it delivers data straightforwardly. Comparable to this, the article doesn't leave the crowd to look for the significant point for themselves however,

Friday, August 21, 2020

Admiral Jesse B. Oldendorf in World War II

Chief of naval operations Jesse B. Oldendorf in World War II Jesse Oldendorf - Early Life Career: Conceived February 16, 1887, Jesse B. Oldendorf spent his youth in Riverside, CA. After accepting his essential instruction, he looked to seek after a maritime profession and prevailing with regards to acquiring an arrangement to the US Naval Academy in 1905.â An average understudy while at Annapolis, Oley as he was nicknamed, graduated four years after the fact positioned 141st in a class of 174.â As the strategy of the time required, Oldendorf initiated two years of ocean time before getting his ensigns bonus in 1911.â Early assignments included postings to the protected cruiser USS California (ACR-6) and the destroyer USS Preble.â In the years preceding the United States entrance into World War I, he additionally served on board USS Denver, USS Whipple, and later came back to California which had been renamed USS San Diego.  Jesse Oldendorf - World War I: Finishing a task on board the hydrological overview transport USS Hannibal close to the Panama Canal, Oldendorf returned north and later arranged for obligation in the North Atlantic after the American affirmation of war.â Initially directing selecting exercises in Philadelphia, he at that point was doled out to lead a maritime outfitted gatekeeper separation on board the vehicle USAT Saratoga.â That mid year, after Saratoga was harmed in an impact off New York, Oldendorf moved to the vehicle USS Abraham Lincoln where he filled in as gunnery officer.â He stayed on board until May 31, 1918 when the boat was hit by three torpedoes shot by U-90.â Sinking off the Irish coast, those on board were safeguarded and taken to France.â Recovering from the experience, Oldendorf was presented on USS Seattle that August as a building officer.â He proceeded in this job until March 1919. Jesse Oldendorf - Interwar Years: Quickly filling in as official of USS Patricia that mid year, Oldendorf then came shorewards and traveled through enlisting and building assignments in Pittsburgh and Baltimore respectively.â Returning to the ocean in 1920, he did a short stretch on board USS Niagara before moving to the light cruiser USS Birmingham.â While on board, he filled in as banner secretary to a progression of bosses of the Special Service Squadron.â In 1922, Oldendorf moved to California to fill in as associate to Rear Admiral Josiah McKean, the commandant at Mare Island Navy Yard.â Completing this obligation in 1925, he expected order of the destroyer USS Decatur.â Aboard for a long time, Oldendorf then burned through 1927-1928 as an assistant to the commandant of the Philadelphia Navy Yard. Having achieved the position of authority, Oldendorf got an arrangement to the Naval War College in Newport, RI in 1928.â Completing the course a year later, he quickly started investigations at the US Army War College.â Graduating in 1930, Oldendorf joined USS New York (BB-34) to fill in as the war vessels navigator.â Aboard for a long time, he at that point came back to Annapolis for a task instructing navigation.â In 1935, Oldendorf moved toward the West Coast to fill in as official of the ship USS West Virginia (BB-48).â Continuing an example of two-year postings, he moved to the Bureau of Navigation in 1937 to administer enrolling obligations before expecting order of the substantial cruiser USS Houston in 1939. Jesse Oldendorf - World War II: Presented on the Naval War College as a route educator in September 1941, Oldendorf was in this task when the United States entered World War II after the Japanese assault on Pearl Harbor.â Leaving Newport in February 1942, he got an advancement to raise chief of naval operations the next month and a task to lead the Aruba-Curaã §ao part of the Caribbean Sea Frontier.â Helping to secure Allied business, Oldendorf moved to Trinidad in August where he played a functioning job in hostile to submarine warfare.â Continuing to take on the Conflict of the Atlantic, he moved north in May 1943 to lead Task Force 24.â Based at Naval Station Argentia in Newfoundland, Oldendorf directed all guard accompanies in the Western Atlantic.â Remaining in this post until December, he at that point got orders for the Pacific. Lifting his banner on board the substantial cruiser USS Louisville, Oldendorf expected order of Cruiser Division 4.â Tasked with giving maritime gunfire backing to Admiral Chester Nimitzs island-jumping effort over the Central Pacific, his boats went without hesitation in late January as Allied powers arrived at Kwajalein.â After helping in the catch of Eniwetok in February, Oldendorfs cruisers struck focuses in the Palaus before leading assault missions to help troops shorewards during the Marianas Campaign that summer.â Transferring his banner to the war vessel USS Pennsylvania (BB-38), he coordinated the pre-intrusion barrage of Peleliu that September.â throughout activities, Oldendorf pursued contention when he finished the assault a day ahead of schedule and excluded shelling an undeniable Japanese solid point.  Jesse Oldendorf - Surigao Strait: The next month, Oldendorf drove the Bombardment and Fire Support Group, some portion of Vice Admiral Thomas C. Kinkaids Central Philippine Attack Force, against Leyte in the Philippines. Arriving at its fire bolster station on October 18 and his war vessels started covering General Douglas MacArthurs troops as they went aground two days after the fact. With the Battle of Leyte Gulf in progress, Oldendorfs ships moved south on October 24 and obstructed the mouth of the Surigao Strait.â Arraying his boats in a line over the waterway, he was assaulted that night by Vice Admiral Shoji Nishimuras Southern Force.â Having crossed the enemys T, Oldendorfs ships, a significant number of which were Pearl Harbor veterans, incurred an unequivocal annihilation on the Japanese and sunk the ships Yamashiro and Fuso.â In acknowledgment of the triumph and the keeping the adversary from arriving at the Leyte foothold, Oldendorf got the Navy Cross. Jesse Oldendorf - Final Campaigns: Elevated to bad habit chief naval officer on December 1, Oldendorf expected order of Battleship Squadron 1.â In this new job he told the fire bolster powers during the arrivals at Lingayen Gulf, Luzon in January 1945.â Two months after the fact, Oldendorf was put down and out with a messed up neckline bone after his canal boat hit a float at Ulithi.â Temporarily supplanted by Rear Admiral Morton Deyo, he came back to his post in early May.â Operating off Okinawa, Oldendorf was again harmed on August 12 when Pennsylvania was hit by a Japanese torpedo.â Remaining in order, he moved his banner to USS Tennessee (BB-43).â With the Japanese acquiescence on September 2, Oldendorf made a trip to Japan where he coordinated the control of Wakayama.â Returning to the United States in November, he accepted order of the eleventh Naval District in San Diego. Oldendorf stayed in San Diego until 1947 when he moved to the post of Commander, Western Sea Frontier.â Based in San Francisco, he held this situation until his retirement in September 1948.â Promoted to chief of naval operations as he left the administration, Oldendorf later passed on April 27, 1974.â His remaining parts were buried at Arlington National Cemetery.â  â   â Chosen Sources World War II Database: Jesse OldendorfU-pontoon: Jesse OldendorfFind A Grave: Jesse Oldendorf

