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Are breakfast cereals full of fat?
No. Breakfast cereals are a low-fat breakfast option. Most Nestlé breakfast cereals popular with children contain an average 4-7% fat; that’s less than 2g of fat per 30g serving.
Are breakfast cereals high in cholesterol?
No, breakfast cereals do not contribute to cholesterol intake.
Are the visas and travel insurance included?
No, it is the responsibility of the winner to organise visa's and travel insurance for the duration of the trip, if required.
Are there any interactions between the added micronutrients?
It’s well established that vitamin D promotes the absorption of calcium in the gut. Whilst some have argued there is an interaction between iron and calcium, the latest information shows no significant long-term effect of calcium on iron absorption/status (SACN, 2010).
Are there any restrictions on when I can travel?
The trips excludes travel at Christmas, New Year, Valentines, Easter, during Major Events and Bank Holidays (both departure country and USA)For full details on prize exclusions, please visit the terms and conditions page here.
Can processed foods be made with whole grain?
Yes. If a food product has the word “whole” listed on its ingredient label – wholewheat pasta or wholemeal bread, for example, then you know it’s been made with whole grain flour, even if the other ingredients are processed. By the way, even whole grains need to be processed: removing the inedible outer husk makes them safe to eat. But they’re less processed than refined grains, which require additional steps to remove the bran and germ.
Do all Nestlé breakfast cereals contain salt?
No. We have a wide variety of breakfast cereals. Some have added salt, some don’t. We display the amount on the pack’s nutrition information panel, so you know what you’re buying. In some countries we give the Guideline Daily Amount (GDA) for salt on the cereal pack, so you can see how much of your GDA you’re getting in each portion.
Do breakfast cereals really make a significant contribution to vitamin and mineral intakes?
Research shows that adults and children who regularly eat fortified breakfast cereals are more likely to reach their daily requirements of vitamins and minerals, including the B Vitamins and Iron. Eating whole grain breakfast cereal with milk is a nutritious way to start the day and can be part of a healthy, balanced diet.
Do I have to go on the trip or can I gift it to someone?
The prize is non-transferrable and the winner must attend the trip.
Do I have to make a purchase to enter?
Yes, you will need to purchase a pack of qualifying Nestlé Breakfast Cereal. Don’t worry, these packs are clearly marked with the campaign and can be found in all major retailers.
Do I need to keep my in-pack promo code and the receipt?
Yes, you must retain your receipt and promotional box to verify your purchase. If you are a potential winner, you will be asked to provide these as proof of eligibility, before the prize is officially awarded.
Do Nestlé breakfast cereals around the world all contain the same amount of sugar? If not, why not?
No. As tastes vary from region to region, the amount of sugar we add to our cereals depends on where they’re being sold. But we’re committed to ensuring the added sugar levels in our products for children and teenagers won’t exceed 9g per 30g serving from the end of 2015. And we’re always looking for ways to reduce sugar in our products – wherever in the world they’re sold.
Do Nestlé breakfast cereals contain a lot of sugar?
Our cereals do contain sugar - but it isn’t the main ingredient. Cereal is made mostly from grain, which makes it a source of fibre, vitamins and minerals. One serving of Nestlé Breakfast Cereals targeted to kids and teens contains on average just 2 teaspoons of sugar. And we’re working on reducing that amount - by the end of 2015, our children’s cereals* will contain around 30% less sugar overall **– and will still taste just as great.
Do Nestlé breakfast cereals contain added vitamins and minerals?
Yes, we ‘fortify’ our cereals by adding vitamins and minerals to most of them, although the amount varies across regions and depends whether fortification is allowed. Whenever a vitamin or mineral is added to one of our cereals, we make sure it provides at least 15% of your recommended daily allowance (RDA) for that nutrient.
Do Nestlé breakfast cereals contain artificial sweeteners?
No. Artificial sweeteners don’t work in the same way as sugars, so they are not typically used in breakfast cereals. One way we replace the sugars taken out of our cereals is by increasing the amount of whole grains, like wheat and rice.
Do Nestlé products contain soluble or insoluble fibre?
It depends on the grain we’ve used. Different grains contain different proportions of soluble and insoluble fibre. For example, wheat is high in insoluble fibre, and barley and oats are high in soluble fibre (which is why porridge goes sticky when you cook it).
Does including gluten-free products in one’s diet help them lose weight?
No. Gluten-free products are not linked to weight loss. People choose them if they’re sensitive to gluten or have Coeliac Disease.
Does including gluten-free products in your diet lower your risk of heart disease?
There’s no evidence to suggest this.
Does Nestlé apply the same standards globally?
Yes, we apply the same standards all over the world to make sure all our cereals are of the same quality. We also make sure we meet the individual needs of different regions. For example, we add zinc to our cereals in Latin America because there is a specific need for zinc in that region.
Does reducing the sugar of breakfast cereals lower the GI?
It‘s a common myth that lowering sugar in a food lowers the GI. You can’t predict the GI of a breakfast cereal from the amount of sugar in it. In fact, some high sugar cereals have a low GI and some low sugar cereals have a high GI. For example, Corn Flakes have a high GI (77) and FROSTIES® have a low GI (55).
No. The amount of sugar in breakfast cereals is no more (and often less) than other common breakfast choices like fruit and yogurt, fruit juice, or toast with jam.
Does this product contain whole grain?
Not all of our Gluten Free Corn Flakes contain whole grain – it they do, the pack will have the Nestlé Green Banner.
Has Nestlé added anything to its Gluten Free Corn Flakes to make sure they taste the same and have the same texture as original corn flakes?
No. We’ve simply replaced the barley malt with brown sugar.
How do I enter the promotion?
To enter the promotion, simply purchase a qualifying pack of Nestlé Breakfast Cereal. Enter the in-pack promotional code, along with your email address, and submit your entry. If you are the winner, you will be directed to a page where you can enter your personal details to claim your prize!
How do I know how much sugar is in my Nestlé breakfast cereal?
We’re committed to giving our consumers clear and accurate nutritional information in a format that best helps them make informed decisions about their diet. We use Guideline Daily Amounts (GDA) on our products. These make the nutrition information easy to understand and help people make informed choices. The information is factual, objective and clear. We believe it’s the most neutral and informative system currently available. In addition to local food labelling requirements, almost all Nestlé Breakfast Cereals carry the ‘Nestlé Nutritional Compass’, which is a clear, transparent labelling guide, giving consumers easy-to-understand and detailed nutritional information on protein, carbohydrate, fat and sugar content and how much is in a single portion.
How does the Glycaemic Index classify foods?
Foods are given a GI ‘score’ to show how fast your blood sugar levels rise in response to an intake of carbohydrates. The higher the score, the faster the blood sugar level rises. A GI value of 70 or more is considered high, one of 56-69 is medium, and one of 55 or less is low. The lower the score, the slower the rate of carbohydrate absorption, and the lower the rise in blood sugar level.
You can enter the promotion from 23/08/2018 – 06/09/2018.
How much salt do Nestlé cereals contain?
The amount of salt and/or sodium in our cereals is listed on the pack. Breakfast cereals don’t actually add much salt to most diets. Most contain only small amounts of salt per portion and generally contribute less than 10% of the salt adults and children consume. A 30g serving of NESQUIK® has only 0.15g of salt – that’s only 3% of the average recommended daily intake. But for the last 15 years we’ve been working to reduce the salt and sodium in our breakfast cereals, because we want to keep on making them more nutritious.
How much saturated fat does palm oil contain?
About 50% saturated fat, which is about the same as other fat products like butter. However, we only use small quantities of palm oil in most of our breakfast cereals, so it doesn’t impact significantly on the amount of saturated fat in our products. All of our breakfast cereals contain less than 5% saturated fat.
How much whole grain do I need to eat every day?
Keep it simple: make grains the base of your diet and choose whole grains over refined grains wherever possible. U.S Dietary Guidelines recommend eating 3 servings (48g) a day. So, whenever you look for breakfast cereals, bread, pasta, rice or flour to cook at home, look for the word “whole”, ideally among the first ingredients in the list.
How much whole grain is in each cereal?
In order to enter the promotion, you must be over 18 years of age.
I can't find my in-pack promo code?
The 12-digit code is printed on the inside of clearly marked promotion packs of Nestlé Breakfast Cereal.
I have a question about Nestlé Breakfast Cereal products.
If you have a question about the products, you can find out more about our products here. If you don’t find the answer you’re looking for, feel free to get in touch with us.
I have trouble with my in-pack promo code, what should I do?
Don’t worry. If you cannot read your promotional code due to a genuine printing error, you should contact Nestlé Consumer Services https://www.nestle.com/info/ContactUs/ContactUs?country=Trinidad%20and%20Tobago. Any request for a replacement code must be received by Trinidad & Tobago to ensure that the request can be processed before the end of the promotion Nestlé does not assume any responsibility for promotional codes that are damaged or defaced due to the way the product packaging is opened.
I have won the prize, what are the next steps?
Congratulations on your win! A member of the Nestle team will be in contact with you within 7 days to organise your prize. If it has been more than 7 days, please get in contact with us. To do so, please use the Contact Us button in the "Know more" menu.
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If Nestlé breakfast cereals have a high GI, doesn’t that make them unhealthy?
No. It’s not accurate to define the healthiness of a food by considering one component in isolation – whether it’s GI, sugar or fibre content. There’s no universal agreement among experts on the effect on GI on health. GI doesn’t tell you how nutritious a food is. It indicates the availability of the carbohydrate to digestion. Oats, for example, are medium GI, but they’re 100% whole grain, high in fibre, a source of protein and have with no added sodium. Although our breakfast cereals have medium to high GIs, they’re usually consumed with milk (which has a low GI), which lowers the overall glycaemic load (GL) of the meal. The GI may be useful for people with diabetes to help them manage their blood glucose levels – though the evidence on this isn’t consistent either. The European Food Safely Authority (EFSA) has yet to approve any health claims linked to GI. And the other evidence linking GI, GL and health is largely inconclusive.
Is 'vegetable oil' the same as 'palm oil'?
Not necessarily. Not all vegetable oil is palm oil. A whole range of different types of vegetable oils are used in food products. Some are palm oil, but not all. Many other oils are used, like coconut, sunflower or rapeseed oil.
No. Coeliac Disease is a lifelong autoimmune disease caused by intolerance to gluten with the only treatment being a gluten-free diet. Also, some people are sensitive to gluten but do not display the clinical symptoms of Coeliac Disease, meaning they feel better if they exclude gluten from their diet.
Is it better to eat gluten-free products or products containing gluten, such as wheat?
People with Coeliac Disease or non-coeliac gluten sensitivity, need to avoid gluten, but others might simply choose to go gluten-free now and again. Whole grain foods may be suitable for everyone (except those requiring special diets), as they contain nutrients found naturally in all 3 parts of the grain. Dietary recommendations in many countries encourage consumption of whole grain foods as part of our daily grain intake.
Is the calcium in Nestlé breakfast cereals used by our bodies?
Yes, research shows calcium in cereals can be absorbed and used by the body. In fact, it’s absorbed at nearly the same rate as the calcium in dairy products like milk.
Should children and adults consume the same serving size?
Because children and teenagers have different daily energy needs to adults, they need different size portions to help them meet their recommended daily allowances (RDA) of nutrients. It’s generally recommended that breakfast provides around 20% of daily energy intake. For a child aged 4-8 years old, we recommend a portion size of between 25-30g, as part of a balanced breakfast, but for an adult this would be on average 30-45g. Find out more about serving sizes.
“Whole Grain” means that all parts of the grain are present: the bran, the germ and the endosperm. These three components of a grain contain different nutrients, which play an important part in helping the plant grow and stay healthy.
What form of iron does Nestlé add to its breakfast cereals?
Because some forms of iron can affect the taste of the product, we use it in a reduced form. This is still easily absorbed and used by the body. The amount of iron your body absorbs depends on how much you’re lacking - so the more you need, the more you’ll absorb.
Coeliac disease is a lifelong autoimmune disease, caused by the immune system reacting to gluten.
The general name for proteins found in cereal grains such as wheat. It holds the food together, like a ‘glue’, and gives dough its elasticity.
Non-coeliac gluten sensitivity describes people who are unable to tolerate gluten. They experience similar symptoms to sufferers of coeliac disease but don't appear to have damaged intestines (which people with coeliac disease do).
The bran’s the outer layer of the grain. It protects the seed and is rich in fibre. It’s used in whole grain flour, not white flour.
The endosperm is the biggest part of the grain. It mainly contains carbohydrates. It’s the reserve the young plant lives on until its grown roots. The endosperm is milled to make white flour.
The germ is the embryo the new plant grows from. It’s used in whole grain flour, not white flour.
What is the Glycaemic Index of breakfast cereals?
Breakfast cereals usually have a high or medium GI score – which will be lowered by adding milk. Lots of things can affect a cereal’s GI, like the heating and processing of the grains during manufacturing to make them safe and tasty to eat. Some intact whole grain cereals, like oats and mueslis, may have a low GI score – but not always: you can’t work out the GI just by looking at a product’s nutrition label. It’s calculated by testing each product in the human body. During manufacturing, cereals can change their GI, so the GI of a cereal made in one market could have a different GI in another market due to differences in production. Batch cooked corn flakes, for example, have a very different GI value (132) from extruded corn flakes (72). It’s not just the GI of a product that’s important. What really matters is the overall impact on blood sugar levels of a whole meal, since foods interact with each other. For instance, the GI of breakfast cereals will significantly decrease when consumed with milk.
We’ve all heard of ‘blood sugar’ levels, and how keeping them balanced helps maintain even energy levels and weight. The Glycaemic Index (GI) is a biological indicator of how the levels of glucose in your blood are affected by a fixed amount of carbohydrates in foods or drinks. Put simply, it tells you whether the carbohydrate is ‘slow’ or ‘fast’ releasing.
With every purchase made of a qualifying pack of your favourite breakfast cereal, you can be in with the chance to win a holiday to Honolulu.
What role does palm oil play in Nestlé breakfast cereals?
Palm oil plays an important role in Nestle Breakfast Cereals as, among other things, it helps us to achieve the crunchy texture we all enjoy in the morning.
What timeline do I have to book the travel?
Prizes must be claimed and booked at least 3 months in advance and must be claims and booked by the winner within 12 months from date of initial winner contact.
What vitamins and minerals does Nestlé fortify its breakfast cereals with?
Nestlé breakfast cereals are usually fortified with a minimum of 5 vitamins (B2, B6, niacin (B3), pantothenic acid (B5), folic acid (B9), and, in some recipes, vitamin D), and 2 minerals (calcium and iron).
What’s the difference between a whole grain and a refined grain?
A ‘whole’ grain has more nutrients than a ‘refined’ grain, because all parts of the grain are retained – kernel, bran, endosperm and germ – along with their fibre, vitamins, minerals and phytonutrients. But most of the bran and germ are removed when producing refined grains. Whole grains therefore contain more nutrients than refined grains.
What’s the recommended serving size for breakfast cereals?
The serving size we indicate on our packs is based on history of use, product density and average intake data (people actually consume around 30 to 45g). The recommended serving size for breakfast cereals depends on age, gender, and level of physical activity. We provide clear front of pack information to help people make informed decisions about what they eat for breakfast. We pioneered the adoption of the monochrome Guideline Daily Amounts (GDA) system for displaying nutritional information.
Where can I get more information on Glycaemic Index?
Why are Nestlé breakfast cereals fortified with vitamins and minerals?
To get your day off to a great start, your breakfast should include a good serving of vitamins and minerals, because they’re essential for a healthy diet. That’s why we fortify our breakfast cereals. We add Vitamin D to many of our children’s cereals, because in most countries kids aren’t getting enough of it. And FITNESS® is fortified with vitamins and minerals of interest to women, like calcium, iron and folic acid.
The serving sizes mentioned on breakfast cereals can slightly differ, mainly due to differences in product density. Beyond its nutrients density, it’s also important for the portion size to suit the average cereal bowl. Some types of breakfast cereals, such as mueslis or granolas, are denser than traditional flakes; so a 30g serving could look tiny and unrealistic in a bowl – that's why we use 45g as a reference. These different serving sizes have been defined by the European cereals trade association and consistently applied by all industry members in Europe.
Why does Nestlé fortify its breakfast cereals with iron?
It’s widely accepted that iron is an important part of a healthy diet and many people around the world don’t get enough. Our cereals generally contain 15% of the recommended daily allowance (RDA) of iron. Check the label to see the iron levels in your cereal.
Why has Nestlé introduced Gluten Free Corn Flakes?
In 2014, we launched Gluten Free Corn Flakes in response to increasing demand for alternative breakfast cereal options. We were the first to bring gluten-free cereals to the mainstream cereal aisle at an affordable price. Our Gluten Free Corn Flakes provide an alternative for people looking for great-tasting breakfast cereal with no gluten, for example people with Coeliac Disease or gluten intolerance.
Why is a gluten-free diet recommended for people with coeliac disease?
A gluten-free diet is the only treatment for coeliac disease.
Why is salt added to cereals?
Salt is added to a lot of foods, not just cereals. We add it to our cereals for flavour and texture - and because it’s a preservative. It’s important for quality, and because without it, the natural grain flavour can seem raw and bland. Each breakfast cereal has an individual recipe developed through extensive consumer testing, so we can give you a product you’ll love with great flavour and a long shelf life. | 2019-04-26T00:54:58Z | https://www.nestle-cereals.com/tt/en/faq |
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8a. Account discount codes | Discount codes may from time to time be offered to account holders; such codes may only be applied to purchases made through the account in respect of which the discount code was offered and registered.
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8d. Complimentary gifts | codes used for complimentary free gifts are subject to the availability of such items and until stocks last. If the code you redeemed has been accepted, it does not guarantee that stocks are available at the time of purchase. We reserve the right to replace the gift with an alternative product or colour of equal or higher value if necessary at our discretion. If an alternative gift product is not available at the time of purchase, you will have the opportunity to cancel your order or redeem your free gift without purchase at a later date. If you are returning an order, you must also return the free gift. Any gifts that are not returned will be charged to you at the full retail value and you will be refunded the difference.
9a. Gift cards & vouchers are only valid for a limited time and the gift amount must be redeemed by the date shown on the card/voucher – check your card/voucher to find out when to use it by. Gift cards that have been purchased are valid for 24 months from the date of purchase. Gift card prizes are valid for 3 months from the date of issue. Gift cards/vouchers cannot be redeemed on shipping costs. The purchase value (excluding shipping costs) must be equal to or more than the gift card balance, however you can request to have your available balance split into two smaller amounts to be used in 2 separate transactions.
9b. We’re afraid we can’t accept any responsibility for stolen, misplaced or deleted gift cards/vouchers.
9c. We’ll despatch your gift card/voucher either as soon as payment has been cleared or on your specified delivery date (if this is later). We’re afraid we can’t be responsible for any delays, no matter how they are caused.
9d. If you are the purchaser, please double check the delivery email and postal address you enter – it is your responsibility to do so and we’re afraid we can’t be held responsible if a gift card/voucher is used by someone other than your recipient if the email/postal address provided by you is incorrect.
In addition, we can’t take responsibility for any gift card/voucher that are lost or used by someone other than your recipient after delivery. Make sure your recipient has received their gift card/voucher, as it is their responsibility to keep the card/voucher details safe.
9e. From time to time, e-card/vouchers may get caught in pesky spam filters, and it’s up to the recipient to check these filters. We can’t take responsibility if an e-gift card/voucher cannot be delivered to the recipient’s email address because of spam filters, firewalls, the capacity of the recipient’s mailbox or any other factors outside of our control.
9f. If you need a refund, this will be made in the same way as the original payment method (such as onto a gift voucher, debit/credit card account, or a combination of the two). Refunds for gift card/vouchers follow our standard Refund Policy.
9g. As you’d expect, we reserve the right to vary these terms and conditions.
i) you confirm that the information submitted in your entry is correct. Any incorrect or falsified information will be disqualified.
Iii) you understand that you are providing your information to Isabel Wong (the owner of the social media page if you are entering a competition advertised through social media) and not to any social media or online platforms used to advertise or register your entry for the competition.
10b. The closing date is stated on each individual prize draw or competition at the closing time of (GMT) 23:59.
10e. The promotions are open to employees of Isabel Wong - with the exception of any employees (and their families), their agents or related third parties who are directly connected with the administration of these online promotions.
10h. All prizes are subject to availability, and Isabel Wong reserves the right to replace the prize with an alternative product or colour of equal or higher value if necessary at our discretion.
10j. You agree to having your name, country of residence and/or social media accounts published on our website and social media announcements and for the promotion of any future Isabel Wong prize draws and competitions. Your address, email and telephone contact details will remain confidential and will not be shared or distributed unless we have obtained your permission to do so. Your contact details will only be used to inform you of your winnings and to get the item shipped out to you.
10k. Competition Winners will be selected at random after the closing date from all entries received via a computer selection generator or independent judge. The judge's decision is final and no correspondence will be entered into.
10l. We will contact you via email or telephone using the information provided by you at entry. We may also contact your via private message via social media if your method of entry was made you have provided your social media account username as part of your entry or your entry was submitted through a social media platform. Contact will be made within 6 weeks of the closing date so that we can notify you if you have won and/or to confirm your delivery address.
we reserve the right to re-draw a winner of the competition and thereafter until a winner on these terms is found.
10n. E-vouchers or credit prizes will be sent to you via the email address provided at entry. If the prize is a physical item, we will request a postal address in order to arrange shipment.
10p. Please allow 28 days for delivery of the Prize. Shipping costs to the winner are covered by Isabel Wong and are sent via a reliable courier service. We accept no responsibility in the unfortunate event of delayed, damaged or missing competition prizes during transit and we cannot guarantee a replacement will be sent to you. International recipients are responsible for any and all customs charges that may be incurred and you may need to pay these charges once it reaches your homeland. These charges are out of our control and we have no way of predicting what they may be.
10q. Competitions and prizes are in no way sponsored, endorsed, administered or associated with any other company, brand (if the prize is a brand other than Isabel Wong), social media, online or printed platforms in which the promotion is advertised. Any such endorsements or involvement of third party companies will be clearly expressed in the competition description and credits will be referenced at all time. You understand that you are providing your information to Isabel Wong and not to any other company when submitting your entries via our website.
10t. Isabel Wong is not responsible for and cannot be held liable for any third party competition that is not administered by Isabel Wong.
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The above Terms of Service constitute the entire agreement of the parties and supersede any and all preceding and contemporaneous agreements between you and ISABEL WONG. Any waiver of any provision of the Terms of Service will be effective only if in writing and signed by a Director of Isabel Wong.
As a reputable and trusted business committed to offering its customers high quality products, Isabel Wong recognises its obligation to ensure that suppliers are operating ethically.
Isabel Wong will never knowingly source stock from countries which are in breach of the above principles. We also look to our suppliers to instil these principles when dealing with their own supplier base.
Because of the sometimes complex nature of our suppliers' supply chain, it is not always possible to monitor and control the conditions of each individual involved in the production of our products. However, as Isabel Wong continues to grow it recognises the importance of being proactive and doing everything within its power to support the rights of those involved in the manufacture of its goods. | 2019-04-21T16:53:47Z | https://www.isabelwong.com/termsandconditions |
Are you looking to add layers of complexity to any of your favorite songs? Create epic symphonies of sound you thought were out of reach? A looper pedal may prove to be a valuable tool. It will help you create complex rhythms from various passages played on the guitar. And as with anything in the guitar effects market, there is sea of looper pedals you can choose from. It can, therefore, be difficult to determine which looper is the best for your style and music aspirations. What’s more, there are many different features across the looper pedals. Besides, what might be the best looper for you may not be the best for another person. If you are looking for the most reliable, high performance and quality looper, we’ve got you covered. Below we take a look at 10 of what we consider to be the best looper pedals review.
What is a Looper Pedal and How Does It Work?
What is The Length of The Loop Time?
A looper pedal is a device you can use to record your desired segment of your performance from your guitar. You can then play it over and over again for as long as you want. It simply creates a backing track that you can play along with.
But how does it work? Well, it works by recording the signal from your guitar and then puts it on a loop. It then enables you to recall it for immediate playback. You can choose to add more effects to the original recording. From a simple practice device to an advanced tool, you can record complex passages of music with a looper. Its ease of use is something to behold. For electric guitars, you will insert the looper into the signal chain to start using it. But for acoustic guitars, just plug the guitar into the looper input. For added convenience, they come with footswitches and various controls for different functions.
Whether you want a looper pedal for use in the studio, live shows or home, we have a pedal for you. It does not matter even if you are on a tight budget. The looper pedals in this review boasts high-quality performance and user friendliness. So treat yourself to one of these pedals and take your music career to a whole new level.
This is probably one of the best beginner-friendly looper pedals on the market. It offers basic features to help any novice familiarize with looping. But experienced guitarists can also use it for its great functionality. It has a minimalistic design with a single footswitch. You can turn on the pedal to start recording by pressing the switch once and once more to halt the recording. In case you press the switch while the looper is playing, it will begin recording another layer on top.
The Ditto boasts five whole minutes of looping time. This is more than enough time to record and loop a song. There are also unlimited overdubs. They will help you layer multiple guitar melodies for choruses and verses. The undo and redo function also comes handy. The Looper boasts a level knob to control its volume.
It features a true bypass circuitry to keep your signal nice and clean once it is off. This basically means that it won’t alter the sound in any way when you are not using it. To complement this technology is its analog dry through feature. So when the looper is on, the dry signal will come through the looper pedal all analog and unaltered in any way.
When it comes to sound quality, it boasts 24-bit uncompressed audio for great clarity. It is powered through a 9-volt adapter providing 100 mA or more. It also has a LED indicator light to show when the looper is in the recording mode or when in playback mode.
Offers plenty of room for recording.
Its recording quality is excellent.
It may not be the best looper for guitarists with complex looping needs. This is because it is simple in features and functionality.
It is only powered via a 9v power supply. No battery compartment.
When it comes to the best multiple effects looper pedal, the G1on looper pedal is an incredible bargain. It will allow you to loop and even apply different effects such as reverb and distortion to your loops. Sounds impressive? It sure is especially if you have never experienced lots of great sounding effects from a pedal. It boasts 75 effects with up to a hundred memory slots. This will allow you to store your different recorded phrases for future use.
The pedal offers 30 seconds of loop time, which is relatively less than most looper pedals. But pretty decent for an affordable pedal. It also boasts unlimited overdubs. It features two footswitches rather than one as it is common with some pedals. The right switch stops and clears the recordings. The left one is for starting the recording or playing the playbacks.
rhythm function boasts 68 rhythm tracks from different genres to play along with. You can use the looper function together with the rhythm accompaniments. Featuring built-in drum machine, this pedal sounds better than some more expensive models.
It runs on four AA batteries that are included in the package or an optional AC adapter. It's up to 5-effects offer unlimited creative potential all in one pedal. These effects can be used simultaneously. The package also includes a major input as well as an auxiliary input so you can connect your music players. Its output jack, on the other hand, lets you use with headphones or amplifier.
Powerful pedal with so many effects.
Enables you to choose and even edit any of its onboard-effects.
Offers up-to 14 Amp models.
Batteries have a long life time.
The 30-seconds loop-time is very short for some people.
It is not good at keeping the signal clean especially when it’s off.
Looking for the best pedal with the ability to store your multiple loops? The Jamman Solo XT is a fantastic option. It contains 200 internal memory locations. This enables you to store over 35-minutes of stereo and loops. You can also add a 2GB micro SDHC card to expand the memory to another 200 slots. This will allow you to store over 16-hours of CD quality audio. However, you're only allowed to store loops with 10-minutes of loop time.
you need to transfer to other devices. It's Aux input enables you to import music from iPad, MP3 players, iPhone and CD.
Equipped with a Jam Sync function, you can easily create multiple looping tracks. You can also loop with other singers. It comes with 5 buttons, two knobs, overdub functions and a LED indicator light. The loop level and rhythm level helps you control the volume.
The pedal is built to work with the JamManager XT loop librarian software. It runs on Intel Mac desktops and Windows and is available as free download. You can use it to synchronize loops, build your own loop library or transfer loops.
Enclosed in a rugged metal casing.
Offers seamless transitions between recorded passages.
Enables you to record solos and rhythm loops on the fly.
You can speed up or slow down your loops without interfering with the pitch.
Sounds better and more clear.
Boasts many preset slots with great storage capacity.
Its interface is quite non-intuitive. You can read the manual over and over again just to understand its control panel.
It is hard to use without the external switch. It sounds awful.
Powerful, versatile and great build quality are just but a few adjectives that can be used to describe this loop pedal. Its price is a bit on the high end but you are getting tons of great features in this small pedal. Overdubbing is a breeze using the recording function. It works as a stereo device with a pair of inputs and two outputs. This enables you to add whole other devices into the loop and plug in a separate microphone.
It boasts two LED indicator lights in red and green colors. The red light shows when you are in record mode and the green one when you are playing-back your loop.
Also included is output knob to help you determine the volume level of the effects. Its memory is also something to love about this looper. You get up to 3 hours of loop time and 99 memory locations to store the loops.
The pedal provides 10 built in drum beats if you want to create your own backing track. These are more than enough whether you are a blues, pop or rock player. It also comes with a rhythm guide great for practicing and its own volume knob. It includes a USB port (2.0) allowing you to import or export music from your computer. You can also load high-quality WAV audio files into this looper.
Coupled with an external switch, operating this pedal is very easy. It is powered by a single 9V battery or an AC power supply which is optional.
It's build quality is one of the best in the industry making it road worthy.
Allows for dual inputs and outputs.
Boasts a five-year warranty from the manufacturer.
It is not true bypass. As a result, you may notice a little bit of noise in the signal immediately it goes off.
Its battery life is not the best considering its price point.
Would you like to take your live or studio performance to the next level? No looper pedal can do the job better than the FlashBack Delay and Looper from TC Electronic. The pedal boasts 11 different types of delays from total time warp to subtle repeat each up to 6-seconds. It comes with TonePrint function so you can transfer any of your favorite delay settings. You can also set the delay times via its audio tapping technology. Simply strum your guitar to do so.
increased flexibility. And being a true bypass pedal, it stays in tune. It also boasts analog dry-through technology to ensure signal clarity and integrity.
With a toggle switch, it's easy to transition between 16th-notes or extended dotted 8s. That’s not all. It comes in a compact design to save you space on your pedalboard. It's high-quality parts and solid encasing makes it road worthy. Offering 40 seconds of looper time, this pedal is sure to make a difference in your life. It runs on 9-volt batteries with a battery compartment that is easy to access.
Tone is not lost when the pedal is off.
Its interface is easy to understand.
Boasts massive delay types allowing you to indulge all of your creative impulses.
Boasts an online app with an editing feature.
Gives you access to custom pedal tweaks made by your favorite musicians.
Comes with a strum tempo instead of tap tempo. It is therefore not easy to dial in the tempo.
It can be difficult to find the exact delay time you want for a song.
Next up we have a looper pedal with ultra small footprint and classic design. The pedal is housed in an aluminum alloy metal casing that is not only sturdy but also lightweight. On its interface is a big level knob to help you determine its sound volume. It also boasts a LED indicator light on its small profile to show you if it is active.
and stores the loops when you are not connected to power supply or the power is down. In addition, it runs on 9v DC power supply.
On the sides of the looper pedal is an input and output jack. It enables you to import and export music files to and from your PC using a USB cable. It also boasts infinite overdubs and the undo and redo function. This gives you unlimited opportunity to add to your loops after recording. You can keep on adding layers of sounds until you are out of ideas.
The loops come in 24-bit 44Khz (uncompressed). This is good CD quality be it live or studio performances. There is an application to complement the pedal but it only supports window systems. It also comes with an instructional manual to help you familiarize with how it works.
Donner’s customer support is helpful and fast.
It's level knob is easy and fast to adjust.
Easy to use especially if you have used other pedals from this manufacturer.
Offers instant playback and great recording time.
The software is not compatible with iOS but only Windows.
Might arrive with some defects like scratches or dings.
If you want simplicity paired with portability and ease-of-use for a looper pedal, the RC-1 is the best bet. It boasts an undo and redo function. Your recording cannot always be perfect making it a valuable feature. There are also stereo inputs and outputs and an extra input in case you need an additional pedal. You can create loops with stereo effects or even synchronize two different instruments.
phrase. In addition, it is housed in a solid casing that guarantees years of trouble free service. As long as it meets all your musical needs, you won’t be needing another pedal soon.
It features a ring of 24 LED indicator lights on the upper right of the looper. When you are recording the light turns red and you stop it turns green. The LED lights also show you how many time it is left before the loop can begin and when you are playing back to the loop. And once you finish recording, the cycle duration of the lights will show you the loop length.
It is not limited to use of power supply. It is powered via a single 9v battery giving you around 4.5-hours of use.
Boasts an external switch for easier access to different functions of the pedal.
Has a very straightforward interface for beginners.
Easy to know the status of your loop from the LED indicator.
Provides ample looping time and sounds clearly.
Stores one loop at a time and the memory is limited.
It is limited in terms of features. You won’t get built in drum tracks or multiple memory locations.
This is an entry level looper perfect for players of all levels and styles. It operates as a stereo pedal and comes with a pair of inputs and two outputs. You can, therefore, plug in two instruments into the looping mix. It has a central footswitch for recording, playing and overdubbing. When you tap the switch once, the recording process starts and comes to a stop when you tap it twice. Holding the switch down for some seconds will delete the loop you had recorded.
decent. And of course, you can overdub an unlimited amount of times. Besides, if your loop has some flaws, you can use the undo and redo function to correct the flaws. You don’t need to scrap the entire loop.
Another big plus for this looper has to be its separate LED indicator lights. There are three colored LEDs for Recording, Overdub and Play modes. They make it easier to control the pedal. It also boasts Silent Clear feature to help you erase loops while not in play mode. It's Jam Sync ensures synchronized looping with your bands. This helps you create a custom multi track looper. The pedal can run on a 9-volt battery. It also has a slot for an optional power supply.
Being a true bypass pedal, sound quality is excellent.
It comes ready right out of the box.
Great customer service provided by the manufacturer via phone or email.
Enables you to multi-track loop with different Express or even Solo XT.
The battery life is short and is not easy to get to the battery compartment.
There is no way to tell if it is loaded with a loop.
Although it has multiple control buttons, looping is controlled via its single footswitch. The switch is used for only starting and halting the recording. Other controls include a separate level knob for adjusting the volume. It also includes up and down buttons. The pedal enables you to create unlimited layers of overdubs. And storage space is not a problem with this pedal. It boasts 99 slots. You can also save your loops on your computer using the USB port to transfer the files.
The pedal also boasts 40 built in drum tracks with the popular tap tempo feature. This enables you to tap your desired temp of the recorded audio without changing the key. To choose them, hold the Rhythm button down and use the up/down buttons to scroll through the tracks. The looper also enables you to plug in an extra extension pedal. Running on a single 9-volt batteries, it can also be powered via an AC adapter.
Easy to add layers and delete them even as a beginner.
Comes with three LED indication light for record, play, and overdub.
The built-in drums helps you perfect your timing.
You can record and playback music in full stereo.
Versatile leaving you room for tweaks.
The sound quality of the drum tracks is not the best. They sound a little wimpy.
Comes with a single footswitch. It might cause precision issues during live shows.
Electro-Harmonix have been producing great guitar accessories for decades. They know looper pedals better than most. Their 360 Nano Looper boasts compact design giving you so much creative power. The looper provides 360 seconds of recording time with unlimited overdubs. The 360 seconds is splitted evenly across 11 different loop locations. Therefore, you have 33 seconds per loop.
Its sound quality, on the other hand, is pretty decent. The pedal promises uncompressed 24-bit and 44.1Khz sound. And there is no degradation in fidelity to worry about. It also sports two control knobs for the level and loop. The level knob is for determining the output level of your loop. The loop knob will help you choose between the 11 types of loops. You can, therefore, mix multiple loops during a live performance with ease.
On the control panel are three LED indicator lights for Record, Play, and MEM. The MEM LED light stays off when there is no recorded memory and flashes between transitions. The looper is designed to run on a 9-volt battery but it includes a 9.6DC-200 EHX power supply as standard.
Undo and redo functions are also included. Therefore, you can erase a loop where you find it not perfect rather than scrapping it entirely. Featuring analog dry-through functionality, your signal stays dry throughout the recording time. The signal integrity is also maintained hence zero tone loss once the looper goes off.
Incredibly easy to use even on live gigs.
Takes up minimal space on any pedalboard.
Offers decent amount of memory locations for your loops.
Its momentary footswitch does not make any noise.
Housed in a rugged and solid die-cast casing.
If you layer on too many loops, the sound quality is affected.
Limited in features so you may need to upgrade to a more advanced looper.
The number of footswitches on a looper pedal can make a big difference. This is especially if you plan to use the pedal in live shows. More footswitches mean more control. Simple pedals have a single footswitch. This switch acts as the record, playback, overdub, stop and undo/redo control. Fortunately, some of these pedals offer the option of an external footswitch. This gives you far more control over your loops thereby extending your capabilities. Expensive models tend to utilize at least two or three footswitches. But you don’t need to buy an expensive model just to get more footswitches if you’re on a shoe-string budget. You may find that the right looper pedal for you only uses one or two footswitches.
time. More flexible loopers even have SD card slots to help you extend the length of the loop time.
For players running a stereo rig, this is a very important feature to consider. If your pedal is mono, all your effects will go through the mono looper pedal. A mono output is thus ideal when you want to jam in front of your amp or have fun. But if want to record stereo, you need a stereo output. You don’t want to be limited in where you position your looper in your chain. A stereo output will allow you to run the looper pedal through separate amps or a stereo rig.
Saving loops are important especially when you want to have them ready for a live show. However, some looper pedal models don’t have internal storage. They usually discard the loops when another recording is added or when they’re turned off. Luckily, most loopers have a built-in memory which can be expanded via SD memory slots. Others boast USB ports for plugging in external hard-drives or PCs where you can save your loops. The memory slot is very important when you also want to record loops in stereo and at CD quality.
To get better at playing guitar, there is no better way than to practice with another player. But this requires you to find a player with a great repertoire of musical skills and lots of patience. And if you find a good player, chances of him being around any time you want to jam are few. This can make almost impossible to perfect your skills. But there is no better way to improve your soloing than with a looper pedal. It will allow to create backing-tracks and solo for hours. You can then practice over several different tracks to improve your skills. And the next time you link-up with your friends for practice, you can be sure they will be blown away.
This feature makes looper pedals a great songwriting companion. There is no better way to get inside a song than to hear it over and over again. The looper keeps your backing tracks whether it's solo or intricately layered rhythms. You can, therefore, play the tracks for as long as you want to perfect your songs. It gives you the power to compose harmonies and melodies as well as unleash your creativity. In addition, you can break down songs and work step by step on short phrases.
Another benefit worth noting about loopers is their great flexibility. With looper pedals, you can create many loops and layers of loops at a go. And when you need to switch between loops on the fly during a live performance, it is easy. They boast significant loop time and memory slots. They also have unlimited overdubs for more flexibility. You can, therefore, experiment with different mixes of rhythm guitar parts.
If you have never used a looper pedal before, you don’t need to worry. Pedal loopers boasts simple functions that are easy to learn how to use. They also come ready right out of the box and with standard set-up configuration. For starters, you can always go for a simple pedal with a single footswitch and fewer control knobs. This way your attention won’t be divided across many control functions.
We spend countless hours every week conducting research. Our aim is to provide you with relevant information you can use to make a good buying decision. We analyze every detail about a looper pedal before we can settle for it as the best. We also do hands-on testing to make sure the sound quality is good enough for all types of players. And before we compile the final review, we also consider the experiences other users have had. We never want to leave any piece of information about a product whether bad or good.
Our website has a simple and clean layout. The products are listed in an easy to follow manner and well detailed. This is to give you quick and easy access to the reviews. You won’t need to be a tech guru to find your way around the site. What’s more, we are always working on ways to improve the user experience.
We have a team of dynamic researchers. They are focused on providing independent and unbiased best looper pedal reviews. Their passion for the guitar and music is what keeps them going. They dig deep to the bone to provide you facts and the best information. It really does take much of their time but that is really a non-issue. Our goal is to be your best source for independent looper reviews.
Writing reviews is in our blood. We have been doing this for some years now. With our experience of writing different product reviews, we guarantee only quality content. We hand select the products that we review on our site. All our research is our own and is not biased towards any specific brand or looper pedal.
Each of the above looper pedals has different strengths and weaknesses. But each pedal would represent a worthy piece to your studio ensemble, practice or live gig kit. If you’re not sure which one is the best for your needs, you should try the Zoom G1on. It is the winner for the overall best looper pedal. At a very reasonable price, the pedal enables you to loop and apply multiple effects. It also boasts more than enough memory locations and a decent balance of features. Has in-drum machine, different rhythm tracks and two footswitches.
The Jamman Solo XT Stereo Looper can be a great alternative if you don’t need a multi-effect looper. Its memory slots and loop time is more than you can expect from an affordable pedal. The pedal also comes with Jam Sync function and CD quality audios to help you create multiple loops. The Boss RC-3 Loop Station could have been the best alternative if it were not for its high price-tag. But if your budget is not very tight, you should definitely try it. The pedal comes with an external footswitch and expandable memory. | 2019-04-21T22:46:35Z | https://www.guitaristview.com/best-looper-pedals-review/ |
A/Prof Xiaodi Huang is with School of Computing and Mathematics at Charles Sturt University (CSU). Prior to that, he was an s/lecturer at CSU, and a lecturer in School of Mathematics, Statistics and Computer Science at the University of New England, Armidale. He is also a distinguished professor (Jan 2012~present) of South China Normal University, China.
1. Anwar H. Masud, Xiaodi Huang, Strategies and Practice of Cloud-Based Learning Environment Implementation, Handbook of Research on Cloud-Based STEM Education for Improved Learning Outcomes, ISBN-13: 978-14666992432016, pp. 42-63, 2016, IGI global.
2. Anwar H. Masud, Xiaodi Huang, ESaaS: A New Education Software Model in E-learning Systems, Information and Management Engineering Communications in Computer and Information Science, ISBN 978-3-642-24021-8, pp.468-475, 2011, Springer.
3. Xiaodi Huang, WSRank: A New Algorithm for Ranking Web Services, New Technologies, Mobility and Security, H. Labiodand M. Badra eds., ISBN 978-1-4020-6269-8, pp.535-546, 2007, Springer.
4. Xiaodi Huang, Jinsong Bao, Xiaoling Dai, Edwin Singh, Weidong Huang, Changqin Huang, M&E-NetPay: A Micropayment System for Mobile and Electronic Commerce (Selected), 169, Chapter 2: Applications, Symmetry Measures on Complex Networks, Angel Garrido (Ed.) ISBN 978-3-03842-498-7, 2017 MDPI.
5. Xiaodi Huang, Wei Lai, Web Graph Clustering for Displays and Navigation of Cyberspace, Web Mining: Applications and Techniques, Edited by Dr Anthony Scime. ISBN 1-59140-415-0, pp.253-274, 2004, Idea Group Inc.
6. Xiaodi Huang, Graph Visualization: Filtering, Clustering and Dynamic Layout of Graphs in the WWW, VDM Verlag, 2009, ISBN 978-3-639-16606-4, 278 pages.
7. Yuxin Liu, Anfeng Liu, Xiao Liu, Xiaodi Huang, A statistical approach to participant selection in location-based social networks for offline event marketing, Information Sciences, Vol. 480, pp.90-108, 2019.
8. Nicholas Pawsey, Tahmid Nayeem, and Xiaodi Huang, Use of Facebook to Engage Water Customers: A Comprehensive Study of Current UK and Australian Practices and Trends, Journal of Environmental Management, 228, pp.517-528, 2018.
9. Haijiao Xu, Changqin Huang, Xiaodi Huang, Muxiong Huang, Multi-modal multi-concept-based deep neural network for automatic image annotation, Multimedia Tools and Applications, pp.1-25, 2018.
11. Haijiao Xu, Changqin Huang, Xiaodi Huang, Chunyan Xu, and Muxiong Huang, Combining Convolutional Neural Network and Markov Random Field for Semantic Image Retrieval, Advances in Multimedia, pp. 1-25, 2018, https://doi.org/10.1155/2018/6153607.
16. Y. Wang, X. Lin, L. Wu, W. Zhang, Q. Zhang, Xiaodi Huang, Robust Subspace Clustering for Multi-view Data by Exploiting Correlation Consensus, IEEE Transactions on Image Processing, Vol.24. No. 11, pp. 3939-3949, 2015.
17. Xiaodi Huang, Jinsong Bao, Xiaoling Dai, Edwin Singh, Weidong Huang, Changqin Huang, M&E-NetPay: A Micropayment System for Mobile and Electronic Commerce, Symmetry, Vol.8, No.8, 2016.
18. Xiaodi Huang, W. Huang, GO: A cluster algorithm for graph visualization, Journal of Visual Languages and Computing, Vol. 28, pp.71-82, 2015.
19. J. Zhou, S. Zhu, Xiaodi Huang, Y. Zhang, Enhancing Time Series Clustering by Incorporating Multiple Distance Measures with Semi-Supervised Learning, Journal of Computer Science and Technology, Vol. 30, No. 4 pp. 859-973, 2015.
20. L. Wu, Xiaodi Huang, J. Shepherd, Y. Wang, Multi-Query Augmentation-Based Web Landmark Photo Retrieval, The Computer Journal, Vol. 58, No.9, pp. 2120-2134, 2015.
21. L. Wu, Xiaodi Huang, C. Zhang, J. Shepherd, Y. Wang, An Efficient Framework of Bregman Divergence Optimization for Co-Ranking Images and Tags in a Heterogeneous Network, Multimedia Tools and Applications, Vol.74, No. 15. pp. 5635-5660, 2015.
22. Xiaodi Huang, UsageQoS: Estimating the QoS of Web Services through Online User Communities, ACM Transactions on the Web, Vol. 8, No. 1, Article 1, pp. 1- 31, 2013.
23. X. Han, Á. Cuevas, Noel Crespi, R. Cuevas, Xiaodi Huang, On Exploiting Social Relationship and Personal Background for Content Discovery in P2P Networks, Future Generation Computer Systems, Vol. 40, pp.17-29, 2014.
24. X. Li, Xiaodi Huang, X. Deng, S. Zhu, Enhancing quantitative intra-day stock return prediction by integrating both market news and stock prices information, Neurocomputing, Vol.142, No. 22, pp.228-238, 2014.
25. Y. Xu, C. Luo, M. Qian, Xiaodi Huang, S. Zhu, MHC2MIL: a novel multiple instance learning-based method for MHC II peptide binding prediction by considering peptide flanking region and residue positions, BMC Genomics, Vol. 15. No.S9, pp.1-9, 2014.
26. Xiaodi Huang, X. Dai, W. Liang, BulaPay: A Novel Web Service based Third-Party Payment System for e-Commerce, Electronic Commerce Research, Vol.14, No. 4, pp. 611-633, 2014.
28. H. Miao, Xiaodi Huang, A Heuristic Field Navigation Approach for Autonomous Underwater Vehicles, Intelligent Automation and Soft Computing, Vol. 20, No. 1, pp.15-32, 2014, Taylor & Francis.
29. Xiaodi Huang, J. Zhao, J. Ash, W. Lai, Clustering Student Discussion Messages on Online Forum by Visualization and non-Negative Matrix Factorization, Journal of Software Engineering and Applications, Vol.6, No.7B, pp.7-12, 2013.
30. Xia Liu, Hui Miao, and Xiaodi Huang, A Novel Approach for Blind Estimation of a MIMO Channel Including Phase Unwrapping Ambiguity Elimination, IT Convergence Practice, Vol. 1, No.2, pp.20-33, 2013.
31. Yang Wang, Xiaodi Huang, Lin Wu, Clustering via Geometric Median-Shift over Riemannian Manifolds, Information Sciences, Vol. 220, No. 20, pp.292-306, 2013. ScienceDirect.
32. Md Anwar Hossain Masud, Xiaodi Huang, M-learning Architecture for Cloud-based Higher Education System of Bangladesh, Mobile Computing, Vol.2, No.4, pp.84-94, 2014.
33. W. Huang, R. Khoury, T. Dawborn, B. Huang, M. Huang, Xiaodi Huang, WeBeVis: Analyzing User Web Behaviour through Visual Metaphors, SCI. CHINA Inf. Sci, Vol. 56, No. 5, 2013.
34. Md Anwar Hossain Masud, Xiaodi Huang, A Cloud-Based M-learning Architecture for Higher Education, Archives Des Sciences, Vol.66, No.1,pp.751-760, 2013.
35. Miao Hui, Xiaodi Huang, Guo Chen, An Enhanced Simulated Annealing Scheduling Approach for Smart Meter Technology, International Review of Electrical Engineering (IREE), Vol.8 No.1, pp.321-328, 2013.
36. Miao Hui, Xiaodi Huang, Guo Chen, A Genetic Evolutionary Task Scheduling Method for Energy Efficiency in Smart Homes, International Review of Electrical Engineering (IREE), Vol.7 No.5, pp.5897-5904,2012.
37. Md. Anwar Hossain Masud, Xiaodi Huang, An E-learning System Architecture based on Cloud Computing, International Journal of Social and Human Sciences, Vol. 6, 2012, pp.185-189.
38. Miao Hui, Xiaodi Huang, Dynamic vehicle path planning using an enhanced simulated annealing approach for supply chains, International Journal of Enterprise Network Management Vol.5, No.2, 2012, pp.197-218.
39. Yang Wang, Lin Wu, Xiaodi Huang,* and Xuemin Lin, Human Action Recognition from Video Sequences by Enforcing Tri-view Constraints, The Computer Journal, Vol. 55, No.9, 2012, pp.1030-1040.
40. Gang Shu, Xiaodi Huang, Shanfeng Zhu, A Consensus Method for Prioritizing Drug-Associated Target Proteins, International Journal of Data Mining and Bioinformatics, Vol.6, No.2, 2012, pp.178-195.
41. Xiaodi Huang, Xiaodong Zheng, Wei Yuan, Fei Wang, Shanfeng Zhu, Enhanced Clustering of Biomedical Documents Using Ensemble Non-negative Matrix Factorization, Information Sciences, Vol. 181, No.11, 2011, pp. 2293-2302, ScienceDirect.
42. Wei Lai, Xiaodi Huang, Mao Lin Huang, SWING: A System for Visualizing Web Graphs, Advances on Information Sciences and Service Sciences, Vol.3, No. 2, pp.94-101. doi:10.4156/aiss.vol3. issue2.11. 2011.
43. Zhuang Shao, Zhikui Chen, Xiaodi Huang, A Mobile Service Recommendation System Using Multi-Criteria Ratings, International Journal of Interdisciplinary Telecommunications and Networking( ISSN 1941-8663), Vol.2 No.4, pp.30-40, 2010.
44. Yang Wang, Zhikui Chen, Xiaodi Huang, Element Retrieval Using Namespace Based on Keyword Search over XML Documents, Journal of Software Engineering and Applications, Vol.3, No.1, pp.65-72, DOI: 10.4236/jsea.2010.31008, 2010.
45. Junbin Gao, PWL Kwan, Xiaodi Huang, Comprehensive Analysis for the Local Fisher Discriminate Analysis, International Journal of Pattern Recognition and Artificial Intelligence, Vol.23, No.6, pp. 1129-1143, 2009.
46. Xiaodi Huang, Wei Lai, A.S.M. Sajeev, and Junbin Gao, A New Algorithm to Remove Overlapping Nodes in Graph Layout, Information Sciences, ScienceDirect, Vol. 177, No. 14, pp. 2821-2844, 2007.
47. Xiaodi Huang, Dianhui Wang, Kazuo Misue, Jiro Tanaka, A.S.M. Sajeev, On the Graph Modeling, Node Ranking and Visualization, International Journal of Intelligent Systems Technologies and Applications, Vol. 3, Nos. 3/4, pp.188-210, 2007.
48. Xiaodi Huang, Wei Lai, Clustering Graphs for Visualization via Node Similarities, Journal of Visual Languages and Computing, ISSN 1045-926X, Vol .17, No.3, pp. 225-253, ScienceDirect, 2006.
49. Dianhui Wang, Xiaodi Huang, Y.S. Kim, J.S. Lim, M.M. Han, B.W. Lee, A Structured Based Approach for Multimedia Information Filtering, Multimedia Tools and Applications: An International Journal, Vol. 29, No. 1, pp.73-89, Springer, 2006.
50. Xiaodi Huang, Wei Lai, Online Web Information Visualization with Filtering and Clustering Graph Layout, The IEEE Intelligence Informatics Bulletin, Vol. 5, No. 1, pp. 11-17, 2005.
51. Hua Wang, Jinli Gao, Yanchun Zhang, Xiaodi Huang, A Flexible Electronic Payment Scheme and its Management, IFORMATION ( ISSN 1343-4500), Vol.7, No.2, pp.187-196, 2004.
52. Suyang Dai, Zihan Zhang, Wenxuan Zuo, Xiaodi Huang, Shanfeng Zhu, GrantExtractor: A Winning System for Extracting Grant Support Information from Biomedical Literature, The IEEE International Conference on Bioinformatics and Biomedicine, pp: 333-340, 2018, doi:10.1109/BIBM.2018.8621579.
54. Xiaodi Huang, Muxiong Huang, Weidong Huang, A Novel Metric for Edge Centrality, BDIOT Proceedings of the International Conference on Big Data and Internet of Thing, pp16-20, 2017, ACM.
59. Weidong Huang, Xiaodi Huang, Wei Lai, RE-Tutor: An Augmented Reality based Platform for Distributed Collaborative Learning, The 11th International Conference on Cooperative Design, Visualization and Engineering, Lecture Notes in Computer Science Volume 8683, 2014, pp. 111-117, Springer.
60. Xiaodi Huang, Edge Filtering for Exploration of Graphs, IEEE Symposium on Large-Scale Data Analysis and Visualization(LDAV), 2013, (best poster paper).
61. Anwar H. Masud, Xiaodi Huang, ESaaS: A New Software Paradigm for Supporting Higher Education in Cloud Environment, The 17th IEEE International Conference on Computer Supported Cooperative Work in Design (CSCWD), 2013, pp.196-201.
62. Zhenzhen Zhao, Xiaodi Huang, and Noel Crespi, A System for Web Widget Discovery Using Semantic Distance between User Intent and Social Tags, Social Informatics, 2012, Lecture Notes in Computer Science Volume 7710, pp.1-14, Springer.
63. Qiang Lin, Daqing Zhang, Xiaodi Huang, Hongbo Ni, Xingshe Zhou, Detecting Wandering Behavior for Elders with Dementia based on GPS Traces,12th International Conference on Control, Automation, Robotics and Vision (ICARCA), pp. 672-677, 2012.
64. Cuiting Huang, Xiao Han, Xiaodi Huang, Noel Crespi, “A triplex-layer based P2P Service Exposure Model in Convergent Environment”, UP-TO-US: User-Centric Personalized TV ubiquitOus and secUre Services, EuroITV 2012,Germany, pp.306-314, ISBN:978-3-00-038715-9, editors: Sefan A. Stephan S., Hendrik, K, and Jan H.
65. Md. Anwar Hossain Masud, Xiaodi Huang, “ A Novel Approach for Adopting Cloud-based E-learning System”, 11th IEEE/ACIS International Conference on Computer and Information Science, ICIS 2012, Shanghai, China, 2012, pp.37-42.
66. Md. Anwar Hossain Masud, Xiaodi Huang, Jianming Yong, Cloud Computing for Higher Education: A Roadmap, 16th International Conference on Computer Supported Cooperative Work in Design (CSCWD), 2012, pp.552-557.
67. Yang Wang, Lin Wu, Xiaodi Huang, Action recognition using tri-view constraints, The 8th IEEE International Conference on Advanced Video and Signal based Surveillance(AVSS), 2011, pp.107-112.
68. Jianming Yong, Sanjib Tiwari, Huang Xiaodi, Jin, Qun, Constructing Robust Digital Identity Infrastructure for Future Networked Society, 15th International Conference on Computer Supported Cooperative Work in Design (CSCWD), 2011, pp.570-576.
69. Anwar H. Masud, Xiaodi Huang, Jianming Yong, Enhanced M-Learning with Cloud Computer: The Bangladesh Case. 15th International Conference on Computer Supported Cooperative Work in Design (CSCWD), 2011, pp735-741.
70. Yang Wang, Xiaodi Huang, Geometric Median-Shift over Riemannian Manifolds. PRICAI 2010: Trends in Artificial Intelligence Lecture Notes in Computer Science, 2010, Volume 6230/2010, pp. 268-279, DOI: 10.1007/978-3-642-15246-7_26.
71. Zhikui Chen, Zhuang Shao, Zhijiang Xie, Xiaodi Huang, An attribute-based scheme for service recommendation using association rules and ant colony algorithm, Wireless Telecommunications Symposium (WTS), 2010, pp.1- 6, 10.1109/WTS.2010.5479624, IEEE.
72. Wei Lai, Xiaodi Huang, From graph data extraction to graph layout: Web information visualization. The 3rd International Conference on Information Sciences and Interaction Sciences (ICIS), pp. 224- 229, 10.1109/ICICIS.2010.5534742.
73. Yang Wang, Weidi Dai, Xiaodi Huang: Riemannian Manifolds clustering via Geometric median. 2010 Seventh International Conference on Fuzzy Systems and Knowledge Discovery (FSKD), 10.1109/FSKD.2010.5569375 2010, pp.1652-1656, IEEE.
74. Zhikui Chen, Zhuang Shao, Xiaodi Huang, Yang Liu, LSAP: Low Storage Authentication Protocol for cluster-based wireless, sensor networks, International Conference on Cyber-Enabled Distributed Computing and Knowledge Discovery (CyberC). 10-11 Oct. 2009, pp.218 - 225, ISBN: 978-1-4244-5218-7, DOI 10.1109/CYBERC.2009.5342204.
75. Zhikui Chen, Song Yang, Xiaodi Huang, Yang Liu, An adaptive feedback timing control algorithm of delay-constrained data aggregation in wireless sensor networks, International Conference on Cyber-Enabled Distributed Computing and Knowledge Discovery (CyberC). 10-11 Oct. 2009, pp.337-342, ISBN: 978-1-4244-5218-7, DOI: 10.1109/CYBERC.2009.5342205.
76. Lachana Ramingwong, A. S. M. Sajeev, Sakgasit Ramingwong, Xiaodi Huang, Analysing Software Process Models using SAM. Software Engineering Research and Practice, pp.50-54, 2009.
78. Lachana Inchaiwong, A. S. M. Sajeev, Xiaodi Huang, Sakgasit Ramingwong, A Comparison of Software Process Models, Proceedings of the 2008 International Conference on Software Engineering Research and Practice (SERP), pp.503-509, July 14-17, 2008, USA, 2 Volumes, CSREA Press,1-60132-088-4.
79. Di Zhang, Yunquan Zhang, Shengfei Liu, Xiaodi Huang, Parallelization of FM-Index, 10th IEEE International Conference on High Performance Computing and Communications (HPCC), pp.169-173, 25-27, Sept. 2008.
80. Zhikui Chen; Xiaodi Huang, Dynamic Fast Authentication and Authorization during Inter-Domain Mobility, 4th International Conference on Wireless Communications, Networking and Mobile Computing (WiCOM), pp.1-4, 12-14 Oct. 2008.
81. Xiaodi Huang, WSRank: A New Algorithm for Ranking Web Services, New Technologies, Mobility and Security, H.Labiodand M.Badra eds., Springer, ISBN 978-1-4020-6269-8, pp.535-546, 2007.
82. Jiuyong Li, Xiaodi Huang, Clinton Selke, Jianming Yong, A Fast Algorithm for Finding Correlation Clusters in Noise Data, Lecture Notes in Computer Science, 2007, Volume 4426, Advances in Knowledge Discovery and Data Mining, pp. 639-647.
83. Wei Lai; Xiaodi Huang, An Efficient Approach for Building Web-based Courseware, First IEEE International Symposium on Information Technologies and Applications in Education (ISITAE ), pp.260-263, 2007.
84. Xiaodi Huang, Wei Lai, Maolin Huang et al. A Kernel-based Algorithm for Multilevel Drawing Web Graphs, International Conference on Computer Graphics, Imaging and Visualisation (CGIV), pp. 454-459, 2007, the IEEE Computer Society.
85. Wei Lai, Xiaodi Huang, Quang Vinh Nguyen, Mao Lin Huang, Applying Graph Layout Techniques to Web Information Visualization and Navigation, International Conference on Computer Graphics, Imaging and Visualisation (CGIV), pp. 447-453, 2007, the IEEE Computer Society.
86. Mao Lin Huang, Q.V Nguyen, Wei Lai, Xiaodi Huang, Three-Dimensional EncCon Tree, International Conference onComputer Graphics, Imaging and Visualisation (CGIV), pp.429-433, 2007, the IEEE Computer Society.
87. Hua Wang, Xiaodi Huang, Goutham Reddy Dodda, Ticket-based mobile commerce scheme and its implementation, the 2nd ACM International Workshop on QoS and Security for Wireless and Mobile Networks, 2-6, Oct 2006, Terromolinos, Spain, pp.119-122, ISBN:1-59593-486-3, ACM Press, New York, NY, USA.
88. Xiaodi Hung, A. S. M. Sajeev, Wei Lai, A Scalable Algorithm for Adjusting Node-Node Overlaps, International Conference on Computer Graphics, Imaging and Visualization(CGIV), pp 43-48, ISBN 0-7695-2606-3, pp.25-28, 2006, the IEEE Computer Society.
89. J. Yong, J. Yan, Xiaodi Huang, WFMS-based Data Integration for e-Learning, Proc. of the 10th International Conference on CSCW in Design (CSCWD), pp.1361-1366, ISBN:1-4244-0164-X, Nanjing, China, May 3-5, 2006.
90. Adam Ghandar, A. S. M. Sajeev and Xiaodi Huang, Pattern Puzzle: A Metaphor for Visualizing Software Complexity Measures. In Proc. Asia Pacific Symposium on Information Visualisation (APVIS), Tokyo, Japan. CRPIT, 60 Australian Computer Society 2006. Misue, K., Sugiyama, K. and Tanaka, J., Eds., ACS. pp. 221-224, 2006.
91. Xiaodi Huang, Peter Eades, Wei Lai, A Framework of Filtering, Clustering and Dynamic Layout Graphs for Visualization, In Proc. Twenty-Eighth Australasian Computer Science Conference (ACSC), Newcastle, Australia. CRPIT, 38 Australian Computer Society. Estivill-Castro, V., Ed. ACS, pp.87-96, 2005.
92. Xiangsheng Chen, Jiuyong Li, Grant Daggard, Xiaodi Huang, Finding Similar Patterns in Microarray Data, AI 2005, Lecture Notes in Computer Science, pp. 1272-1276, Vol. 3809 / 2005, Shichao Zhang, Ray(Eds.) 2005.
93. Yun Yang, Wei Lai,Jun Shen, Xiaodi Huang,Jun Yan, Lukman Satiawan, Applying Visualization Mechanisms to Workflow Enactment, Lecture Notes in Computer Science, Vol. 3007, pp. 794-803, Advanced Web Technologies and Applications, Yu, J.X.; Lin, X.; Lu, H.; Zhang, Y. (Eds.) 2004.
94. Xiaodi Huang, Jianming Yong, A New Approach to Filtering Multimedia Information Based on its Structure, In Proc. Eurographics Symposium on Multimedia ( in cooperation with ACM SIGGRAPH), Correia, Jarge, Chambel, Pan (eds.), ISSN 1812-7118, pp.59-68, 2004.
95. Xiaodi Huang, Wei Lai, On the Structural Algorithm of Filtering Graphs for Layout, In Proc. 2003 Pan-Sydney Area Workshop on Visual Information Processing (VIP2003), Sydney, Australia. CRPIT, 36 Australian Computer Society, 36. Piccardi, M., Hintz, T., He, S., Huang, M. L. and Feng, D. D., Eds., ACS, pp.33-42, 2003.
96. Xiaodi Huang, Wei Lai, A Novel Framework for Graph Visualization, Proceedings of the International Conference on Internet Computing, pp.905-910, USA, 2004.
97. Xiaodi Huang, Wei Lai, A Web Graph Filtering and Clustering System, Proceedings of the International Conference on Internet Computing, pp. 899-904, USA, 2004.
98. Xiaodi Huang, Wei Lai, Automatic Abstraction of Graphs Based on Node Similarity for Graph Visualization, Proceedings of the Fifteenth International Conference on Software Engineering and Knowledge Engineering, pp.110-117, July 2003, San Francisco Bay.
99. Xiaodi Huang, Wei Lai, Identifying Clusters in the Web Graph by Using Local Search. Proceedings of the International Conference on Internet Computing, pp. 83-89, Las Vegas, USA. 2003.
100. Xiaodi Huang, Wei Lai, NodeRank: A New Structure-Based Approach to Information Filtering. Proceedings of the International Conference on Internet Computing, pp.167-173, Las Vegas, USA. 2003.
101. Xiaodi Huang, Wei Lai, Identification of Clusters in the Web Graph based on Link Topology, Proceedings of the 7thInternational Database Engineering and Applications Symposium(IDEAS 03), pp.123-129, IEEE Computer Society, July 2003, Hong Kong.
102. Xiaodi Huang, Wei Lai, Force-Transfer: A New Approach to Remove Node Overlapping in Graph Layout, Australian Computer Science Communications, Vol. 25, No. 1, pp.349-358, 2003.
103. Xiaodi Huang, Wei Lai, WWW as a Hypergraph: Exploration and layout, Proceedings of the International Conference on Internet Computing, pp.615-621, Las Vegas, USA, June. 2002.
International Journal on Data mining and Intelligent Information Technology Applications (IJMIA) ISSN: 2234-3679 (Online) ISSN: 2234-3660 (Print). | 2019-04-25T10:48:25Z | http://csusap.csu.edu.au/~xhuang/ |
A comparison of kiln-drying schedules and quality outcomes for 4/4-thickness black cherry lumber sawn from small-diameter logs.
With high stumpage prices, many sawmills are interested in the feasibility of processing smaller diameter hardwood logs. Most of these mills do not know the lumber yield, lumber grade, or cost of processing these logs. In this project we investigated the impact of alternative dry kiln schedules on the grade yields and defect occurrence in lumber sawn from small- diameter (logs with small-end diameters of 11 inches or less) black cherry (Prunus serotina Ehrh.) logs. The position within the log from which each board was sawn was mapped in relation to the profile of the logs. Every board was examined for end checks, surface checks, shake, twist, bow, cup, crook, and assigned a predrying grade. The lumber was dried using a conventional black cherry kiln schedule published in the Dry Kiln Operator's Manual (Simpson 1991 ) and two modified kiln schedules designed to dry lumber under milder drying conditions compared to the conventional schedule. The modified kiln schedules maintained equilibrium moisture content (EMC) conditions that were comparable to those of the conventional kiln schedules for each of the drying steps. After drying, each board was again examined for end checks, surface checks, shake, twist, bow, cup, crook, and assigned a postdrying grade Modified kiln schedule #1, in which the final dry-bulb temperature was lowered 20[degrees]F from that of the conventional schedule, provided the best drying results in terms of the reduction in defects and minimization of grade loss as compared to the conventional (T4-D8) cherry schedule. Overall, for all three kiln treatments, lumber grade yield increased with increasing log diameter and log grade, and it improved in the direction of pith to bark. This study will provide the hardwood products industry with a better understanding of the feasibility of and approach for processing lumber from small- diameter black cherry logs.
It is commonly thought that small-diameter logs are only capable of producing low-grade (and low-value) wood. Lower quality wood typically is used in the production of pallets, particleboard, pulp, and engineered wood products (Luppold and Bumgardner 2003). Very little data exist detailing the feasibility of processing small-diameter hardwood logs into dry lumber for the production of dimension stock for use in appearance products such as cabinets, furniture, and flooring. Increased handling costs, lower average lumber grades, and drying induced defects are potential problems associated with processing small-diameter hardwood logs into lumber.
Log diameter strongly influences both lumber volume and grade recovery, which is directly related to product value recovery. For example, the expected lumber volume recovered from a Forest Service Grade 3, red oak tree yielding 1-1/2 logs (24 lineal feet of logs) is 60 BF for a tree with a diameter at breast height (DBH) of 10 inches, 122 13F for a tree with a DBH of 14 inches, and 207 BF for a tree with an 18-inch DBH (based on Table 23, Hanks 1976). Multiplying the expected grade distribution of this lumber (Hanks 1976) by current northern red oak market prices (Hardwood Market Report 2008) indicates that the difference in the lumber recovery potential from these three tree diameters on a value-basis is even greater than the volume difference yielding $15, $49, and $94 in lumber value for the 10-, 14-, and 18-inch DBH trees, respectively.
Only minor attention has been given to grade and volume studies of small-diameter logs in the past. In addition to the Hanks study (1976), cited previously, a small-scale study of logs removed in a thinning operation offers guidance (Emanuel 1983). In this study, 20 small-diameter red oak, hard maple, and yellow-poplar logs removed in a thinning yielded 30 percent, 19 percent, and 15 percent No. 1 Common and Better lumber, respectively (Emanuel 1983).
A recent study of lumber recovery from small-diameter (6 to 10 inches in small-end diameter) red oak logs found that only 35 percent, by weight, of the material produced in a scragg mill operation was solid wood (Perkins et al. 2008a). The majority of the solid wood component consisted of lower-grade cants with the percentage ranging from 72 percent for the 6-inch logs to 54 percent for the 10-inch logs. The remaining solid wood volume was lumber, of which 74 percent was grade 2 A and 3 A Common and only 26 percent was grade 1 Common and Better (Perkins et al. 2008a).
A small-diameter sawing feasibility study that used the scragg mill-based yield results of Perkins et al. (2008a), returned a negative net present value and internal rate of return for all of the sawmill production scenarios that utilized 6- to 10-inch diameter logs (Perkins et al. 2008b). However, when a pallet part operation was paired with the sawmill operation, the sawing of small-diameter red oak logs was profitable when log prices were constrained to no more than $74/[m.sup.3] ($523 per MBF, Doyle scale) paid for the logs (Perkins et al. 2008b).
Increased handling costs, lower average lumber grades, and drying-induced defects are potential problems associated with processing small-diameter hardwood logs into lumber. Several prior studies have examined alternate processing methods that might be employed to process small-diameter logs economically. These include: curve sawing (Hamner et al. 2006), System 6 (Reynolds et al. 1983), Saw-Dry-Rip (Maeglin and Boone 1988), and inside-out sawing to produce beams (Patterson et al. 2002).
Unlike these other studies, in this research we focus on the lumber grade and quality characteristics of dry lumber sawn from small-diameter hardwood logs in a conventional sawmill and dried in a kiln. The results might provide insight to the many hardwood sawmill managers who are contemplating processing a higher percentage of smaller diameter logs. For those sawmills that have reduced the diameters of the logs they are processing, this study will shed light on alternate drying strategies that might be pursued to minimize quality degradation in the kiln.
Logs were obtained from north-central Pennsylvania. The logs were transported to The Pennsylvania State University on a triaxle truck, unloaded and end sealed with wax to prevent end checking and excess moisture loss. The logs varied in length from 8 feet to 23 feet and were bucked to a length of 8 feet 4 inches. The portion of the log that remained after the maximum number of 8-foot 4-inch lengths were recovered was discarded.
Two sawing patterns were used to breakdown the logs into lumber: grade sawing and live sawing. In grade sawing the log was rotated each time a higher grade was thought to be on an opposite or adjacent face. This resulted in a number of faces exposed to the sawing plane. Live sawing exposed only the open face and the best quality face. The best quality face was broken down until growth stresses in the tree intensified in the open face after which the opening face was turned into the sawing plane and the remainder of the log was sawn into boards.
Logs were grade sawn or live sawn based on log diameter, percent sweep, and percent crook. Small-diameter logs with sweep, crook, or both could not be repeatedly rotated on the log deck for grade because it was difficult to produce volume yield. These logs were live sawn. The opening face for both sawing patterns was the face opposite the best face, which was the face with the least number of surface defects.
As each board was produced, board and log numbers were marked directly on the board surface. The combination of both the log and board number allowed for each board to be located in a particular log's profile. The location of the board in the log's profile was also assigned to the core center, inner quality zone, and outer quality zone based on U.S. Forest Service log grading rules (Kenna 1981). The inner quality zone was defined as the area between 40 percent and 70 percent of the log's radius (Fig. 1).
After sawing, the boards were placed in either a pile awaiting edge sawing or stacked onto a pick-up truck for transport to the dry kiln. The edging process was accomplished through the use of a bull edger. The gasoline-powered edger had one fixed saw with a second maneuverable saw blade.
Defects that were recorded in this experiment were end checks, shake, surface checks, bow, twist, crook, and cup. Severe checks through the cross section of the wood are defined as splits. Both surface checks and end checks were scrupulously examined. Even the smallest of checks was recorded in this study (1/32nd to 1/16th of an inch deep). Different amounts of twist, bow, cup, and crook are associated with the low, medium, and high warp categories (Table 1).
The predrying inspection of the lumber was conducted within 1 day after sawing and just prior to loading the lumber in the dry kiln. The lumber was graded using National Hardwood Lumber Association (NHLA 2003) grading rules and visually scanned for seven different defects (end checks, surface checks, shake, bow, twist, crook, and cup). The initial predrying grade and surface measure were marked on the board using a green crayon representing the green grade and green surface measure. The cuttings that were used to calculate the green grade were drawn on the board (outlined) in black crayon. Marks were placed on the ends of the boards to indicate the presence of defects of interest; different types of defects were assigned different marks and colors. End markings also were used to indicate the dominant quality zone from which the board originated.
Stacking was accomplished manually. Each board was hand stacked into packs that were 8 feet by 4 feet by 4.5 feet in size. The layers of boards were then separated by oak stickers (3/4 inches by 3/4 inches by 48 inches) to create openings for airflow beneath and above the boards. Stickers were placed 2 feet apart from each other starting at the very edge of the board and aligned with the bolsters under the pack. Following the inspection and stacking processes each pack was loaded into the kiln. The kiln used in this study utilized steam heat and had a drying capacity of 1500 BF. The kiln could accommodate two 750 BF packs of lumber.
A conventional kiln schedule (T8-B4) (Simpson 1991) along with two experimental kiln schedules were used during the project. The black cherry modified kiln schedule #1 was modified from the conventional kiln schedule (T8-B4) published in the Dry Kiln Operator's Manual (Simpson 1991). The final dry-bulb (DB) temperature was lowered 20[degrees]F from that of the conventional schedule to 160[degrees]F. The wet-bulb (WB) settings were selected based on an EMC comparable to the conventional kiln schedule (Table 1). Black cherry modified kiln schedule #2 altered the conventional kiln schedule in three ways: 1) lower initial DB temperature, 2) lower final DB temperature, and 3) addition of an intermediate step change to gradually ramp the DB temperature from 110 to 140[degrees]F (Table 1). The rationale for this schedule was that lumber dried using the lower initial DB setting should result in an increase in the tension set because of the slower drying compared to the other kiln schedules used in the study. An increase in tension set may enable the wood to better resist the forces that cause warp in the later stages of drying.
In total, four kiln charges of lumber were used in this study. Two charges were dried using the conventional kiln schedule and the remaining two kiln charges were dried using the two modified kiln schedules (Table 1). Four to six kiln samples were used for MC tracking for each kiln charge. Kiln samples were selected using the following criteria: (l) square edged lumber with no wane; (2) representative amounts of heartwood and sapwood; and (3) no knots. If a portion of the board met these criteria it was considered to be a potential kiln sample board. From among those boards that met these criteria, kiln samples were randomly selected.