Friday, May 29, 2020

Financial Reporting and Capital Markets - Free Essay Example

Financial Reporting and Capital Markets: Explain the accounting for ATTs acquisition of NCR and Coca-Colas channel stuffing. Discuss and compare the motivations of those who made the accounting choice, explaining what consequences the academic literature would predict to follow from the choice. Creative accounting is a means by which companies manipulate standard accounting practices, in an attempt to influence the way certain parties interpret financial performance. A multitude of devices exist within creative accounting, two examples of which will be discussed in this essay: firstly, the pooling method of accounting used in ATTs 1991 acquisition of NCR; and secondly, Coca-Colas 1997-99 channel stuffing. The motivations of such accounting choices will be discussed and compared, explaining the relevant consequences academic literature would expect to follow. Discussion relies on the assumption, held and tested by many academics[1], that market efficiency is of the semi-strong form. ATT monopolised the long-distance telephone industry for almost a century, until the Department of Justice filed an antitrust action in 1974. A consent decree was signed in 1982 à ¢Ã¢â€š ¬Ã¢â‚¬Å" a widely criticised decision à ¢Ã¢â€š ¬Ã¢â‚¬Å" stating ATT must divest 75% of their assets (Ly s, 1995), yet could enter the unregulated computer-orientated industry. 1988-appointed CEO in 1988,, Robert Allenà ¢Ã¢â€š ¬Ã¢â€ž ¢s analysis suggested ATTà ¢Ã¢â€š ¬Ã¢â€ž ¢s continuing computer losses could be solved significant investment or divestment. Moving forward with the former option à ¢Ã¢â€š ¬Ã¢â‚¬Å" arguably to à ¢Ã¢â€š ¬Ã…“save faceà ¢Ã¢â€š ¬Ã‚  after signing the decree à ¢Ã¢â€š ¬Ã¢â‚¬Å" presented NCR as a potential acquisition. ATT was determined to acquire NCR, debatably in an attempt to reposition itself as a market competitor, despite weak history regarding computer mergers, NCRà ¢Ã¢â€š ¬Ã¢â€ž ¢s financial setbacks and the general consensus of NCRà ¢Ã¢â€š ¬Ã¢â€ž ¢s à ¢Ã¢â€š ¬Ã…“lemonà ¢Ã¢â€š ¬Ã‚ -like status. Acquisitions can either use the pooling-of-interests or purchase method of accounting à ¢Ã¢â€š ¬Ã¢â‚¬Å" neither of which impact future cash flow. The former sees assets acquired at book value, and the latter requires acquisition at fair market value, with the inclusion of amortisable goodwill. Several barriers existed to prevent the Securities and Exchange Commission (SEC) from granting permission to pool (Lys, 1995) some of which were purposefully introduced by NCR as a defence mechanism. Significant costs were incurred to sidestep the barriers; including reportedly lobbying the SEC. ATT arranged 6.3 million NCR shares (at $102.75) to be placed with Californian money manager, Capital Group Inc., which were exchanged for 6.3 million ATT shares (at $110.74). This cost ATT $50.3 million à ¢Ã¢â€š ¬Ã¢â‚¬Å" profit recognised by Capital Group à ¢Ã¢â€š ¬Ã¢â‚¬Å" with an additional $10 per share offered for NCRà ¢Ã¢â€š ¬Ã¢â€ž ¢s managerial cooperation. ATTà ¢Ã¢â€š ¬Ã¢â€ž ¢s motives to pool rather than purchase à ¢Ã¢â€š ¬Ã¢â‚¬Å" costing them a confirmed $50 million premium, with the willingness to pay an additional $450 million à ¢Ã¢â€š ¬Ã¢â‚¬Å" were related to the belief that earnings per share (EPS) would increase. The b elieved increase related to ATTà ¢Ã¢â€š ¬Ã¢â€ž ¢s perception of the market efficiency, who predicted that, with the purchase method, shareholders and financial analysts would incorrectly interpret decreasing earnings due to goodwill amortisation as decreasing cash flow, resulting in a 20% share price decrease (with 100% stock, pooling EPS = $2.42, purchase EPS = $1.97). ATT investors, during the six-month negotiation period, had adverse reactions to all news that increased likelihood of acquisition. Indeed, throughout the 9-month, $7.5 billion acquisition, ATT shareholdersà ¢Ã¢â€š ¬Ã¢â€ž ¢ wealth decreased $6.5 billion (NCRà ¢Ã¢â€š ¬Ã¢â€ž ¢s increased $3.5 billion). ATTà ¢Ã¢â€š ¬Ã¢â€ž ¢s assumption relating to market inefficiency was that analysts and investors would not recognise the difference between the purchase and pooling effects on earnings. However, research into the correlation between purchase accounting and stock prices reveals no market inefficiencies (Hong 197 8). The lack of evidence supporting this assumption perhaps suggests that NCR supplied inside information to ATT. The disregard to the marketà ¢Ã¢â€š ¬Ã¢â€ž ¢s negative response to the deal is illustrative of ATTà ¢Ã¢â€š ¬Ã¢â€ž ¢s belief of market inefficiency with regard to acquisitions. Lys suggests that psychological motives exist, such as the pressure on a decision-maker to à ¢Ã¢â€š ¬Ã…“become boundà ¢Ã¢â€š ¬Ã‚  to decisions that are taken freely, not easily reversed and have personal ramifications. Such theory coheres with the earlier notion of ATT trying to redeem itself after the 1982 decree, within the computer industry. Coca-Cola Enterprise (CCE) à ¢Ã¢â€š ¬Ã¢â‚¬Å" the worldà ¢Ã¢â€š ¬Ã¢â€ž ¢s biggest manufacturer and distributer of non-alcoholic concentrates and syrups à ¢Ã¢â€š ¬Ã¢â‚¬Å" surpassed expected earnings from 1990-1996, with its share price increasing over twice as fast as the SP500. In 1996, Coca-Cola began to face competition in a tough economic envi ronment yet it publically maintained its growth through hidden à ¢Ã¢â€š ¬Ã…“channel stuffingà ¢Ã¢â€š ¬Ã‚ , an example of real earnings management. Demand is only truly seen internally, and as such when anticipated demand is low tangible products can be à ¢Ã¢â€š ¬Ã…“stuffedà ¢Ã¢â€š ¬Ã‚  downstream to customers à ¢Ã¢â€š ¬Ã¢â‚¬Å" known as the carryover effect (Lai, 2010) à ¢Ã¢â€š ¬Ã¢â‚¬Å" allowing higher sales revenues to be reported, with investors thereby incorrectly overvaluing the company. CCE persuaded bottlers to purchase additional concentrate, that they wouldnà ¢Ã¢â€š ¬Ã¢â€ž ¢t have required until the next period, offering incentives such as: extended payment terms (Terhune, 2004), indications of increasing price, discounted prices for extra purchase quantities (United States District Court, 2005), etc. Increasing bottler concentrate inventory levels suggested increasing sales, yet their sales rose only 11% from 1997-1999, whereas concentrate levels produced and delivered by CCE increased over 60%. The inflation of product sales à ¢Ã¢â€š ¬Ã¢â‚¬Å" increasing revenue by $600 million à ¢Ã¢â€š ¬Ã¢â‚¬Å" falsely implied a healthy future for CCE. Channel stuffing was not disclosed to shareholders, and relied on semi-strong market efficiency assuming, correctly for a period of time, that shareholders would not notice the creative accounting device. CCE released higher sales figures, in line with past growth, which created a short-term profit boost; this was not sustainable. Bringing future inventory forward created a deficit for the next period, which required another, larger channel stuff, forcing a vicious spiral of declining sales, inventory deficits and gallon pushes. Ultimately, bottlers were holding significantly more inventory than the forecasted decreasing demand required. In 1999 inventory levels were too high, thus channel stuffing ended, leading to a large decrease in revenue. Gunny (2005) refers to channel stuffing as a mana gerà ¢Ã¢â€š ¬Ã¢â€ž ¢s à ¢Ã¢â€š ¬Ã…“willing[ness] to sacrifice future cash flowsà ¢Ã¢â€š ¬Ã‚  in the short-term, with research showing that operating performance will be reduced in the long-term. CCE violated Sections 17(a)(2)/17(a)(3) of the Securities Act by not disclosing their channel stuffing to investors. Additionally, CCE produced false statements announcing a à ¢Ã¢â€š ¬Ã…“several-month long optimum inventory studyà ¢Ã¢â€š ¬Ã‚  conducted alongside retailers (SEC 2005). Additionally, CCE violated Section 13(a) of the Exchange Act, which stated that any trends known by a company that are expected to negatively impact revenue must be disclosed. In 2000, the investors who bought CCE stock, after being misled, filed a lawsuit claiming that channel stuffing led to inflated and dishonest revenues. CCE agreed to settle in order to elude unwanted litigation, yet did not admit any misconduct. They agreed to abstain from future securities violations, paying close attention to sales levels to bottlers. CCEà ¢Ã¢â€š ¬Ã¢â€ž ¢s motives for channel stuffing are arguably twofold: the decline in demand for products, explained by CCE as due to bad weather and unexpected expenses, meant that financial analystsà ¢Ã¢â€š ¬Ã¢â€ž ¢ sales forecasts would be missed and hence share prices would decrease (Chan, 2005). Secondly, (Chan 2005); and plaintiffs alleged that the performance-based bonuses contributed to the creative accounting. Such theory corroborates the discovery that several officers later suspiciously shorted millions of dollars of inflated CCE stock days before corrective disclosures of CCEà ¢Ã¢â€š ¬Ã¢â€ž ¢s financial position (United States District Court, 2005). Similarly, Lys discuses the possibility of incentive-based compensation in ATTà ¢Ã¢â€š ¬Ã¢â€ž ¢s pooling decisions. Details of calculations and estimates can be found in Lys (1995), though an overview explains that the $0.45 EPS decrease from the purchasing method would have reduced Al lenà ¢Ã¢â€š ¬Ã¢â€ž ¢s bonus by $427,245 (over the ten-year goodwill amortisation period) and by $3.4 million for the officer group, compared to smaller bonus reductions of $140,445 and $811,468 respectively after pooling treatment. This resulted in a  £2,909,862 net pooling benefit, though this is relatively small compared to the wealth of the officer group. It can be reasoned that ATT either had motives not aligned to maximizing value to the shareholders or possessed inside information. The former relates to the principal-agent problem; arguably ATT had psychological and, as well