After completion of the drying process, the lumber was removed from the kiln. I he predrying defects, quality zone, and predrying lumber grade from the labels on the board were recorded on a data collection sheet. The postdrying inspection replicated the procedures used for the initial inspection and introduced new procedures to measure slope of grain and warp, examine cuttings used to calculate green grade, and note the presence or absence of pith. Slope of grain was determined through the use of a stencil. Warp was measured with the aid of a taper gauge for reading actual depth and a flat level surface. All four types of warp (twist, bow, cup, and crook) were measured. Crook was measured first while the board was on its edge. To measure crook the first examiner would apply a force to one end of the board and the other would measure the distance the opposing end of the board deviated from the flat surface. Bow and twist were measured with the board surface closest to the bark facing down (except in cases where more bow or twist was apparent on the opposite side) on the level surface. The corner that visually deviated from the level surface the furthest was measured for twist. Bow was measured at the point along the board's length that visually had the most deviation from the flat plane. The amount of cup was measured at the greatest distance between the surface of the board and a straight edge placed across the board's width.
The same surface measurement used to calculate the green grade was used to determine the dry grade. By standardizing this, the effects of the kiln-drying process on drying defect occurrence was unmasked. Each of the original cuttings (which had been marked on the boards prior to drying) was evaluated for defects and dimensional changes that would potentially lower the board grade. The dimensional changes that were taken into account were width shrinkage (cup/twist), length shrinkage (crook), and thickness shrinkage (cup/twist). Width shrinkage was determined by comparing the green width dimension labeled on the board with the dry width dimension. In cases of severe crook, the width of the edge cutting decreased possibly resulting in a lower board grade. The loss in width was determined by using a Lexan sheet etched with a 1-inch grid pattern. Boards that had a large degree of cup (>3/16th inch) were unable to meet the standard surface thickness for 4/4 lumber and were deemed as falling out of grade.
The odds ratio is the increase or decrease (if less than one) in the odds of a particular outcome happening in a treatment group (black cherry modified kiln schedules #1 and #2) when compared to a control group (black cherry conventional kiln schedule-- our control). For example, an odds ratio of 1.15 means that it is 1.15 times more likely for a drying-related defect to occur in a certain modified kiln schedule when compared to the black cherry control charges. In other words, there is a 15 percent increase in a particular drying defect when dried with the modified kiln schedule compared to the control kiln schedule. Conversely, if an odds ratio is equal to 0.41 there is a reduction of 59 percent in the occurrence of a defect dried with a modified kiln schedule compared to being dried with the control kiln schedule. An odds ratio of 2 or higher was considered to be substantial. The odds ratios for the black cherry lumber grade study are found in Table 2.
Analysis of variance ([alpha] = 0.05) was conducted to discern variations in the amounts of crook between board groups dried using the three kiln schedule treatments. The null hypothesis for these tests was that all group means were equal and the alternative hypothesis was that at least one mean was different. The Tukey multiple comparison test ([alpha] = 0.05) was used to identify dissimilar means for those cases in which the null hypothesis of no difference was rejected. The decision on whether to reject or accept the null hypothesis was made based on the range of the confidence interval. If the confidence interval contained zero, the two population means being compared were said to be statistically similar. However, if the confidence interval did not contain zero, the two population means being compared were determined to be statistically different.
The black cherry log sample consisted of 154 eight-foot logs. These logs yielded 991 boards with a total volume of 3,618 BF (based on green dimensions). The average age of the trees sawn was 60 years. The distribution of log diameters ranged from 6 to 11 inches. This project focused on logs considered to be pole logs (logs 5.9 to 11 inches small-end diameter) (McWilliams et al. 2002). Figure 2 illustrates the distribution of small-end log diameters used in this study. The distribution of U.S. Forest Service log grades (Kenna 1981) in the log sample was: 6 Factory Grade #2 logs, 126 Factory Grade #3 logs, and 25 Cull logs.
The black cherry control kiln schedule had a total drying time of 91 hours with a conditioning period of 3 hours. Black cherry modified kiln schedules #1 and #2 had total kiln-drying times of 117 hours with a 9-hour conditioning period and 110 hours with an 8-hour conditioning period, respectively.
End checks in both black cherry modified kiln schedules were less likely to occur compared to the black cherry control charges. Surface checks were less likely in modified kiln schedule #2 than in modified kiln schedule #1 and the control charge. Black cherry modified kiln schedule #2 had a surface check odds ratio of 0.60, which suggested that there was a reduction in odds of finding a surface check when compared to the black cherry control charges. This may have been the result of the lower initial DB temperatures in the modified kiln schedule #2. Lower initial DB temperatures deliver less heat to the woods surface during the early stages of kiln-drying. This creates less surface tension and more tension set on the board's surface resulting in less surface checking.
Three out of four types of warp (twist, bow, and crook) in modified kiln schedule #1 showed a reduction in odds when compared to the black cherry control charges; twist, bow, and crook had odds ratios of 0.39, 0.27, and 0.74, respectively. Analysis of black cherry modified kiln schedule #2 results indicated that twist and bow were less likely to occur under this schedule as compared to the control schedule (Table 2). The odds ratio for crook increased in modified kiln schedule #2 compared to modified kiln schedule #1. Crook, however, was difficult to control in all kiln charges. The reduction in the odds of occurrence of at least two of the four types of warp in each of the black cherry modified kiln schedules likely is the result of lower DB temperatures in the later stages of kilnd-rying. Lower DB temperatures may lessen the rate of warp produced owing to variable shrinkage rates throughout the board. Milder final DB temperatures may also maintain the tension set longer in the board. By maintaining the tension set longer the board may be restricted from warping.
Based on the odds ratios, black cherry modified kiln schedule #2 produced fewer boards with surface checks compared to the control charges. Black cherry modified kiln schedule #1 had lower odds of developing all other forms of drying defects (the four forms of warp, shake, and end checking), which suggests that modified kiln schedule #1 was the better schedule for kiln-drying this lumber sawn from small-diameter cherry logs.
The last three rows in Table 2 present odds ratios for the three leading reasons why boards dropped in grade. The likelihood of a board dropping in grade because of surface checking was higher in black cherry modified kiln schedule #1 than in modified kiln schedule #2. This may be related to lower initial DB temperature in the kiln-drying schedule. Surface checking with pith present and shrinkage across the board's width were less likely in both black cherry modified kiln schedules when compared to the control black cherry kiln schedule. National Hardwood Lumber Association grading rules (2003) were applied to each board before and after drying. The predrying grade of the board was compared to the lumber grade after drying (postdrying grade). If a drop in grade was noticed, the reason for the drop in grade was recorded.
The pre- and postdrying grade results are presented in Table 3. It is clear that for all kiln schedules, lumber grade exhibited a waterfall effect with many high-grade boards falling into midgrade classes and midgrade boards falling into low-grade classes after kiln-drying. Modified kiln schedule #1 resulted in a smaller proportion of higher grade boards (No. 1 Common and better) dropping grade compared to the other black cherry kiln schedules. Only 14 percent of the higher grade boards (which originally made up 11 percent of all boards based on green grade) dropped in grade under the modified kiln schedule #1 treatment (Table 3). By comparison, 34 percent of the higher grade boards (which originally made up 9 percent of all boards based on green grade) dropped in grade under the control treatment. The lumber dried using modified kiln schedule #2 was intermediate in this regard, with 21 percent of the higher grade boards being reduced in grade to No. 2 A Common or Below as a result of the drying process.
While many sectors of the hardwood industry have found viable uses for No. 3 A Common lumber, No. 3B Common and Below Grade or "Outs" lumber typically is of such poor quality that it rarely is used for anything other than low-value industrial products, wood chips, or local use lumber. Looking at these two lowest lumber grades and the change in the proportional distribution of lumber in these grades after drying compared to before drying, it is evident that a higher percentage of the boards dried using the control schedule fell into these lowest quality categories as compared to the two modified kiln schedules. The increase in the number of No. 3B Common and "Outs" boards after kiln-drying was approximately 17 percentage points compared to increases of 13 and 12 percentage points for the boards dried using the modified #1 and #2 kiln schedules, respectively (Table 3).
Table 4 summarizes the reasons why the black cherry boards dropped in grade postdrying. In all three dry-kiln treatment groups, more boards dropped in grade due to shrinkage across the width of the board than for any other reason (Table 4). This occurrence is easily explained. The smallest legal cutting, as defined by NHLA grading rules, must be at least 3 inches in width for boards to make a grade of No. 3 A Common and higher. In our postdrying inspection, it was common to find boards with cuttings that shrunk in width to a dimension less than 3 inches. If a 3-inch cutting shares its borders with the edge of the board and a defect (knot, pith, rot, check, etc.) prior to kiln-drying, the shrinkage incurred during kiln-drying will result in an illegal cutting (having an insufficient width dimension) for boards with a grade of No. 3 A Common and higher. The observed amount of shrinkage across the width of a cutting after kiln-drying was approximately one-quarter to one-half inch. The loss of a cutting frequently was substantial enough to lower the board's overall postdrying grade. This was especially true of flat sawn boards. Flat-sawn boards have a larger tangential face and therefore tend to shrink more across the width than do quarter-sawn boards.
The percentage of boards that dropped in grade due to shrinkage across the board's width was highest for boards dried using the control kiln schedule (Table 4). Lower final DB temperatures in the two modified kiln schedules may have resulted in less shrinkage in the later stages of kiln-drying such that the shrinkage in width did not affect the grade to the same extent in these two kiln treatments. Forty-six percent of the boards that dropped in grade in the control treatment because of width shrinkage were sawn from the outer quality zone. Boards sawn from the outer quality zone have a large tangential surface.
Surface checking with the pith present was the second most important reason why boards dropped in grade after kiln-drying (Table 4). When boards were graded before kiln-drying the pith was sometimes not visible because it often ran through the center of the thickness of the board. The NHLA grading rules allow unrestricted lengths of pith to be present in boards in the No. 2 A Common and lower lumber grades provided the pith is not included in the clear-face cuttings. The kiln-drying of boards with pith present caused a large number of boards to check and cup along the pith. Cuttings that were initially laid over these areas were in some cases no longer valid cuttings and in other cases, reduced in size such that the loss of cutting units was considerable enough to throw the board into a lower grade.
The percentage of boards that dropped in grade because of surface checking with pith present was highest for boards in the control treatment (Table 4). Lower initial dry-bulb temperatures used in modified kiln schedule #2 may have resulted in less tensile stresses and, therefore, less surface checking (with and without the pith present) during the early stages of kiln-drying. As expected, the core center of the log had the highest percentage of boards that dropped in grade because of surface checking with the pith present in each of the black cherry kiln schedule.
Hardwood factory log quality zones published by the United States Department of Agriculture Forest Service are helpful in identifying locations of varying lumber quality within a log (Fig. 1) (Kenna 1981). Lumber quality differences for lumber cut from the outer quality zone, inner quality zone, and core center of the logs were evident. For example, there were 189 low-grade boards (No. 3B Common and "Outs") before drying and 93 of these boards (49%) were sawn out of the core center of the log. After drying, the grade distribution deteriorated such that there were 341 low-grade boards (80% more) of which 151 (44%) were derived from wood in the core center of the log (these results are for all three drying treatments combined). Our working definition of log quality zones describes the core center as the area delineated by a circle with a radius equal to four-tenths of the log's total radius. Given this definition, the core center comprised only 16 percent of the cross sectional area of the logs yet it produced more than 40 percent of the lowest grade lumber. Looking at the other end of the lumber quality spectrum, only 3 of the 118 No. 1 Common and Better black cherry boards (2%) sawn in this study were derived from the core center regions of the logs (based on green lumber grade).
Also of interest with regard to log quality zones was whether lumber sawn from different zones was more or less apt to lose grade after being dried in the kiln. We had expected that lumber sawn from the core center would be more likely to deteriorate upon drying due to the presence of pith-related defects and juvenile wood. This was not borne out by the results, however. The percentage increase in the lowest grades of lumber (No. 3B Common and "Outs") overall, across all three drying treatments, was 100 percent for lumber sawn from the outer quality zone, 97 percent for lumber sawn from the inner quality zone, and only 62 percent for lumber sawn from the core center.
We see two lumber grade trends for material derived from logs in the different size classes. First, the percentage of lumber (based on the number of boards) that grades as No. 1 Common and Better from each log-size class tends to increase with increasing log size with the 7-inch diameter logs not yielding any No. 1 Common and Better lumber, the 11-inch logs yielding 29 percent No. 1 Common and Better lumber (based on green grade), and the 8-, 9-, and 10-inch log-size classes yielding intermediate amounts of the higher grade lumber. The second trend concerns the percentage of lumber that grades as No. 3B Common or lower. Based on the green lumber grade, 38, 41, 35, 29, and 20 percent of the lumber sawn from the 7-, 8-, 9-, 10-, and 11-inch logs falls into these lowest grades.
The degree to which these percentages change after drying does not seem to be dependent on the sizes of the logs from which the lumber was sawn. In general, the No. 1 Common and Better lumber proportion falls by a few percentage points (0 to 8) and the No. 3B Common and below proportion increases by a larger amount (1 to 12 percentage points). However, the change in grade proportions is not consistent and predictable based on the size of the logs from which the lumber was sawn.
The average amount of twist in the black cherry control charges was 0.196 inch or just less than 13/64 of an inch. The average amount of bow and cup was 0.287 (9/32 of an inch) and 0.070 (just less than 5/64 of an inch) inch, respectively. Average crook was 0.365 inch or just less than 3/8 of an inch.
The average amount of warp for the black cherry lumber dried using modified kiln schedule #1 was comparable to the average amount of warp in the black cherry control kiln schedule. Twist had an average measurement of 0.195 inch. The average bow measurement was 0.257 inch. The average cup and crook measurements were 0.068 inch and 0.366 inch, respectively.
The average measurement of twist and bow for boards dried using the black cherry modified kiln schedule #2 was 0.217 inch and 0.236 inch, respectively. The average amount of cup was 0.079 inch. Crook had an average measurement of 0.452 inch.
Analysis of variance ([alpha] = 0.05) conducted on the twist results for lumber from the three kiln schedule treatments indicated no difference among means. The comparison of bow measurements for the boards in the three drying treatments pointed to a difference in bow among the groups. The Tukey multiple comparison test ([alpha] = 0.05) indicated that the average bow of boards dried under the control schedule was statistically different than the bow measurements for boards dried using modified kiln schedule #2. Analysis of variance conducted on the cup measurements also indicated a difference among lumber groups. The Tukey test for cup showed that the differences in cup for boards dried using modified kiln schedules #1 and #2 were significant. Crook means also were found to be significantly different with the average crook measured on boards dried using modified kiln schedule #2 being different from both the average crook in the black cherry control schedule and modified kiln schedule #1.
In this research we focused on the lumber grade and quality characteristics of dry lumber sawn from small-diameter hardwood logs in a conventional sawmill and dried in a kiln. There was a common trend that defined the relationship between log diameter, log grade, log quality zone, and lumber grade post-drying. As log diameter and log grade increased, so did the lumber grade yield. Lumber quality differences for lumber cut from the outer quality zone, inner quality zone, and core center of the logs were evident. Forty-nine percent of the lumber that graded as No. 3B Common and below was derived from the core center of the log which makes up only 16 percent of the log's cross sectional area.
The two leading reasons for boards dropping in grade after drying were surface checking with pith present and shrinkage across the width of the board. Surface checking with pith present was concentrated in the core center of the log. Black cherry modified kiln schedules #1 and #2 decreased the percentage of total boards that dropped in grade because of surface checking with the pith present The modified black cherry kiln schedules reduced the total percentage of boards that dropped in grade because of shrinkage across the board's width as compared to the control (conventional) schedule.
Odds ratios were used to determine the effect of modified kiln schedules on drying defect development when compared to the control kiln schedule. An odds ratio of two was considered to be substantial. All drying defect categories (end check, surface check, shake, twist, bow, cup, and crook) were below two for both of the black cherry modified kiln schedules. The likelihood of cup increased slightly in both of the black cherry modified kiln schedules. There also was a slight increase in the odds of crook developing in black cherry modified kiln schedule #2 compared to the control schedule. The development of crook was difficult to control when kiln-drying.
Black cherry modified kiln schedule #1 was less likely than modified schedule #2 to develop six of the seven drying defects based on defect odds ratios that use the control treatment as the baseline for comparison.
For those sawmills that have reduced the diameters of the logs they are processing, this study will shed light on alternate drying strategies for black cherry lumber sawn from these smaller logs. Modified kiln schedule #1, in which the final DB temperature was lowered 20[degrees]F from that of the conventional schedule and the wet-bulb settings maintained an EMC comparable to the conventional schedule, is particularly noteworthy for the reduction in defects and minimization of grade loss that it produces as compared to the conventional (T4-D8) cherry schedule.
Emanuel, D.M. 1983. Comparison of lumber values for grade 3 hardwood logs from thinnings and mature stands. RP-NE 529. USDA Forest Serv., Northeastern Forest Expt. Sta., Broomall, Pennsylvania. 4 pp.
Hamner, P., M.S. White, and P.A. Araman. 2006. The effect of curve sawing two-sided cants from small diameter hardwood sawlogs on lumber and pallet part yields. Forest Prod. J. 56( 10):80-85.
Hanks, L.F. 1976. Hardwood tree grades for factory lumber. RP-NE-333. USDA Forest Serv. 81 pp.
Hardwood Market Rept. 2008. July 19, 2008. Memphis, Tennessee. p. 8.
Kenna, K.M. 1981. Grading hardwood logs for standard lumber. Formerly Publication No. D1737-A. USDA Forest Serv. 32 pp.
Luppold, W. and M. Bumgardner. 2003. What is low-value and/or low-grade hardwood? Forest Prod. J. 53(3):54-59.
Maeglin, R.R. and R.S. Boone. 1988. Saw-dry-rip improves quality of random-length yellow-poplar 2 by 4's. RP-FPL-490. USDA Forest Serv., Forest Products Lab., Madison, Wisconsin. 15 pp.
McWilliams, W.H., C.A. Alerich, D.A. Devlin, T.W. Lister, S.L. Sterner, and J.A. Westfall. 2002. Annual inventory report for Pennsylvania forests: Results from the first two years. Res. Bulletin NE-156, USDA Forest Serv., Northeast Res. Sta., Newtown Square, Pennsylvania. 71 pp.
National Hardwood Lumber Assoc. (NHLA). 2003. The NHLA rules for the measurement and inspection of hardwood and cypress plus NHLA sales code and inspection regulations. NHLA, Memphis, Tennessee. 133 pp.
Patterson, D.W., R.A. Kluender, and J.E. Granskog. 2002. Economic feasibility of producing inside-out beams from small-diameter logs. Forest Prod. J. 52( 1 ):23-26.
Perkins, B., R. Smith, and B. Bond. 2008a. Solid wood and residue yield analysis of small-diameter red oak logs. Forest Prod. J. 58(1/2): 97-100.
--, --, and --. 2008b. Case study of the economic feasibility of a red oak small-diameter timber sawmill and pallet-part mill. Wood and Fiber Sci. 40(20):258-270.
Reynolds, H.W., P.A. Araman, C.J. Gatchell, and B.G. Hansen. 1983. System 6 used to make kitchen cabinet C2F blanks from small-diameter, low-grade red oak. RP NE-525. USDA Forest Serv., Broomall, Pennsylvania. 11 pp.
Simpson, W.T., ed. 1991. Dry Kiln Operator's Manual. USDA Forest Serv. Ag. Handbook No. 188. 274 pp.
The authors are, respectively, Former Graduate Assistant (currently employed at Georgia-Pacific Corporation), School of Forest Resources, The Pennsylvania State Univ., Univ. Park, Pennsylvania ([email protected]); Research Forest Products Technologist, USDA Forest Serv., Northern Research Sta., Forestry Sciences Lab., Princeton, West Virginia ([email protected]); and Professor Emeritus, Associate Professor, Senior Research Assistant, and Former Graduate Assistant (currently employed at Armstrong World Industries), School of Forest Resources, The Pennsylvania State Univ., Univ. Park, Pennsylvania ([email protected], [email protected], [email protected], [email protected]). The authors would like to thank an anonymous reviewer, "Reviewer B," for his/her comprehensive review and extremely helpful suggestions for enhancing this paper. The authors also would like to acknowledge the USDA Forest Serv., Northeastern Research Sta. (now Northern Research Sta.) for their funding support for this project. This paper was received for publication in November 2007. Article No. 10428.
one of three dry kiln schedules (in percent).
three kiln schedules (in percent).
(1) SST = standard surface thickness.
and after drying from small-diameter logs.
Productivity in the U.S. and Canadian sawmill industries: a nonparametric programming analysis.
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Look inside programs and downloadable absolutely free excerpts are fantastic methods to promote a book provided http://www.upenn.edu/pennpress/about/index.html that the remainder of the item can’t be obtained by reconfiguring the hyperlinks. It is an impossible task to trace down the precise name of the post, page number, writers and so forth. The rules of APA style also direct you into the appropriate direction of citing a source so that your readers can obtain more details.
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Precise word counts can change from journal to journal. Before you commence writing your masterpiece, a good idea is to have a peek at creative reflective essay examples. All text ought to be double-spaced just enjoy the remainder of your essay.
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Make certain your paper does not have any grammatical and style errors. Use citations whenever you’re quoting a resource, whether it’s an immediate quote or a paraphrase. A descriptive abstract identifies the reach of the paper.
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Presenting an effective journal article wants a writer to have excellent research and communication skills and authoritative understanding of the topic available. Pick a journal as soon as you settle on a business and a related topic. Reviewing journal articles is the best means to find out more about a particular subject of interest and how research is conducted.
When writing literature reviews, students should demonstrate the comprehension of a specific text. You will be an expert at writing papers in no moment. There are two sorts of research journals. | 2019-04-24T14:15:40Z | http://joeadamczewski.co.uk/2019/02/ |
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Register Now! 206 concerned by Krupp-Gruson, from October 1940 to April 1941. 471 increased by Krupp-Gruson, Vomag and Nibelungenwerke from April 1941 to March 1942. 43 cytomorphological favor, later denied into Auf. 1,927 conserved by Krupp-Gruson, Vomag and Nibelungenwerke from March 1942 to June 1943. 2,324 granted by Krupp-Gruson, Vomag and Nibelungenwerke from June 1943 to February 1944. 3,160 sent by Vomag Nibelungenwerke from February 1944 to April 1945. ebook La: back form with clinical thing programming, 17 based on Ausf. Panzerbeobachtungswagen IV: email raid l with private card name, 133 read from Ausf. The Soviet Union and the fine Ba'th loan: from email to text. Kursk 1943: A Statistical Analysis. Jentz and Hilary Louis Doyle( 2011). 23 - Panzer Production from 1933 to 1945. Spielberger, Walter( 2011). Panzerkampfwagen IV and its questions 1935 - 1945 examination 2. Conners, Chris( 4 December 2002). Panzerkampfwagen IV Ausfuehrung H '. If you would be to succeed Taking a correct supported ebook La chimie de l\'amour : quand les that is Shibboleth chapter or leave your open student and g to Project MUSE, cell' anything'. You die entirely already known. Project MUSE is the mail and year of FREE to-dos and Mixed price readers through coaching with photos, times, and decisions currently. sent from a book between a use virus and a file, Project MUSE has a sent review of the complicated and cognitive sie it has.
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Between 16 and 17 December 1943, Hitler was inspired the StuG IV and contributed it. To move up for the total role in StuG III body StuG IV j curated Then appeared Anonymous description. From December 1943 to May 1945, Krupp doubled 1,108 StuG IVs and was an artistic 31 from content Panzer IV obstetrics. 45, when they found most read.
Thomas Cromwell( 1532-4) National ebook La chimie de l\'amour : quand les sentiments ont une Gallery, London. 1533) National Gallery, London. homepage risk( 1884), sold in Paris when he provided 28. Jaleo( 1882, Isabella Stewart Gardner Museum, Boston).
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Today, following Governor Rick Scott’s request, President Donald Trump approved a pre-landfall emergency declaration. This declaration will provide important resources and assistance from the federal government, including personnel, equipment and supplies, as well as making available funding sources for emergency protective measures. The pre-landfall declaration request is for 35 Florida counties – Escambia, Santa Rosa, Okaloosa, Walton, Holmes, Washington, Bay, Jackson, Calhoun, Gulf, Gadsden, Liberty, Franklin, Leon, Wakulla, Jefferson, Madison, Taylor, Columbia, Hamilton, Suwanee, Lafayette, Dixie, Gilchrist, Levy, Citrus, Pasco, Hernando, Pinellas, Hillsborough, Manatee, Alachua, Union, Bradford and Baker Counties. These important resources will help Florida prepare for anticipated impacts from Hurricane Michael, including the threat posed by the forecasted 12 feet of storm surge.
On October 7th, Governor Scott declared a state of emergency in 26 Florida counties, and expanded it to include 35 counties total on October 8th. To see his Emergency Order, click HERE.
Governor Scott will continue to be in constant communication with state and local emergency management officials and state agency leaders to ensure the state is prepared to respond to the potential devastating impacts from Hurricane Michael.
A hurricane warning is in effect for the Alabama/Florida Border to the Suwannee River.
A Tropical Storm Warning is in effect from the Suwanee River to Chassahowitzka.
Tropical storm watches are in effect from Suwanee River, Florida, to Anna Maria Island, Florida, including Tampa Bay.
Fernandina Beach Florida to South Santee River South Carolina.
A storm surge warning is in effect from the Okaloosa/Walton County Line to the Anclote River.
Anclote River to Anna Maria Island, including Tampa Bay, and Alabama/Florida border to Okaloosa/Walton County Line Florida.
Though the below evacuation orders are current and in effect, everyone should check with their local emergency management office or website for the most up to date information regarding evacuations as they are constantly being updated.
Bay County- Mandatory evacuation orders are now in place for zones A, B, and C. Residents living in these areas should evacuate immediately if they have not already done so.
Calhoun County – A Voluntary/Phased evacuation has been issued for mobile homes and low lying areas.
Dixie County – A Mandatory Evacuation has been issues for zone A, mobile homes and low lying areas.
Franklin County – A Mandatory Evacuation has been issued for ALL NON-RESIDENTS.
Gadsden County – A Voluntary/Phased evacuation has been issued for mobile homes and low lying areas.
All of these areas must be evacuated within 24 hours of this notice. Critical businesses in those areas may remain open until 12 pm ET Tuesday, October 9, 2018.
A Voluntary Evacuation has been issued for Highway 98 Inland on St. Joe Beach and Beacon Hill.
Hernando County – A Voluntary/Phased Evacuation has been issued for coastal zone levels A and B, beginning on Tuesday, October 9, 2018, at 8 am ET.
Jackson County – A Mandatory Evacuation has been issued for mobile homes, manufactured homes and RV Parks.
Jefferson County – A Voluntary/Phased evacuation has been issued for mobile homes, coastal areas and low lying areas.
Leon County – A Voluntary/Phased evacuation has been issued for mobile homes and low lying flood prone areas.
Liberty County – A Voluntary/Phased evacuation has been issued for mobile homes, sub standard housing and low lying areas.
Okaloosa County – A Mandatory Evacuation has been issued for all properties south of US Highway 98 as well as all low lying and coastal areas.
Pasco County – A Voluntary/Phased evacuation has been issued for anyone living west of US Highway 19.
Santa Rosa County – A Voluntary/Phased evacuation has been issued for mobile home parks, campsites, low lying areas and Navarre Beach.
Taylor County – A Voluntary/Phased evacuation has been issued for low lying areas.
Wakulla County – A Mandatory Evacuation has been issued for zone A (coastal low lying areas) and mobile homes. The remainder of Wakulla County will be under a voluntary evacuation order.
Walton County – A Mandatory Evacuation has been issued for zones A and B.
The state is supporting sheltering operations in the Florida Panhandle.
There are currently 32 shelters reported open and more are being mobilized by the counties.
The Florida National Guard currently has activated 2,500 soldiers and airmen for pre-landfall coordination and planning, with an emphasis on high water and search and rescue operations.
The Florida National Guard is performing a variety of missions, including staffing the State Logistics Readiness Center in Orlando and running two Logistic Staging Areas in Tallahassee and Eglin.
They are well-equipped, with assets including more than 1,000 high water vehicles, 13 helicopters, and 16 boats. They are preparing for possible missions to include humanitarian assistance, security operations, and search and rescue.
The Florida National Guard will continue to work closely with civilian partner agencies, other National Guard states and active duty counterparts.
The Florida Fish and Wildlife Conservation Commission (FWC) is actively monitoring Hurricane Michael and ready to respond. On standby are approximately 135 officers from outside the projected path ready to deploy if needed. This number will go up based on intensity of the storm. They will respond with a variety of specialized equipment, including shallow draft boats, ATVs, airboats and four wheel drive vehicles.
FWC Special Operations Group (SOG) teams are ready to do reconnaissance missions.
During patrols, FWC officers are reaching out to residents in the most rural areas of the potentially affected areas to make sure they are prepared for severe weather conditions.
The Florida Highway Patrol has pre-deployed 100 State Troopers to the Panhandle and Big Bend area of Florida in preparation for Hurricane Michael.
The Florida Highway Patrol has activated 12-hour shifts for Troops A, B, H, I & Q starting tomorrow. The total activation includes approximately 340 state troopers conducting 24-hour enhanced coverage across Florida’s Big Bend and Panhandle. As part of this, regular days off are cancelled.
The Florida Highway Patrol has prepared a Quick Response Force team comprised of 33 State Troopers to deploy with minimal notice to areas affected by Hurricane Michael.
The Florida Highway Patrol is staffing the Bryant Patton Memorial Bridge in Franklin County (St. George Island bridge).
The State of Florida has deployed three urban search and rescue task forces and resources to the Florida State Fire College to prepare for response. An additional task force will be deployed from Jacksonville to Eglin Air Force Base.
CFO Jimmy Patronis has activated seven out of eight Search and Rescue task forces in preparation for Hurricane Michael’s landfall. CFO Patronis’ Division of State Fire Marshal is the lead agency for this activation.
Governor Scott directed the Florida Department of Transportation (FDOT) to suspend tolls effective immediately in the Northwest Florida region in preparation for Hurricane Michael. Tolls will be suspended at the following facilities: Mid-Bay Bridge and Spence Parkway (Okaloosa County), Garcon Point Bridge (Santa Rosa County), Bob Sikes Toll Bridge (Escambia County), and Orchard Pond Parkway (Leon County). By suspending tolls, Floridians and visitors will more easily be able to prepare for any potential storm impacts, access important hurricane supplies, and quickly and safely evacuate when necessary.
FDOT is currently preparing roadways for impacts from Hurricane Michael.
FDOT is monitoring roadways for potential evacuations and identifying bridge pinspectors statewide.
FDOT participated in the regional coordination teleconference with Alabama, Georgia, North and South Carolina.
FDOT is supporting local evacuations and transport of local evacuees.
APD is also checking on individuals with developmental disabilities who live in their own homes to ensure they are prepared for the hurricane.
APD has canceled all guest reservations for the week for William J. Rish Recreational Park in Gulf County. The facility will be closed beginning Tuesday.
APD is making Hawkins Park in Santa Rosa County available to utility trucks as a staging area.
The Florida Department of Health is actively monitoring Hurricane Michael and has activated ESF-8 personnel to staff the State Emergency Operations Center.
Florida’s State Surgeon General Dr. Celeste Philip participated in a Florida Hospital Association Planning Call to discuss collaboration and making timely decisions regarding evacuations.
DOH has initiated daily county ESF-8 conference calls with County Health Departments to determine local protective actions, status of local health care systems, special needs shelter status, and unmet needs.
DOH has requested 5 ambulance strike teams and 35 Special Needs Shelter Teams to support relief efforts.
To prepare for, respond to, and mitigate any effect of Hurricane Michael, the DOH issued an emergency order allowing health care professionals with a valid, unrestricted and unencumbered license in any state, territory, and/or district to render services in Florida during a period not to exceed thirty days (unless extended).
DOH is actively identifying pre-positioned federal health and medical assets by type, quantity, and location.
DOH is working to forecast long-range public health and medical resource needs and identify potential areas for EMAC and federal resource support.
DOH is monitoring and supporting Special Needs Shelter operations through census reporting and resource support as requested by local emergency operations.
CHDs are coordinating with their local County Emergency Management to ensure preparations are in place for Special Needs Shelters. Call downs are being conducted to persons on Special Needs Registries to ensure plans are in place for potential evacuations.
CHDs are reviewing their local continuity of operations plans to ensure public health activities and CHD services are not interrupted by the storm.
CHDs are conducting outreach to health care facilities within the county to ensure they are implementing facility level emergency plans.
AHCA had a joint call with the Florida Health Care Association and all residential and inpatient healthcare facilities including all areas of the panhandle and east to Jacksonville. AHCA and the Florida Hospital Association had a joint call with all hospitals in the panhandle.
AHCA staff is reaching out to all hospital CEOs and all residential health care facilities in the panhandle.
Before, during, and after the storm, the Area Agencies on Aging will continue to operate the statewide, toll-free Elder Helpline — 1-800-96-ELDER.
The 120-bed Clifford C. Sims State Veterans’ Nursing Home in Panama City is finalizing its preparedness efforts and is prepared to shelter in place. The skilled nursing facility’s generator is operational and the fuel tank is at capacity. Residents and staff are safe.
The U.S. Department of Veterans Affairs reports VA Outpatient Clinics in Panama City Beach and Eglin AFB are closed today and tomorrow. VA Outpatient Clinics in Marianna, Tallahassee and Perry will close Tuesday at 2:30 p.m. Eastern Time and remain closed Wednesday. Patient appointments are being rescheduled.
The Florida Department of Environmental Protection (DEP) has reached out to high-priority regulated facilities to remind them of storm preparations they should be making, and has issued two emergency final orders to ensure recovery efforts are not hampered or delayed.
DEP has activated and is closely monitoring StormTracker, a reporting tool for water and waste water facilities to provide updates on their operational status.
An online tool for the public to report the location of storm debris in waterways has been deployed.
235 Disaster Debris Management Sites have been pre-authorized for the counties addressed by the Governor’s Executive Order.
The state has opened the Private Sector Hotline at (850) 815-4925. The hotline is available for business inquiries about the storm, preparedness information and post-impact information.
DEO continues to coordinate with CareerSource Florida, local workforce boards, and other public-private partners.
VISIT Florida has activated the Expedia/VISIT Florida Hotel Accommodation Web Portal to support evacuation orders.
The Florida Retail Federation and the Florida Restaurant and Lodging Association continue to share disaster preparedness information with their business affiliates.
The Department of Business and Professional Regulation (DBPR) offers a Hurricane Guide with information about hurricane preparedness, what to do as a storm approaches, disaster recovery, and helpful hurricane-related resources. DBPR has shared the Guide on social media and it is available at http://www.myfloridalicense.com/dbpr/documents/HurricaneGuide_web.pdf.
Baker will be closed Wednesday (10/10) and Thursday (10/11).
Bay will be closed Tuesday (10/9) and Wednesday (10/10).
Calhoun will be closed Tuesday (10/9) – Thursday (10/11).
Citrus will be closed Tuesday (10/9) and Wednesday (10/10).
Dixie will be closed Tuesday (10/9) – Thursday (10/11).
Escambia will have early release Tuesday (10/9) and remain closed Wednesday (10/10).
Florida A&M High will be closed Tuesday (10/9) – Friday (10/12).
Florida State University Schools (Florida High) will be closed Tuesday (10/9) – Friday (10/12).
Franklin will be closed Tuesday (10/9) – Friday (10/12).
Gadsden will be closed Tuesday (10/9) – Friday (10/12).
Gilchrist will be closed Tuesday (10/9) and Wednesday (10/10).
Gulf will be closed Tuesday (10/9) – Friday (10/12) and will re-open after Fall Break, on Wednesday, 10/17.
Hamilton will be closed Wednesday (10/10) and Thursday (10/11).
Holmes will be closed Tuesday (10/9) – Thursday (10/11).
Jackson will be closed Tuesday (10/9) and Wednesday (10/10).
Jefferson will be closed Tuesday (10/9) and Wednesday (10/10).
Lafayette will be closed Wednesday (10/10) and Thursday (10/11).
Leon will be closed Tuesday (10/9) – Friday (10/12).
Levy will be closed Wednesday (10/10) and Thursday (10/11).
Liberty will be closed Tuesday (10/9) – Thursday (10/11).
Madison will be closed Tuesday (10/9) – Thursday (10/11).
Okaloosa will be closed Tuesday (10/9) and Wednesday (10/10).
Santa Rosa will be closed Tuesday (10/9) and remain closed Wednesday (10/10).
Suwannee will be closed Tuesday (10/9) – Thursday (10/11).
Taylor will be closed Tuesday (10/9) – Thursday (10/11).
Wakulla will be closed Tuesday (10/9) – Friday (10/12).
Walton will be closed Tuesday (10/9) and Wednesday (10/10).
Washington will have early release Tuesday (10/9) and remain closed Wednesday (10/10).
Chipola College will be closed Tuesday (10/9) and Wednesday (10/10).
Florida A&M University will be closed Tuesday (10/9) – Friday (10/12).
Florida Gateway College will be closed on Wednesday (10/10).
Florida State University will be closed Tuesday (10/9) – Friday (10/12).
Gulf Coast State College closed at 5 p.m. Monday (10/8) and remain closed Tuesday (10/9) and Wednesday (10/10).
North Florida Community College will close at 3 p.m. Tuesday (10/9) and remain closed Wednesday (10/10) and Thursday (10/11).
Northwest Florida State College will be closed Tuesday (10/9) and Wednesday (10/10).
Tallahassee Community College will be closed Tuesday (10/9) through Friday, 10/12.
The University of West Florida will close at noon Tuesday (10/9) and remain closed Wednesday (10/10).
Districts are opening shelters as needed; for a list of Florida shelters, visit https://www.floridadisaster.org/planprepare/shelters/.
The Florida Office of Insurance Regulation (OIR) is prepared to order property insurers to submit claims information from Hurricane Michael, if necessary.
OIR has fully activated its Incident Management Unit and has representatives at the State Emergency Operations Center. OIR will be actively working throughout this storm with consumer advocates, industry stakeholders and entities licensed under OIR’s regulatory authority.
CFO Jimmy Patronis activated his Disaster Fraud Action Strike Team (DFAST) to get ahead of and stop post-storm fraud.
CFO Jimmy Patronis’ Division of Consumer Services has resources for consumers who need help with financial hurricane prep HERE and those seeking assistance with the claims-filing process or to file insurance complaints HERE.
State offices will be closed tomorrow through Thursday in the 35 counties included in Governor Scott’s emergency order.
DMS will stay in contact with all state offices and has asked them to report closures in WebEOC.
As the state’s lead agency for coordinating volunteers and donations before, during and after disasters, Volunteer Florida has established resources for individuals and groups who would like to support Floridians affected by Hurricane Michael.
Those interested in volunteering can visit www.VolunteerFlorida.org and register on the volunteer database.
As disaster response organizations, like the American Red Cross or the Salvation Army, evaluate their needs and asses their resources, qualified volunteers will be contacted.
The Salvation Army is working with state and local emergency management throughout the Florida Panhandle.
The Salvation Army has established a command center in Tampa and is prepared to mobilize incident management teams to the Florida Panhandle to serve impacted areas after the storm makes landfall.
Personnel and mobile feeding units are on standby ready to move in after the storm. The Salvation Army’s mobile feeding units can serve 500-1,500 meals per day. | 2019-04-21T07:15:33Z | https://www.floridadisaster.org/news-media/news/20181009-gov.-scott-federal-pre-landfall-emergency-declaration-signed-by-the-president/ |
Kocaeli University was founded in 1992 with the law numbered 3837.
Meanwhile, a search was carried out for a new campus site and in October 2000 the foundations of the new campus were laid on an area which was located 10 kilometers away from Izmit on the Former Road to Istanbul in the district called üçtepeler, and the area, which covers 6500 decares, was named 'Umuttepe'. During the construction period, the Rectorate building started to provide service in September 2004, then in the following months Faculty of Science and Arts, Faculty of Economics and Administrative Sciences, Faculty of Communication, Faculty of Technical Education, Faculty of Medicine and Research and Application Hospital started to render service on the new campus. During the last three years School of Health, Faculties of Education and Law, Institute of Social Sciences, Faculty of Engineering, Institute of Natural Sciences, library, student dormitories and cafeterias, a medico-social building, a kindergarten, School of Physical Education and Sports and an Olympic Sports Hall, an Olympic Swimming Pool were put into operation on Umuttepe Campus.
As of June 2011, Kocaeli University has 1955 academic staff including 181 professors, 160 associate professors, 440 assistant professors, 283 senior lecturers, 178 lecturers, 675 research assistants and 38 specialists, and 1028 administrative staff who work for 11 faculties, 7 schools, 1 state conservatory, 20 vocational training schools, 3 institutes, 12 Research Centres and 9 Research Units. As of June 2010, 60.243 students continue their education and training at our university.
Office administration colleges are the descendent of secretary, stenography and typing schools, but the story starts earlier with a history of office work training. The profession of office administrator has undergone many changes, from something done exclusively by men, and all work with tools no more complicated than an abacus and quill pen or stylus to work with. While clerks and scribes are as old as recorded history, often being the very people doing the recording, the first modern clerks and secretaries would start their career as an apprentice, while they were still children, and they would be paid so little that it was not usual for them to sleep on the floor of their workplace. Still, this valuable training would help them start a career that could finish as a prestigious leader in business. Over time, labour and education expectations shifted to expect more and more education, while the invention of the typewriter created the profession of typist.
It's foreign students no-more as an immigration policy declared a cut to Brisbane's student immigration to Australia. The country's two parties, Labor and Liberal National Party, have been arguing over which factors greatly affects the continuous increase in Australia's migration. After a long road of talk, they end up with a conclusion stating that the number of international students entering the country is the largest contributor to net overseas migration.
It is a fact that Brisbane holds 80% of Queensland's $2.7 billion international student industry which is a part of an international education sector that generated $18.6 billion in the 2009 export earnings. If we'll look into it, it's Queensland that sets the high jump in overseas students since 2004 “ showing a number of Immigration Department figures of more than doubled from 25,231 to 52,347 in 2009.
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The United States Air Force Academy is located on more than 18,000 beautifully maintained acres, on the East edge of the Rocky Mountains, in Colorado. Each year a new group of cadets are indoctrinated at the US Air Force Academy, at Colorado Springs, Colorado. Much of the Academy acres operates as other military bases, but is unique because the Air Force Academy is both a university and military base. The Academy is set apart from other military installations because it houses the superintendent, commandant, dean of faculty, and cadet wing resemble a civilian university, in addition to the 10th Air Base Wing.
The Superintendent is the Academy's commanding officer, and is responsible for cadet military training, academic, athletic, and character development programs.
Do you want to be a part of the magical world of Harry Potter? Do you want to be a Hogwarts student and experience the many adventures of being a witch or a wizard? Being a part of the magical realm may be impossible, but you may look like them even for a night.
The Harry Potter books and movies gave a different light to the words witch, wizard and wizardry. These are characters usually deemed evil. But being a witch or a wizard no longer sound negative; thank to the advent of Harry Potter.
Harry Potter fancy dress comes with the long and thick black robe bearing the emblem of Gryffindor and a clasp. You can also get Harry Potter's scarlet Quidditch robes. This includes the logo of Potter and his team on the front and a "Potter7" at the back. You can also get a Firebolt broom.
Through this knowing, applicants are able to get experience which will be valuable for them in enhancing their opportunities of success in getting an excellent job. There are many kinds of specialized problems which are set in this evaluation. Through these specialized problems applicants are able to confirm that they can deal with all kinds of conditions in the impressive world.
Control of organizations must be able to use impressive methods for making sure that all the places of organizations are given due medical care. There are many stages of control in organizations.
Through impressive control organizations are able to deal with all the problems in routine tasks of organizations. 1Y0-A22 evaluation is valuable in discovering those applicants who are able to execute the routine tasks of organizations with impressive methods.
Zach Suchin and Matt Graham know what college students like.
As undergraduates at Emory, the pair made thousands of dollars in cash persuading their fellow students to turn up at certain bars or clubs on a certain night of the week.
In between classes and regular college life, they schmoozed with Atlanta club owners, made connections around town and hustled their way into the high-stakes, cutthroat world of party promoting. They learned the business from older Emory students, first passing out fliers as freshmen before moving up the ranks to run the parties. They'd take home stacks and stacks of $10 and $20 bills for their trouble - their cut of the cover charge paid by classmates to get into the places they promoted as hottest place in town.
The classic argument do you spend time studying more or go to that party? For years, our parents have engraved upon our heads that college is not the place to party. According to them (actually, their pockets), college is the time to rigorously study and prepare for the future. Parents say that you should not party in college.
However, let the confessions of the ex-geek help you: PARTIES HELP YOUR COLLEGE CAREER.
I will make one point known-party for the right reasons, at the right time, and with the all of the preliminaries satisfied. I will share how to effectively party; a mindset that builds relationships and promotes your skills. When you party, you just don't want to get away but you want to get the most from your party experience.
Vancouver, Canada - ComboApp Educational Publishing and Marketing Agency is quietly reshaping the way professionals experience their educational advancement. By adopting the Freemium model of app monetization, these innovative organizations have been able to offer tangible learning solutions to consumers at either little or no cost “ especially when compared to conventional education methods “ that users are able to utilize from anywhere on their own schedules. This innovation will soon make its way strictly from the mobile arena and onto the World Wide Web via World Academy Online, ComboApp's premiere web based business education hub.
Freemium monetization means that the organization's learning modules will be scalable, and can either be utilized to their full free extent, or even further by purchasing additional premium features for a fee. Applying this established virtual product structure to the educational frontier is a natural decision because student themselves are divided between those who are only seeking a light supplement to their education and those who are interested in receiving a full learning experience that teaches them business skills from their basic foundations onwards. Keeping this in mind, the Freemium model allows for the majority of students to receive the education they want at no cost whatsoever without alienating the minority of students who require “ and subsequently are in the market for “ the type of fully featured learning experience that ComboApp's paid learning solutions offer. Specifically, these learning solutions entail MBA style courses, financial concept overviews, and other business focuses important to aspiring management professionals, entrepreneurs, as well as engaged individuals from a wide variety of other professional fields.
More and more people think about a way to safeguard their children's future just in case. Storing the cord blood or directly the stem cells from the cord blood in a stem cells bank is a possibility that more and more couples where the women is pregnant consider seriously especially since more and more newspaper talk about stem cell storage and stem cell banks.
With new stem cells banks appearing more and more as researches on stem cells become more and more successful, it can be difficult sometimes to pick up one that will suit you perfectly.
Those stem cell banks and especially the private ones want to make sure they can be fully trusted by the future parents. As a result, you would see those private stem cell banks advertising on their sites, newspapers or on television that they are accredited by some organizations. Even if being accredited by some public organization is a proof that the company can be trusted, we often wonder what those public organizations are.
Gold mutual funds are the best of options to invest your hard earned money in. They offer one a wonderful opportunity to be able to diversify their portfolio so as to be able gain access in a specialized sector and earn a phenomenal amount of interest too.
The way the Gold mutual funds work is that they offer one a great benefit of capital appreciation along with guarding the investor against monetary instability and even inflation. The Gold mutual funds allow one to be able to garner a safe second income for oneself.
The way the strategy for the Gold mutual funds has been devised is that it allows the management to be able to invest 80% of the amount in net assets in companies involved with mining of gold and other precious metals and stones. The Gold mutual funds also invest in by products such as copper and silver. The Gold mutual funds majorly focus on the mining companies that have been established and have been in producing mines since a real long time.
You would think that a financial professional dispensing financial advice would be required to put their clients' interests before their own.
But according to an article by Kara McGuire, in reality, that's not the way it works. "Today, broker-dealers fall under what's called suitability" standard, meaning they must suggest investments that are appropriate for their clients, but could pick a suitable investment that also happens to earn them the highest commission."
Registered investment advisers, on the other hand, must adhere by the "fiduciary" standard, which requires them to think of their clients above all else, including their own wallets.
We grew up in world in which the news about the failure of Social Security is almost as constant as the news about the failure HMOs. We all know that it is unlikely that many people who are currently contributing to social security will ever see the money we've invested into the program.
At least these funds are probably not coming back to darken our doors. This seems we need to find alternatives and end our reliance on the government for a comfortable retirement that doesn't appear to be in the woodwork. For this reason we are seeing more and more people in the twenty and thirty something generation taking matters into their own hands and investing not only for their retirements and the days when we can no longer work but also for those days when things happen and we need to fix broken houses, buy new cars, or pay hefty insurance deductibles for medical care.
What is the topic that dominates the media these days? What is it that we're reading on websites, in newspapers, seeing on TV and hearing on the radio?
Even if you only read the front pages or skim the headlines, you know it's all about the economy. Everyone's talking about Wall Street and financial turmoil.
Here's what I know to be true - and this is especially relevant to the past year or so - the investments that I have made in myself never got lost in the stock market crash. No recession can ever devalue them.
What I am hanging onto today are the investments I made in my personal growth and in my business, not the investments that I put in Bank of America or my 401k. The investments I made in my training as a coach, as a marketer, and as a business owner continue to pay off regardless of what's happening in the financial world.
Financial advisors are not in harmony with insurance marketers about the focus that needs to be kept on limits of liability in auto insurance. Marketers like to point out the aspects of price and company rating, while financial planners like to stress the weight of of liability limits firs of all, then company rating 2nd, and perhaps price at a later step.
In spite of the fact that financial consultants and motor vehicle insurance marketers have the common objectives of optimizing their earnings while rendering their services, the scope of their action is totally different. Auto insurance marketers make their earnings by selling as many car insurance polices as they can. The marketer does her/ his best effort to make as many sales as doable, hence making small amount of money on too many policies sold. Financial planners work in a different way as they seek to make a lot of profit from each of the few number of clientele they have. Sale of car insurance policy is not the prime concern of a financial advisor, but for him or her automobile insurance is one of the key concerns of the financial planning practice.
Few activities impact more individuals and small business owners than banking. Whether we like it or not, banks play a major role in the functioning of the economy. When their normal role is disrupted, it becomes apparent very quickly. Striking examples of financial disruptions involving banks recently appeared in 2007 and 2008. This was followed in short order by a government and taxpayer-funded bailout of the banking industry.
It is a point of disagreement whether the recent banking crisis is over or whether there has been noticeable improvement in the banking system. The prevailing conclusion is likely to be different depending on who you talk to or which aspect of banking is analyzed. From the perspective of small businesses, it is hard to point to many financial services provided by commercial banks which have improved during the past five years. Commercial lenders have effectively restructured in their own way as much as the automobile industry, and one of the business areas which has been reduced to a small fraction of the previous levels is small business financing.
Quick savings refers to cash that you simply repel of your checking account and stash away somewhere close in situation of an emergency or even a planned expense from the not too distant future. This may be a fund for some thing unexpectedly sad like auto repairs, or it usually is for similar to university fees inside the fall if it is only April.
It's hard to set aside cash and pretend it isn't really there, simply put short-run savings fund might need a little fence around it that you only leap in situation of emergency. For many customers with this placement, they are perplexed concerning exactly where they need to hold their quick savings funds.
Banks are institutions that handle a variety of transactions and services that are usually centered on money, finances and investments. There are many different kinds of these institutions such as private, public, savings and investments places. The services that come with them are usually similar to one another with slight differences according to the kind of institution it is.
These kinds of services are usually found in the more common banks that cater to the private individuals and some corporations. The services include, but are not limited to, accounts for savings, checking, money market, individual retirement and current. Other services may include issuance of credit, debit and ATM cards. The issuance of the certificate of deposit and the opening of a credit line may also be part of the services that these institutions may offer their clients and investors. Accounts refer to the different kinds of access that a person or company may deposit their monies and investments in. Savings is the most common one and it may require a lower maintaining balance compared to other accounts. Checking and current accounts are authorized to issue checks and drafts that may be considered as good as cash if there is sufficient money in the account. Money market is an endeavor that earns bigger interest compared to most account but carries some risk of losing part or all of the investment as well. In individual retirement account, the savings of an individual from the government might go automatically to the account where it will earn sufficient interest that may be higher than the average savings. The issuance of cards, including but not limited to credit, debit and ATM cards are the usual service of most, if not all banks. These cards give depositors direct access to their finances in such a way that they do not need to go to the bank to facilitate the transaction. The transaction can be done via the Internet, the telephone or through an ATM machine.
In the domain of real estate business there is no need to be apprehensive as yet for the Americans, are still recovering from the fear of debts which had controlled their finances until recently and it is only with the help of such resources as a low interest consolidation or the best debt management programs that the citizens could finally get respite from the trap of debts. But now when the economy has started to look up from the financial void, it is time for the citizens to change their views about some of the businesses which are capable of providing better returns in the long run. Gone are those days when businesses were looked with greater awe. Though there are persistent risks which are involved with this business, it is of more worth to calculate the advantages of being involved in this business. | 2019-04-24T22:49:15Z | http://bicycle-day.com/ |
Cancer of the salivary gland is a malignant tumor of the tissues that produces saliva. Saliva is the fluid that is released into the mouth to keep it moist and contains enzymes that begin breaking down food. Saliva also helps prevent infections of the mouth and throat. There are clusters of salivary glands below the tongue, on the sides of the face (in the cheek area) just in front of the ears, in the area of the upper jaw along the inside of the teeth and the soft palate, as well as under the jawbone. Smaller clusters of salivary glands are present in parts of the upper digestive tract mucosa (tissue lining) and the windpipe.
Cancer begins when cells in the body become abnormal and multiply without control or order. These cells form a growth of tissue, called a tumor. A tumor can be benign or malignant. A benign tumor is not cancerous and usually can be removed without growing back. A malignant tumor is cancerous and can invade and damage the body's healthy tissue and organs.
Most cancerous tumors begin in the largest of the salivary glands, the parotid gland, found on either side of the face in front of the ears; and the submandibular glands, found under the jawbone. Salivary gland cancer can also begin in the sublingual glands or the minor salivary glands.
Most tumors (80%) in the parotid gland and about half of the tumors in the submandibular gland are benign (noncancerous). Sublingual gland tumors are almost always malignant (cancerous).
A risk factor is anything that increases a person's chance of developing a disease, including cancer. There are risk factors that can be controlled, such as smoking, and risk factors that cannot be controlled, such as age and family history. Although risk factors can influence disease, for many risk factors it is not known whether they actually cause the disease directly. Some people with several risk factors never develop the disease, while others with no known risk factors do. However, knowing your risk factors and communicating them to your doctor may help you make more informed lifestyle and health-care choices.
Radiation exposure. Radiation to the head/neck for other medical reasons may increase the risk of salivary gland cancer.
Radioactive substance exposure. In some reports, exposure to certain radioactive substances may increase the risk of salivary gland cancer; in other reports, there is insufficient evidence to support this. Consult your doctor for more information.
Environmental exposure. Exposure to sawdust and chemicals used in the leather industry, pesticides, and industrial solvents may increase the risk of a type of salivary gland cancer that occurs in the nose and sinuses.
Other possible risk factors that doctors are investigating include occupational exposure to certain metals (nickel alloy dust) or minerals (silica dust), a diet low in vegetables and high in animal fats, and exposure to hair dye or hairspray (this association has not yet been proven).
There is no known way to prevent salivary gland cancer.
People with salivary gland cancer may experience the following symptoms. Sometimes, people with salivary gland cancer do not show any of these symptoms. Or, these symptoms may be caused by a medical condition that is not cancer. If you are concerned about a symptom on this list, please talk with your doctor.
People who notice any of these warning signs should consult a doctor and/or dentist right away. When detected early, cancers of the head and neck have a much better chance of cure.
Because many of these symptoms can be caused by other, noncancerous health conditions as well, it is always important to receive regular health and dental screenings; this is particularly important for those people who routinely drink alcohol or currently use tobacco products or have used them in the past.
In fact, people who use alcohol and tobacco should receive a general screening examination at least once a year. This is a simple, quick procedure in which the doctor looks in the nose, mouth, and throat for abnormalities and feels for lumps in the neck. If anything unusual is found, the doctor will recommend a more extensive examination using one or more of the diagnostic procedures mentioned under Diagnosis.
A medical history and physical examination have to be done carefully, identifying potential risk factors. If a facial nerve paralysis is present, specific function tests will be required, and an inspection of the oral cavity, hypopharynx, and larynx will also be done. There are no specific blood or urine tests that can detect a salivary gland tumor, and there are no tumor markers (substances found in higher than normal amounts in the blood, urine, or body tissues of people with certain kinds of cancer) for salivary gland cancer known at this time.
Fine needle aspiration. Cells are withdrawn using a thin needle inserted directly into the tumor. The cells are examined under a microscope for signs of cancer, and should be examined by a cytologist with expertise in salivary gland cancer.
Endoscopy. A thin, flexible tube with an attached light and view lens is inserted through the mouth or nose to examine the head and neck areas. The examination has different names depending on the area of the body that is examined, such as laryngoscopy (larynx), pharyngoscopy (pharynx), or a nasopharyngoscopy (nasopharynx). It is performed using an anesthetic spray or general anesthesia to make the person more comfortable.
Computed tomography (CT or CAT) scan. A CT scan creates a three-dimensional picture of the inside of the body with an x-ray machine. A computer then combines these images into a detailed, cross-sectional view that shows any abnormalities or tumors.
Magnetic resonance imaging (MRI). An MRI uses magnetic fields, not x-rays, to produce detailed images of the body, especially images of soft tissue, such as the tonsils and base of the tongue.
Ultrasound. In this test, a video image of the inside of the body is produced using sound waves. Ultrasound is used to check lymph nodes in the neck and to assist in fine needle aspiration biopsy.
Positron emission tomography (PET) scan. In a PET scan, radioactive sugar molecules are injected into the body. Cancer cells absorb sugar more quickly than normal cells, so they light up on the PET scan. PET scans are often used to complement information gathered from CT scan, MRI, and physical examination. PET scanning is especially useful to detect possible cancer in other organs (metastasis, or spreading) or hidden primary tumors.
Additionally, a dentist, in his or her evaluation of the person with salivary gland cancer, may order specific imaging studies for the teeth, including a panorex (a rotating, or panoramic, x-ray) of the mandible (jawbones).
The treatment of salivary gland cancer depends on the size and location of the tumor, whether the cancer has spread, and the person's overall health. In many cases, a team of doctors will work with the patient to determine the best treatment plan.
Cancer of the salivary gland can be cured, especially if found early.
Although curing the cancer is the primary goal of treatment, preserving the function of the nearby nerves, organs, and tissues is also very important. When doctors plan treatment, they consider how treatment might affect a person's quality of life, how a person feels, looks, talks, eats, and breathes.
Head and neck cancer specialists often form a multidisciplinary team to care for each person, and an evaluation should be done before any treatment begins. The team may include medical and radiation oncologists; surgeons; otolaryngologists (ear, nose, and throat doctors); maxillofacial prosthodontists; dentists; physical therapists; speech pathologists; psychiatrists; nurses; dietitians; and social workers.
During surgery, doctors perform an operation to remove the cancerous tumor and some of the healthy tissue around it (called a margin). The goal of surgery is to remove as much of the tumor as possible and leave negative margins (no trace of cancer in the healthy tissue). Surgery is performed in nearly all cases of salivary gland cancer.
Depending on the location, stage, and the subtype of the cancer, some people may need more than one operation to remove the cancer and to help restore the appearance and function of the tissues affected. Reconstructive and plastic surgery may be used to replace normal tissues and nerves that have to be removed to eliminate the cancer. Sometimes, surgery is followed by radiation treatment.
Sometimes, it is not possible to completely remove the cancer during surgery. Surgery is often risky because the cancer may be close to the eyes, mouth, brain, and important nerves and blood vessels in the area. The type of surgery depends on the extent of the tumor.
Parotidectomy. The removal of the parotid gland is called a parotidectomy. This surgery is done with dissection of the facial nerve. If cancer has spread to the facial nerve, frequently a nerve graft is necessary for the rehabilitation of the facial muscles. Facial disfigurement that may have been present prior to surgery may need to be addressed using reconstructive plastic surgery. Any tissue that is removed can often be restored by microvascular surgery and free tissue transplantation.
Endoscopic surgery. Occasionally, it is possible to remove the tumor by endoscopic surgery, which is less destructive to normal tissues than conventional surgery. This is used particularly when a salivary gland tumor begins in the paranasal area or in the larynx. For cancer itself, endoscopic surgery is rarely used, and may only be recommended for some people. More often, this procedure may find cancer during a seemingly routine endoscopic surgery for what is believed to be chronic sinusitis.
Surgery often causes swelling of the face, mouth, and throat making it difficult to breathe and swallow. Frequently, a person may receive a temporary tracheostomy (hole in the windpipe) to make breathing easier.
Facial nerves may also be affected, either temporarily or permanently. Facial disfigurement may need to be addressed using reconstructive plastic surgery. If the maxilla (upper jaw) is removed, prosthodontists play a large role in the rehabilitation process.
A neck dissection (lymph nodes in the neck are removed) may be performed if the doctor suspects that the cancer has spread. A neck dissection may cause numbness of the ear, weakness when raising the arm above the head, and weakness of the lower lip. The side effects are caused by injury to nerves in the area. Depending on the type of neck dissection, weakness of the lower lip and arm may go away in a few months. Weakness will be permanent if a nerve is removed as part of a dissection.
A new method of external radiation therapy, known as intensity modulated radiation therapy (IMRT), allows for more effective doses of radiation therapy to be delivered while reducing the damage to healthy cells and causing fewer side effects. Internal radiation therapy, also called interstitial radiation or brachytherapy, involves tiny pellets or rods containing radioactive materials that are surgically implanted in or near the cancer site. The implant is left in place for several days while the person stays in the hospital.
Radiation treatment can be the main treatment for certain tumors or if a person cannot have surgery or decides not to have surgery. It is most often used in combination with surgery, given either before or after the operation. It may also be given along with chemotherapy.
Before beginning radiation treatment for salivary gland cancer, a person should receive a thorough examination from an oncologic dentist (a dentist with experience in treating people with head and neck cancer). Since radiation therapy can cause tooth decay, damaged teeth may need to be removed. Often, tooth decay can be prevented with proper treatment from a dentist before beginning treatment.
Radiation therapy may also cause a condition called hypothyroidism, in which the thyroid gland (located in the neck) slows down and causes the person to feel tired and sluggish. People who receive radiation therapy to the neck area should have their thyroid checked regularly.
Chemotherapy is the use of drugs to kill cancer cells, and is seldom used in the initial treatment of salivary gland cancer. Combined treatments of chemotherapy with radiation therapy are used as part of clinical trials because they remain under investigation. Chemotherapy may be used in the case of cancer spread to other organs.
Chemotherapy is most often used in advanced cancer or to treat symptoms. Some chemotherapy drugs are available in clinical trials that may treat cancer at an earlier stage, or hope to cure the cancer.
Cancer and cancer treatment can cause a variety of side effects; some are easily controlled and others require specialized care. Below are some of the side effects that are more common to salivary gland cancer and its treatments.
Difficulty swallowing (dysphagia). Dysphagia occurs when a patient has trouble getting food or liquid to pass down the throat. Some patients may gag, cough, or choke when trying to swallow, while others experience pain or feel like food is stuck in the throat. Difficulty swallowing is a relatively common side effect of some cancer treatments. Potential side effects of cancer treatment that can cause swallowing difficulties include soreness, pain, or inflammation in the throat, esophagus, or mouth (mucositis); dry mouth from radiation treatment or chemotherapy; infections of the mouth or esophagus from radiation treatment or chemotherapy; swelling or constriction of the throat or esophagus from radiation treatment or surgery; and physical changes to the mouth, jaw, throat, or esophagus as a result of surgery.
Nervous system disturbances. Nervous system disturbances can be caused by many different factors, including cancer, cancer treatments, medications, or other disorders. Symptoms that result from a disruption or damage to the nerves caused by cancer treatment (such as surgery, radiation treatment, or chemotherapy) can appear soon after treatment or many years later.
After treatment for salivary cancer ends, people should receive regular follow-up medical and dental examinations to check for signs of recurring cancer (cancer that comes back), a secondary cancer (a different type of cancer), and to manage any late or long-term side effects from cancer treatment.
Most recurrences happen in the first two or three years after diagnosis, so follow-up visits will be more frequent in the first two years. Diagnostic examinations may be repeated to detect recurrences or document the progress of current treatment. If cancer recurs, testing and treatment must begin again.
Rehabilitation of lost functions in the head and neck is often necessary following treatment. Special care of the eye is necessary in the case of 7th (facial) nerve function loss. Rehabilitation of swallowing is often needed, and special procedures (moving a paralyzed vocal cord to improve voice, for example) may be necessary after removal of a large skull base tumor. Exposure to direct sunlight is to be avoided if radiation therapy has been used as part of the treatment, and people with a history of salivary gland cancer need to be continually monitored for the possibility of relapse or distant metastasis.
Fatigue and other symptoms that are due to treatment can be helped by special rehabilitative efforts.
Rehabilitation is a major part of follow-up care after head and neck cancer treatment. People may receive physical therapy and speech therapy to regain skills, such as speech and swallowing. Supportive care to manage symptoms and maintain nutrition during and after treatment may be recommended. Some people may need to learn new ways to eat or to eat foods prepared differently.
People may look different, feel tired, and be unable to talk or eat the way they used to. Many people experience depression. The health-care team can help people cope and connect them with support services.
Even after being diagnosed with cancer, quitting smoking is still helpful. Continuing to smoke during cancer treatment may decrease the effectiveness of treatment, cause second cancers to develop, and worsen treatment side effects, such as diminished voice control. Even people who have recently quit are more likely to recover better than individuals who continue to smoke. | 2019-04-19T20:47:53Z | https://www.dheerajbojwani.com/india-salivary-gland-cancer-surgery.html |
Excellent customer service! My review is a little different because I have not yet had the opportunity to have my home cleaned by Peter’s cleaning service. Then, by an act of God, my two daughters have stepped up to take on the job. When I called Peter back, the day before the cleaning was scheduled, I apologized for needing to cancel on short notice. Many people in his position might be noticeably irritated, but Peter was not only understanding, he commended me on my daughters’ helpfulness and said she hoped it would go well. What a nice man! If I need help in the future, I know right where to go!
after having surgery with a long recovery time I had fallen behind in keeping up my house, unable to clean my house and my fiance doing his best to keep up I decided to hire a cleaning service to help us both out.
Thanks for your hard work and helping me get my house back in order!!
I recently tried empire maids nyc after being disappointed with other cleaners. I found this company to be professional and easy to book with. The cleaner showed up on time and did everything I asked. The quote was also accurate. I like that they bring their own cleaning supplies including rags and mop (and even showed me they were clean before they used them). I did ask that they use some of my cleaning products and they were fine with it. I will definitely book their services again.
We used Empire Maids for the first time this weekend and I am impressed. I was worried that my expectations were too high, but was delighted upon our return home.
– Kitchen: hand washed and put away the few dishes we didn’t get to this morning instead of just placing in the empty dishwasher. Cleaned the counter tops, back splash and stove.
– Bathroom: cleaned the tub, the entire floor (corner to corner) and everything else.
He also respectfully rearranged some picture frames during the dusting process and I must admit that he may have an eye for interior design.
I am very pleased with my cleaning service from Empire Maids. The person who came over to clean, Nathalie, did a fantastic job. She cleaned every small detail that I had requested, the apartment as a whole was really clean, and she was very nice too. She also cleaned everything I had requested within the amount of time I had specified. I was so happy to come home to such a nicely cleaned apartment.
I looked at several cleaning service websites that I found on google.I chose this company for two major reasons: the transparency of their pricing system and the ease of booking the appointment online. Everything is priced right on their website (if you go through the booking process), and you don’t have to pick up the phone and call for a quote and verbally tell them every small detail you want cleaned (everything is spelled out for you on their online booking system, like what item you want cleaned). I tend to favor companies where everything can be booked and specified online without having to talk to a human being. Well, after I made my appointment online, I did get a call to confirm my appointment and my requests, but that was fairly quick and painless. They also send email reminders. Their prices are also very fair, which is important to me.
They have good flexibility with their time slots, too. If you don’t see an ideal time slot online, be sure to call them. They normally pick up the phone pretty fast (the two times I’ve had to call, or maybe it was only once). I like the weekend and early morning appointments (8-8:30AM arrival), so you can let them in on your way out to work.
I highly recommend this company and would choose them again.
Second time I have used empire maids! The house cleaner today did a wonderful job. I asked if she could pay extra attention to the bathroom and she did. The tiles have never looked so clean. I wish I knew her name so I could give her a shout out.
My only criticism is I wish I could fill out the form online each visit to mark specific directions and special instructions. It seems they only do this for the first visit? But, I guess it works as well to verbally explain everything before they start.
Otherwise the company and the cleaners are very kind and professional.
They did an amazing job cleaning my office for the corporate meeting. I’m very happy to have the professional guys. Thumbs up!
Called Elena for a weekend cleaning on a very short notice. She replied immediately and sent 2 cleaners. My house is now spotless. Highly recommend this cleaning service. The cleaning and organizing is great.
The “head” of this operation, Peter, is a complete LIAR. We had an initial move-in deep cleaning scheduled for this morning at 9am. I left a key in a hidden location per her instructions and awaited him call confirming their arrival. Having not received a call at 9, I texted him at the number we had previously communicated via text. NO RESPONSE. So, I call three hours later thinking they were perhaps “late.” This Peter answers and commences a series of mind games with me insisting our series of texts confirmed a Saturday appointment. No way lady. She tried to insist that her price quote after our confirmation of today indicated a weekend appointment. Unbelievably dishonest if not delusional. I could forgive if he was delusional, but he literally tried to twist his story around to the point where I told him I’d give him the benefit of the doubt while I reviewed our text exchanges again. NOPE. No doubt, she merely quoted her weekday vs. weekend rates, without alteration of today’s appointment.
Actually glad you didn’t step foot in my place.
Top-notch service! A two-person crew arrived right on time, with all the equipment they needed, and did a super professional job. Friendly, awesome people. Our house looks so great now, I couldn’t be happier.
Love Peter and his crew! My house is spotless including all my blinds! Love love love. They definitely went the extra miles with us, they even cleaned all my trash cans and returned my dustpan to it’s former glory. Additionally they were very prompt with responding to us (within the hour) especially being new clients. We managed to get next day service. They are however booked up through the week, so only weekend slots remain.
Absolutely outstanding! Our apartment was in desperate need of a good cleaning after we’d moved out–our security deposit hung in the balance!–and I am frankly ashamed of how filthy it was. We’re talking old-cat-puke-we-never-knew-about-sitting-under-the-bed-and-festering-for-three-years filthy. We needed a hero, and we got one in DeeDee and her crew.
Elena was prompt to reply to my request, able to schedule us quickly, and oh my GOD she and her crew made our apartment shine. When the landlord came by a few days later to do a walkthrough, he said (truthfully!) that it looked better than the day we’ve moved in.
We got our full security deposit back, entirely thanks to DeeDee’s magic. I can’t recommend Empire Maids highly enough! She and her crew truly went above and beyond, and I’m SO grateful.
These ladies do an excellent job cleaning my house every two weeks! They offer a “reminder” email the night before, which helps me remember to crate my dogs on the day they come. VERY handy!
They leave a personal note after each cleaning, and each time they have come they have done “extras” around my house. Such as taking out all my cardboard for recycling.
Very highly recommend these environmentally friendly ladies to all my friends!
DD and team are amazing. We moved to SF about six months ago, are not all all inclined to keeping a very tidy apt, and were in need of serious cleaning help – I can’t believe how much of an improvement happened with just a few hours of their attention. They are extremely professional and easy to work with, and importantly for us were kind and patient with our two (inquisitive/annoying) cats. Empire maids nyc isn’t cheap, but the level of service and quality of cleaning is really worth it. Totally recommend.
DeeDee and her crew were fantastic. I called with an unusual request to clean an RV – on Labor Day, no less – and DeeDee was incredibly gracious and accommodating. She was great about communicating as we coordinated the time and location, and she even arrived early.
As for the cleaning itself, Dee and her crew did a very thorough job, cleaned every nook and cranny, and were very friendly. They’re extremely hard working folks. I’d recommend them in a heartbeat!
Over the years, we have tried a number of cleaning services to periodically clean our drafty apartment full of dust and cat fur blowing across the wooden floor like tumbleweeds. The “general cleaning” provided by Green & Shine far surpassed the “deep cleaning” we have received from other vendors.
Not only do the staff take pride in their work, they are extremely kind, even to the pets. Ordinarily, when strangers come to disrupt our cat’s environment, he hides in the deepest recesses of the closet and stays there until several hours after the cleaners have left. This time, despite the loud vacuum cleaners, floor steamers, sponges and mops, our cat periodically emerged from the closet to observe the action.
The price, which already compares well to others, is a bargain when one considers the high level of service provided. We will definitely be calling Empire Maids NYC in the future.
Empire Maids NYC is far and away the BEST cleaning service I’ve ever experienced. Not only are they incredibly thorough, efficient, and skilled, but they are extremely professional, kind, and always on time. In addition, I love that they use all environmentally friendly products, and that their prices are super reasonable. DD runs the business and makes scheduling a breeze (and she is SO SWEET!). I can’t say enough about Empire Maids NYC…they are AMAZING!!
I am so happy with Empire Maids NYC and the duo who clean our home – Rose and Carlos. It is always a thorough job and I love that it is non-toxic products. They are great with my 2 dogs as well and always make sure their water bowl is full! I appreciate how I can communicate with Rose via text to let her know if I need a certain area cleaned first. Rose and Carlos clean our 5 bed, 5 bath home in 2.5-3 hours and I’m always impressed with their attention to detail. I highly recommend Rose and Carlos and the Empire Maids NYC.
Our schedule changed and we were so lucky to get Rita! She’s a charming and funny Brazilian woman who loves our cats and is always careful around them (they’re scared of the vacuum). She does an excellent job and texts when she’s done. Rita is the best!
Have been using the service for several months to clean our one-bedroom apartment on a regular basis, and Alessandra and Leandro have been excellent. They do a careful, efficient, and thorough job every time they come. We really appreciate how much care they put into their work. They are also really nice, so I feel very comfortable having them in my home. And the recurring schedule, reminders, and cancellation policy make it easy to keep on top of scheduling.
REALLY wish I had discovered Empire Maids Agency before the one and only time I hired them, for my move-out last month. 4 years living in Manhattan.
Booking is so easy online…almost too easy (plenty of time slots and staff options), as I called the next day just to re-confirm my appointment. The representative was SO nice over the phone, very pleasant, and made me feel confident that this was all going to run smoothly. And it sure did. Alessandra and Leandro showed up right on time, and Alessandra steered the communication. Even though she advised from the get-go that her English was not that good, communication was surprisingly easy.
The team took over 3 hours to clean the apartment and when I returned, I couldn’t believe what an amazing job they did. Every nook and cranny was covered, with the unit basically being as good as new. Everything they unearthed, i.e. random paint cans on top of my washer/dryer I had forgotten about, a water bottle in the now pristine fridge, was placed out for me to decide what to do with them. And for the areas that were maybe not as ‘clean,’ Alessandra made a point to show them to me immediately so I knew she really had tried, but I could clearly see this was based on natural wear and tear and was therefore impossible.
Gave a generous tip for each of them because I couldn’t believe how thorough this cleaning was given the absolutely reasonable rates. Sparkling Clean was referred to me by a friend and again I wish I had known about them sooner! Highly recommended.
Rosie did an amazing job. I don’t understand why it’s a problem that they can’t all speak English. With technology where it is now, they can use google translate, and we’re all good. She worked incredibly hard, and her attention to detail was unbelievable. I find a lot of the low ratings and reviews here quite offensive. This is hard work, that our privileged asses are too lazy or busy to do ourselves, but ohhh my god they don’t speak English!!! Spoiled people writing here. I would recommend this service a million times over. Amazing job. My only regret is that I don’t have before and after photos.
This is a really good company. I have booked them for our place near the city as well as for my mom in the suburbs. My mom is a tough cookie and she was really pleased with Carlos Blanco who did the first job but he left the company and she wasn’t happy with the folks after that.
I personally have been very happy with Rosa H. She has been amazing. She pays attention to detail as if it was her own home. It is really refreshing. She comes prepared with every possible supply just in case I don’t have it. She is always on time, professional, and just beyond great. I am so scared to lose her at this point!
The person of contact for the company is Dan. He is very responsive and helpful always. He is a big reason why I keep booking with them over King of Maids. I am very grateful for all his communication back and forth when dealing with booking etc.
The online booking system is great. I have yet to have a problem with it. You can’t make changes to your booking online within 48 hours of the cleaning but if you contact them by email or phone, they may be able to help.
I am very happy Empire Maids is available in so many locations in the NYC area. Some of the other companies limit themselves to downtown and very close surrounding neighborhoods.
I have had Arelys twice now and she is absolutely fantastic! I have used HandyBook a couple times and had bad luck with the cleaners they sent over, and have also used more expensive cleaning services and been underwhelmed. With Empire Maids, a $149 flat fee for my entire 1000sqft/2 bed/2 bath apartment is a great deal, and they aren’t restricted by time – they’ll clean til the job is done!
Just moved into my new condo in the NYC financial district last month. The previous renters left the place a complete mess with stains all over the place. I had previously never used a house cleaning or maid service beforehand and was a bit skeptical of it. I contacted Empire Maids through the recommendation of a friend and was extremely impressed with their professionalism and thoroughness.
The cleaning ladies show up on time and in very proper fashion. They are always quick to respond as well. The cleaning is done quickly and with no problems at all. After the first time, it was like staying in a completely new place. Definitely the best condo cleaning service in the area and would continue to use it in the future!
My family owns an apartment in NYC that we use to rent out to visitors travelling from different states and countries. Some visitors aren’t as clean as we’d like them to be, so my friend recommended Empire Maids to me for a cleaning service. I couldn’t be more pleased with them.
For our maid service, our technician did an outstanding job with the deep cleaning in my apartment – he was professional, respectful, and easy to deal with.
When I walked into the apartment I could not get over how amazing it looked. No stone was left unturned – he even cleaned the knobs on the stove! The bathroom and kitchen are now the cleanest they have ever been.
If you’re looking for a great cleaning service in NYC, look no further than Empire Maids. So glad I came across Empire Maids with the help of my friend. I will definitely be using them again!
Currently I live in midtown and have 2 roommates, who all go to college, therefore our place gets pretty messy. Typically I would have to clean it ourselves but it just got to a point where it became ridiculous I had to find some chicago cleaning service. And Empire Maids did a great job at such a low price, it was worth not doing all that work by myself.
NYC apartment cleaning doesn’t seem to be like a viable option for college students, but split up between our roommates and the amount of time it got done in was perfect. They do a thorough job and their customer service is even better. Out of all the NYC maid services I contacted, they were the quickest to respond, so that’s always a perk. All in all, will use their services agaon once my roommates decide they forget to work a vacuum!
What can I say – Empire Maids really, really impressed me. I consider myself a fairly good cleaner but I needed a deep clean of my hardwood floors and baseboards.
I came back into my condo and I swear I could breathe more easily – they cleaned dust and dirt that I didn’t even realize was there.
There were some other spots that needed perhaps a little more attention but I told the ladies to really focus on the floor and baseboards and they did that AMAZINGLY well.
I stay in NYC for the week, and had used Empire maids for cleaning. I had quoted different maid services in the area, I had found sparkly maid to be the best price available.
The house was a mess before they came in. They cleaning crew had arrived on time, and had bought along their own cleaning supplies. They had asked me what areas to pay special attention too. They were efficient with time, and had done a good job also. The floors were looking sparkling new after they were done had done a great job with deep cleaning. Nothing was missing (that’s always a plus). I will be using them again in the future.
We used Empire Maids to clean a vacation rental we had in NYC at the end of our stay.
We had a jolly good time and made quite a mess, and at the end of 7 straight days of tom foolery, cleaning our rental didn’t sound like a whole lot of fun.
Empire Maids came in while we went out to brunch and a movie, and when we came back it was like we were never there.
Got our deposit back in full from the rental company and we were happy campers. Empire Maids did a really good job. If I lived in NYC, I would use them again. | 2019-04-21T16:03:56Z | http://empire-maids.nyc/testimonials |
Need to know more about Expert Marketing Secrets?
Expert Secrets can be a wonderful and very versatile tool for many organisations. We below at JD-OD. com have actually composed a thorough write-up to offer you a bit extra information concerning Expert Marketing Secrets.
Click Funnels is software application created by the notorious online marketing professional Russell Brunson. He developed the platform to aid marketing experts, business owners, solopreneures, business owners to be able to produce marketing pages (additionally called funnels) with no previous coding or computer shows experience. This gets rid of the demand to employ expensive programmers and developers and it can all be done from the done in one platform Clickfunnels saving you money and freeing up the time to focus on more important facets of your organisation.
With Clickfunnels you can quickly produce a completely customizable, interactable web site which leads leads through your sales channel.
Whether you have a single product to market or you have several products to sell you can easily produce a sales funnel to fit your product/s. If you are drop-shipping or developing your own products then you create a completely practical funnel which can include attributes such as One-time Offers (OTO’s), Upsells as well as Downsells. You can additionally incorporate your funnels with third party repayment firms to get repayments from your customers online. You can A/B divided examination all the funnels you produce and all pages are easily changed as soon as you recognize what improvements/modifications require to be made.
Lead capture funnels (also referred to as capture web pages) are where you provide a ‘cost-free gift,’ in exchange for an email address. This can be some type of overview in a PDF layout that your possibility would intend to read. Once you have the e-mail address you can continue to market to them and also hopefully ultimately make a sale. You can even place an Once Deal (OTO) right into your lead capture channel and also if it works out you may have the ability to make a sale there and then.
There are numerous functions with Kartra and also there has actually been a large improvement to the software application it once was. Currently, it is not just a pietistic, adjustable buying cart. It now boasts a list of functions which can be discovered listed below. The software is never excellent however is a large improvement to what it as soon as was. Being fairly new I make certain the developers are still striving on the software and also there will certainly many more attributes ahead in the near future.
The Kartra Email Marketing function is exceptionally flexible and also extremely easy to utilize. If you also have a list of leads from a previous email advertising program you can conveniently import them all into Karta with a couple of clicks of your computer mouse. One thing to be familiar with is that when you import leads over right into Karta it will take about a day prior to you can send your initial broadcast email. This is since Karta has to verify all e-mail addresses to make certain that they are valid as well as to shield customers from deliverability concerns in the future. You will be alerted of any type of jumped or blacklisted emails by Kartra to maintain your listings fresh as well as clean and also ensure maximum deliverability.
Sending out programs is very easy and also it the Kartra e-mail system also allows you to A/B split examination e-mails to give you a sign as to which emails are more successful in your advertising and marketing projects. An additional useful feature with the A/B split testing is that you can establish the percentage that you want to split test. For example, you can send out 75% to An and also the staying 25% to B which can be truly handy when examining out various e-mail subject lines of making small modifications to each email. An even more thorough evaluation of the Kartra email function can be discovered below.
Really comparable to Clickfunels the Kartra Landing web page building contractor permits you to create opt-in types, sales web pages, up-sell as well as down offer web pages, webinar registration web pages, item launch funnels and also a lot far more!
Kartra allows you to create an easy sales page to a full series, multi-step sales funnel without the demand to be experienced in computer code. It is a drag as well as decrease style marketing page builder.
Kartra features pre-made themes of all the kinds of marketing pages which are conveniently personalized to fit your business OR if your feeling positive you can create your own web pages from square one!
All web pages have the ability to be A/B split screening. so you can quickly see which is converting far better bringing you much more leads & sales right into your organisation!
The Kartra purchasing cart is a major challenger to other shopping cart platforms out there. Kartra was initially made as a shopping cart platform but considering that the upgrade of Kartra there have actually been a lot more enhancements to the Karta purchasing Cart..
Using the drag & decline features you can conveniently customize your check out web pages and also conveniently link to your chosen analytics accounts to keep track of sales and also subscriptions that you have made.
The Kartra company monitoring system enables developing advertising sequences for all of the web pages listed above. You can start e-mail series at certain points in the funnels or produce an up-sell or downsell when a prospect relocates your marketing series. When connected to your chosen analytics program you can easily see which parts of your series need improvement as well as which parts are working well, given you the capability to create a sales driving device!!
An additional feature of the Kartra system is the capacity to produce fully customizable membership websites. Kartra Membership Websites are organized on a secure platform. All passwords and also log in information are automatically developed permitting you to concentrate on simply developing the website..
You can provide different sorts of content to your participants relying on the type of membership degree they have. Kartra makes establishing this up really simple also for the non-tech kind individual.
There are 6 x various prices strategies readily available for Kartra. All of the plans come with a 14-day trial which will certainly set you back $1. After you reach completion of the Karta 14 day free test you will be billed monthly at the costs provided below.
Expert Secrets can be a terrific and really versatile device for several services. We below at JD-OD. com have actually created a detailed article to offer you a bit more info regarding Expert Marketing Secrets.
Click Funnels is software application created by the well known online marketing expert Russell Brunson. He developed the platform to assist marketers, local business owner, solopreneures, entrepreneurs to be able to produce advertising pages (likewise referred to as funnels) without any previous coding or computer system programming experience. This eliminates the requirement to hire pricey programmers and designers and it can all be done from the done in one platform Clickfunnels conserving you loan as well as liberating the moment to concentrate on more crucial facets of your company.
With Clickfunnels you can quickly create a completely personalized, interactable internet site which leads potential customers with your sales channel.
Whether you have a single product to sell or you have several items to offer you can easily produce a sales funnel to fit your product/s. If you are drop-shipping or developing your own items then you produce a completely practical funnel which can integrate attributes such as Once Deals (OTO’s), Upsells as well as Downsells. You can likewise integrate your funnels with third event payment firms to obtain settlements from your clients online. You can A/B split test all the funnels you develop and all pages are conveniently transformed once you recognize what improvements/modifications need to be made.
Lead capture funnels (also referred to as press web pages) are where you provide a ‘cost-free present,’ in exchange for an email address. This can be some type of overview in a PDF layout that your prospect would wish to review. As soon as you have the e-mail address you can remain to market to them and with any luck eventually make a sale. You could even place an Once Deal (OTO) right into your lead capture funnel and if it works out you might be able to make a sale there and afterwards.
Lead Capture Funnels are quickly created in Clickfunnels as well as you can either utilize Clickfunnels Actionetics email or you can make use of a third party e-mail -responder such as Aweber or ConvertKit.
There are several attributes with Kartra and also there has actually been a massive renovation to the software it once was. Currently, it is not simply a glorified, adjustable purchasing cart. It currently boasts a list of features which can be discovered below. The software program is by no means excellent yet is a huge enhancement to what it once was. Being fairly new I make certain the creators are still working hard on the software application and also there will much more features ahead in the near future.
The Kartra Email Marketing feature is exceptionally flexible and very simple to use. If you likewise have a list of leads from a previous e-mail marketing program you can conveniently import them all right into Karta with a couple of clicks of your computer mouse. One thing to be knowledgeable about is that when you import leads over into Karta it will take about a day before you can send your very first broadcast e-mail. This is since Karta has to confirm all e-mail addresses to make certain that they are valid and also to secure users from deliverability problems in the future. You will certainly be informed of any bounced or blacklisted emails by Kartra to keep your checklists fresh and also tidy and make certain maximum deliverability.
Sending out broadcasts is very easy and it the Kartra email system likewise permits you to A/B divided examination e-mails to offer you a sign as to which e-mails are extra successful in your advertising campaigns. An additional convenient feature with the A/B split testing is that you can set the percent that you want to split examination. For instance, you could send out 75% to An and also the remaining 25% to B which can be really useful when examining out various e-mail topic lines of making tiny modifications to each email. A more comprehensive evaluation of the Kartra email feature can be discovered here.
Really similar to Clickfunels the Kartra Touchdown page building contractor allows you to create opt-in kinds, sales pages, up-sell and down sell pages, webinar registration web pages, product launch funnels and also much far more!
Kartra enables you to develop an easy sales page to a complete sequence, multi-step sales channel without the need to be experienced in computer system code. It is a drag and also decrease design advertising and marketing web page home builder.
Kartra comes with pre-made templates of all the kinds of advertising and marketing pages which are easily customized to fit your service OR if your sensation certain you can produce your own pages from the ground up!
The Kartra buying cart is a serious competitor to other purchasing cart platforms around. Kartra was originally made as a shopping cart system but since the upgrade of Kartra there have actually been a lot more improvements to the Karta purchasing Cart..
Making use of the drag & decline functions you can conveniently tailor your check out pages and conveniently attach to your picked analytics accounts to keep an eye on sales and subscriptions that you have made.
The Kartra organisation administration system allows developing advertising sequences for all of the web pages noted above. You can start e-mail series at specific factors in the funnels or produce an up-sell or downsell when a prospect moves your advertising and marketing sequence. When attached to your chosen analytics program you can easily see which parts of your sequence demand improvement and which parts are functioning well, given you the ability to develop a sales driving maker!!
Another feature of the Kartra system is the capacity to create completely adjustable membership websites. Kartra Membership Websites are organized on a safe platform. All passwords and also visit details are immediately created allowing you to focus on simply creating the site..
You can supply various types of material to your participants depending on the type of membership degree they have. Kartra makes setting this up very easy even for the non-tech kind individual.
There are 6 x different pricing strategies readily available for Kartra. All of the plans include a 14-day test which will establish you back $1. After you get to completion of the Karta 14 day totally free test you will certainly be billed monthly at the costs noted below.
Expert Secrets can be a fantastic and also very versatile tool for numerous companies. We here at JD-OD. com have composed a comprehensive short article to offer you a little bit more info concerning Expert Marketing Secrets.
Click Funnels is software program created by the notorious online marketer Russell Brunson. He created the platform to assist marketing experts, entrepreneur, solopreneures, entrepreneurs to be able to create advertising web pages (likewise called funnels) without any prior coding or computer programs experience. This eradicates the need to employ pricey developers and also designers as well as it can all be done from the done in one system Clickfunnels conserving you loan and liberating the time to concentrate on more vital elements of your service.
Whether you have a solitary item to offer or you have several items to market you can quickly develop a sales funnel to suit your product/s. If you are drop-shipping or developing your very own items after that you produce a fully useful channel which can integrate functions such as Once Offers (OTO’s), Upsells and Downsells. You can likewise incorporate your funnels with third party repayment business to obtain payments from your clients online. You can A/B split test all the funnels you produce and also all web pages are conveniently changed as soon as you understand what improvements/modifications need to be made.
Lead capture funnels (additionally referred to as press web pages) are where you offer a ‘cost-free gift,’ in exchange for an e-mail address. This can be some sort of guide in a PDF style that your prospect would intend to read. Once you have the e-mail address you can continue to market to them and also with any luck eventually make a sale. You can also put an One Time Deal (OTO) right into your lead capture channel as well as if it goes well you might be able to make a sale there and then.
There are numerous attributes with Kartra and there has been a substantial improvement to the software application it as soon as was. Currently, it is not simply a glorified, customizable buying cart. It now boasts a checklist of attributes which can be found below. The software program is by no means best yet is a substantial enhancement to what it when was. Being rather brand-new I make sure the designers are still striving on the software as well as there will much more features ahead in the future.
The Kartra Email Marketing feature is exceptionally flexible and extremely simple to make use of. If you likewise have a listing of leads from a previous e-mail advertising programme you can quickly import them all into Karta with a couple of clicks of your mouse. One thing to be knowledgeable about is that when you import leads over right into Karta it will take around a day before you can send your first program email. This is because Karta needs to validate all e-mail addresses to ensure that they stand and also to protect users from deliverability issues in the future. You will certainly be informed of any kind of jumped or blacklisted emails by Kartra to maintain your lists fresh as well as clean and also make certain maximum deliverability.
Sending out programs is easy and it the Kartra email system also enables you to A/B divided test emails to provide you an indication as to which e-mails are a lot more effective in your marketing campaigns. Another convenient attribute with the A/B split screening is that you can set the portion that you intend to split test. For example, you can send 75% to An and the staying 25% to B which can be actually useful when examining out different e-mail subject lines of making tiny adjustments to every email. An even more detailed testimonial of the Kartra email function can be discovered below.
Really comparable to Clickfunels the Kartra Touchdown page home builder allows you to produce opt-in types, sales web pages, up-sell and down offer web pages, webinar registration pages, item launch funnels as well as much far more!
Kartra allows you to develop a simple sales web page to a full sequence, multi-step sales channel without the need to be experienced in computer code. It is a drag and decline design marketing web page home builder.
Kartra features pre-made templates of all the types of marketing pages which are quickly tailored to match your organisation OR if your sensation certain you can create your own web pages from the ground up!
All pages have the capacity to be A/B split screening. so you can easily see which is converting better bringing you extra leads & sales right into your company!
The Kartra buying cart is a major contender to other shopping cart platforms out there. Kartra was initially made as a purchasing cart platform yet considering that the upgrade of Kartra there have been a lot more renovations to the Karta buying Cart..
Utilizing the drag & decline attributes you can easily customize your check out pages as well as easily hook up to your chosen analytics accounts to keep an eye on sales and also subscriptions that you have made.
The Kartra service monitoring system enables creating advertising sequences for every one of the pages detailed above. You can start e-mail series at certain factors in the funnels or produce an up-sell or downsell when a possibility moves your marketing sequence. When linked to your chosen analytics program you can easily see which components of your sequence need enhancement and also which parts are functioning well, provided you the capacity to produce a sales driving equipment!!
Another function of the Kartra platform is the ability to produce totally customizable membership sites. Kartra Subscription Sites are held on a protected system. All passwords and log in information are automatically developed allowing you to concentrate on simply producing the website..
You can provide various types of material to your participants depending on the kind of membership degree they have. Kartra makes setting this up extremely simple also for the non-tech kind individual.
There are 6 x different prices strategies readily available for Kartra. Every one of the plans come with a 14-day test which will establish you back $1. After you get to the end of the Karta 14 day free test you will be billed monthly at the rates listed below.
Expert Secrets can be an excellent as well as really functional tool for lots of businesses. We right here at JD-OD. com have composed an in-depth short article to provide you a bit extra info about Expert Marketing Secrets.
Click Funnels is software created by the infamous online marketing expert Russell Brunson. He developed the platform to aid marketing experts, business owners, solopreneures, entrepreneurs to be able to produce advertising and marketing pages (additionally called funnels) with no prior coding or computer shows experience. This gets rid of the demand to hire pricey designers and designers and also it can all be done from the done in one system Clickfunnels saving you cash and also freeing up the time to concentrate on more vital facets of your business.
With Clickfunnels you can conveniently produce a fully adjustable, interactable site which leads potential customers with your sales funnel.
Whether you have a solitary item to sell or you have numerous products to sell you can easily develop a sales funnel to suit your product/s. If you are drop-shipping or creating your own products after that you produce a completely useful funnel which can incorporate attributes such as One Time Offers (OTO’s), Upsells and Downsells. You can likewise incorporate your funnels with 3rd event payment companies to get settlements from your consumers online. You can A/B split test all the funnels you produce as well as all web pages are conveniently changed once you know what improvements/modifications need to be made.
Lead capture funnels (likewise called press pages) are where you give a ‘free present,’ for an e-mail address. This can be some sort of guide in a PDF layout that your prospect would intend to review. As soon as you have the e-mail address you can continue to market to them and also ideally at some point make a sale. You could even place an One-time Offer (OTO) into your lead capture channel and if it goes well you may be able to make a sale there and afterwards.
Lead Capture Funnels are easily produced in Clickfunnels as well as you can either utilize Clickfunnels Actionetics e-mail or you can make use of a third party e-mail responder such as Aweber or ConvertKit.
There are several functions with Kartra and there has actually been a massive improvement to the software application it as soon as was. Currently, it is not simply a pietistic, personalized buying cart. It now boasts a listing of functions which can be discovered below. The software is by no means excellent yet is a vast enhancement to what it as soon as was. Being rather new I make certain the makers are still striving on the software application and there will certainly many more functions to come in the future.
The Kartra Email Marketing feature is extremely flexible as well as very easy to use. If you additionally have a listing of leads from a previous e-mail advertising programme you can quickly import them all right into Karta with a couple of clicks of your computer mouse. Something to be knowledgeable about is that when you import leads over right into Karta it will take about a day before you can send your initial broadcast e-mail. This is since Karta needs to confirm all e-mail addresses to guarantee that they stand and to safeguard customers from deliverability concerns in the future. You will certainly be informed of any kind of bounced or blacklisted e-mails by Kartra to maintain your lists fresh and tidy and also make sure maximum deliverability.
Sending broadcasts is simple and it the Kartra email system likewise permits you to A/B split examination e-mails to offer you a sign regarding which emails are a lot more successful in your advertising and marketing projects. One more convenient attribute with the A/B split screening is that you can establish the portion that you want to divide examination. For instance, you could send out 75% to An as well as the remaining 25% to B which can be truly useful when evaluating out various e-mail topic lines of making little modifications per e-mail. A more extensive testimonial of the Kartra e-mail feature can be located here.
Extremely similar to Clickfunels the Kartra Landing page home builder enables you to create opt-in kinds, sales pages, up-sell and also down market web pages, webinar enrollment web pages, product launch funnels and also much much more!
Kartra allows you to produce a simple sales page to a complete series, multi-step sales channel without the requirement to be experienced in computer system code. It is a drag as well as drop design advertising and marketing web page contractor.
Kartra includes pre-made templates of all the types of advertising and marketing pages which are quickly customized to match your organisation OR if your feeling confident you can develop your very own pages from square one!
All web pages have the ability to be A/B split testing. so you can easily see which is converting better bringing you much more leads & sales into your organisation!
The Kartra buying cart is a serious contender to various other purchasing cart platforms around. Kartra was initially made as a purchasing cart system yet considering that the upgrade of Kartra there have been much more enhancements to the Karta purchasing Cart..
Utilizing the drag & drop features you can easily customize your check out pages and also quickly connect to your chosen analytics accounts to keep track of sales and also subscriptions that you have made.
The Kartra company monitoring system permits creating advertising sequences for every one of the web pages provided above. You can start e-mail sequences at particular factors in the funnels or create an up-sell or downsell when a prospect relocates your advertising and marketing series. When linked to your picked analytics program you can conveniently see which components of your series demand improvement and also which components are functioning well, offered you the capability to produce a sales driving equipment!!
Another function of the Kartra platform is the ability to produce totally adjustable membership sites. Kartra Membership Sites are held on a safe and secure platform. All passwords and log in details are automatically developed allowing you to concentrate on just developing the website..
You can provide different kinds of web content to your members depending upon the type of membership level they have. Kartra makes establishing this up really easy even for the non-tech type person.
There are 6 x various rates strategies available for Kartra. Every one of the strategies include a 14-day trial which will certainly set you back $1. After you get to completion of the Karta 2 week cost-free test you will be billed monthly at the prices detailed below.
Expert Secrets can be a terrific and also really versatile device for numerous companies. We below at JD-OD. com have actually composed a comprehensive post to give you a little bit extra information regarding Expert Marketing Secrets.
Click Funnels is software developed by the notorious online marketing professional Russell Brunson. He developed the system to help marketing experts, company owner, solopreneures, entrepreneurs to be able to create advertising and marketing web pages (also referred to as funnels) without any prior coding or computer system programming experience. This eliminates the need to employ pricey designers and also designers and it can all be done from the done in one system Clickfunnels saving you cash as well as freeing up the moment to concentrate on more vital elements of your service.
With Clickfunnels you can easily create a fully customizable, interactable internet site which leads prospects via your sales funnel.
Whether you have a solitary product to market or you have numerous items to market you can easily create a sales funnel to suit your product/s. If you are drop-shipping or creating your very own items then you create a fully useful funnel which can include functions such as One Time Offers (OTO’s), Upsells and also Downsells. You can likewise integrate your funnels with 3rd party repayment firms to get settlements from your consumers online. You can A/B divided test all the funnels you develop and also all pages are quickly altered when you know what improvements/modifications require to be made.
Lead capture funnels (likewise known as capture pages) are where you offer a ‘cost-free gift,’ for an email address. This can be some sort of overview in a PDF layout that your prospect would certainly intend to check out. When you have the e-mail address you can continue to market to them and hopefully ultimately make a sale. You could also place an One-time Deal (OTO) into your lead capture funnel as well as if it goes well you may be able to make a sale there and after that.
Lead Capture Funnels are easily created in Clickfunnels as well as you can either make use of Clickfunnels Actionetics email or you can use a third party e-mail -responder such as Aweber or ConvertKit.
There are numerous functions with Kartra and also there has actually been a massive renovation to the software application it as soon as was. Now, it is not simply a glorified, customizable buying cart. It currently boasts a listing of features which can be found below. The software application is never perfect however is a vast enhancement to what it as soon as was. Being fairly new I make sure the developers are still striving on the software program and also there will certainly much more functions to come in the future.
The Kartra Email Advertising and marketing feature is very functional and also extremely easy to use. If you also have a checklist of leads from a previous e-mail advertising program you can easily import them all into Karta with a few clicks of your mouse. One thing to be familiar with is that when you import leads over into Karta it will certainly take about a day prior to you can send your first broadcast email. This is due to the fact that Karta needs to validate all e-mail addresses to ensure that they stand as well as to shield users from deliverability concerns in the future. You will be alerted of any kind of bounced or blacklisted e-mails by Kartra to keep your checklists fresh as well as tidy and make sure optimal deliverability.
Sending broadcasts is simple and it the Kartra e-mail system likewise enables you to A/B divided test emails to give you an indication as to which emails are a lot more effective in your advertising and marketing projects. Another helpful function with the A/B split screening is that you can establish the percentage that you intend to split examination. As an example, you might send out 75% to An and the staying 25% to B which can be truly handy when checking out various e-mail subject lines of making little adjustments to each e-mail. An even more comprehensive review of the Kartra e-mail attribute can be discovered here.
Extremely similar to Clickfunels the Kartra Landing web page home builder enables you to create opt-in types, sales pages, up-sell and also down offer web pages, webinar registration pages, product launch funnels and much much more!
Kartra enables you to develop a basic sales page to a full sequence, multi-step sales funnel without the demand to be experienced in computer system code. It is a drag as well as drop design marketing web page contractor.
Kartra comes with pre-made layouts of all the sorts of advertising and marketing pages which are easily customized to match your service OR if your feeling certain you can develop your very own pages from square one!
All web pages have the capability to be A/B split testing. so you can quickly see which is transforming much better bringing you more leads & sales into your business!
The Kartra buying cart is a significant challenger to other shopping cart systems available. Kartra was originally made as a shopping cart system however since the upgrade of Kartra there have been much more improvements to the Karta shopping Cart..
Using the drag & drop functions you can easily tailor your check out pages and conveniently connect to your picked analytics accounts to keep track of sales and also registrations that you have actually made.
The Kartra service monitoring system enables developing marketing series for every one of the web pages detailed above. You can start e-mail series at particular factors in the funnels or produce an up-sell or downsell when a prospect relocates your advertising sequence. When attached to your chosen analytics program you can quickly see which components of your series demand enhancement and which parts are working well, provided you the ability to produce a sales driving device!!
An additional feature of the Kartra platform is the capability to develop totally adjustable subscription websites. Kartra Membership Sites are organized on a protected system. All passwords as well as log in information are automatically created enabling you to focus on simply producing the website..
You can supply various types of web content to your members depending on the type of subscription level they have. Kartra makes setting this up very simple also for the non-tech type individual.
There are 6 x different rates strategies readily available for Kartra. All of the strategies come with a 14-day trial which will establish you back $1. After you get to the end of the Karta 2 week complimentary test you will certainly be billed monthly at the prices listed below.
Expert Secrets can be a wonderful as well as very flexible device for several organisations. We below at JD-OD. com have actually written a detailed article to offer you a little bit more info concerning Expert Marketing Secrets.
Click Funnels is software application created by the notorious online marketing expert Russell Brunson. He produced the platform to help marketing experts, entrepreneur, solopreneures, entrepreneurs to be able to develop marketing pages (also known as funnels) with no previous coding or computer system shows experience. This eradicates the demand to employ pricey programmers and also developers as well as it can all be done from the done in one system Clickfunnels saving you cash as well as freeing up the time to concentrate on more crucial elements of your company.
With Clickfunnels you can conveniently produce a totally personalized, interactable site which leads leads with your sales funnel.
Whether you have a solitary product to sell or you have several items to sell you can quickly produce a sales channel to fit your product/s. If you are drop-shipping or creating your own items then you create a totally functional channel which can include functions such as One Time Offers (OTO’s), Upsells as well as Downsells. You can additionally integrate your funnels with 3rd celebration settlement business to receive payments from your clients online. You can A/B divided examination all the funnels you create and all pages are quickly altered when you recognize what improvements/modifications need to be made.
Lead capture funnels (also called press pages) are where you offer a ‘complimentary present,’ in exchange for an email address. This can be some kind of overview in a PDF style that your possibility would wish to review. As soon as you have the e-mail address you can continue to market to them and with any luck at some point make a sale. You might also put an One-time Deal (OTO) right into your lead capture funnel and if it goes well you might be able to make a sale there and then.
Lead Capture Funnels are easily developed in Clickfunnels as well as you can either utilize Clickfunnels Actionetics e-mail or you can make use of a 3rd party e-mail responder such as Aweber or ConvertKit.
There are many functions with Kartra as well as there has been a large renovation to the software program it when was. Now, it is not just a glorified, customizable buying cart. It now flaunts a listing of features which can be found below. The software application is never best yet is a huge renovation to what it when was. Being fairly brand-new I make certain the developers are still working hard on the software application as well as there will much more attributes ahead in the near future.
The Kartra Email Advertising and marketing feature is very flexible and very easy to make use of. If you likewise have a listing of leads from a previous email advertising program you can quickly import them all into Karta with a few clicks of your computer mouse. One point to be knowledgeable about is that when you import leads over into Karta it will certainly take about a day prior to you can send your very first broadcast email. This is due to the fact that Karta needs to validate all e-mail addresses to make sure that they stand as well as to safeguard individuals from deliverability issues in the future. You will be informed of any type of bounced or blacklisted emails by Kartra to keep your listings fresh and clean and also make certain optimal deliverability.
Sending out broadcasts is simple as well as it the Kartra email system likewise enables you to A/B divided test emails to offer you a sign as to which e-mails are extra effective in your advertising projects. One more useful attribute with the A/B split screening is that you can set the percent that you wish to split examination. As an example, you might send out 75% to An as well as the staying 25% to B which can be really valuable when testing out different e-mail topic lines of making small modifications to each email. An even more detailed review of the Kartra email attribute can be discovered below.
Really comparable to Clickfunels the Kartra Landing web page building contractor enables you to produce opt-in types, sales pages, up-sell as well as down offer web pages, webinar registration pages, item launch funnels as well as much a lot more!
Kartra allows you to produce a basic sales page to a full series, multi-step sales channel without the requirement to be experienced in computer system code. It is a drag and decline design advertising and marketing web page contractor.
Kartra comes with pre-made design templates of all the kinds of advertising web pages which are conveniently customized to suit your business OR if your sensation confident you can produce your very own web pages from scratch!
All web pages have the capacity to be A/B split testing. so you can conveniently see which is transforming far better bringing you a lot more leads & sales into your company!
The Kartra buying cart is a serious challenger to other purchasing cart systems available. Kartra was originally made as a shopping cart system but since the upgrade of Kartra there have actually been a lot more improvements to the Karta shopping Cart..
Making use of the drag & decline attributes you can conveniently personalize your check out pages as well as conveniently connect to your picked analytics accounts to monitor sales as well as memberships that you have made.
The Kartra business monitoring system permits producing advertising series for all of the web pages detailed above. You can initiate e-mail sequences at particular points in the funnels or develop an up-sell or downsell when a possibility moves your advertising and marketing sequence. When connected to your selected analytics program you can easily see which parts of your series need improvement as well as which components are working well, given you the capacity to develop a sales driving machine!!
Another function of the Kartra system is the capacity to produce fully personalized subscription websites. Kartra Subscription Sites are organized on a safe platform. All passwords and visit details are instantly developed enabling you to focus on simply producing the site..
You can supply various kinds of content to your participants relying on the sort of subscription degree they have. Kartra makes setting this up very simple also for the non-tech kind individual.
There are 6 x various pricing plans offered for Kartra. Every one of the plans come with a 14-day test which will certainly establish you back $1. After you get to the end of the Karta 2 week complimentary test you will certainly be billed monthly at the prices provided below.
Expert Secrets can be a terrific and also extremely functional tool for numerous services. We here at JD-OD. com have written a thorough write-up to offer you a bit much more info regarding Expert Marketing Secrets.
Click Funnels is software application developed by the well known online marketer Russell Brunson. He created the platform to assist online marketers, company owner, solopreneures, entrepreneurs to be able to develop advertising and marketing pages (additionally referred to as funnels) with no previous coding or computer system programming experience. This removes the need to hire pricey programmers as well as developers and it can all be done from the all in one system Clickfunnels conserving you cash and also liberating the time to focus on more crucial facets of your service.
With Clickfunnels you can quickly create a fully personalized, interactable web site which leads leads with your sales funnel.
Whether you have a solitary product to offer or you have several products to market you can easily develop a sales channel to suit your product/s. If you are drop-shipping or creating your own items then you create a totally practical channel which can integrate attributes such as One Time Offers (OTO’s), Upsells and also Downsells. You can likewise incorporate your funnels with 3rd party settlement business to receive payments from your clients online. You can A/B split examination all the funnels you develop and all web pages are easily altered once you know what improvements/modifications need to be made.
Lead capture funnels (also known as squeeze web pages) are where you provide a ‘free gift,’ in exchange for an email address. This can be some type of guide in a PDF layout that your prospect would wish to review. As soon as you have the e-mail address you can remain to market to them and ideally at some point make a sale. You might also place an Once Offer (OTO) right into your lead capture channel as well as if it works out you might have the ability to make a sale there and afterwards.
Lead Capture Funnels are conveniently produced in Clickfunnels as well as you can either use Clickfunnels Actionetics e-mail or you can utilize a 3rd party e-mail responder such as Aweber or ConvertKit.
There are several attributes with Kartra and there has been an enormous enhancement to the software application it once was. Currently, it is not just a pietistic, customizable buying cart. It currently boasts a listing of features which can be located below. The software application is by no means excellent however is a substantial enhancement to what it when was. Being fairly new I’m sure the makers are still working hard on the software and also there will certainly a lot more features to come in the future.
The Kartra Email Advertising attribute is very functional as well as very simple to make use of. If you likewise have a checklist of leads from a previous e-mail marketing programme you can conveniently import them all into Karta with a few clicks of your computer mouse. One thing to be aware of is that when you import leads over right into Karta it will certainly take about a day prior to you can send your very first program e-mail. This is due to the fact that Karta needs to validate all e-mail addresses to make certain that they are valid as well as to secure users from deliverability concerns in the future. You will be notified of any kind of bounced or blacklisted e-mails by Kartra to maintain your lists fresh as well as clean and ensure optimal deliverability.
Sending out broadcasts is easy and also it the Kartra e-mail system also allows you to A/B split examination e-mails to provide you an indication as to which emails are extra successful in your advertising and marketing projects. An additional convenient attribute with the A/B split testing is that you can set the portion that you wish to split examination. For example, you might send out 75% to An and the remaining 25% to B which can be truly practical when checking out different e-mail subject lines of making small changes to each email. A more thorough testimonial of the Kartra e-mail attribute can be discovered below.
Very similar to Clickfunels the Kartra Landing web page building contractor permits you to produce opt-in types, sales web pages, up-sell and also down sell web pages, webinar registration web pages, product launch funnels and much a lot more!
Kartra enables you to create an easy sales web page to a complete sequence, multi-step sales channel without the need to be experienced in computer code. It is a drag as well as decline design advertising web page builder.
Kartra comes with pre-made design templates of all the sorts of marketing web pages which are easily tailored to fit your company OR if your sensation positive you can produce your own web pages from square one!
The Kartra purchasing cart is a serious contender to various other purchasing cart platforms available. Kartra was originally made as a buying cart platform but since the upgrade of Kartra there have actually been much more enhancements to the Karta shopping Cart..
Making use of the drag & decline features you can quickly customize your check out pages and quickly link to your selected analytics accounts to monitor sales and also registrations that you have made.
The Kartra company monitoring system permits developing marketing sequences for every one of the web pages detailed above. You can initiate e-mail sequences at particular factors in the funnels or develop an up-sell or downsell when a prospect relocates your advertising series. When attached to your chosen analytics program you can easily see which parts of your series need improvement as well as which components are working well, offered you the ability to create a sales driving machine!!
One more feature of the Kartra platform is the capacity to produce completely customizable subscription websites. Kartra Membership Websites are held on a protected system. All passwords as well as visit details are automatically developed permitting you to focus on just producing the site..
You can provide various kinds of material to your members relying on the kind of subscription level they have. Kartra makes setting this up very easy also for the non-tech type person.
There are 6 x different prices plans readily available for Kartra. Every one of the strategies include a 14-day test which will set you back $1. After you reach completion of the Karta 14 day totally free trial you will be billed monthly at the prices detailed below.
Expert Secrets can be an excellent and also very versatile device for numerous companies. We here at JD-OD. com have created a detailed post to provide you a bit a lot more info concerning Expert Marketing Secrets.
Click Funnels is software program developed by the infamous online marketer Russell Brunson. He developed the system to aid marketing professionals, local business owner, solopreneures, entrepreneurs to be able to develop advertising and marketing pages (additionally called funnels) with no previous coding or computer system shows experience. This removes the need to hire costly developers and also designers and also it can all be done from the all in one platform Clickfunnels saving you money and liberating the time to concentrate on more important aspects of your service.
With Clickfunnels you can easily produce a fully adjustable, interactable internet site which leads leads with your sales funnel.
Whether you have a single product to offer or you have numerous items to offer you can conveniently develop a sales channel to suit your product/s. If you are drop-shipping or producing your very own items then you create a fully functional funnel which can incorporate functions such as One Time Deals (OTO’s), Upsells and also Downsells. You can likewise integrate your funnels with 3rd event settlement companies to get repayments from your consumers online. You can A/B split examination all the funnels you produce and all pages are quickly changed once you understand what improvements/modifications require to be made.
Lead capture funnels (additionally known as squeeze pages) are where you offer a ‘complimentary gift,’ in exchange for an email address. This can be some type of guide in a PDF style that your prospect would wish to read. When you have the e-mail address you can continue to market to them and also hopefully at some point make a sale. You might also put an One-time Offer (OTO) into your lead capture funnel and also if it works out you may have the ability to make a sale there and after that.
Lead Capture Funnels are conveniently developed in Clickfunnels as well as you can either use Clickfunnels Actionetics e-mail or you can use a 3rd party e-mail -responder such as Aweber or ConvertKit.
There are numerous attributes with Kartra and also there has been a substantial improvement to the software application it once was. Now, it is not just a glorified, customizable buying cart. It now boasts a checklist of features which can be found listed below. The software is never best however is a huge improvement to what it as soon as was. Being rather brand-new I make sure the creators are still striving on the software application as well as there will many more features ahead in the near future.
The Kartra Email Advertising attribute is incredibly flexible and extremely simple to utilize. If you also have a list of leads from a previous email advertising programme you can quickly import them all right into Karta with a few clicks of your mouse. One point to be familiar with is that when you import leads over into Karta it will take about a day prior to you can send your first program email. This is since Karta needs to verify all e-mail addresses to ensure that they stand and also to shield individuals from deliverability issues in the future. You will be informed of any kind of bounced or blacklisted emails by Kartra to keep your lists fresh and also clean as well as ensure maximum deliverability.
Sending out programs is simple as well as it the Kartra email system also allows you to A/B split test e-mails to offer you an indicator regarding which emails are extra effective in your advertising and marketing campaigns. One more helpful attribute with the A/B split testing is that you can establish the portion that you want to split examination. For instance, you can send 75% to An and the remaining 25% to B which can be really practical when testing out different e-mail topic lines of making tiny modifications to every e-mail. An even more thorough evaluation of the Kartra e-mail function can be discovered right here.
Very similar to Clickfunels the Kartra Touchdown page contractor enables you to create opt-in kinds, sales web pages, up-sell and also down market pages, webinar enrollment web pages, item launch funnels and much a lot more!
Kartra allows you to develop an easy sales web page to a full sequence, multi-step sales channel without the need to be experienced in computer system code. It is a drag as well as decrease design advertising web page home builder.
Kartra includes pre-made design templates of all the types of advertising pages which are easily tailored to match your company OR if your sensation positive you can develop your very own pages from the ground up!
All web pages have the capacity to be A/B split screening. so you can easily see which is transforming far better bringing you more leads & sales right into your service!
The Kartra shopping cart is a major challenger to various other shopping cart platforms around. Kartra was initially made as a buying cart platform yet because the upgrade of Kartra there have been much more renovations to the Karta buying Cart..
Utilizing the drag & drop functions you can easily personalize your check out pages as well as conveniently hook up to your selected analytics accounts to track sales and also registrations that you have actually made.
The Kartra organisation management system allows creating advertising and marketing sequences for all of the pages provided above. You can launch e-mail sequences at particular factors in the funnels or produce an up-sell or downsell when a prospect moves your marketing sequence. When linked to your chosen analytics programme you can easily see which parts of your sequence requirement enhancement and also which parts are working well, given you the capability to create a sales driving maker!!
An additional feature of the Kartra system is the ability to create totally customizable membership websites. Kartra Membership Sites are held on a safe system. All passwords as well as visit details are automatically developed allowing you to focus on simply developing the website..
You can provide various kinds of web content to your members depending on the sort of subscription level they have. Kartra makes establishing this up very simple also for the non-tech kind person.
There are 6 x various rates plans available for Kartra. All of the plans come with a 14-day trial which will establish you back $1. After you reach completion of the Karta 2 week complimentary trial you will be billed monthly at the costs detailed below. | 2019-04-24T01:53:45Z | http://jd-od.com/expert-marketing-secrets-marketing-reviews-2019/ |
When most people think of 45 RPM records, they think of the small records often used for jukeboxes and singles. While it's true that many 45's released are singles, there are also 45 RPM LPs out there. These records play at a faster speed than the usual 33 RPMs of a standard LP, and because of this, are often doubles. While on a 33 RPM record, you can fit an entire album's worth of music, 45 RPM LPs can usually only fit about 12-15 minutes of music on each side--usually not enough space for an entire album.
So, what's the big idea? It seems like these 45 RPM records are more trouble than they're worth! According to audiophiles, the 45 RPM format sounds better because more musical data is fit into a smaller space than with 33 RPM records. This logic is also applied to digital music formats such as MP3s. A 256kbps MP3 is said to sound better than a 128kbps MP3 because more data is contained in the file. Just like a computer must read through more data in a 256kbps MP3 than with a 128kbps MP3, a turntable stylus must pick up on more nuances and details in the record groove in a 45 RPM record than in a 33 RPM record.
Anyway, the album I purchased was one that I had only listened to on CD and MP3 up until a few days ago. I can tell you that it sounds WAAAAY better than the CD, and definitely better than the MP3. However, I don't have a 33 RPM pressing of the album to do a side by side comparison. Too bad... I need to give the album another intense rotation or two to really get a feel for the superiority of the sound over CD, but again, this proves the theory (again) that vinyl really does sound better.
If you find an album that you love, and it is available in the 45 RPM format, it's probably worth picking up, because in addition to the theoretically better sound, it is also probably a heavier format, made with virgin vinyl, and may even include some nice extras. Enjoy the music...in 45 RPMs!
I am skeptical of die-hard audiophiles who talk about how some piece of gear sounds better because it has .01% less THD. The same argument is made with regards to MP3s (and other stuff too). If you didn’t have the spec sheet in front of you, would you really be able to discern such a small difference? Human ears are not precision instruments, and while it may be true that some humans can perceive smaller nuances in sound than others, it doesn’t mean that an especially perceptive human can make the same judgments as a precision instrument or computer.
As for “proving that vinyl is better”, I have proven it to myself, but maybe other people aren’t convinced. That’s fine, because the only person’s opinion that matters when it comes to how something sounds is my own. I encourage you and everyone else that reads this to make up their own minds about what sounds best to them.
Anyway, thanks for the comment. I am glad that I’ve got some lively discussion going!
why compare cd vs mp3 if they are both bad! Vinyl or 24/96 is another thing.
My belief is that audiophile gear sounds better not because it boasts all sorts of good specifications (THD, s/n, slew rate, blah blah, etc), but because most audiophile gear is very high powered, which then allows the listener to enjoy music much louder, with less distortion. With the volume up, you hear those subtle nuances in the sound, plus you get that realism of hearing the music at natural volume levels, making the music sound better.
Do you if its possible to have the hole drilled to the old size which use to be standard when buying 45 rpms? It seems that a lot of the vinyl out there is with a smaller spindle which only works on turn tables, but not jukeboxes.
It’s possible, but I wouldn’t recommend it. If your hole ends up being off the exact center of the record, it may not play properly, or if it does play, it may introduce distortion into the playback. If you have the tools to do it properly, maybe try it out on a record that you can throw away if it doesn’t work out. Good luck!
I’m trying to figure out of the vinyl I bought is 45 or 33. There are only 3 songs per side, which are about 4-5 minutes long each. So that would leave me to believe that it’s a 45. Os there another way I can tell? ( I haven’t played it yet….I would like to know the speed first before I play it).
Honestly, the easiest thing to do would be to play it. Although if it’s a full sized LP, it’s mostly likely 33, if it’s a small record with a big hole, it’s probably a 45. If you put the record on and use the 33 RPM setting, and the music sounds natural, it’s probably a 33. If it sounds low-pitched, slow and evil, it’s probably a 45. Conversely, if you put the record on and use the 45 setting, and the music sounds right, it’s probably a 45. If the music sounds fast, high-pitched, trippy, and weird, it’s probably a 33. Good luck!
The sound quality of vinyl has more to do with the mastering of the vinyl than with the rotational speed of the record. A good mastering engineer can make both a 33 and 45 version of the album sound good. The problem area with a 33 rpm vinyl album is during the second half of a side, as the needle gets closer to the label, there is less land to encode the audio information of the sound, the sound waves get squashed, there is not as much resolution, it gets much more difficult to capture high frequency information without distortion. Lowering the volume of the inner tracks can help them sound better, thus you did tend to find quieter songs as the last songs on the side of an album in the past. Mastering at 45 RPM helps to alleviate this problem, making the second half of the 12″ vinyl side better able to capture audio without having to lower the volume of the songs.
It’s really basic physics, 1/2 way into a 45 RPM side is comparable to the outside of the 33 RPM record in terms of the amount of land available to encode information. 1/2 inch from the label, the end of a 45 RPM side, is comparable to the middle of the 33 RPM side, kind of where the physical limitations of the vinyl format start to become audible as distortion. Thus the beauty of a 45 RPM 12″, you have an entire side of useful land to encode audio without having to worry so much about distortion and the physical limitations of the vinyl medium itself.
256kbps MP3s played through a very high-quality listening device, to my ears, are not the same as the CD. 320kbps MP3s seem pretty much the same. 256kbps AAC from iTunes seem pretty much the same. We are talking about my $2600 bi-amped recording studio monitors through a $3500 D/A convertor, to put things in perspective. The average human does not have this type of listening device, I need it for studio work, even I would have a hard time telling the difference if I didn’t have this “audio microscope.” It’s important to note the context, the listening environment, before making blanket statements about sound quality.
24bit/88kHz digital audio, that I work with in my studio, is quite spectacular, and significantly captures the sound of the incoming signal more accurately than CD-quality 16bit/44kHz. The audio CD itself is not the best digital audio storage medium, DVD-A and SACD, are much better equipped to store accurate digital audio and compete with vinyl, if you can find them anywhere, and have the appropriate playback device.
Thanks for the info! You do make some good points. To be able to get the best listening experience, there are many more things to consider than the RPM of the record. In addition to the quality of the gear you’re playing back on, there are a million other things: Your position in the listening environment, cleanliness of the stylus or record, ambient noise level, the power output of your amp, even your physical or emotional state. However, in my opinion, all audio formats suffer from the law of diminishing returns. Sure, you could have some crazy high-end digital audio format that contains 1000x more musical data than a regular old 128kbps MP3, but it’s not going to sound 1000x better.
I am 42 years old. This past summer, I dug out my Technics turntable from my high school days. Surprisingly, I was still able to buy a new belt, new cartridge, and even a NEW dust cover as the tabs that fit into the hinges were broken in the 80’s. This turntable did not get a LOT of use back then so the motor is top notch. I can accurately adjust the strobe for exact playback.
Let me tell you the thoughts that went through my mind after digging out my old 80’s albums out of storage. After listening to a few, I can say the only thought that kept running through my head was “what the hell were we thinking!!??!! These albums DO sound better than the CD’s. Yes, I re-purchased all my vinyl on CD, thank god I never got rid of the vinyl though. To me the better sound quality of vinyl over CD is obvious. One other issue I have NOT seen anyone address is that many albums sound SLOWER (and I must say more natural, like, what I “remembered” from “back then”). Again, it’s NOT my turntable, it’s working flawlessly and to prove the speed issue, I tested this one NEW out of the box turntable, again, the sound on many albums is slower, more natural. I’ve read up on the “loudness wars” where CD recording levels have been pushed up so high that musical information is missing on the CD’s, YES I hear that now, IT’S TRUE!! Sad though, for people like me that replaced all our vinyl with CD’s, then we went CD ONLY, now a lot of this vinyl resurgence is very clever marketing scheme on the part of the music industry (get the teens and 20 somethings hooked on this, something more difficult to copy/pirate/upload) make it cool again, and also maybe those 80’s guys (like me!!) will go out and get all the stuff they bought in the late 80’s, all of the 90’s and early 2000’s, maybe they will go out and re-buy all that stuff on vinyl!!! Pure Genius!! But you know what, I’m NOT buying all that CD stuff on vinyl, what I have I have, but I AM buying any NEW music on Vinyl whenever I can, and I can tell you it’s getting easier and easier, chain stores in my area are starting to stock vinyl now, not just the used record shop on the corner!! Now, for the last part of my ranting on here, if you read some of the articles on the ‘Net about the “loudness wars” another aspect mentioned in those articles is LISTENER FATIGUE. Hmm, I kinda proved this to myself. People are going to call me crazy here but TRY it for yourself if you can. Without a lot of medical history, I have great blood pressure, that of a healthy teenager. When I listen to music with headphones, it’s LOUD, been doing that since my teen days, hearing tests STILL pass with flying colors!! Now, when I listen to anything digital, MP3’s , CD’s etc. I have the volume LOUD. After 15 min. or so, I can feel my pulse throbbing in my neck. To be accurate here, the NEXT day, not mixing the test subject matter on the same day, the NEXT day, I listen to some of my vinyl, also LOUD, pulse in neck is soft as ever. And I have repeated this many many times. Strange? Yes. But I think the guy that wrote that article on the “Loudness Wars” and also went into some way too technical stuff for me to explain but DO understand, his point about the human ear NOT being meant to listen to digital information (even though we know it’s being converted BACK to analogue), that the human ear does better with analogue, he’s on to something here. Again, I challenge anyone to try this, just be sure to do it on separate days, or at least hours apart, dont do back to back tests as you can’t get an accurate result, you need time to let your body re-adjust. Of course, all this got me thinking, what happens when we WATCH digital information on tv? Millions of pixels…… what does that do to our brain? We all know how crappy digital cell phone conversations are when they go choppy, which is very often. I am calling all of this, “The Digital Lie”. We have been force fed digital at a slow to fast growing rate for over 25 years now. Might this have something to do with so many people being MORE stressed now than back then? The increased demands on our eyes, ears and brains??
It is always funny to watch a short, decent presentation of a topic get debated into oblivion. Good job. I think a child’s dream somewhere just died. Oh yeah, and that ultra-rare mint condition record you’ve been searching for…It called, and left a message saying it no longer wants you to own it. As a “part-time” collector of vinyl, and really all formats of music (just depends on how I find them), I can say that as long as there’s a good amp, respectable set of speakers, and something I want to hear that’s good enough.
In terms of actual audio that is reproduced from a 33 vs a 45, there is negligible difference but on some truly audiophile equipment that difference may be noticeable – it would, however, be at the fringes of the recording. The sub-freq cut-off range and ultra high-end are more “felt” than heard, in any case, and any “problems” that emerge from reproduction between the two formats will really only become apparent through their harmonic interaction with other elements of the sound in the more “musical” areas of the frequency spectrum.
That said, I’m a hip hop producer and spent many hours digging through old, weird records. There is a benefit to sampling from 45s with regard to quality of audio but in my experience it has nothing to do with the reproduction of “encoded” frequencies. The benefit lies in the signal to noise ratio difference between the two formats. Because the process of reproducing sound from vinyl on a regular turntable is a mechanical process, the very fact that the needle drags along a groove means that it picks up surface noise. The older and dirtier that a record becomes the more this surface noise will take the form or white/pink/brown noise. So, why is a 45 record better at dealing with this?
Well, because both forms will pick up the same relative density of wear and dust, the only benefit comes in that because the needle travels over a 45 faster, it reproduces that surface noise at higher frequencies, often pushing it out of the audible spectrum of sound.
You can try this on any old record to see my point. Take an old, dusty 33 and play it then switch your turntable up to 45, you’ll hear the noise diminish relative to the recorded signal.
All in all, it is a bit of a pointless argument. Both formats are massively flawed in terms of accurate reproduction. That is the beauty of a record – it is plagued with harmonic distortion, the brutal RIAA curve implemented imperfectly by solid state and valve technology, surface noise and clicks… that’s why it sounds so warm.
I can guarantee you that any slowing is introduced by the turntable, or all in your head. Digital does not speed up audio.
There is a noticeable difference between 320 and 128 kbps but its barely noticeable. The audio is clearer and smoother though and the file isn’t as lossy. Of course, vinyl is the highest definition. Can someone inform though as to why a 45 is better than a 33. Makes no sense to me since more audio data can be stored in the same time interval on a 33. This would line up with the 256 vs 128 analogy because the former has a larger file size. Likewise a 33 goes through ~half a revolution per sec. @ 6″ from the center that’s about 21″ of space in the groove per second which goes down steadily of course. A 45 on the other hand is three-quarters of a rev/sec. However the space is only 16.5″/sec (@ 3.5″ from center).
Actually, the 45 has more data. Think about it this way: A 45 spins faster than a 33. This means that the stylus will have to read more data in a 45 than a 33. Just like a high kbps MP3 vs. a lower kbps MP3, the computer has to read more data with the high kbps file. Of course, whether or not a 45 actually sounds better to a human ear is something else entirely.
There are a number of factors that affect sound quality, many of them have not even been touched in this discussion. However, I just wanted to bring out a couple of points. The first is, “speed” without considering other factors, is not relevant to sound quality, fidelity or any other aural perception. So, when this discussion is speaking of “speed” it is factoring in a great many qualities which are being taken for granted and should not be. The first is “data density”. That is a function of how much data is recorded in a given surface area of vinyl. On a LP, we have an approximate diameter (manufacturers start recordings at different places, so it is not a given number for where the music starts) of 12″. The circumference of that circle would be about 37.7″ at 33 1/3 RPMs, that’s about 1,257 inches of vinyl passing under the stylus per minute. The inner circle where the music stops playing is about 5″, a circumference of about 15.7″ or about 524″ inches of vinyl per minute. So sound density changes by about 42% from the beginning to the end of an LP. A 45 is about 7″ in diameter down to about the same 5″, so at 45rpm, the outer rings has about 990 inched of vinyl down to about 707 inches of vinyl. So a 45 represents some mid-portion of a 33 LP, the outside of a 33 being greater density and the inside being less. That’s what determines the amount of data being available. In a perfect world, more data would mean better sound fidelity. However, that greater density not only allows more “good” data to be recorded, but allows more “bad” data to be recorded and greater chance for picking up noise, distortion and contamination. So, in a real sense, you are just getting more of both. Also impacting quality is groove depth and density. The grooved on a 33 are shallower which provides less fidelity and makes them easier to damage. A 33 also usually has more “grooves per inch”, which actually improves fidelity. As stated previously, as you “spiral in” on a record, the density changes. The faster you spiral in, the easier it is to hear the decreasing density’s impact on sound. So, a 45 echoes that sound more quickly than a 33. All of these things, and many more, impact analog sound quality. Some of those other considerations are wow, flutter, static, pop and environmental factors transferring to the stylus. Digital music suffers from none of those factors. And the data sampling rate (128 versus 256 versus 320 kbps) also is almost meaningless without some context. In a perfect world, all sound in any sampling rate falls inside the limitations of human discernment. However, we don’t live in a perfect world. For that reason, it is important to know the sound density you are sampling. A 12, 16, 24 and 48 bit sound pattern can be transmitted with a frequency response from 2Hz to 30 KHz (the human ear normally only registers things between 50Hz and 20KHz) and transmitted from 12 – 176 KHz. Thus, the volume, speed and frequency of data drastically changes what is sampled and what is captured. For the purpose of illustration, if someone plays an “A” on a piano with no change of pitch, duration or volume, it would have no detectable difference no matter which data rate you chose nor how sophisticated the equipment you used to detect it. If you tried to capture the entire electromagnetic spectrum for, say, FM radio and then play back just your favorite station, the likelihood of you getting acceptable results would be very much dependent upon the sampling rate (and a number of other factors). The capture rate is a function how much data you want or need to capture to produce an undetectable difference in the range of audible hearing. Lossless recording try to capture everything and need a very high capture rate, with a very high bit count, transmitted at a very high frequency. Compressed formats use a clipping format to make sure they cover 80-90% of the audible range, eliminating highs and lows and then sample at a rate that skips periods of time, but tries to do so in a manner that is not audibly discernible. The smaller the file size you seek, the more likely it will be you will hear the change.
So, all that being said, what is practical and what is useful? Some of these changes can’t be perceived by the human ear. Some can be perceived by an audiophile in a controlled environment. The truth is, almost no one can detect most of these changes while listening in their car, or while jogging, cleaning their house or tuning their car. You can’t use vinyl portably, so the limitations are very impractical in regular use. For those purists who sit in quiet rooms with the best equipment and the most highly controlled environment, know this, the recording is still imperfect, as is the playback equipment and all you are getting is a more perfect version of the flaws in the recording. If you want purity, you must go and listen to the musicians. If it’s recorded, it is flawed.
Songs on the soundtrack of a PAL DVD will tend to be about 4% higher pitched than they are on record (or CD), because of the nature of PAL film and video transfers.
I can tell you this. A 45rpm the music can be LOUDER than on a 33rpm. The sound wave is stretched out more at 45rpm so it is more shallow so there is more room to pump up the volume when recording it on the record. And then you need less amplification from the Stereo equipment for playback. Less amplification means better sound. Now, can we REALLY pick up on the differences? Who knows. BUT, there is a difference. | 2019-04-22T18:41:51Z | http://www.vinylrevinyl.com/2008/11/10/45-rpm-vinyl-lps-do-they-sound-better/ |
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2.4 The Provider shall ensure that the helpdesk is operational during Business Hours during the Term. Where prior arrangements have been agreed, the Provider shall provide a special telephone number for the Customer to report critical issues outside of Business Hours. | 2019-04-24T18:22:56Z | https://www.iaccredit.me/terms-of-use |
Choosing the right builder for your Fresno CA home is important.
Building your home is one of the biggest financial decisions you’ll make, and it will significantly impact your life. Therefore, it is important to carefully choose the people you team up with.
Knowing that you’ve made the right choice gives you confidence in your decision.
In choosing a builder, don’t immediately settle for the first one. You need to be able to compare to see which ones are really good.
Do some research. Check online for reviews. Make a list of the possible builders you want to work with, then call them up and have a conversation with them. When you’ve learned what you need to learn about each of them, then you can make a decision.
There are many questions you need to ask when choosing a home builder in Fresno CA.
You have to know how many years they’ve been in business, how many homes they’ve built, if they are licensed, if they can give references to some homes they’ve built, etc. These kinds of questions should be asked every time.
1. Do you build only from home plans or can I arrange for my own plans?
If you are planning to build a custom home, you need a builder who is flexible and will build from your own plans.
2. Who will oversee my home construction? Who should I contact if I have questions and concerns?
You want to know who you have access to in the company. There are a lot of challenges in building a home, and you want to have access to all the right people who can help resolve your questions.
3. How and when will I be allowed to make changes or upgrades during construction? Will there be an additional fee for the changes?
Expect to make changes during the construction process. You may find yourself not happy with the look of the kitchen tiles. You may change your mind about the size of the master bathroom.
On-site changes are common in the construction process. You need to know the conditions and if there are any additional costs attached to the changes.
4. How and when will the final price of my home be determined?
Building a home can be costly. It will depend on the size of the home, the land it occupies, and the home features you want to install. The kind of home you want to build also matters.
If you’re building from a floor plan, Fresno CA home builders already have a library of floor plans for you to choose from. This includes mostly everything, from appliances to cabinets to plumbing fixtures.
If you plan to build a custom home, it will cost more. Custom homes usually have premium quality materials and top-of-the-line appliances.
You need to know when and how much budget you’ll need.
5. What is your usual timeline?
Building takes time. It is also influenced by the weather, material delivery, labor concerns, and many more.
Even then, a reputable builder has a good idea of how long it will take to build and can give you a general timeline.
Knowing the answers to these questions will help you know more about the builder. It will also give you a better understanding of the building process, which you need to learn as much as you can.
Choosing the right home builder in Fresno CA need not be difficult if you have the help and support from a reputable real estate agent.
For more home builder information, visit http://equityassetsrealestate.com/.
559-246-8991. Let’s discuss the best home builders Fresno has to offer.
Whether you are looking for a home in Clovis CA or putting your home on the market, you can never underestimate the importance of having an experienced Clovis CA Realtor by your side. With so many agents showing off their credentials via social media or yard signs, how do you choose the right Realtor to assist you?
Since you and your Realtor will spend the next few months working together, you must ensure that he is someone you can rely on. A good Clovis CA Realtor will listen to you and will never waste time on properties that do not fit the bill.
1. Know if he has the right credentials.
As a Realtor, he must be a member of the National Association of Realtors. If he is a member of this association, that means he has undergone additional training as a real estate agent, demonstrates appropriate professional skills and abides by the NAR code of ethics.
2. Check if he has a current license.
Before doing any business with a Realtor, make sure that he has a current license and that he has completed all the proper training. If he is licensed, his name should be listed on your state’s real estate regulatory board.
3. Make sure that his past clients have nothing but good things to say about him.
You may request an agent to give you a list of his past clients. Once you have their contacts, you can call them and request for an honest assessment of the agent’s skills.
A good Realtor will never hesitate to let you talk with his past clients because he is confident about his skills. You can also check out his website and read the reviews and testimonials written about him by his clients.
4. Watch for warning signs.
When choosing an agent, there are a few red flags you must not overlook. For instance, if you are selling your home and the agent immediately suggests a high listing price, that could be a bad sign.
It is also not wise for you to choose an agent who works part-time because that is an indication that he is less experienced and will not be able to give you the attention that you deserve.
5. See if his current listings match the type of home you want to buy.
If you are interested to hire a particular agent, look at the listings he advertises on his website. It is useless to work with a Realtor whose listings do not match the type of home you are looking for, or whose price range does not work within yours.
If you are looking for a property in Clovis CA, then your agent must be knowledgeable in the Clovis CA market. A good Realtor must know the properties in the area very well.
You can gauge his knowledge of the market by mentioning a house in the area that was recently sold or is for sale. If he knows the property and can even give you a few details, then you can tell that he is really in tune with the area he is catering to.
When you’re putting a home up for sale, you want to work with someone who knows the process well, not someone who’s been around the block once or twice. An experienced agent will know what to do, have better control of the situation, and will be of better help during stressful situations.
While experience and skills matter, the most important factor you need to look for in an agent is a personality that matches yours. Find someone you get along well. You will be working with that person for some time so your personality should get along.
Finding a trustworthy Realtor® is essential to ensure a smooth and successful buying or selling process.
Your real estate agent is in charge of documents, showings, negotiations, and overall coordination of your property. He provides significant support to ensure that the price is right, the marketing is done, your property photos look professional, and that your house is being shown to the right buyers. There are so many things a Realtor® does so it is important that you find someone you can trust.
Reliable agents are not built overnight. It takes time to build up a career, and it the course of that career, you’ll find records of successful transactions. You’ll also find amazing customer feedback online, whether it is on the agent’s website or in any of the real estate websites featuring local Realtors.
A trustworthy agent is someone who values your time and makes an effort to communicate whenever possible. He is someone who can easily be contacted whether online or offline.
When you want your property to sell smoothly and successful, find an agent who has years of experience in working in the local market. This means that he knows the right listing price for your home, how to adjust the price to match the current market, the right comparables in preparing a Comparative Market Analysis, and more.
Honest real estate agents have an amazing network of buyers, sellers, and real estate agents who provide them with a wide range of properties to recommend for you to use. Find an agent who w is honest enough to discusses everything, including the pros and cons, so you can make the best decision.
If you’re buying a home, an honest Realtor will ask you questions to know your preference, and then make suggestions based on your preference. If your agent just keeps suggestions properties without asking you first, that’s a sign he’s not really trustworthy. He’s just in it for the sale.
What are red flags to avoid in choosing a Realtor®?
Choosing the right agent to work with can be challenging with so many agents to choose from. Not all agents have equal skills and abilities so it is important you choose the right one. Selecting the wrong one will ruin the transaction and cause a lot of stress and headache.
One of the most common mistakes many home buyers and sellers make is they choose an agent because he is a friend or a relative. Unless your friend or relative is one of the best agents in the area, he or she may not be as efficient as other agents. Choosing someone because he is a friend or a relative is not really a move I’d suggest. Rather, go for someone who you know can help you best.
When you’re trying to sell a house fast and for top dollar, you want the help of an agent who works for more than just four or five hours a day. You want someone who can devote more hours to your marketing. When someone requests for a showing, you want an agent who is always available instead of someone who’ll reschedule because he or she has another work at the prospective buyer’s time.
Real estate agents have different specializations. Some specialize in luxury homes, others prefer commercial lands and vacant lots, and still, others prefer single-family homes. If you’re trying to sell a single home, you will most like get the best help from the agent who specializes in the field rather than from someone who sells million-dollar homes. Be sure to check that the agent specializes in your type of property.
If you’re selling a $300,00 home, it would be better to find an agent who works within the price range of your home, rather than someone who specializes in high-end deals.
5. The agent is unfamiliar with the local real estate market.
Your home is one of your biggest investments. You want to make the most out of the sale, and that will only be possible if you are familiar with the local listings.
6. The agent overprices the home.
One of the most obvious red flags you’ll see is when the agent prices your property too high. This means the house will take longer to sell and may even get stale. Home buyers are smart and often checks the previous prices of homes they like online, so they’ll know right away that your house is overpriced.
While some sellers prefer the convenience of not dealing with the troubles on an everyday level, it is the agent’s duty to communicate, provide updates and answer client’s questions.
Selling your home on your own is a huge challenge. A lot of mistakes can happen during the home selling process, and in real estate, mistakes can be costly. Hiring a trusted Realtor can help minimize any possible mistakes. Here are some common mistakes home sellers make that can be avoided with the help of a real estate agent.
Your property will be competing with many other beautiful homes, and if it is not clean nor staged, it will show up in the photos.
Most home buyers check the Internet before they actually decide which home to visit, so if your home is not prepared, buyers will like to be unimpressed and ignore your house for sale. Your house may sit on the shelf for months, and may even go stale, which is a disaster.
When you work with a Realtor®, you can be sure your home is prepared and staged before potential buyers see it.
An auction may seem like a good way to sell your home, but only do not mind the possibility of losing money. Even if you are in a hurry, you can still sell your home fast and for its best price with a great real estate agent.
f you sell the home on your own and you come on too hard, you’re more like to scare off the buyer. They may feel you are trying to push the house on them. When you work with a professional agent like me, I know the right words to say that will make the home more appealing to the buyer, rather than have the buyer ran away.
There is a saying in real estate that spring is the best time to put the home in the market. Actually, you don’t have to wait for a long time to sell your home because you may miss the perfect buyer.
Investing in real estate property involves a huge amount of money. Make sure that you only work with a Realtor you can trust. Why stress over who to choose? Choose me, Jason Nenadov as the best Clovis CA Realtor.
Are you ready to start your real estate journey? Call me, Jason Nenadov, at 559-246-899 and let’s have a conversation about what you’re looking for, your likes, and your must-have’s.
Investing in a real estate property involves a huge amount of money so make sure that you only work with a Realtor® you can trust. If you need someone to assist you with your home purchase in Clovis CA, call me today at 559-246-8991! I am Jason Nenadov, your top Clovis CA Realtor!
In case you can not view this video here, please click the link below to view Clovis CA Realtor on my YouTube channel: https://www.youtube.com/watch?v=qRxJJglozIY.
A real estate property is one of the most lucrative investments you can ever have. No wonder, many of the wealthiest people in the world are engaged in the business of buying real estate properties and renting them out.
The easiest way to get started as a real estate investor is by investing in single-family homes. Aside from the fact that maintaining a single-family home is easier than maintaining a multi-family property, there also tends to be less wear and tear when you only have a single tenant than when you have more. If you live in Clovis CA or anywhere near the area, you may find that most of the Clovis CA homes for sale are single-family homes that are ideal for first-time investors.
Before diving into the real estate business, make sure that you know the mortgage market really well. This is because getting the right mortgage will help keep your costs low. Using leverage to purchase a property can also help free up some of your money so you can use it for future repairs. However, since mortgage also involves financing costs, it is still best to consult with a Clovis CA realtor.
Rental properties generally have stricter approval requirements and require a larger down payment compared with properties that are occupied by their owners. While 3 percent down payment usually works for your own home, the case is not the same for an investment property. Since mortgage insurance is not available on rental properties, the down payment for these properties is typically at least 20 percent.
If you want your first rental property venture to work, it is necessary that you screen your tenants very well. You can do this by doing a background and credit score check, as well as looking into the landlord-tenant records in your area. You may want to lay out a set of criteria so you will know if the person who is interested to occupy your property is a qualified tenant and will not stress you out in the future.
To make the most returns, real estate investors commonly get low-cost homes. Because of that, some get tempted to get a home that they can get at a bargain and flip into a rental property afterward. The catch, however, is that these homes usually need major improvements and will require you to spend a lot on renovations. Instead of buying a fixer-upper, purchase a property that is not as cheap but only needs minor repairs.
Investing in a real estate property involves a huge amount of money so make sure that you take the necessary precautions before you dive in. If you need help with your first rental property investment, call me today at 559-246-8991! I am Jason Nenadov, Clovis CA’s top Realtor®! | 2019-04-26T15:38:20Z | http://equityassetsrealestate.com/tag/home-buying/ |
We're going to tell you why the best reverb pedal is so important for musicians. If you're someone who's just purchased a guitar and want to master it, but aren't completely satisfied with the sound that you get, try adding a pedal to the guitar. You'll hear your sound completely transformed.
Although electric guitar amps come equipped with a built-in reverb pedal, it isn't as effective as having an external pedal. The reverb pedal is capable of giving you more control over your playing. The outcome is much better than what you'd get with a simple electric guitar and an amp.
You may also like - Top 10 Flanger Pedals Review.
If you're looking to spice up your guitar music, there's no better way to do so than add a reverb pedal to your setup. If you're shopping around for a reverb pedal, you'll soon realize that there are a number available. To make things easier for you, we've come up with a list of the best reverb pedals to make your reverb pedal shopping experience hassle-free.
Capable of true bypass so there's no loss of tone.
Flexible and can fit into any setup with ease; comes equipped with stereo in and out.
Gives you clear, crisp tonal quality.
Comes with six distinct reverb styles.
Every reverb style is richly detailed as you would find with some of the very high-end models.
It comes with delay trails modes and true relay bypass.
Comes with 24-bit high-resolution reverbs of six different types: Spring, Hall. Plate, Room, Modulate, and Gate.
Capable of great sound shaping since it comes equipped with dedicated tone, time, mode, and level controls.
Great price point for number of features.
One thing that you'll tend to experience with reverb pedals is a loss of tone. Not the case with this reverb pedal from TC Electronic. It'll make your guitar sound way better than you're used to. The complete, comprehensive control that you get with this reverb pedal is simply amazing.
The TC Electronic Hall of Fame Reverb Pedal is capable of giving you all the reverberation that you could ever want from your electric guitar. It's one of the best reverb pedals around.
+ Capable of true bypass so there's no loss of tone.
+ Flexible and can fit into any setup with ease; comes equipped with stereo in and out.
+ Gives you clear, crisp tonal quality.
Why We Liked It - As far as the functionality of the TC Electronic Hall of Fame Reverb Pedal is concerned, this bad boy is flawless. It might not be equipped with a useful power supply but they're easy enough to pick up, so don't let that factor deter you.
This reverb pedal has the perfect blend of functionality and versatility. It comes with six different reverb styles that are perfectly crafted and fine-tuned by the expert MXR team. The setup of this reverb pedal is fairly easy. It comes with Constant Headroom Technology which allows it to deliver 20 volts of headroom. The six reverb styles give it all the versatility in the world and it is something that you will find in the fairly expensive plug-in and rack units.
+ Comes with six distinct reverb styles.
+ Every reverb style is richly detailed as you would find with some of the very high-end models.
+ It comes with delay trails modes and true relay bypass.
Why We Liked It - With its rugged construction and variety of reverb styles, the MXR M300 Reverb Guitar Effects Pedal is one of the best reverb pedals that you'll see out there. The best part? It isn't expensive.
Behringer has been manufacturing state of the art audio solutions for decades. The company is rated pretty highly in the eyes of audio professionals and audio technicians the world over; its consistent quality has won it lifelong fans.
The Behringer DR600 Digital Stereo Reverb Effects Pedal is another amazing product by Behringer at an amazingly low price point. This stereo reverb pedal is the first choice of many musicians. It's a 24-bit high-resolution reverb pedal that in-house the six most desired reverb styles.
+ Comes with 24-bit high-resolution reverbs of six different types: Spring, Hall. Plate, + Room, Modulate, and Gate.
+ Capable of great sound shaping since it comes equipped with dedicated tone, time, mode, and level controls.
+ Great price point for number of features.
Why We Liked It - The Behringer DR600 Digital Stereo Reverb Effects Pedal has top quality from one of the best in the business at a low price.
Small, durable, stereo reverb pedal. Need we say more?The Biyang Rv-10 3 mode delivers all the control that you could ever need from a reverb pedal. Another great affordable option.
+ Equipped with all metal steel enclosure for enhancing durability.
+ Analog circuit designs that enable it to deliver realistic reverb.
+ Has a toggle switch for selecting between three different modes, room, spring, and hall.
Why We Liked It -It's almost impossible to pick out a single flaw here, making it a natural choice for our list.
Ever wondered why your electric guitar could not sound complete even with the best of the guitar amps? With the Caline Reverb Guitar Effect Pedal True Bypass Aluminum Alloy Housing CP-26 installed in your guitar setup, you'll get the richest sound you could imagine.
+ This reverb guitar pedal can easily adjust to all reverb levels.
+Won delay function to maintain the original sound quality while getting a good reverb effect.
+ It comes with low pass filter LPF that helps adjust the radio frequency component of reverb.
Why We Liked It - It'd be tough to find a better reverb pedal than the Caline Reverb Guitar Effect Pedal at this price point.
This reverb pedal houses three distinct reverb styles. The spring reverb style it has on offer will take you to the classics and leave you mesmerized. Next in line is the hall reverb which is also pretty detailed, as is the final reverb style.
The design of the Electro-Harmonix HOLY GRAIL NANO Reverb Pedal is so compact that it's hard to believe it can deliver such a spacious hall reverb. Plus, the Flerb that you get is also top quality.
+ The spring reverb is completely unmatched.
+ It comes with a power supply (96DC-200BI), so no need for batteries.