as CCE, compensation scheme motives. The latter relates to the market efficiency, in particular the asymmetry of information. CCEà ¢Ã¢â€š ¬Ã¢â€ž ¢s channel stuffing was based on the premise that they knew something the market and distributors did not about the demand trends. Similarly, NCR appeared to the market as a lemon, with all events associated with acquisition reducing ATTà ¢Ã¢â€š ¬Ã¢â€ ž ¢s stock price. Their persistence regarding the deal suggested they saw value that the market did not. Contrary to this, Lys (1995) described the deal as value destruction, and 6 years after the hostile takeover NCR re-established itself as a separate company after a à ¢Ã¢â€š ¬Ã…“disastrous relationshipà ¢Ã¢â€š ¬Ã‚  with ATT (Andrews, 1996), confirming the marketà ¢Ã¢â€š ¬Ã¢â€ž ¢s lemon opinion. Considering the motives to pool and not purchase, one must ask if ATTà ¢Ã¢â€š ¬Ã¢â€ž ¢s managementà ¢Ã¢â€š ¬Ã¢â€ž ¢s belief that EPS would decrease with purchase was justification for a $50 million premium. Hongà ¢Ã¢â€š ¬Ã¢â€ž ¢s (1978) research into the correlation between purchase accounting and stock prices questions ATTà ¢Ã¢â€š ¬Ã¢â€ž ¢s pooling rationale, revealing no inefficiencies, rendering the premium to pool shares redundant. Yet, Ayers (2002) indicates that CFOs commonly fear purchase accounting negatively affects stock values justifying the large premium, researchi ng that on average a firm will pay over $60 million for pooling treatment. Hopkinsà ¢Ã¢â€š ¬Ã¢â€ž ¢ (2000) research, contradicting Hongà ¢Ã¢â€š ¬Ã¢â€ž ¢s, within experimental settings shows that analysts frequently do not appropriately take into account purchase or pooling methods when adjusting stock prices. Additionally, it could be argued ATTà ¢Ã¢â€š ¬Ã¢â€ž ¢s concerns over investor misinterpretation could have been reduced with voluntary disclosures, reducing the information gap between managers and investors (Healy, 2001). A decline in demand and failure to meet analyst forecasts and expectations would indefinitely result in a decreasing stock price. CCE, rightly, believed the market would not recognize the downward trend due to their lack of access to the soft drink industryà ¢Ã¢â€š ¬Ã¢â€ž ¢s data. Additionally, their understanding of market efficiency led them to assume investors would not immediately recognize their channel stuffing activities. Though financial rep orting and disclosure are crucial for outside investors to understand performance, it can be argued that the device used by ATT was transparent à ¢Ã¢â€š ¬Ã¢â‚¬Å" an informed investor could have inferred motives from publically available information à ¢Ã¢â€š ¬Ã¢â‚¬Å" and by CCE was opaque. Keller (1991a) references that Donaldson, Lufkin Jenrette analyst Gross recognized and agreed with ATTà ¢Ã¢â€š ¬Ã¢â€ž ¢s insistence on pooling treatment, foreseeing the negative share price implications if SEC denied the pooling request. Though in CCEà ¢Ã¢â€š ¬Ã¢â€ž ¢s case it was not recognized, Lai (2010) notes certain activity à ¢Ã¢â€š ¬Ã¢â‚¬Å" for example large increases in accounts receivable or excess inventory at customersà ¢Ã¢â€š ¬Ã¢â€ž ¢ (Hendricks 2008) à ¢Ã¢â€š ¬Ã¢â‚¬Å" can hint at, though not identify, channel stuffing. Ulterior motives to use the aforementioned accounting devices, such as psychological or bonus schemes could not be deciphered without inside information. Thou gh ATT did not use an illegal device, and CCE admitted no wrongdoing, both performed questionable accounting practices. Thus, decreasing shareholder trust would be a certain consequence, especially for CCE. Indeed, Akerlof (1970) stated à ¢Ã¢â€š ¬Ã…“dishonest dealings tend to drive honest dealings out of the marketà ¢Ã¢â€š ¬Ã‚ , suggesting future and potential investors would distrust ATT, who acted despite the marketà ¢Ã¢â€š ¬Ã¢â€ž ¢s concerns, and CCE, who used information asymmetry to mislead the market. The SEC proved that channel stuffing occurred and CCE put certain bodies and practices in place to ensure openness with regard to financial, ethical and compliance matters. This would not repair the broken trust between the two companies and the market and thus stock prices, in the long-term, would be predicted to decrease due to the dishonesty. CCE knowingly misled investors into believing their sales were continuously growing, in order to meet and exceed forecasted ear nings, taking advantage of the asymmetric nature of the marketà ¢Ã¢â€š ¬Ã¢â€ž ¢s information. Whereas, ATT paid a $50 million premium, with the potential to increase this to $500 million, in order to protect themselves from misinterpretation due to their perceived market efficiency, which was arguably weaker than semi-strong. An alternative hypothesis is that the principal-agent theory was in play, with ATT managers acquiring the lemon-like company for reasons other than maximising shareholder value. Both ATT and CCE office members received financial benefits from the acquisition and channel stuffing respectively, although neither the significance nor the malicious attempts to secure such bonuses has been proven. Academics, in particular Hong, suggests that the semi-strong market form would not let either pooling or purchase methods of accounting affect ATTà ¢Ã¢â€š ¬Ã¢â€ž ¢s stock price, contradictory to Grossà ¢Ã¢â€š ¬Ã¢â€ž ¢s and Hopkinsà ¢Ã¢â€š ¬Ã¢â€ž ¢s analyses. Lai and Hendrick both suggest that certain activities can indicate channel stuffing and though the CCE device was not immediately detected the incident has helped reinforce and improve regulations put in place to prevent future channel stuffing. Akerlofà ¢Ã¢â€š ¬Ã¢â€ž ¢s Lemon model implies that the two companiesà ¢Ã¢â€š ¬Ã¢â€ž ¢ dishonest behaviour would not bode well in the long-term with investors or shareholders. In conclusion, the assumption, held throughout this essay, of semi-strong market efficiency is crucial when deciphering the true motives and consequences of the two cases. The motives, which are still unclear, of ATTà ¢Ã¢â€š ¬Ã¢â€ž ¢s pooling treatment and CCEà ¢Ã¢â€š ¬Ã¢â€ž ¢s channel stuffing stemmed from the seemingly innocent desire to increase shareholder value and avoidance of misinterpretation, to the controversy of performance-related bonuses, malicious information asymmetry and psychological pressures. ATTà ¢Ã¢â€š ¬Ã¢â€ž ¢s perception of lower than semi-strong form, and corroborating analyses from Gross and Hopkins, suggested uninformed investors would misinterpret their financial performance, despite Hongà ¢Ã¢â€š ¬Ã¢â€ž ¢s conflicting research. CCE believed the semi-strong form left room to mislead the uninformed investors into thinking financial performance was significantly greater than it actually was, leading to poor performance and distrust in the long-term. The creative accounting devices discussed would have led to decreasing stock price as a consequence of their dishonest nature. In the words of Akerlof (1970), the à ¢Ã¢â€š ¬Ã…“cost of dishonestyà ¢Ã¢â€š ¬Ã‚  ultimately à ¢Ã¢â€š ¬Ã…“[drives] legitimate business out of existenceà ¢Ã¢â€š ¬Ã‚ . Bibliography Akerlof, G 1970, The Market for Lemons: Quality Uncertainty and the Market Mechanism, The Quarterly Journal of Economics, vol 84, no. 3, pp. 488-500. Ambreen A. Delawalla, JAJJ,TRDABLA 2007, In re Coca-Cola Enterprises Inc Securities Litigation, Case: 1:06-CV- 0275-TWT, United States District Court, Georgia. Andrews, E 1996, ATT Acquisition, Soon to Be Spun Off, Regains NCR Name, The New York Times, 11 January 1996. Ayers, B 2002, Do firms purchase the pooling method?, in Review of Accounting Studies, Kluwer Academic Publishers, Netherlands. Chan, F 2005, The JIT revolution: What actually happened in the inventories of American companies between 1981 and 2000?, Forthcoming in Management Science. Fama, EF 1970, Efficient Capital Markets: A Review of Theory and Empirical Work, The Journal of Finance, Blackwell Publishing for the American Finance Association, New York. Gunny, K 2005, What are the Consequences of Real Earnings Mangement?, Haas School of Business, University of California, Berkeley. Guoming Lai, LDLN 2010, Manager Incentives for Channel Stu ±ng with Market-based Compensation , Chicago Booth School of Business , University of Chicago , Chicago. Hai Hong, RSKGM 1978, Pooling vs Purchase: the effects o f accounting for mergers on stock prices, The Accounting Review, no. 53, pp. 31-42. Hendricks, KB,VRS 2008, Demand-supply mismatch and stock market reaction: Evidence from 28 excess inventory announcements, MSOM. Hopkins, PE,RWHAMFP 2000, Valuation of the components of purchased goodwill, Journal of Accounting Research. Lys, T 1995, An analysis of value destruction in ATTs acquisition of NCR, Graduate School of Business, J.L. Kellogg Graduate School of Manchester, Northwestern University, University of Chicago, Chicago. Merton, RC 1987, A simple model of capital market equilibrium with incomplete information., The Journal of Finance , pp. 42, 483à ¢Ã¢â€š ¬Ã¢â‚¬Å"510. Paul M Healy, KGP 2001, Information asymmetry, corporate disclosure, and the capital markets: A review of the empirical disclosure literature, Graduate School of Business, Harvard University, Journal of Accounting and Economics, Boston. Perler, HMSJ 2010, Financial Shenanigans, 3rd Edition, McGraw Hil l, New York. SEC 2005, US Securities and Exchange Commission, viewed 20 February 2014, https://www.sec.gov/news/press/2005-58.htm., April 18, 2005. Terhune, C 2004, Probe of Cokes Sales Leads to Japan, The Wall Street Journal. Tobin, J, On the Efficiency of the Financial System, Lloyds Bank Review, 153: 1-15. United States District Court 2005, Civil Action, file note 1:06-CV-0275. Vishny, ASARW 2011, Stock Market Driven Acquisitions , Harvard University, Boston. 1 Financial Reporting and Capital Markets, Essay 1, 7167N [1] Notably, (Vishny, 2011),) (Tobin, n.d.) (Fama, 1970)