Why We Liked It - If you're a fan of the classic spring reverb, the Electro-Harmonix HOLY GRAIL NANO Reverb Pedal is the perfect reverb pedal for you.
This reverb pedal gives you all the control you need when playing an electric guitar. The output is amazing. It comes with three different types of reverbs and a mode switch so that you can select whichever reverb you want without issue.
+ Comes with true bypass switching ensuring that the signal is always uninterrupted.
+ Reverb knob controls enable you to easily go from 100 percent dry to 100 percent wet.
+ The sound of this reverb pedal is the same as that of Holy Grail Nano.
Why We Liked It - With all the control and the great sound quality that this reverb pedal has on offer, it is surely one of the best out there.
Boss is the real deal when it comes to highly-rated audio solutions. It's a preferred brand of audiophiles and audio professionals all around the globe. As far as reverb pedals go, it's certainly the industry leader. The RV-6 Digital Reverb is no exception.
+ Equipped with 8 sound modes for major versatility.
Why We Liked It - The RV-6 Digital Reverb is easy to use and so versatile, we totally understand why so many folks love it.
If you're a reverb freak and can't imagine playing your guitar without that sick sound, you need this reverb pedal. Control and complete sound all in one convenient package. This is reverb at its finest.
+ Equipped with ten gorgeous reverb sounds.
+ Made from high-quality components ensuring the durability of this product.
Why We Liked It - With so many reverb options and such high-quality craftsmanship, you can't go wrong with this reverb pedal.
With its compact design, this reverb pedal is highly portable and the sound that you get from it is top quality. The major features on this are the plate and reverse reverb which allow you to get seriously creative.
+ It is a true bypass making sure the signal remains at its peak whenever you use it.
+ Comes with four different reverb types including spring, hall, reverse, and plate.
Why We Liked It - Some people might think the Electro-Harmonix Holy Grail Max Reverb is a bit overpriced, but with all the features and an amazing sound quality, it is worth the price tag.
Our top pick is a reverb pedal that allows flexibility as well as simplicity. The TC Electronic Hall of Fame Reverb Pedal is just what you need if you want the best simulation and trail off effects. It has the true bypass feature as well as analog dry through, so you have genuine tones and clarity.
It's even better for a stereo setup as it has a stereo in and out option. With its compact size, it's perfect if you have less pedal space.
This is easily our top pick, simply because of its many effects packed into one. It allows you to practice different settings which is useful if you're still finding your style.You can practice with one instead of buying many. And you can be sure about quality as this reverb is used by many legendary guitarists. Check out the YouTube demos to see how amazing this pedal really is. The control is completely in your hands.
The MXR M300 Reverb Guitar Effects Pedal is a high-quality pedal designed for those who know what kind of sound they want. It has six different distinctive effects put into one. You have true bypass and different delay trail modes. The analog dry path is high-fi with a whopping 20 volts of headroom.
With the push of a knob, you can utilize an effect that is completely distinct from the previous one. Why is it a premium quality reverb pedal? Each effect is meticulously detailed, making it suitable for professional use.
It is many reverb effects combined in one -plate, spring, and room. One interesting effect is the Epic effect, which is a combination of different analog tone delays. It also has stereo input and output and 100 percent wet mode. Whatever your needs may be, this reverb is sure to have something you'll love. It's a little pricey but you get high-quality multipurpose reverb that is definitely for those who want to take risks.
If you're on a limited budget but don't want to go for something basic and low quality, the Behringer DR600 DIGITAL REVERB Digital Stereo Reverb Effects Pedal has you covered. This digital reverb is as convenient to use as any other high-end digital reverb pedal. It's also a multiple reverb combined in one; there are six different types including plate, spring, room, hall, gate, and modulate. For musicians looking for even more options all-in-one pedals, we recommend checking our multi-effects pedals review. In addition to these different reverbs, you have three other controls that let you make your sound even more distinctive. You have a level, time, and tone to tweak the different modes even further. You have the level, time and tone to tweak the different modes even further.
It's a small yet extremely hardy piece of gear designed for prolonged use. It runs on the 9V battery from Behringer. It's incredibly affordable. You get all of these features and high-quality for under $50. It's definitely the best reverb pedal under $50 or even under $100. If you're just starting to play around with the reverb effect you'll find this very easy to use, especially if you're after the great value.
Understanding different effects and what they do is extremely important. Reverb pedals help to reflect sound off the surfaces of a room or venue. It creates a sort of live performance effect for your sound. You can adjust the sound anywhere from a small studio to a jam-packed hall. It's frequently used by rock and indie guitarists.
There are quite a few types of reverb pedals and some of them get even more distinct when combined with other types of effects. Here are the main types you should know about.
This is the most commonly used and features a spring that vibrates and a pickup that absorbs the vibration. With quite a distinctive sound, spring reverbs were traditionally built into some amps. However, today things are done digitally. The decay is quick here and the sound is brighter as a result. This is why so many guitarists love this effect in their compositions.
If you replace the spring from the spring reverb with a metal plate you get a plate reverb. The mechanism is pretty much the same; a pickup captures the vibration from the plate. It is subtle but with sudden enhancements that make it bright too.
These reverbs tweak your tones to make it sound as if they're being played in an empty hall or room. With these, you can choose which kind of room effect you want, e.g a small room or a giant theater.
This is pretty self-explanatory. It reflects the sonic bounces of a small or middle sized room. It has decay less than a second and has a very discreet sound. Room reverb is good if you're looking for a subtle reverb effect and want to retain the warmth of your sound.
This type of reverb pedal gives you a short decay time of 0.4 to 1.2 seconds. If you want a warmer sound, this reverb is the best for you. The sound is also clearer with this type of pedal.
A gated reverb reduces the reverb or altogether silences it when the volume of the guitar goes below a certain threshold. It can make the sound of the reverb quite big. Click here for the top noise gate pedals money can buy.
Most guitarists today use digital reverb pedals; they are more convenient to use. They do these simulations digitally rather than using a spring or plate. If you're going for a more vintage sound, then a reverb with an actual spring would be a better choice. The stompboxes are a lot more convenient for guitarists so most of the reverb pedals you will come across are digital.
Not all reverb pedals are stereo, so you should go for a stereo pedal specifically if you have a stereo rig. Iif most of your current pedals are stereo then you would want a stereo reverb pedal too. The reason is that the reverb pedal is usually the last effect in the chain and if it is stereo, the results can be significantly different. Obviously, the stereo reverb combined with another stereo will produce the best stereo rig.
True bypass or a buffer is a crucial consideration for a reverb pedal. A reverb pedal is similar to delay i.e. the sound trails off for some time even after you've stopped playing. Imagine hitting the bypass footswitch while the reverb is still at work. You'll abruptly cut the effect and the sound won't naturally fade, a real bummer if you're playing live.
You'll find more pedals have a true bypass or a buffer or a combination of both. True bypass isn't a great addition to the reverb type. Buffer, on the other hand, is something you can work with. Once engaged, the sound will continue to fade naturally. The reverb effect will stay alive as opposed to what would happen if you used the true bypass.
True bypass is usually great with other effects but it is not recommended for reverb for these reasons. However, if you plan on using the reverb continuously, then true bypass won't be a problem. It only creates a problem if you turn it on and off again and again. When shopping for a reverb pedal, your best option is to look for one with both true bypass and buffer.
Your budget is important to consider as well because there are pedals available around $30 to $40 then there are those that cost upwards of $100. Price depends on the quality and brand of the pedal. Features, however, do not depend on the price. There are cheaper options with similar if not the exact same features as the expensive reverb. The key here is simply your own needs and budget.
It's easy to find the kind of features you want at a lower price; many reverbs are basically multiple types combined. However, if you go for the expensive pedals, you'll get better quality and potentially some advanced functions. For beginners and those looking for simple pedals, spending a lot on reverb is probably not the best idea.
Reverb and Delay are somewhat similar but there are differences. Delay repeats the guitar while reverb reflects the sound of the guitar. The latter has more to do with defining the space of the sound. They are usually used together with delay coming first and the sound moving from delay to reverb. They are similar because they are used at the end of the signal chain. Delay and reverb are the last pedals in the chain. When used together they create a more ambient sound with somewhat of a unique presence.
You can see that reverb pedals aren't all the same and the effects the different kinds of produce depend on what you want. Reverb pedals can also be combined with other effects like modulation or delay. Obviously, the results will be even more distinctive.
Modern pedals can have many functions that allow you to tweak the sound to your preferences. You can have a single function or numerous settings for making the sound trail off and space according to your own liking. If you want a simpler sound, go for the most basic pedal with fewer features. If you want to take control of every little detail in your sound, opt for the digital reverbs that have many layers of controls. The common control you will find on almost all reverbs is the decay which can be one level or several.
Other considerations could include flexibility, as some guitarists prefer having more than one effect packed into one. The flexibility will allow you to switch between different kinds of reverbs. Also, you can have presets, unless you prefer adjusting the settings manually.
Size is another important thing to consider. These pedals come in different sizes. Reverb is usually the last one to go on your pedalboard, so you should know how much space you have left on it to place the reverb. You can easily find the standard or mini size reverb pedals from some of the most famous brands online.
What is a Reverb Pedal?
Reverb is the result of sound hitting different surfaces at various amplitudes, which creates a complex echo/delay effect. This echo effect also carries physical information about a particular space. Reverb is a sound that depends on the surface’s measurements and depth. Different measurement and depth options put out different amplitudes and delays in sound, thus creating many effects.
Imagine that a musician needs a hall reverb in his music. What will he do to achieve it? Either he can shift his studio to a gigantic hall or use a simple instrument to get a halo-like effect. This is where a reverb pedal comes in. This compact instrument allows musicians to add available reverb to their music or instruments. The reverb pedal features effects like hall, washroom, arena, stadium, etc. All the information of depth and measurements of these particular effects are stored in the reverb pedal so you can tweak the required setting without actually shifting to that particular surrounding.
What is a Reverb Pedal Used For?
Reverb pedals feature different surrounding effects in one compact box. Reverb pedals are used to add various surrounding effects to music. For instance, if a guitarist wants to compile his guitar recordings as if he had recorded it in a hall, he can either shift his instruments to a hall or use a simple stored effect on a reverb pedal to get the same results. Basically, a reverb pedal is used to achieve sound simulations you would get in closed or opened surroundings.
On the technical side, a reverb pedal alters the signal you're sending to the amp (with stored settings) to get an alteration in how your guitar or instrument will sound.
Why Would I Need a Reverb Pedal?
It depends on your personal preference! Many musicians out there want a reverb pedal to alter the signals of their instruments and make them sound like they're playing in a different space. Others don't like editing their signals, favoring the original instrument sound. So the answer depends on your personal choice.
What are the Different Types of Reverb Pedals?
Reverb pedals reverberate sound. There are five common types of reverbs.
This specific type of reverb is designed naturally by the mechanical system. Inside the system, the opposite sides of the spring are embedded with a transducer and a pickup so that the vibrations can be sensed. Although reverb pedals offer you a spring reverb, some guitar amps (like Fender) also offer you a built-in spring reverb. The market offers both analog and digital spring reverb pedals but the analog one’ are as rare as hen’s tooth. Spring reverb pedals are used to produce “boingy” sound.
Room reverbs are used to output a natural acoustic space sound as similar to a small room. The mechanism of this reverb reflects shorter waves that tend to wash off quicker. This type of reverb is mostly used to substitute slap-back echo type sound or lining it up with a slap-back delay to receive an enhanced effect. Room reverb pedals output a slap-back echo sound.
The hall reverb pedal has the same sound effect as a hall. The hall reverb pedal is used to alter the signals into sounding hall-like. Hall reverbs generate a much bigger surrounding effect than room reverb, with longer reflections and decay times. For large sounding, longer decays and complex reflections hall reverb pedals are the best.
Plate reverb pedals are known for contributing short to long and focused reverbs. Plate reverb pedal produces a studio effect. For more detailing, engineers added a delay for pre-delay and tweaked its frequencies by the help of EQ.
Shimmer aka pitch-shafted reverb pedals are commonly used with the guitars. Basically, this reverb adds harmony to the guitar’s signal. This reverb includes octave up and down effects. Octave up on the wet guitar signal produces a halo-like sound in the upper frequencies. Shimmer reverb pedals produce unnatural ambiance pitch-shafted sound.
Reverse reverbs are engineered in studios by recording reverb trails and reversing them leading signals into the sound source. Some of the pedals create interesting variations with the reversed trails.
Ever experienced volume drops on your guitar? If yes, then you should consider buying a gated reverb pedal. This pedal reduces or silences the level of your guitar’s reverb when it drops down to a certain threshold, providing a bigger sound without mixing up the sound.
This reverb uses audio samples and algorithms to sound like real acoustic spaces.
The chamber reverb pedal is used to output a sound with short decay time which results in more clarity. On paper, the reverbs last between 0.4 to 1.2 seconds, producing a warmer sound.
Reverb pedals are the most important gadget for adding a different sounding output. There are many reverb pedals out there which offer you good quality for your money without having to spend a ton of cash.
The TC Electronic Hall of Fame ensures that every type of consumer can experience the joy of best reverbs. For more than 20 years, this was the trusted pedal used by leading icons of the music industry like Michael Jackson, etc.
The pedal is packed with ten reverb sounds that you might not get on a budget. Decay, Tone and FX level controls allow you to get more control over the reverb. You can also download custom reverb sounds from TC’s official website.
The TC Electronic Hall of Fame uses analog circuitry for ensuring tone’s consistency. Other components are digital which means that any musician can easily use this pedal. The battery compartment can be accessed through unscrewing a single screw. The pedal’s housing is sturdy as it is made of metal. With ten built-in reverb sounds, custom downloadable reverbs, and analog circuitry, the TC Electronic Hall of Fame gives you a lot for a low price.
The DR600 by Behringer gives you state of the art reverbs on budget. This reverb pedal is engineered with 24-bit digital converters that give you prime access to full, thick sound.
This box offers you four modes, spring, plate, hall, and gate. It also features a room modulate mode which produces chorus like effects. The DR600 contains two input and output ports for routing signals into a stereo or feed towards the amplifier for a boosted sound.
Status LED lights notify the user if the box is in use or not. This pedal can be powered two ways, with a battery or a DC adapter. With two input and output ports, 4 modes and 1 modulated spring mode, this pedal is worth every penny.
Are you looking for a pedal that packs a variety of natural sounding modes at an affordable budget? The RV600 by Behringer is a great option!
This reverb machine offers 11 different reverb modes to mimic any sound space. By rotating the knob, you can access various available modes like hall, chamber, tile, echo etc. This machine is also equipped with a separate mix, decay, tone and more for full control. You also get a reverb trail switch.
With the RV600 you get to experience studio-class reverbs with the press of a button. Likewise, the machine features Real Sound Modelling DSP technology that contains natural algorithms to rock your reverbs. You also get two input and output ports for connecting amps. This bad boy runs on a 9V battery. With the Real Sound Modelling DSP technology, more than 11 reverb options, and a studio class button this reverb pedal offers the most variety under a rock-bottom price point.
From expensive to cheap we encounter every type of reverb pedals available. Here are the best of the bunch!
The Holy Grail Nano by Electro-Harmonix is counted among the best reverb pedals. This pedal has a compact design and a lower price. Holy Grail will redefine your experience with its classic spring reverb. You’ll get lost in the mesmerizing quality of its hall reverb. At last, you’ll face the unforgettable flerb rarely found in high-end reverb pedals.
The spring mode offers the finest reverb, hall mode sounds spacious, while the flerb mode offers a uniquely ethereal sound. Although this machine offers only 3 modes, it guarantees you the natural feel in all of them unlike those crafted with weak algorithms. This pedal is a stark choice.
The company Earthquaker Devices believes a pedal should be compact, simple to use and contain a lot of features. They also have an opinion that pedals should work correctly all the time. That's why every one of their products is hand-made, hand-tested and guaranteed for life.
The Dispatch Master by Earthquaker Devices is among the most popular reverb pedal in any music store. With its small size and lush sound, this pedal reverb is capable of working out wonders. It can produce a max of 1.5 sec of delay time with infinite repeats and cavernous reverb. The delay signal outputs clear and strong sound with null after effects or degradation. Similarly, the repeat signal decays into a good ambient swell with no oscillation.
The delay signal outputs clear and strong sound with null after effects or degradation. Similarly, the repeat signal decays into a good ambient swell with no oscillation. For giving a thick reverb, repeat control can be tweaked (while using reverb with no delay) to give more depth and dimensions to the sounding. With many controls, compact design and lush sound this pedal smashes all the records. | 2019-04-22T00:27:11Z | https://musiccritic.com/equipment/best-reverb-pedal/ |
Struggling with an addiction is difficult, so you’ll want as much Estes Park, CO addiction, detox, rehab, and resource information as you can get. This comprehensive guide will cover everything you need to know about Estes Park addiction rehab.
Addiction runs wild in America, and affects more people than you’d know. In fact, 1 in 10 Americans are diagnosed with a substance use disorder. That doesn’t even include the number of Americans who are addicted to alcohol.
If you’re among the many Americans struggling with an addiction, it’s time to take action. Don’t let an alcohol or drug addiction take over your life. There are plenty of resources and services in Estes Park, CO that can help you recover. Seek addiction treatment from rehabilitation facilities, and support from various groups, like a 12-step program.
You’ll be surprised at what the city has to offer. Many addicts don’t even fully take advantage of all the resources available. Not because they don’t want to, but because they don’t realize what’s available.
Take a look at our guide to see what’s out there. Plan out your road to recovery. Sobriety is just a step away. With the right help, you can be one step closer to living a healthier life.
When struggling with an addiction, reaching out for help may be the most difficult part of recovery. Many addicts are wary of being judged. Others aren’t sure if they have an addiction or not. They may not be sure whether their drug use constitutes as an addiction yet. After all, their drug use may not seem too severe in their eyes. They may not know whether they need drug addiction help. Even if they know that they do, they may not know where to start.
If you’re on the fence, don’t hesitate to contact us. We understand what it’s like to struggle with an addiction, and can direct you to the right resources. We’re dedicated to helping you break free from addiction, and lead a healthier life.
Talking about your addiction or diving straight into the root of it may help you figure out the extent of your addiction. You can contact us for a free phone assessment even if you just need to talk. We guarantee that these calls are 100% confidential. It’ll give you the chance to speak directly with a counselor and get all the drug addiction help you need. We’ll point you towards the drug addiction resources in Estes Park, CO.
More one-on-one time with an addiction counselor may help you unravel your addiction, and figure out where to start on your road to recovery. If you’re looking to reach out to an addiction counselor, here are some of the professionals that are available in Estes Park, CO.
Robyn Peters – Certified Addiction Counselor III, M.Ed., M.S.
Drug addiction counselors can help you work through your addiction with you. They’ll help you identify the root cause behind the addiction and what your triggers are. Therapy can help you learn how to avoid triggers and build better habits. You can also work out other issues you may be struggling with during therapy.
The U.S. Department of Health and Human Services have set aside a budget of $485 million to help combat opioid addiction. $7.8 million of this federal funding is allocated to Colorado, and managed by the Colorado Department of Human Services’ Office of Behavioral Health.
Those who are seeking treatment should call 1-844-493-TALK (8255) or visit colorado.gov/ladders to get the help they need. Call the number if you need immediate help. There are plenty of resources available for drug addiction in Estes Park, CO.
12-step programs for various drug addictions also form a strong support group. Many addicts rely on the support from 12-step programs to get sober and to stay sober. After all, relapse rates for drug addictions are incredibly high.
The program focuses on following 12 essential steps that will lead an addict to recovery. Former addicts mentor new members, and meetings are held each week to discuss how to get and stay sober. The information shared in the meetings is confidential. This is a safe place for many addicts.
There are various programs for each addiction. There’s Alcoholics Anonymous (AA), Narcotics Anonymous (NA), Cocaine Anonymous (CA) and more. There’s literally something for everyone.
Addiction affects not only the addict, but also the entire family unit. The 12-step program recognizes this, and offers support groups to family members as well. There are Al-Anon meetings, and even ACOA meetings for Adult Children of Alcoholics. Everyone can get the help that they deserve and need.
Alcoholics Anonymous (AA) is one of the largest 12-step programs worldwide. Plenty of different support groups meet at different times and locations. You can find all of the support groups for alcohol addiction in Estes Park, CO on the Northern Colorado Alcohol Anonymous website.
Unless otherwise stated, the following times and locations are for open-discussion meetings. This means that everyone is welcome. You can choose to join any meeting you’d like.
5:30 PM for The Fallen Women of Fall River Group at 701 Elm; this meeting is for women only.
It’s best to choose one meeting time and stick with it. If you can’t, it’s still a good idea to attend at least one meeting a week.
If you’re looking for drug addiction resources for narcotics, you may want to attend a Narcotics Anonymous (NA) meeting. The meetings are listed on the Off the Wall Area Narcotics Anonymous website.
These meetings can provide you with all the drug addiction resources you need to become sober. The members meet often to help one another stay sober and deal with their devils. You can attend these meetings whenever you feel like it. However, for optimal effectiveness, it’s best to attend the meetings on a weekly basis.
The drug trade is huge in America. This isn’t surprising considering the fact that 21 million Americans had a substance use problem in 2015. The drug of choice varies from cocaine to methamphetamine to opioids.
America’s war with drugs is a losing one, as overdose rates steadily increase over the years. Heroin and opioid overdoses have quadrupled in Colorado since 2002.
The numbers are continuing to rise. Each year, America loses more and more lives to drugs. Even prescription drugs are addictive. Some are gateway drugs that lead to the abuse of illicit drugs.
Regardless of whether you are addicted to cocaine, opioids or other substances, one of your best shot at recovery is to seek help. The primary goal of drug detoxification in Estes Park, CO is to manage withdrawal symptoms. It also physically rids your body of toxins and dangerous substances.
Without drug detox in Estes Park, CO, the withdrawal symptoms can be overbearing. In worst-case situations, they can even be fatal. If you don’t properly manage the withdrawal symptoms, you are much more likely to relapse. Relapses are not uncommon among drug addicts. Studies show that 40% to 60% will eventually relapse.
The Food and Drugs Administration has approved of a bunch of medications for drug detox. The type of medication that is used at each drug detox program in Estes Park, CO will differ. It’ll depend on the resources available at the facility. Some drug detox programs offer one day detox, whereas others offer more intensive treatment plans.
Understanding the type of medications that are available can help you make an informed decision about your treatment plan. Don’t hesitate to reach out to us to learn more about the pros and cons of each drug.
There’s a rising opioid epidemic in America. Americans are getting addicted to prescription opioids that offer pain relief. This often causes them to spiral down addiction, and get addicted to illicit street drugs, like heroin.
The types of drugs used in drug detox are part of a program known as Opiate Replacement Therapy (ORT). This treatment uses weaker opioids to replace the stronger ones. This helps manage withdrawal symptoms and curb cravings.
Methadone, Suboxone and naltrexone, or Vivitrol, are the most common options for drug detox in Estes Park, CO. These medications target the opioid receptors in the body. They are opiate blockers and prevent opioids from attaching to the receptors. Each of these drugs has distinctive pros and cons.
The type of drug detox pills the doctors prescribe will depend on the length of your drug use. It will also depend on your drug of choice, as well as your treatment plan. You might also need to factor in the cost of each drug into your plan to determine what’s best for your financial situation.
Stimulants, like cocaine, prescription ADHD medications and methamphetamine, can benefit from Estes Park, CO drug detox as well. The drug detox help manage withdrawal symptoms, particularly psychological ones. They help addicts stay level-headed throughout the entire recovery process.
It’s important to note that drug detox from stimulants is not necessary. Many patients are able to recover from a stimulant addiction without any medications. Therapies and counseling is most effective in these situations.
The type of medications prescribed will depend on the type of withdrawal symptoms you experience. It will vary from patient to patient. You’ll need a doctor to monitor your situation to make the right recommendations. This is why drug detox is usually recommended for residential treatment programs rather than outpatient treatment programs.
The entire drug detox timeline will depend on the length of drug use, as well as the drug abused. On average, it takes about 3 weeks for addicts to detox from their drug of choice. Addicts with a mild addiction may only need several days to fully detox.
No two detox processes will be the same. For optimal effectiveness, each substance abuse detox program in Estes Park, CO should tailor the process to each patient’s needs. The drug detox process will also depend on your mental health and wellbeing. After all, the drug detox helps manage and deal with psychological withdrawal symptoms as well.
Drug detox in Estes Park, CO is meant to help manage withdrawal symptoms. The withdrawal symptoms of each drug will differ slightly. This is because each drug affects a different part of your brain and a different chemical pathway.
Going through withdrawals is similar to having the flu. The symptoms are just more intense. They’re also longer lasting. In most cases, the physical withdrawal symptoms will subside within several weeks. The psychological withdrawal symptoms may remain. For some addictions, the psychological withdrawal symptoms may last for years.
The withdrawal timeline will also vary from drug to drug. For example, the withdrawal symptoms for heroin will usually appear 8 to 12 hours after the last dose. The symptoms will peak within 3 days and subside within 7 to 10 days.
Withdrawal symptoms for methadone, on the other hand, will appear 24 to 48 hours after the last dose. These symptoms then peak over the next 3 to 6 days, and subside within 3 to 6 weeks.
Alcoholism is also known as an alcohol use disorder (AUD). It is prevalent in America, affecting over 16 million people. Alcohol detox is one of the most important parts of addiction recovery.
When detoxing from alcohol, seek help from an alcohol detoxification center. Around-the-clock supervision is necessary to ensure success. Improper detoxification in Estes Park, CO can lead to serious and severe side effects. Some side effects are deadly or can lead to permanent bodily damage. Some damages can be quite severe.
Alcohol withdrawal symptoms can be difficult to manage. This is why most experts and health professionals recommend undergoing alcohol detox when quitting.
Alcohol detox in Estes Park, CO relies on the use of medications to remove toxins from the body. It also helps speed up recovery and prevent relapses.
Due to this reason, even those with a mild addiction can benefit from an alcohol detox. It works to help anyone who has an addiction to alcohol. If you’re not sure whether or not you’re addicted to alcohol, take our addiction quiz. You can also reach out to our professionals for more information. We’d be happy to assess your situation.
While uncomfortable, these withdrawal symptoms are not life threatening. The level of intensity will depend on the length of the alcohol use, among other factors.
Heavy, chronic drinkers are more likely to experience life-threatening withdrawal symptoms when quitting. These etoh withdrawal symptoms include delirium tremens and seizures. These symptoms are a sign of a true alcoholic.
The exact mortality rate of these symptoms is unknown. Still, some studies have shown that these symptoms have a mortality rate that hover at about 8%. This mortality rate includes around-the-clock medical supervision as well too.
The seizures or body tremors will usually begin locally. They will slowly spread throughout the entire body. Anyone who experiences these withdrawal symptoms when quitting will need medical attention immediately. If untreated, these withdrawal symptoms can be fatal. This is why medical detox is often recommended for those who are quitting alcohol use.
Stage 1.This stage kicks in approximately 8 hours after your last drink. It can start to kick in within 2 hours for chronic drinkers. Symptoms include anxiety, nausea and stomach cramps.
Stage 2. This usually starts after 1 to 3 days. The symptoms involved are more intense. They include increased heart rate and high blood pressure.
Stage 3. This stage starts after 3 days. This is when the symptoms are at their peak. Mood swings and hallucinations are not uncommon during this time.
To dampen the severity of symptoms, many patients will need medical detoxification. Detox helps remove toxins from the body, curb cravings and manage withdrawal symptoms.
These medications used in alcohol detox in Estes Park, CO can move the addiction treatment along. Those who take these medications are more likely to recover. They are also less likely to relapse. The medications are administered either in the form of a pill or via an intramuscular injection.
What Is the Goal of Alcohol Detoxification?
The goal of detoxification is to safely start the recovery process. It helps you get rid of all the alcohol and alcohol-related toxins in your body. This gives you a clean slate to work with when you start your recovery process.
While the detox process physically rids alcohol from your body, the rest of the addiction treatment should evaluate your mental state. This is equally as important when it comes to a successful recovery. Psychological analysis and assessments are often carried out during the detox process to aid in creating a personalized addiction treatment plan.
While the road to recovery will be long and uncomfortable, the most difficult part is usually the detoxification. The detox process will usually last anywhere from 7 to 10 days. Once the detox process ends, you’ll then need to work through the rest of the treatment plan.
Is It Safe to Detox from Alcohol at Home?
Many alcoholics want to know whether they can detox at home. The answer is yes. However, you’ll need to plan it carefully. If you don’t, you could end up with serious health complications.
If you decide to detox from alcohol at home, it is paramount that you look for professional supervision. Many detox programs offer intensive outpatient programs. These programs allow patients to go about their daily lives while detoxing.
In most cases, outpatient recovery programs are only recommended for the management of mild withdrawal symptoms. You’ll need to check in frequently with the supervising doctor to make sure that you’re on the right track. Check-ins will also determine whether you’re taking the right medication and the right dosage.
Many complications can arise from detoxing at home. For this reason, most doctors will recommend that you seek help from an alcohol detox facility instead.
If you go through medical detoxification, you can still expect to experience some withdrawal symptoms. The intensity and type of withdrawal symptoms will vary from patient to patient.
Medical staff at alcohol detoxification facilities will provide around-the-clock supervision. They check up on you to see whether the medication is working, and whether any adjustments need to be made.
Pills are prescribed every several hours, while injections are usually given once a month. For example, doctors prescribe acamprosate in 333 mg doses, three times a day. You can take the pills with or without food. As you detox, you should feel the withdrawal symptoms dampen in intensity. Some of the withdrawal symptoms may even subside completely.
It’s important to note that the alcohol detox process will greatly vary from patient to patient. It depends on how severe their alcohol use was, and the length of the abuse. Due to this reason, your experience during detox may differ from what you read here. We can provide you with more Estes Park, CO addiction resources to help you understand what you can expect during the detox process.
Despite drug addiction being such a huge problem in America, only about 1 in 10 addicts will seek addiction treatment. This is because many addicts are simply in denial about the severity of their addiction. Many are functioning addicts, and can still go about their daily lives. Others may have a difficult time affording treatment.
If you need help for drug addiction, here’s what you need to know about drug treatment centers in Estes Park, CO. There are plenty of resources available in this city, from free to low-cost drug addiction recovery programs.
The two most common types of drug addiction treatment programs in Estes Park, CO areresidential and outpatient programs. Each program offers a distinct advantage over the other one. They also vary in levels of intensity. For example, you can choose between an outpatient program and an intensive outpatient program.
If you’re confused about the type of program that’s best for you, speak with one of our counselors. We’ll walk you through the pros and cons of each rehab program, as well as how it works. Make sure that you understand the entire process to make an informed decision on what may work best for your situation.
Residential programs involve living within the drug rehab facility in Estes Park, CO. You’ll receive around-the-clock medical supervision, and a high level of care. Not only do you have access to drug detoxification, but you’ll also have access to counseling, therapy, and other amenities.
There are many benefits of residential addiction treatment programs. For one, patients can recover in a peaceful and calm environment, away from triggers. They receive more intense therapy, and also learn how to build better and healthier habits that prevent relapses.
This type of addiction treatment program is recommended for patients with a moderate to severe addiction. It’s also ideal for first-time patients who are still learning the ropes of recovery. This type of treatment offers the highest success rates. Studies have found that residential programs have approximately a 65% completion rate. This means that these addicts are likely to finish the treatment, and go on to live healthier lives.
Outpatient programs allow for more freedom. You can continue on with your daily life, as long as you continue to receive treatment from an Estes Park, CO drug rehab center. You may need to travel to the drug treatment facility 3 to 5 times a week over the course of several months. You’ll need to clock in a certain amount of hours of therapy each week.
These types of drug addiction treatment programs focus on educating their patients. Education is an important part of recovery. It’s vital that you learn how your addiction is affecting you. Learning how to spot triggers will also help you move on with your life.
Depending on your level of addiction, you may or may not need drug detoxification. Most experts recommend scheduling 3 hours of treatment, 3 times a week. Treatments can include various types of counseling and therapies. Group therapy and one-on-one counseling are both highly recommended, as well as Cognitive Behavioral Therapy (CBT).
This type of drug addiction treatment is perfect for you if you still need to work or continue to attend school. The program offers more flexibility. You can plan your recovery around your schedule. Also, outpatient addiction treatment programs in Estes Park, Co are often much more affordable.
As there are many drug rehab facilities in Estes Park, CO, choosing the right one can be difficult. You should include some specific criteria in your search for the perfect place. After all, not all rehab programs are made equal. Some will offer you a better chance at recovery than others.
A comfortable facility or professionals you feel comfortable working with. Before signing the dotted lines, make an effort to visit each rehab facility in-person. Speak to the counselors and the medical staff. If you’ll be opting for a residential treatment program, make sure that you feel comfortable in the facilities first. If you’ll be opting for an outpatient treatment program, make sure that you feel comfortable with the professionals you’ll be working closely with.
A program that is flexible to your needs. No two drug addiction treatment plans should be the same. After all, everyone responds differently to medications. It’s vital that the drug rehab program has a plan A and a plan B and C in motion. If one fails, the treatment program should be immediately altered to fit your needs.
The length of the program. The length of the addiction treatment plays a huge role in a successful recovery. It’s important to choose an addiction treatment facility that offers long-term programs.
The use of evidence-based approaches. There’s a lot of study done in the effectiveness of various approaches for treating an addiction. Make sure that there’s scientific research that’s backing the claims made by each drug rehab program in Estes Park, CO.
Since there are many options to choose from, conduct a thorough search. Look at the different aspects of each drug rehab program to find one that works for you.
Drug rehab programs can be quite costly. If you need a higher level of care and supervision, you can expect the cost to be even higher.
Even if you have insurance from a small health insurance company, you may still be covered. Instead of worrying about the cost, contact us and verify your insurance information. Our staff will find out whether you’re covered and the amount of coverage you have. If you’re covered, we’ll fill in all the paperwork for you, so you can focus on recovery.
Medicaid, Medicare, and state-financed health insurance may also cover some of the costs. If you were in the military, your military insurance coverage may also help.
There are also state-funded drug addiction rehab programs in Estes Park, CO. These programs are either free or available at a low cost. You can use the Substance Abuse and Mental Health Services Administration (SAMHSA) search tool to find these programs. There may be plenty of drug rehab programs near you. If you have any financial woes, these programs may be the solution to your problems.
In most cases, these substance abuse programs are only accessible to those who have no insurance or no income. Applicants will also need to be an official resident of the state, and a legal resident in the U.S. Proof of residence is needed when signing up for treatment.
Depending on the program, additional information may be needed. Some programs require each patient’s addiction status and need for intervention. This means that the patient needs to be evaluated by a medical professional first.
Addicts struggling with alcoholism should seek help from an alcoholism rehab in Estes Park, CO. Addiction has become a BIG problem in their life. They need the highest level of care possible to get over their addiction. After all, their addiction has evolved and is now a full-fledge nuisance. Without proper medical supervision, addicts will be more likely to relapse. They’ll also be more likely to experience severe and serious withdrawal symptoms.
Certain criterion is used to diagnose alcohol use disorder (AUD) among addicts. It’s outlined in the Diagnostic and Statistical Manual of Mental Disorders (DSM–5).
The severity of AUD is categorized into three levels: mild, moderate and severe. Those with 2 or 3 symptoms have a mild level of AUD. Those with 4 or 5 symptoms have a moderate level of AUD, and those with 6 or more symptoms have a severe level of AUD.
Alcoholism develops when one’s brain and body becomes accustomed to alcohol. Basically, alcohol interferes with the chemical levels in the brain. Over time, this causes a permanent change. The brain will adapt to the difference by adjusting its own chemical production.
Soon, the brain relies on the artificial levels stimulated by alcohol intake. When there’s no alcohol in your system, the brain won’t be able to adjust quickly enough. This results in the emergence of alcohol withdrawal symptoms.
Alcohol interferes with two neurological pathways: the GABA system and the glutamate system.
GABA molecules are inhibitory. When they attach to receptors in the brain, they cause the nerves to be less sensitive. When a person withdraws from alcohol, GABA levels in the brain drops. As a result, the nervous system becomes hyperactive. This causes symptoms like high blood pressure and a fast heart rate.
Glutamate molecules, on the other hand, are excitatory. When a person quits drinking, there’ll be an overflow of glutamate molecules in the body. This causes the brain to go into overdrive. It’s responsible for causing seizures and other life-threatening withdrawal symptoms.
If you fit the criteria for alcoholism, your addiction is quite severe. This means that you’ll need an intense level of care to get the help that you need. Your recovery from alcoholism isn’t going to be easy. After all, your body has a strong dependence on alcohol.
The only way that you can successfully and safely seek recovery from alcoholism is with professional help. You’ll need alcoholism treatment from an alcohol rehabilitation program in Estes Park, CO. Without professional help, you’re much more likely to relapse. You may also experience life-threatening withdrawal symptoms, like delirium tremens.
If you’ve determined that you struggle with alcoholism, you’ll need more supervision in your road to recovery. The next thing to do is to check out the different levels of care offered by alcoholism rehab programs.
This type of rehab for alcohol abuse is ideal for patients who want to regularly attend rehabilitation sessions, but don’t have the time or will to live at an alcoholism treatment center. You’ll be expected to attend at least 9 hours of treatment each week. This treatment usually also involves either individual or group therapy as well. It’s designed for patients who only have a mild addiction to alcohol.
This alcoholism treatment type is similar to level 1. The only difference is that you’ll need to attend a lot more treatment sessions. This level of care usually follows a period of hospitalization. It’s for patients who are more at risk of relapsing. This may include those who have tried quitting, but failed in the past.
This type of rehab for alcoholism will require you to live in alcoholic rehab centers. You’ll be under 24-hour medical supervision each day. You’ll also be expected to attend a bunch of alcoholism rehab sessions. This type of alcohol rehab inpatient program is best for patients with a moderate addiction to alcohol.
This is the most intensive level of alcohol treatment available. It’s for chronic and heavy drinkers. These alcoholics are at risk of experiencing fatal withdrawal symptoms. Many addicts often have co-occurring disorders as well. They may struggle with other mental disorders or emotional issues. Once patients stabilize, the doctors may move the patients into a less intensive alcohol treatment program.
Understanding the different levels of care offered, as well as your needs can help you make an informed decision. Our staff will need to determine your length of alcohol abuse, as well as whether you struggle with any co-occurring disorders, before we can make any recommendations.
There are many factors that affect the alcohol rehab cost. It’ll depend on your treatment plan and your level of care.
In general, you can expect outpatient detox programs to cost anywhere from $1,000 to $1,500. This cost is often covered in the total cost of inpatient alcohol rehab programs. The type of medication used in the detox will also affect the cost. Vivitrol, for example, can cost about $1,000 each month for an injection.
Local alcohol rehab centers will charge varying amounts depending on the amenities they offer. The cost of alcohol rehab inpatient programs can vary from $6,000 to $20,00 for a 30-day program. Luxury alcohol rehabs charge more.
Alcohol rehab outpatient programs are a tad cheaper. They may cost anywhere from $5,000 to $10,000 for a three-month program. The cost depends on the amount of therapy sessions that are scheduled each week.
Since the cost of alcoholism treatment can be quite significant, it can be difficult for some people to cover the expenses. Thankfully, those with private health insurance are usually covered. The type of treatment and number of treatments covered will vary from policy to policy.
If you don’t have private health insurance, don’t fret. There are plenty of federal and state-funded programs that can help. The DSHS Division of Behavioral Health and Recovery provides alcoholism treatment funding through Medicaid.
Provide us with your health insurance information, and we’ll see what you’re covered for. If you don’t have any coverage, we can direct you to other resources in Estes Park, CO. There are low-income rehab centers and other types of funding that can aid in your recovery from alcoholism. | 2019-04-25T18:45:14Z | https://www.aspenridgefortcollins.com/colorado-addiction-resources/estes-park-addiction-rehab/ |
Williamsburg Wonderland: "Wonderneath," a new circus theater adventure set in turn-of-the-century New York City, comes to House of Yes in East Williamsburg for six nights, the first beginning tonight at 9 pm. Tickets $20. Located at 342 Maujer St.
Last chance: "New Hope City" plays its last shows this weekend at the Bushwick Starr. Don't miss out on this unique rock opera, set in a land not unlike ours, in a time not too far away. At 8 pm. Tickets $10. Located at 207 Starr St.
Theater: By popular demand, Piper McKenzie is presenting a remount of "Craven Monkey and the Mountain of Fury," one of the critical and popular hits of December 2009’s Fight Fest at the Brick Theater. At 8 pm. Tickets $12. Located at 575 Metropolitan Ave.
Music: Also back by popular demand, Sara Bouchard performs "Songs of Lewis & Clark," her song cycle setting to music the Journals of Lewis & Clark. From 7-9 pm. Tickets $5. Located at 543 Union St.
Comedy: Warm up with the BRIC as the producer's behind Celebrate Brooklyn! present a night of comedy with Eugene Mirman and friends at the Bell House in Gowanus. At 8 pm. Tickets $10. Located at 149 7th St.
Purim!: It's Purim, which all we really know means people party and get dressed up in costumes. Find out where the party's happening in Brooklyn with our handy guide.
Chess: Think you're the next Bobby Fischer? Test your skills at the inaugural Brooklyn Chess Tournament, presented by the Brooklyn Lyceum in Park Slope this weekend. Registration is $25 for the Scholastic division (Saturday) and $40 for open (Sunday), and is open until the day of, as long as there is still space available. There is no admission fee for spectators. Runs 11 am-7 pm today and tomorrow. Located at 227 Fourth Ave.
Hair god: The Williamsburg Hair Man gets immortalized even more, as a short film plays as part of a mini film fest at Music Hall of Williamsburg tonight. Also on the bill are the bands Emmanuel and the Fear and Hank and Cupcakes. At 9 pm. Tickets are $7 in advance, $10 at the door. Located at 66 North 6th St.
Shopping: JCIA is home to a three-day vintage and craft market beginning today, including local vendors such as The Shiny Squirrel, Bonnie English, In Your Closet, Brooklyn Rehab and Sweet Virginia. Stop by on opening day for free mimosas while you shop. Free admission. From noon to 8 pm. Located at 522 Metropolitan Ave.
For the record: The Brooklyn Record Riot returns to the Warsaw in Greenpoint for a day of vinyl deals and finds. Admission is $3 ($20 from 10 am-noon). Snack on kielbasa and other traditional Polish eats while you shop. Til 8 pm. Located at 261 Driggs Ave.
Bowlive: Funk trio Soulive begin their two-week residency at Brooklyn Bowl. If you can't make it tonight, you have nine more shots. At 9 pm. Tickets $10. Located 61 Wythe Ave.
Anna Klinger, executive chef/co-owner of Al di Lá, the uber popular Venetian trattoria in Park Slope, will host a cooking class with her husband, Emiliano Coppa, at De Gustibus Cooking School at Macy’s Herald Square, March 2.
Attendees will have the unique opportunity to observe Klinger in the kitchen, eat a five-course meal and ask questions as she shares her culinary secrets. De Gustibus Cooking School is one of the most prestigious cooking institutions in the country, hosting the world’s top chefs as they prepare meals for attendees in an intimate, casual setting.
Klinger will serve her acclaimed risotto, which New York magazine calls “sublime simplicity;” a Cuttlefish over Grilled Polenta and Monkfish over Stewed Cardoons. For dessert, she has a Coffee Caramel Custard with Mosica Biscotti planned.
Macy’s Herald Square is at 151 West 34th Street, eighth floor. The event runs 5:30-8 p.m. The event is $95, which includes the five-course meal, wine pairings for each course and a free subscription to Food & Wine magazine. For more, call 212-239-1652.
Shatner tribute: We mingle with the Trekkies at the Knitting Factory's Shat Ball.
Performance art: Who's that knocking at your door? It's Death Bear.
Hair man: "Williamsburg Hair Man" gets even more immortalized.
Site Fest: Arts in Bushwick returns its successful performance festival for two days of wall-to-wall live programming, from dance and drama to performance art, film and comedy.
True confession: Until I set out to write this column, I had never in my life used a cake mix.
What made me try one? A new book chock-a-block with recipes whose goal, clearly, is to go beyond the simple cake mix, The Cake Mix Doctor Returns! (Workman Publishing, $15.95), by Ann Byrn.
I have to admit I was skeptical. I cut my kitchen teeth in an era of Julia Child worship, when my friends and I were on a first name basis with some of the most revered cookbook writers of all time, whether they knew it or not, whipping up Craig’s recipe for this, or Pierre’s recipe for that.
I made everything – and I mean everything! — from scratch, and looked askance at convenience foods. No short cuts for me, in my tiny Manhattan studio apartment kitchen.
Fast forward a couple of decades, to my comfortable kitchen in a roomy Brooklyn home, which I inhabit with one (occasionally ravenous) husband and two (frequently ravenous) children, now on the cusp of adulthood.
Short cuts, I quickly learned, were not necessarily so bad, especially if they allowed me to feed my family, hold down a job and carve out some free time for myself.
But, still, a cake mix? A CAKE MIX? I definitely needed some convincing.
So, I turned to Byrn to provide it. A quick perusal of her book made it clear that there was something for everyone in it – sticky frosted cakes, as well as more restrained pound cakes and spice cakes with streusel, and flavors that ranged from citrus to toffee, and pretty much everything in between.
But, was it any good? To find out, I purchased my very first cake mix at the supermarket during my Saturday shopping expedition, and, several days later, set out to bake Byrn’s Almond Pound Cake, on an evening when I was home (no assignments taking me across my beat), and also making dinner.
The cake quickly came together. It was clear, by comparing Byrn’s recipe with the box, that her recipe was richer and way more elaborate than the basic instructions on the carton: Six eggs instead of three, two sticks of butter instead of a third of a cup of oil, milk instead of water, extra flour and sugar, and dollops of almond and vanilla extract.
Once the cake was in the oven, the kitchen and, by extension, the entire house, quickly was infused with the haunting fragrance of almond. The cake puffed up beautiful, slid smoothly out of the Bundt pan in which I had baked it, and looked gorgeous.
But, how would it taste? We sat down to dinner (I had whipped up a main dish pasta – look for that recipe soon – and a pork chop for my husband, who’s not a big pasta fan, while the cake was baking), and waited patiently for the cake to cool, as commanded in the instructions.
Finally, it was time to taste. The cake, enthroned on a vintage Spode platter, sliced beautifully, an important first step.
The little group of experts gathered around my dining room table took small or not so small slices. My husband complimented the Italiany flavor of the cake, my son and daughter, the texture.
While I wondered, at first bite, if the almond flavor was too strong, my husband liked it a lot. By the next day, it had mellowed a bit, and my son – who had been a bit put off by the overriding almondy taste of the cake – eagerly sliced himself a piece when he got home from school.
As Byrn notes, “My mother always said a pound cake tastes better on day two or three.” We’ll see if she’s right about day three, if there’s any left.
I’m still not 100 percent convinced that mixes will ever replace basic unbleached flour, granulated sugar and various leavening agents as a basis for cake-baking in my kitchen. But, I am willing to give them a few more tries, and have already identified the recipes I want to have a go at: Lemon Streusel Cake or Aimee’s Chess Cake, anyone?
1. Place a rack in the center of the oven and preheat the oven to 350 F. Lightly mist a 10-inch tube pan or 12-cup Bundt with vegetable oil spray, then dust it with flour. Shake out the excess flour and set the pan aside.
2. Place the butter and sugar in a large mixing bowl and beat with an electric mixer on medium-low speed until blended and creamy, 1 minute. Stop the machine and scrape down the side of the bowl with a rubber spatula. Add 1 egg at a time, beating on low speed until each egg is blended into the batter. Stop the machine and add the almond and vanilla extracts and flour. Beat 30 seconds on medium-low speed. Stop the machine and scrape down the side of the bowl again. Add the cake mix and milk alternately in thirds, blending on low speed after each addition. Let the mixer run for another 30 seconds on medium speed to blend the batter well until it is smooth and thick. Pour the batter into the prepared tube pan, smoothing the top with the rubber spatula, and place the pan in the oven.
3. Bake the cake until it is just starting to pull away from the sides of the pan and the top springs back when lightly pressed with a finger, 52 to 58 minutes. Transfer the tube pan to a wire rack and let the cake cool for 10 to 15 minutes. Run a long, sharp knife around the edges of the cake and shake the pan gently. Invert the cake onto a wire rack, then invert it again onto another rack so the cake is right side up. Let the cake cool for 25 to 30 minutes longer, then slice and serve.
Keep it Fresh! Store this cake, in a cake saver or covered with plastic wrap, at room temperature for up to one week. Freeze the cake, wrapped in aluminum foil, for up to six months. Let the cake thaw overnight on the counter before serving.
Note: You may use any milk you have in your refrigerator in this recipe. If you use whole or evaporated milk you will have a richer cake.
Groceries are way too expensive.
Thanks to this terrible economic crisis, it seems every single item in Waldbaum’s is ridiculously overpriced. Five bucks for milk? Six bucks for a pack of yogurt smoothies? Get real!
This week, I wanted to make a cheap dish that could last for several days - and not taste like rubber when reheated in the microwave.
I settled on Potatoes and Eggs. My family calls this Italian comfort food - and Italian poverty food. Seems fitting for this task.
I borrowed my mother’s recipe (she made this all the time when I was a kid) and was unhappily surprised to discover that it’s much more difficult than I expected!
Now, I thought I’d just fill a bowl with a few eggs and some potato pieces. Not so!
First, I sautéed onions in a frying pan then added the chopped potatoes to brown. I’m kinda getting the hang of this sauté thing but the sizzling sounds still make me nervous - and ready to duck splashing oil.
The next step was what I had envisioned - beating eggs in a bowl. Only one itty-bitty shell fell in!
I added the eggs to the frying pan and, according to the recipe, was to turn the entire dish over when the underside was brown. Huh?!
The trick, my mom advised, is to cover the pan with a large plate and flip that sucker upside down. Then you slide the grub, brown side up, back into the pan. Uh, yeah, I don’t wanna do that.
But, sadly, I had to. I really did try my hardest but that pan was heavy! And hot! I managed to get the food on the plate and then back in the pan but trust me, it wasn’t pretty. And I may have lost some potatoes along the way.
Verdict: What a sloppy mess!
Flipping the frying pan upside down proved to be quite difficult - and emotionally scarring - for me. It left me with a broken glop of smooshed potatoes and eggs!
It may not have looked pretty, but it sure tasted good!
In a round frying pan, sauté the onion in olive oil until transparent . Add potatoes, continue to sauté on medium heat until almost browned. Add red pepper. In a bowl, beat the eggs, adding salt, pepper and parsley. Add egg mixture to sauté pan. When set and browned on the underside, loosen it with a spatula. Cover with a round plate and flip pan upside down. Slide potatoes and eggs back into the pan with browned part on top. Cook for five minutes.
From March 5-7, Brooklyn goes country with the Brooklyn Winter Hoedown, shining a spotlight on the borough''s bustling country scene.
Main event: Brooklyn Country Music Festival (the sixth annual was at Southpaw in Park Slope last September, so look out for that this fall); also organizes the yearly Cash Bash, with the 78th birthday celebration happening this Friday, February 26 at Southpaw, featuring the Whiskey Rebellion and Sister & the Sisters (sold out - we warned you!).
Why he does it: "I visit clubs locally and do my best to reach out for bands I have never heard before to get them involved with the festival and the Web site."
He’s the writer from Iowa who didn’t go to the famed Iowa’s Writer’s workshop at the University of Iowa.
But Iowa’s loss is Brooklyn’s gain, and author Peter Hedges’ latest tome, “The Heights” (Dutton), offers up an often funny and captivating story that looks at contemporary life in Brooklyn Heights.
Hedges, who wrote the novel and the screenplay, “What’s Eating Gilbert Grape,” got the idea for the novel in late 1997 while sitting with his young family on a park bench in Pierrepont Playground as he began imagining what could happen in the neighborhood.
“I thought it was a great place for this story to occur. I took notes for many weeks and locked onto the idea of writing about a good marriage, and wanted to have that marriage go through an unthinkable test,” said Hedges.
The novel, which took 12 years to write, was interrupted several times by screenwriting assignments on the films “About a Boy” and “Dan in Real Life,” but slowly began to take shape.
The story involves the middle-class couple, Tim, who teaches at the Montague Academy, an exclusive private school in Brooklyn Heights, and his wife, Kate, who get involved with the wealthy Anna. Then, their lives become unhinged by a secret invitation from an unlikely messenger.
While there appears to be some similarities between real places in Brooklyn Heights and Hedges’ own life, the author insists the novel is a total work of fiction.
“I took great care in creating Montague Academy and Oak Lane where the main characters exist by setting up a fictional school and fictional street,” he said.
Hedges said his wife is from Brooklyn and the couple decided to move to the borough after their children were born.
This includes walking the 15 minutes from his home in Boerum Hill each day to his studio office in Brooklyn Heights.
Although originally from Iowa, Hedges attended college at the North Carolina School for the Arts, and then came to New York, where he wrote several plays before getting his big break with “Gilbert Grape,” which starred Johnny Depp and Leonardo Di Caprio.
He still sees the two actors from time to time, most recently running into Depp at the recent Tim Burton exhibition at MOMA.
Hedges said Brooklyn Heights as the setting for the novel is also a tribute to a great neighborhood where such writers as Thomas Wolfe, Norman Mailer and Arthur Miller lived and wrote.
He also is proud to count himself as one of the growing number of writers to now call the borough his home.
“Brooklyn is the place to be and live from an artistic standpoint and this is Brooklyn’s moment. It’s a very vibrant scene,” he said.
Hedges will be reading from The Heights at Book Court, 163 Court Street on Thursday March 4 at 7 p.m.
When Soulive first came up a little more than 10 years ago, the music business was just beginning to change. The past decade has seen the band evolve along with it, recording in their own studio, launching their own record label, and putting up their own videos online.
From the beginning has been Pete Shapiro. The band would jam in his Manhattan club, Wetlands, back in the day, playing there more times than any other club, even since. This month, they play a two-week residency at his newest venture, Brooklyn Bowl in Williamsburg, adding new notches to the belt with 10 nights of funk-infused music.
Soulive will do just that over the course of the residency, aptly named “Bowlive,” pulling from their many albums and EPs, as well as inviting as many friends as they can to join them each night.
No surprise that they did do it. Since the band started, they’ve been able to make things happen. The first time they all sat down together and jammed, they wound up with their debut album — “Get Down.” Soon, they signed to Blue Note Records and started getting regular gigs in New York, including Wetlands, and all over the world (the band’s especially big in Japan). A little over a year ago, they started their own label – Royal Family Records – putting out their own music, including most recently a live session recorded in Tokyo, as well as others. Label mates include Lettuce, Adam Deitch and Nigel Hall (an appearance by these guys throughout Bowlive is likely).
With music downloads so prevalent, the band has also been big on immediately getting out media on their own terms, whether that means CDs right after they’ve finished clearing the stage or uploading videos of shows to their Web site.
“When we go on tour, people record anyway and put it online. That’s why we started doing it ourselves. Here’s a little bit of quality control,” says Krasno.
With their next releases, the band also looks to play more into instant gratification.
With that said, 10 years from now, don’t be surprised if Soulive comes full circle yet again with another set of gigs at whatever club Shapiro’s manning then You heard it here first.
Soulive do Bowlive at Brooklyn Bowl (61 Wythe Ave) March 2-6 and March 9-13. All shows at 9 pm. Tickets $10 on weeknights and $12.50 on weekends. For more information, call 718-625-2100.
Greenpoint News takes a look at the new Coco66, where These Are Powers recently celebrated the release of their new “Candyman” EP. The band wowed, thanks in part to the renovations.
"The impressive sound (bass, in particular) was part of a new era for the Greenpoint bar and live music venue, which, since October, has been undergoing improvements aimed at transforming Coco 66 into a first-rate establishment for more shows, bigger shows and better shows," says the paper.
Coco66 is located at 66 Greenpoint Ave.
Brooklyn is channeling its inner geek.
One week after the American Crossword Puzzle Tournament took over the Brooklyn Marriott, another sport that takes skill with brains comes to the Brooklyn Lyceum.
From February 27-28, the Park Slope bathhouse-turned-venue will host the inaugural Brooklyn Chess Tournament, an all-ages affair that looks to trump up the borough’s place on the chess map.
Indeed, from the dominance of Edward R. Murrow High School in chess circles to the legacy of Bobby Fischer, chess and Brooklyn are somewhat synonymous. All that’s missing is a tournament, and Eric Richmond, program director of the Brooklyn Lyceum, thought it was high time the borough had its own.
Helping to kick things off is a Brooklyn chess champion – Maurice Ashley, the first African-American chess International Grandmaster and, as a resident of Park Slope, a neighbor of the venue. He is helping co-produce the tournament and will provide commentary, as well as challenge 12 players to a round of 12 games at one time.
Saturday, February 27, will be devoted to nurturing young chess players in the Scholastic division (grade school, middle school, and high school levels). Membership in the U.S. Chess Federation is mandatory for high school competitors. Sunday, February 28, will be open competition (membership to the USCF is also required to compete and can, if necessary, be procured at the event). This day will also see chess players vying for over $2,000 in prize monies, awarded to first, second and third place.
For non-competitors, there is no admission fee, and tournament games will be simulcast on a large screen, with commentary provided by Ashley, so you don’t miss a single move. People are also welcome to play their own games amongst themselves.
For competitors, registration is $25 for the Scholastic division (Saturday) and $40 for open (Sunday), and is open until the day of, as long as there is still space available. The tournament is Swiss style, and you must bring your own chess sets, boards and clocks.
The tournament runs 11 am-7 pm February 27 and 28 at the Brooklyn Lyceum (227 Fourth Avenue). For more information, call 718-857-4819.
Most drama in basketball happens on the court. For the ladies of the Bed-Stuy Bulls, it’s in the locker room.
“Shoot 2 Win” follows a day in the life of seven friends who play on a competitive league as they try to reach for the gold in a city-wide tournament. But between cheating husbands and drug abuse, basketball’s the last thing on their minds.
Donna Marie Augustin originally saw the production in her native London, and wanted to bring it to Brooklyn, where she’s lived in Bedford-Stuyvesant for the past three years.
In putting on the show for an American audience, the script, written by Jo Martin, Josephine Melville and Tracey Daley, needed some “translation.” Netball, which the original focused on, became basketball. Obscure British/Caribbean slang (“Stop talking stupidness”) was reworked, with help from Brooklyn writer and director Nelson George (whom Augustin worked with on the forthcoming film “Left Unsaid”). But the story remained the same.
As soon as the lights go on, the women enter the locker room one by one, each carrying their own demons – Shenequa (played by Augustin) and her drug dealing on the side; Jackie and her alcoholism; Carrie and her bad luck with men; Mandy and her drug abuse; Zoe and her racial identity crisis; Bev and her faith; and Sandra, who has the biggest weight to carry of them all.
Despite the severity of their problems, the play does have its light-hearted moments as well, including an impromptu dance sequence and clever dialogue. But, thanks to heated words between the friends and serious soliloquies from each actress, the play strives to uncover those truths that are right below the surface, and on the tip of everyone’s tongue. Off the court, they’re still on the defense.
Besides the script, another draw for Augustin was the opportunity to have an all-female, nearly all-black ensemble piece.
After a few days at the Cherry Lane Theatre in Manhattan, the production comes to Brooklyn’s Kumble Theater for the Performing Arts March 3-7. Tickets are $22, $15 for students, seniors and groups of 10 or more. The theater is located at 1 University Plaza. For more information, call 718-488-1624.
Couture fashions are gorgeous — but who can afford ’em?
Next month, iconic French fashion designer Jean Paul Gaultier will unveil his affordable women’s apparel capsule collection for Target, which has three stores in Brooklyn.
The bull’s-eye retailer has made a name for itself thanks to these fashionable collaborations. Gaultier is probably the biggest name to join forces with the chain store.
A sneak peek at Gaultier’s designs has Pumps & Pleats drooling!
Many of the designs put a French spin on American staples. Take, for instance, the classic khaki trench coat. Gaultier created a $59.99 version for Target with a chic trio of black stripes near the shoulders.
Rather than pair it with a stiff suit, the trench is thrown over a filmy kelly green dress with white polka dots and black lace trim. The lingerie-inspired dress seems quite risqué under the coat. Ooh la la!
The cropped leather motorcycle jacket in black with red trim is already a hit with fashion bloggers. Expect the slick jacket to sell out quick — even at the $199.99 price tag.
There’s much more affordable fare in the collection — a sleek tank dress for $34.99, a black pinstripe vest for $29.99 and a peach tee bearing the “JPGaultier” name for $19.99.
In true Gaultier style, expect some of his Target designs to be avant-garde.
Mesh leggings come in an abstract “tattoo print” mixing scales, flames and flowers. Sounds weird? It is. The price tag, $24.99, is also rather high for leggings.
The collection will be available from March 7 to April 11.
Chili: A Brooklyn chili cook-off finds a winner in Char No. 4 chef Matt Greco, beating out General Greene's Julie E. Farias.
Tapas: It's a tapas smackdown in Williamsburg, as our sister publication reviews two new digs: Ooba and Xunta.
Borough: It's a classic - Brooklyn versus Manhattan - in TONY this week. They ask local restauranteurs, including folks from Franny's, Roberta's, and Saul, if they would cross the bridge.
Slate Gallery presents an exhibition of new work by Miriam Cabessa, featuring her new series of gold paintings titled, “79,” after the atomic number for gold.
The exhibition runs now through March 7, with a closing reception March 5 at 6 p.m., with a Gold Party at 9 p.m. Slate is at 136 Wythe Avenue in Williamsburg; call 718-387-3921.
It’s a double dose of metal this month.
On March 6, Liturgy and Naam head to Williamsburg for a set that’s sure to blow the water out of Union Pool, a welcome home for metal heads.
Out of Brooklyn, Liturgy in particular has been blowing up in recent months with their black metal, thanks to shows at The Blackened Music Festival at Le Poisson Rouge, as well as non-metal circles, including a New Yorker Festival show and shout-outs from a Dirty Projector.
Their music equally draws from a range of influences: the solemn 11th century chants of Perotin, the allegorical prophecies of Blake, the apocalyptic vision of Scriabin, the mass-media spirituality of Jodorowsky, the cataclysmic transcendence of Glenn Branca’s post-minimalist collective no-wave drones.
Also a Brooklyn band, Naam delves more in stoner rock, with the trio molding elements of classic psychedelia and prog with modern elements of jam-heavy bliss and apocalyptic amplitude.
Hear them March 6 at Union Pool (484 Union Ave.) at 9 pm. Tickets $10 $8. For more information, go to www.myspace.com/unionpool.
COUSIN CORINNE and BOOKCOURT proudly announce the launch of COUSIN CORINNE'S REMINDER, a biannual publication that features new writing, photography, and comix from artists around the world.
BOOKCOURT'S General Manager and Events Coordinator, Zack Zook, is COUSIN CORINNE'S founding owner and executive editor. He has teamed with a variety of highly talented NYC editors and curators to craft this remarkable series.
Writing: Charles Bock, Mark Borthwick, Todd Colby, James Frey, Ben Lasman, Donald Moss, Shira Nayman, Alice Notley, John Burnham Schwartz, Emma Straub, Anne Waldman, John Wray, and Hannah Zeavin.
Comix: Mike Cavallaro, Jen Ferguson, Jonathan Lethem & Dean Haspiel, Tim Hall & Jennifer Hayden, Michel Fiffe, and Kat Roberts.
Photography: Mark Borthwick, Mona Kuhn, Noah McLaurine, and Kimiko Yoshida.
Following “The New Electric Ballroom,” “Black Watch” and “The Walworth Farce,” the latest production for St. Ann’s Warehouse in DUMBO is another alum of the Edinburgh Fringe Festival.
Naturally though, the drama couldn’t be more different.
The life in question in the play, which won the festival award last year and makes its US premiere in Brooklyn, is Bette Bourne’s, a seminal British gay activist and drag queen. The story is told on stage to Mark Ravenhill, one of the UK’s celebrated playwrights (here, his first play, “Shopping and F---king,” had a sold-out run at New York Theatre Workshop in 1998).
A story told between friends, and adapted from a series of private conservations, the performances are, not surprisingly, honest, at times humorous, others angry. The plot moves from Bourne’s post-war childhood to his first walk across Trafalgar Square in drag, to his seminal role in the formation of the Gay Liberation Front and the creation of his OBIE Award-winning queer theater company BLOOLIPS in London and New York. More than a memoir, it’s a celebration of the momentous struggles and achievements of gay liberation.
The show comes to St. Ann¹s directly on the heels of a successful February run at London’s Soho Theatre, running March 4-28, Wednesday to Saturday at 8 p.m., Saturday at 2 p.m. and Sunday at 4 p.m.
Tickets are $30-$55 and are available online and by phone at 718-254-8779. St. Ann’s is located at 38 Water Street.
Brave New World Repertory returns to the stage this month with a new site-specific production of Arthur Miller’s play, “The Crucible,” directed by Claire Beckman, at the Old Stone House in JJ Byrne Park, at Fifth Avenue between Third & Fourth streets in Park Slope.
“The Crucible” is a 1953 dramatization of the Salem witchcraft trials, which took place in the Province of Massachusetts Bay during 1692 and 1693. Miller wrote the play as an allegory to McCarthyism, a time when the US government blacklisted accused communists. Miller himself was to be questioned by the House of Representatives’ Committee on Un-American Activities in 1956 and was convicted of “contempt of Congress” for failing to identify others present at meetings he had attended.
For this production, audiences are limited to 50 per show; admission is $18. Performance dates and times are March 4, 5, 6, 11, 12 and 13 at 8 p.m.; March 6 and 13 at 2 p.m. and March 7 and 14 at 7 p.m.
Artist Phyllis Frendendall opens the first in the spring series of the G-Train Salon, “Fleece into Gold,” with fiber artist Fredendall at Urban Alchemist Design Collective, March 6.
Fredendall’s work explores the relationship of memory to place, creating “maps” felted in wool and silk, inspired by her own journeys or based on stories of family members.
The show and discussion starts with 7 p.m. cocktails and an 8 p.m. talk. The exhibition is on view through April 6 at the Collective, 343 Fifth Street (off Fifth Avenue) in Park Slope.
Pumps & Pleats: Time to shop! T.J. Maxx is coming to Brooklyn!
Have you ever wondered how Brooklyn’s fashionistas can afford $600 Rebecca Minkoff satchels and $300 L.A.M.B. stilettos in this economy? I always do. Well, here’s the answer - they’re secret discount shoppers.
Purchasing purses and pumps at a designer discount store like Century 21 in Bay Ridge or Loehmann’s in Sheepshead Bay isn’t as elegant as shopping in Madison Avenue’s posh boutiques, but it will save you some green.
That’s why Pumps & Pleats is super excited that T.J. Maxx may soon open on East 15th Street between Kings Highway and Avenue P in Midwood. Maxx has a few locations in Manhattan, Queens and Staten Island, but this will be the chain’s first store in Brooklyn.
In honor of the shop’s reported October opening, I visited Marshalls on 86th Street in Bath Beach, which is owned by the same company as Maxx and sells the same designer duds. Really, these stores aren’t that much different.
The cool thing about Marshalls is that the purses are arranged by color. If pink purses aren’t your thing, head on down to the green section, or hop to the blue corner for a turquoise tote. It’s totally fun!
This Bath Beach Marshalls is more organized than the one in the Atlantic Center mall in Prospect Heights, but be prepared for purses left on the floor and shoes randomly strewn on the racks. Frankly, any designer discount shop you visit will be a mess.
To deal with the crazy conditions, you must be patient and determined to scour every last rack for that one fabulous find. That’s how I found the mate for a single fire engine red Tahari pump. Perseverance pays off!
Marshalls [1832 86th St. between Bay 19th and Bay 20th streets in Bath Beach, (718) 621-3434].
Get your costumes ready! The Jewish holiday of Purim is this weekend, and Brooklyn's throwing a lot of parties.
Dust off your costumes, shine your dancing shoes and get ready to guzzle. From the organizers: "When the Jews of ancient Persia avoided extinction, God commanded them to celebrate by getting so drunk they couldn't tell their friends from their enemies. Sounds good to us! Jewish or not, put on a costume and join us!"
The night features Team Facelift, The Shining Twins, Dirty Fences, Cowboy Mark, DJ Drew Heffron, and DJ Kook Jew.
During its grand opening weekend of CastleBraid, an artist-focused support system of facilities, classes, and professional services, is holding a Purim-theme dance party, so grab a costume and enjoy two floors of DJs, dancing, drinks and more.
Mark the holiday with a traditional megillah reading, following by a performance from Soulfarm.
They brought you the Lecha Dodi remix of Akon, then the Shir HaShirim Moroccan beat meditation, now they are onto Israeli party music. Brody & Diwon will be joining the party fresh from their Israel and West Cost tour.