Saturday, May 16, 2020

Feminism and Masculinity Essay - 836 Words

In contemporary society, hegemonic masculinity is defined by physical strength and boldness, heterosexuality, economic independence, authority over women and other men, and an interest in sexual relationships. While most men do not embody all of these qualities, society supports hegemonic masculinity within all its institutions, including the educational institute, the religious institute and other institutes which form the ideological state apparatus. Standards of masculinity vary from time to time, from culture to culture. However, masculinity always defines itself as superior and different from femininity. For example, gay men and househusbands exemplify subordinate masculinities in our culture. They are not considered to be real†¦show more content†¦Many other critics however believe that it is womens lives that have changed more so than mens. As Judith Stacey states in her book, Theory and Society (1993), journalists and academics share recognition of a problem, a problem that is named not femininity in crisis but as a crisis in masculinity (Stacey, 1993: 719). So although more changes are going on in womens lives, men are more affected and the notion of masculinity is therefore resulting in a crisis. According to Anthony Clare the heart of the masculinity crisis lies within the understanding of the private and public sphere, the intimate and the impersonal, the emotional and the irrational (Clare, 2000:212). Both men and women are both confined to their spaces and the line between the two has somewhat been blurred, thus resulting in a crisis. The way in which this line is blurred is by masculinity becoming more feminized. There have been two major shifts in masculinity over the last twenty years. Firstly there is the structural change which mainly takes place in the workforce. And the second shift is the ideological change which pushes for real equality between men and women. The structural changes which have taken place in the workforce have been very significant. The workplace has become more feminized, but despite this, men are still at a more authoritative position. During the 1950s to the 1960s paid employment was seen to be very masculine and women wereShow MoreRelated Feminism and Masculinity Essay820 Words   |  4 Pagescontemporary society, hegemonic masculinity is defined by physical strength and boldness, heterosexuality, economic independence, authority over women and other men, and an interest in sexual relationships. While most men do not embody all of these qualities, society supports hegemonic masculinity within all its institutions, including the educational institute, the religious institute and other institutes which form the ideological state apparatus. Standards of masculinity vary from time to time, fromRead MoreFeminism : The Patriarchy And Masculinity1273 Words   |  6 PagesPatricia Smith, have redefined patriarchy to be inclusive of gender identity (masculinity and femininity), yet the original implication of patriarchy relied on gender roles and a fixed gender binary. These theorists have argued that the patriarchy harms both men and women, as feminine men are ostracized for not fulfilling the role of an alpha male—a male who tends to be hyper-masculine. This belief that femininity and masculinity must align to the biological sex of an individual has been acknowledged byRead MoreEssay on Gender: Feminism and Masculinity1341 Words   |  6 Pages In a recent meta-analysis by Kite and Whitley in 1996, it was confirmed that men hold more negative attitudes toward homosexuality than do women. They also determined that mens attitudes toward homosexuality are particularly negative when the person being rated is a gay man rather than a lesbian. Their review of the literature also highlighted the complex nature of attitudes toward homosexuality noted by others. In order to understand the constructive attitudes of homosexuality, there are severalRead MoreRace, Class And Gender : Masculinity, Feminism, And Intersectionality887 Words   |  4 Pagesand gender through the viewpoints of three themes: Masculinity, Feminism, and Intersectionality. The topic of masculinity is one that every single man faces at some point in his life. The level of masculinity is dependent on how that individual was born and raised. At times, their level of masculinity is questioned and is forced to live with the positive and negatives of having too much or too low masculinity. Those that are high in masculinity are typically categorized as jocks and higher testosteroneRead MoreGender Roles And Issues Regarding Feminisms And Masculinity939 Words   |  4 Pagesvery crucial element in the American popular culture. What comes in mind when we talk about gender in the American popular culture so many questions go through the mind. The questions will go back to the gender roles and issues concerning feminisms and masculinity. One may question any advantage of being a male to a female because this is where stereotypes are arising especially in the American popular culture. Many scholars have written on gender and culture; most of the highlighted di scussions areRead MoreWomen s Role For Women1343 Words   |  6 Pagesassociated with men is called masculinity. Men have always felt superior to women while women are referred to as the weaker sex. Boys are raised up knowing that they are the stronger gender and that there are some tasks, which they can perform well than their female counterparts. The debate about equality for both genders has dominated the media over the years, from the times of feminism (the 1980s) to post feminism (Hokowhitu). In politics, the belief about masculinity is still a major issue thatRead MoreSocial Construction And Its Impact On Society Essay1578 Words   |  7 Pagesa society. In other words, this is when the value and meanings are tied to concepts such as feminity, masculinity, race, class and gender. Hence, this same values and meanings of such concepts change and impact the society we live in. Furthermore, the idea of a social construct is significant in many various ways. For example, social construct helps us understand about feminity and masculinity on a social platform to which society predict and attaches certain characteristics to both females andRead MoreFeminism And Its Effects On Women924 Words   |  4 PagesThe authors’ positions in feminism also changes how they suggest a man can and should use his male privilege, which affects the conversations and how feminism moves forward. As alluded to earlier, profeminist men understand and sympathize with women’s movement s and agree with their vision. Because they support feminism, Kimmel and Buchbinder educate and mobilize men to support feminism. They do this by addressing men and men’s movements while simultaneously pointing out the flaws and issues withinRead MoreEvasive Masculinity On Men s Lifestyle Magazines936 Words   |  4 PagesMen s lifestyle magazines are now argued to be an important locus and breeding ground for what has recently been dubbed new lad masculinity (Benwell, 2004, pp3). The second article this essay is going to explore is that by Benwell (2004) titled, Evasive masculinity in men s lifestyle magazines. By definition, new lad masculinity describes the rejection of the previously recognised new man ; a feminist concept which emerged in the nineteen eighties (Nixon, 2001). By this, BenwellRead MoreBeing A Man Is The Journey We All Take When Growing Up1393 Words   |  6 Pagesâ€Å"In the last ten years, a surprisingly large number of publications have focused on feminism and its historic evolution.† Feminism has been around since forever and there have been many changes in society due to the courage and protest of feminist all around the entire world. The history of feminist is very interesting and astonishing due to their dedication. Paragraph 1- In paragraph 12, Greer says, â€Å"Masculinity is a system. It is the complex of learned behaviors and subtly coded interactions that

Wednesday, May 6, 2020

The Case Of Estelle V. Gamble Essay - 1340 Words

There are many healthcare disparities through out a variety of populations in the United States. People face difficulties and disparities getting quality health care for many different reasons such as race, gender, sexual orientation, cultural beliefs and various other reasons. One population that has numerous health care issues and disparities is the incarcerated population. This population stood out to me because there is a mixture of all kinds of people (races, genders, age, etc.) living in close and often overcrowded spaces. This is a complex problem because not only is there a lot of diversity but also jails were not meant to accommodate everybody’s medical specific issues. If someone were to commit a minor crime and has an untreated health issue while in jail it could be very serious or even become a death sentence. Currently there are over 2.3 million people in American prisons and jails at any given point, but 11 million people a year will cycle through the system (Wagner, 2016). In the case of Estelle v. Gamble dating back to 1976, it was established that under the eight and fourteenth amendments a prisoner had rights to medical care. (Oyez, 2016) The term health disparity describes the differences in treatment and services of illness, disability, injury or mortality by a certain population (Artiga, 2016). Mental health, addiction, sexually transmitted diseases, communicable diseases and chronic conditions are all significant disparities that affect theShow MoreRelatedThe Ethics Of Human Being As Such And The Social Benefits Of Caring For The Health Care945 Words   |  4 Pagescourts held on inmates’ rights, this was the case. Prisoners did not have rights and considered, by some, slaves of the state. In 1871, the case of Ruffin v. Commonwealth illustrates this was the position taken by early courts and states that inmates have, â€Å"as a consequence of his crime, not only forfeited his liberty, but all his personal rights except those which the law in its humanity accords to him. He is for the time being the slave of the state (Ruffin v. Commonwealth, 1871).However today, theRead MoreAmnesty International : Violation Of Human Rights1175 Words   |  5 Pageseven die because of a lack of healthcare is cruel and inhumane. This behavior is not only contradictory to the ICCPR but also to the US constitution, as mentioned in a landmark case, Estelle v Gamble. Estelle v Gamble has a similar principle as the current situation with the immigrants, where a claimant brought a case all the way to the US Supreme Court since he claimed that the state failed to provide medical treatment while the claimant was imprisoned. During Estelle’s imprisonment, he claimedRead MoreThe United States Civil Rights3535 Words   |  15 Pagesthe name of Estelle Gamble. On November 8, 1973 a man by the name of J.W Gamble was an inmate of a prison in Texas, which who was performing a prison assignment and was severely injured while on the job. On February 11, 1974 the inmate decided to make a complaint about the treatment that he received prior to getting injured while performing a task. After taking this complaint to the board by submitting a Pro se, which is for one’s own behalf: in person appearing for oneself as in the case of one whoRead More DeShaney v. Winnebago County Department of Social Services (No. 87-154)1659 Words   |  7 Pages DeShaney v. Winnebago County was a landmark Supreme Court Case which was ruled on in February, 1989. The case revolved around Joshua DeShaney, a child who who was reportedly abused by his father, Randy DeShaney. In 1980, Joshuas parents divorced and his father won full custody. In 1983, Joshua was hospitalized for suspected abuse by his father. Winnebago County Department of Social Services got involved and four year old Joshua DeShaney was kept in the hospitals custody for three days.Read MoreThe Incarceration Of Prison Policy1418 Words   |  6 Pagessaliency of the of overcrowding does expand when we reach out to the sentencing on drugs, but drugs is the major aspect that makes it salient to the public. Before the 1960, we had the courts generally refusing cases involving prisoner’s conditions. Then a few years later, in 1963 the case Jones v. Cunningham, brought about writ of Habeas corpus for prisoners, which allowed them to fight the conditions of their imprisonment. At first it was very simple issues, such as the types of punishments that theRead MorePrison Overcrowding And California s Correctional System1651 Words   |  7 Pagesservices. These problems are not new to the correctional system for there was a cases that influence the movement for realignment, such as Plata Coleman v. Schwarzenegger, Madrid v. Gomez, Estelle v. Gamble, and Brown v. Plata. Overall, these cases had an issues with overcrowding and the violation of the eighth amendment for cruel and unusual punishment for having inadequate mental and health care assistance. Plata Coleman v. Schwarzenegger (2009) To deter crime in California, law makers create stricterRead MoreChief Mckinley And Field Training Officers922 Words   |  4 Pagesmost excessive force lawsuits, the officer is required to use higher levels of physical control measures and nonlethal force equipment (Ross 396). A prime example of use of force liability would be Estelle v. Gamble. In this particular case, officers and the city were held liable for beating Estelle and not attending to his medical needs (Ross 396). The city was found liable for insufficient use of force training--failure to train (Ross 396). It is imperative that all personnel have knowledgeRead MoreIs Gamble A Prison Inmate Injured? Essay2115 Words   |  9 Pagesunable to work yet denied any medical treatment? This happens to be the story of G.W. Gamble, a prison inmate injured while serving his prison sentence. In 1973 Gamble was unloading cotton bales from a truck in accordance with his prison labor assignment. During a routine shipment unloading, a â€Å"6.00 pound† cotton Bale (later determined to be 600 pounds, fell onto him, causing him to severely injured his back. Gamble struggled with pain for weeks continuously, visiting the doctor at every chance andRead MorePrisoner Rights1245 Words   |  5 Pageslitigation. Rights for prisoners can be a great benefit to the individual inmate should they choose to take advantage of them. While in the past, the system may have worked against inmates wanting to have their issues heard and a fair review of their case, the present era offers various courses of legal action for inmates to take. Prisoners are now able to speak out against cruel and unusual punishment. They can file lawsuits against prison guards for misconduct, as well as against other inmates, andRead More Investigative Psychology Essay1378 Words   |  6 Pagesparticipate in this particular subspecialty. An investigative psychologist maybe asked to perform a psychological autopsy, forensic hypnosis, or produce a geographical mapping. Psychological autopsies are generally performed in suspected suicide cases where the insurance company or family member questions the cause of death. Forensic hypnosis is an interview or interrogation method used by trained and credentialed professiona ls. Lastly, geographic mapping is a method of research â€Å"concerned with

Tuesday, May 5, 2020

Violence and Media

Question: Describe and evaluate research into the effects of watching media violence on children. Answer: Introduction: The term violence is not new to the society or the human race, it always has been an increasing and fast enhancing problem which has been a big hurdle in the path of growth for the human beings living in the modern society. With increasing access to the explosives and the firearms, the efficiency and the scope with regard to the violent behavior certainly have brought out many of the harsh as well as unexpected results and consequences (Krcmar and Kean, 2005). Since, year 1960s, it is researched and evident that the exposure of the violence in the movies, television, cell phones, video games, and which has been shown at the internet sites enhances the risk of some acute violent behaviour, which in actual is filled with violence enhances the risk of all of them to behave violently (Scharrer, 2006). Refer the present review of the research evidence in concern it is critically assessed, plus the theory which involves the psychology explains the reason as to why the exposure to the world ly violence has detrimental the serious and true effects for and on both of the longer as well as the short runs is elaborated. Thus, the basic size refers the media violence effect is carefully and is compared with the other kinds of famous and well-known dangers and threats to the present society (Scharrer, 2006). Major Effect of viewing violence in media: Effects on the behaviour : Many of the early research on the effects of viewing of the violence refer the telecast on the on television which especially is concerned and is among the children has found a comprehensive and very desensitizing effect plus the potential for the cause and result of the aggression. During the year 1982, (Savage, 2004) the National Institute of the ill and the Mental Health certification, found these major outcomes and vital effects of notifying the seeing the violence on TV: The Kids may as compared to others become much less sensitive refer the sufferings and the pain of other people. The kids may also be much more fearful refer the world which exists around them. The kids may be much more expected and likely to come out with a behaviour in the aggressive or the harmful manner toward all others people (O'Keeffe and Clarke-Pearson, 2011). The significant researches, it has been found that the kids who continuously come in front of acts of violence practically are used to watch such kinds of activities for long hours on TV tend to get attracted to such negative facts much more easily in comparison to the other kids of the society. They also tend to show much more expected acts of such kind when they turn to be adults. Such kinds of nature which they develop in themselves turn them to become a danger to the society and to their own families as well (Krcmar and Kean, 2005).They become use to the criminal acts and also their minds gets destructed and they least care about the results of suck kinds of acts. The fact is also very interesting that, being very aggressive in the childhood do not in actual sense predict the watching of more of the violent TV as an adult, which also suggests that the Television watching can also be one of the main cause rather than being considered a consequence of the matters of the aggressive behavior. Thus, the significant researchers by some of the most famous psychologists such as the Brad Bushman and the Douglas Gentile has given their views that the exposure of such kinds of kids to the media violence is merely one among all of the several factors which may also contribute to the matters which results for the behaviors which are aggressive (Savage, 2004). While some have the view that such a kind of the exposure to the violence which is shown at the TV can desensitize the human beings to violence in the actual world and also some of the people who continuously watch the violence tends to start enjoying it after a stage plus no kind of humanity is left in their hearts as a result of so. The Impact of Media Violence on Children and Adolescents: Available research literature has been very compelling that the exposure of the kids to such a kind of media violence certainly plays a vital role in the etiology of the violent nature and behavior. At times, this has been a real task so as to determine that children who have been since long witnessing, watching or experiencing media concerning violence are undoubtedly at the much greatest state of risk (O'Keeffe and Clarke-Pearson, 2011). In such conditions, there appears to be a comparatively much stronger bonding or the correlation between the TV violence and also the aggressive behavior and that too within the vulnerable "at risk" stage of the adultery. Some of the learned researchers have clearly demonstrated that the kids get attracted to wrong doing which they watch on TV very soon as they get attracted and also tend to perform such similar acts in their actual lives as well. Before the adolescent age of just 4, the kids are very much innocent and are not capable to make a difference between the good and the bad, in such an age they may watch such violent activities and may also not get attracted to it or may also not try to opt them in their lively hoods but after they cross the age of 4, they ae well able to distinguish between everything, and thus prompt care is required to be given at this stage (Savage, 2004). Most of the Heroes are shown as violent, and also they are rewarded for the violent nature at the end of the commercials and the movies, but in reality, such things also divert the minds of the kids to do some things which are required to be done only by experts and or under the expertise presence. Weapons carrying, cl imbing the straight walls, killing the enemies with weapons excites the kids and they also try to do such activities which may at some stages bring about any kind of bodily harm to themselves or the others (Zhang, Xiong and Tian, 2013). Kids often lose their innocence after they see all these kinds of explosive stuff, as the scenes thrill them and excites them to be also of such a kind. Conclusion: Thus the influence of media refers the psychosocial improvement or the development of the kids is a profound (Scharrer, 2006). So, it is vital for the physicians to carefully discuss with their seniors or parents, for the kids exposure to local media and also to give proper guidance on the appropriate viewing of the media. The (AAP) which stands for the American Academy of Pediatrics states and suggests that the physicians discuss openly with the parents of the concerned kids all about the extent and the nature of the viewing of programmes by the kids on the TV sets at their homes (Savage, 2004). Guardians are strictly required to definitely limit the viewing of the TV of the kids to a just maximum of 1-2 hours each day and the programmes which are seen are also required to be monitored carefully so that no wrong thought makes a home in their minds at all. Overall growth of the kids is very much dependent upon the fact which they see on the media channels and thus this is a serious matter and requires concern of the parents, teachers and other guardians of the kids. References Gentile, D., Saleem, M. and Anderson, C. (2007). Public Policy and the Effects of Media Violence on Children.Social Issues and Policy Review, 1(1), pp.15-61. Scharrer, E. (2006). "I Noticed More Violence:" The Effects of a Media Literacy Program on Critical Attitudes Toward Media Violence.Journal of Mass Media Ethics, 21(1), pp.69-86. Krcmar, M., and Kean, L. (2005). Uses and Gratifications of Media Violence: Personality Correlates of Viewing and Liking Violent Genres.Media Psychology, 7(4), pp.399-420. O'Keeffe, G., and Clarke-Pearson, K. (2011). The Impact of Social Media on Children, Adolescents, and Families.PEDIATRICS, 127(4), pp.800-804. Savage, J. (2004). Does viewing violent media really cause criminal violence? A methodological review.Aggression and Violent Behavior, 10(1), pp.99-128. Zhang, Q., Xiong, D. and Tian, J. (2013). Impact of media violence on aggressive attitude for adolescents.Health, 05(12), pp.2156-2161.