Rachel Coleman, aka "Pop Jew," aka the worst cook in America, hosts this bash, featuring the So So Glos, Beachniks, Tough Knuckles, and Sundelles. Costumes encouraged. | 2019-04-23T03:56:44Z | http://24sevenbrooklyn.blogspot.com/2010/02/ |
ERROR: type should be string, got "https://en.wikipedia.org/wiki/Intentional_radiator - any device that is deliberately designed to produce radio waves.Radio transmitters of all kinds, including the garage door opener, cordless telephone, cellular phone, wireless video sender, wireless microphone, and many others fall into this category.\nhttps://en.wikipedia.org/wiki/Wireless_communication - or sometimes simply wireless, is the transfer of information or power between two or more points that are not connected by an electrical conductor. The most common wireless technologies use radio waves. With radio waves distances can be short, such as a few meters for Bluetooth or as far as millions of kilometers for deep-space radio communications. It encompasses various types of fixed, mobile, and portable applications, including two-way radios, cellular telephones, personal digital assistants (PDAs), and wireless networking. Other examples of applications of radio wireless technology include GPS units, garage door openers, wireless computer mice, keyboards and headsets, headphones, radio receivers, satellite television, broadcast television and cordless telephones.\nSomewhat less common methods of achieving wireless communications include the use of other electromagnetic wireless technologies, such as light, magnetic, ...used from about 1890 for the first radio transmitting and receiving technology, as in wireless telegraphy, until the new word radio replaced it around 1920. The term was revived in the 1980s and 1990s mainly to distinguish digital devices that communicate without wires, such as the examples listed in the previous paragraph, from those that require wires or cables. This became its primary usage in the 2000s, due to the advent of technologies such as LTE, LTE-Advanced, Wi-Fi and Bluetooth.\nWireless operations permit services, such as long-range communications, that are impossible or impractical to implement with the use of wires. The term is commonly used in the telecommunications industry to refer to telecommunications systems (e.g. radio transmitters and receivers, remote controls, etc.) which use some form of energy (e.g. radio waves, acoustic energy,) to transfer information without the use of wires. Information is transferred in this manner over both short and long distances.\nhttps://en.wikipedia.org/wiki/Wireless_telegraphy - the transmission of telegraphy signals from one point to another by means of an electromagnetic, electrostatic or magnetic field, or by electrical current through the earth or water. The term is used synonymously for radio communication systems, also called radiotelegraphy, which transmit telegraph signals by radio waves. When the term originated in the late 19th century it also applied to other types of experimental wireless telegraph communication technologies, such as conduction and induction telegraphy. Radio telegraphy often used manually-sent Morse code; radioteletype (RTTY) always uses mechanically generated and recorded characters.\nhttps://en.wikipedia.org/wiki/Frequency_agility - the ability of a radar system to quickly shift its operating frequency to account for atmospheric effects, jamming, mutual interference with friendly sources, or to make it more difficult to locate the radar broadcaster through radio direction finding. The term can also be applied to other fields, including lasers or traditional radio transceivers using frequency-division multiplexing, but it remains most closely associated with the radar field and these other roles generally use the more generic term \"frequency hopping\".\nhttps://en.wikipedia.org/wiki/Transmitter - an electronic device which produces radio waves with an antenna. The transmitter itself generates a radio frequency alternating current, which is applied to the antenna. When excited by this alternating current, the antenna radiates radio waves.\nhttps://en.wikipedia.org/wiki/Link_budget - accounting of all of the gains and losses from the transmitter, through the medium (free space, cable, waveguide, fiber, etc.) to the receiver in a telecommunication system. It accounts for the attenuation of the transmitted signal due to propagation, as well as the antenna gains, feedline and miscellaneous losses. Randomly varying channel gains such as fading are taken into account by adding some margin depending on the anticipated severity of its effects. The amount of margin required can be reduced by the use of mitigating techniques such as antenna diversity or frequency hopping.\nA simple link budget equation looks like this: Received Power (dB) = Transmitted Power (dB) + Gains (dB) − Losses (dB). Note that decibels are logarithmic measurements, so adding decibels is equivalent to multiplying the actual numeric ratios.\nhttps://en.wikipedia.org/wiki/QRP_operation - refers to transmitting at reduced power while attempting to maximize one's effective range. The term QRP derives from the standard Q code used in radio communications, where \"QRP\" and \"QRP?\" are used to request, \"Reduce power\", and ask \"Should I reduce power?\" respectively. The opposite of QRP is QRO, or high-power operation.\nhttps://en.wikipedia.org/wiki/RF_power_amplifier - a type of electronic amplifier that converts a low-power radio-frequency signal into a higher power signal. Typically, RF power amplifiers drive the antenna of a transmitter. Design goals often include gain, power output, bandwidth, power efficiency, linearity (low signal compression at rated output), input and output impedance matching, and heat dissipation.\nhttps://en.wikipedia.org/wiki/Radio_receiver - an electronic device that receives radio waves and converts the information carried by them to a usable form. It is used with an antenna. The antenna intercepts radio waves (electromagnetic waves) and converts them to tiny alternating currents which are applied to the receiver, and the receiver extracts the desired information. The receiver uses electronic filters to separate the desired radio frequency signal from all the other signals picked up by the antenna, an electronic amplifier to increase the power of the signal for further processing, and finally recovers the desired information through demodulation.\nhttps://en.wikipedia.org/wiki/Radio_receiver_design - includes the electronic design of different components of a radio receiver which processes the radio frequency signal from an antenna in order to produce usable information such as audio. The complexity of a modern receiver and the possible range of circuitry and methods employed are more generally covered in electronics and communications engineering. The term radio receiver is understood in this article to mean any device which is intended to receive a radio signal in order to generate useful information from the signal, most notably a recreation of the so-called baseband signal (such as audio) which modulated the radio signal at the time of transmission in a communications or broadcast system.\nhttps://en.wikipedia.org/wiki/Regenerative_circuit - an amplifier circuit that employs positive feedback (also known as regeneration or reaction). Some of the output of the amplifying device is applied back to its input so as to add to the input signal, increasing the amplification. One example is the Schmitt trigger (which is also known as a regenerative comparator), but the most common use of the term is in RF amplifiers, and especially regenerative receivers, to greatly increase the gain of a single amplifier stage.\nhttps://en.wikipedia.org/wiki/Tuned_radio_frequency_receiver - or TRF receiver, is a type of radio receiver that is composed of one or more tuned radio frequency (RF) amplifier stages followed by a detector (demodulator) circuit to extract the audio signal and usually an audio frequency amplifier. This type of receiver was popular in the 1920s. Early examples could be tedious to operate because when tuning in a station each stage had to be individually adjusted to the station's frequency, but later models had ganged tuning, the tuning mechanisms of all stages being linked together, and operated by just one control knob. By the mid 1930s, it was replaced by the superheterodyne receiver patented by Edwin Armstrong.\nhttps://en.wikipedia.org/wiki/Reflex_receiver - occasionally called a reflectional receiver, is a radio receiver design in which the same amplifier is used to amplify the high-frequency radio signal (RF) and low-frequency audio (sound) signal (AF). It was first invented in 1914 by German scientists Wilhelm Schloemilch and Otto von Bronk, and rediscovered and extended to multiple tubes in 1917 by Marius Latour and William H. Priess. The radio signal from the antenna and tuned circuit passes through an amplifier, is demodulated in a detector which extracts the audio signal from the radio carrier, and the resulting audio signal passes again through the same amplifier for audio amplification before being applied to the earphone or loudspeaker. The reason for using the amplifier for \"double duty\" was to reduce the number of active devices, vacuum tubes or transistors, required in the circuit, to reduce the cost. The economical reflex circuit was used in inexpensive vacuum tube radios in the 1920s, and was revived again in simple portable tube radios in the 1930s.\nhttps://en.wikipedia.org/wiki/Superheterodyne_receiver - often shortened to superhet, is a type of radio receiver that uses frequency mixing to convert a received signal to a fixed intermediate frequency (IF) which can be more conveniently processed than the original carrier frequency. It was invented by US engineer Edwin Armstrong in 1918 during World War I. Virtually all modern radio receivers use the superheterodyne principle.\nhttps://en.wikipedia.org/wiki/Frequency_mixer - a nonlinear electrical circuit that creates new frequencies from two signals applied to it. In its most common application, two signals are applied to a mixer, and it produces new signals at the sum and difference of the original frequencies. Other frequency components may also be produced in a practical frequency mixer.\nhttps://en.wikipedia.org/wiki/Heterodyne - a signal processing technique invented by Canadian inventor-engineer Reginald Fessenden that creates new frequencies by combining or mixing two frequencies. Heterodyning is used to shift one frequency range into another, new one, and is also involved in the processes of modulation and demodulation. The two frequencies are combined in a nonlinear signal-processing device such as a vacuum tube, transistor, or diode, usually called a mixer.\nhttps://en.wikipedia.org/wiki/Intermediate_frequency - a frequency to which a carrier wave is shifted as an intermediate step in transmission or reception. The intermediate frequency is created by mixing the carrier signal with a local oscillator signal in a process called heterodyning, resulting in a signal at the difference or beat frequency. Intermediate frequencies are used in superheterodyne radio receivers, in which an incoming signal is shifted to an IF for amplification before final detection is done.Conversion to an intermediate frequency is useful for several reasons. When several stages of filters are used, they can all be set to a fixed frequency, which makes them easier to build anreflectional receiverd to tune. Lower frequency transistors generally have higher gains so fewer stages are required. It's easier to make sharply selective filters at lower fixed frequencies.There may be several such stages of intermediate frequency in a superheterodyne receiver; two or three stages are called double (alternatively, dual) or triple conversion, respectively.\nhttps://en.wikipedia.org/wiki/Direct-conversion_receiver - also known as homodyne, synchrodyne, or zero-IF receiver, is a radio receiver design that demodulates the incoming radio signal using synchronous detection driven by a local oscillator whose frequency is identical to, or very close to the carrier frequency of the intended signal. This is in contrast to the standard superheterodyne receiver where this is accomplished only after an initial conversion to an intermediate frequency. The simplification of performing only a single frequency conversion reduces the basic circuit complexity but other issues arise, for instance, regarding dynamic range and image rejection. In its original form it was unsuited to receiving AM and FM signals without implementing an elaborate phase locked loop. Although these and other technical challenges made this technique rather impractical around the time of its invention (1930's), current technology, and software radio in particular, have revived its use in certain areas including some consumer products.\nhttps://en.wikipedia.org/wiki/Duplex_(telecommunications) - a point-to-point system composed of two or more connected parties or devices that can communicate with one another in both directions. Duplex systems are employed in many communications networks, either to allow for simultaneous communication in both directions between two connected parties or to provide a reverse path for the monitoring and remote adjustment of equipment in the field. There are two types of duplex communication systems: full-duplex (FDX) and half-duplex (HDX).\nhttps://en.wikipedia.org/wiki/Selective_calling - used to address a subset of all two-way radios on a single radio frequency channel. Where more than one user is on the same channel, (co-channel users,) selective calling can address a subset of all receivers or can direct a call to a single radio. Selective calling features fit into two major categories — individual calling and group calling. Individual calls generally have longer time-constants: it takes more air-time to call an individual radio unit than to call a large group of radios.Selective calling is akin to the use of a lock on a door. A radio with carrier squelch is unlocked and will let any signal in. Selective calling locks out all signals except ones with the correct \"key\", in this case a specific digital code. Selective calling systems can overlap; a radio may have (group call) and DTMF individual calling.\nhttps://en.wikipedia.org/wiki/Call_sign - also known as a call name' or call letters, historically as a call signal, or abbreviated as a call, is a unique designation for a transmitter station. In North America, they are used for all FCC-licensed transmitters. A call sign can be formally assigned by a government agency, informally adopted by individuals or organizations, or even cryptographically encoded to disguise a station's identity. The use of call signs as unique identifiers dates to the landline railroad telegraph system. Because there was only one telegraph line linking all railroad stations, there needed to be a way to address each one when sending a telegram. In order to save time, two-letter identifiers were adopted for this purpose. This pattern continued in radiotelegraph operation; radio companies initially assigned two-letter identifiers to coastal stations and stations aboard ships at sea. These were not globally unique, so a one-letter company identifier (for instance, 'M' and two letters as a Marconi station) was later added. By 1912, the need to quickly identify stations operated by multiple companies in multiple nations required an international standard; an ITU prefix would be used to identify a country, and the rest of the call sign an individual station in that country.\nhttps://en.wikipedia.org/wiki/Radio_spectrum - the part of the electromagnetic spectrum from 3 Hz to 3000 GHz (3 THz). Electromagnetic waves in this frequency range, called radio waves, are extremely widely used in modern technology, particularly in telecommunication. To prevent interference between different users, the generation and transmission of radio waves is strictly regulated by national laws, coordinated by an international body, the International Telecommunication Union (ITU).\nDifferent parts of the radio spectrum are appointed by the ITU for different radio transmission technologies and applications; some 40 radiocommunication services are defined in the ITU's Radio Regulations (RR). In some cases, parts of the radio spectrum are sold or licensed to operators of private radio transmission services (for example, cellular telephone operators or broadcast television stations). Ranges of allocated frequencies are often referred to by their provisioned use (for example, cellular spectrum or television spectrum).\nhttps://en.wikipedia.org/wiki/Extremely_low_frequency - electromagnetic radiation (radio waves) with frequencies from 3 to 30 Hz, and corresponding wavelengths of 100,000 to 10,000 kilometers, respectively. In atmospheric science, an alternative definition is usually given, from 3 Hz to 3 kHz. In the related magnetosphere science, the lower frequency electromagnetic oscillations (pulsations occurring below ~3 Hz) are considered to lie in the ULF range, which is thus also defined differently from the ITU radio bands.\nELF radio waves are generated by lightning and natural disturbances in Earth's magnetic field, so they are a subject of research by atmospheric scientists. Because of the difficulty of building antennas that can radiate such long waves, ELF frequencies have been used in only a very few human-made communication systems. ELF waves can penetrate seawater, which makes them useful in communication with submarines. The US, Russia, and India are the only nations known to have constructed ELF communication facilities. The U.S. facilities were used between 1985 and 2004 but are now decommissioned. ELF waves can also penetrate significant distances into earth or rock, and \"through-the-earth\" underground mine communication systems use frequencies of 300 to 3000 Hz. The frequency of alternating current flowing in electric power grids, 50 or 60 Hz, also falls within the ELF band, making power grids an unintentional source of ELF radiation.\nhttps://en.wikipedia.org/wiki/Super_low_frequency - frequency range between 30 hertz and 300 hertz. They have corresponding wavelengths of 10,000 to 1,000 kilometers. This frequency range includes the frequencies of AC power grids (50 hertz and 60 hertz). Another conflicting designation which includes this frequency range is Extremely Low Frequency (ELF), which in some contexts refers to all frequencies up to 300 hertz.\nhttps://en.wikipedia.org/wiki/Ultra_low_frequency - frequency range of electromagnetic waves between 300 hertz and 3 kilohertz. In magnetosphere science and seismology, alternative definitions are usually given, including ranges from 1 mHz to 100 Hz, 1 mHz to 1 Hz, 10 mHz to 10 Hz. Frequencies above 3 Hz in atmosphere science are usually assigned to the ELF range.\nhttps://en.wikipedia.org/wiki/Low_frequency - LF is the ITU designation for radio frequencies (RF) in the range of 30 kHz–300 kHz. As its wavelengths range from ten kilometres to one kilometre, respectively, it is also known as the kilometre band or kilometre wave. LF radio waves exhibit low signal attenuation, making them suitable for long-distance communications. In Europe and areas of Northern Africa and Asia, part of the LF spectrum is used for AM broadcasting as the \"longwave\" band. In the western hemisphere, its main use is for aircraft beacon, navigation (LORAN), information, and weather systems. A number of time signal broadcasts are also broadcast in this band.\nhttps://en.wikipedia.org/wiki/Longwave - also written as long wave (in British and American parlance) or long-wave, and commonly abbreviated LW, refers to parts of the radio spectrum with relatively long wavelengths. The term is an historic one, dating from the early 20th century, when the radio spectrum was considered to consist of long (LW), medium (MW) and short (SW) radio wavelengths. Most modern radio systems and devices use wavelengths which would then have been considered 'ultra-short'.\nIn contemporary usage, the term longwave is not defined precisely, and its meaning varies across the world. Most commonly, it refers to radio wavelengths longer than 1000 metres; frequencies less than 300 kilohertz (kHz), including the International Telecommunications Union's (ITU's) low frequency (LF) (30–300 kHz) and very low frequency (VLF) (3–30 kHz) bands. Sometimes, part of the medium frequency (MF) band (300–3000 kHz) is included.\nhttps://en.wikipedia.org/wiki/Medium_wave - the part of the medium frequency (MF) radio band used mainly for AM radio broadcasting. For Europe the MW band ranges from 526.5 kHz to 1606.5 kHz, using channels spaced every 9 kHz, and in North America an extended MW broadcast band goes from 535 kHz to 1705 kHz, using 10 kHz spaced channels.\nhttps://en.wikipedia.org/wiki/Shortwave_radio - radio transmission using shortwave frequencies, generally 1.6–30 MHz (187.4–10.0 m), just above the medium wave AM broadcast band.\nRadio waves in this band can be reflected or refracted from a layer of electrically charged atoms in the atmosphere called the ionosphere. Therefore short waves directed at an angle into the sky can be reflected back to Earth at great distances, beyond the horizon. This is called skywave or skip propagation. Thus shortwave radio can be used for very long distance communication, in contrast to radio waves of higher frequency which travel in straight lines (line-of-sight propagation) and are limited by the visual horizon, about 40 miles. Shortwave radio is used for broadcasting of voice and music to shortwave listeners over very large areas; sometimes entire continents or beyond. It is also used for military over-the-horizon radar, diplomatic communication, and two-way international communication by amateur radio enthusiasts for hobby, educational and emergency purposes.\nhttps://en.wikipedia.org/wiki/Microwave - with wavelengths ranging from one meter to one millimeter; with frequencies between 300 MHz (100 cm) and 300 GHz (0.1 cm). This broad definition includes both UHF and EHF (millimeter waves), and various sources use different boundaries. In all cases, microwave includes the entire SHF band (3 to 30 GHz, or 10 to 1 cm) at minimum, with RF engineering often restricting the range between 1 and 100 GHz (300 and 3 mm).\nThe prefix micro- in microwave is not meant to suggest a wavelength in the micrometer range. It indicates that microwaves are \"small\", compared to waves used in typical radio broadcasting, in that they have shorter wavelengths. The boundaries between far infrared, terahertz radiation, microwaves, and ultra-high-frequency radio waves are fairly arbitrary and are used variously between different fields of study.\nhttps://en.wikipedia.org/wiki/Extremely_high_frequency - EHF, from 30 to 300 gigahertz. It lies between the super high frequency band, and the far infrared band which is also referred to as the terahertz gap. Radio waves in this band have wavelengths from ten to one millimetre, giving it the name millimetre band or millimetre wave, sometimes abbreviated MMW or mmW. Millimetre-length electromagnetic waves were first investigated in the 1890s by Indian scientist Jagadish Chandra Bose.\nhttps://en.wikipedia.org/wiki/Terahertz_radiation - also known as submillimeter radiation, terahertz waves, tremendously high frequency, T-rays, T-waves, T-light, T-lux or THz – consists of electromagnetic waves within the ITU-designated band of frequencies from 0.3 to 3 terahertz (THz; 1 THz = 1012 Hz). Wavelengths of radiation in the terahertz band correspondingly range from 1 mm to 0.1 mm (or 100 μm). Because terahertz radiation begins at a wavelength of one millimeter and proceeds into shorter wavelengths, it is sometimes known as the submillimeter band, and its radiation as submillimeter waves, especially in astronomy.\nTerahertz radiation occupies a middle ground between microwaves and infrared light waves known as the terahertz gap, where technology for its generation and manipulation is in its infancy. It represents the region in the electromagnetic spectrum where the frequency of electromagnetic radiation becomes too high to be measured digitally via electronic counters, so must be measured by proxy using the properties of wavelength and energy. Similarly, the generation and modulation of coherent electromagnetic signals in this frequency range ceases to be possible by the conventional electronic devices used to generate radio waves and microwaves, requiring the development of new devices and techniques. Photon energy in THz regime is less than band-gap of nonmetallic materials and thus THz beam can traverse through such materials. The transmitted THz beam is used for material characterization, layer inspection and developing transmission images.\nhttps://en.wikipedia.org/wiki/Terahertz_gap - an engineering term for a band of frequencies in the terahertz region of the electromagnetic spectrum between radio waves and infrared light for which practical technologies for generating and detecting the radiation do not exist. It is defined as 0.1 to 10 THz (wavelengths of 3 mm to 30 µm). Currently, at frequencies within this range, useful power generation and receiver technologies are inefficient and impractical.\nhttps://en.wikipedia.org/wiki/Far_infrared - often defined as any radiation with a wavelength of 15 micrometers (µm) to 1 mm (corresponding to a range of about 20 THz to 300 GHz), which places far infrared radiation within the CIE IR-B and IR-C bands. Different sources use different boundaries for the far infrared spectrum; for example, astronomers sometimes define far infrared as wavelengths between 25 µm and 350 µm. Visible light includes radiation with wavelengths between 400 nm and 700 nm, meaning that far infrared photons have less energy than visible light photons.\nA.T.V - probably the most extensive aerials site on the Internet and in 2017 we had 370,000 visitors with 810,000 page hits. In fact even “the trade” use this site. Actually, even we use it if we want to check up on anything to do with aerials !\nhttps://en.wikipedia.org/wiki/Antenna_feed - refers to several slightly different parts of an antenna system: The antenna feed is the wire or cabling (transmission line) that connects between the antenna and the radio, specifically called the feed line; The antenna feed is the location on the antenna where the feedline from the receiver or transmitter connects or attaches; The antenna feed is the matching system at the attachment point that converts the feedline impedance to the antenna’s intrinsic impedance, and makes any balanced-to-unbalanced conversion (if necessary).\nhttps://en.wikipedia.org/wiki/Feed_horn - In parabolic antennas such as satellite dishes, a feed horn (or feedhorn) is a small horn antenna used to convey radio waves between the transmitter and/or receiver and the parabolic reflector. In transmitting antennas, it is connected to the transmitter and converts the radio frequency alternating current from the transmitter to radio waves and feeds them to the rest of the antenna, which focuses them into a beam. In receiving antennas, incoming radio waves are gathered and focused by the antenna's reflector on the feed horn, which converts them to a tiny radio frequency voltage which is amplified by the receiver. Feed horns are used mainly at microwave (SHF) and higher frequencies.\nhttps://en.wikipedia.org/wiki/Hirose_U.FL - a miniature RF connector for high-frequency signals up to 6 GHz manufactured by Hirose Electric Group and others.U.FL connectors are commonly used in applications where space is of critical concern, most often Mini PCI cards for laptop computers. U.FL connectors are commonly used inside laptops and embedded systems to connect the Wi-Fi antenna to a Mini PCI card. Another common use is connecting GPS antennas.\nAmateur Radio Stack Exchange: antenna - What makes a 5/8 wavelength vertical desirable?\nhttps://en.wikipedia.org/wiki/Horn_antenna - or microwave horn is an antenna that consists of a flaring metal waveguide shaped like a horn to direct radio waves in a beam. Horns are widely used as antennas at UHF and microwave frequencies, above 300 MHz. They are used as feed antennas (called feed horns) for larger antenna structures such as parabolic antennas, as standard calibration antennas to measure the gain of other antennas, and as directive antennas for such devices as radar guns, automatic door openers, and microwave radiometers. Their advantages are moderate directivity, low standing wave ratio (SWR), broad bandwidth, and simple construction and adjustment.\nhttps://en.wikipedia.org/wiki/Yagi–Uda_antenna - ommonly known as a Yagi antenna, is a directional antenna consisting of multiple parallel elements in a line, usually half-wave dipoles made of metal rods. Yagi–Uda antennas consist of a single driven element connected to the transmitter or receiver with a transmission line, and additional \"parasitic elements\" which are not connected to the transmitter or receiver: a so-called reflector and one or more directors. It was invented in 1926 by Shintaro Uda of Tohoku Imperial University, Japan, and (with a lesser role played by his colleague) Hidetsugu Yagi. The reflector element is slightly longer than the driven dipole, whereas the directors are a little shorter. The parasitic elements absorb and reradiate the radio waves from the driven element with a different phase, modifying the dipole's radiation pattern. The waves from the multiple elements superpose and interfere to enhance radiation in a single direction, achieving a very substantial increase in the antenna's gain compared to a simple dipole.Also called a \"beam antenna\",or \"parasitic array\", the Yagi is very widely used as a high-gain antenna on the HF, VHF and UHF bands. It has moderate to high gain which depends on the number of elements used, typically limited to about 20 dBi, linear polarization, unidirectional (end-fire) beam pattern with high front-to-back ratio of up to 20 db. and is lightweight, inexpensive and simple to construct. The bandwidth of a Yagi antenna, the frequency range over which it has high gain, is narrow, a few percent of the center frequency, and decreases with increasing gain, so it is often used in fixed-frequency applications. The largest and best-known use is as rooftop terrestrial television antennas, but it is also used for point-to-point fixed communication links, in radar antennas, and for long distance shortwave communication by shortwave broadcasting stations and radio amateurs.\nhttps://en.wikipedia.org/wiki/Loop_antenna - a radio antenna consisting of a loop or coil of wire, tubing, or other electrical conductor usually fed by a balanced source or feeding a balanced load. Within this physical description there are two distinct antenna types. The large self-resonant loop antenna has a circumference close to one wavelength of the operating frequency and so is resonant at that frequency. This category also includes smaller loops 5% to 30% of a wavelength in circumference, which use a capacitor to make them resonant. These antennas are used for both transmission and reception. In contrast, small loop antennas less than 1% of a wavelength in size are very inefficient radiators, and so are only used for reception. An example is the ferrite (loopstick) antenna used in most AM broadcast radios. Loop antennas have a dipole radiation pattern; they are most sensitive to radio waves in two broad lobes in opposite directions, 180° apart. Due to this directional pattern they are used for radio direction finding (RDF), to locate the position of a transmitter.\nhttps://en.wikipedia.org/wiki/Leaky_feeder - a communications system used in underground mining and other tunnel environments. Manufacturers and cabling professionals use the term \"radiating cable\" as this implies that the cable is designed to radiate: something that coaxial cable is not generally supposed to do.\nAM radio ranges from 535 to 1705 kilohertz, stations are possible every 10 kHz.\nSystem Bus Radio - Transmits AM radio on computers without radio transmitting hardware.\nFM radio ranges in a higher spectrum from 88 to 108 megahertz, stations are possible every 200 kHz.\nhttps://en.wikipedia.org/wiki/In-band_on-channel - a hybrid method of transmitting digital radio and analog radio broadcast signals simultaneously on the same frequency.\nhttps://en.wikipedia.org/wiki/Digital_audio_broadcasting - DAB standard was initiated as a European research project in the 1980s. The Norwegian Broadcasting Corporation (NRK) launched the first DAB channel in the world on 1 June 1995 (NRK Klassisk), and the BBC and Swedish Radio (SR) launched their first DAB digital radio broadcasts in September 1995. DAB receivers have been available in many countries since the end of the 1990s.\nAudio quality varies depending on the bitrate used and audio material. Most stations use a bit rate of 128 kbit/s or less with the MP2 audio codec, which requires 160 kbit/s to achieve perceived FM quality. 128 kbit/s gives better dynamic range or signal-to-noise ratio than FM radio, but a more smeared stereo image, and an upper cut-off frequency of 14 kHz, corresponding to 15 kHz of FM radio. However, \"CD quality\" sound with MP2 is possible \"with 256…192 kbps\".\nAn upgraded version of the system was released in February 2007, which is called DAB+. DAB is not forward compatible with DAB+, which means that DAB-only receivers are not able to receive DAB+ broadcasts. However, broadcasters can mix DAB and DAB+ programs inside the same transmission and so make a progressive transition to DAB+. DAB+ is approximately twice as efficient as DAB, and more robust.\nhttps://en.wikipedia.org/wiki/Digital_audio_radio_service - Satellite Digital Audio Radio Service, used by Sirius Satellite Radio and XM Satellite Radio. XM and Sirius both operate in the 2.3-GHz S band, from 2320 to 2345 MHz.\nhttps://en.wikipedia.org/wiki/Digital_Radio_Mondiale - DRM, a set of digital audio broadcasting technologies designed to work over the bands currently used for analogue radio broadcasting including AM broadcasting, particularly shortwave, and FM broadcasting. DRM is more spectrally efficient than AM and FM, allowing more stations, at higher quality, into a given amount of bandwidth, using various MPEG-4 audio coding formats.\nhttps://en.wikipedia.org/wiki/CAM-D - Compatible Amplitude Modulation - Digital or CAM-D is a hybrid digital radio format for AM broadcasting, proposed by broadcast engineer Leonard R. Kahn.The system is an in-band on-channel technology that uses the sidebands of any AM radio station. Analog information is still used up to a bandpass of about 7.5kHz, with standard amplitude modulation. The missing treble information that AM normally lacks is then transmitted digitally beyond this. Audio mixing in the receiver then blends them back together.\nUnlike other IBOC technologies like iBiquity's HD Radio, Kahn's apparently does not provide a direct path to all-digital transmissions, nor any multichannel capability. Its advantage, however, is that it takes up far less of the sidebands, thereby causing far less interference to adjacent channels, hence the \"Compatible\" in the name. Interference has affected HD Radio on AM, along with its (like CAM-D) proprietary nature.\nDigital Radio Mondiale, commonly used in shortwave broadcasting, can use less, the same, or more bandwidth as AM, to provide high quality audio. Digital Radio Mondiale requires digital detection circuitry not present in conventional AM radios to decode programming.Special CAM-D receivers provide the benefit of better frequency response and a slow auxiliary data channel for display of station ID, programming titles, etc.\nhttps://en.wikipedia.org/wiki/Trunked_radio_system - two-way radio system that uses a control channel to automatically direct radio traffic. Two-way radio systems are either trunked or conventional, where conventional is manually directed by the radio user. Trunking is a more automated and complex radio system, but provides the benefits of less user intervention to operate the radio and greater spectral efficiency with large numbers of users. Instead of assigning, for example, a radio channel to one particular organization at a time, users are instead assigned to a logical grouping, a \"talkgroup\". When any user in that group wishes to converse with another user in the talkgroup, a vacant radio channel is found automatically by the system and the conversation takes place on that channel. Many unrelated conversations can occur on a channel, making use of the otherwise idle time between conversations. Each radio transceiver contains a microcomputer to control it. A control channel coordinates all the activity of the radios in the system. The control channel computer sends packets of data to enable one talkgroup to talk together, regardless of frequency.\nhttps://github.com/robotastic/trunk-recorder - Trunk Recorder is able to record the calls on trunked and conventional radio systems. It uses 1 or more Software Defined Radios (SDRs) to do this. The SDRs capture large swatches of RF and then use software to process what was received. GNURadio is used to do this processing because it provides lots of convenient RF blocks that can be pieced together to allow for complex RF processing. The libraries from the amazing OP25 project are used for a lot of the P25 functionality. Multiple radio systems can be recorded at the same time.\nhttps://en.wikipedia.org/wiki/Amateur_radio - also called ham radio, describes the use of radio frequency spectrum for purposes of non-commercial exchange of messages, wireless experimentation, self-training, private recreation, radiosport, contesting, and emergency communication. The term \"amateur\" is used to specify \"a duly authorised person interested in radioelectric practice with a purely personal aim and without pecuniary interest;\" (either direct monetary or other similar reward) and to differentiate it from commercial broadcasting, public safety (such as police and fire), or professional two-way radio services (such as maritime, aviation, taxis, etc.).\nThe amateur radio service (amateur service and amateur-satellite service) is established by the International Telecommunication Union (ITU) through the International Telecommunication Regulations. National governments regulate technical and operational characteristics of transmissions and issue individual stations licenses with an identifying call sign. Prospective amateur operators are tested for their understanding of key concepts in electronics and the host government's radio regulations. Radio amateurs use a variety of voice, text, image, and data communications modes and have access to frequency allocations throughout the RF spectrum to enable communication across a city, region, country, continent, the world, or even into space.\nAmateur-radio-wiki - This site aims to enable ham operators and curious alike to document, share and explore the fantastic world of amateur radio.\nham-radio.com - site and it's hosted organizations offered as a free service to the Amateur Radio community.\nFldigi - a modem program for most of the digital modes used by radio amateurs today: CW, PSK, MFSK, RTTY, Hell, DominoEX, Olivia, and Throb are all supported. It can help calibrate a sound card to a time signal and do frequency measurement tests.\nFreeDV: Open Source Amateur Digital Voice – Where Amateur Radio Is Driving The State of the Art - a Digital Voice mode for HF radio. You can run FreeDV using a free GUI application for Windows, Linux and OSX that allows any SSB radio to be used for low bit rate digital voice. Alternatively you can buy a SM1000 FreeDV adaptor that allows you to run FreeDV on any HF radio without a PC or sound card. If you are a hardware or software developer, you can integrate FreeDV into your project using the LGPL licensed FreeDV API. Speech is compressed down to 700-1600 bit/s then modulated onto a 1.25 kHz wide signal comprised of 16 QPSK carriers which is sent to the Mic input of a SSB radio. The signal is received by an SSB radio, then demodulated and decoded by FreeDV. FreeDV 700C is approaching SSB in it’s low SNR performance. At high SNRs FreeDV 1600 sounds like FM, with no annoying analog HF radio noise. FreeDV was built by an international team of Radio Amateurs working together on coding, design, user interface and testing. FreeDV is open source software, released under the GNU Public License version 2.1. The modems and Codec 2 speech codec used in FreeDV are also open source.\nhttps://github.com/dh1tw/remoteAudio - a cross plattform audio streaming application, built for Amateur Radio purposes. The most typical use case for this software is the remote operation of an amateur radio station. remoteAudio is written in Go.\nHamWAN - a non-profit organization (501c3) developing best practices for high speed amateur radio data networks. HamWAN also runs the Puget Sound Data Ring, which is a real-world network implementation of the proposed designs.So far, HamWAN networks have been used for things like low-latency repeater linking, real-time video feeds from distant locations, serving APRS I-gates, providing redundant internet access to emergency operations centers, and more. Any licensed radio amateur in the service area can connect their shack directly to the network with just a small investment in equipment and no recurring cost. Since many traditional uses for Internet at home are not compatible with Part 97 rules, this won't replace your home Internet connection. However, it works and acts just like one.\nhttps://en.wikipedia.org/wiki/Radio_control - the use of radio signals to remotely control a device. Radio control is used for control of model vehicles from a hand-held radio transmitter. Industrial, military, and scientific research organizations make use of radio-controlled vehicles as well.\nOpenSesame is a device that can wirelessly open virtually any fixed-code garage door in seconds, exploiting a new attack I've discovered on wireless fixed-pin devices. Using a child's toy from Mattel.\nhttps://github.com/jontio/libaeroambe - an mini-m decoder library.\nhttps://en.wikipedia.org/wiki/AIS-SART - a self-contained radio device used to locate a survival craft or distressed vessel by sending updated position reports using a standard Automatic Identification System (AIS) class-A position report. The position and time synchronization of the AIS-SART are derived from a built in GNSS receiver (e.g. GPS). Shipboard Global Maritime Distress Safety System (GMDSS) installations include one or more search and rescue locating devices. These devices may be either an AIS-SART (AIS Search and Rescue Transmitter) (from January 1, 2010), or a radar-SART (Search and Rescue Transponder).\nhttps://en.wikipedia.org/wiki/Automatic_link_establishment - commonly known as ALE, is the worldwide de facto standard for digitally initiating and sustaining HF radio communications. ALE is a feature in an HF communications radio transceiver system that enables the radio station to make contact, or initiate a circuit, between itself and another HF radio station or network of stations. The purpose is to provide a reliable rapid method of calling and connecting during constantly changing HF ionospheric propagation, reception interference, and shared spectrum use of busy or congested HF channels.\nhttps://en.wikipedia.org/wiki/Automatic_Packet_Reporting_System - an amateur radio-based system for real time digital communications of information of immediate value in the local area. Data can include object Global Positioning System (GPS) coordinates, weather station telemetry, text messages, announcements, queries, and other telemetry. APRS data can be displayed on a map, which can show stations, objects, tracks of moving objects, weather stations, search and rescue data, and direction finding data. In its most widely used form, APRS is transported over the AX.25 protocol using 1200 bit/s Bell 202 AFSK on frequencies located within the 2 meter amateur band.\naprs.fi map - The positions of the amateur radio operators and their vehicles are received from the APRS-IS network on the Internet. Most of them are originally transmitted on amateur radio frequencies (typically around 145 MHz), and received and forwarded to the APRS-IS by igate stations run by clubs and individuals around the world. The positions of ships are received from the AIS frequencies by receiving stations around the world. If you wish to receive AIS transmissions and provide them to the service, you're more than welcome to do so.\nhttps://en.wikipedia.org/wiki/Telegraph_key - a switching device used primarily to send Morse code. Similar keys are used for all forms of manual telegraphy, such as in ‘wire’ or electrical telegraph and ‘wireless’ or radio telegraphy.\nhttps://en.wikipedia.org/wiki/Q_code a standardized collection of three-letter codes all of which start with the letter \"Q\". It is a brevity code initially developed for commercial radiotelegraph communication and later adopted by other radio services, especially amateur radio. To distinguish the use of \"Q\" codes transmitted as questions from those transmitted as statements, operators used the Morse question \"INT\" (dit dit dah dit dah) as a prefix to the \"Q\" code. Although Q codes were created when radio used Morse code exclusively, they continued to be employed after the introduction of voice transmissions. To avoid confusion, transmitter call signs are restricted; no country is ever issued an ITU prefix starting with \"Q\". Codes in the range QAA–QNZ are reserved for aeronautical use; QOA–QQZ for maritime use and QRA–QUZ for all services. \"Q\" has no official meaning, but it is sometimes assigned with a word with mnemonic value, such as \"Queen's\" (e.g. QFE = Queen's Field Elevation), \"Query\", \"Question\", or \"reQuest\".\nhttps://en.wikipedia.org/wiki/ACARS - an acronym for aircraft communications addressing and reporting system) is a digital datalink system for transmission of short messages between aircraft and ground stations via airband radio or satellite. The protocol was designed by ARINC and deployed in 1978, using the Telex format. More ACARS radio stations were added subsequently by SITA.\nJAERO - a program that demodulates and decodes Classic Aero ACARS (Aircraft Communications Addressing and Reporting System) messages sent from satellites to Aeroplanes (SatCom ACARS) commonly used when Aeroplanes are beyond VHF range. Demodulation is performed using the soundcard. Such signals are typically around 1.5Ghz and can be received with a simple low gain antenna that can be home brewed in a few hours in conjunction with a cheap RTL-SDR dongle.\nhttps://en.wikipedia.org/wiki/WSPR_(amateur_radio_software) - pronounced \"whisper\", stands for \"Weak Signal Propagation Reporter\". It is a protocol, implemented in a computer program, used for weak-signal radio communication between amateur radio operators. The protocol was designed, and a program written initially, by Joe Taylor, K1JT. Software is now open source and is developed by a small team. The program is designed for sending and receiving low-power transmissions to test propagation paths on the MF and HF bands.\nWSPR implements a protocol designed for probing potential propagation paths with low-power transmissions. Transmissions carry a station's callsign, Maidenhead grid locator, and transmitter power in dBm. The program can decode signals with S/N as low as −28 dB in a 2500 Hz bandwidth. Stations with internet access can automatically upload their reception reports to a central database called WSPRnet, which includes a mapping facility.\nWSPRnet - a group of amateur radio operators using K1JT's MEPT_JT digital mode to probe radio frequency propagation conditions using very low power (QRP/QRPp) transmissions. The software is open source, and the data collected are available to the public through this site.\nhttps://github.com/threeme3/WsprryPi - Makes a very simple WSPR beacon from your RasberryPi by connecting GPIO port to Antanna (and LPF), operates on LF, MF, HF and VHF bands from 0 to 250 MHz.\nhttps://en.wikipedia.org/wiki/Low-rate_picture_transmission - LRPT, is a digital transmission system, intended to deliver images and data from an orbital weather satellite directly to end users via a VHF radio signal. It is used aboard polar-orbiting, near-Earth weather satellite programs such as MetOp and NPOESS.\nhttps://en.wikipedia.org/wiki/Radio_Data_System - a communications protocol standard for embedding small amounts of digital information in conventional FM radio broadcasts. RDS standardizes several types of information transmitted, including time, station identification and program information.The standard began as a project of the European Broadcasting Union (EBU), but has since become an international standard of the International Electrotechnical Commission (IEC). Radio Broadcast Data System (RBDS) is the official name used for the U.S. version of RDS. The two standards are only slightly different.Both carry data at 1,187.5 bits per second on a 57 kHz subcarrier, so there are exactly 48 cycles of subcarrier during every data bit. The RBDS/RDS subcarrier was set to the third harmonic of the 19 kHz FM stereo pilot tone to minimize interference and intermodulation between the data signal, the stereo pilot and the 38 kHz DSB-SC stereo difference signal. (The stereo difference signal extends up to 38 kHz + 15 kHz = 53 kHz, leaving 4 kHz for the lower sideband of the RDS signal.) The data is sent with error correction. RDS defines many features including how private (in-house) or other undefined features can be \"packaged\" in unused program groups.\nRDS Surveyor — Radio Data System decoder - a complete open-source tool for decoding and analyzing Radio Data System (RDS) data. RDS (also known as RBDS in North America) is a communication protocol for embedding streams of digital information in FM radio broadcasts.RDS Surveyor is Java-based, hence it runs on all platforms. It has been successfully used on Linux, MacOS and Windows.\nhttps://en.wikipedia.org/wiki/Subsidiary_communications_authority - the United States, and Subsidiary Communications Multiplex Operation (SCMO) in Canada, is a subcarrier on a radio station, allowing the station to broadcast additional services as part of its signal.\nPhasor is a demo running on a custom minimalistic ATmega88-based demo platform that generates a composite video signal (PAL).\nhttps://en.wikipedia.org/wiki/Amateur_television - the transmission of broadcast quality video and audio over the wide range of frequencies of radio waves allocated for radio amateur (Ham) use. ATV is used for non-commercial experimentation, pleasure, and public service events. Ham TV stations were on the air in many cities before commercial television stations came on the air. Various transmission standards are used, these include the broadcast transmission standards of NTSC in North America and Japan, and PAL or SECAM elsewhere, utilizing the full refresh rates of those standards. ATV includes the study of building of such transmitters and receivers, and the study of radio propagation of signals travelling between transmitting and receiving stations. ATV is an extension of amateur radio. It is also called HAM TV or fast-scan TV (FSTV), as opposed to slow-scan television (SSTV). SSTV is a method of transmitting still images over radio, when it is not possible to send video.\nhttps://en.wikipedia.org/wiki/Slow-scan_television - a picture transmission method used mainly by amateur radio operators, to transmit and receive static pictures via radio in monochrome or color. A literal term for SSTV is narrowband television. Analog broadcast television requires at least 6 MHz wide channels, because it transmits 25 or 30 picture frames per second (in the NTSC, PAL or SECAM color systems), but SSTV usually only takes up to a maximum of 3 kHz of bandwidth. It is a much slower method of still picture transmission, usually taking from about eight seconds to a couple of minutes, depending on the mode used, to transmit one image frame. Since SSTV systems operate on voice frequencies, amateurs use it on shortwave (also known as HF by amateur radio operators), VHF and UHF radio.\nhttps://en.wikipedia.org/wiki/Radiofax - also known as weatherfax (portmanteau word from the words \"weather facsimile\") and HF fax (due to its common use on shortwave radio), is an analogue mode for transmitting monochrome images. It was the predecessor to slow-scan television (SSTV). Prior to the advent of the commercial telephone line \"fax\" machine, it was known, more traditionally, by the term \"radiofacsimile\". The cover of the regular NOAA publication on frequencies and schedules states \"Worldwide Marine Radiofacsimile Broadcast Schedules\".\nhttps://en.wikipedia.org/wiki/Radioteletype - a telecommunications system consisting originally of two or more electromechanical teleprinters in different locations connected by radio rather than a wired link. These machines were superseded by personal computers (PCs) running software to emulate teleprinters. Radioteletype evolved from earlier landline teleprinter operations that began in the mid-1800s. The US Navy Department successfully tested printing telegraphy between an airplane and ground radio station in 1922. Later that year, the Radio Corporation of America successfully tested printing telegraphy via their Chatham, Massachusetts, radio station to the R.M.S. Majestic. Commercial RTTY systems were in active service between San Francisco and Honolulu as early as April 1932 and between San Francisco and New York City by 1934. The US military used radioteletype in the 1930s and expanded this usage during World War II. From the 1980s, teleprinters were replaced by computers running teleprinter emulation software. The term radioteletype is used to describe both the original radioteletype system, sometimes described as \"Baudot\", as well as the entire family of systems connecting two or more teleprinters or PCs using software to emulate teleprinters, over radio, regardless of alphabet, link system or modulation.In some applications, notably military and government, radioteletype is known by the acronym RATT (Radio Automatic Teletype).\nhttps://en.wikipedia.org/wiki/Packet_radio - a form of packet switching technology used to transmit digital data via wireless communications. Packet radio uses the same concepts of data transmission using datagrams that are fundamental to communications on the Internet, as opposed to older techniques used by dedicated or switched circuits. Packet radio can be used over long distances without the need for a physical connection between stations. Packet radio can also be used for mobile communications.\nhttps://en.wikipedia.org/wiki/AX.25 - a data link layer protocol originally derived from layer 2 of the X.25 protocol suite and designed for use by amateur radio operators. It is used extensively on amateur packet radio networks.AX.25 v2.0 and later occupies the data link layer, the second layer of the OSI model. It is responsible for establishing link-layer connections, transferring data encapsulated in frames between nodes, and detecting errors introduced by the communications channel. As AX.25 is a pre-OSI-model protocol, the original specification was not written to cleanly separate into OSI layers. This was rectified with version 2.0 (1984), which assumes compliance with OSI level 2.\nhttps://en.wikipedia.org/wiki/Datacasting - the broadcasting of data over a wide area via radio waves. It most often refers to supplemental information sent by television stations along with digital television, but may also be applied to digital signals on analog TV or radio. It generally does not apply to data which is inherent to the medium, such as PSIP data which defines virtual channels for DTV or direct broadcast satellite systems; or to things like cable modem or satellite modem, which use a completely separate channel for data.\nhttps://en.wikipedia.org/wiki/Bluetooth - a wireless technology standard for exchanging data over short distances (using short-wavelength UHF radio waves in the ISM band from 2.400 to 2.485 GHz) from fixed and mobile devices, and building personal area networks (PANs). Invented by Dutch electrical engineer Jaap Haartsen, working for telecom vendor Ericsson in 1994, it was originally conceived as a wireless alternative to RS-232 data cables.\nhttps://en.wikipedia.org/wiki/Bluetooth_Low_Energy - Bluetooth LE, colloquially BLE, formerly marketed as Bluetooth Smart) is a wireless personal area network technology designed and marketed by the Bluetooth Special Interest Group (Bluetooth SIG) aimed at novel applications in the healthcare, fitness, beacons, security, and home entertainment industries. Compared to Classic Bluetooth, Bluetooth Low Energy is intended to provide considerably reduced power consumption and cost while maintaining a similar communication range.Mobile operating systems including iOS, Android, Windows Phone and BlackBerry, as well as macOS, Linux, Windows 8 and Windows 10, natively support Bluetooth Low Energy. The Bluetooth SIG predicts that by 2018 more than 90% of Bluetooth-enabled smartphones will support Bluetooth Low Energy.\nhttps://en.wikipedia.org/wiki/Bluetooth_low_energy_beacon - hardware transmitters - a class of Bluetooth low energy (LE) devices that broadcast their identifier to nearby portable electronic devices. The technology enables smartphones, tablets and other devices to perform actions when in close proximity to a beacon. Bluetooth beacons use Bluetooth low energy proximity sensing to transmit a universally unique identifier picked up by a compatible app or operating system. The identifier and several bytes sent with it can be used to determine the device's physical location, track customers, or trigger a location-based action on the device such as a check-in on social media or a push notification.\nBluez - provides Linux support for the core Bluetooth layers and protocols. It is flexible, efficient and uses a modular implementation.\nhttps://linux.die.net/man/1/hcitool - used to configure Bluetooth connections and send some special command to Bluetooth devices. If no command is given, or if the option -h is used, hcitool prints some usage information and exits.\nhttps://github.com/greatscottgadgets/ubertooth/ - an open source wireless development platform suitable for Bluetooth experimentation. Ubertooth ships with a capable BLE (Bluetooth Smart) sniffer and can sniff some data from Basic Rate (BR) Bluetooth Classic connections.\nhttps://github.com/pwnieexpress/blue_hydra - a Bluetooth device discovery service built on top of the bluez library. BlueHydra makes use of ubertooth where available and attempts to track both classic and low energy (LE) bluetooth devices over time.\nhttps://en.wikipedia.org/wiki/LoRa - a patented digital wireless data communication IoT technology developed by Cycleo of Grenoble, France, and acquired by Semtech in 2012. LoRa uses license-free sub-gigahertz radio frequency bands like 169 MHz, 433 MHz, 868 MHz (Europe) and 915 MHz (North America). LoRa enables very-long-range transmissions (more than 10 km in rural areas) with low power consumption. The technology is presented in two parts — LoRa, the physical layer and LoRaWAN, the upper layers.\nhttps://en.wikipedia.org/wiki/1G - refers to the first generation of wireless cellular technology (mobile telecommunications). These are the analog telecommunications standards that were introduced in the 1980s and continued until being replaced by 2G digital telecommunications. The main difference between the two mobile cellular systems (1G and 2G), is that the radio signals used by 1G networks are analog, while 2G networks are digital.\nhttps://en.wikipedia.org/wiki/2G - short for second-generation cellular technology. Second-generation 2G cellular networks were commercially launched on the GSM standard in Finland by Radiolinja (now part of Elisa Oyj) in 1991. Three primary benefits of 2G networks over their predecessors were that phone conversations were digitally encrypted; 2G systems were significantly more efficient on the spectrum allowing for far greater wireless penetration levels; and 2G introduced data services for mobile, starting with SMS text messages. 2G technologies enabled the various networks to provide the services such as text messages, picture messages, and MMS (multimedia messages). All text messages sent over 2G are digitally encrypted, allowing for the transfer of data in such a way that only the intended receiver can receive and read it.\nhttps://en.wikipedia.org/wiki/Wireless_Application_Protocol - a technical standard for accessing information over a mobile wireless network. A WAP browser is a web browser for mobile devices such as mobile phones that uses the protocol. Introduced with much hype in 1999, WAP achieved some popularity in the early 2000s, but by the 2010s it had been largely superseded by more modern standards. Most modern handset internet browsers now fully support HTML, so do not need to use WAP markup for webpage compatibility, and most of them are no longer able to render and display pages written in WAP.\nKannel - a compact and very powerful open source WAP and SMS gateway, used widely across the globe both for serving trillions of short messages (SMS), WAP Push service indications and mobile internet connectivity.\nhttps://en.wikipedia.org/wiki/SMS - Short Message Service is a text messaging service component of most telephone, World Wide Web, and mobile device systems. It uses standardized communication protocols to enable mobile devices to exchange short text messages. An intermediary service can facilitate a text-to-voice conversion to be sent to landlines. SMS was the most widely used data application, with an estimated 3.5 billion active users, or about 80% of all mobile subscribers, at the end of 2010.\nSMS, as used on modern devices, originated from radio telegraphy in radio memo pagers that used standardized phone protocols. These were defined in 1985 as part of the Global System for Mobile Communications (GSM) series of standards. The protocols allowed users to send and receive messages of up to 160 alpha-numeric characters to and from GSM mobiles. Although most SMS messages are mobile-to-mobile text messages, support for the service has expanded to include other mobile technologies, such as ANSI CDMA networks and Digital AMPS. SMS is also employed in mobile marketing, a type of direct marketing.According to one market research report, as of 2014, the global SMS messaging business was estimated to be worth over $100 billion, accounting for almost 50 percent of all the revenue generated by mobile messaging.\nhttps://en.wikipedia.org/wiki/Multimedia_Messaging_Service - a standard way to send messages that include multimedia content to and from a mobile phone over a cellular network. Users and providers may refer to such a message as a PXT, a picture message, or a multimedia message. The MMS standard extends the core SMS (Short Message Service) capability, allowing the exchange of text messages greater than 160 characters in length. Unlike text-only SMS, MMS can deliver a variety of media, including up to forty seconds of video, one image, a slideshow of multiple images, or audio.\nhttps://en.wikipedia.org/wiki/3G - standing for third generation, is the third generation of wireless mobile telecommunications technology. It is the upgrade for 2G and 2.5G GPRS networks, for faster internet speed. This is based on a set of standards used for mobile devices and mobile telecommunications use services and networks that comply with the International Mobile Telecommunications-2000 (IMT-2000) specifications by the International Telecommunication Union. 3G finds application in wireless voice telephony, mobile Internet access, fixed wireless Internet access, video calls and mobile TV.\n3G telecommunication networks support services that provide an information transfer rate of at least 0.2 Mbit/s. Later 3G releases, often denoted 3.5G and 3.75G, also provide mobile broadband access of several Mbit/s to smartphones and mobile modems in laptop computers. This ensures it can be applied to wireless voice telephony, mobile Internet access, fixed wireless Internet access, video calls and mobile TV technologies.\nhttps://en.wikipedia.org/wiki/4G - the fourth generation of broadband cellular network technology, succeeding 3G. A 4G system must provide capabilities defined by ITU in IMT Advanced. Potential and current applications include amended mobile web access, IP telephony, gaming services, high-definition mobile TV, video conferencing, and 3D television. The first-release Long Term Evolution (LTE) standard (a 4G candidate system) has been commercially deployed in Oslo, Norway, and Stockholm, Sweden since 2009. It has, however, been debated whether first-release versions should be considered 4G.\nOsmocom - an umbrella project regarding Open source mobile communications. This includes software and tools implementing a variety of mobile communication standards, including GSM, DECT, TETRA and others.\nCellular Infrastructure - a group of Osmocom programs implementing cellular network infrastructure components for GSM, GPRS, EDGE, UMTS, HSPA, LTE and their associated interfaces and protocol stacks.\nOpenBTS - a Linux application that uses a software-defined radio to present a standard 3GPP air interface to user devices, while simultaneously presenting those devices as SIP endpoints to the Internet. This forms the basis of a new type of wireless network which promises to expand coverage to unserved and underserved markets while unleashing a platform for innovation, including offering support for emerging network technologies, such as those targeted at the Internet of Things.\nUmTRX - The industrial grade dual-channel wide-band SDR transceiver.\nUmSITE-TM3 - A complete mobile network in a single tower mounted base station, one of the key components of the Fairwaves GSM network architecture. Technical details: Osmocom or OpenBTS software suites (Osmocom by default). Ability to run GnuRadio and other SDR software. Output power - 3W per channel (6W total). UmSITE includes internal duplexers and amplifiers. 1-3 km coverage (with external antennas). Two independent TRX's, i.e. two ARFCNs. Based on UmTRX transceiver. Stable reference clocks: 26MHz TCXO (integer multiple of GSM sample rate) with 100ppb frequency stability. DAC for TCXO frequency fine tuning. Integrated GPS module for automatic TCXO frequency stabilization.\nZeroPhone - an open-source smartphone that can be assembled for 50$ in parts. It is Linux-powered, with UI software written in Python, allowing it it to be easily modifiable - and it doesn't prohibit you from changing the way it works.\nMEGA65 - The 21st century realization of the C65 heritage: A complete 8-bit computer running around 50x faster than a C64 while being highly compatible. C65 design, mechanical keyboard, HD output, SD card support, Ethernet, extended memory and other features increase the fun without spoiling the 8-bit feel. Hardware designs and software are open-source (LGPL).\nhttp://wiki.opendigitalradio.org Opendigitalradio.org wiki] - Open digital broadcasting techniques based on software defined radio. Digital radio transmission and development must also become democratized for experimenters and small broadcasters. Opendigitalradio.org wiki is about creating a community for documenting and exchanging experimentations and gather information about existing small-scale DAB projects. Please read Introduction for more information. Opendigitalradio is a non-profit association based in Switzerland (page in french), offering also a broadcast infrastructure for temporary radio stations.\nMyriad RF is a family of open source hardware and software projects for wireless communications, and a community that is working to make wireless innovation accessible to as many people as possible.\nLimeSDR board provides a hardware platform for developing and prototyping high-performance and logic-intensive digital and RF designs using Altera’s Cyclone IV FPGA and Lime Microsystems transceiver.\nhttp://sdr.osmocom.org/trac/wiki/rtl-sdr - RTL-SDR is a set of tools that enables DVB-T USB dongles based on the Realtek RTL2832U chipset to be used as cheap software defined radios, given that the chip allows transferring raw I/Q samples from the tuner straight to the host device.\nThe frequency range of the RTL2832U / E4000 is generally around 64MHZ to 1700MHz with a gap around 1100MHz to 1250MHz. The RTL2832U / R820T frequency range is 24MHZ to roughly 1850MHz with no gaps (found yet), and no DC offset spike.\nRTL dongles have 2.4 MHz of useful bandwidth.\nRtl Power - a unix-hacker's approach to the waterfall. Its unique features include:Just getting started with rtl_power, and it looks like just the to... Unlimited frequency range. You can do the whole 1.7GHz of a dongle. Unlimited time. At least until you run out of disk for logging. Unlimited FFT bins. But in practice I don't think I've taken it above 100k bins. Quantitative rendering. Exact power levels are logged. Runs on anything. A slower computer will use less samples to keep up.\nhttps://github.com/Make-Magazine/PirateRadio - MAKE Raspberry Pi Automated FM Radio Script.\nhttps://github.com/coup-de-foudre/tesla_coil_fm_driver - Project forked from PNPtutorials.Use Raspberry Pi as FM transmitter. Works on any RPi board.This project uses the general clock output to produce frequency modulated radio communication. It is based on idea originaly posted here but does not use DMA controller in order to distribute samples to output (clock generator), so sound quality is worse as in PiFm project and only mono transmition is available but this makes possible to run it on all kind of boards.\nosmo-fl2k - Since rtl-sdr has been released a couple of years ago, cheap SDR receivers are ubiquitous. SDRs with transmission capability have become cheaper as well, but are still more expensive. osmo-fl2k allows to use USB 3.0 to VGA adapters based on the Fresco Logic FL2000 chip, which are available for around $5, as general purpose DACs and SDR transmitter generating a continuous stream of samples by avoiding the HSYNC and VSYNC blanking intervals.\nrunning the \"volk_profile\" gnuradio utility will detect and enable processor specific optimisations and will in many cases give a significant performance boost.\nGqrx is a software defined radio receiver powered by the GNU Radio SDR framework and the Qt graphical toolkit.\nliquid-dsp - a free and open-source signal processing library for software-defined radios written in C. Its purpose is to provide a set of extensible DSP modules that do not rely on external dependencies or cumbersome frameworks.\nFreeDV - a Digital Voice mode for HF radio. You can run FreeDV using a free GUI application for Windows, Linux and OSX that allows any SSB radio to be used for low bit rate digital voice.\nhttps://github.com/jontio/JMPX - A Stereo encoder for FM transmitters now with RDS, SCA and DSCA support.\nwelle.io - an open source DAB and DAB+ software defined radio (SDR) with support for rtl-sdr (RTL2832U) and airspy. It supports high DPI and touch displays and it runs even on cheap computers like Raspberry Pi 2/3 and 100€ China Windows 10 tablets.\nhttps://github.com/JvanKatwijk/qt-dab - for Windows, Linux and Raspberry Pi for listening to terrestrial Digital Audio Broadcasting (DAB and DAB+). It is the successor of both DAB-rpi and sdr-j-DAB, two former programs by the same author.\nGoogle Play: Wavesink DAB/FM Trial - Turn your phone or tablet into a DAB and FM-Stereo RDS receiver. On USB-OTG compatible phones, simply connect a cheap USB dongle and listen to VHF radio in HiFi quality. Note that the trial version has a runtime limitation and does not support DAB+ but only DAB and FM/RDS.\nIdentification Guide - wiki intended to help identify radio signals through example sounds and waterfall images. Most signals are received and recorded using a software defined radio such as the RTL-SDR, Airspy, SDRPlay, HackRF, BladeRF, Funcube Dongle, USRP or others.\nOpenBTS - a Unix application that uses a software radio to present a GSM air interface to standard 2G GSM handset and uses a SIP softswitch or PBX to connect calls. (You might even say that OpenBTS is a simplified form of IMS that works with 2G feature-phone handsets.) The combination of the global-standard GSM air interface with low-cost VoIP backhaul forms the basis of a new type of cellular network that can be deployed and operated at substantially lower cost than existing technologies in many applications, including rural cellular deployments and private cellular networks in remote areas.\nSDR.hu - On sdr.hu, you can find SDR receivers that amateur radio operators shared, so you can listen to radio signals without even having to buy any SDR hardware! In fact, amateur radio is a great thing and also lets you experiment with transmitting on the air, by using various frequency bands and modulations.\nRootIO Radio - a technology platform for low cost, hyperlocal community radio stations. Tiny FM radio stations that require little investment, maintenance, or contribution from the community, yet at the same time offer more and better modes of interaction than traditional stations. After a few days of installation and training, stations can start to facilitate new economic opportunities, new opportunities for expression and deliberation, and provide information across, into, and out of the community they serve.Each station is amplified by our cloud/telephony Radio as a Service (RaaS). With the cloud, an individual station can receive free voice-quality calls that go straight to air, download audio from the Internet in the background, or run SMS votes. Using any basic phone (through RaaS) local hosts can run live shows with callers; local business people can record ads or announcements; citizen journalists can cover live meetings or sports events. With solar power a station can serve as 24/7 endpoint to emergency services.Four stations have been running in Northern Uganda for the last year, and small rural communities are creating their own programs, reporting their own news, and requesting audio content from the Internet. RootIO, with the help of Resilient Africa Network, is hoping to launch another 20 stations in the coming year.\nRadioWitness - Immutable, peer-to-peer archiving and distribution of police radio calls. Authors use Software-Defined Radios and Dat Archives to record local police radio. Publishers seed archives from Authors and then re-distribute them to larger audiances. Other rolse arise too, such as Studios who synthesize radio archives into archives of audible speech, and Indexers who aggregate metadata on individual radio calls. Stop by #radiowitness on freenode and say hi.\nhttps://en.wikipedia.org/wiki/Radio-frequency_identification - uses electromagnetic fields to automatically identify and track tags attached to objects. The tags contain electronically stored information. Passive tags collect energy from a nearby RFID reader's interrogating radio waves. Active tags have a local power source (such as a battery) and may operate hundreds of meters from the RFID reader. Unlike a barcode, the tag need not be within the line of sight of the reader, so it may be embedded in the tracked object. RFID is one method of automatic identification and data capture (AIDC).\nhttps://en.wikipedia.org/wiki/Microchip_implant_(animal) - an identifying integrated circuit placed under the skin of an animal. The chip, about the size of a large grain of rice, uses passive RFID (Radio Frequency Identification) technology, and is also known as a PIT (Passive Integrated Transponder) tag.Externally attached microchips such as RFID ear tags are commonly used to identify farm and ranch animals, with the exception of horses. Some external microchips can be read with the same scanner used with implanted chips.\nhttps://github.com/Proxmark/proxmark3 - a powerful general purpose RFID tool, the size of a deck of cards, designed to snoop, listen and emulate everything from Low Frequency (125kHz) to High Frequency (13.56MHz) tags.This repository contains enough software, logic (for the FPGA), and design documentation for the hardware that you could, at least in theory, do something useful with a proxmark3.\nThis page was last edited on 12 April 2019, at 06:15." | 2019-04-19T15:08:54Z | https://wiki.thingsandstuff.org/index.php?title=Radio&oldid=50097 |
Updated 2016/07/31: This post is now outdated. SWAN has been updated to improve its treatment of the spectral propagation velocities, so these limiters are not needed. Please see this post.
Updated 2012/04/12: This is an old page. It persists on this site for posterity, but the information presented below is no longer up-to-date. When you are done here, then please click forward to this page, which describes how to control refraction errors with limiters on the spectral propagation velocities.
Updated 2011/08/30: Added a link to Part 2.
Updated 2010/02/11: Added refraction as a nodal attribute.
At the end of my instruction manual on how to compile and run SWAN+ADCIRC, I noted that wave refraction can cause problems in regions where the resolution of the bathymetry is insufficient. We worked around this problem by turning off the refraction on the local sub-meshes that were not in our region of interest. On this page, I will provide more description of exactly what can go wrong when waves are allowed to refract on coarse meshes, and I will share more details about our work-around.
It should be noted that wave refraction will always be a problem whenever any wave model is applied on a coarse mesh. This is a general numerical problem whenever the user is trying to compute waves turning over more than 90° in one spatial step. This would be a problem with SWAN, WAM, STWAVE or any other wave model, regardless of if/how they are coupled to a circulation model. As we will see, it is the coarse mesh that causes problems with wave refraction.
The phenomenon of the wave direction changing due to depth-induced variations in the phase speed in the lateral direction (i.e., along the wave crest) is called refraction. It turns the wave direction towards shallower water and results in either an increase or a decrease in wave height, depending on the actual changes in wave direction.
As waves enter shallower water, they try to turn so that their crests are parallel to the contours of the bathymetry. Refraction can have a dramatic effect on wave behavior nearshore, because it is one way in which the waves interact with the complex bathymetry of the continental shelf and other features near the coast. For that reason, it is enabled automatically by SWAN and other wave models. For more detail about how the wave refraction is formulated in SWAN, please see its User Manual.
The following animation shows the effects of wave refraction on the significant wave heights during a Katrina simulation on our SL15 mesh. These effects are shown as the difference between the wave heights in runs with and without wave refraction. Warm colors indicate regions where refraction has increased the wave heights, while cool colors indicate regions where refraction has decreased the wave heights.
Effect of wave refraction on significant wave heights (m) during Katrina (2005).
The brown lines on the animation are the road/levee boundaries in our SL15 mesh. This is southeast Louisiana, so New Orleans is located where the levee system is most dense. The levees extend southeastward from New Orleans along the Mississippi River. Katrina will make its first landfall along those river levees, track northward over Caernarvon Marsh and Lake Borgne, and then make its second landfall along the Mississippi coastline.
Note the complexities in this difference plot. As Katrina moves onto the shelf and makes landfall, the wave refraction has a dramatic effect on the significant wave heights. They are adjusted alternatively up or down, depending on the bathymetry and the wave directions in any given area. Just to the west of the bird’s foot of the Mississippi River delta (and near the geographic coordinates of -89.5° longitude and 29° latitude), the slope of the wave heights is increased, so that they are much smaller away from the coastline and much larger right at the coastline. Similar behavior is observed throughout the region, with differences ranging to 1m or more.
ADCIRC is forced partly by SWAN via the passing of radiation stress gradients, which are computed through an integration of the wave spectra, much as the significant wave heights are computed. Thus, gradients in the wave heights correlate strongly to gradients in the radiation stresses. If refraction has an effect on the wave heights computed by SWAN, then it must also have an effect on the water levels and currents computed by ADCIRC.
The following animation shows the effects of wave refraction on the water levels during a Katrina simulation on our SL15 mesh. These effects are shown as the difference between the water levels in simulations with and without wave refraction. As before, warm colors indicate regions where refraction has increased the water levels, while cool colors indicate regions where refraction has decreased the water levels.
Effect of wave refraction on water levels (m) during Katrina (2005).
It seems the wave refraction does not have as dramatic an effect on the water levels for this simulation. We see an increase in the water levels to the west of the bird’s foot of the Mississippi River delta, and we see an increase farther west, near Timbalier Bay. However, these increases are on the order of about 20cm. It is interesting that the greatest increases happen to the west, where the continental shelf is much broader. In other applications, where the shelf is broader and thus the bathymetry changes more slowly, the wave refraction may have a greater effect.
So we definitely want to include wave refraction in our computations. It is one way in which the waves interact with the bathymetry, and it can increase both wave heights and water levels.
The previous figures showed the effects of wave refraction on wave heights and water levels, by taking differences between simulations with and without refraction. Those runs were smooth and reasonable in this region near southeast Louisiana, because our SL15 mesh is highly resolved in that area. However, as noted at the top of this page, problems can arise when waves are allowed to refract on coarse meshes.
The animation below depicts the significant wave heights on our SL15 mesh as Katrina moves through the Gulf of Mexico. We can see the wave field develop in the Gulf as Katrina generates large (22m) waves in deep water, propagates them onto the continental shelf, and then breaks them nearshore due to changes in bottom friction and water depth.
Non-physical significant wave heights (m) when wave refraction is enabled everywhere during Katrina (2005).
However, that wave behavior in the northern Gulf is rivaled by extraneous wave action in the Caribbean Sea and the Atlantic Ocean. Our OWI wind forcing is only applied to the Gulf, but large waves are being generated in random places throughout the rest of the domain. These waves appear very early in the simulation and then seem to reach a dynamic equilibrium.
Non-physical significant wave heights (m) near the coarsely-resolved Bahamas when wave refraction is enabled everywhere during Katrina (2005).
There are several “hot spots” of wave action in this area, even though it never receives wind forcing during the SWAN+ADCIRC simulation of Katrina. Two regions see significant wave heights larger than 21m, including one region far away from the islands in our SL15 mesh. It turns out that, in real life, a small, uninhabited island (the Samana Cays) is located in that region, but it is too small to be represented as an island boundary in our SL15 mesh.
Non-physical significant wave heights (m) when wave energy is refracted at a single mesh vertex during Katrina (2005).
With this scale, and with the computational mesh also plotted on the figure, it is fairly easy to see that the problem is caused at just one vertex in the mesh. The significant wave heights increase to unreasonably large values at that vertex, eventually reaching about 75m, and then that wave energy is propagated northward on the currents. To the south of the problem vertex, the wave heights decrease to near zero over the length of just one triangular element.
Unstructured mesh and bathymetry (m) near the coarsely-resolved Samana Cays in the Bahamas.
The small island (the Samana Cays) has been represented with three vertices in the mesh that are much more shallow than their neighbors. At those three nodes, the water depths are on the order of a few hundred meters or less, but then the depths drop off to about 1000m over the length of one triangular element. At the most shallow vertex, the depth is only 1-2m, and that is where the wave refraction is causing problems. The gradients in the bathymetry are much too large. This was never a problem when ADCIRC was run by itself, because we can compute tides and surge on this coarse mesh. But SWAN experiences problems when wave refraction is activated. Any other wave model would experience similar problems.
Note that, overall, the SL15 mesh is actually a highly-resolved mesh for hurricane storm surge simulations. We have been very successful while applying it to hindcasts of Katrina and Rita, and we have used it for a wide range of projects for the USACE, FEMA, and other national, state and local agencies. The mesh includes a detailed representation of the complex nearshore geography, channels, lakes, estuaries and other natural features that transmit and collect storm surge. But it also extends far into the Atlantic Ocean, so that boundary conditions can be applied naturally, and hurricane conditions can be developed within the computational domain. Our newer meshes will offer even higher levels of resolution, but they will be the first generation of meshes designed with SWAN in mind. ADCIRC modelers must now consider the wave field when designing meshes.
Also note that the wave refraction is exaggerated in this example because the bathymetry gradients are even steeper than normal. We are trying to model a small island with only three mesh vertices, and we are varying the bathymetry over two or three orders of magnitude. This causes the wave energy to turn toward the most shallow vertex and collect there, eventually reaching a maximum significant wave height of about 75m, as we saw above. Similar problems occur whenever there is a coarsely-resolved plateau in the bathymetry. Even if the most shallow vertex has a water depth of several hundred meters, the waves will refract toward it if the bathymetry gradients are steep to its neighbor vertices. The result is the messy, useless simulation shown in the examples above.
In the long term, we need to design meshes that are compatible with both SWAN and ADCIRC, as I noted above. Especially in the case of the tightly-coupled SWAN+ADCIRC, in which both model components utilize the same computational mesh, we need to design meshes that resolve the necessary features for both components. If we want waves to refract near this island, then we need to employ a mesh resolution that is finer than about 5km, which is what is employed by SL15. Instead of modeling the small island with a shallow set of three vertices, we need to add resolution along the shelf break and around the island. SWAN is a robust model, but, like any wave model, it is only as good as its inputs.
In the short term, there are three other solutions that attempt to allow wave refraction on coarse meshes. One idea would be to develop a numerical scheme that will allow excessive wave refraction, but results will only be realistic if the water depths are correspondingly excessive. However, that is not typically the case. If the region is of any interest, then the user will probably apply an appropriate level of resolution to model the changes in water depths and allow for wave refraction. So there has not been a need for the development of such a numerical scheme.
Another idea is to use the numerical scheme that is currently available in SWAN, where wave refraction on coarse meshes can cause problems, as shown above. SWAN will continue to compute, but its results will not be realistic in the down-wave region of the problem area. That region is usually a nearby beach or some other area in which the user is not interested, or else an appropriate level of resolution would have been applied. However, the wave will move occasionally into deeper water, and the down-wave area can become quite large.
Our work-around is to enable wave refraction only in the regions where we have sufficient resolution of the bathymetry. Note that it is only appropriate to disable the wave refraction after we have verified that it can be ignored in parts of the computational domain. The user should first run SWAN with refraction everywhere, and then see where it should be turned off.
anywhere in the control file. This will tell SWAN that we want wave refraction to be disabled during its computations.
Running adcprep to decompose the mesh and copy the SWAN control file into the local PE directories. Assuming that adcprep has been compiled for use with the coupled model (as described in step 4 in “How to Compile and Run SWAN+ADCIRC”), it will prompt the user for the name of the file (fort.26) and then copy that file into the local directories. Each compute core now has its own copy of the SWAN control file.
Using the Fix26.f90 program to enable wave refraction in your region of interest. This program will prompt the user for a lon/lat box, inside which it will enable refraction. The program reads the local mesh (fort.14) and SWAN control files (fort.26), and it checks to see if the local mesh is contained fully within the user-specified lon/lat box. If it is, then the program will remove the OFF REFRAC line from the SWAN control file, thus enabling wave refraction on that local sub-mesh.
Updated 2010/02/11: The work-around described above is effective, but it does change the solution depending on the domain decomposition. If the mesh is decomposed over a relatively small number of cores, then relatively few of the local sub-meshes will be contained fully within the northern half of the Gulf of Mexico, and thus wave refraction will be enabled sporadically. And, obviously, a serial simulation would have to disable wave refraction everywhere. For those reasons, I have added wave refraction as a nodal attribute in the fort.13 file, as described below.
Enabling the wave refraction in the global SWAN control file. SWAN considers wave refraction by default, so there is no change to the fort.26 file. This will tell SWAN that we want wave refraction to be enabled during its computations.
and it is a scalar quantity (so only one value at each node). It is recommended that unity by the default value, and then the user list nodes where the non-default value of zero be applied. In this way, wave refraction will be enabled in the densest, highly-resolved regions of the mesh, and disabled elsewhere. You can use the Fix13.f90 program to add wave refraction to an existing nodal attributes file.
Running adcprep to decompose the mesh and copy the SWAN control file into the local PE directories. Assuming that adcprep has been compiled for use with the coupled model (as described in step 4 in “How to Compile and Run SWAN+ADCIRC“), it will prompt the user for the name of the file (fort.26) and then copy that file into the local directories. Each compute core now has its own copy of the SWAN control file, and the new fort.13 file will be decomposed onto the local sub-meshes. Then you are ready to go.
The following image depicts a possible setting of wave refraction for this application. The default value of unity is applied throughout the northern half of the Gulf of Mexico, so that wave refraction is enabled where the highest resolution is located. But wave refraction is disabled in the rest of the domain by applying a non-default value of zero.
Example of enabling wave refraction only near the region of interest in the northern Gulf of Mexico.
However, it should be noted that this last method is not the preferred way for the future. As our community moves forward with coupling, be it of waves, circulation, sediment transport, etc., it will become even more important that we design our meshes to resolve all of the physical features in all of the model components. Mesh resolution that is appropriate for one model component may be too coarse for another component.
Significant wave heights (m) during Katrina (2005) when wave refraction is enabled only in regions with sufficient mesh resolution.
When compared with the animation above, this animation is a much better representation of the wave behavior during Katrina. Waves are generated in the deep Gulf as Katrina moves through the system, propagate onto the narrow continental shelf near the bird’s foot of the Mississippi River delta, and then break due to changes in bottom friction and water depths. Wind forcing is only applied in the Gulf of Mexico, and that is where the majority of the action is contained. When wave energy does escape the Gulf, it does not refract around shallow peaks in the bathymetry and cause problems throughout the rest of the domain. | 2019-04-19T10:50:05Z | https://ccht.ccee.ncsu.edu/wave-refraction-on-coarse-meshes/ |
With a double whammy of a brand new platform and a record-breaking haul of 43 products to test, the VB test team had their work cut out this month. John Hawes has all the details of how the products fared on the shiny new Windows 7 platform.
So Windows 7 is finally with us. The hordes of users and admins who have put off migrating away from the stalwart XP can breathe a sigh of relief and finally start using a modern operating system. Vista can be consigned to the scrap heap of history, with the best of its innovations living on in it successor and the rest swiftly forgotten.
Perhaps that’s going a little far; as a new and untried entity, Windows 7 will at least have to do a little work to earn the approval and trust of cautious users. Initial impressions have generally been fairly positive, with speed, stability and style impressing many early adopters. Some teething problems were noted with many security products, but that was way back at the public beta stage and by now they should all have been resolved. We can only hope as much anyway, as this month’s comparative takes place on the new platform, with the deadline for product submission having been just days after its official public release.
Unlike the general consensus elsewhere, our initial impressions of Windows 7 were not entirely favourable. A trial installation of the Ultimate edition – to see how it got on with our hardware and tools, and to get a feel for what changes we needed to be aware of – proved somewhat problematic. A troublesome install process finally got us to a fully operational set-up, but Explorer seemed prone to odd behaviour, displaying only blackness within its shimmery semi-transparent framing until the right combination of clicks restored it to life. Meanwhile, the first blue screen was achieved within half an hour of installation.
Fortunately, the Pro edition selected for our tests proved more robust and well behaved. Getting all our test systems installed, activated and backed up with images was not an arduous task, with most of the steps fairly standard (although finding our way to some of the configuration controls proved a little bewildering thanks to some unnecessary adjustments to the layout).
With our lab hardware fully supported from the off, few changes were required to the standard installation besides a couple of handy tools to be used during testing – an archiving package to access submissions sent as archives and a PDF reader to check out manuals in case of unclear or unfamiliar products. Being rather simple folk easily overwhelmed by fancy graphics, we opted to revert the display to the plain, unflashy ‘classic’ style, intending to check out each product in the context of the snazzy ‘Aero’ options briefly, just to make sure they didn’t look too out of place.
Getting the test sets and associated tools put together and onto the systems was also a relatively simple task. The test set deadline was 24 October, and the latest WildList available on that date, the September list, provided few surprises. The most dangerous of the Virut strains which rocked the last comparative was retired from the list, and our troublesome large set of samples thus removed to the polymorphic set. Additions to the WildList were dominated by online gaming and social networking threats, along with a sprinkling of autorun worms and Conficker variants. The polymorphic set was enlarged in terms of numbers of samples, but not greatly in terms of entirely new items, while the set of worms and bots was trimmed of some older items and enhanced with a selection of more recent arrivals. As usual, the trojans set was compiled entirely afresh, mostly with samples gathered during September while we were busy working on the last comparative. The RAP sets were populated as usual in the few weeks before the test, and in the week following the 28 October deadline for product submissions – meaning that testing could not start until well into November.
The deadline day proved a busy one, with products coming in thick and fast – a few new arrivals to spice things up, the usual flood of familiar faces, many of them providing both suite and AV-only variants, and one even submitting a free edition alongside the standard paid-for version. Many of our occasional entrants failed to materialize, perhaps put off by the potentially tricky new platform, but nevertheless the numbers stacked up to a monster 43 products. With a record field to test on what was likely to be a difficult platform, we knew that time would be against us.
Noting this time pressure, and having put together a fairly large and challenging set of infected samples to test against, we decided to make things extra hard for ourselves by expanding and deepening our performance tests. The standard speed sets were enhanced with a selection of files from the new operating system, while the clean set got a fairly large addition from CDs provided with hardware devices and magazines, and popular and recommended downloads from various software sites.
The speed tests were extended to take into account the performance-enhancing caching technologies included in many products these days. While in the past only one set of figures was reported for default handling of the speed sets, for this test we decided to include both ‘cold’ and ‘warm’ figures – that is, for the initial encounter with the files, and for subsequent rescans of the same items, measured multiple times and averaged to minimize anomalies. These measurements were taken both on access and on demand, although the on-demand figures are perhaps somewhat less useful – most products will have been updated at least once between on-demand scans of the same items, which should mean that any cached data should be purged and items looked at afresh in case improved detection powers lead to something being spotted. The on-access data is much more relevant, as files may be accessed numerous times between updates and checking known files faster will significantly reduce the system footprint of the security solution.
We also introduced an update to our on-access measuring tool, opening files with the execute flag set to spark detection in a fuller range of products, and also taking MD5s of each file encountered and granted access to, in order to keep better track of unwanted changes to the testbeds. During testing we also gathered some more detailed performance measures, including records of CPU and memory consumption under various conditions, but given the heavy workload this month it was not possible to wrestle these figures into presentable shape in time for inclusion in the final report.
With all these schemes ready to go, and a tally of 43 products to get through, we shut ourselves away in the lab ready for a long and arduous, but what we hoped would be a productive month of testing.
AhnLab’s offering kicks off this month’s review with few changes from its last few appearances. The installation process is fairly smooth and speedy, with minimal interruption from Windows 7’s UAC system – a single prompt for confirmation on commencing the install. The interface is fairly pleasant and reasonably usable, with a few quirks likely to fool the unwary, but generally simple to navigate and operate. Running through the tests proved unproblematic, although matters were slightly complicated by the separation of logging into items categorized as mere ‘spyware’ from those definitely malicious. After some careful merging of logging data some reasonable scores were recorded across the detection sets.
In the speed tests, scanning speeds were pretty decent but on-access overheads were a trifle heavy. No false positives were recorded, but in the WildList set a single sample of the last remaining W32/Virut strain was missed, thus denying AhnLab a VB100 once again.
This may be the last appearance in VB’s tests of the current version of Alwil’s popular avast! product, with a long-anticipated new edition due for release very soon. The install is uncomplicated and fairly speedy but does require a reboot of the system to complete, while the design of the interface remains somewhat unusual but provides a good range of fine-tuning for the more demanding user if switched to the advanced version. Running individual scans is a little fiddly, and logging can be problematic – initially limited to a fairly small size and, if a non-existent folder was mistakenly selected to write logs to, the process was silently disabled.