Friday, April 17, 2020

Two Heads Are Better Than One Essay Example

Two Heads Are Better Than One Essay Two Heads Are Better Than One Two heads are better than one. Is working in a group better than working independently? I think so because you can get more ideas, do the work in a quicker time period and accomplish bigger goals. Firstly, if you work in a group there are more people with you which means there is a variety of thinkers. A variety of thinkers means a mixture of ideas and more success. For example, say you and your staff members have created a product and you want to advertise it in many ways. If you were just working on it alone, you probably wouldn’t get as many results as well as the same quality of work as you would in a group. Secondly, when you do group work instead of individual work, you tend to do the work much faster because the work is divided. The more and more people there are, the lesser time it takes to finish the same work. Let’s take a simple example, a project on aeroplanes. You have to answer about 6 questions on aeroplanes and make a poster board. If you are working in a group, you can divide all the work to each member of the group (answering questions, designing the board, editing, etc. and the process will go much quicker than you having to do all of it yourself. So group work is done much quicker than individual work. Lastly, when you work in a group you can accomplish bigger goals because there are more people. For example, say you have a goal to help the hungry people in the community. If you try to accomplish this goal by yourself, it would be very difficult to do. But when you make an organization, everybody can help and you will meet the needs of your goal. To sum up, it is better to work in a group than to work individually. Thus, two heads are better than one. We will write a custom essay sample on Two Heads Are Better Than One specifically for you for only $16.38 $13.9/page Order now We will write a custom essay sample on Two Heads Are Better Than One specifically for you FOR ONLY $16.38 $13.9/page Hire Writer We will write a custom essay sample on Two Heads Are Better Than One specifically for you FOR ONLY $16.38 $13.9/page Hire Writer

Friday, March 13, 2020

Daniel Harold Rolling, the Gainesville Ripper

Daniel Harold Rolling, the Gainesville Ripper Daniel Harold Rolling, also known as the Gainesville Ripper, murdered five University of Florida students in the summer of 1990. The killings terrified residents of the otherwise sleepy Southern college town and became front-page news for days on end.  After being apprehended, Rolling would be linked to three more deaths in Louisiana and would remain a figure of media curiosity until he was executed in 2006. Early Life Rolling was born on May 26, 1954, in Shreveport, La., to James and Claudia Rolling. It was an unhappy home life, Rolling would later say. His father, a Shreveport police officer, abused him from an early age, both verbally and physically. As a teen, Rolling was a poor student and worked only sporadically. He was also arrested several times for burglary. Apart from these details, little is known of Rollings early life before the murders. One incident, however, stands out. During a heated argument with his father in May of 1990, Rolling brandished a gun and shot the older man. Rolling fled. His father lost an eye and an ear but survived. Death in Gainesville The first murder took place on Aug. 24, 1990. Rolling broke into the apartment of college students Sonja Larson, 18, and  Christina Powell, 17. Both girls were asleep. He attacked Sonja first, who was asleep in her upstairs bedroom. First, he stabbed her chest, then taped her mouth, then as she struggled for her life, he stabbed her to death. He then went back downstairs and taped Christinas mouth and bound her wrists behind her back. He then cut off her clothing, raped her and stabbed her multiple times in the back, causing her death. Deciding that he wanted to leave some kind signature, he then mutilated the bodies and posed them in sexually suggestive positions and left. The next night Rolling broke into the apartment of Christa Hoyt, 18, but she was not at home. He decided to wait for her and made himself at home. When she arrived mid-morning, he crept up behind her, startling her, then attacked her, placing her in a choke-hold. After that, he taped her mouth, bound her wrists and forced her into her bedroom, where he removed her clothing, raped her, then stabbed her in the back multiple times causing her death. Then, as a way to make the scene more horrific, he sliced open her body, cut off her head and removed her nipples. When authorities arrived, they found Christas head on a bookshelf, her torso bent at the waist, on the bed and the nipples placed next to the torso. On Aug. 27, Rolling broke into the apartment of Tracy Paules and Manny Taboada, both 23. Powerfully built, Taboada was asleep in his bedroom when Rolling attacked and killed him. Hearing a struggle, Paules hurried to her roommates room. Seeing Rolling, she bolted back to her room, but he pursued her. Like his other victims, Rolling bound Paules, removed her clothing, raped her, then stabbed her in the back multiple times. Sometime later, the apartment complexs maintenance man showed up for an appointment. When no one answered at Paules and Taboadas unit, he let himself in. The sight that greeted him was so horrible that he turned and left immediately, then rushed to call the police. He later described to the police that he saw Tracys bloodied body on a towel in the hallway, with a black bag placed near the body. When police arrived five minutes later, the door was found unlocked and the bag was gone. The news media was quick to cover the murders, dubbing the killer The Gainesville Ripper. It was the beginning of the semester and thousands of students left Gainseville out fear. By Sept. 7, when Rolling was arrested in nearby Ocala on an unrelated supermarket robbery charge, the Ripper was on the front page of every newspaper. Rollings whereabouts between the time of the last murders and his arrest are only partially known. During a subsequent search of a wooded Gainesville encampment where Rolling had been living, police found evidence tying him to a recent bank robbery. They also found evidence that later would be linked to the Gainesville killings.   TheWrong Suspect The investigation into murders of the five college students led to one of seven main suspects. Edward Humphrey was 18 years old and diagnosed with bipolar disorder. During the same time that the students were murdered, Humphrey was suffering from a bipolar flareup after skipping his medication which resulted in aggressive behavior and violent outbursts. Humphrey had been living in the same apartment complex as Tracy and Manny, but he was asked to leave by the apartment manager after fighting with his roommates. He also harassed people living in the apartment complex across the street. Other similar incidents of Humphreys combative nature surfaced and investigators decided to put a surveillance team on him. On Oct. 30, 1990, he had an argument with his grandmother that grew into a physical altercation with him striking her one time. This was a gift to the police. They arrested Humphrey and had his  bail set at $1 million, even though his grandmother had dropped all charges the same day and it was his first offense. At trial, Humphrey was found guilty of assault and was sentenced to 22 months in Chattahoochee State Hospital, where he would remain until Sept. 18, 1991, when he was released. There was never any evidence found that Humphrey had anything to do with the murder. The investigation was back to square one. Confession, Trial, and Execution Rolling stood trial in early 1991 for the Ocala robbery and was convicted. He was later convicted of three burglaries committed in Tampa shortly after the Gainesville killings had occurred. Facing life in prison, Rolling confessed to the string of murders, later corroborated by DNA evidence. In June of 1992, he was officially charged.   While awaiting trial, Rolling began exhibiting odd behavior that would eventually lead to a diagnosis of mental illness. Using a fellow inmate as an intermediary, Rolling told authorities that he had multiple personalities, which he blamed for the Gainesville killings. Rolling also alluded to the unsolved 1989 murders in Shreveport of William Grissom, 55, his daughter Julie, 24, and his 8-year-old grandson Sean.   On Feb. 15, 1994, just weeks before Rollings trial for the Gainesville murders was set to begin, he  told his lawyer that he wanted to plead guilty. His lawyer warned against it, but Rolling was determined, saying he did not want to sit there while the pictures of the crime scene were shown to the jury. Rolling was sentenced to death in March and executed on Oct. 25, 2006.   Sources Cochrane, Emily, and McPherson, Jordan. All is Well: Gainesville Murder Victims Remembered After 25 Years. Alligator.org. 28 August 2015.Dean, Michelle. The True Story Behind the Horrific Murder Spree That Inspired Scream. Complex.com. 20 December 2016.Goodnough, Abby. Killer of 5 Florida Students Is Executed. NYTimes.com. 26 October 2006.Schweers, Jeff. Gainesville Student Murders: 25 Years Later. Gainesville.com. 24 August 2017.

Wednesday, February 26, 2020

Psychologist Accused of Fraud on Astonishing Scale Essay

Psychologist Accused of Fraud on Astonishing Scale - Essay Example Some of the consequences of the detected fraud involve criminal charges, penalties, researchers being barred from publishing their works. For undetected fraud, there is always wrong documentation of data and information that can create a problem for other researchers and to the whole society. The acts of fraud can also lead to wrong policies being implemented. According to Nemeroff & Craighead, (2002), scientific fraud is counterfeiting information or changing and altering data in order to maintain certain results. Sometimes scientific fraud includes biased evaluation of results and changing affecting data. Under the context of scientific fraud, there is illegal ownership of information that should be attributed to other persons or individuals. Scientific fraud can be generated from personal bias in order to achieve certain targets where the calculations and observation are manipulated way far from the actual target. Scientific fraud is mainly caused by perceived pressure to continuously achieve at a high level and sometimes laziness among the scientific researchers. The fraudulent act the researcher committed is a fabrication (Vogel, 2011). The researcher manipulated the research data and process in order to suit and reflect certain end product. He might also have committed the actual drafting of research data which do not reflect the exact outcome. Some of the consequences of fraud in research include sanctions such as preventing future publication of material from the offending authors in case of journals, disciplining authors and notifying outside funding sources so that they can stop funding the authors and Pressing of criminal charges against those who commit the fraud. To the extreme cases, they can be banned from practicing their profession. If undetected, there will be wrong documentation of research data and research reports.  