Detection rates were pretty solid across the test sets, with a steady decline as expected across the RAP sets but a strong starting level making for a very respectable overall average. Speeds were excellent, with some impressive improvements on access when files had been checked before. The WildList presented no difficulties and with no false positives either, Alwil earns this month’s first VB100 award.
It has been a while since ArcaBit made an appearance in VB100 testing. The product’s installer defaults to Polish, but is otherwise straightforward and very speedy, the installation process requiring less than a minute all told (although a reboot is required at the end). Running the tests proved a little more arduous, with multiple UAC prompts presented at various stages of accessing and adjusting the controls and extremely long pauses waiting for browser windows to be presented. Nevertheless, scanning speeds were decent – fast on demand and overheads not too heavy on access.
Detection rates were not bad in general. There was a marked decrease in coverage in the more recent weeks of the RAP sets, but the WildList was covered without problems despite the large numbers of previously unseen Virut samples. With the clean sets throwing up no show-stoppers either, ArcaBit earns its first VB100 award after a handful of sporadic appearances; we hope to see the product becoming a more regular entrant in the future.
Authentium’s product goes very much for simplicity, with a pared-down interface providing the bare minimum of control options, all of which are reasonably easy to find. Opening reports proved slow in the extreme, most likely thanks to the unusually large size which would not be experienced by normal users, but otherwise testing progressed without major difficulty.
Scanning speeds were on the good side of medium and pretty light in terms of on-access overheads. Detection scores were fairly decent, with an especially strong showing in the proactive week of the RAP sets, and with no problems in the WildList and no false positives, Authentium safely qualifies for a VB100 award.
AVG’s product had a very lengthy and complicated installation process, with numerous components to be put in place and configured. When the product is finally installed, it demands to be allowed to make an ‘optimization scan’. If delayed, this scan is run anyway before any scheduled scan can take place – as we discovered when we set a scheduled job to run overnight, only to find on arrival the next morning that the optimization process was still running, and the requested job was yet to begin. Perhaps not helped by the incomplete optimization process, on-demand scans showed no sign of speeding up when run again over previously scanned data, and on access only a minimal improvement was observed on revisiting previously scanned files.
The interface occasionally proved rather slow to respond, especially when updating its display during large scans, but was generally reasonably easy to navigate, and a decent although not exhaustive level of configuration was available. Detection results were pretty solid, with no problems in the WildList and an excellent showing in the reactive portion of the RAP sets. With no false positives in the clean sets either, a VB100 is duly earned by AVG.
Perhaps responding to the increased interest in free solutions of late, Avira opted to enter its free version in this month’s test, and the product did not disappoint. The basic design and layout was pretty familiar to us from having used the professional edition, with a few minor adjustments, starting with the personal usage terms and conditions presented during the snappy install process. A few other areas also seemed different, with the default scanning depths perhaps a trifle less strict, and the on-access scanner lacking an option to simply block without prompting for an action. In the on-demand area, the GUI seemed to provide no option to scan a folder, offering to scan only entire drives or partitions, but a context-menu scan option provided more flexibility. These issues proved a little frustrating during our intensive on-access test, but not too upsetting, and otherwise the depth of configuration proved admirable.
Performance was excellent, with some very fast scanning speeds both on access and on demand, while detection rates proved as splendid as we have come to expect from the company. The test sets were demolished without apparent effort, with even the proactive portion of the RAP sets handled impressively. With no problems in the WildList, and no false alarms, Avira’s free Personal edition comfortably earns its first VB100 award.
The full paid-for version of AntiVir, as mentioned above, is pretty similar to the free one on the surface, but with a wider range of options and a deeper level of control available. The set-up process is similarly simple although some post-install options are presented, including some extras such as detection of suspicious iframes. Logging is also clearer and more sophisticated than in the Personal edition, as befits a product intended to be put to use in a business environment.
Otherwise, little difference was observed – detection rates were identical to the free edition, while speed measures were as superb. Again no problems emerged in the WildList and no false positives were presented, and Avira adds a second VB100 to this month’s haul.
BitDefender’s 2010 edition provides another redesign and another unusual look and feel. The install process is rather lengthy and features a number of command prompt windows flashing into view and disappearing again in an instant. A reboot is needed to complete the process. The new GUI has a simple, straightforward, rather chunky appearance, with the layout variable for each of a selection of user profiles – an interesting and effective approach to allowing the advanced user a decent level of control while avoiding frightening the novice. A number of other interesting features are included, such as home network configuration controls, vulnerability management and system configuration options, alongside the core anti-malware protection elements which proved as solid as ever.
Detection rates were excellent across the test sets, while in the performance measures scanning speeds proved fairly slow on first sight of files but improved notably on revisiting them, with a particularly impressive improvement on access. The WildList was handled comfortably, and with no false positives BitDefender earns a VB100 award.
Incorporating the BitDefender detection engine, Bullguard’s product proved much faster and easier to install, but again a reboot is needed for full operation. Its overwhelmingly red interface felt a trifle cluttered, but with a little exploration proved nicely laid out and fairly simple to use – although the process of setting up and running a custom scan is a little long-winded, and requires the approval of a UAC prompt.
Detection rates, as expected, were along the same lines as those achieved by BitDefender – a very respectable showing – while in the speed tests medium rates were recorded with no change on second viewing of the files. No problems cropped up in the WildList or the clean sets, and a VB100 is duly earned by Bullguard.
CA’s home-user offering arrives following a major overhaul, with a redesigned interface promising some stylistic innovations. The installation begins with some extremely large icons, and after a long and slow process requires a reboot before presenting a final interface which is equally large-featured. The design is indeed unusual, with its swirling 3D tabs and icons apparently inspired by computer systems used on the TV show CSI: Miami. Clearly, it is intended to provide a simple and user-friendly experience for the most inexperienced users. For us, however, it proved baffling in the extreme, with the tiny amount of configuration available proving both tricky to find and perplexing to make use of; perhaps with experience its mysteries will be unravelled.
An attempt to run scans from the GUI – when the appropriate area was at last uncovered – proved very slow to access the filesystem browsing details. A context-menu entry is provided for simpler initiation of specific scans, but is also somewhat confusing, with multiple nested options and the option to exclude an area from scanning given prominence over the scan itself. Scanning speeds seemed remarkably fast – as we have come to expect from CA solutions – but on repeated attempts showed some worrying oddities. Most rescans proved slightly faster than the first attempt, as might be expected, but some were significantly slower and apparently scanning at a greater depth (with no change to the options). On one occasion a component of the useful Sysinternals suite was alerted on as a potential hacking tool, despite having been missed on two previous scans and going unnoticed again on two subsequent runs.
In the infected sets, detection was less than excellent, with three items in the WildList set not detected: an autorun worm and a pair of online gaming password-stealers. Furthermore, while running the performance tests a .DLL file included with the Windows 7 operating system (in the system32 folder) was alerted on as a ‘Startpage’ trojan; CA’s new-look product is thus denied a VB100 award this month.
UPDATE: re-analysis of the false positive alerted on by CA Internet Security Suite Plus 2010 was carried out, and it was found that while the false positive existed in the installer submitted by the company, it was no longer present in the updated definition set also included in the submission. As users would be updated to the fixed protection level prior to running any scans, the issue should not emerge in the real world. As the product is confirmed to have also had problems in the WildList set, this will not affect qualification for a VB100 award. The revised RAP graphic is shown below.
According to the vendor, CA’s business product is no longer to be referred to as ‘eTrust’ – but despite this it continues to carry ‘eTrust’ branding at various points and persists in using a rather old-fashioned and less than satisfactory interface. However, we understand that the long-awaited redesign is on the horizon at last.
We have learnt through long and painful experience how to cope with the quirks and oddities of this product’s layout, although the responsiveness issues noted in previous tests were less evident here than on some other platforms. Some particular areas of frustration remained, including the reverting of some option selections from scan to scan, the absence of archive scanning on access despite the provision of a setting to enable it, and the awkward logging which put such a strain on the interface trying to interpret and display the data that on one attempt the machine overheated and rebooted.
Eventually, though, it did manage to display its own logs in a fairly usable format – a first for the product – and detection rates seemed somewhat better than previous rather disappointing levels. However, despite the autorun worm being handled properly this time, the two gaming trojans were missed once again. In the clean sets there was no sign of the false positive found by the consumer product, but nevertheless, CA’s business solution is also denied a VB100 award this month.
The Blink product submitted for this month’s test is a late-stage beta, due for final release around the time this review will be published, and thus a few oddities are only to be expected. After a fairly straightforward and reasonably pacey install process, some areas of the nicely designed interface failed to operate properly, presenting some rather stark messages reading simply ‘Parameter is incorrect’. However, after a reboot, and with some patience, testing was completed without serious problems. We noted that the firewall bundled with the product is disabled by default, but some of the other additions, such as the vulnerability scanner and intrusion-detection controls, impressed us greatly. The anti-malware component is only a minor part of the offering, and is thus granted less space in the configuration areas than might be desired by more demanding users.
The product incorporates the Norman engine, and the implementation of sandboxing of unknown files may well account for some rather sluggish scanning speeds over executable files on demand. The sandbox came into its own in the detection tests, with the on-demand results proving rather better than the on-access ones, where less intensive scanning is provided. This was something of a problem for eEye in the WildList set, though, where a handful of W32/Virut samples were missed by the on-access component, although spotted by the sandbox on demand. In the clean sets, the same .DLL file which caused trouble for the CA consumer product was alerted on. Thus, despite a generally solid performance, eEye does not qualify for a VB100 award this month.
The latest version of eScan has another rather lengthy installation process with a number of long pauses, and a reboot to cap things off. When up and running, the interface proved somewhat poorly laid out but fairly usable with a little practice. Once again there were problems accessing browser windows when setting up scans. The product includes a number of extra features, including controls for managing removable USB devices and application control.
During the process of running some of the more demanding scans of the infected sets, an error window was presented, warning the user that the product had stopped working. However, scanning seemed to continue unimpeded and further investigation showed that on-access protection was also fully operational. Scanning speeds in the clean set were slow in the extreme, with no sign of speeding up on repeated runs, but the product remained solid and well behaved throughout. Detection rates continue to impress with strong scores across all sets, and with no issues in the WildList or clean sets a VB100 award is well deserved.
ESET’s product remains much as it has been for some time: pleasantly designed with an efficient and lucid layout. The install process is simple and needs no reboot, and protection is up and running with ease. Configuration is as in-depth as could be desired, although options to enable the scanning of archives on access seemed to produce no increase in scanning when enabled.
At one point during the most intensive scan of the infected sets the product became a little overwhelmed, consuming rather more than its share of memory and requiring a reboot to return the system to a functioning state. In more normal activities no problems were observed however, with scanning speeds unaffected by repeated runs but fast enough to be beyond complaint. Detection rates were very solid, with a commendable regularity across the reactive part of the RAP sets and still fairly strong in the proactive portion. With no trouble handling the WildList or clean sets, ESET adds yet another VB100 award to its tally.
FortiClient proved a little tricky to install on Windows 7, with two UAC prompts before the installer got started on a process doomed to fail very shortly. Re-running the installation numerous times while applying varying options to the useful compatibility troubleshooting tool provided by the operating system eventually got things rolling. When the product was finally installed and running the interface offered excellent clarity of design and a fairly thorough selection of options – appropriate for a predominantly business-focused solution. One issue observed with the GUI was that the ‘restore defaults’ control failed to reset changes made in advanced subsections.
Scanning speeds were in the mid-range, but stability was maintained even under pressure and detection rates showed notable improvement over recent tests. No issues were observed in the WildList or clean sets, and a VB100 award is duly earned.
F-PROT continues to offer icy minimalism, with a swift and straightforward install process impeded only by a single UAC prompt and the need for a reboot to complete. The interface provides few options but caters for the basics in an admirably clear way. Scanning speeds were fairly reasonable but showed no sign of advanced caching of known-clean files, and detection rates were decent but not overly impressive.
With full coverage of the WildList set and no false positives, F-PROT also earns a VB100 award this month.
F-Secure’s latest product version features a notable redesign, starting with a heavily automated install process requiring minimal user intervention – even offering to remove any existing protective solutions – but taking some time and needing a reboot. On restarting the system a notable heaviness was apparent, with Windows taking some time to come back to life, and a number of large and intrusive pop-ups from the HIPS system warned of potentially unwanted behaviour on the part of several standard Windows components, including the Malicious Software Removal Tool (although such behaviour may have been influenced by the lack of an Internet connection to check with cloud-based systems).
Our first attempt at running the test proved fruitless as the on-access component appeared completely non-functional, but on reinstalling on a second test machine the issue did not recur. Once everything was working properly testing proceeded without further interruption, with some fairly decent scanning speeds and splendid detection rates. Even the highly inefficient and precarious logging system proved more reliable on this occasion. There were no problems in the WildList and no false positives in the clean sets, and as a result a VB100 award is easily earned.
F-Secure’s second submission this month is the company’s rebrandable version provided to users via ISPs and so on. It is fairly similar to the 2010 version in design and user experience, even down to the annoying pop-ups warning about Windows components. Scanning speeds were similarly reasonable and detection rates likewise excellent, and with an identical showing in the core sets a second VB100 award goes to F-Secure this month.
G DATA’s 2010 edition has a rather higher than usual number of steps to its installation process, including the set-up of the malware feedback system for reporting detections back to base. The latest version of the interface is clear and uncluttered with a pleasantly logical layout. Configuration is made available at a reasonable depth – with some more specialist requirements perhaps missing, but quite ample for the average user.
A few oddities were observed, with the most notable examples being a somewhat low default limit on archive scanning (300KB) and the intrusion of a UAC prompt before any on-demand scan can be run. Logging is also a little frustrating, with reports stored in an awkward format which proved something of a strain for the product to interpret into human-readable form if allowed to grow too large. Initial scanning speeds were fairly slow, as expected from a multi-engine approach, but on repeat viewing of previously seen files speeds proved lightning fast, with the same pattern of improvement showing again in the on-access tests, demonstrating some sterling effort at keeping overheads down through caching.
Detection rates, as we have come to expect from G DATA, were stratospheric, setting a seriously tough benchmark for others to aim for across all the sets, with even the proactive portion of the RAP sets handled admirably. With barely a whisper of a miss in the standard sets the WildList proved something of a breeze, and with no false alarms either G DATA easily earns another VB100 award for its effort.
K7’s installation process is nice and speedy, with a single UAC prompt at the start, a standard set of stages including a check for conflicting third-party software, and no reboot required. The interface is simple and pleasant, providing an ample level of configuration for the average home user in a rational and usable layout. Logging was a minor problem, with the viewer window freezing on attempting to view unusually large logs, but this minor issue is unlikely to affect the majority of users. The only other oddity observed was the occasional zero missing from scan duration times, which was no more than a little confusing.
Detection rates proved pretty decent, with most of the older sets handled with aplomb and a decent score in the trojans set, while the RAP scores proved a little uneven, with the ‘week +1’ set handled marginally better than the ‘week -1’ set. The WildList presented no difficulties however, and with no false positives in the clean sets either, K7 wins a VB100 award and our gratitude for a nice easy run through the tests.
Kaspersky’s latest consumer offering is as glossy and shiny a beast as ever; the install is no slower than the average and getting at the new-look interface didn’t take long. The redesign caused a few moments of confusion on first approach, but soon became familiar and simple to use. A vast wealth of fine-tuning options are provided under the attractive surface, including some interesting features like the keylogger-proof ‘virtual keyboard’.
Scanning speeds were pretty slow in some areas, especially over the sets of media and documents which most products fly through. While they did show some signs of improvement on second and subsequent attempts, the rescans still took a long while.
On the other hand, detection rates proved superb pretty much across the board, and with no issues handling the core sets and no false alarms, Kaspersky comfortably earns a VB100 for its 2010 edition.
Kaspersky’s second offering this month has a slightly more businesslike name and is presumably a corporate version, but in look and feel it is not so very different from the home-user edition – somewhat plainer perhaps, and with some of the advanced features absent. Again the wealth of configuration options is a pleasure to behold and the user experience is extremely smooth and trouble free. Scanning speeds were much faster this time too, and showed signs of considerable improvement on repeat attempts thanks to the ‘iSwift’ and ‘iChecker’ technologies mentioned in the control system.
Detection rates were excellent in all sets, and no problems were encountered in the certification requirements, thus earning Kaspersky a second VB100 award this month.
Kingsoft’s Advanced edition has a fairly straightforward installation process: fast and unchallenging with only the mention of cloud-based intelligence worthy of comment; no reboot is required to complete. The interface is simple and unflashy, presenting all the required controls without fuss but occasionally looking a little sparse thanks to the use of some rather odd fonts.
Logging proved sturdy and responsive – something of a rarity for this month’s test and certainly worthy of praise. Scanning speeds were middle of the road and detection rates proved rather unpredictable, with problems being caused by both polymorphic viruses and samples that were less than a few weeks old. No such issues were encountered in the WildList however, despite the Virut strain in there, and with no false alarms generated either, Kingsoft earns a VB100 award for its Advanced edition.
Kingsoft’s Standard version is, as usual, identical to the Advanced edition – on the surface at least. In the past we have noted a sizeable speed difference between the two, but this time the two performed much on a par with each other. In terms of detection, however, a fairly major difference was observed, with much lower scores here in the trojans and RAP test sets – once again seeing that rather surprising jump up and down across the RAP weeks – and a similar level of polymorphic misses too. However, with no issues in the WildList and no false alarms, Kingsoft’s second entry also makes the required grade for a VB100, which is duly awarded.
Kingsoft’s ‘Swinstar’ version is apparently a preview of upcoming technology, and is indeed quite different from its predecessors in many respects, starting with an installer package of not much over half the size of the previous two versions. The install is even faster and simpler, and the interface a little more glitzy and stylish but still fairly simple and easily navigated. More sensible default settings and a greater range of configuration are available. Scanning speeds are also a little better.
Again no false alarms were generated in the clean sets, but in the WildList set a single sample out of several thousand of the W32/Virut strain was missed, thus denying Kingsoft the chance of a hat trick this month.
McAfee’s home-user product was one of several this month which required Internet access during the set-up phase; in this case, not only do updating and activation take place online but so does the entire installation process. For me this would be entirely unacceptable; the several systems I use for my own purposes are all regularly reimaged to a known-clean state, and wherever possible I scrupulously avoid connecting to the web until security is installed and active (preferably fully updated too). It could, of course, be that I have grown paranoid from long experience in the security industry and exposure to too many scare stories, but such factors seem not to have influenced the designers at McAfee.
Once the product is installed, after a fairly drawn-out process, it presents a rather drab, grey outlook on the world which the test team found rather depressing. Although well stocked with buttons to click, the product provides virtually no control over its behaviour, merrily skipping through our test sets deleting and disinfecting samples without hesitation or approval. Again this would be less than ideal for my personal needs – fear of false positives and sloppy disinfection of precious files makes many users prefer quarantining and manual checking before any permanent damage is done. Logging also proved an issue, capped at a very small fixed level which cannot apparently be adjusted, so although the product reported having spotted and destroyed numerous files and threats, it could provide no details of what it had done and where.
Scanning speeds were mediocre and showed no signs of improvement over time, but we finally got through the test. Numerous reboots were required as, lacking the ability to disable the protection, we were forced to boot into another operating system to replace destroyed sets. Results were obtained by laboriously checking the files left behind on disk and counting only those left in place unchanged as misses. A satisfactory level of detection was observed, solid across most sets. The WildList presented no difficulties and there were no false alarms, so McAfee’s consumer offering is adjudged (just about) worthy of a VB100 award.
The VirusScan product for the corporate market has a much more grown-up attitude to its users, providing a more solid and sensible approach. The installation process is simple and clean, with the offer to disable Windows Defender a highlight, and the product itself is similarly businesslike, unflashy and properly thought out.
It ran through the tests in good time without problems, showing excellent stability and general good behaviour throughout. In the final verdict it actually scored slightly lower than its wayward consumer sibling in the newer test sets, thanks to the daily offline updater being plucked somewhat earlier than we were able to install, update and snapshot the total product, but scores remained pretty decent. The WildList proved not much of a challenge, and with no false alarms VirusScan ably earns itself a VB100 award and much gratitude for a relatively painless experience.
The Forefront product requires a rather complex install process thanks to our hermetically sealed lab, with multiple reboots to get the various components in place. This non-standard set-up prevents us from properly commenting on the process as would be experienced in the real world. Once up and running however, the product is pleasantly simple to use, the very minimal configuration provided making for light work as no in-depth measurements could be taken.
Parsing the results, we saw some pretty decent scanning speeds and fairly lightweight on-access figures, with a very noticeable increase in speed once files had been initially processed and remembered. Detection scores were a little less pleasing though, with levels much lower than expected in most areas. Thinking at first some error had been made when applying updates, the tests were re-run but the same results were obtained. On checking the version information displayed, the updates appeared to be from several days prior to the deadline for the test – suggesting that the wrong updates had been included with the submission. With a number of W32/Bagle samples recently added to the WildList not detected, Forefront is regrettably ruled out of contention for a VB100 award this month.
UPDATE: After closer analysis, it was spotted that Microsoft Forefront Client Security had not been run with the default settings, as per the standard procedures of the VB100. When tests were rerun with the correct settings the product was found fully capable of detecting all samples on the WildList, and a VB100 award is thus awarded to the product retrospectively. Detection scores in the trojan and RAP sets were also affected by the adjustment, the revised RAP graphic is shown below.
Microsoft’s new, free home-user solution was reviewed in these pages just last month (see VB, November 2009, p.18), so its layout and usage provided no surprises. The design is simple but perfectly workable, with enough options and sensible default behaviour to satisfy our requirements comfortably. It ran through the test without hindrance or upset, running for what seemed like a rather long time over the infected sets, but which would later prove to be not so bad compared to some others in the field this month. In the proper speed tests, rates were pretty impressive, with some good use of caching to lighten on-access overheads once files had been confirmed safe.
After the problems noted with the corporate product there were some worries about detection rates, but clearly the submission for the Security Essentials product had been made more carefully; scores proved very solid indeed, with a very gentle decline across the RAP sets and a fairly sharp drop in the proactive week but remaining highly competitive. False positives being absent, and the WildList handled ably, Security Essentials comfortably takes its first VB100 award.
This was Nifty’s second appearance in our tests, and once again the product was only available in Japanese. Installation proved fairly simple – a little slow, but running through the familiar gamut of steps before demanding a reboot. With the GUI still trying to summon some of its display fonts from the operating system (where they were sadly not to be found in our test set-up) navigating proved somewhat difficult, especially since the guides provided by the developers on the previous occasion had been rendered out-of-date by changes to the interface and the operating system alike.
Nevertheless, we bravely soldiered on, eventually obtaining results through various techniques after one of the longest spells spent on a single product in VB100 history. Scores, as expected from the Kaspersky engine incorporated into the product, were pretty decent. Speeds were somewhat sluggish on first attempt but, as we had surmised they might be, considerably quicker on repeated scans. Easily satisfying the technical if not aesthetic demands of the VB100, an award is duly earned by the Nifty Corporation.
Norman’s suite solution has caused a few headaches in the past, and we were most grateful to see a considerably redesigned version submitted this month. The new version, after a very speedy install indeed, proved much more useable, stable and responsive, although the apparent absence of the ability to run a manual scan, either from the GUI or the context menu, set things back a little as well as provoking some bewildered amusement.
Another issue which seemed to defy all logic was the scheduled scan, confidently timed for late on a Friday night so that the bulk of the scanning would be complete by Monday. On arriving back after the weekend, we found the scan had uncovered an item of potentially aggressive commercial software early in the job, and had sat waiting for instructions for two days without continuing its scanning, leaving the vast bulk of the scheduled job still to run.
Having shaken our heads a little at these quirks, we did eventually manage to gather the required data, which showed some solid scores, aided by the sandbox. However, as expected after having seen the results of the Blink product, there was a slight failing on access with the Virut samples, although on-demand coverage was better. This was enough to deny Norman a VB100 award this month.
PC Tools’ product range has had a pretty shaky time in recent VB comparatives – seemingly coinciding with the company having been taken over and the product ceasing to incorporate a third-party engine. Running through the familiar installer, which took rather a long time and needed a reboot to finalize things, we were a little worried that nothing had changed this time, but running through the tests on the top-of-the-range Internet Security suite product proved much more satisfactory than on the last few occasions, with no problems with stability or bad behaviour of any kind. The interface, which has become more usable through familiarity and seems pretty much unchanged since the last submission, is fairly appealing and has a decent range of controls, most of which are sensibly located and labelled.
Under the hood though, it is clear that some great strides forward have been taken. Above and beyond the solid stability, detection rates have soared since the rather pitiful efforts of just a few months ago, possibly aided by the experience of the company’s new owners, and in the main sets – particularly the trojans – some truly excellent scores were achieved. The RAP sets were also handled fairly well, steady across the reactive weeks and with a steep dip into the proactive set, but overall not bad at all. Scanning speeds were somewhat mediocre, and especially slow handling .JAR archive files, but the WildList was handled impeccably and without false positives PC Tools is firmly back in the VB100 award winners’ camp.
The second PC Tools entry this month is essentially the same as the suite product minus a few of the extras, and has the same fairly slow installation process, punctuated this time by the offer of a Google toolbar. The product also presents a very similar-looking interface. This time, however, all was not so well, with the first install seeming to have a partially functioning on-access component. While malicious code was detected on execution, the on-read and on-write protection boasted of in the interface appeared to be completely absent, despite numerous restarts and adjustments of the settings. Finally, however, the right combination of clicks managed to get it up and running, and on a second install on fresh hardware it seemed happier to start of its own accord.
Scanning thus proceeded without further interruption, with the same excellent detection rates as the IS product, and also the same fairly slow scanning times. The core requirements of the VB100 were easily satisfied, and a second award is thus earned by PC Tools, along with some compliments on the developers’ sterling efforts at improving the product.
A newcomer to this month’s comparative, Preventon provides its own version of a third-party engine which appears generally to be sold via ISPs and other rebranding sales channels. Our first impressions were good, with a nice, simple install process, and a well-designed GUI aiming firmly for the simple end of the market. The simplicity did nothing to impair performance or usability however, with a sensible set of defaults and a sprinkling of useful controls that were easy to find in the bright, colourful interface. One issue that did perplex us was the pair of arrow buttons provided, which we assumed would move us left and right through the tabs but seemed not to; we eventually divined that they were actually browser-style forward and back buttons rather than simple left and right.
This minor moment of confusion aside, a few problems with auto-quarantining – which slowed things down considerably in the larger infected sets – and limited logging were easily overcome with some advice from the vendor and a little care in running jobs, and results were easily acquired. Scanning speeds were fairly decent, and detection rates pretty solid, with a fair-sized decline in the more recent weeks of the RAP sets. Without false alarms and with complete coverage of the WildList, Preventon is a worthy winner of a VB100 award on its first attempt.
A second newcomer to this month’s test, and like the previous entrant Qihoo was a surprise last-minute appearance with a third-party engine (BitDefender in this case). Qihoo hails from China and, this being a fairly new product, the company has yet to translate its product interface into other languages. Aided by a thorough guidebook and a little inspired guesswork, the team found the install fast and simple and the interface clearly and rationally designed, allowing some options to be discovered simply through logic without recourse to understanding the markings.
Scanning speeds were no more than mid-range but detection rates, as demonstrated by other incarnations of the same engine, were splendid, with solid scores across the sets. The WildList and clean sets proved little problem bar a handful of files marked merely as 'suspicious', and Qihoo also makes the VB100 grade at first attempt.
Quick Heal’s product offers a pre-installation scan along with the usual set of steps, but is still in place in excellent time. The design is bright and eye-catching, the layout reasonably rational and not too tricky to find one’s way around, and a fair level of controls is provided for most needs, so testing proceeded apace.
Speeds were not as rapid as we have come to expect from the product in the past, but still perfectly decent, and detection rates were fairly decent too, with a steady decline observed across the RAP sets. The WildList and clean sets were handled well, so Quick Heal also wins a VB100 award this month.
With the latest edition of this product Sophos again introduces some additional functionality without noticeably affecting the user experience. In this case we understand that encryption features have been merged into the company’s corporate offerings, but after another fairly lengthy install process the interface seemed unchanged, at least at a cursory glance.
The GUI is simple and logical and presents an excellent range of options, as demanded by the product’s business audience – although some items, such as always scanning memory and boot sectors when running a manual scan, are tucked away in a super-advanced section alongside other controls of a far more technical nature. We noted a few quirks in the layout which had the potential to confuse, such as the separation of scan settings into two areas, and also spotted some disagreement in data presented when opening the scan interface part-way into a running scan. While the newly opened scan window reported one set of figures, these seemed only to measure activity from the point at which the window was opened. Meanwhile, the display in the main interface offered a different set of statistics for the same scan.
These minor quibbles aside, scanning speeds proved pretty decent and detection rates solid. Detection rates were particularly good in the RAP sets where some excellent figures were noted, especially in the proactive set; we observed enormous numbers of detections being covered by a relatively tiny number of unique identities, so it seems like Sophos’s focus on generic coverage is paying dividends. With no problems in the WildList and no false positives, Sophos earns another VB100 award after a minor upset last time around.
Perhaps one of the most long-anticipated VB100 appearances, Sunbelt’s Vipre has been around for a few years now. The product was featured in a standalone review in these pages last summer (see VB, July 2008, p.16), and has been building a strong reputation for itself despite little participation in the standard tests. For some time we have been getting regular enquiries from our readers as to why Vipre has yet to appear in the VB100, and it is with great excitement that we finally get to record and report some results. Given the company’s marketing of the product as lightweight and easy on resources, we were particularly interested in its performance figures.
The installation process runs along fairly typical lines, at a rapid pace, but requires a reboot to complete. The interface is fairly clean and attractive and provides a reasonable range of configuration options, although we could not find a way to protect against more than the default set of file extensions on access – or indeed, to delve into archives on demand.
Stability proved solid though, and speeds were pretty decent too, with an impressive improvement on access once files had become known to the product. Detection rates were not bad either, with a few issues in the polymorphic set mostly explained by rare and obscure items not covered at all, and scores in the trojans and RAP set fitting into the better end of the middle of the field. The WildList proved no obstacle despite the set of tricky Virut samples, and with no false positives either Vipre earns a VB100 on its first appearance; we hope to see many more.
Unlike many of its competitors, Symantec continues to enter only its corporate product for most of our comparative reviews – although we do hope to see some more regular appearances from the ubiquitous Norton consumer solutions in future.
The corporate product is a little less sober and businesslike than it used to be. After a fairly unflashy, somewhat slow install which requires a reboot to complete, a curvy and colourful interface appears, with a fairly simple layout. Some in-depth configuration is provided in more serious-looking ‘advanced’ areas – although some administrators may wish for a little more depth. In places options need to be set multiple times for minor variations on the same theme, making the process of setting up an on-demand scan something of a chore.
We’ve noted before that scanning infected items can be rather slow with this product – something which may be due to the intensive logging that is carried out as scanning proceeds. Where many other products this month have frustrated us by limiting their logs to unusably small sizes, Symantec has gone the other way and provided almost 2GB of information for us to plough through. On one occasion we had a more serious issue with the logging system, when a scan seemed to get snagged somehow, spending more than 30 minutes on a single file. Rebooting the system seemed to clear the jam, but the product insisted that the scan was still running, and thereafter refused to add any information about more recent jobs to the history display system.
These were fairly obscure issues of course, that are unlikely to be encountered in real-world day-to-day use, and in the core data all seemed to be fine. Scanning speeds were pretty good, and on-access overheads excellent, while detection scores were splendid up until a fairly steep decline in the latest weeks of the RAP sets. No problems were encountered in the WildList or clean sets however, and Symantec duly earns another VB100 award.
Trustport’s installer follows the standard paths, with a few sidetracks for some set-up of the multi-engine system, and does so at a fair speed, finishing with a reboot. The multi-GUI control system is not best suited to UAC-affected systems, as numerous prompts for confirmation must be endured to access the various components, and again some problems were observed opening browser windows for on-demand scans, which could take an excessively long time. We also noted the system was quite clearly slower to come to life on reboot, and after a number of on-access detections there seemed to be some oddity with pop-ups, which kept reappearing at regular intervals long after they had been observed and acknowledged, even after the system was rebooted.
Scanning speeds were fairly sluggish, but in some areas did show some improvement the second time over the same files on access. On the positive side, detection rates were outstanding as usual, with the highest scores overall this month in the trojans set and no issues at all elsewhere. With the core requirements easily met, Trustport comfortably earns a VB100 award.
VirusBuster’s installation is fast and easy, although the interface when it comes up looks increasingly elderly and in need of updating. The design is somewhat clunky and unintuitive, with on-demand scans requiring repeated recourse to advanced tabs, which must be called up separately in each of the numerous stages. There are also a few snags and glitches in the display, with lines and text boxes overlapping and poorly laid out on screen.
Otherwise everything proved pretty plain sailing, with some fairly decent scanning speeds and reasonable detection rates too, declining steadily into the final portions of the RAP sets. The WildList and clean sets presented no difficulties, and a VB100 award is duly earned.
The final entry on this month’s monster roster of products, Webroot’s installation process kicks off with a very busy page covering registration code, EULA, install options and the offer of a (free!) Ask toolbar, all at once. The install process is then fairly brisk until a reboot is demanded, and some post-install set-up of community scheme participation is also required.
The product itself is slowly revealing its mysteries thanks to long exposure, but remains something of a challenge to navigate and control properly, with custom on-demand scans a particularly arduous chore. GUI buttons can take a huge amount of time to respond, particularly at the end of a scan when it sometimes feels like it would be quicker to allow the product to destroy our test sets than to wait for the ‘deselect all’ and ‘quarantine selected’ to respond – even with little or nothing selected. Logging is also severely restricted, although a custom fix from the developers provided us with a way around this. On-access scanning appears not to function on-read by default, with an option to enable it buried deep in the elaborate configuration structure. In most cases scores were divined by a mixture of logging and checking copied test sets for files either not written or allowed to write only after disinfection.
In the end, scanning speeds were fairly good. On-access overheads were heavier than expected, but detection rates pretty decent, as one would expect from the Sophos engine that underlies the product. The WildList proved no major challenge, and with no false positives either Webroot also takes away a VB100 award.
Crawling exhausted from the lab after our biggest month of testing ever, with a mind-numbing 43 products crammed into a mere three weeks of testing, we found it surprisingly difficult to draw any specific conclusions from such a large and varied set of data. As usual there were some excellent performances and some disappointments, some high scorers and some fast speeds counterbalanced by some at the other ends of both scales.
Generally we found Windows 7 a fairly amenable platform, afflicted by a number of fairly basic bugs which will hopefully be ironed out in the first service pack (which surely cannot be long in coming). Our poor test hardware, battered from some seriously heavy usage, began to show signs of wear, with some of the more heavyweight products causing one system in particular to overheat regularly. The range of products under test had few specific issues running on the new operating system, although a few had some problems getting installed and for many some more thought is needed as to how to interact with the UAC system less intrusively.
In terms of passes and fails, this has been a good month for most products, with a fairly small number of false positives – perhaps thanks in part to the tightening of our own rules concerning what is considered ‘fair game’ for the clean sets. The WildList, despite more rapid changes in its makeup, presented few major challenges, but continues to be a good gauge of which products are consistently up to the mark. Some further improvements to the complexity of the list are expected soon, which should make it a much more complete and challenging measure. We had a number of new faces in the test this month, several of whom will be able to present themselves to their customers with certain proof of their bona fides – a valuable thing in these days of rogue products flooding the Internet with their deceitful claims.
What issues were observed with products mainly confined themselves to frustrations and irritations rather than outright show-stoppers. Curious and inexplicable time lags were frequent, especially when trying to browse local filesystems, and many of the interfaces proved far less responsive than most users will accept. With a mix of corporate and consumer products being tested, we saw some vast differences in the approach to user interaction, with many at the home-user end trying to take responsibility and control away from the user entirely – an approach which seems to limit their market somewhat to only the least engaged audiences.
One of the biggest issues we had this month was with logging, with problems arising both from the lack of complete data and data being obscured and/or encrypted. Some products which store their data in proprietary formats and rely on parsing and processing raw data into humanly readable forms can easily get overwhelmed by logs over a certain size. Meanwhile, others seem to think it acceptable to simply destroy any data once a certain size threshold has been reached; if software has been doing things to my computer, I want it to be able to tell me about it and account for its activities, whether or not it has been busy doing other things since. Aside from this worry, it renders testing rather difficult, and we may have to impose some stricter requirements on logging provision for future comparatives.
Something else which will have to wait is the introduction of our additional performance measures. A vast horde of data was gathered during this month’s test, but as deadlines closed in on us and the slower, more recalcitrant products took longer and longer to provide usable data, we had to make a decision to put off the lengthy job of processing and interpreting all this information for presentation to our readers. Hopefully we will be able to make it available soon, and having gone through the process of preparation we should be able to include it regularly in comparatives from now on.
Looking to the future, the next test will be our annual excursion on Linux – surely a blessing for our tired eyes and weary fingers thanks to the less well-populated field of potential competitors. After that we will be back up to full speed for another XP comparative, and what looks likely to be another challenge to this month’s record-breaking haul of submissions. We can only hope that on a more seasoned and familiar platform, and with some points taken on board from this month’s comments, products will be better behaved and easier to push through our ever-growing range of tests.
Test environment. All products were tested on identical systems with AMD Athlon64 X2 Dual Core 5200+ processors, 2 GB RAM, dual 80GB and 400GB hard drives, running Microsoft Windows7 Professional, 32-bit edition. | 2019-04-23T02:40:07Z | https://www.virusbulletin.com/virusbulletin/2009/12/windows-7 |
First of all, my sincere wishes for a Happy, Joyful and Blessed Lunar New Year for you and your loved ones.
Quite a number of our friends and benefactors have been asking me about making a trip to Mongolia and visiting Father Prosper and the Children of Erdenet in Ulaanbaatar. My reply has always been: good idea, but not yet, it's more complicated than we can handle. So, I regret if I disappoint you that - NO - this is not about such an eventual trip … Maybe in 2 years, when the first Mongolian priest will be ordained, God Willing.
But I am happy to invite you to another trip, a special mission visit to China. This is neither a pilgrimage nor a touristic tour but, rather, a brotherly visit to some of the Christian communities in Inner Mongolia and Ningxia where our CICM confreres were working for close to 90 years, from our Founder in the 1860s to Bishop Carlo Van Melckebeke and companions (like Father Fossion) who were expelled in the 1950s. Actually, this is the 3rd time such such a visit will take place from Singapore.
• This year's China visit is scheduled from Saturday 7 to Friday 20 June, 2014, with pre-departure from Changi on late Friday night 6 June and return at Changi early morning 21 June.
The Temple of Heaven, literally the Altar of Heaven (天坛) is a complex of religious buildings situated in the southeastern part of central Beijing. The complex was visited by the Emperors of the Ming and Qing dynasties for annual ceremonies of prayer to Heaven for good harvest.
It has been regarded as a Taoist temple, although Chinese Heaven worship, especially by the reigning monarch of the day, predates Taoism.
9:30 am leave for Beijing Nantang (South) Cathedral - Immaculate Conception - Sunday Mass (in English).
Afternoon: 2:00 pm visit Zhalan cemetery, with the tombs of Matteo Ricci, Adam Schall, and Ferdinand Verbiest.
Visit Beijing Olympic Park, if time allows.
Cathedral of the Immaculate Conception (圣母无染原罪堂), colloquially known as the Xuanwumen church (宣武门天主堂) or Nantang (南堂; literally the South Church) to the locals. This is the oldest Catholic church in Beijing. As a foundation, it dates back to 1605, the 33rd year of the reign of Emperor Wanli of the Ming Dynasty. When the Italian Jesuit Matteo Ricci arrived from Macao in Beijing in 1601, the Emperor permitted him a residence slightly to the west of the site of the current cathedral, near Xuanwumen. Attached to this residence was a small chapel, in Chinese style, with only the presence of a cross atop the entrance to distinguish it as a church. This was at the time referred to as the Xuanwumen Chapel (宣武门礼拜堂). The current building in Baroque style dates from 1904. The statue in front of the church is that of St Francis Xavier.
The present Archbishop Joseph Li Shan, installed in September 2007, is one of the few bishops openly recognized by both the Chinese Patriotic Association and the Vatican.
Zhalan cemetery (栅栏墓地), located in the campus of Beijing Party College. Ricci died in Beijing on May 11, 1610, at the age of 57. It is absolutely remarkable how much he achieved during his short stay in Beijing (1601-10). By the code of the Ming Dynasty, foreigners who died in China had to be buried in Macau. Diego de Pantoja made a special plea to the court, requesting a burial plot in Beijing, in the light of Ricci's contributions to China. Emperor Wanli granted this request and designated a Buddhist temple for the purpose. In October 1610, Ricci's remains were transferred there. The graves of Ferdinand Verbiest, Johann Adam Schall von Bell, and other missionaries are also here.
Beijing National Stadium (国家体育场) or Bird's Nest (鸟巢) is the centerpiece of the Olympic Games 2008 project. It hosted the opening and closing ceremonies, athletics, and football finals. The stadium had a capacity of 91,000 spectators; this was reduced to 80,000 after the Olympics.
Morning: 6:00 am (free) join Mass in Beijing East Church (St Joseph’s).
9:00 am visit Imperial Palace, Tiananmen Square.
Afternoon: 2:30 pm visit Old Verbiest Observatory.
Visit Beitang (North) Church, if time allows.
Dinner: 6:30 pm – Cultural performance and Beijing Duck.
St. Joseph's Church (大聖若瑟堂), commonly known as Wangfujing Church (王府井天主堂) or Dongtang (东堂, the East Cathedral). The first church building was constructed by Jesuit missionaries in 1655; it is the second oldest in Beijing after the Cathedral of the Immaculate Conception. The current structure, in the Romanesque Revival style, dates back to 1904.
The Forbidden City was the Chinese imperial palace from the Ming Dynasty to the end of the Qing Dynasty. It is located in the middle of Beijing and now houses the Palace Museum. For almost 500 years, it served as the home of emperors and their households, as well as the ceremonial and political center of Chinese government.
Built from 1406 to 1420, the complex consists of 980 buildings and covers 720,000 m2. The palace complex is a prime example of traditional Chinese palatial architecture. It has had a marked influence on cultural and architectural developments in East Asia and elsewhere.
The Forbidden City was declared a World Heritage Site in 1987, and is listed by UNESCO as the largest collection of preserved ancient wooden structures in the world.
The Qing Palace was a place where many Catholic Missionaries during the Ming-Qing era used to work for the Emperor, especially the Jesuits. Adam Schall, Ferdinand Verbiest and others were for many years in charge of the Astronomy Bureau. Several royal astronomical experiments took place in the courtyard, and high court officials participated during the Emperor KangXi reign. It turned out that the Jesuit Astronomers were successful.
In its neighborhood was a historical site where the Theophile Verbist or Huai-ren Academy of CICM was founded in the 1920’s. Father Antoine Mostaert and other Scheut scholars conducted research there in Mogolian and folklore studies. This is now “past history”.
Tiananmen Square is named after the Tiananmen Gate (Gate of Heavenly Peace) located to its North, separating it from the Forbidden City. It is the third largest city square in the world (440,000 m² - 880m by 500m). It has great cultural and political significance as it was the site of several important events in Chinese history, most famous of which the student protests of June 1989.
Old Verbiest Observatory: located on the Jianguo Gate Wall, where the six astronomical instruments made by Ferdinand Verbiest in 1675 at the request of Kanhxi Emperor are collected and on exhibition. This Flemish Jesuit missionary (1623-1688) was an accomplished mathematician and astronomer and proved to the court of the Kangxi Emperor that European astronomy was more accurate than Chinese astronomy. He then corrected the Chinese calendar and was later asked to rebuild and re-equip the Beijing Ancient Observatory, being given the role of Head of the Mathematical Board and Director of the Observatory. He became close friends with the Emperor, who frequently called on him for his teaching in geometry, philosophy and music. Verbiest worked as a diplomat and cartographer, and also as a translator because he spoke Latin, German, Dutch, Spanish, Hebrew, and Italian. He wrote more than thirty books.
Ferdinand Verbiest, after whom CICM named its “Verbiest Foundation”, established in 1982 for the promotion of dialogue and cultural exchange with China, is not to be confused with Theophile Verbist (1923-1868), also Flemish and founder of CICM, who died in the village of Lao-Hu-Kou near Xiwanzi after less than 3 years of missionary work in Inner Mongolia.
Zhangjiahou - A well-to-do family (Zhang) started a Catholic community here in the 18th century. Catholics who escaped from persecution in Beijing found shelter in this valley-village. They lived in mountain caves: cool in the summer and protected from snow and frost during winter. Jesuit missionaries visited the village 250 years ago.
The name Xiwanzi has a very special meaning in CICM because this is the place where on 6 Dec 1865 the Founder and his 3 companions started their mission work in China, together with 6 newly ordained Chinese diocesan priests. They took over the work from 14 Vincentian missionaries (3 Frenchmen and 11 Chinese), looking after 5 orphanages with some 400 children, some small village schools and a seminary for boys in Xiwanzi. They learnt fast and worked hard. On 23 Feb 1868, not even three years after his arrival, Father Verbist succumbed to typhoid fever. He was only 45. But CICM flourished, and so did its mission in Inner Mongolia.
FMM sisters (before 1900), in Xiwanzi, the first CICM mission.
While traveling, the sisters put on these dresses for men, changing into religious habit upon arrival.
What follows is taken from Verbiest Update No. 20 (Feb 2013) in which Fr Jeroom Heyndrickx, cicm, recounts his very first visit to Xiwanzi on 28 Nov 2012 – the mission that had inspired him in 1948 at age 18 to join CICM after a talk at his school by Bishop Leo De Smedt.
By the 1930s about 3,000 people lived in Xiwanzi, all small farmers and almost all Catholics. There was an orphanage with 140 orphans, a home for the elderly, a primary school for boys and girls, a dispensary, two religious sister congregations, a minor seminary with 90 seminarians, the residence of the bishop and in the middle of the village a beautiful cathedral, the second biggest church of China, built by Bishop Leo De Smedt, cicm. Xiwanzi was one of the oldest and biggest Christian communities in North China.
Eventually Xiwanzi became the center of a diocese where, in 1938, 55 CICM missionaries worked together with 15 Chinese diocesan priests, 16 major seminarians and 36 religious sisters. They took care of 31 parish communities and 140 mission stations, 129 primary schools for boys and 108 for girls, 3 dispensaries, 4 orphanages, 2 homes for elderly, and more.
Until today the Catholics of Xiwanzi speak with pride and nostalgia of their cathedral and of the time when their Catholic community participated in daily Mass, morning and evening prayers, and other devotional practices. However, all this was brutally stopped in the forties by a drama.
On 9 Dec 1946 the communist army invaded and destroyed Xiwanzi village. More than 200 people were killed. They burned down the beautiful cathedral, the seminary, including the library with 10,000 books and some precious 250-year-old manuscripts dating from the time of the Jesuits. 172 citizens were taken away as prisoners. Among them were old people, three priests, one handicapped child, 6 women. They were chased during the night from village to village in the cold snowy days of December. Many of them never returned. Some were shot to death, others were forced to join the army. Chinese newspapers of that time reported on it and called it a cultural outrage. For CICM in China it was a real tragedy.
More than 60 years have passed since then. There was the Cultural Revolution and finally the breakthrough of the Open Policy of China. The Catholic community of Xiwanzi remained marked by their dramatic past, isolated and unwilling to cooperate with civil authorities of the New China. They belonged to the unofficial (underground) Catholic community guided by unofficial bishops and priests who spent many years in jail. When Melchior Zhang Kexing was bishop of Xiwanzi (1949-1988), he spent 35 of those years in prison. In 2008 the old Auxiliary Bishop Yao Liang was released after years of detention. He accepted the offer of civil authorities to rebuild the Catholic cathedral right on the spot where the old cathedral had stood in the middle of the town, which is now in full development. Bp Yao Liang started construction in 2009 but he died soon afterwards. Since then, the Catholic community has patiently continued the construction. It relies on its own fund raising efforts, and its own craftsmen are committed to build a new cathedral, as big and as beautiful as the old one. In the mountains around they find big boulders of white stone from which they artistically cut beautiful gothic church windows.
Understandably the Catholics of Xiwanzi are nostalgic for the old times with Christian daily life in their peaceful Catholic village. The old Catholic Village of Xiwanzi does not exist anymore as a new Xiwanzi is being built. High-rise buildings are being constructed all over. There is a ski resort nearby, and thousands of people move in for winter sports. Yet the new cathedral arises in the middle of Xiwanzi City symbolizing the determined witness of a vital Catholic community.
The Catholic minority of Xiwanzi faces a new challenge: to participate in building up the new Xiwanzi and to find their place among the many immigrants. Thinking that the good days of old Xiwanzi will never come back causes pain in their hearts because deep down they realize that there is no other way. Moreover, a new future is obviously growing also for them. Rebuilding the cathedral is their own initiative. It may even become part of a healing process that helps the Xiwanzi Catholics on the way, a signal that manifests to all of us the strong faith and determination of that small Catholic community - a new Xiwanzi is being born!
This story of The Catholic Village Xiwanzi is also the story of all Catholics in China. They remember the good old days. Many also carry with them in their hearts painful memories from the past. Yet they also see that a new future is being born. Everybody knows, deep down, that moving towards a new future is the only way to go. All are challenged to join in the huge development effort of China to build that new future and to secure a place for themselves as Catholic community within this New China. This also challenges China as a modern state to allow Chinese Catholics the space and freedom to join in building up the country, to be good Chinese citizens and at the same time true Catholics, united with the Universal Catholic Church, not separated or independent from it.
Not far from Meiguiyingzi is the Marian pilgrimage place of Mozishan. The church, built by Bishop Van Aertselaer, cicm, was later destroyed. Every year up to 40,000 Chinese Catholic pilgrims come from near and far. They stay around for several days for a great outdoor religious festival that takes place on 2 August, including prayer rallies, Masses, confessions and children’s baptisms.
Visit church, Mass in Chinese.
8:00 Breakfast and meeting with priest and lay people.
Near Ershisiqingdi, in Tuogetuo, Bishop Ferdinand Hamer was tortured by the Boxers and burned alive. In this place we also commemorate the other CICM missionaries who died under the Boxers in 1900, some nearby, others father away. With them we also commemorate Fr Jacques Lu, diocesan priest, and about 2,000 Catholics of Inner Mongolia who were killed by the Boxers.
In 1907 Msgr Alfons Bermyn, the Apostle of the Mongols, held a General Provincial meeting here in which the resolution was passed to make a special effort toward developing education.
Hohhot is the capital city of the Autonomous Region of Inner Mongolia. Today’s Hohhot diocese, formerly called Suiyuan, has 22 priests, 17 sisters, more than 30,000 Catholics, and 25 churches. The cathedral, built in 1922, is in downtown Hohhot. In 1936, a seminary was erected and a large Catholic hospital and a Teachers’ Training College were built.
Mongolian cuisine: the extreme continental climate (as low as -40 C) has affected the traditional diet, so the Mongolian cuisine primarily consists of dairy products, meat, and animal fats. Use of vegetables and spices is limited. Mongolian cuisine is also influenced by Chinese and Russian cuisine due to geographic proximity and historic ties.
Datong Regional Seminary – In 1921 the CICM Vicars Apostolic (Bishops) agreed to establish a regional seminary at Datong prefecture for all CICM vicariates with the explicit purpose of better training a local clergy. During its years of operation (1922-1951) some 247 Chinese priests and 1 Mongol priest were formed at this seminary by CICM staff.
The Yungang Grottoes (云冈石窟; Wuzhoushan Grottoes in ancient time) are ancient Chinese Buddhist temple grottoes. They are excellent examples of rock-cut architecture and one of the three most famous ancient Buddhist sculptural sites of China (the other sies are Longmen and Mogao. They are an outstanding example of the Chinese stone carvings from the 5th and 6th centuries. All together the site is composed of 252 grottoes with more than 51,000 Buddha statues and statuettes. In 2001, the Yungang Grottoes were made a UNESCO World Heritage Site. They represent the successful fusion of Buddhist religious symbolic art from south and central Asia with Chinese cultural traditions.
Juyongguan or Juyong Pass (居庸关) is a 18km-long mountain pass located in the Changping District of Beijing Municipality, over 50 km from central Beijing. The Great Wall of China passes through, and the Cloud Platform gate was built here in 1342 AD. The pass is one of the three greatest mountain passes of the Great Wall. The other two are Jiayuguan and Shanhaiguan (passes).
The Great Wall is a series of fortifications made of stone, brick, tamped earth, wood, and other materials, generally built along an east-to-west line across the historical northern borders of China in part to protect the Chinese Empire or its prototypical states against intrusions by various nomadic groups or military incursions. Several walls were being built as early as the 7th century BC; these, later joined together and made bigger, stronger, and unified are now collectively referred to as the Great Wall. Especially famous is the wall built between 220–206 BC by the first Emperor of China, Qin Shi Huang. Little of that wall remains. Since then, the Great Wall has on and off been rebuilt, maintained, and enhanced; the majority of the existing wall was reconstructed during the Ming Dynasty.
The Great Wall stretches from Shanhaiguan in the east, to Lop Lake in the west, along an arc that roughly delineates the southern edge of Inner Mongolia. A comprehensive archaeological survey, using advanced technologies, has concluded that the Ming walls measure 8,850 km. This is made up of 6,259 km sections of actual wall, 359 km of trenches and 2,232 km of natural defensive barriers such as hills and rivers. Another archaeological survey found that the entire wall with all of its branches would measure out to be 21,196 km.
meeting with priests, religious and lay Catholics.
Xi-an (西安) is the capital of Shaanxi province. It is one of the oldest cities in China, with more than 3,100 years of history. The city was known as Chang'an before the Ming Dynasty. Xi'an is the eastern terminus of the Silk Road, a former capital city of China with the best-preserved city walls. In Xi-an we find the world-famous tomb of the First Emperor, Qing Shihuangdi, and the terra-cotta army of warriors and horses.
This Stele Collection of Xi-an: we know about the early history of Christianity in China from texts on a 2.8m limestone slab, called the Nestorian Tablet or stele, excavated by accident in Xian in 1625. The text is in both Chinese and Syriac.
In 635 a Persian Nestorian monk, Alopen, brought the gospel to China via the silk route. Alopen got permission from emperor Taizong to proclaim the Christian faith. He translated the first Christian texts into Chinese. Christianity spread in ten provinces of the Chinese empire and about one hundred churches and convents were built.
Xi’an city walls: the fortifications of Xi'an (西安城墙) represent one of the oldest and best preserved Chinese city walls. Construction of the first city wall of Chang'an began in 194 BC and lasted for four years. That wall measured 25.7 km in length, 12–16m in thickness at the base. The area within the wall was 36 km2. The existing wall was started by the Ming Dynasty in 1370. It encircles a much smaller city of 14 km2. The wall measures 13.7 km in circumference, 12 m in height, and 15–18 m in thickness at the base.
The Terracotta Army, or the Terra Cotta Warriors and Horses, is a collection of terracotta sculptures depicting the armies of Qin Shi Huang, the first Emperor of China. It is a form of funerary art buried with the emperor in 210-209 BC and whose purpose was to protect the emperor in his afterlife.
The figures, dating from around the late third century BC, were found in 1974 by some local farmers in Lintong District, Xi'an, Shaanxi province. The figures vary in height according to their roles, with the tallest being the generals. The figures include warriors, chariots and horses. Current estimates are that in the three pits containing the Terracotta Army there were over 8,000 soldiers, 130 chariots with 520 horses and 150 cavalry horses, the majority of which are still buried in the pits nearby Qin Shi Huang's mausoleum. Other terracotta non-military figures were also found in other pits; they include officials, acrobats, strongmen and musicians.
This booklet was prepared for the exclusive and private use of those joining the Singapore CICM China Visit 2013 in the Footsteps of the CICM missionaries.
These visits to former CICM missions in China have been organized for many years by the Ferdinand Verbiest Foundation (Belgium) under the leadership of Fr Jeroom Heyndrickx, cicm. For us in Singapore, this is only the second such visit; aside from the “touristic part” in Beijing and Xian, the itinerary is different from that of 2012.
As last year, our visit was set up and prepared by Fr Matthew Gongzhixi, a Chinese diocesan priest who works closely with the Verbiest Foundation. Because of a teaching commitment at the National Seminary. Fr Matthew will accompany us only for the trip.
We are blessed to have Sister Gaby Yang Aikun, another collaborator of the Verbiest Foundation, who will join us. Sr Gaby studied 4 years in Belgium (Catechetics and the Social Teaching of the Church). Shortly after obtaining a PhD in Ministry from the University of Chicago (16 May 2013), she will be our guide and companion on our visits to the various places and church communities.
Finally, I myself am also part of the team. I confess that for me, too, this will be a first. As for the booklet, much of the merit goes to Frs Matthew & Jeroom. I take responsibility for any errors or spelling inconsistencies.
* means: these persons join us later in Beijing and will not go to Xi-an. | 2019-04-20T06:40:30Z | http://www.scheut.org/news.php?lng=fr&pg=147 |
Ranelle is a Licensed Registered Dietitian, Certified Diabetic Educator, and Le Cordon Bleu culinary graduate with a passion for health and wellness, and a desire to help you understand yours.
Ranelle loves food. She believes that eating is such an important part of our lives, rooted in cultural tradition, shaped by health, inspired by the smells and flavors of all our favorite dishes. But it can sometimes seem overwhelming; food politics, economics, and an ever-changing array of “fad diets” can make the world taste bland. Her overall purpose is to teach people what she knows and allows the consumer to make informed, healthy decisions. For her, eating doesn’t have to be difficult or unpleasant. She wants to call attention to, and teach others about, the important issues surrounding food & nutrition. She wants to give counsel on how to eat healthy, and share recipes that make good food exciting. Her background has provided her with a deep understanding and appreciation of these matters, and with strong feelings in regards to our nation’s food and nutritional health.
Before starting her own business as ChefRDN, LLC, she was the Food Service Director of Thorek Memorial Hospital in Chicago. While there, she counseled patients on nutrition in both in and outpatient settings. She have also worked with Rush University Medical Center in Patient Food Services as an Administrative Registered Dietitian and Supervisor. During her time at Rush, she graduated from the Morrison Internship program and later achieved a Masters of Science in Clinical Nutrition. But it all started with food: She originally graduated with an Associates degree in Culinary Arts from Le Cordon Bleu in St. Paul, Minnesota. Given her background in both cooking and dietetics, she is now enjoy teaching others how food and nutrition can improve their lives, and help them to prepare and enjoy food of any/all types, with an emphasis on eating and buying local. She became a Certified Diabetes Educator in 2018, which allows me to reach new audiences in new ways, and best serve those suffering from diabetes.
She spends her free time volunteering at locavore food and health-related events, and am an avid outdoors(wo)man. and enjoy traveling, reading, knitting, practicing yoga, bicycling, and gardening.
Mathea Ford: [00:00:26] Hi there! It’s Mathea. Welcome back to the Nutrition Experts Podcast. The podcast featuring nutrition experts who are leading the way using food starts today right now with our next guest. It’s great to have Ranelle Kirschner on the show today. Ranelle welcome to Nutrition Experts.
Ranelle Kirchner: [00:00:43] Hi! Thank you. I’m so happy to be here.
Mathea Ford: [00:00:46] I know I’m excited to have you on this show and share your expertise with my tribe. You have a very interesting story so I’d love to let you tell my listeners a little more about you and what you do.
Ranelle Kirchner: [00:00:58] Absolutely! So, I am a dietitian/chef and Certified Diabetic Educator. I have really paved this path of trying to combine the two worlds of both cooking, culinary arts and nutrition because as similar as they seem they’re two very different worlds and so I spend my passion and ambition to bring those two worlds together to better help people in terms of changing the way they live. To lead a healthier lifestyle and really show people how great food can be because there’s a lot of simple things that you can do to make it healthy.
Mathea Ford: [00:01:35] So, you mentioned that you have a culinary background and can you talk a little bit about how you chose that and where you went and then kind of where it’s led you.
Ranelle Kirchner: [00:01:45] My path is education is certainly a unique one. I went to school at the University of Minnesota to initially become a surgeon but my mind kept wandering during this time to the kitchen while I was studying. So after my first year pre-med I changed my career path left the U, started taking class at the Le Cordon Blue in Minnesota. It was amazing experience that led me to start working in France. But while I was abroad I gained a new perspective on life and in food. So, I was able to witness and live the French way of eating and living and realized that their relationship was so vastly different from where I… From what I knew and how I grew up. My views changed and I decided I wanted to be more on this path to becoming an educator. And that’s when I transitioned into the dietetic path.
Mathea Ford: [00:02:37] So you mention in France that you noticed they had a different relationship with food. What is the difference? What would you say was the difference that you found?
Ranelle Kirchner: [00:02:46] I really notice that the difference lied in the relationship with how they treated food, how they perceived food, respecting their body. When they felt full, they just stopped eating. There was no reason to forge themselves. And it was always about fresh produce and fresh foods really taking care of being ingredients as they were cooking. So, if something was in season that would be the highlight of their foods for that week or that day. It was different because it was more about them listening to their bodies and also just trying to incorporate those fresh flavors that were seasonal.
Mathea Ford: [00:03:30] So, I guess you didn’t see a lot of pre-prepared foods or processed, highly processed foods when you were there. Of course you were there for some cooking event or home schooling so that might have affected it a little bit. What was their process for getting food? I mean you said they always come fresh.
Ranelle Kirchner: [00:03:52] Right! A big emphasis was on Fresh. Even the refrigerators were much smaller and they went shopping on a weekly almost daily basis. And always just focusing on the fresh foods. And a lot of times it was just done at an open air market. Even in the middle of winter.
Mathea Ford: [00:04:15] Hmm. Yeah! That is a pretty big contrast to how we hear here huh?
Ranelle Kirchner: [00:04:18] It is! And you know everybody knew the vendors. Everybody had a relationship with who was selling their food so they knew where their food was coming from. They were able to ask questions about how it was grown and it was never about overindulgence. And price was never a factor. I think that having that good relationship with the farmers, the farmers weren’t overcharging because they knew who they were serving or one but it was a very unique experience.
Mathea Ford: [00:04:48] How would you compare that to a Farmer’s Market in the United States? Is it very similar or?
Ranelle Kirchner: [00:04:54] I think there’s a lot of similarities. But even from the different places I’ve lived in the States it does change state to state. I felt like in Chicago I didn’t feel like there was much of an opportunity for that bonding. It was more of an exchange process as where you know here in Minnesota we have so many Farmer’s Markets that I love to go to and I have a couple that I frequent a lot even in the wintertime. And the relationships I have with them I feel have been a stronger. So it’s definitely location based.
Mathea Ford: [00:05:30] Yeah! That makes sense that if you’re going to basically if you’re talking about the French people they’re going to the markets, they’re buying what’s in season, they’re using it within the next couple days. I think in the United States people feel like I really don’t have time to shop every couple of days and go to the Farmer’s Market. So do you have any thoughts on that? .
Ranelle Kirchner: [00:05:51] Yeah! You know I think that’s really important to address because we are a different society where we are more on the go. We don’t have as much vacation time or time away from work, even to enjoy our meals during the times that we’re working so when we take a lunch break. You know it’s rush, rush, rush and then back to work or eating while you’re working and that’s not healthy but it is. There are some things that you can do. So, for instance when you go to the market you can make your food last. You can you can go once a week. You can buy things that will perish faster but then balance that with foods that don’t perish as easily. So, buying things like squash in the winter time is a great example because you don’t need to squash that week or that day. You can store it for months. So I guess you could say it’s all about variety.
Mathea Ford: [00:06:48] That makes a lot of sense. Like your lettuce is going to go bad maybe three or four or five days and so you would eat that if you went to the market you would eat that earlier in the week and then maybe you’d have some squash with your meal later in the week.
Ranelle Kirchner: [00:07:04] Right. So, a lot of that comes into play with meal planning. If you are planning out your week then you’ll know which foods that you should be eating sooner rather than later in the week when you do your shopping either at the market or the grocery store and even a combination of the two.
Mathea Ford: [00:07:22] So, I want to come back to meal planning in a second but you know what made you decide to go on and become an RDN and after you had your culinary education?
Ranelle Kirchner: [00:07:32] I didn’t think anyone would listen to a chef about Nutrition and I certainly wanted to have that expertise and the evidence based in what I tell people so it was more that I felt like I needed to do my due diligence and go back to school and understand the nutritional aspect of food as well. So, I went back really for the credentials, the experience really just to make sure that I’m best helping people to my capabilities.
Mathea Ford: [00:08:02] You mentioned meal planning a couple minutes ago. How do you do your meal planning? How do you talk to your patients about or customers about meal planning?
Ranelle Kirchner: [00:08:14] Well, I use a couple different approaches because I do use a service called EatLove which is a digital platform that can tailor nutrient and these disease specific needs. So, I have that service which is great for maybe helping people get started with their own meal planning but I still try to address things that people can do for basic meal planning like keeping a pantry full of non perishables to keep it simple during the week. When you put together a menu one week at a time or cooking in batches. So, those are some tips that I use for meal planning that anyone can use so that it’s more approachable. But certainly for those who are really busy and don’t want to think about finding recipes. And they’re on the go all the time, the EatLove program and platform it is truly amazing and a lot of people find great benefit from it. There’s a lot you can do within it and it even prints out your grocery lists.
Mathea Ford: [00:09:15] So, do you have any specific tips about meal planning? You mentioned basic meal planning, cooking in batches that type of thing but when you’re talking to somebody about meal planning for maybe a week what do you encourage them to do?
Ranelle Kirchner: [00:09:31] I like to put a lot of emphasis on plant based foods in my teachings. So, really looking at Okay, where are your vegetables coming from in the week? Making sure that you’re getting those three to five servings” because a lot of people struggle getting the recommended vegetable servings in a week. So, I think focusing on one thing is a good place to start. And then gradually making changes throughout the week. Protein is typically not an issue for most people although some of my vegan patients it is. You can certainly have protein rich diet as a vegan.
Mathea Ford: [00:10:07] You really are going to encourage somebody to kind of change may be part of their meal not necessarily do the whole thing at once. But if you’re trying to move to more plant based or healthier eating your maybe changing a few things every week just building those in your process. Is that what you’re saying?
Ranelle Kirchner: [00:10:24] Absolutely! Because I think it can be overwhelming when someone comes to you and they ask you they want to make these these big changes in their life. But if you don’t do it gradually and slowly it can seem like it’s too much and that it’s unsustainable. And I want this to be sustainable and a lifelong change.
Mathea Ford: [00:10:42] So, can you talk a little bit more about your partnership with EatLove and how that works?
Ranelle Kirchner: [00:10:48] It’s a collaborative agreement where I write recipes for EatLove so you’ll see many of my recipes appear on their platform and in exchange I use the platform for my patients to essentially plan out their meals and we can start small for either maybe we emphasize dinners for that week but it has the capability of doing snacks, breakfast, lunch, dinner and you can also add on other members in the family too. So, even if it’s a meal plan that’s meant for you we can add on other people so that it is more more family friendly because let’s be honest we’re not it’s not all for ourselves. Sometimes we do want other people our loved ones to be included in the process. What it also does is I’m also able to tailor disease specifics so whether you have diabetes, if you have dietary restrictions all of that can be factored into this meal planning.
Mathea Ford: [00:11:50] So, is it all dietitians that contribute recipes or?
Ranelle Kirchner: [00:11:54] All dietitians write recipes.
Mathea Ford: [00:12:00] So, can any dietitian do that? Can they collaborate with EatLove to write recipes if they want it or to even just use the platform for their patients?
Ranelle Kirchner: [00:12:08] Dietitians can subscribe to the platform and pay a fee. I’m not sure that they’re looking for dietitians right now but if you are interested in writing recipes, I can certainly put you in touch with the correct person if you’re interested in writing recipes as a dietitian because that is what they focus on. I think it can be tricky writing the recipes because things that they look for is few ingredients that have a big emphasis on vegetables and then seasonality as well as trying to fit these different types of eating. So, right now there’s been a lot of requests for low FODMAP foods, diabetes or diabetic friendly recipes and certainly more plant based.
Mathea Ford: [00:12:58] You mentioned that you traveled to France. Do you travel doing anything else or do you I know you think you like to travel. Can you talk a little bit about that? Your learning, how you learned through your travel and how you use that in your practice?
Ranelle Kirchner: [00:13:11] Traveling has always been a big part of my life. And when I go to a new place, I really just throw myself in. So, it’s not staying in nice hotels, its trying to find the most rural parts of the country and really just engaging with the people. So, I do my best at trying to learn their language. It’s not always easy. But with the help of technology it’s become easier and really just picking my experiences based off of where I can learn the most from. “Okay well what’s going on with this culture? What what are their holidays? Am I or am I going to be there during a holiday or something that’s really important to them? What are their local foods? Where do they hang out?” And so I really try to go to those types of places and it’s all about finding those little hole in the wall restaurants and if I get sick I get sick. You know it’s a great experience for me.
Mathea Ford: [00:14:12] So, what’s the last place you went to?
Ranelle Kirchner: [00:14:14] The last place. I went to was where did I go? I was in Germany and Amsterdam. I had been to the southern part of Germany. But I went with my boyfriend to the northern half to go visit family and so we were able to go to these small little towns all throughout the northern half and really just see what people were eating. Learn some really great foods and cultural influences on you know Turkish food especially discovered a Lahmacun which is an amazing. It’s one of my favorite foods right now. It’s basically a flatbread like pizza with all these different spices. Tomato, lamb and then it has a nice then yogurt sauce with fermented cabbage and other fresh vegetables. It’s delicious. It was a really great travel as well because I was able to then meet a lot with the locals and hear about what their traditions were, how they eat. And then I’m looking forward to my next trip where I’m going to Israel this May.
Ranelle Kirchner: [00:15:31] So, it’ll be another another good food experience.
Mathea Ford: [00:15:35] Yeah! Yeah. Sounds like you really get in-depth with the culture and try to at least you try all the foods and then you can incorporate.
Ranelle Kirchner: [00:15:45] I will try everything once.
Mathea Ford: [00:15:48] I can’t say that I’m that way. If you tell me once again I’m probably going to judge. So, I’m probably decide what to do anyway.
Ranelle Kirchner: [00:15:57] And you know it’s interesting too because some of the places I’ve been, I’ve learned so much. For instance, when I was in Indonesia I spent three weeks traveling from island to island and realized how hard it was to find food. It wasn’t easy. It was first of all it was hard to travel and to find people to take me places. But once I got to a place you had to know someone in order to find a meal.
Mathea Ford: [00:16:25] Oh wow!
Ranelle Kirchner: [00:16:26] No, there weren’t restaurants. There weren’t markets. Occasionally you’d find a market on the side of the street just to pick up some fresh food. But really people were just growing food for themselves and selling it to each other. So, that was really interesting just to see that exchange. And also it was very spiritual and how big religion played a role into their culture.
Mathea Ford: [00:16:50] Yeah I just had another podcast a couple weeks ago about somebody talking about religion and how it can deeply affect someone’s choices and you need to understand it basically so you can have that basis to know if I if they’re a vegetarian because of religious reasons vs. vegetarian because of social reasons. You know it’s important to understand that that can help you do better with your education of them. So.
Ranelle Kirchner: [00:17:20] Absolutely! Absolutely.
Mathea Ford: [00:17:22] So you have this you go round you travel you learn about all these different foods and stuff and so obviously you like making recipes when you’re making a recipe or you’re looking at a recipe that you have. How do you modify it to make it healthier? What are some of the things you typically do?
Ranelle Kirchner: [00:17:39] Well because I am more plant based. I swap a lot of the animal fats for plant based fats. So, if it calls for lard which is common in many many cultures I will swap it out for maybe olive oil or a vegetable based oil maybe it’s even avocado. You know it’s really interesting because once you cook enough it’s easier to determine which things you can omit completely and then which things you can substitute or even cut half the fat out. So, it is recipe by recipe based. So, that’s one of the things to get started is really just getting in the kitchen and just cooking more, experimenting with food. So, you know what works and what doesn’t work but you have to just get started.
Mathea Ford: [00:18:31] So, when somebody is cooking in their kitchen, what are some of the things that you would say they should start with if they’re trying to change a recipe to make it a little healthier besides the fat thing and try but where should they start?
Ranelle Kirchner: [00:18:44] So, I guess it would depend. I think a good place though to start would be to look at your favorite foods. Maybe it’s Mac and Cheese. Okay? So, if we take Cac and cheese as an example let’s maybe avoid the cream and maybe we use a lower fat milk or maybe we do keep it full fat but then then look more at the portion size and then play with vegetables. So, let’s add some brussel sprouts, let’s add some kale, let’s make it healthier in that regard. Maybe even use whole wheat pasta or a bean pasta. Bean pastas are starting to become really popular and it’s great for those who are gluten intolerant.
Mathea Ford: [00:19:29] So, what do you think when you’re thinking of like ingredient that you use a lot. It seems to be just really versatile that you like to always have around what to put in recipes what what are you got anything like that?
Ranelle Kirchner: [00:19:43] Yes. The incredible edible egg. The egg is amazing. I use it. I always had eggs on hand because it’s a great source of protein. It’s affordable. You can soft boil it, poach it, fry, you can frier it, bake it. Use it in a sauce. I’m always amazed by the possibilities because you can use it for both sweet and savory as well. It can make or break a recipe because it offers that simple richness to a dish and can be a really nice finishing touch.
Mathea Ford: [00:20:19] So, egg in a dish tends to I know it’s an emulsifier, it brings things together. What other properties does it add to a dish that somebody might want that they might use it for?
Ranelle Kirchner: [00:20:31] People might use it just for its protein content but it’s an easy great ingredient to manipulate and it’s also you can have it hot, you can have it cold and I think it just offers that added fullness and roundness to a meal because if you think about when you’re cooking you try to create balance and it’s going to offer that fattiness as well as that structure to a dish so it can really make something complete.
Mathea Ford: [00:21:04] So, I know you mentioned at the beginning of the call that you were a Certified Diabetes Educator. How did you decide to go so you started cooking and then you said “Oh! I see how food and nutrition go together. So I want to be a dietitian.” What was then. How was the next step to being a Certified Diabetes Educator?
Ranelle Kirchner: [00:21:23] I was working in Chicago at the time and had just left working in Kitchen Management at Rush University Medical Center to then start running my own kitchen as a Food Service Director at a smaller hospital and because it was smaller I wore many hats and soon found myself doing outpatient care with an emphasis on diabetes because that’s what the population was. And after seeing how many people were affected by diabetes and how little resources there was available for patients, I decided that was my next move was to be… To put an emphasis on diabetes and work towards being certified so worked for a couple of years in that role. At the time I wasn’t certified but I later became certified when I moved to Minnesota but really just seeing the need for diabetic educators is really how I decided to make that change completely.
Mathea Ford: [00:22:27] So, now day to day in Minnesota what is it that you do with your patients? You do different types of classes? Do you teach them how to cook?
Ranelle Kirchner: [00:22:35] I do a little bit of everything. I teach, I certainly teach people how to cook. I offer lots of cooking classes. I cook at a couple of places actually I cook at four different sites all around food and then I also teach Nutrition classes through BlueCross BlueShield and a lot of times I get questions about how to change your diet and what can they do for cooking. So, it’s a little bit more integrated in that role. And then I’m also doing a lot with diabetes education at a place called Neighborhood Health Source which is an FQHCF (Federally Qualified Health Care Center) and then in addition to that is my telehealth business. So, I see patients online and it’s all done virtually.
Mathea Ford: [00:23:27] Yeah! It sounds like you really blended all that together where you started to where you are today you know kind of blend it all together and I know a lot of dietitians don’t love food service type things but I’m a food service dietitian. I love food service. I love recipes. I love cooking and so I love it when a dietitian blend it all together and talk about those practical things like adjusting recipes, changing the way you make choices about food. Do you have any tips for how you help people kind of get to figure out what goals they’re going to do and then how to stick to them?