Monday, February 10, 2020

Assessment, Diagnosis, and Research Assignment Example | Topics and Well Written Essays - 500 words

Assessment, Diagnosis, and Research - Assignment Example Clinically, identification and evaluation of available resources are instigated in the assessment process (Vacc & Loesch, 2000). In typical function, assessment is foremost action towards therapeutic interventions. It is primarily employed in the aim of â€Å"screening for...psychopathology, treatment planning, and monitoring of (psychological) progress† (Krishnamurthy et al., 2004, p. 727). In the instance of inadequate assessment, the whole counselling activity is rendered unreliable. Illustrated in the case of geriatric clients in depressive states, some counsellors may mistake related symptoms as normal in the aging process (Benek-Higgins, McReynolds, Hogan, & Savickas, 2008). If properly assessed, conceptualizing the case can be more accurate, resulting in effective therapies and improved health status. Otherwise, clients may further suffer, as experts pass such conditions as natural. Upon complete clinical inquiry and screening, the next step is diagnosis. Black and Andr easen (n.d., pp. 4-5) provided a list of purposes that diagnosis performs, such as create an organized body of thought regarding complicated clinical events, â€Å"help predict outcome...choose an appropriate treatment...search for pathophysiology and etiology.† Diagnostic procedures make it possible for coordinating assessment data with existing diagnostic systems.

Thursday, January 30, 2020

The Balance of Good and Evil Essay Example for Free

The Balance of Good and Evil Essay â€Å"The Tyger† by William Blake expresses the idea of the creation of evil. It involves a very powerful rhyming scheme to convey the strength of the matter. Through the use of metaphors relating to certain gods, both Christian and Greek views, the image of the â€Å"Tyger† is described. This poem is the second in a pair which was published in his collection Songs of Experience in 1794. Blake’s previously written poem â€Å"The Lamb† was written in his collection Songs of Innocence in 1789, and it represents the complete opposite, the creation of good. Both poems are very necessary to generate the essential question; is the creator of the tiger the same creator of the lamb? Focusing on just â€Å"The Tyger,† Blake questions the maker of this evil beast, and the purpose behind the making. The Lamb is an extremely important piece to both collections. The poem’s focus is centered by the question of creation, but it does so in a modest way, opening as a simple question to a lovable, fragile creature. Little Lamb, who made thee? (1) In the first stanza of the poem the speaker asks the lamb who is responsible for both life and the creation of this innocent creature with the softest clothing and Gave thee such a tender voice (6-7). The lamb symbolizes the association between civilization and the natural world. The lamb is also a representation of pastoral innocence, connecting the urban world with Gods creation. Pastoral life holds a great deal of strength in the poem. This collection contains many pastoral scenes. These peaceful images of life outside of the busy city strongly suggest a sense of peace and tranquility. This connects the characters of the poem to the natural world, where they can consider their existence without the interference of human components. Blakes tender choice of words creates a spiritual mindset which answers the question in first-person narrative in the second stanza that a higher power is responsible. In answering as Jesus Christ, Blake presents his own admiration for God: He is called by thy name, For He calls Himself a Lamb. He is meek, and He is mild; He became a little child. I a child, and thou a lamb, We are called by His name. Little Lamb, God bless thee! Little Lamb, God bless thee! (13-20) By stating Jesus Christ as the lamb’s creator, Blake is signifying that everyone is in some respect a lamb created by God. Although Blake’s religious views are clearly stated in both his collection of poems and in biographies, a creation of his own mythology is tied into his work shown by illustration and by the poems themselves. The second quatrain starts off asking another question, â€Å"In what distant deeps or skies burnt the fire of thine eyes? †(5-6) Distant deeps creates an image of Hell, while skies is referring to Heaven. The eyes are in fact God’s eyes. The question as a whole is asking if it was God in Heaven who created this beast, or Lucifer in hell. Blake is known for using references to Greek gods and goddesses. The question â€Å"On what wings dare he aspire? † (7) depicts Daedalus and his son Icarus who fell from the melting sun after ignoring instructions from his father not to use his wings to fly. The question immediately following also symbolizes a Greek reference. â€Å"What hand dare seized the fire? † (8) represents the Titan Prometheus who was sentenced eternally to a rock where an eagle would devour his liver over and over everyday, in punishment of stealing fire to benefit human civilization. These Greek depictions help to enhance to message of religious drama. Blake is making a bold statement by asking a question that many of us ask at some point in our lives. Is the same god who created all the good in the world, specifically represented by the lamb, also the creator of the Tyger, which represents the brutal side of nature, and in the bigger picture, reality. â€Å"Did he who make the lamb make thee? † (20) This questions the probability of a god creating something so beautiful and pure, but then allowing the creation of something so horrible. Blake uses a very interesting and powerful technique with the line â€Å"frame thy fearful symmetry† (4,20) He uses it twice, and the first time it begins with â€Å"could. † The second time, however, it begins with â€Å"dare. † The repetition and alteration of the phrase serves as a tool to describe the change of tone from questioning the capability to interrogating the reasoning. Symmetry is important because it shows the relationship betwen the Lamb and the Tyger. They are the same in that they are both part of Gods creation. They are both equally important tools of nature, but they are different in that the lamb represents innocence, youth, and positive aspects of nature, where as the tyger represents the more powerful fearful part of nature. Though both can be beautiful in their own way. The Tyger is beautiful in a more experienced light, as one recognizes the striking colors and form of this graceful, yet deadly beast, where as the Lamb is seen in a more childish fashion. Both good and evil are present in the world today. Although they each serve different purposes, their contributions to humanity bring each other balance. â€Å"The Lamb† and â€Å"The Tyger† are equally vital in the intended creation of good and evil, and they share the same creator.

Wednesday, January 22, 2020

Catholicism Views On Other Religions :: essays research papers

How does Catholicism view other religions and religious freedom?   Ã‚  Ã‚  Ã‚  Ã‚  Catholics and many other religions have the same view on other religions then there own. Catholics believe that everyone is entitled to their own personal freedom and have there own choices. They share the same vision as the Vatican Council, which is the council that tries to maintain freedom. People nowadays are conscious and there is a growing demand that people should exercise their own judgement. More and more people are demanding other to have there own responsible freedom and act accordingly. Catholics believe that there should be no prevention and excessive restrictions of freedom of individuals. The human society today demands free practice of religions in society. The Vatican council pays attention to these spiritual aspirations.   Ã‚  Ã‚  Ã‚  Ã‚  The Vatican council declares that humans have a right to religious freedom. Freedom of this kind means that everyone is immune from corrosion and peer pressure and other social group forces. Every individual have their own rights and have there own rights to believe in whatever God they desire. Every individual has the rite to freedom within limits; no men or women can be forced against their convictions. Nor anyone can be restrained from acting in accordance to his or her religion. In association with this the public shall recognized religious freedom, which must be give recognition in the constitutional order.   Ã‚  Ã‚  Ã‚  Ã‚  The Vatican council or the sacred council proclaims that obligations bind people’s consciences together. Truth can impose itself on the human mind by the force of its own truth, which wins over the mind. So while the religious freedom, which human beings demand in fulfilling their obligation to worship, God has to do with freedom from coercion in civil society.   Ã‚  Ã‚  Ã‚  Ã‚  God orders, directs and governs the whole world and ways of the human community according to a plan conceived in his wisdom and love. God has enabled humans to share in this law, under gentle disposition of divine providence. For this reasons everybody have the duty and the right to seek the truth in religious matters. Through the use of appropriate means they make ask prudent judgments of conscience, which are sincere and truthful.   Ã‚  Ã‚  Ã‚  Ã‚  However in contradiction to all this freedom the Vatican Council's declared that there would be only one church of Christ. The Vatican’s declaration on the relation of the Church to non-Christian religions reaffirmed that there is only one Church of Christ that is fully in possession of the truth of the Gospel; that is the Roman Catholic and Eastern Orthodox Churches.

Tuesday, January 14, 2020

Indian two-wheeler industry Essay

Overview The Indian two-wheeler (2W) industry recorded sales volumes of 13. 4 million units in 2011-121, a growth of 14. 0% over the previous year. In a year wherein growth in other automobile segments particularly, passenger vehicle (PV) and medium & heavy commercial vehicle (M&HCV), slowed down to single digits – marred by demand slowdown due to northward movement of inflation, fuel prices and interest rates – the 14% growth recorded by the 2W industry remained steady. However, the momentum in the 2W industry’s volume growth too has been losing steam lately as evident from the relatively lower volume growth of 11. 0% recorded in H2, 2011-12 (YoY) against a growth of 17. 1% recorded in H1, 2011-12 (YoY). The deceleration in growth is largely attributable to the motorcycles segment which grew at a much lower rate of 7. 8% (YoY) in H2, 2011-12 vis-a-vis 16. 4% in H1, 2011-12; even as the scooters segment continued to post 20%+ (YoY) expansion during both halves of the last fiscal. With this, the share of the scooters segment in the domestic 2W industry volumes increased to 19. 1% in 2011-12 from 17. 6% in 2010-11. Overall, ICRA expects the domestic 2W industry to report a volume growth of 8-9% in 2012-13 as base effect catches up with the industry that has demonstrated a strong volume expansion over the last three years at cumulative annual growth rate (CAGR) of 21. 8%. Over the medium term, the 2W industry is expected to report a volume CAGR of 9-11% to reach a size of 24-26 million units (domestic + exports) by 2016-17, as we believe the various structural positives associated with the domestic 2W industry including favourable demographic profile, moderate 2W penetration levels (in relation to several other emerging markets), under developed public transport system, growing urbanization, strong replacement demand and moderate share of financed purchases remain intact. Table 1: Trend in Sales Volumes of the Indian 2W Industry Volumes (Units, Nos.) Domestic Motorcycles Scooters Mopeds Total Domestic 2010-11 9,019,090 2,073,797 697,418 11,790,305 Exports 2010-11 Motorcycles Scooters Mopeds Total Exports Source: SIAM Q1 2011-12 2,464,143 532,867 190,672 3,187,682 Q1 2011-12 1,480,983 52,312 6,295 1,539,590 1 Refers to domestic sales volumes ICRA LIMITED 482,566 20,949 1,461 504,976 YoY Growth (%) Q2 2011-12 Q3 2011-12 Q4 2011-12 2,558,515 650,155 192,859 3,401,529 2,556,782 659,643 186,472 3,402,897 2,514,699 720,176 206,863 3,441,738 Q2 2011-12 Q3 2011-12 Q4 2011-12 492,408 24,696 3,478 520,582 448,090 23,950 2,796 474,836. 434,521 21,010 1,341 446,872 2010-11 22. 9% 41. 8% 23. 5% 25. 8% 2010-11 34. 3% 73. 6% -8. 8% 35. 0% Q1 2011-12 17. 5% 13. 3% 21. 0% 17. 0% Q1 2011-12 27. 1% 100. 4% -44. 0% 28. 6% Q2 2011-12 15. 4% 29. 0% 7. 0% 17. 3% Q2 2011-12 31. 7% 88. 5% 159. 2% 34. 0% Q3 2011-12 9. 2% 21. 6% 2. 6% 11. 0% Q3 2011-12 21. 8% 92. 0% 188. 0% 24. 5% Q4 2011-12 6. 3% 29. 4% 16. 4% 11. 1% Q4 2011-12 18. 1% 29. 0% -2. 3% 18. 5% Corporate Ratings Anjan Deb Ghosh +91 22 3047 0006 anjan@icraindia. com Analyst Contacts: Subrata Ray +91 22 3047 0027 subrata@icraindia. com Jitin Makkar +91 124 4545 368jitinm@icraindia. com. MEDIUM TERM DEMAND DRIVERS STAY PUT An analysis of the mix of Indian populace and the structure of the Indian 2W industry brings to the fore several key attributes namely, India’s demographic advantage, moderate 2W penetration levels and shrinking of replacement cycle; factors that have combined to propel the industry’s volumes over the last 10 years from 4 million units in 2001 to 13 million units in 2011. In ICRA’s view, these growth drivers are likely to remain relevant over the medium term and continue to provide impetus to the industry’s volumes. Chart 1: Estimated population of India’s Youth (20-40 years age) 250 Demographic Advantage 229 207 206 189 200 161 157 million 150 100 41 million youth estimated to be added to India’s population mix over the next five years 50 0 2001 Male 2011E Female 2016E Source: Census 2001; Census 2011; ICRA’s Estimates In the age bracket of 20-40 years, which is the key target segment for 2W, around 77 million youth got added to the Indian population mix in the last decade, which has been the key contributor to the 2W industry’s volume growth over the last 10 years. India’s demography continues to remain favourably on its side with average age of 25 years, which is 9 years younger than China, and more than 12 years and 19 years younger than the US and Japan, respectively. Over the next five years, the incremental addition in India’s youth population is estimated to be ~41 million, a fairly large number that is likely to sustain the strong demand for 2W. The 20-40 years age group is characterized by a combination of earning power and high spending propensity, which should increase the likelihood of conversion of potential ownership into actual ownership. Chart 2: Trend in 2W Penetration in Indian Households 18 16 35% 13. 8 14 Underpenetrated Market 35% The 2W penetration level in Indian households was 12% in 2001. This low 2W penetration provided the structural thrust to the domestic industry’s volume growth over the last decade whose annualized volumes expanded by a factor of 3. 4x during this period. As of 2011, the 2W penetration levels in Indian households, while having increased to 21%, continue to remain moderate and much lower than in some of the other emerging markets such as Brazil, Indonesia, Thailand and Taiwan. Also, the penetration rates differ vastly between India’s rural and urban areas, with rural areas being under-penetrated by a factor of 2. 5x as compared to urban areas. Additionally, the social trend in favour of nuclear families is expected to further increase the number of households which could be potential targets for the 2W industry. 30% 12 million 40% 16. 8 25% 25% 10 7. 9 8 5. 4 6 20% 14% 15% 10% 4 7% 2 5% 0 0% 2001 No. of Rural Households 2011 No. of Urban Households 2W Penetration – Rural 2W Penetration – Urban Source: Census 2011 ICRA LIMITED Chart 3: Trend in 2W Population in India. 30 25 million 20 Population of 22. 5 million units, equivalent to cumulative 2W sales volumes from 1995 to 2001 Population of 51. 8 million units, equivalent to cumulative 2W sales volumes from 2007 to 2011 24. 0 15 13. 3 10 9. 3 5 0 2001 2W Population – Rural 2011 2W Population – Urban Source: Census 2011, SIAM, ICRA’s Estimates Chart 4: Age Profile of 2W in India 100% 90% 30% 39% 80% 70% 53% 17% 60% 50% 21% 40% 30% 35% 52% 20% 10% 0% 40% 11% Motorcycle > 10 years Scooters 6-10 years Source: SIAM, ICRA’s Estimates ICRA LIMITED Shrinking Replacement Cycle 27. 8 Mopeds 0-5 years. While the 2W population in India has more than doubled over the last decade, the replacement cycle is estimated to have reduced from around 7 years (in 2001) to around 5 years (in 2011). The reduction in 2W replacement cycle implies that the average annual mileage covered per 2W has been on the rise, given that (distance run multiplied by age) of 2Ws is unlikely to have changed much over the years. As per industry estimates, around 50% of the total domestic sales of 2W are now made to first-time buyers, 30% to customers looking to upgrade from their existing vehicle, and 20% to buyers seeking a second vehicle for the household. The break-up suggests that currently around 50% of the sales in the domestic 2W market are made to replacement buyers. Considering that the industry has sold around 49 million 2W in the domestic market in the last five years, the total replacement demand works out to be a fairly large number. Add to this the healthy growth in sales to first-time buyers in recent years, driven in particular by sales to the rural market, the replacement opportunity could only increase in the future. From the consumer perspective, although replacement involves fresh capital spending, the inducement of upgrading to an improved technology 2W, having better performance, features and more attractive styling; complemented with increased spending propensity are expected to be the prime ingredients feeding replacement demand. SEGMENTAL ANALYSIS OF THE 2W INDUSTRY The motorcycles segment accounts for a bulk of 2W industry’s sales volumes; however, the scooters segment has grown relatively faster over the last five years Chart 5: Trend in 2W Segment Volume Mix (Domestic) 100% 90%. 4. 5% 12. 0% Chart 6: Trend in segment-wise sales volume growth of 2W 5. 7% 5. 8% 6. 0% 5. 9% 5. 8% 45% 14. 5% 15. 5% 15. 6% 17. 6% 19. 1% 35% 80% 70% 25% 60% 50% 40% 83. 5% 15% 79. 8% 78. 7% 78. 4% 76. 5% 75. 1% 30% 5% 20% -5% 10% 0% 2006-07 Source: SIAM 2007-08 2008-09 2009-10 2010-11 Motorcycles Scooters Mopeds 2011-12 2006-07 2007-08 2008-09 2009-10 2010-11 2011-12 -15% Motorcycles Scooters Mopeds Source: SIAM With sales volumes of 10. 1 million units, the motorcycles segment is the largest sub-segment of the domestic 2W industry accounting for a bulk of its volumes. However, over the last five years, the motorcycles segment has seen its volume share in the domestic 2W industry slide down to 75. 1% in 2011-12 from the highs of 83. 5% recorded in 2006-07. Although domestic motorcycle volumes grew at 9. 0% CAGR during the last five years, both the scooters segment as well as the mopeds segment grew at a much faster CAGR of 22. 2% and 17. 0%, respectively; contributing to reduction in the motorcycle segment’s volume share. The three 2W sub-segments are targeted at distinct consumer categories. The motorcycles are targeted at the male population in both rural areas as well as urban areas (with further segmentation based on usage pattern – family bike or individual bike, consumer profile – commuter Vs performance seeker etc); the scooters are more of an urban phenomenon targeted at the female population (TVS Scooty, Hero Pleasure), male population (Hero Maestro) as well as unisex offerings (Honda Activa, TVS Wego); mopeds are targeted at the lower middle-class segment and derive a large part of their volume share from the rural sector where they are used as a utility vehicle bearing heavy loads on rough village roads. While each of the three sub-segments has distinctive growth drivers, we expect the scooters segment to maintain its pace of growth faster than that of the 2W industry as a whole. The faster volume growth of the scooters segment is expected to be driven by (a) growing acceptability of gearless scooters, particularly by women; (b) rising urbanization and increasing proportion of working women; (c) expanding product offerings in the scooters segment; and (d) comparatively lower base. Accordingly, ICRA expects the scooters segment to gradually increase its share in the domestic 2W market from 19. 1% in 2011-12 to ~27% by 2016-17E. With this, the volumes in the domestic scooters market are estimated to get doubled by 2016-17E over the current levels.