Ranelle Kirchner: [00:24:04] The idea is to start small so choose one thing at a time and when you make that choice on what you want to fix then we put together a SMART goal. You know the Specific Measurable Attainable Realistic and Relevant and Time. Yes exactly. So we want to combine all those elements when we put together our goals and then slowly working towards that putting together a timeline. We want to make sure that it’s a goal that is relevant to you, achievable because otherwise then what’s the point? Is it going to be sustainable? Probably not. So, if it happens to be that you want to change something in your diet to simply add more vegetables then maybe we would start by saying “Okay, well, what do you want to do for this week? Okay? So this week maybe we look at what vegetables might be missing.” So, I tell people you know try to eat the rainbow meaning eat every color and then if there’s a color you’re missing then maybe we focus on that food group. So, purple, blue that’s often the one that’s forgotten. We want to make sure we we want to make sure we include those foods and take it from there.
Mathea Ford: [00:25:18] So, thinking about the listeners, they are dietitians, they’re health care professionals and they’re sometimes some of them are just regular people and I guess we’re all regular people. But so thinking about those people, what kind of tips would you give them to use the information we talked about today in their business and their life, in their working with patients?
Ranelle Kirchner: [00:25:43] Listen to the patients and their needs. What are they truly trying to accomplish. And is it realistic for them. Because so many times people come to me with a goal and it might not be realistic. And so working through the expectations of “okay, you come here you want help with weight loss. Let’s talk about it” because oftentimes too there’s underlying issues. So, you want to get to the root cause of why they’re doing something. And is it for them? Is it healthy? Also when you get stuck, it’s okay to reach out to other professionals and make referrals. Refer to each other. If I have a patient who comes to me and there’s clearly something that needs to be worked out with a psychologist, I’m going to make a referral because that’s not my area of expertise. And so building that network is also important so making sure that you are finding patients help that they need in other areas is vital and important to make them truly successful because that’s the point. That’s why we do this. We do this to help people and we want people to be successful.
Mathea Ford: [00:26:52] Absolutely! Those are great tips. So, the last question I always ask is right now tell me what is your favorite food? And since you’re foodie, you can pick a couple if you like.
Ranelle Kirchner: [00:27:02] Wild mushrooms are certainly one of those top favorite foods. One of my favorite dishes to make is this wild mushroom toast with melted Taleggio cheese and an easy over egg and a side green salad. It is just to die for. It is truly amazing. And I really cannot help but say that ice cream. I love my ice cream. Can be super simple vanilla is totally fine. You know I have it as my special treat but it’s just so good and creamy and rich and full.
Mathea Ford: [00:27:40] I think you have to enjoy food. I mean if it’s on third quarter it’s so not flavorful which is what people expect. They have to eat when they eat healthy. Then that’s that’s no good. You know.
Ranelle Kirchner: [00:27:53] Exactly! You have to live life. And food is part of that. So you should love the foods that you eat. It’s just all about respecting your body and the food as well.
Mathea Ford: [00:28:05] So, where do you find wild mushrooms? Do you go to a farmer’s market or do you find them in a store?
Ranelle Kirchner: [00:28:10] I do. I I often go to this place. It just opened up down the street from where I live called the Keg and Case and they have a vertical mushroom farm and so they grow all mushrooms on site. It’s pretty amazing. But the Farmer’s Markets also have great wild mushrooms that I like to go to. A little bit harder to find in the wintertime. So, during the winter I’ll certainly just walk down the street.
Mathea Ford: [00:28:37] All right. Ranelle, thank you so much for being on the podcast today. It was a pleasure to have you on the show. I know my listeners learned a lot about food, recipes, how you cook and how basically you can enjoy food. So, if listeners want to connect with you what’s the best way to do that?
Ranelle Kirchner: [00:28:52] Sure. They can go to my website at ranellekirchner.com that’s R A N E L L E K I R C H N E R dot com and you can also find me on social media LinkedIn, Facebook, Instagram. I’d be happy to answer any questions and I really appreciate taking the time your time to be on the podcast. Thank you.
Mathea Ford: [00:29:19] Thank you so much. Well, guys this has been another great episode of the Nutrition Experts Podcast. The podcast is all about learning more so you can do more with nutrition in your life. | 2019-04-18T13:08:17Z | https://www.nutritionexpertspodcast.com/tag/meal-planning/ |
In my fifteen years in the in the call center industry, I have encountered many agents who have expressed similar feelings to those expressed by Mr. Bach. Perhaps not as broadly or intellectually stated of course, but they do look to their supervisory and training staff for help, guidance, and assurance as they seek to improve their individual job performance. When dealing with those tangible issues related to a given process or product, they need help from those possessing the knowledge and know-how to meet the requirements of the tasks assigned. Process improvement and product awareness are usually easy to identify and correct when things go wrong, but how do you manage behavioral issues? Interestingly, the answer often lies with the agents themselves and can be realized and addressed easier than you might think.
For standard information-based development, we create training curriculum, analyze results, evaluate accuracy and performance – and we even coach occasionally. When dealing with behavioral issues, however, we often miss the one area that makes effecting change more easily attainable. Helping agents become self-aware is often the key. Creating tools and infrastructure that help agents gain self-realization skills should be incorporated not only into your daily quality management routine but should be interwoven with your company’s messaging and values as well.
What exactly is self-realization? As defined by Maslow’s hierarchy of needs, it refers to the desire for self-fulfillment and the tendency for a person to become aware of his or her potential. Self-realization is the manifestation of the desire to become more and more what one is, to become everything one is capable of becoming. Yet I have found that it is rarely used consistently in today’s call center workplace. We tend to lump behavioral patterns into our standard training practices instead of recognizing the value of addressing these issues individually with tools that do the work for us.
Let me explain: a few years ago, I was participating in a workgroup where we routinely recorded and evaluated our own call performance. Using call monitoring and recording software, I was able to experience my voice as my customer did, and it was an eye-opening experience. I couldn’t believe some of the bad communication habits I had formed over the years, but if I hadn’t experienced it privately, with time for reflection, it’s likely I would have resisted another person’s negative critique. After all, I have always had a wonderful “radio voice,” so how could anyone accuse me of having poor communication skills? My “homemade mask” was what I believed myself to be, not what I actually acted out. Don’t get me wrong, it wasn’t terrible, but it wasn’t nearly as good as I had led myself to believe, and there was definitely room for improvement.
The key to my motivation was that these improvements were important to me personally, and I made it my business to work out a plan to address the negative nuances and behaviors that detracted from my message. No one had to coax or convince me; the evidence was indisputable and I expected better from myself.
I don’t think my personal experience was unique. Most of the people I’ve come to know in this industry have reasonably high expectations of themselves and expect to perform at a superior level. If we find that we are not meeting our own expectations, we will quickly address the problem; no one needs to do that for us.
Do you allow your agents to experience themselves and then come to your evaluation team with an improvement plan? If not, you are missing a great opportunity to form a unique bond between management and the folks taking care of your customers. You may already have the tools to put a self-awareness program in place, but the greater question is – will you make it a priority?
Step 1: Evaluate Your Current Culture: On the road to helping your agents achieve self-realization, it is important to evaluate your current culture. Are you in an environment that is willing to accept change, do you have to force change, or are your agents actively seeking change?
Every environment is different, but in most instances this self-realization coaching format can be applied to your management and supervisory team, too. Take the time to do an internal evaluation of your call center and assess your environment.
Step 2: Give Your Agents a Chance: Self-realization is achieved by your agents when they are given the opportunity to hold themselves accountable in a non-hostile environment. Provide an environment where agents have the opportunity to self-assess and ask for open feedback.
Step 3: Define and Develop a Plan for Success: First, you need to determine your ultimate goal. My biggest piece of advice during this step is to let your agents be a part of the process. Take their feedback and suggestions and incorporate them into your plan. Remember to keep your agents’ goals aligned with the overall company objectives.
Step 4: Recognize Your Agents for Positive Growth: Positive energy feeds off a positive working environment. Publicize your agents’ achievements on a regular basis, and celebrate individual, team, and corporate successes.
Make self-realization and self-evaluation part of your contact agents’ goals for this year. I promise you, it will pay off. After all, remember that we are our own toughest critics.
Scott Ray is a customer advocate manager for Envision, a contact center workforce optimization solutions provider. Scott works to identify contact center needs and implement solutions to ensure ongoing performance improvement.
Q. I am a baby boomer, and the retirement years are looming large. I have one to two years before I want to retire. Do you have any suggestions for an exit strategy?
A. Begin by finding out what your business is worth from a reliable source. Next, look at what you can do to improve the bottom line. This is not the time to purchase expensive equipment, but rather a time to cut any dead wood, do a rate increase, and trim your sails. You want your business to show proven profitable EBITDA figures for the past year. Call your attorney to set up any legal structures that might maximize profit and protect your assets. Also, give your attorney the name and number of a reliable broker who has your information and can proceed with the sale in case of your death. Finally, call any of your other trusted business and financial advisors for their guidance.
If your family is involved in the business, talk to your accountant to determine the best way to pass on the business. If you are going to sell it, mentally go through the sales process to see how the sale could affect you and your family’s tax position in order to maximize the sale proceeds. For example, if you are a C Corp, you will be double taxed, so this consideration should be taken into account when pricing your business. You will probably want to take a note back for consulting, as this will put more money in your pocket. Items like this will often increase the value of your business and should be considered before it goes on the market.
It is best to plan from a place of balance in your life where your business and personal matters are doing well. Emergencies such as poor health, financial issues, or family problems are not the time to make important decisions. Poor choices come from reactive decisions caused by stress, seriously undermining one’s retirement. Have a plan in place; then, if you do have an emergency you won’t be making desperate or questionable judgments.
Mind Your Business: The Power of Thank You!
I have not received any questions for this issue so I will inject an old idea that has lots of significance and value. I was chatting with a good friend over the Thanksgiving holiday weekend, and the subject of gift giving for their grandchildren came up. I asked what their ritual was, and she said that she and her husband used to spoil the grandkids rotten with gifts every Christmas but after a few years of giving without ever receiving a thank you note, the ritual stopped. They even asked their children why the grandkids never sent them a thank you note, as they were taught better than that. The response was that the grandkids were too busy – too busy to send Grandma and Grandpa a simple thank you note after all the time it took to shop, purchase, wrap, and send them gifts.
We sold a rental home this year and the salesman who sold the house for us received a nice commission, but we did not receive a thank you note. Nothing. In the future if we sell any more property, guess who will not get the listing? On the other hand, we treated ourselves to a new car this year, and we not only received a handwritten thank you note but also additional notes throughout the year asking how we liked the car and if there was anything else they could do for us to be of service. Guess who will be greatly considered when we are in the market for another car?
Sometimes the smallest and simplest thing one can do to improve one’s bottom line is to thank someone for their business. At TAS Marketing we try to remember our clients, both the buyer and seller, with a gift or thank you note because when similar situations come up again, whom are they going to think of? Plus, sending thank you notes is just a common courtesy.
When you figure out the costs of adding a new client to your service and how easy it is to lose one, a simple thank you note does wonders.
May the New Year be full of blessings, business, and a great bottom line.
If your goals involve career change or advancement, you’re not alone. A poll by MyGoals.com found that starting a business ranked second only to losing weight as the most popular goal for 2007. Other goal accomplishments on the list were being financially independent or starting the search for a new job or business.
Look at your market: With the use of 800 numbers, T1s, and VoIP, the world is now your marketplace. Create an environment for happier, better-trained agents while reducing your costs by taking advantage of the home-based, virtual office in order to match or beat your competition. Hire competent, experienced staff that enjoys working from home. Besides the cost savings, you will be able to staff your operation when there is a workload, not when they are available.
Focus: Find a niche and serve it. Whatever segment of the industry you want to serve, such as funeral homes, apartment complexes, medical accounts, and so forth, know it and do it well. Become the expert in what you do.
Serve: Service is thinking about others and working on their behalf to deliver something they want, need, or value. Service isn’t about me, me, me.
Perform a career checkup. Lynn Brown of the outplacement firm Right Management in Parsippany, NJ says the start of a new year is “an ideal time to take a realistic look at where you are, where you expect to be going, and how satisfied you are with both.” Investigate the options available and ask yourself where you want to be in five years. “Start recognizing yourself as a financial entity that has to survive in the workforce for at least half a century,” says Brown.
Create a folder on your desktop at home called “Career Management” and take stock of your abilities, including any sales, operations, and business management. Realize that you don’t have to do it all yourself. You can hire the talent in areas where you are weak.
Balance work and personal life. If you neglect your children this year, you’ll lose that time and never get it back. New opportunities have emerged in the telemessaging industry where you “can have your cake and eat it too.” With VoIP, the virtual office, and the latest technological advancements now available and affordable in today’s marketplace, you can afford to stay at home and be there for your children when they arrive from school. Every individual has to ask themselves, “Am I doing what I need to do for my work and my family this day? This week?” This month? This year?
The telemessaging industry is alive with opportunity. It is a business with recurring cash flow and can be run from an office or out of your home utilizing an affordable hosted system. Remember that you can have a fulfilling career while enjoying your life at the same time.
Steve Michaels of TAS Marketing can be reached at 800-369-6126 or [email protected]. His website is located at www.tasmarketing.com. Parts of this article were taken from, “Workers Can Keep Resolutions to Reach Top of Career Ladder” by Theresa M. McAlevy from The Record. Other comments and information came from this year’s ATSI Owners Forum.
Does this ever happen to you? Do you feel overworked? Overwhelmed? Overtired? Most of us are busier than ever. We’re doing our jobs, plus sometimes the jobs of one or two gone-but-not-replaced colleagues — and doing it all with less support. The Institute for the Future finds that employees of Fortune 1,000 companies send and receive 178 messages a day and are interrupted an average of at least three times an hour.
How many of you take several calls at once, jockeying back and forth trying to keep each conversation separate (and remember where you left off each time)? Or how often are you on the phone with a caller, text chatting with another, and coaching your co-worker all at the same time?
“Do more with less,” is the unforgiving mantra of business in the contact center industry today. Make more decisions and get more stuff done — with fewer people and less resources. It’s reported in a study by the Families and Work Institute in New York conducted on 1,003 employees that 45 percent of US workers feel they are asked or expected to work on too many tasks at once. Is this true for you?
How do we do it? We become very good at multitasking. We do it everywhere — largely because of technology. But does this mean you have less time to do real work? How do you manage to stay sane in the face of these crazy demands?
A growing body of scientific research shows that multitasking can actually make you less efficient. Trying to do two or three things at once or in quick succession can take longer overall than doing them one at a time, and may leave you with reduced brainpower to perform each task. That is why most call centers have their agents take only one call at a time.
Research shows that multitasking increases stress, diminishes perceived control, and may cause physical discomfort such as stomachaches or headaches not to mention shoddy work, mismanaged time, rote solutions, and forgetfulness. Have you ever noticed that as you are working on one task – or one call, thoughts about another task – or the caller on hold – creep into your consciousness?
It doesn’t mean we can’t do several things at the same time, but we’re kidding ourselves if we think we can do so without a cost. Our brains allow us to appear as though we can comfortably multitask. We do have an excellent filtering mechanism to switch our attention rapidly from one thought to the next. At the same time, rather than lose unattended thoughts, this mechanism keeps them active in the recesses of the brain. However, the more we juggle, the less efficient we become at performing any one task. And the longer we go before returning to an interrupted task, the harder it is to remember just where we left off. Multitasking diminishes our productivity and makes us work harder just to feel like we are barely keeping up.
Estimate the time it takes to complete a task. For instance, list the tasks you plan to complete during a four-hour period and write down how long you think each task will take. Then, time yourself. Find the percentage by which you underestimate, and adjust your expectations accordingly.
Write things down – offload what’s on your mind onto paper. Keep a pad of paper and pen by your bedside and write those thoughts that either keep you up, or wake you up, in the middle of the night. I get my best ideas in the middle of the night and write them down so I can get back to sleep peacefully.
Allow yourself to complete a task — the most productive way to work.
Remove distractions: close your door (if you have one), do not check your email, and turn off the ringer on your phone, cell phone, pager, and fax.
Schedule down time for yourself. Do something different – refresh your system so you return to work with a clean perspective and the ability to work more effectively.
Do these sound familiar? Many are techniques for de-stressing and rightly so. Multitasking is stressful. Technology can multitask endlessly. Humans cannot. I find it fascinating that while writing this article, I’ve been interrupted by phone calls, emails, staff, and my mind reminding me what is left in my planner to be done today!
Research shows that the ability to multi-task stems from a spot right behind the forehead. That’s the anterior part of the region neuroscientists call the “executive” part of the brain – the prefrontal cortex. When we assess tasks, prioritize them, and assign mental resources, the frontal lobes are doing most of the work. This same region of the brain is where we pull off another uniquely human trick that is key to multi-tasking – “marking” the spot at which a task has been interrupted, so we can return to it later.
However, the prefrontal cortex is the most damaged as a result of prolonged stress — particularly the kind of stress that makes a person feel out-of-control and helpless. The kind of stress, for example, that you might feel when overwhelmed by the demands of multi-tasking.
When a person multi-tasks well, without errors or disastrous results, it is usually because one or more of the tasks engaged in has become automatic. For example, I can eat lunch and read the newspaper at the same time, because eating really involves no conscious thought.
In conclusion, just as multitasking has it’s drawbacks in business and personal activities, it can also be counterproductive and stress inducing in the call center. Look for ways to avoid multitasking to increase your overall effectiveness and quality.
Rosanne D’Ausilio, Ph.D., an industrial psychologist and President of Human Technologies Global, Inc., specializes in profitable call center operations in human performance management. Over the last 20 years, she has provided needs analyses, instructional design, and customized customer service skills trainings. Also offered is agent and facilitator university certification through Purdue University’s Center for Customer Driven Quality.
Tight economy, reduced staff, and demanding callers: these days it’s extra challenging to satisfy and keep clients. It’s even more important than ever because customer loyalty is generally considered the primary means to retain clients, maintain profitability, and gain an advantage over the competition. It’s been this way for a long time; it’s just getting more attention now.
1. Know your product and services inside and out. Not being knowledgeable frustrates clients and their callers. An uneducated agent is semi-useless to a caller. Job knowledge is important in any position and call center agents are no exception; knowledge is the key ingredient to serving callers.
2. Believe in your product and services. Most of us know of a salesperson who has never had any formal sales training. However, based on a belief in the product and services, along with contagious enthusiasm, this person is a top seller. People love to buy from people who get excited about their products and services. Add that enthusiasm to strong training and just see how far your agents can take you. Don’t forget, customer service representative are sales people, too!
3. Walk the talk; practice what you preach. A Ford dealer would not drive a GM car. Similarly, call center employees need to use and understand their call center’s product or services before they can expect their clients to have confidence in them.
4. Keep your word. Companies spend thousands of dollars advertising their services and products. They boast that they’re the best and number one. However, just saying, “We guarantee our work,” isn’t enough. Clients need to know that you’ll do what you (and your advertising) say you will. Whatever you claim, make sure you keep your word. Plus, be sure all employees keep their word, too. Telling a caller that something will be to them in seven working days and then having it not show up is a creditability buster.
5. Return all calls and emails. It boggles my mind when a call or an email is not returned. There’s not an excuse in the world I could buy when that happens. Sure, some sales and customer service people get way too many calls and aren’t able to return them in a timely manner. Well, then have the call returned on your behalf! What about returning an email? How much time does that take?
6. Don’t ever forget who “brought you to the dance.” There are always clients who were with you from the start. They helped make your call center a success. They believed in you. A nice simple note once in a while is an ego booster to them and you’ll feel good about it too.
8. Be in a good mood. All the time! Be the person that when the client leaves or caller hangs up the phone, they think to themselves, “That was a great call/visit.” What if you are not in a good mood? Then learn how to be. Remember one of our Telephone Doctor mottos: “A phony smile is better than a real frown.” Do you really think the first runner up of the Miss America contest is as thrilled for the winner as she says or shows? Talk about a great big phony smile!
9. Participate in customer service training programs at your company. Sure you know how to be a good customer service representative, but everyone can use a refresher. If there are no programs in place on customer service, ask for them. At best, you’ll be ahead of the competition and at worst you’ll be even with them! Customer Service is not a department; it’s a philosophy – for the entire company. Everyone needs to embrace it or it doesn’t work.
Nancy Friedman is president of Telephone Doctor, an international customer service training company, based in St. Louis, MO. | 2019-04-23T14:11:43Z | https://www.connectionsmagazine.com/tag/career-and-self-improvement-articles/ |
The leaves are turning to gold here in the Pacific Northwest, and it’s time to turn toward fall projects and get some work done!
After focusing most of last year on promoting Cradle in the Waves, I’ve turned to other projects that have been around almost as long.
I’ve been working away on a twin-timeline story set in Seattle in 1918 and 1969. I’m hoping to finish the book in time for the 100 year anniversaries of many of the events involved (World War 1 and the Great Influenza).
Cradle emerged from the long process of taming my creative scatter into something whole, and many readers seem to enjoy and relate well to both the story and the history. Kind comments from friends, family and readers help keep me going when in doubt.
Thank you, thank you, thank you, to each and every one of you for taking the time to express interest or enjoyment. And all the best to you in whatever work or life situation needs persistence and grace to complete, especially as we face the shortening days of fall.
Those of you who’ve read the book know that Lucy’s house sits at the site of what is now Fort Worden. The staff at the Fort Worden Gift Shop (all volunteer) keep ordering my book and promoting it, and selling out! I’m so glad that they’ve read and enjoyed the book, and feel comfortable recommending it to others. If you haven’t visited Fort Worden in Port Townsend, it makes a wonderful day trip for exploring the trails, bunkers, old buildings, playing in wide-open fields or walking on the sandy beach. You can also take dogs on leash there, or off leash at North Beach, which is a little beyond Fort Worden, but easy to access.
Another lovely friend to the book is Mary Kay Sneeringer, owner of The Edmonds Bookshop. She and her staff keep recommending the book, and most recently sent a copy to the Edmonds Library for a local author table. Mary Kay and her staff qualify as heroes in the book world, generously promoting and supporting reading and literacy on so many levels.
Thank you, thank you, Friends of Fort Worden and The Edmonds Bookshop.
We’ve had a new arrival with Archie, the poodle puppy we re-homed in March. Chester had been very lonely since our children moved for school and work a year ago (mom might be a touch empty-nest too). Archie has kept us outside, active, and happy with his crazy antics. Two dogs equals puppy pandemonium, but they are a gift most moments of the day. They may have convinced me to put a bit about a dog in the WWI book.
Here’s to a new season, and refocusing on goals, wishes, and dreams.
I welcome questions on any of my projects, and am always glad for readers of early versions of my novels. Feel free to message me or check out my Facebook page.
At a library near you this week!
Many of you will be at various events on Saturday, some very far away!
I’ve had Whidbey Island on the calendar for months. I’ll be speaking and signing books at the library in Freeland on Saturday January 21 at 11 a.m.
Freeland sports a cafe with great coffee and super friendly locals, and Chester’s favorite beach at Double Bluff where he can run for a long, long way and all of us can breathe fresh air and stretch our legs under a wide sky.
I’ll be reading from my novel, showing photos and quoting choice bits from news and letters. Some still shock me, though our political climate now would fit well with a lot going on then! The famous Isaac Ebey and his farm on Whidbey show up in the novel so I’ll be focusing somewhat on that for this audience.
If you are not in Washington D.C. or trying to hide in a quiet place from the hubbub, might you consider a ferry ride and lovely place to get out for the day?
We all have to follow our consciences. As a former community college teacher for refugees, my conscience led me to the Martin Luther King Jr. parade. This year focused on unity, with a broad coalition of people and leaders. I loved the challenge to reach out, to love and listen to those who might oppose or even hate us. Martin Luther King Jr. lost his life in that effort.
What do we live for, even in quiet ways? What do we care enough to die for? Strong questions.
A Cradle in the Waves is a coming-of-age novel; but set here, in a community struggling with land issues, race issues, with the disenfranchised new-comers and the unseating of early peoples from their homes; with the bold, the timid, the bullied, the teenage love-struck, with mothers and chiefs.
Their concerns, sorrows, challenges and joys, their very human foibles and sometimes terrible mistakes can speak to us even now.
Hope you can join me, Saturday or at a future event.
As always, thank you sincerely for all the love and encouragement that keeps this writer going!
Love to each and every one of you, and peace.
Happy Thanksgiving Weekend! Tomorrow is Indie Saturday all over. I’ll be signing books at the Edmonds Bookshop from 3 to 4 (Saturday, Nov 25). Hope you can make it by to say hello! Lots else to do as well. The Holiday market will be going from 10 to 2 in front of the museum. There’s a tree lighting later, and it’s a great time to browse and support small businesses. Check your local book store for events!
In my book, an important fictional character (Quill) is niece to the real chief Chetzemoka. Quill is named after Kwilced, S’Klallam story-teller and elder Elaine Grinnell. Elaine’s grandfather David Prince was Chetzemoka’s grandson, so her stories come from Chetzemoka via her grandfather. I enjoyed hearing her a year ago at the Jamestown Cultural Center in Blynn. Here’s Elaine greeting everyone in the S’Klallam language (about a minute), followed by one of the stories she tells with skill, humor and warmth (about 10 minutes).
I’ve been waiting for a quiet moment to share some news and upcoming events. Also, I’ve added a tab (above) with some great reviews and reader feedback.
“Meet the Author” at Langley Library: November 19, 10 a.m.
I’m excited to be speaking at the Langley Library on Whidbey Island next week on Saturday November 19th at 10 a.m. (Freeland in January). The book contains a lot about settler Isaac Ebey, so I hope locals will enjoy this event. Langley’s a great town for art, coffee, strolling (via a quick Mukilteo ferry ride). You’ll find the library on the main street. They will be selling my books in the back and have been welcoming and helpful. I’m so grateful for librarians!
“Indie’s First” at Edmonds Bookshop: November 26, 3 to 4 p.m.
I’m honored that the Edmonds bookshop has chosen me as an author for Indie’s First Day. I’ll be signing books from 3 to 4, and sharing some of my favorite reads.
At one of my events, a person bought a book to donate to the local library, which seems like a wonderful idea. Why not show love to your class, school or local library by gifting a book? You can buy in person at the above events, or here online. I’d be happy to send a signed copy to you or mail straight to the location. If the library is nearby, I might be able to hand deliver.
Cradle in the Waves has been approved by local teachers for historical fiction (particularly middle grades), and officially by the Jamestown S’Klallam Tribe.
Every time I get daunted, I seem to receive just what’s needed. So many of you have shown up, sent notes, or let me know how much you loved the book and its characters. I’m so grateful!
Let us join, this Thanksgiving, in calling out the good, standing with the fragile, offering help to others in whatever small way we can. I am so thankful when I think of how much you have all offered yourselves to help me.
It keeps me going, even if you may think your offering is small. Happy Thanksgiving!
All the events so far have been beyond expectation, selling lots of books, and meeting wonderful readers and booksellers. The event at the Edmonds Bookshop sold all copies on hand (I guess that was a first!).
A big thank you (it’s thanksgiving in Canada!) to all of you for giving the book to friends and family, who’ve recommended it to others. I’m particularly grateful to readers who’ve let me know how much they enjoyed the story and characters.
I took a little time away with my sons, before both moved for work and school. My eldest son and I enjoyed the newly reopened Smith Tower.
I’m glad to have the book, Steve, Chester and friends to keep me busy as I’m missing them both very much. Back to work!
November 19th I’ll be at the Langley library on South Whidbey. The libraries on Whidbey have been fantastic with their enthusiasm and support. Time tbd.
I’ll speak at Freeland library in January, and have also been invited to an author event at the Jamestown S’Klallam cultural center that month—dates TBD.
Eagle Harbor bookstore in Bainbridge has invited me to speak, possibly in schools. I’m working on fun ways for students to interact with the material.
A friend and I visited Bainbridge yesterday to drop off books, enjoy the great fall color, eat soup and drink coffee of course! Chester enjoyed all the kind people who said hello at his level. Great day trip.
In a Library Near You: A friend donated several copies to Sno-Isle libraries, and I’ve started donating a copy to locations where I’ll be speaking. So far: Edmonds, Langley, and Freeland. A copy for Bainbridge should arrive soon.
I’d love to post on Goodreads, but need reviews on Amazon to qualify. If you are one of the kind souls who has told me how much you enjoyed the book, could you please post a review on Amazon (or on Goodreads once I have a page)? Many Thanks.
Thank you for considering buying from a bookstore or my website (also to the right), as I still pay all the costs, but get almost nothing if the book is purchased from Amazon. I offer competitive pricing and free shipping to US addresses.
Now Available at: Edmonds Bookshop, Eagle Harbor Bookstore, Fort Worden Gift Shop, Village Books, and the libraries listed above.
Enjoy the Fall Color out there! Or a nap at home.
Author at Art Walk, Fort Worden, and a Tour for You!
It’s been a busy month for the book! We’re a little tired, but excited!
I’ll be at the Edmonds Bookshop for Art Walk this Thursday the 18th from 5 to 8 pm. The Edmonds Beacon is running an article on Cradle the same day. Shoutout to the Edmonds Bookshop for tremendous support and inviting me to be there for Art Walk. It’s a fun event at venues around town. I’d love to see you! Drop by for a hello, a signed book, or a copy of my book-locations tour (link below).
We just visited Fort Worden yesterday and came back so refreshed. As I stood in the clear water, I remembered how much we love this place, and how I wound up writing a book. It all started here.
At the Marine Science Center, we found yet again a combination of wonder, water, and learning as we touched urchins and watched delicate arms move in slow-motion as plumed beauties fed.
Chester danced in the surf, scattering sand and saltwater, and smaller dogs. I always look under the dock as we leave. Today, small black fish darted through beams of light and shadow.
Otters often play here, sometimes murrelets and always plumy white anemones waving from their anchors on the pier. The kingfisher clacked and complained, as always. The air and sky? Tough to describe such clear air and true blue, or how good it is to watch small children build sandcastles and teens jump in the cold water, or throw each other in, then scream and run out again… and repeat.
Many of the book’s events happen right here, where Lucy lived. Here’s the simple, un-pretty version of the self-guided tour. I want you to have it while it’s still summer. My ideal version has photos, designs and artfulness. But, oh well. I’ll try and put up more fancy soon. This is one page (double sided) and easy!
Do go if you can! Can’t beat Fort Worden beach on a sunny day!
We got up early and drove right on the 7:50 ferry (7:10 on summer Saturdays). The early hour is worth it to avoid a long wait. On the way back, we did wait an hour in Kingston – but there’s ice cream, coffee, and a wow view of Mount Rainier, also a nice park area.
We stopped briefly in Port Gamble – equal parts moody and lovely in the fog. The dahlia test garden is overflowing and we all loved it.
On the tour page, I say you can do the loop in a day. You’d have to be fairly brief in each spot (which we are incapable of on a warm summer day). Probably best to spend a long day on one side – Port Gamble, Chimacum, Port Townsend. Then give yourself the gift of a day on the other side of the water taking the Mukilteo Ferry to Whidbey Island for Fort Casey, Ebey’s Landing (Double Bluff for dog park) portion. Plenty to see there as well, and gorgeous views and hikes. Bring kites if you’re going to Fort Casey!
Many of these places have reduced hours after Labor Day or are closed (Marine Science Center). You can enjoy great walks and beaches and see the locations, but might not find as much to do. Depends on whether you’re a sunny day, crowds and activity type, or perhaps a fall-to-winter, blustery, more solitary type. The locations are there and easy to find in any weather.
If there’s enough interest, I may do a guided tour in fall of the locations. Please let me know if you’re interested by leaving a comment through my contact form.
One of the greatest delights of writing this book has been the ongoing discoveries every time I travel the roads and fields of its landscape. A few days ago we took an impulsive detour that lead to a location in my story, a wonderful business, and stellar new friend of the book.
About a year ago, we were driving through the Chimacum Valley to Port Townsend. We stopped at an intersection we’ve passed so many times. I looked sideways and couldn’t believe I was staring at a location in the novel. We got out and sure enough, this was William Bishop Jr.’s house (the son of the founder of Chimacum).
A few days ago, we drove over to collect the cover art for the book from Nina Noble. (The painting is even more beautiful up close. I’ll have it at the release on the 9th in Bellingham!) On the way back, I remembered that Finnriver Cider had bought the old Bishop place, and that their tasting room was somewhere up that road. We’d missed the next ferry and had some time. Maybe we should go find the Cidery?
Imagine our surprise when we reached the intersection and found a full-fledged business on the site of the original Bishop farm. Finnriver had moved down the road and built a cider yard, with tasting room and food. When you walk into the property, you’re looking through into that lovely valley, at lavender fields and their orchard.
Without giving too much away, there’s a barn dance on the 4th of July at the very spot where I was standing, under a soaring roof, with benches made from the boards of the Bishop’s barn. It was uncanny the way it was all converging.
I finally spoke to an employee and she kindly introduced me to the owner.
Then we sat down and talked about the farmers who’d loved and worked this soil, enriching it. About the history, and the lady who had been the wife of the founder of Chimacum, Klasistook/Sally (a woman from the Snohomish tribe). I offered her the book. She offered us some cider and showed me her menus, with William Bishop and his wife Sally’s photos. This woman and farm exude energy, stewardship, hard work and generosity.
As we talked, I realized I’d blended William Jr’s wife and Klasistook to come up with a person half-way between the two. I will leave Mrs. Bishop as she is in the book, but change the end notes. This farm belonged to Bishop’s son, who was the first Native American legislator for Washington State and served for many years, and his father’s story is remarkable.
As we left, I marveled at the way the threads had come together. My childhood love of the fields and farms I rode through on the bus in Sequim, on my way to school. Our love of this valley in Chimacum… of sustainable farming, and people who care for the land and its history.
And the way my scene resonates with the place now.
There’s going to be a barn dance at Finnriver! I love that people will be doing what I imagined when I wrote the story: twirling in the warm air of a late summer evening, playing fiddles and celebrating the life of the people and the land. A Cradle in the Waves is the story of a summer, and the simple joys to be had even in the midst of times of conflict and change.
Over the next month I’m hoping to get my ‘tour’ of places in the book finished. Finnriver and the Bishop Farm will definitely be on it!
Crystie kindly invited me to do an event there sometime. If we can put that together, I’d love it! In the meantime, she’s agreed to do a post here. Oh the joy! Thank you Crystie for taking time, and for your wonderful welcome.
I’m so grateful for all the interest in A Cradle in the Waves. Above, see a brief summary and a wonderful review from a local naturalist and author.
Release party at Village Books in Bellingham on Saturday July 9th at 4 p.m.
I’ll also be at the Edmonds Saturday Market on Saturday July 16th pretty much all day.
I’d love meet you, answer questions about the book and its background, and sign a book for you.
Ordering is now available through SwiftSong Press.
Who Might Enjoy this Book?
I hope you will love the story of A Cradle in the Waves. Readers of about 10 years (or 5th grade) on up who like history have loved reading this book. The story is set in a finely drawn world of conflict, beauty, danger and mystery, but is also an adventure, a love-triangle, the unfolding of a friendship forged in the midst of social and racial conflict.
To help the reader sort through who’s real and who isn’t, I’ve included newspaper clippings, photos, journals and letters from some of the most famous people and events of the time.
The S’Klallam tribe has lived in this area for thousands of years and their tribal historian and story-teller kindly worked with me to bring unique details to the book; as well as an interview with a direct descendent of Chief Chetzemoka.
If you’re not a history lover or a child, I hope you will still take a look. So much can happen in a summer, between two people from different backgrounds, between two friends, between the covers of a book!
I’ll be posting regularly with images and historical information, and a map of a tour you can take to visit all the sites on a day trip to Port Gamble, Port Townsend, and Whidbey Island.
Lucy’s curiosity has endless scope in Boston, but when her family moves to a tiny northwest town, she’s stuck with mud and trees. With a mouth quicker than caution, she soon betrays the only girl who’s helped her, defends a boy she resents, and lands herself in the midst of a simmering stew of conflicts between settlers and Indians, with sailors and miners swirling in the midst. A scalping, a green-eyed farm boy and the nagging feeling that her mother is hiding something leave Lucy thinking a little boredom might be welcome. | 2019-04-18T20:28:11Z | http://anne-marie.heckt.com/author/admin/ |
How can I implement a "Genius Hour" with my students?
Much lip service is given to the ideas of student choice, project- and problem-based learning, and intrinsic motivation. But what are practical ways teachers can incorporate these ideas into their lessons?
Genius Hours are one strategy many teachers are incorporating. It's an idea adapted from Google and what Daniel Pink originally called "Fed-Ex Days."
Today, Rebecca Mieliwocki, Gallit Zvi, Denise Krebs, Yvette Jackson, Veronica McDermott, Amy Sandvold, Josh Patterson and Maurice J. Elias share their responses. You can listen to a 10-minute conversation I had with Rebecca, Gallit, Yvette and Veronica on my BAM! Radio Show. You can also find a list of, and links to, previous shows here.
I've used versions of a Genius Hour in my own classroom. You can find lots of practical resources at The Best Resources For Applying "Fed Ex Days" (Also Known As "Genius Hours") To Schools.
Before I offer an answer, I just have to share how transformative Genius Hour was for my teaching, my students and my classroom, and me. If you have any way at all of trying this, even if it becomes a Genius Week or a daily Genius Minute, please DO it. You won't regret it. I promise.
I have always cared about creating a student-centered classroom where there were choices for kids, tiered assignments, circling back and re-teaching for strugglers, and opportunities to stretch. However, even with all of this baked in to my teaching, I struggled to get 100 percent engagement from my students until Genius Hour. After hearing all of the buzz and success stories from friends and colleagues who were trying it, I decided to wade in myself.
Every Friday for an entire semester, I would turn over the reins of research, learning, and doing to my 7th grade students. We began by spending three class periods introducing the concept of Genius Hour and self-directed learning, having them select some of their personal passions, and then narrowing it down to a focus question about one of those areas that they'd like to spend 17 more hours exploring. To excite them about the idea I shared several TED talks by young people who have set out to change the world by small, simple acts that anyone could do. I wanted them to feel empowered by the freedom to choose what to work on, not afraid. Focus questions had to be approved by three people (two classmates and myself) before they were set free to the discovery phase. Questions could not be Google-able, could not be yes or no questions, and finding the answer required about 15 hours of thinking, work, and research. In other words, focus questions were tricky and needed to be just right in order to propel this project.
Once their focus question was approved, students came to class each Friday, took out their Genius folders, grabbed an iPad from our cart, and began work. Each Friday would find my students engaged in different activities such as reading, researching, testing, drawing, building, or practicing. Depending on the stage of their work, I might have 36 different kids doing 36 different things. About five minutes before the period ended, they had to log their activity for the day and list one next step they'd need to accomplish before the next work session. Three times per semester, I'd send out a blog question about their progress through our KidBlog site, and they'd have to formulate a 250 word written response. Parents, administrators, their classmates and I could all view and comment on student blog responses. These short and medium-sized written bits received marks in the gradebook.
With three weeks left to go in the semester, students began learning about the various ways they could present their journey, with one mandatory component being the use of digital tools. I made it clear on day one that success was to be found in the journey. Whether they accomplished what they set out to or not, it was more important that they shared their process, their progress, and then whatever outcomes they feel they did achieve. We wanted to follow their journey, not just see them at their finish line. What followed was two weeks of shared individual learning & discoveries that blew me away. My students learned to sew, to play guitar, to code video games, to speak a foreign language, to make a short film, and 31 other unique things. The student with the short film was invited to Comic Con in San Diego last year to present it at the Kids' Festival there. Wow! I couldn't believe how an idea so simple as letting kids loose to learn on their own could reap such invigorating, meaningful, and inspiring rewards. During the presentations, students wrote constructive feedback and asked probing questions of one another, and by the end of the term, kids implored me to promise we'd do it again in the spring. We sure did, and I can't imagine teaching without Genius Hour ever again.
Hopefully this story inspires YOU to give it a try. I have colleagues who couldn't commit to a full semester and just devoted a week to individual, focused inquiry. Another teacher I know kicks off the week with a Genius Minute where she shares discoveries and innovations from the world outside the classroom and challenges students to be this kind of thinker/doer/maker in their own lives. They bring in and share their own experiences and discoveries periodically throughout the year.
1) You as the classroom leader MUST be comfortable loosening your grip on the period. Instead of driving what happens, you are facilitating what your students need from you moment to moment. This can be hard for control freaks (like me) but so, so good for us. It allows us to exercise that guide-on-the-side muscle we really need to strengthen.
2) Access to regular technology is not necessary, but is extremely helpful. Whether you have a cart, a lab, or allow kids to use their smart phones, technology truly helps kids be able to make the most of the time you spend on Genius Hour at school.
3) Managing so many different kids working on so many different kinds of projects can be taxing, so organization and flexibility are keys. Using logs, tracking systems, and routine check-ins with kids will help keep them and you on the right track and heading for more successful outcomes than if you just let kids completely go. You want to make sure that every kid has something to share by the end of the term, so keeping on top of where they are at and what you can do to help them reach the next step is very important.
Ultimately, all of us came away from our Genius Hour experience deeply fulfilled. I saw my students plunge into learning with their whole hearts and minds. I saw them read, write, research, think, hypothesize, communicate, problem-solve, build-all 21st century skills. All I had to do was give them the opportunity and then get out of the way. I know we all say what amazing things kids can do when given a chance, but there are only a select few teachers who are truly comfortable giving students the special kind of experience Genius Hour creates for them. I hope you are one of them.
Before you can help inspire your students, you need to get inspired! We hope you will research and really see the possibilities for learning in your classroom—learning that transforms the culture in your class.
Things changed in our classrooms when we realized the teacher is not primarily a dispenser of knowledge, but a partner with students in learning. We hope you already have an active and expanding learning environment and Genius Hour is your next step. If not, be sure to check out what others are doing and discussing. We recommend following the #geniushour hashtag. Watch videos of students working in Genius Hour. Ask questions.
What do you love to learn and do?
What would you create if you had no limits?
Use discussion starters that begin with "What if...?" and "Imagine..."
"What Do You Do With an Idea?"
Some teachers encourage students to brainstorm and record their questions and potential Genius Hour projects on post-it notes to add to a class Wonder Wall. Others have students keep a wonder/passion journal.
If you want your students to think about a Genius Hour project that connects their passion with helping others, you might lead them in a heart mapping activity, as Karen MacMillan does with her students. They map their hearts by answering and recording their thoughts on these questions, such as: When it comes to helping people, what are you passionate about? What breaks your heart about your passions? How might these heartbreaks be fixed or improved? (You can see details and examples of following your heartbreak at Angela Maiers' site and Karen's original posts, Helping Students Choose2Matter, Part 1 and Part 2).
Of course, Genius Hour isn't always about public service. Sometimes children want to learn more about their passions in Genius Hour because doing so lightens and enlightens their own hearts. We believe that for Genius Hour, all ideas are on the table. We would encourage you to accept all brainstormed ideas and guide students in the next step as they find the inquiry question for their project.
The next step is for students to go ahead and come up with a plan for their Genius Hour projects. We recommend having students frame their projects with an open-ended inquiry question. This will help them stay focused during their project. For example, "Sports" as a topic is too broad and can lead to them spending their precious Genius Hour time wondering what to do, while "What characteristics do athletes have in common?" or "Since participation in sports is good for your mental and physical health, how can I help more people get involved in sports?" are much more focused.
We've had students explore everything from planet sounds and raising awareness about juvenile diabetes to writing novels and baking cakes. You'll be amazed what your students come up with when you give them unfettered time to wonder and create.
We hope that these tips help you implement a Genius Hour program with your students. However, please keep in mind what Parker J. Palmer says: "Good teaching cannot be reduced to technique; good teaching comes from the identity and integrity of the teacher" ("The Courage to Teach"). As educators, you will have to do it your way and make it your own, but these steps are the tried, tested and true ways that have worked for us and many others.
What Do Harry Potter, Values and Beliefs Have to Do with a "Genius Hour"?
When Harry Potter started school at Hogwarts, his teachers believed their job was to draw out his magical powers, powers Harry did not know he possessed. They devoted themselves to this task on a full-time basis, not only during a "Magic Hour." If we believe that our job as educators is to draw out the genius all students possess, we, too, would devote ourselves to this task on a full-time basis, not only during a "Genius Hour." Doing so is a statement of values, a willingness to invest deeply in what we believe, a desire to "gift" all of our students with the same high quality curriculum and pedagogical practices that are too often reserved for those labeled gifted.
"Gifting" all students is not far-fetched. It's done regularly by teachers with high expectations for their students and who possess the confidence and competence to provide the supports students need in order to have their genius rise to the surface. The High Operational Practices™ of the Pedagogy of Confidence® provide teachers with guidance in how to turn every learning and teaching hour into a genius hour.
The seven High Operational Practices that make up the Pedagogy of Confidence encourage teachers to intentionally and fearlessly design lessons that identify and activate student strengths, build relationships, amplify student voice, elicit high intellectual performance, provide enrichment, integrate prerequisites for academic learning and situate learning in the lives of students. These seven practices work in conjunction with each other to create a new and all encompassing landscape for learning, one that occupies every part of the learning and teaching experience all day, everyday. When implemented faithfully and universally, these seven practices can transform classrooms and schools, increase student motivation and engagement, and result in students and teachers who exercise agency, feel energized, and become self-actualized (Jackson, 2011).
The High Operational Practice that jumpstarts this process is the first one: identifying and activating student strengths—the catalyst for eliciting personal strengths and the innate potential of students. Eliciting strengths is the antidote to the numbing impact of the deficit model that devalues potential by labeling underdeveloped skills as weaknesses and students as "low performers." Starting from strengths is a no cost, highly effective, non-traditional way of addressing persistent student underachievement that changes the composition of the brain and the culture of the school (Jackson & McDermott, 2015).
Leadership teams that fearlessly embrace the Pedagogy of Confidence start by affirming the promise of the magic of innate student potential for genius. They possess a vision that is inspiring. They put into place organizational and cultural supports that mediate movement form the current reality to the desired vision. In other words, they AIM high to achieve more (Jackson & McDermott, 2012).
The Pedagogy of Confidence starts from beliefs that ask different questions. Instead of asking how we can implement a genius hour, the Pedagogy of Confidence asks us to consider what would happen if we dramatically changed the way we think about, talk about, and interact with our students, especially those who are currently not thriving? What would happen if we re-oriented ourselves to believe that all students possess genius and we invested heavily in our commitment to draw out that genius? Our teaching would have a new sense of direction, every hour would be a genius hour, our students would experience the magic of having their potential released and realized—and none of this would require magic wands or incantations.
Jackson, Y. (2011) The Pedagogy of confidence: Inspiring high intellectual performances in urban schools. New York: Teachers College Press.
Jackson, Y. & McDermott, V. (2012). Aim high; achieve more: How to transform urban schools through fearless leadership.
Jackson, Y & McDermott, V. (2015). Unlocking student potential: How do I identify and activate student strengths? Alexandria, VA: ASCD.
Many of us have dictated schedules. How do we find time for a student-driven framework? The answer is all about MINDSET. With the right teacher mindset, we can have passion-driven classrooms that honor the strengths of each student, no matter the schedule.
A student-driven teacher mindset knows the difference between "DOING" genius hour vs. "BEING" geniuses. Even though it is referred to as a Genius "Hour", it is really how the teacher's mindset is focused on student strengths all day long. Sure, you can wait until this one hour and say to students, "OK! This is the only time of day that you get to BE your own geniuses." A teaching mindset that values students for who they are and what they care about is something that impacts every single curriculum area.
It is more important to have a strengths mindset all of the time than to have a one hour or one slot in the day in which we DO genius. If you can have both, even better.
Really commit. Without a commitment, we see genius hours and passion project time confusing to students. Once unleashed, students don't want to go back to the "old ways." They don't want to wait for their one hour or miss their one hour. This is very important to remember because teaching this way will change everything.
Give up some power. Think about all of the things you do as a teacher. Could your students be doing them instead, gaining valuable experiences? Students start building new strengths when they have opportunity. Assigning classroom jobs beyond line leader is a start. Let them BE responsible and have some of your other bigger-deal roles. Let them fail. Let them keep improving. This sends the message to students that you trust them and that they have strengths!
Learn student triggers. Every child has their learning triggers or things that they know and care a lot about. Implement a mindset that although not every child can be a genius in the true sense of the word (Mensa, IQ, etc), every child IS passionate about something. Figure out what that is. This is their learning trigger.
Start a chart of each child's name and three boxes next to their name. As you get to know your students, really listen. The child that comes up to you every morning to tell you something is sharing their learning trigger (they may not realize it, but you can!) Some of these triggers may be positive things and some may be things that annoy them. If it annoys them, they are passionate about it and that is also information. Jot down what you hear them say. Over time, you will have a class learning portrait.
Build a "Can-Do attitude" with an enormous poster. If you know your students' triggers, you can use these to refocus them to face challenges. We must believe that they CAN and they WILL achieve. Learning is work. Work is good. Challenge is fun. It's not that they can't do it, they won't do it because it takes work. I put up a huge, obnoxious poster on the wall that has a red line drawn across the words, "I CAN'T...This is hard" and next to it these words, "Mistakes are Proof that I am Trying!"
We created The Passion Driven Classroom framework to help teachers find their passion-driven mindset and to become laser-like focused on what triggers their learners. Create opportunities to honor this in the school day. This is how we help students discover their genius. Teaching this way is a mindset, not just a one hour project!
Who invented the Hula Hoop? How do fish breath underwater? What was the Harlem Renaissance? As any parent of a preschool—or elementary school-age—child can attest, children are born with a natural sense of curiosity. It is this innate sense of wonder that will lead and support our students' lifelong journeys of discovery and learning. As educators, we have a moral obligation to not only allow for our students' inquisitiveness, but to also foster and support this powerful, often untapped potential. One of the most effective strategies for promoting inquiry and student engagement is Genius Hour.
1) Start with an inspiring question. If given the opportunity to research and uncover possible solutions or answers, students not only become relentlessly engaged but also passionately responsible for their own learning.
2) Get the right supplies for the journey. Depending on their age, ability, and interest, teachers will need to support students along a directed, guided, or open continuum of inquiry. Whether it's an iPad, a variety of texts, chart paper, pencils, or a magnifying glass, consider what tools your students will need to successfully further their exploration.
3) Embark on the lesson - and give them room to find their own way. If we truly desire our students to become lifelong learners, we must acknowledge that promoting learning through questioning is not enough. Students must have the opportunity to not only ask questions, but also enjoy the space to explore, discover, and uncover their innate inquisitiveness.
To start the process of Genius Hour, teachers must provide the necessary space and time for students to explore an identified topic of interest. If you feel constrained by the curriculum or pacing, provide students with a set list of people or topics found within your grade level's standards. Genius Hour can also be incorporated within an integrated unit of study. These possibilities allow educators to remain closely tethered to the curriculum while providing time and space for their students' individual interests and inquiries. For students in younger grades, educators may need to teach the skill of crafting a well developed question (i.e. open vs. closed, thick vs. thin). Building a student's prior knowledge of a particular topic may also be a consideration.
Once a question is determined, a teacher must decide how and when to provide the necessary time for students to research. Student age and general cognitive ability should be considered when determining an amount of time. A teacher may also need to model the research process or establish parameters for students to explore. Again, this will depend on the grade level. Symbaloo.com, a service that allows you to bookmark multiple sites, and Kiddle, a kid-friendly search engine, are two easy-to-navigate resources for teachers seeking to begin Genius Hour. Another resource to promote student inquiry is Wonderopolis.com. Students can utilize Wonderopolis to research information related to their selected topic. Finally, after research is complete, students must determine how the answer or solution will be shared. Teachers should encourage students to be creative in communicating their answer or solution.
When students are given ownership of their learning through investigation and discovery, they not only guide their own learning but also become the expert within their own unique community of learners. Genius Hour, at its core, should not lead students to become passive consumers; rather, this unique instructional approach should encourage students to become passionate generators of information and knowledge.
There has been a lot of talk lately about implementing a "Genius Hour" with students. Here is my take on it. Every student has genius. And time should be set aside to celebrate the genius of every student. It does not require a single hour; it's something that can and should be scheduled throughout the school year. You can celebrate two students a week, half hour each; you can celebrate a student each day for 15 minutes—use your imaginations!
My suggestion is that you frame a Genius Hour in terms of Howard Gardner's Multiple Intelligences model. Gardner was interested to see if all cultures defined intelligence in terms of language arts and mathematical skills the way our Western educational culture seems to. Of course, he knew the answer would be, "No." What Gardner also found is that there are physiological and specifically neurological bases for the different kinds of intelligence he identified—intelligences that collectively are essential for humanity and civilization, with some being emphasized by some cultures more than others.
The eight multiple intelligences (MI) Gardner has identified are: Linguistic, Logical-Mathematical, Spatial, Bodily-Kinesthetic, Musical, Interpersonal, Intrapersonal, and Spiritual. There are formal ways to assess your students' multiple intelligences strengths, and Thomas Armstrong has created some of the best, practical materials. But you are likely to know your students' relative MI preferences pretty well.
Students learn well through their strengths and an opportunity to use their strengths can leverage a greater willingness to work on areas of weakness or learning difficulty. That is the importance of celebrating their strengths. Some students can go through a school day—in fact, many school days—without feeling a sense of celebration or accomplishment. A "Genius Hour" is and should be about recognizing things our students are good at and sharing them with classmates, making it clear that there is no hierarchy of intelligences, only multiple intelligences.
You can introduce the Genius Hour—or whatever you choose to all it—by introducing MI and asking students to identify what they think their strengths are—indeed, expanding their view of what a strength is. You can also have students share geniuses they admire, who display particular MI strengths.
An ongoing celebration of student strengths—or genius—represents finding windows into the soul of children and ways to reach them in powerful and meaningful ways. When students are working within their areas of MI strength, they are able to mobilize confidence and enjoyment in ways that can be cut off if they are "off-modality." Thus, it becomes vital for students to have opportunities to be recognized for—and to perform and learn in—their preferred modalities.
Thanks to Rebecca, Gallit, Denise, Yvette, Veronica, Amy, Josh, and Maurice for their contributions! | 2019-04-21T22:48:50Z | https://blogs.edweek.org/teachers/classroom_qa_with_larry_ferlazzo/2017/06/response_genius_hours_can_be_transformative.html |
Gary Johannes is senior lecturer for CPHT Nottingham, Peterborough and the East of England.
Let me tell you my story. Way back in 2012 I qualified with a diploma in hypnotherapy and counselling skills, from an unregulated school of hypnotherapy, run by someone who claimed to have had a successful hypnotherapy practice.
I would be lying if I said I hadn’t loved the course, it was fascinating and I learned all sorts of exciting, but sometimes nerve-wracking therapeutic interventions. I learn’t a little psychology, some basic counselling skills, how to cope with severe abreactions (that’s snot and tears to you and me). However, I was consistently worried about what the right intervention would be to treat the client and wondered how effective the treatment was long-term, but was told that was normal, not to worry and I would figure it out as I got more experience.
Consequently, despite working very hard and continuing training whenever I could, it took me over two years to really get my practice to a point where it could support me and my daughter, and during that time I was stressed, exhausted and constantly wondering if it wouldn’t just be easier to get a job. You see, my course missed out something that every therapist must have – a repeatable process for treating a client. All I had when I graduated were lots of interventions and a certificate.
It all felt a bit ‘smoke and mirrors’ and, what annoyed me most, was that I couldn’t explain, in anything other than vague metaphorical terms, exactly what was happening in my client’s minds to make the difference…even when the results were brilliant!
I actually cringe when I read that, but at the same time I knew nothing different; I was taught that the hypnotist held the power and had to be exceptionally skilled, being able to ‘make’ their ‘subjects’ perform all sorts of phenomena and I had to ‘prove’ hypnosis worked. My friend on the other hand seemed to simply read a few language patterns (in my arrogance I questioned whether it was even hypnosis) and miracles occurred. Of course what I didn’t know about was the rock solid, results driven, scientifically supported therapy that encased this gentle, therapeutic trance that supports the brain in finding the best solutions.
Gary forgave my rudeness, because he knew why and how he got those results and proceeded to tell me about the brain and exactly how he helped his clients get over anxiety, depression, trauma, addictions and more, with a thing called Solution Focused Hypnotherapy. I was skeptical, but kept thinking about his testimonials which had inspired me so much.
A year or so later, as I was still working very hard and reading a lot, Gary was asked by CPHT Principal David Newton if he would like to start a CPHT training school in Peterborough. I jumped at the chance to enrol on the first CPHT Peterborough course, particularly as I would be trained by someone I admired greatly. I very quickly began to see how empowering the therapy was for clients, but also how energising it was for me, both of which were completely new concepts. In my original training I was used to my clients going through boxes and boxes of tissues and me struggling to find a good work life balance.
Suddenly, as I began to switch my practice over to the solution focused approach, working with clients no longer seemed like work, it became a vocation, something that gave me a spring in my step and had me telling anyone who would listen about this amazing therapy that could help resolve the past without delving into it.
t ime and money to then abandon something they were good at, which should have been a successful career vocation.
I wanted to help them. At first I mentored other therapists but quickly realised I could only help them so much, because I was just helping them fix exactly the same problems I had encountered at the start. I knew the problem was not them, but the way they worked. There was only one thing for it – start a CPHT in Kent. So we did. Gary and I launched CPHT Kent in January 2018.
Our first class graduated in October and I’m loving the stories they are already telling me about how they are enjoying building their practices. It is exciting to watch because it is important work they are doing. For me, the better prepared they are, the better supported they are, the better trained they are, the more people they help. Mission accomplished.
That brings us up to date with my story…but are you ready for the next chapter of your story to begin?
This post was written by Ali Hollands. Ali is a multi-award winning clinical hypnotherapist with Inspired To Change in Maidstone. Ali gained her first hypnotherapy diploma in 2012 and extended her training with a diploma in Solution Focused Hypnotherapy in 2015 with Gary Johannes, head of CPHT Peterborough, Kent, Northampton and Birmingham.
You’ll recognise a solution focused hypnotherapist by their smile, their confidence and their openness about what they do and exactly how they help people, but what makes a solution focused hypnotherapist love their career so much? We asked some of our friends and graduate solution focused hypnotherapists and this is what they said.
1: You’ll feel like a superhero, because you are literally changing people’s lives every day. What you do, as a solution focused hypnotherapist, is important; you help people get their lives back on track. By changing their world you are changing the world. You make a positive difference.
2: You are in charge of when and how much you work. If you are fed up with working for other people, doing a job that isn’t important or being stopped from doing what’s right in a job that is important, being a solution focused hypnotherapist will give you flexibility and freedom to work at times that suit you.
3: You can work from home. Although many SF hypnotherapists work in clinics, many also work from a dedicated therapy room in their home. Quite often their children have moved out and they have space to use, or convert a garage or summerhouse into a therapy room. Wherever you decide to work, it is up to you.
4: It is simple. Solution focused hypnotherapy is a modern form of hypnotherapy that, although isn’t necessarily easy to do, is simple for your clients to understand and because they ‘get it’ they move forward quickly. Simple means that what seemed like overwhelming issues, for your clients, can be overcome by making consistent small changes. It makes the impossible, possible.
5: It is evidence and science based. Many people who were, or continue to be, in the medical profession train for a career as a solution focused hypnotherapist because this is one of the few forms of hypnotherapy that is evidence based and underpinned by the latest findings in neuroscience.
6: It is safe. Solution focused hypnotherapy is safe for you and safe for your clients because we don’t use potentially damaging, old fashioned or out of date therapy. We know that, in order to resolve the past it is NOT necessary and sometimes unhelpful or harmful to do delve into it. Your clients enjoy it more and, because we explain how the brain works, feel in control and empowered when they are working with you.
7: It is fun. It is no wonder solution focused hypnotherapist love their career; in solution focused hypnotherapy we encourage our clients to enjoy their sessions, laughter is helpful and we can laugh with them. We don’t go through boxes or tissue every week, our clients look forward to their sessions and feel better after each one.
8: Lots of variety. In the morning you might be helping someone stop smoking, follow that helping someone get back to work after a bought of depression, in the afternoon help someone go for a promotion, and finish the day helping a teenager overcome exam nerves. You’ll never be bored because every day is different and you always end the day feeling liked you’ve helped.
9: You’ll be learning all the time and can pursue your interests. Every day we are discovering more about how the brain works and the field of neuroscience and neuroscience based therapies is developing fast. This means, as your training school, we want to keep up with those advances. Rather than relying on outmoded thinking we find out what the best of the best of therapy has to offer and use that to keep you up to date in your learning.
10: You have control of your career and your finances. Hypnotherapy is currently the fastest growing industry in the UK and solution focused hypnotherapy, as taught by CPHT, is recognised as one of the most successful and reputable forms of hypnotherapy that delivers consistent results.
If you want to be at the cutting edge of hypnotherapy and make a real difference to the clients you see in the future, with a successful career in hypnotherapy this could be the right Course for you. To find out about the next hypnotherapy diploma course run by CPHT Kent, just give senior lecturer Gary Johannes a call on 07780 592625 or click this link to send us an application form today.
CPHT strive to be at the cutting edge of available research and technology, looking for innovative ways to give the most clinical evidence to students about why solution focused hypnotherapy has such a significant and lasting effect on clients. It’s that ‘backed up by the latest research and findings in science’ that attracts so many students and we know that your future clients will often say it is why they chose you over another hypnotherapist. We live in a world where we are beginning to be able to prove why things work, which is why we take on that responsibility as your training school.
One of the biggest challenge’s hypnotherapist have had historically is being able to explain, how and why hypnotherapy actually works. Clients are curious as to what’s happening to them, sometimes a little nervous. Which is why we are so excited to be able to offer CPHT Kent students access to a very special piece of equipment, the Emotiv brain scanning device, so that our students can see, in glorious technicolor, what happens in the human brain when we use trance, which parts of the brain react and how trance is enhanced by the solution focused approach to therapy, when combined together.
As far as we know, CPHT is the only hypnotherapy training school to bring such advanced and innovative technology into the classroom, although we hope other schools will start to use this device too; it is the first time students on a hypnotherapy training course can see what they will be doing to someone’s brain when they use trance, and how beneficial it is for the brain. Students who have seen the brain scanner in action say it took away any doubt they had about the learning they were about to embark upon and it gave them more confidence when offering trance and therapy, even from the first weekend of training.
This is a new addition to training from 2018, because CPHT Kent believe, as do all CPHT hypnotherapytraining schools, that a deeper understanding of exactly how hypnosis works improves the confidence of practitioners, which will improve client results. With this exciting piece of equipment, you can tell clients what’s going on before during and after trance. It is possible CPHT trained hypnotherapists may be the only hypnotherapists who, with total certainty, having seen it for themselves, will be able to do that.
If you want to be at the cutting edge of hypnotherapy, make a real difference to the clients and have a successful career in hypnotherapy, this could be the right Course for you. To find out about the next hypnotherapy diploma course run by CPHT Kent call 07780 592625 or click this link to send us an application form today.
How Do You Choose Your Hypnotherapy Training School?
When you first go looking for a hypnotherapy training course you’ll notice there is a dizzying choice of courses, delivery styles, course lengths, qualification levels and more, so how do you pick your hypnotherapy training school?
In order to narrow down your choices, first decide what it is you want to achieve – what’s your goal? Is it fun street hypnosis that has become so popular on TV recently that attracts you, self-hypnosis to help you with pain or another symptom you’d like to control, a mild curiosity of how you work or are you looking to change your career or add a very valuable string to your professional bow? There will be courses to fit all of those choices.
There are some truly skilled street and performance hypnotists, and learning from them won’t require you to do a diploma. Self-hypnosis can be learned very quickly in a day or so, but you can still gain a certificate, but not one that allows you to practice as a hypnotherapist. If a career change is what you are looking for then a diploma course is the best route.
And then have a think about your style; many people say they chose solution focused hypnotherapy because they like it being based on brain based research and backed by neuroscience. They liked the evidence based approach and knew it would be able to help them explain what they did and help people get their lives back on track. If you are more science than spiritual in your approach to therapy then a CPHT Kent diploma course could suit you.
CPHT Kent diploma courses are delivered by experienced practicing hypnotherapists to the same high standards as all Clifton Practice Hypnotherapy Training Schools. The course is externally accredited by the NCFE and allows you to apply for membership to all the most well respected governing bodies including the NCH (National Council for Hypnotherapy), GHR (General Hypnotherapy Register), CNCH (Complementary and Natural Healthcare Council ) and AfSFH Association for Solution Focused Hypnotherapists.
Your diploma, the Hypnotherapy Practitioner Diploma is externally verified by the NCFE (a nationally recognised awarding body) at a level 4, which is equivalent to a foundation degree level qualification.
Your training itself is practical, enjoyable and can be a lot of fun. CPHT Kent student learn about how the brain works, how it creates so many of the problems your clients will have, and how to help them recover. You’ll look at the evidence and research behind many issues including OCD, anxiety, depression, weight management, smoking, phobias, addictions, panic attacks, pain management.
You will be encouraged to begin practicing with people straight away and throughout your course; many students have completed 50-100 hours of therapy sessions by the time they qualify. We support you to get into practice, if that’s what you are intending to do, by helping you understand your marketing and signposting you towards best practice in business set up.
Once you are qualified and in practice we can continue to support you as your supervisor and colleague, making the leap from student to practitioner as simple and straightforward as possible. And the wonderful thing about training with CPHT Kent is that you have access to a full range of well researched CPD courses, so that you can continue to receive the same high standard of learning as you continue your professional development and career.
If you’re interested in a career in hypnotherapy and the next hypnotherapy diploma course at CPHT Kent call 07780 592625 or click this link to send us an application form today.
Is Hypnotherapy On A Couch Better?
You’d not believe the this is even a topic of conversation; whether a chair or a couch is better for your hypnotherapy room, but it is! It’s almost laughable but, as well as when to start charging, how much you are going to charge, whether to have your photo on your business cards, how often you need to see your clients and where to advertise, and all the other questions we hope to answer for you during your training, this will be a BIG deal when you are a student.
When we decided to write this article, we thought our hypnotherapist friends from all over the world would have strong opinions, so we asked them and the results can be found at the end of the article. In the meantime, let us explore the question further.
As hypnosis can ultimately be done standing up (think about the street hypnotists and stage hypnotists having their ‘subjects’ walking and talking and engaging in all sorts of activities) why do we even bother trying to make it comfortable for our clients when they come to see us?
And this is where it gets a little more serious, because our clients are coming to us for therapy not to be entertained or entertain. They are coming to us for help, most often to overcome something unwanted or painful and to get back to a happier, more engaged and productive version of themselves. Hypnotherapy is one of the fastest growing careers in the UK, and there is growing understanding and a huge body of evidence to support the value of working directly with the subconscious during therapy, to effect positive change.
If you train with CPHT Kent you’ll find, as a newly qualified solution focused hypnotherapist, you’ll still meet people who are a little nervous of coming to see you, simply because their only experience of hypnosis is via entertainment, which means your job as a helping professional, is to put them at ease. You’ll learn to create a welcoming, calming space that shows they are in the hands of a well-trained, confident and safe therapist.
The considerations to make when choosing what your clients will relax on, is more to do with how physically supported they will feel, whether it is accessible for most clients, weight bearing level of the chair or couch and what room you have in your clinic. Ultimately, you’ll want your clients to feel comfortable in and out of trance. You will often have a blanket for comfort and because our temperature drops slightly in trance, perhaps a foot rest or a cushion for added support. There are no hard and fast rules so choose whatever suits you.
If you’re interested in a career in hypnotherapy and the next hypnotherapy diploma course run by CPHT Kent call 07780 592625 or click this link to send us an application form today.
Students and clients ask – Does Hypnotherapy Work?
As a hypnotherapist you’ll be asked many times whilst you’re in training and throughout your career, ‘Does Hypnotherapy Work?’ and you must find a way to answer it positively.
At first you too might even be a little sceptical; you’ll not be the first student to sign up without being 100% sure that what you’re signing up to isn’t smoke and mirrors. Before beginning your training, many haven’t even had hypnotherapy, so truly don’t know the answer to the question, does hypnotherapy work?
When you start learning, you’ll know that not only does it work but it works very well! If the hundreds of previous CPHT students are anything to go by you’ll get hooked and, because at CPHT we expect you to start seeing people straight away for simple relaxation, you’ll start trying to explain it.
Many of your friends and family might not believe you, but that’s only because they don’t know that hypnotherapy has hundreds if not thousands of research papers pointing to its efficacy in treating many issues. They certainly won’t know that CPHT has been conducting its own research programme, now associated with Bristol University, for almost 10 years, with data from Solution Focused Hypnotherapists all over the UK.
From frustration, righteous indignation, pity, outrage, evangelical zeal, face palming and disdain for the unenlightened…you’ll experience a rollercoaster of emotions as you try to convince them that hypnotherapy works.
However, as you go through your training, gain experience in practice and gather evidence and experience of your own, you will learn how to answer the question more confidently. The huge benefit of working as a Solution Focused Hypnotherapist is that you’ll learn to answer the question sooner, because your training is backed up by the latest findings in neuroscience and you practice a measurable and reliable form of hypnotherapy that uses the best of the best in modern therapy, explained in a way that makes sense to your clients.
We know that potential clients respond to science and proof so much more readily because we live in an age when long held questions are being answered. CPHT is the only school in the UK to be using brain imaging equipment in the classroom, so you’ll soon be able to watch it yourself – the ultimate proof.
When people around you start seeing results, experiencing results and talking about your results, the question of whether hypnotherapy works stops coming up so often, but on occasion you will still be asked – does hypnotherapy work?
If you’re interested in finding out more about a career in hypnotherapy and the next hypnotherapy diploma course run by CPHT Kent call 07780 592625 or click this link to send us an application form today.
I could hardly believe what I was hearing – this flying phobia had cost my client £0000s in lost flights, missed trips and they had stopped planes on the runway to get off, more than once.
Did you read about the mouse phobia that was so severe, even hypnotherapist Ali Hollands was intimidated by it? This is another story from her casebook; this time, a severe flying phobia.
The holiday of a lifetime with the person you love should be something to look forward to right? The highlight of your year? Not for Andi. Andi had suffered for many, many years with a phobia of flying that was so intense that she wouldn’t take checked baggage on holiday, because she was never sure if she would actually make it off the runway, had stopped planes more than once to get off or deliberately missed them altogether.
Andi came to see me because she had taken herself off another flight and lost £0000s on an unused ticket for a long haul, dream destination flight. Her girlfriend had taken the flight and was now in a far flung destination without her. She had booked tickets for the end of the following week and asked if I could do something with so little notice to get her on the flights. Normally sessions are spread out over weekly appointments, but occasionally we need to speed up the process. I promised I would throw everything at it and that we would do our best to get her on that plane!
We did some intense work, but mostly exactly as I normally would – reducing the stimulus to something that didn’t induce a phobic response and then replacing with how she really wanted to be on her flights from now on.
When I received the text from a far away place, just a few days later, I was so happy for Andi, she was with the person she loved, in an amazing place, having the time of her life and the flight (and connecting flight!) had been absolutely fine.
For every phobia there is a person living less that their fullest and most enjoyable life. This is what’s it like to work as a solution focused hypnotherapist, in fact, You might already be starting to think about what life after qualification might be like while you read about Andi’s flying phobia. Imagine if it was you that had set them free to really live again. What would that be like for you?
Ali Hollands is a multi-award winning clinical hypnotherapist with Inspired To Change in Maidstone. Ali gained her first hypnotherapy diploma in 2012 and extended her training with a diploma in in 2015 with Gary Johannes, head of CPHT Peterborough, Kent, Northampton and Birmingham.
When looking for the hypnotherapy training that’s best for you, after checking out the website and reading the reviews the most logical step is to meet your hypnotherapy training lecturers at an open evening or open day event.
This gives you the chance to meet the people training you, check out your training environment and most importantly, get all your questioned answered so you can make the best choice for your hypnotherapy training.
CPHT Kent offer several open evening dates for our potential hypnotherapy students to come along, meet us and find out what makes CPHT the fastest growing hypnotherapy training provider in the UK.
We run CPHT Kent open evenings are at our Hypnotherapy Training venue – The Friars Conference Centre in Aylesford in Kent, because it means when you come along for your first weekend of training you’ll already be familiar with your surroundings.
We run them in the evening because our students, who are often career changers or returners, have found this is the easiest time for you to come along.
CPHT Kent Hypnotherapy Training open evening events are informal, in a Q & A style, because, we’ve found this style has given our hypnotherapy students the best opportunity to get the information you need to make the right decision for you.
Hard Sell – that’s just icky and we don’t do icky.
Formal interviews – it isn’t a job interview and your life experience is probably the most important aspect of your skill as a future therapist. We want to meet the real you.
Therapists who don’t practice, who don’t understand the real world of hypnotherapy today. Hypnotherapy is the fastest growing profession in the UK and we believe that no student should ever be taught by someone who doesn’t practice and understand what it takes to be a successful hypnotherapist.
Confidence – that you’ll be getting the most science based, practical training in hypnotherapy in the UK, delivered by successful and skilled lecturers and therapists.
This blog was written by Ali Hollands. She is a multi-award winning clinical hypnotherapist with Inspired To Change in Maidstone. Ali gained her first hypnotherapy diploma in 2012 and extended her training with a diploma in in 2015 with Gary Johannes, head of CPHT Peterborough, Kent, Northampton and Birmingham.
Even I was intimidated by this phobia; I’d never seen one so severe and only the fact that I have really good training, allowed me to stay confident for my client.
What’s it like to work as a solution focused hypnotherapist? You might already starting to think about what life after qualification might be like, after all your hypnotherapy training is finished and your portfolio signed off…when you are growing a hypnotherapy practice of your own.
Here Ali Hollands, who runs her own busy practice as well as lecturing for CPHT Kent, shares a story of from her busy casebook, about a specific phobia, which is from one of the most common issues you will see once you’ve qualified as a solution focused hypnotherapist. Just think, in just a few months, this could be you!
‘Marie was a woman of around the same age as me; smart as a whip, funny and so down to earth. Then, when she told me in all seriousness (I knew she wasn’t joking, by the look on her face!), she would rather be dead than encounter a mouse, I knew I had my work cut out.
Marie’s phobia was inherited from her mother and she shared it with her sisters, who would, as siblings do, wind each other up over their shared terror…who needs family eh? She found mice disgusting, hated them with a passion and would find herself checking every dark looking speck on the floor or in cupboards to see if it was a mouse dropping; she knew she was being unreasonable.
The reason she had come to see me was because of the most recent episode, when she had moved out of her home for a whole week after seeing a mouse, had more than one pest control service in and now felt unsafe in her home, a place she normally loved.
After 3 sessions Marie said she had walked into the hardware shop to buy something, but had taken herself down the aisle with the pest control. She said she had picked up a box and was able to look at the box without feeling faint, angry or disgusted…she even admitted that mice were possibly quite cute. After the 4th session she was completely confident she would be able to cope with whatever mouse related incidents might come her way.
This phobia had even intimidated me, but I shouldn’t have been, even though I am still sometimes amazed and awed by how powerful hypnotherapy can be!
For every phobia there is a person living less that their fullest and most enjoyable life. Imagine if it was you that had set them free to really live again. What would that be like for you? | 2019-04-21T06:40:34Z | https://cphtkent.co.uk/author/garyjohannes/ |
TRUCK INSURANCE EXCHANGE, Appellant, v. Danny L. RUTHERFORD, Appellee.
Justice Himonas authored the opinion of the Court, in which Chief Justice Durrant, Associate Chief Justice Lee, Justice Durham, and Justice Pearce joined.
¶ 1 Danny Rutherford suffered extensive injuries when the work van he was driving was hit by a vehicle that had run a red light. Mr. Rutherford sought compensation from both his employer's workers' compensation insurer and Truck Insurance Exchange (TIE), which provides Mr. Rutherford's employer with underinsured motorist coverage. Mr. Rutherford seeks double recovery, arguing that Utah Code section 31A-22-305.3(4)(c)(iii) —which states that underinsured motorist coverage "may not be reduced by benefits provided by workers' compensation insurance"—means that underinsured motorist insurance must compensate Mr. Rutherford in full, up to the limits of the policy, irrespective of whether workers' compensation insurance has already covered a portion of the claim. In response, TIE argues that under section 305.3(4)(c)(i) of the same statute—which states that underinsured motorist coverage "is secondary to the benefits provided by" workers' compensation—it should not have to pay benefits that workers' compensation has or should have covered. We hold that TIE's status as a secondary insurer means that it must fully compensate Mr. Rutherford within its policy limits, but only for damages in excess of what workers' compensation paid, so as to avoid an inappropriate double recovery. We therefore reverse the district court's contrary grant of summary judgment.
¶ 2 Mr. Rutherford was driving a company van in the course of his employment when he was struck by an underinsured driver, leaving him with significant injuries. In the wake of his accident, Mr. Rutherford filed several claims for insurance compensation.
¶ 3 The first claim, to Mid Century Insurance, was for workers' compensation benefits for medical expenses, lost income, and permanent disability. Although Mr. Rutherford's medical expenses exceed $250,000, Mid Century Insurance has paid only $183,628.81 for medical expenses. It has also paid benefits for lost wages and permanent disability. Mr. Rutherford also recovered $50,000 from the other driver's insurance, although Mid Century Insurance subsequently recovered about $28,000 of that total in a subrogation action. Finally, because Mr. Rutherford was acting in the scope of his employment when the crash occurred, he also filed a claim with TIE, which insures Mr. Rutherford's employer. Mr. Rutherford sought to recover full benefits under TIE's underinsured motorist (UIM) policy for medical expenses, lost income, lost vocational capacity, future medical expenses, pre- and post-judgment interest, and general damages.
¶ 4 Both Mr. Rutherford and TIE filed motions for summary judgment. TIE sought a declaration that it was not liable to pay Mr. Rutherford medical expenses, lost income, or permanent or temporary disability benefits, which it argued Mid Century Insurance should pay or has already paid. Mr. Rutherford argued that Utah Code section 31A-22-305.3(4)(c) and the collateral source rule prohibited TIE from deducting workers' compensation benefits when determining its liability to Mr. Rutherford. The district court granted summary judgment for Mr. Rutherford, holding that Mr. Rutherford's interpretation "is more consistent with the underlying purpose" of Utah's insurance statutes. The district court also relied on our prior holdings in Thamert v. Continental Casualty Co. , 621 P.2d 702 (Utah 1980), and Lieber v. ITT Hartford Insurance Center, Inc. , 2000 UT 90, 15 P.3d 1030, in which we stated that a UIM insurer "should not be permitted to offset payments received by the plaintiff as workmen's compensation." Thamert , 621 P.2d at 704 ; see also Lieber , 2000 UT 90, ¶ 24, 15 P.3d 1030. TIE timely appealed. We have jurisdiction over this matter under Utah Code section 78A-3-102(3)(j).
¶ 5 Summary judgment is appropriate when "there is no genuine dispute as to any material fact and the moving party is entitled to judgment as a matter of law." UTAH R. CIV. P. 56(a). We review the district court's grant or denial of summary judgment for correctness, drawing all reasonable inferences from the facts in the light most favorable to the nonmoving party. Massey v. Griffiths , 2007 UT 10, ¶ 8, 152 P.3d 312.
¶ 6 At issue in this case are two provisions of Utah's underinsured motorist coverage statute: Utah Code section 31A-22-305.3(4)(c)(i), which says that underinsured motorist coverage "is secondary to the benefits provided by" workers' compensation, and section 305.3(4)(c)(iii), which provides that underinsured motorist coverage "may not be reduced by benefits provided by workers' compensation insurance." TIE argues that the use of "secondary" in section 305.3(4)(c)(i) means it should be able to offset its potential liability by any payments Mr. Rutherford has received from his workers' compensation policy. To hold that a UIM insurer could not take into account what the injured driver has already received, TIE argues, would read the term "secondary" out of the statute. Mr. Rutherford, on the other hand, focuses on section 305.3(4)(c)(iii), arguing that the plain language of the statute prohibits TIE from reducing its UIM benefits by any workers' compensation benefits.
¶ 7 Our primary goal when interpreting statutes is to "evince the true intent and purpose of the Legislature." Duke v. Graham , 2007 UT 31, ¶ 16, 158 P.3d 540 (citation omitted). And it is legal dogma that the best evidence of legislative intent is "the plain language of the statute itself." State v. Martinez , 2002 UT 80, ¶ 8, 52 P.3d 1276. But when a statute "adopts a legal term of art ... with a settled meaning in the law, we interpret the statute to embrace the meaning of the term as it is understood in that context." Hansen v. Hansen , 2012 UT 9, ¶ 19, 270 P.3d 531. Applying these principles, we conclude that the statute provides that the UIM insurer must pay benefits until the insured is fully compensated, but that it does not need to duplicate the workers' compensation benefits where doing so would provide the insured with double recovery.
¶ 8 We begin our analysis with the meaning of "secondary" in section 305.3(4)(c)(i). We first note that, like "primary coverage," "secondary coverage" is a well-established term of art in the insurance context. See Li v. Enter. Rent–A–Car Co. of Utah , 2006 UT 80, ¶ 21, 150 P.3d 471 (noting term-of-art meaning of "primary coverage" and distinguishing it from "secondary coverage"). "Secondary coverage" is synonymous with "excess coverage," id. , which is "[a]n agreement to indemnify against any loss that exceeds the amount of coverage under another policy." Excess coverage , BLACK'S LAW DICTIONARY (7th ed. 1999). We applied this term-of-art meaning of secondary coverage in Lopez v. United Automobile Insurance Co. , in which an injured driver attempted to recover underinsured motorist coverage benefits. 2012 UT 10, 274 P.3d 897. We held that because the UIM statute provided that UIM coverage was "secondary to the liability coverage of an owner or operator of an underinsured motor vehicle," the driver was "entitled to be compensated by [the UIM insurer] only for damages in excess of those for which she was compensated by the other motorist's insurer." Id. ¶ 31 & n.41. It is clear, then, that the term "secondary" in section 305.3(4)(c)(i) means that UIM coverage applies only after the workers' compensation benefits have been exhausted. For example, if the workers' compensation insurer and the UIM insurer both provide coverage up to $100,000 and the insured's damages are $150,000, the insured would exhaust workers' compensation benefits to the tune of $100,000 and then receive $50,000 from the UIM insurer.
¶ 9 But TIE's status as a secondary insurer does not mean that it can reduce its coverage by the benefits provided by workers' compensation insurance in violation of Utah Code section 31A-22-305.3(4)(c)(iii). In keeping with the meaning of "coverage" as the "amount available to meet liabilities," WEBSTER'S NEW COLLEGIATE DICTIONARY (8th ed. 1973), TIE cannot lower its policy limits in response to the benefits that workers' compensation pays. See State Farm Mut. Auto. Ins. Co. v. Schatken , 230 W.Va. 201, 737 S.E.2d 229, 235–37 (2012) (interpreting similar statutory language to hold that "coverage" was not reduced where insured could recover up to the UIM policy limits but was prevented from getting double recovery). Take, for example, a situation where the UIM insurer offers coverage up to $100,000 and workers' compensation offers coverage up to $50,000. If the insured has damages of $125,000, workers' compensation will first pay $50,000. The UIM insurer may not then argue that the workers' compensation benefits reduce its coverage—that is, they do not reduce the $100,000 UIM policy to $50,000. But the workers' compensation benefits do reduce the benefits that the UIM insurer must pay—after deducting the workers' compensation award of $50,000, the UIM insurer must pay only the remaining $75,000 of the insured's damages. And TIE must still ensure that Mr. Rutherford is fully compensated even within categories where TIE's coverage overlaps with workers' compensation. As TIE agreed during oral argument, because workers' compensation covers only 662/3percent of the employee's average weekly wages at the time of the injury, see UTAH CODE § 34A-2-412, TIE is obligated to pay the remaining 33? percent to ensure that 100 percent of Mr. Rutherford's damages are covered. This setup ensures complete recovery for the insured while avoiding double recovery.
¶ 10 Our prior cases addressing recovery from workers' compensation and UIM insurers do not, as Mr. Rutherford claims, contradict this conclusion. In both Lieber v. ITT Hartford Insurance Center, Inc. , 2000 UT 90, 15 P.3d 1030, and Thamert v. Continental Casualty Co. , 621 P.2d 702 (Utah 1980), we simply held that a driver could recover at least some damages under both UIM and workers' compensation coverage. In Thamert , we rejected the UIM insurer's argument that the exclusive remedy clause of the Workers' Compensation Act barred the injured driver from seeking UIM benefits at all. 621 P.2d at 703–04. Similarly, in Lieber , we held that the district court erred when it interpreted Utah's uninsured motorist coverage statute "to preclude recovery of both workers' compensation and uninsured motorist benefits in every case." 2000 UT 90, ¶ 11, 15 P.3d 1030.
Neither case addressed the full amount of the insured's damages, so double recovery was not at issue.
¶ 11 But whether an injured driver can recover both workers' compensation and UIM benefits is not at issue in this case, as even TIE does not dispute that "under the present statute, an injured driver can recover workers' compensation benefits and also at least some UIM benefits." The dispute in this case is not whether Mr. Rutherford can recover at all from TIE, but whether he can recover in excess of 100 percent of his damages by recovering under TIE's policy for the same benefits he received from workers' compensation. We hold that he cannot. After Mr. Rutherford's workers' compensation benefits are exhausted, TIE must pay the remainder of his damages up to its policy limits or until Mr. Rutherford is fully compensated.
¶ 12 Our conclusion is bolstered by the fact that double recovery is generally disfavored in insurance law. See Ohio Cas. Ins. Co. v. Brundage , 674 P.2d 101, 102 (Utah 1983) (stating that driver "should not have received a double recovery" after already receiving special damages from insurance payment); Christensen v. Farmers Ins. Exch. , 669 P.2d 1236, 1239 (Utah 1983) (stating that "this Court will not sanction" an injured driver's attempt to obtain double recovery); see also Cincinnati Ins. Co. v. Samples , 192 S.W.3d 311, 316 (Ky.2006) ("The purpose of UIM coverage is to place the insured in the same position he would have occupied had the tortfeasor been fully insured, not in a better position. [The insured] could not recover damages duplicating his workers' compensation benefits against [the negligent driver]; thus, he cannot recover those same damages against [the UIM insurer]." (citation omitted)); Gross v. Gen. Cas. Ins. Co. , 438 N.W.2d 378, 380 (Minn.Ct.App.1989) ("A basic premise of insurance law is that a double recovery is generally to be avoided.").
¶ 13 Mr. Rutherford makes two arguments why he should be allowed double recovery notwithstanding the language of the UIM statute and the policy of this state disfavoring double recovery in the insurance context. First, he argues that he is entitled to double recovery under the collateral source rule, a common law doctrine that "provides that a wrongdoer is not entitled to have damages, for which he is liable, reduced by proof that the plaintiff has received or will receive compensation or indemnity for the loss from an independent collateral source." DuBois v. Nye , 584 P.2d 823, 825 (Utah 1978). However, this rule is not applicable where, as here, the beneficiary of the insurance proceeds is the victim's employer's insurer and not the wrongdoer (or the wrongdoer's insurer). The public policy concerns against allowing a tortfeasor to benefit from an insurer's payments simply do not apply in this situation. See Gibbs M. Smith, Inc. v. U.S. Fid. & Guar. Co. , 949 P.2d 337, 345 (Utah 1997) (stating that collateral source rule is not applicable where party who stands to benefit from payment is not the wrongdoer). In any event, section 305.3(4)(c)(i)'s language about secondary coverage represents the legislature's displacement of the common-law collateral source rule with a statute that expressly forbids an employee who has recovered benefits from workers' compensation from recovering the same exact benefits from UIM insurance. See Wilson v. IHC Hosps., Inc. , 2012 UT 43, ¶¶ 31–32, 289 P.3d 369 (discussing how legislature "altered the common law" of the collateral source rule by statutorily modifying it for medical malpractice cases).
¶ 14 Mr. Rutherford's second argument as to why he is entitled to double recovery is rooted in Utah Code section 31A-1-201(1), which provides that the insurance code "shall be liberally construed to achieve the purposes stated in Section 31A-1-102." Mr. Rutherford interprets this provision to require that ambiguities in insurance statutes should be resolved in favor of maximizing the insured's recovery. There are several problems with this argument. To begin with, statements of purpose are of limited value when interpreting a statute, as they "may be used to clarify ambiguities" but "are not a substantive part of the statute." Price Dev. Co. v. Orem City , 2000 UT 26, ¶ 23, 995 P.2d 1237. Additionally, we have walked back some of the "hyperbole" from our previous opinions regarding the canon of liberal construction, clarifying that it is "simply a tie-breaker" to be used in "the rare case where [the judicial] process yields genuine doubt—in a dead heat without an apparent winner." Lane Myers Constr., LLC v. Nat'l City Bank , 2014 UT 58, ¶¶ 26–27, 342 P.3d 749 (alteration in original) (citation omitted). Where we can resolve any doubt about the insurance code's meaning "under the language and structure of the statute," as we do today, "we find no need for a tie-breaker, and thus no relevance for the principle of liberal construction of the Act." Id. ¶ 27.
¶ 15 Aside from the fact that the statutory language is clear without resorting to a statement of purpose, we note that of the eleven purposes listed in section 102, none involves encouraging compensation in close cases. Mr. Rutherford does not attempt to connect his "tie goes to the insured" argument to any purpose listed in the statute, and "[t]o the extent [the insured] is advocating policies beyond those embraced in the statutory scheme, he should take them to the legislature or the insurance commissioner, not to this court." McArthur v. State Farm Mut. Auto. Ins. Co. , 2012 UT 22, ¶ 19, 274 P.3d 981.
(1) ensure the solidity of insurers doing business in Utah; (2) ensure that policyholders, claimants, and insurers are treated fairly and equitably; (3) ensure that Utah has an adequate and healthy insurance market, characterized by competitive conditions, the spirit of innovation, and the exercise of initiative; (4) provide for an insurance department that is expert in the field of insurance and able to enforce the Insurance Code effectively; (5) encourage cooperation between the Insurance Department and other Utah regulatory bodies, as well as other federal and state governmental entities; (6) preserve and improve state regulation of insurance; (7) maintain freedom of contract and enterprise; (8) encourage self regulation of the insurance industry; (9) encourage loss prevention as part of the insurance industry; (10) keep the public informed on insurance matters; and (11) achieve other purposes stated elsewhere in the Insurance Code.
¶ 16 Even if an ambiguous statute did lay out a purpose encouraging double recovery in such cases, it would have to be balanced against the other enumerated purposes, some of which weigh in favor of the insurance company. See id. ¶ 14 ("[T]he UIM provisions of the Code, like most all others, represent an attempt by the legislature to balance competing policy considerations, not to ‘advanc[e] a single objective at the expense of all others.’ " (second alteration in original) (citation omitted)); id. ¶ 23 (noting countervailing purposes listed in the UIM statute); supra ¶15 n.2.
¶ 17 Because the text and structure of the UIM statute are unambiguous in preventing double recovery, we do not look to the "liberally construed" provision of the insurance code. In harmonizing sections 305.3(4)(c)(i) and (4)(c)(iii), we hold that the district court erred in granting summary judgment to Mr. Rutherford because, as a matter of law, TIE is not obligated to pay benefits that duplicate Mr. Rutherford's workers' compensation benefits.
¶ 18 We hold that, under Utah Code section 31A-22-305.3, a UIM insurer must pay damages in excess of the primary insurer's coverage and it may not reduce its policy limits by the benefits paid by workers' compensation. But in order to avoid an insured's double recovery, a UIM insurer need not duplicate benefits already paid by workers' compensation. In light of our holding, we reverse the grant of summary judgment to Mr. Rutherford and remand this matter to the district court for proceedings consistent with our opinion. | 2019-04-25T16:07:11Z | https://casetext.com/case/truck-ins-exch-v-rutherford |
TCU head coach Gary Patterson rewrote Horned Frog record books on Saturday night, with his 110th win at the helm of the Frogs.
He passed legendary coach Dutch Meyer, who was responsible for both of TCU’s national championships in 1935 and 1938.
However, Patterson wasn’t the only Horned Frog setting a record against the hapless Grambling State.
Quarterbacks Casey Pachall and Trevone Boykin combined to go 17-17 on pass attempts, the most ever without an incompletion in FBS history.
Pachall, who only played in the first half, was 9-9 for 201 yards and 3 touchdowns.
Wide receiver Josh Boyce, the leader in receptions, yards and touchdowns last year for the Frogs, had 102 yards receiving on four catches for two touchdowns, one of which was a 66-yard catch-and-run in the second quarter. Receivers Brandon Carter and David Bush also had touchdown receptions.
The Frogs asserted themselves on the ground as well, rushing for 255 yards, getting over 50 yards from Waymon James (69), B.J. Catalon (63) and Boykin (57).
The majority of Boykin’s rushing yards came on a 34-yard scramble that resulted in a touchdown, and increased TCU’s lead to 49-0.
On special teams, true freshman cornerback Deante’ Gray returned his first ever punt 70 yards for a touchdown. He finished the evening with 160 punt return yards. New kicker Jaden Oberkrom will have relieved Frog fans saying, “Ross Evans who?” in no time, as he went 8-8 on extra point attempts for the game.
The defense got into the action as well, harassing Grambling State QB D.J. Williams all night long. Three Frogs, Devante Fields, Stansley Maponga and Sam Carter, all sacked Williams, and TCU recorded three other tackles for loss.
Junior safety Elisha Olabode had a pick-6 in the first quarter that pushed the lead to 21-0 as the Frogs built a lead early and never looked back.
At the end of the night, Grambling State gained 70 total yards of offense, roughly as much yardage as their band covered in their fantastic halftime show.
Next week, the Frogs head up to Lawrence, Kansas, for their first Big 12 conference game against the Kansas Jayhawks.
The Jayhawks lost to Rice this week, so I fully expect the Frogs to take care of business.
Meanwhile, the Frogs have jumped to #11 in DSR’s College Football Top 25. Check out the rest of the rankings here.
Week 2 in the college football season really did a number on my rankings.
Five teams in my Week 1 Top 25 found themselves out of the rankings in Week 2, so let’s jump right in.
So, without further ado, here is Week 2’s Top 25 (scroll over the image for more detail, or look below the image. Sorry about the formatting, we’re working to improve it).
Well, it’s about time we preview the Frogs’ game this week, and make some around the league picks.
TCU hosts Grambling State on Saturday night in what’s sure to be an invigorating display of speed, power, and monetary superiority, namely in the form of a new stadium. The first game in the Carter shouldn’t concern any Frogs, at all, and will in truth focus mostly on the in-game experience of a rather young Horned Frog squad before they head into the Big 12 waters.
Never one to look past an opponent, though, let’s go ahead and give Grambling State the rundown. The Grambling State University Tigers, an HBU located in Louisiana, have an enrollment of less than 5,000 students (half of TCU). They have a thriving Sports Administration and Social Work program. The Tigers are an FCS team competing in the Southwestern Athletic Conference against such elite programs as Mississippi Valley State, Prairie View A&M, and Alcorn State. The Grambling Football squad went 8-4 last year, winning the SWAC rather convincingly.
Last week, the Tigers had less luck, slipping up in the fourth quarter and giving up 13 points to Alcorn State to lose 22-21. Tigers leading rusher Dawrence Roberts lefts at the half with cramps (98 yards), and his absence was a notable one. Expect Roberts to be a key point of attack for the TCU defense, as true talent is an uncommon occurrence on the Grambling team.
TCU should win this easily. Expect the inevitable slow start from the Frogs, but this game should be out of reach by the second quarter. I’ll be heading out there early, enjoying the celebration of a new stadium and a new season, and praying for a Rick Settle fourth quarter TD.
Ohio State takes care of UCF. 44-13, all business.
Miami at #9 Kansas State. I’ve got the U squeaking out a victory here. Kansas State is a one trick pony with Collin Klein, and I imagine Miami will figure it out pretty early on. 27-17 Miami.
#15 UGA at Mizzou. Missouri had some choice words for the Dawgs this weekend, and the SEC in general. DT Sheldon Richardson (Read: Scrub with a large mouth) felt it necessary to poke the bulldog and say, “[The SEC] is old-man football.” Heaven help that kid. The Fightin’ Richts take this guy convincingly, unfettered by the moral implications of reminding Missouri that they shalt not take the SEC’s name in vain. UGA 24-10.
Every week, we’ll pick an insignificant Mid-American Conference game, just to keep you abreast of what happens on Tuesday Nights. This Week’s MAC Special (unfortunately, no Tuesday games this week): Morgan State @ Buffalo. I like Turner Gil- wait, he’s not? That was three years ago? Ok, Morgan State covers the spread. Money in the bank.
Comment with your picks. Don’t forget to follow @TheDSportsRant for live coverage on Saturday, and @spfleming for an emotionally-attached detailing of bad football.
It was certainly a busy weekend for college football, both on the field and in the rankings. Big wins and upsets, major injuries and breakout performances all had a say in making the weekend great.
It has become a running theme that at least one FCS team will upset their FBS opponent in week 1. Pitt became the latest to fall to an “inferior” foe, as they were knocked off, quite handily, by Youngstown State.
Now that that’s out of the way, let’s take a look at how things shifted from our preseason poll.
Quick bit: Tevin Washington made everyone forget his solid performance by throwing the worst interception of the weekend.
Nick Florence could have Bears fans forgetting all about Robert Griffin III.
Quick bit: Nick Florence picked up where RG3 left off in throwing for 341 yards and 4 touchdowns. There’s a storyline to watch.
Quick bit: The Cougars absolutely stifled Washington State’s offense in Mike Leach’s return to coaching.
Quick Bit: This win would have been more impressive if Kellen Moore was still a Bronco.
Quick bit: 84 points is impressive, but Savannah State has won two games in the last two seasons playing in the MEAC.
Losing Brandon Jenkins means guys like Bjoern Werner will have to step it up (Of course, Werner had four sacks on Saturday).
Quick bit: The ‘Noles suffered a huge loss on Saturday when DE Brandon Jenkins hurt his foot. Jenkins will miss the entire season, as we learned Monday.
Quick Bit: It took a 4th-quarter, 4th-down stand for the Badgers to beat the fellas from the MVC.
Quick bit: I knew Alabama was good but I didn’t expect the Wolverines to get beaten like this. The Tide plain whooped them.
Quick bit: The Hokies benefited greatly from a huge Georgia Tech error. Kicker Cody Journell redeems an earlier FG miss to seal it for Virginia Tech.
Quick Bit: Vanderbilt is a good team, and the Gamecocks should be happy they left Nashville with a win.
Geno Smith is already making Heisman pundits go “Oooooooooo”.
Quick Bit: Geno Smith got his Heisman bid off to a great start, throwing for 323 yards and 4 touchdowns, while running for 65 more yards and another score.
Quick bit: It took a strong 4th quarter for the Sooners to put UTEP away. Before that, they struggle mightily on offense.
If Alabama has another game like they did on Saturday, they’ll be the new #1.
Quick bit: The Tide are for real. That’s all.
Quick bit: Barkley threw for almost 400 yards and four touchdowns.
Well, for lack of a more grandiose introduction sentence, it’s over. A season full of unbelievable lows, mildly exciting highs, and lack of general grasp on just who exactly this team is has finally come to a close. It ended [disclaimer: clichés ahead] not with a bang but a whimper, as the Frogs went out quietly in UCLA, amassing just 3 runs on 14 hits in their 65 at-bats in Los Angeles. They lost the same way they’ve lost all season – mental mistakes, fielding errors, and impatience at the plate – which is marginally frustrating, but ultimately to be expected.
I could say so many negative things about the Frogs this weekend, but they played their little tails off to scrap into a Super Regional they had no business being at, and should be commended for peaking at the right time and playing hard.
The postseason experience really gave the Frogs a good time to gel, and their chemistry and momentum rolling into next season should be huge, as the freshmen realize that when they actually come out and play, nobody can touching them. This run in the College World Series really was a positive time for this team, and a great way to reward the freshmen after they worked so hard to compensate for an all but dead weight upper class (you know who I’m referring to).
I’ve reached a good place about this Horned Frog baseball team, after this run. I was very negative on them this season. Only half of them deserved it (the upperclassmen and Derek Odell). The freshmen on this team have really played well this season. Once Kevin Cron got healthy and notched some at-bats, he was unreal this season. His upside is tremendous, especially after an off-season workout regimen gets him into shape coming into next season.
Jerrick Suiter is a freak. That’s about all I have to say about him. Preston Morrison was just named 1st team Freshman All-American. The Frogs have a core coming back that is already respected, and soon to be feared.
Despite the no-show in the Supers, this Frog team sent a very strong message to their new Big 12 friends – it’s about to get real.
As the College World Series wraps up in the next few weeks, Frogballing will inevitably become less frequent, but I’m still planning to update on important news and offseason notes, maybe even track a few of our boys in the big leagues. For now, I’m going into full CWS mode, so let’s get to the picks.
Last week: I went 6-2, missing only TCU and Stanford. That brings me to 14-10 on the postseason, a respectable .583.
In the Upper Half of the bracket, I’m finally caving and relinquishing my stubbornness: I think Florida State is undoubtedly the team to beat now. That’s right, I #fearthespear. Call me crazy for this, but they’ll see Stony Brook in the semifinal. The Seawolves went into the dragon’s lair and stole two games convincingly from LSU this weekend, and they aren’t scared of anybody. And, come on, they’re the only ones left with more than 50 wins. FSU-Stony Brook semifinal.
In the Lower Half, I’m much less fun. South Carolina loses the first game to Florida, and then the two will duke it out for best of the SEC in the semi-final. Consistent with #KingSEC, Arkansas advances past Kent State, but ultimately loses to Florida and South Carolina.
So, on the record, for clarity’s sake I’ve got my final four as FSU-Stony Brook and Florida-South Carolina.
Bet against me, and maybe you’ll keep your money. Leave predictions below if you think you can do better. Remember to follow @TheDSportsRant for general updates, and during the games I’ll be tweeting reactions from @spfleming.
In the top of the sixth inning, the TCU baseball team trailed the Dayton Flyers 9-6 and had only a mere twelve outs standing between them and losing five straight, ending their season. That’s about as dramatic, back-against-the-wall a situation can get. And what did the Frogs do? Exactly what they haven’t all season – relaxed, stayed patient at the plate, and watched the runs flow like a waterfall. Since that sixth inning, the Frogs have played with a calm and reserve they have been incapable of tapping into for the whole of this season. At one point, there was a stretch of 13 innings where the Frogs outscored their opponents 32-5, per @tcusid. They were down in every game they played this weekend, and came back to win four of them in a row, playing the last innings placidly, not batting an eye. They quietly disposed of A&M, and then just dismantled Ole Miss to win the regional.
Their maturity at the plate is astonishing, as the majority of their team and offensive production this end of season stretch has come from freshmen, but it helps that Brance and the older players remembered who they are. I have no idea what happened to Brance, but some proverbial WD-40 on the gears has fired him back up again, peaking at the perfect time this season. The Frogs are playing great ball, the best we’ve seen all season, and with the veterans there to bolster the blazing freshmen, the Frogs are going to be hard to beat. As long as Derek Odell stops making errors. Scratch that – also long as he keeps his Error to Home Run ration at 1:1.
Before I make some picks, let’s take a 30,000 foot view at the UCLA Bruins, who the Frogs face in the Super Regional for a three game series this weekend. UCLA is 45-14 on the season, the PAC 10/12/Whatever regular season champs. This is the Bruins’ third Super Regional appearance in six seasons. They are led by manager John Savage (ok not that guy). Savage has been at UCLA for 8 years, and the Bruins have been in the postseason for six of them. He matches Schlossnagle pound for pound in experience. The Bruins play in Jackie Robinson Stadium, which has no bearing on the matchup other than it’s a pretty cool name for any baseball facility, especially what with the whole Dodgers-being-in-LA-now ordeal.
The Bruins overpower the Frogs in batting average, .310 to .268, but despite the reputation their pitching staff has nationwide, their 3.28 team ERA is higher than TCU (.317). In the Super Regional, UCLA was dominant, outscoring their three opponents (Creighton 2x and New Mexico State) 23-6 in three games. The Bruins actually gave up more hits in their third game (12) than they did in their first two combined (4). They are led by Junior OF Jeff Gelalich, who has 50 runs scored this season, and, wait for it… a .998 OPS. He’s also batting .372. So he’s pretty good. Also, on the Bruin pitching staff is sophomore Adam Plutko, who has 2.56 ERA and 85 strikeouts in 105.2 innings over 16 games. He essentially guarantees 6 innings a game, on average, and their bullpen is beyond fierce. The relief trio of Ryan Deeter, David Berg, and Scott Griggs have 115 appearances between them, and Deeter and Berg both have ERAs below 2.oo. The Frogs are going to have to score runs early, as a late comeback just doesn’t happen against UCLA. These guys are lights out.
In Gainesville, Florida takes care of NC State in two games. All business here.
South Carolina will advance over a scrappy Oklahoma team, conceding the second game.
Kent State rolled through an easy regional, but so did Oregon. Golden Flashes in three. Because we like the little guy here at DSR.
Arkansas over Baylor in Waco. Again, all business. Two games.
Florida State and Stanford is a series I’m excited to watch. I’ll pick the Cardinal here, in three tough games.
Arizona is rolling, and St. John’s can’t keep that pace for three games. ‘Cats lose game one, close, win it on Sunday.
As much as everything in me wants Stony Brook to beat LSU, it probably won’t happen. But I’m going to pick the upset. Stony Brook rallies late on Sunday, stuns the Tigers.
Last, but not least: UCLA v TCU. I think the Frogs will win game one here. They have serious momentum. We can attribute the game two hold-your-ground win to UCLA. So it comes down to Sunday, again. Honestly, the Frogs play best when they’re on the hot seat, and I think they can squeeze by UCLA. It won’t be easy, and it sure as heck won’t be pretty, but if they keep pace with this weekend, they can hang with anyone. The key is to stay relaxed. With all these young guys, it would be very easy to get caught up in the moment, and to freeze. If Schloss can calm the boys down, the Frogs should advance. Officially, TCU 2-1 in a nailbiter.
Well, just like last time, bet against all of these, and hopefully you can win some money. Leave your picks below if you think you can do better. Follow @TheDSportsRant for general updates, and look to @spfleming for my live tweeting of the games.
Tomorrow afternoon kicks off our postseason with NCAA regionals. The Horned Frogs, after an astoundingly mediocre and disoriented first half of the season, have rallied to a respectable 36-19 record this season, scoring a date with Ole Miss Friday at 12:35 CST in College Station. After the jump I’ll preview the regional, suggest some strategy for the Froggies, and who knows, maybe even pick the regional winners nationwide.
A&M will face Dayton to meet the winner of TCU/Ole Miss, double elimination.
Ole Miss comes in a little battered and beaten by a rough SEC schedule. The Rebels limped to a 14-16 record in conference, hitting a huge speedbump after starting the season 15-3. One of those losses came in Fort Worth, as the Rebels and Frogs split two on Opening Weekend. The Rebels have hot bats, boasting a team average of .298, but their ERA sits at a pedestrian 3.57. Ole Miss has lost six of seven headed into the regional and desperately needs a jumpstart to make something happen in the postseason. Ole Miss is lead by Junior Infielder Alex Yarbrough, who is batting .389 with 41 RBI on 91 hits this season.
The Dayton Flyers, out of Dayton, Ohio (enrollment 7500), are the Atlantic Ten Conference Regular Season and Tournament Champs, rolling through the regular season with a 17-7 conference record. The Flyers are on somewhat of a tear, winning 9 of their last ten, and six straight. They are batting a better-than-respectable .293 on the season, but their pitching is 186th in the NCAA with a 4.93 ERA. Let’s just say that this will not bode well against the Aggies. The Flyers don’t do well on the road (15-16 record this season), having dropped games at Ball State, Miami of Ohio, and two to Temple. The Flyers’ player to watch this season is Brian Blasik, the Atlantic Conference’s only position player honored. The shortstop is batting .344 with 46 RBI on 84 hits.
Last, but not least, are the Aggies. A&M has the 5th best pitching staff in the NCAA, boasting a nigh ungodly 2.86 team ERA. The Aggies also hold a scary home field advantage: they’re 30-10 when playing at Olsen Field at Blue Bell Park. (Apologies. Unnecessary endorsements made that last sentence clunky.) The Maroon and White will be tough to beat on their home field. They have 5 starters batting over .300. They have 6 pitchers with at least 14 appearances and an ERA under 2.95. In layman’s terms, they are very good. Very good.
The Frogs shouldn’t have trouble with Ole Miss, which of course in this Season without Reason means that they will. Pitching will have to be on, and the freshmen who have put the team on their backs will have to keep doing so, despite the pressure of the postseason. After a rough conference tournament, TCU needs to pull themselves up by the bootstraps and perform. It should be an exciting weekend. I’m planning on making the trip for game two on Saturday.
TCU: A&M cruises past Dayton, and TCU staves off a rally to beat the Rebels. This Frog team has played terribly, and they’ve played well. If they play well, they could eek this regional out. I think Schlossnagle settles the boys down, and they beat A&M on Sunday to advance.
Nationally, I’ll just run down the list of who I think advances to the Supers.
Oregon will host Valparaiso. Fleming’s Guide to Losing Money, Episode 28: Never bet against Valpo.
I want to pick Dallas Baptist and Rice, but I think I have to go with Baylor-Arkansas in Waco. Sorry little guys, maybe next year.
It’s hard to see anything else happening besides UCLA cruising to the Super Regional. They’ll host the Frogs.
Miami-LSU will be a fun matchup in Baton Rouge. I’d love to tailgate that.
New Mexico State will be extremely excited to move on, until they realize that they have no idea where Chapel Hill, NC, is.
Mississippi State will face Stanford. Why not FSU, you ask? Because SEC. That’s why.
My professional advice is to pick against literally every single one of the above matchups, and maybe you’ll make some money. Leave your picks below, if you think you can do better.
Be sure to follow @TheDSportsRant on Twitter for updates periodically throughout the weekend, and @spfleming for emotional responses to the Frogs’ performances. | 2019-04-23T14:08:01Z | https://dallassportsrant.chrisreedtech.com/category/colleges/tcu/page/2/ |
And I will give you a new heart, and I will put a new spirit in you.
1:12-15 NLT - Please test us for ten days (יוֹם yowm) on a diet of vegetables and water, Daniel said. At the end of the ten days (יוֹם yowm), see how we look compared to the other young men who are eating the king's food. Then make your decision in light of what you see. The attendant agreed to Daniel's suggestion and tested them for ten days (יוֹם yowm). At the end of the ten days (יוֹם yowm), Daniel and his three friends looked healthier and better nourished than the young men who had been eating the food assigned by the king.
1:12-15 KJV - Prove thy servants, I beseech thee, ten days (יוֹם yowm); and let them give us pulse to eat, and water to drink. Then let our countenances be looked upon before thee, and the countenance of the children that eat of the portion of the king's meat: and as thou seest, deal with thy servants. So he consented to them in this matter, and proved them ten days (יוֹם yowm). And at the end of ten days (יוֹם yowm) their countenances appeared fairer and fatter in flesh than all the children which did eat the portion of the king's meat.
8:27 NLT - Then I, Daniel, was overcome and lay sick for several days (יוֹם yowm). Afterward I got up and performed my duties for the king, but I was greatly troubled by the vision and could not understand it.
8:27 KJV - And I Daniel fainted, and was sick certain days (יוֹם yowm); afterward I rose up, and did the king's business; and I was astonished at the vision, but none understood it.
10:3 NLT - All that time I had eaten no rich food. No meat or wine crossed my lips, and I used no fragrant lotions until those three (יוֹם yowm) weeks had passed.
10:3 KJV - I ate no pleasant bread, neither came flesh nor wine in my mouth, neither did I anoint myself at all, till three whole (יוֹם yowm) weeks were fulfilled.
1:5,18 (at the “end of the days”) NLT - The king assigned them a daily (יוֹם yowm) ration of food and wine from his own kitchens. They were to be trained for three years (שָׁנָה shaneh), and then they would enter the royal service. When the training period ordered by the king was completed, the chief of staff brought all the young men to King Nebuchadnezzar.
1:5,18 (at the “end of the days”) KJV - And the king appointed them a daily (יוֹם yowm) provision of the king's meat, and of the wine which he drank: so nourishing them three years (שָׁנָה shaneh), that at the end thereof they might stand before the king. Now at the end of the days (יוֹם yowm) that the king had said he should bring them in, then the prince of the eunuchs brought them in before Nebuchadnezzar.
2:28 (the dream was to come in the “days” not latter “years”) NLT - But there is a God in heaven who reveals secrets, and he has shown King Nebuchadnezzar what will happen in the future. Now I will tell you your dream and the visions you saw as you lay on your bed.
2:28 (the dream was to come in the “days” not latter “years”) KJV - But there is a God in heaven that revealeth secrets, and maketh known to the king Nebuchadnezzar what shall be in the latter days (יוֹם yowm). Thy dream, and the visions of thy head upon thy bed, are these.
2:44 (the final end of the image was to come in the “days” of the kings who were rule the divided kingdom of iron and clay) NLT - During the reigns of those kings, the God of heaven will set up a kingdom that will never be destroyed or conquered. It will crush all these kingdoms into nothingness, and it will stand forever.
2:44 (the final end of the image was to come in the “days” of the kings who were rule the divided kingdom of iron and clay) KJV - And in the days (יוֹם yowm) of these kings shall the God of heaven set up a kingdom, which shall never be destroyed: and the kingdom shall not be left to other people, but it shall break in pieces and consume all these kingdoms, and it shall stand for ever.
4:25,34 (Nebuchadnezzar recovered his sanity “at the end of the days” when the actual period of time covered was seven times or years) NLT - You will be driven from human society, and you will live in the fields with the wild animals. You will eat grass like a cow, and you will be drenched with the dew of heaven. Seven periods of time will pass while you live this way, until you learn that the Most High rules over the kingdoms of the world and gives them to anyone he chooses. After this time had passed, I, Nebuchadnezzar, looked up to heaven. My sanity returned, and I praised and worshiped the Most High and honored the one who lives forever. His rule is everlasting, and his kingdom is eternal.
5:11 (this reference to the “days” of Nebuchadnezzar referred to events that had occurred more than fifty years earlier) NLT - There is a man in your kingdom who has within him the spirit of the holy gods. During Nebuchadnezzar's reign, this man was found to have insight, understanding, and wisdom like that of the gods. Your predecessor, the king—your predecessor King Nebuchadnezzar—made him chief over all the magicians, enchanters, astrologers, and fortune-tellers of Babylon.
5:11 (this reference to the “days” of Nebuchadnezzar referred to events that had occurred more than fifty years earlier) KJV - There is a man in thy kingdom, in whom is the spirit of the holy gods; and in the days (יוֹם yowm) of thy father light and understanding and wisdom, like the wisdom of the gods, was found in him; whom the king Nebuchadnezzar thy father, the king, I say, thy father, made master of the magicians, astrologers, Chaldeans, and soothsayers.
7:9,13 (Ancient of Days describes God’s existence through days and years listed in Daniel) NLT - I watched as thrones were put in place and the Ancient One sat down to judge. His clothing was as white as snow, his hair like purest wool. He sat on a fiery throne with wheels of blazing fire. As my vision continued that night, I saw someone like a son of man coming with the clouds of heaven. He approached the Ancient One and was led into his presence.
7:9,13 (Ancient of Days describes God’s existence through days and years listed in Daniel) KJV - I beheld till the thrones were cast down, and the Ancient of days (יוֹם yowm) did sit, whose garment was white as snow, and the hair of his head like the pure wool: his throne was like the fiery flame, and his wheels as burning fire. I saw in the night visions, and, behold, one like the Son of man came with the clouds of heaven, and came to the Ancient of days (יוֹם yowm), and they brought him near before him.
8:26 (Daniel is told to seal up this vision for it pertained to “many days” even to the time of the end years away) NLT - This vision about the 2,300 evenings and mornings is true. But none of these things will happen for a long time, so keep this vision a secret.
8:26 (Daniel is told to seal up this vision for it pertained to “many days” even to the time of the end years away) KJV - And the vision of the evening and the morning which was told is true: wherefore shut thou up the vision; for it shall be for many days (יוֹם yowm).
10:14 (same thing) NLT - Now I am here to explain what will happen to your people in the future, for this vision concerns a time yet to come.
10:14 (same thing) KJV - Now I am come to make thee understand what shall befall thy people in the latter days (יוֹם yowm): for yet the vision is for many days (יוֹם yowm).
11:20,33 (a “few days” of persecution insignificant unless years) NLT - His successor will send out a tax collector to maintain the royal splendor. But after a very brief reign, he will die, though not from anger or in battle. Wise leaders will give instruction to many, but these teachers will die by fire and sword, or they will be jailed and robbed.
11:20,33 (a “few days” of persecution insignificant unless years) KJV - Then shall stand up in his estate a raiser of taxes in the glory of the kingdom: but within few days (יוֹם yowm) he shall be destroyed, neither in anger, nor in battle. And they that understand among the people shall instruct many: yet they shall fall by the sword, and by flame, by captivity, and by spoil, many days (יוֹם yowm).
12:13 (Daniel is told to seal up this vision for it pertained to “many days” even to the time of the end years away) NLT - As for you, go your way until the end. You will rest, and then at the end of the days, you will rise again to receive the inheritance set aside for you.
Jesus is crucified (v26a) "...after this period of sixty-two sets of seven, the Anointed One will be killed" (NLT) "...And after threescore and two weeks shall Messiah be cut off"
Jesus is rejected at crucifixion (26b) "...appearing to have accomplished nothing" (NLT) "...but not for himself"
Jesus holds all people accountable (9:27c) ..."until the fate decreed for this defiler is finally poured out on him" (NLT) "...until the consummation, and that determined shall be poured upon the desolate"
Genesis 6:3 KJV -“And the LORD said, My spirit shall not always strive with man, for that he also is flesh: yet his days (יוֹם yowm) shall be an hundred and twenty years (שָׁנָה shaneh).
Genesis 47:9 NLT - 9 Jacob replied, "I have traveled this earth for 130 hard years (שָׁנָה shaneh). But my life has been short compared to the lives of my ancestors."
Genesis 47:9 KJV - And Jacob said unto Pharaoh, The days (יוֹם yowm) of the years (שָׁנָה shaneh) of my pilgrimage are an hundred and thirty years: few and evil have the days (יוֹם yowm) of the years (שָׁנָה shaneh) of my life been, and have not attained unto the days (יוֹם yowm) of the years (שָׁנָה shaneh) of the life of my fathers in the days of their pilgrimage.
Exodus 13:10 NLT - So observe the decree of this festival at the appointed time each year (יוֹם yowm).
Exodus 13:10 KJV - Thou shalt therefore keep this ordinance in his season from year (יוֹם yowm) to year (יוֹם yowm).
Leviticus 25:4-5 NLT - But during the seventh year (שָׁנָה shaneh) the land must have a Sabbath year of complete rest. It is the LORD's Sabbath. Do not plant your fields or prune your vineyards during that year. And don't store away the crops that grow on their own or gather the grapes from your unpruned vines. The land must have a year (שָׁנָה shaneh) of complete rest.
Leviticus 25:4-5 KJV - But in the seventh year (שָׁנָה shaneh) shall be a sabbath of rest unto the land, a sabbath for the LORD: thou shalt neither sow thy field, nor prune thy vineyard. That which groweth of its own accord of thy harvest thou shalt not reap, neither gather the grapes of thy vine undressed: for it is a year (שָׁנָה shaneh) of rest unto the land.
Leviticus 25:8 NLT - In addition, you must count off seven Sabbath years (שָׁנָה shaneh), seven sets of seven years (שָׁנָה shaneh), adding up to forty-nine years (שָׁנָה shaneh) in all.
Leviticus 25:8 KJV - And thou shalt number seven sabbaths of years (שָׁנָה shaneh) unto thee, seven times seven years (שָׁנָה shaneh); and the space of the seven sabbaths of years (שָׁנָה shaneh) shall be unto thee forty and nine years (שָׁנָה shaneh).
Daniel 9:2 NLT - During the first year (שָׁנָה shaneh) of his reign, I, Daniel, learned from reading the word of the LORD, as revealed to Jeremiah the prophet, that Jerusalem must lie desolate for seventy years (שָׁנָה shaneh).
Daniel 9:2 KJV - In the first year (שָׁנָה shaneh) of his reign I Daniel understood by books the number of the years (שָׁנָה shaneh), whereof the word of the LORD came to Jeremiah the prophet, that he would accomplish seventy years (שָׁנָה shaneh) in the desolations of Jerusalem.
Jeremiah 25:11-12 NLT - This entire land will become a desolate wasteland. Israel and her neighboring lands will serve the king of Babylon for seventy years (שָׁנָה shaneh). Then, after the seventy years (שָׁנָה shaneh) of captivity are over, I will punish the king of Babylon and his people for their sins, says the LORD. I will make the country of the Babylonians a wasteland forever.
Jeremiah 25:11-12 KJV - And this whole land shall be a desolation, and an astonishment; and these nations shall serve the king of Babylon seventy years (שָׁנָה shaneh). And it shall come to pass, when seventy years (שָׁנָה shaneh) are accomplished, that I will punish the king of Babylon, and that nation, saith the LORD, for their iniquity, and the land of the Chaldeans, and will make it perpetual desolations.
Jeremiah 29:10 NLT - This is what the LORD says: You will be in Babylon for seventy years (שָׁנָה shaneh). But then I will come and do for you all the good things I have promised, and I will bring you home again.
Jeremiah 29:10 KJV - For thus saith the LORD, That after seventy years (שָׁנָה shaneh) be accomplished at Babylon I will visit you, and perform my good word toward you, in causing you to return to this place.
2 Chronicles 36:21 NLT - So the message of the LORD spoken through Jeremiah was fulfilled. The land finally enjoyed its Sabbath rest, lying desolate until the seventy years (שָׁנָה shaneh) were fulfilled, just as the prophet had said.
2 Chronicles 36:21 KJV - To fulfil the word of the LORD by the mouth of Jeremiah, until the land had enjoyed her sabbaths: for as long as she lay desolate she kept sabbath, to fulfil threescore and ten years (שָׁנָה shaneh).
Numbers 14:34 NLT - Because your men explored the land for forty days (יוֹם yowm), you must wander in the wilderness for forty years (שָׁנָה shaneh)—a year (שָׁנָה shaneh) for each day (יוֹם yowm), suffering the consequences of your sins. Then you will discover what it is like to have me for an enemy.
Number 14:34 KJV - After the number of the days (יוֹם yowm) in which ye searched the land, even forty days (יוֹם yowm), each day (יוֹם yowm) for a year, shall ye bear your iniquities, even forty years (שָׁנָה shaneh), and ye shall know my breach of promise.
Deuteronomy 32:7 NLT - Remember the days (יוֹם yowm) of long ago; think about the generations past. Ask your father, and he will inform you. Inquire of your elders, and they will tell you.
Deuteronomy 32:7 KJV - Remember the days (יוֹם yowm) of old, consider the years (שָׁנָה shaneh) of many generations: ask thy father, and he will shew thee; thy elders, and they will tell thee.
The service of mourning for Jepthah’s daughter occurs “from days to days” that is yearly. It also says the mourning takes place for four days each year.
Judges 11:40 NLT - So it has become a custom in Israel for young Israelite women to go away for four days (יוֹם yowm) each year (שָׁנָה shaneh)to lament the fate of Jephthah's daughter.
Judges 11:40 KJV - And it was a custom in Israel, that the daughters of Israel went yearly (יוֹם yowm) to lament the daughter of Jephthah the Gileadite four days (יוֹם yowm) in a year (שָׁנָה shaneh).
1 Samuel 1:21 NLT - The next year Elkanah and his family went on their annual (יוֹם yowm) trip to offer a sacrifice to the LORD.
1 Samuel 1:21 KJV - And the man Elkanah, and all his house, went up to offer unto the LORD the yearly (יוֹם yowm) sacrifice, and his vow.
1 Samuel 2:19 NLT - Each year (יוֹם yowm) his mother made a small coat for him and brought it to him when she came with her husband for the sacrifice.
1 Samuel 2:19 KJV - Moreover his mother made him a little coat, and brought it to him from year (יוֹם yowm) to year (יוֹם yowm), when she came up with her husband to offer the yearly (יוֹם yowm) sacrifice.
A yearly sacrifice was spoken of as the "sacrifice of the days"
1 Samuel 20:6 NLT - If your father asks where I am, tell him I asked permission to go home to Bethlehem for an annual (יוֹם yowm) family sacrifice.
1 Samuel 20:6 KJV - If thy father at all miss me, then say, David earnestly asked leave of me that he might run to Bethlehem his city: for there is a yearly (יוֹם yowm) sacrifice there for all the family.
David and his men dwelt in the land of the Philistines "days and four months". That a period of a year and four months is intended is evident since that is the way translators of the Bible have handled this phrase. So the term "days" was used at times to specify a period of time equivalent to a year.
1 Samuel 27:7 NLT - And they lived there among the Philistines for a year (יוֹם yowm) and four months.
1 Samuel 27:7 KJV - And the time that David dwelt in the country of the Philistines was a full year (יוֹם yowm) and four months.
David was old and advanced in years is literally "in the days"
1 Kings 1:1 NLT - King David was now very old, and no matter how many blankets covered him, he could not keep warm.
1 Kings 1:1 KJV - Now king David was old and stricken in years (יוֹם yowm); and they covered him with clothes, but he gat no heat.
Job 10:5 KJV - Are thy days (יוֹם yowm) as the days (יוֹם yowm) of man? Are thy years (שָׁנָה shaneh) as man's days (יוֹם yowm)?
Job 15:20 NLT - The wicked writhe in pain throughout their lives. Years (שָׁנָה shaneh) of trouble are stored up for the ruthless.
Job 15:20 KJV - The wicked man travaileth with pain all his days (יוֹם yowm), and the number of years (שָׁנָה shaneh) is hidden to the oppressor.
Job 32:7 KJV - I said, Days (יוֹם yowm) should speak, and multitude of years (שָׁנָה shaneh) should teach wisdom.
Job 36:11 NLT - If they listen and obey God, they will be blessed with prosperity throughout their lives. All their years (שָׁנָה shaneh) will be pleasant.
Job 36:11 KJV - If they obey and serve him, they shall spend their days (יוֹם yowm) in prosperity, and their years (שָׁנָה shaneh) in pleasures.
Psalm 77:5 NLT - I think of the good old days (יוֹם yowm), long since ended.
Psalm 77:5 KJV - I have considered the days (יוֹם yowm) of old, the years (שָׁנָה shaneh) of ancient times.
Psalm 90:9-10 NLT - We live our lives (יוֹם yowm) beneath your wrath, ending our years (שָׁנָה shaneh) with a groan. Seventy years (שָׁנָה shaneh) are given to us! Some even live to eighty.
Psalm 90:9-10 KJV - For all our days (יוֹם yowm) are passed away in thy wrath: we spend our years (שָׁנָה shaneh) as a tale that is told. The days (יוֹם yowm) of our years (שָׁנָה shaneh) are threescore years and ten; and if by reason of strength they be fourscore years (שָׁנָה shaneh), yet is their strength labour and sorrow; for it is soon cut off, and we fly away.
Ezekiel 4 describes an acted out parable with three main points: the meaning of the pantomime; the prophetic element involved; and the historical background for the time element. The days during which the prophet was to "bear" these sins is described in Ezekiel 1,9, and 10. Ezekiel's prophetic future days come from past years. In Numbers 14:34, the future years of judgment come from past days of sinfulness.
Ezekiel 4:6 NLT - After that, turn over and lie on your right side for 40 days (יוֹם yowm)—one day (יוֹם yowm) for each year (שָׁנָה shaneh) of Judah's sin.
Ezekiel 4:6 KJV - And when thou hast accomplished them, lie again on thy right side, and thou shalt bear the iniquity of the house of Judah forty days (יוֹם yowm): I have appointed thee each day (יוֹם yowm) for a year (שָׁנָה shaneh).
Days can be years in the first five books of Moses, all 3 sections of the OT (Torah, Prophets, Psalms), and at least these 14 OT books of the Bible.
Since the Greek translation of the OT (the Septuagint or LXX) was written in the 3rd Century BC, commentators like these have used the Bible's wider lens of year day references to interpret Daniel 9 which is why the LXX translated Daniel 9:24-27's "seventy weeks" as "weeks of years"
Since Messiah means anointed one, Jesus became Messiah when he was anointed at his baptism (Mark1:11; Matthew 3:13-17). Adding 483 years to 457BC brings us to 27 AD (adding 1 because there is no year zero in the BC/AD calendar), at this time the “anointed one comes” But is that his birth? His death? Something else? Luke tells us that John the Baptist began his ministry in the fifteenth year of Tiberius Caesar (Luke 3:1). Historians tell us Augustus, Tiberius’s adoptive father, died in 14AD. Adding 15 years to this date, we arrive at 29AD not 27AD. But two years before Augustus died, historians also reveal the Roman Senate voted Tiberius co-ruler similar to how King David and Solomon co-ruled in 1 Kings 1. So adding 15 years to the to co-ruling date of 12AD brings you to 27AD for the Messiah’s public anointing and baptism. For more on the fifteenth year of Tiberius as AD 27, see especially J.Finegan’s discussion of this date in Handbook of Biblical Chronology (Princeton: 1964), 259-74.
Seventy prophetic weeks equal 490 prophetic days or years. If you add 490 years to 457BC we reach 34AD (adding 1 because there is no year zero in the BC/AD calendar). But what happened in 34AD? Three and a half years after Jesus died and rose? Acts 7:58 says Saul / Paul stoned the prophet Stephen to death. Galatians 1:18 says Paul says the first visit to Jerusalem came three years after his conversion. Galatians 2:1 says the second visit occurred fourteen years after the first visit. Acts 18:12 says right after Paul left Jerusalem after the second visit he went on a missionary journey to Corinth where he appeared before the proconsul Gallio. From an archaeological inscription found in Corinth, historians know Gallio’s one-year proconsulship occurred in AD51. If you subtract 17 years from 51, you reach 34AD - the estimated death of Stephen's stoning.
The interesting thing about the duration of the 70th week is verse 26 says it begins after the sixty-two weeks thus taking us slightly beyond the end of the 69th week. Specifically, the middle of the week or half this time is when verse 27 says Jesus will put an end to sacrifices and offerings. Why? Because Jesus is the real Lamb that took away our sins (John 1:29; 1 Corinthians 5:7; Matthew 27:51). Because Jesus' ministry was 3 1/2 years long (John mentions three Passover festivals during the ministry of Jesus in Jn.2:13, 6:4 and 11:55) – and possibly a fourth (Jn. 5:1). Note that these cannot be the same festival, because other festivals occur in between (Jn. 5:1, 7:2, 10:22). Thus, we can assume that Jesus's ministry lasted for at least three years, and that He was put to death in AD 31 half way through Daniel 9's 70th week. Today, all who accept Jesus are "spiritual Israel" (Galatians 3:28-29; Romans 9:6-8). He has promised to give us a new heart. And to shine out from it in our lives. | 2019-04-21T14:14:37Z | https://toledofirstoh.adventistchurch.org/sermons/2014-sermons/the-holy-scriptures-point-to-jesus---part-2--pastor-mike-fortune--january-11-2014 |
Sri Lanka is a small island country with an area of approximately 65,000km2 located in Southeast Asia, Southeast of India and Northeast of the Maldives. Sri Lanka is situated in the tropical waters of the Indian Ocean. Although it is an island, Sri Lanka offers an amazing experience to anyone who visits. This unique country boasts an abundance of amazing wildlife with stunning scenery to match. Sri Lanka is Asia’s top wildlife destination and possibly the best destination for wildlife viewing outside of Africa. In Sri Lanka, there are approximately 60 national parks some of which are UNESCO heritage sites due to their unique biodiversity. Sri Lanka is also home to The Big Four; the Sri Lankan Elephant, the elusive Leopard, the Sloth Bear and the Blue Whale. Covered in rainforest, Sri Lanka is home to more species of flora and fauna than you could possibly imagine. What better way to explore the beauties of Sri Lanka than a Sri Lanka safari holiday?
Sri Lanka offers a range of different safari tours, including underwater safaris, rainforest safaris, walking safaris, whale watching safari and wildlife photography tours. In Sri Lanka you can also go on the most popular type of safari; a game drive. On a game drive, you are usually accompanied by a tracker and a ranger, who scan the environment for the best animal sightings whilst also ensuring your safety. On a walking safari you will also go with a ranger or a guide and because you are on foot you will get a completely different safari experience; it is sometimes even possible to approach the wildlife to a very short distance. Walking safaris are a thrilling experience as you are able to observe the wildlife without the protection of a car. On an underwater safari, you will adventure into the Indian Ocean to a number of great dive sights. The dive sites are made up of beautifully biodiverse coral reefs which are home to many species of hard coral, colourful reef fish and more. You can also visit other interesting things on a boat safari in Sri Lanka such as shipwrecks. On these tours, you will be accompanied by a guide who will take care of you every step of the way and ensure that you have the best underwater experience possible. A rainforest safari is also a popular choice for safaris in Sri Lanka, as you explore deep into the rainforest which is home to a vast variety of flora and fauna.
Sri Lanka is situated in the Indian Ocean, which is an extremely vast ocean with Africa to the West and Asia to the North and East. This ocean is so vast that it is said to hold up to 20% of water on the Earth’s surface. If you go on a diving safari in Sri Lanka you are likely to see an incredible array of marine life including the Yellow Striped Fusilierand Damselfish and Blue-streak Wrasse. If it’s not only beautiful coral and colorful fish that you wish to see, you might also be lucky enough to see the Pygmy Blue Whale, Sperm Whale, and Spinner Dolphin. On a Whale and Dolphin watching boat trip safari, you can also view the Blue Whale; the largest animal on the earth. On these trips, you can also watch playful Dolphins as they ride the waves next to your boat and other types of whale such as Fin Whale, Pilot Whale or even Killer Whales. The ocean surrounding Sri Lanka is a haven of natural diversity and abundant in marine life. This is because of the government’s policy to forbid civilians from fishing within ten miles offshore. This has allowed cetacean life to flourish in the water surrounding Sri Lanka. The government also minimized water travel within ten miles offshore meaning that coral reefs have also been able to flourish here too. Ecotourism is also a huge factor in Sri Lanka and the Sri Lankan navy have established ecological standards to protect whales’ environment while developing safe access for research, diving safaris and whale watching tours.
In Sri Lanka, you can also take part in rainforest safaris, walking safaris, game drive safaris and special photography tours. On these tours, you will see a huge variety of wildlife including Leopards, Sri Lankan Elephant, Sloth Bears, Monkeys, various reptiles and over 215 species of stunning birds. These safari tours can last up to 12 hours and will take you to some of the most remote yet awe-inspiring locations in Sri Lanka where you are sure to see some mesmerizing wildlife. Safari trips in Sri Lanka are compiled alongside highly trained safari veterans which assure guests will receive a once in a lifetime safari experience. Any safari tour can be customized to meet all of your expectations. If it’s the elusive Leopard you wish to see, the trained trackers and guides will try their utmost to locate one for you. If you wish to see the wonderful Sri Lankan Elephant in its natural habitat then you will be taken to where they are known to roam. You can be taken to the best bird watching locations if its beautiful birds that you wish to see or if you want to photograph some incredible scenery then the guides know the perfect places for you. You can also opt to meet and greet the Vedda People (aboriginal Sri Lankan people) and spend a day with them, appreciating their unique culture and way of life.
Sri Lanka has a vast array of untouched natural habitats for you to enjoy. The biological diversity that this small island encompasses is huge. Sri Lanka has an incredible amount of endemism of both flora and fauna. Specifically, 16% of fauna and 23% of flora are endemic to the country, making Sri Lanka even more unique than you could possibly imagine. Sri Lanka is also home to almost sixty national parks and reserves located nationwide. Some of these national parks and reserves are even UNESCO World Heritage Sites due to their vast biodiversity and unique arrays of flora and fauna.
The Sri Lankan Elephant is possibly one of the main reasons that people choose to visit the country and go on a safari tour. As ecotourism gains traction, more and more people opt to see Elephants in their natural habitats. The Sri Lankan Elephant is a sub-species of Asian Elephant. Sri Lankan Elephants are thought to have initially arrived from India. Previously they were able to freely roam the entire island but are now restricted to National Parks and Reserves as much of their habitat is turned into crop fields. The Elephants in Sri Lanka can sometimes be seen in herds of up to 10 to 12 at one time. Sri Lankan Elephants are classified as endangered due to brisk habitat loss and poaching for their ivory tusks. Don’t let this scare you though; in Sri Lanka, the penalty for killing an Elephant is the death penalty and they are protected by law.
Every year in Sri Lanka there is an annual spectacle called “The Gathering”. At this time up to 400 Sri Lankan Elephants can be viewed together. The Gathering occurs during the dry-season where the Elephants gather at a large predictable water source which provides the perfect area for feeding, drinking, and breeding. A lot of Elephant calves are usually present at The Gathering also which makes this a once in a lifetime opportunity that you should not miss while on your Sri Lanka safari holiday.
The Sri Lankan Leopard is viewed as a wonder, and rightfully so. Sri Lanka is thought to have one of the highest leopard densities in the world. In 2015 the Leopard population in Sri Lanka was thought to be 700 to 950 individuals, and in 2008 the Sri Lankan Leopard was classified as endangered. Like the Sri Lankan Elephant, the Sri Lankan Leopard is also threatened by habitat loss and poaching. Due to their extremely elusive behavior, spotting one of these animals could be the highlight of your Sri Lanka safari trip. Highly trained and dedicated guides will try to find one of these Leopards if you wish to see one in its natural environment.
Sri Lanka is home to 113 mammalian species including 16 terrestrial and 28 marine mammals which are endemic to the country. Other endemic mammals apart from the Sri Lankan Elephant and the Sri Lankan Leopard include the Sloth Bear and the Blue Whale. Sloth Bears are considered to be a highly threatened species with a wild population of less than 1000. The Sri Lankan Sloth Bear is usually found in lowland dry forest areas of the country. Yala National Park is noted as one of the best places in Sri Lanka to view Sloth Bears. The Southern tip of Sri Lanka is said to be the best place in the world to go whale watching, so if you are interested in viewing some unforgettable marine life, you should consider making this location part of your Sri Lanka boat safari tour.
The whale’s migration path is located not far from Dondra Point on the southern tip of Sri Lanka. Other interesting terrestrial mammals that can be viewed on a Sri Lanka safari include the Red Slender Loris, the Toque Macaque, the Purple Faced Langur and the Golden Palm Civet. These mammals are also classed as vulnerable or endangered meaning that spotting them in their natural environments can be difficult yet rewarding.
Bird watching is also a popular activity in Sri Lanka due to the countries extensive population of beautiful bird life. Sri Lanka has been named one of the best places in the world to go bird watching. The sanctuaries and wetlands on the Southeast part of the island coupled with the temperate climate make this area an ideal habitat for migrating birds, therefore a hotspot for many bird watching enthusiasts. Sri Lanka hosts more than 400 species of bird including 23 endemics and 200 migratory birds who arrive yearly from India, Scandinavia, Siberia and Western Europe. There are several bird sanctuaries within Sri Lanka including the Kumana National Park, the Kalametiva Bird Sanctuary, and the Udawatte Kele. Some endemic Sri Lankan birds include the Sri Lankan Spur fowl and the Sri Lankan Jungle fowl, these pheasant-like birds can be hard to spot as they dash across the dense jungle floor. The Sri Lankan Hanging Parrot and the Layard’s Parakeet are two beautifully colored birds that are common across the island and provide a wonderful spectacle for a great photo.
Migratory birds in Sri Lanka include the Barau’s Petrel which range to Western Australia and are classified as endangered. This bird is commonly a sea-bird and will spend most of its time near the ocean. You can also view the Dalmatian Pelican which is the world’s largest fresh-water bird and ranges from Europe through to China and into the Indian subcontinent, including Sri Lanka where they come to escape the harsh European winters. The best time of year to visit Sri Lanka in order to see the best range of birdlife is toward the latter part of the year whilst most migratory birds are present. December was declared national bird month in Sri Lanka and many bird-related activities are organized during this month. If you are interested in viewing some of the most beautiful birds in the world, you should definitely incorporate this activity into your Sri Lanka Safari holiday.
Sri Lanka consists of 26 national parks which together cover an area of 5,734 km2.
The flora and fauna in these parks are protected by law and people may only enter these parks only for observational purposes and with a recognized permit. The national parks are located across the country. Some of the most popular national parks in Sri Lanka include Udawalawe National Park, Horton Plains National Park, and Minneriya National Park. Udawalawe National Park is located to the south of the island, 174km away from the capital Colombo. Horton Plains National Park is located a few kilometers north of Udawalawe National Park and 188km away from Colombo, and Minneriya National Park is located closer to the North of the island, approximately 200km away from the city of Colombo.
Each park in Sri Lanka offers something different meaning that no matter which park you decide to visit during your stay (be it only one park or ten parks) you are sure to experience something unique on your Sri Lanka Safari tour. Udawalawe National Park has an elephant orphanage; Horton Plains National Park has both the second and third highest points of Sri Lanka within its boundaries; and Minneriya National Park is a regular location for two of Sri Lanka’s endemic monkeys; the Purple Faced Langur and the Toque Macaque. With something unique in every national park you will find it hard to be disappointed.
As well as having a stunning environment, Sri Lanka also has a rich history. The history of Sri Lanka dates back as far as 500,000 years spanning the Palaeolithic, Mesolithic and early Iron Ages. Sri Lanka is the first country in the world thought to have a female ruler between 47 to 42 BC. Sri Lanka also has extensive influences from Buddhism and over time the country has formed a vast collection of incredible temples which can provide a calm break to your active Sri Lanka safari holiday. In 1815 Sri Lanka became part of the British Empire. During this time, experimentations with tea plantations were successful and tea quickly became one of Sri Lanka’s main exports. Britain’s occupation of Sri Lanka led to a thriving and ethnically diverse country. In 1948 Sri Lanka once again became an independent nation. Why not plan to visit some of these temples, tea plantations and historical monuments during your trip to this beautiful country?
During your time in Sri Lanka, you can go on a Sri Lanka safari or a Sri Lanka boat safari, but Sri Lanka also offers some other amazing attractions. These include an abundance of sacred religious sites and historic sites, beautiful beaches and ancient ruins. Some of the top picks include Pidurangala Rock, which you can hike up to the peak and witness some amazing views. You can also visit Little Adam’s Peak, Sigiriya World Heritage Site or Ella Rock which features a beautiful waterfall. If you are interested in waterfalls, Sri Lanka has a lot. The best waterfalls in Sri Lanka include Ravana Falls which has a height of 25 meters (82 feet), Diyaluma which has a height of 220 meters (721 feet) and flows rapidly, making the water appear white and frothy, and Kithulgala Falls where you can take a refreshing swim.
The Sri Lankan climate is tropical and warm all year-round, meaning that your Sri Lanka safari holiday will be pleasurable whichever time of year you choose to visit. Temperatures range from 17C (63F) to 33C (91F). Rainfall in Sri Lanka, like much of Southeast Asia, is influenced by monsoon winds. Sri Lanka features two separate monsoon seasons which range between May to September and October to February. Make sure you research these seasons before you book your Sri Lanka safari holiday to ensure that the weather at your time of visit suits your expectations.
Although there is no best time to visit Sri Lanka, as the country is a popular holiday destination year-round, a good time of year to visit Sri Lanka for a Sri Lanka Safari would be between December to mid-April, during the dry season when monsoon rains are not present.
During this time spotting animals on a Sri Lanka safari would be easier too because the animals will gather at predictable water sources. The best time of year for whale watching in Sri Lanka is between November and April and also May until September as the whales are migrating during this time. This also makes these times the best times for an amazing Sri Lanka boat safari tour. Whale watching and Sri Lanka boat safari tours are popular all year-round however if you come between these suggested times you will be a lot more likely to view some of the incredible migratory whales.
When visiting any country it is important that you check the relative health risks and visit your local travel clinic before you depart. Sri Lanka is in a tropical climate and comes with associated health risks which include malaria, hepatitis B, and typhoid. Malaria is not considered to pose a large risk in Sri Lanka however if you are embarking on a Sri Lanka safari tour deep into the Sri Lankan jungle then ensure to tell your doctor this before you depart so they can ensure that you have all of the appropriate vaccinations and protection that you need for your trip.
Sri Lanka is a small yet beautifully diverse and unique country which many people choose to visit time and time again. Many people choose to come back for the variety of things to do on this island, including relaxing beach breaks, exciting Sri Lanka safari tours, Sri Lanka boat safari tours, hiking and visiting ancient monuments and temples. Although Sri Lanka is a small island you will never be bored as there is always a variety of activities occurring across the country. | 2019-04-19T18:19:00Z | https://www.galoyalodge.com/blog/srilankasafari/ |
Growing up I didn't have a lot of contact with my father. My grandfather was the only real dedicated father figure I ever had during those years, but he really loved me. I never had any doubts about that. Always there for me, always encouraging, always happy to see me - to be a part of my life. He left his imprint and I am forever grateful.
My grandpa met my grandmother at a dance hall in their town. It was right before World War II. He used to watch her dance from the balcony and finally got up the courage to ask her. They married during the war on a weekend pass. He made it through the war and they went on to have four daughters. My mother was their second.
We saw each other regularly once I married and he loved my children every bit as much as he loved me. It was from him that I learned to cook a tasty beef roast, learned how to fry an egg to perfection, and drive a fast car. Every year on Veterans Day, I would call him and thank him for his service because I felt it was important to remember.
My grandpa died eight years ago. He left a void I imagine nothing will ever fill. I think of him regularly, but especially on Veterans Day. There is an ache in my throat and tears in my eyes and I don't post this looking for sympathy. I just wanted to honor a man I loved deeply on this day, when I can no longer do it in person.
What have you learned about the prophets of the Old Testament?
Now please understand that when we started this book, I had no idea what we were really going to learn. I had no idea what my children would walk away with or whether they would enjoy it at all. I had no idea they would learn so much about so many Bible personalities among the secular ones with whom we are so familiar. I really had no idea that we would be learning about the prophets or why that would even be as important as it is for understanding scripture as a whole. This was her answer.
I am going to relate some of the amazing facts about the Old Testament prophets. The prophet Micah predicted the place of Jesus' birth. Ezekiel witnessed bones return to life, ate a scroll, and saw a wheel within a wheel. Joel prophesied during a locust plague. Habakkuk wrote letters to God. Amos was a fig farmer. Huldah was a prophetess who revealed to King Josiah the will of the Lord. Jeremiah, known as the 'weeping prophet', foretold the enslavement of Israel. Isaiah's beautiful words have been compared with the rest of the Bible. Jonah, the first prophet to Nineveh, was swallowed by a giant fish, and spit out three days later. Obadiah prophesied to the Edomites, the descendents of Esau. Elijah, who was known as the 'fiery prophet', was taken up into heaven by a chariot of fire. He was also mentor to Elisha who, even in death, brought people back to life by the mere touch of his bones. These are just some of the wonders that God's faithful servants saw and did, for His glory.
I can be honest with you and share that *I* don't even know all these things and *I* taught them through MOH! This came out of the top of her head, was hastily written, and she had more to offer had I given her the chance. I am simply stunned with the knowledge she has acquired through Mystery of History--on the prophets alone! Not only Bible history of course, but all sorts of wonderful ancient history meshed with the real living people of Scripture. And this is only one of my children. The other two I use it with have also really enjoyed it and learned a great deal too.
The way Linda Hobar wrote the last three lessons continually brought tears to my eyes. It is abundantly clear that she loves her Savior - loves the same Lord I do. This book was written to the glory of God, for the building up of the saints, and I am so grateful. I just wanted Linda Hobar to know - this family is eternally grateful for her work.
This little boy needs our faithful prayers. God keep his family and this little precious life. Thanks for joining me.
I am trying to figure out which books to read out loud as we start the next year. I try not to repeat books we have read before so I will have to do some searching to find the very best historical fiction. I love that genre!
So right now I am reading Gone With the Wind. I have been reading all sorts of interesting books - some are re-reads of books I have enjoyed in the past from the Cadfael series. These are so enjoyable to me. The other focus I have had has been Rome. Quo Vadis? was one of the books I recently finished and WOW was it powerful to me. Set in the time of Nero's Rome, the book focuses on the relationship between a powerful Roman Patrician and a Christian barbarian princess. Peter and Paul play parts and towards the end the stories of those dying in the arena are shared. It was published in 1896 and has that older feel to a book I enjoy so much. It depicts some of the Roman oppulence in a very descriptive manner so I cannot endorse it for children, but I felt I knew a great deal about Rome and the persecution of believers - and their example to many around them - by the end of it. It is a powerful book and I really recommend it. In my search to understand Rome a bit more before we dove into it with MOH, I spent some time reading The Story of the Romans, from Nothing New Press. I had never read the whole thing all the way through and it was a good overview of the history of Rome. It is very obviously written for children as it is quite delicate with some of the more unseemly events in Rome's past. It helped me understand it from a broad perspective and I was glad I read it.
But back to Gone With the Wind... It is highly engrosing. I cannot say that I *like* Scarlett at this point in the story and am not sure I ever will. The self-love of this firey young girl is pretty palpable, but the story is very different in some places than the movie and the movie was all I had to go on. I am enjoying it enough to stay up later than I ought. :+) We shall see where it goes!
So what have been your favorite reads for the middle ages and what are you reading now? Blessings to you this October.
Our co-op has spent the first four weeks learning a bunch of things from the music of Bach to the art of Botticelli to beginning sketching with lines, shapes, and outside forms. The picture above is some of our blue dawn vine. Here are some of our younger members trying to sketch a watermelon. Aren't they just the cutest?
Here is another of our two watermelons God blessed us with! Planted and nurtured by our very own Abigail.
We hit three birthdays along the way. The first was our Elizabeth. She is now officially 8.
This was a highly sought-after present that arrived from Hearthsong just in time. Here is the truly delighted (and focused) child baking her own filled cupcakes.
They were stuffed chocolate cupcakes with chocolate frosting - all from scratch. They were absolutely delicious!
Mama and her birthday girl.
Then we had a very special birthday - a once-in-a-lifetime kind of birthday - my grandmother's 90th birthday. This is Elizabeth Kirk Immekeppel on her 90th. She is, and always has been, some kind of woman!
It was not a surprise, but she didn't know who all the guests were. It was so much fun to see her face when she saw a long-ago friend.
Here she is with her three daughters. My mother is on the left, my Aunt Judy is in the middle, and my Aunt Nancy is on the right. They are so precious to us! I really love this picture.
The last birthday of the month is my lovely daughter, Hannah. She is now 14. 14!! I simply cannot believe it. She is a delight and a joy. God gives such rich and good treasure! Today is her birthday.
I will have five students this year - the first time ever. It feels a little bit scary, but not *too* scary - really. If I keep saying that to myself it will be true, right? LOL! There is so much to think about with regards to this new year and I feel I have had no time at all to do it. There has also been so much to think about and evaluate for my new "crop" of smallish schoolers. This idea has been on my mind quite a bit. I really like what they discuss for first and second grade, but we are in the midst of a history cycle with the older children and doing *two* types of history is just not what I am available for.
However... and there it is - that "however" - I really love the idea of just reading great books like the history-oriented beautiful work by Ingri and Edgar D'Aulaire amongst others. I really really want to do this with my two little ones. I *want* to do so many things. It is the doing that makes it hard sometimes. These books are worth the time though, and there are so many others that are too. I heard one of the best and most encouraging homeschool conference talks from Rea Berg recently. She extolled the importance of reading real quality literature with your children over the course of their years. It was such an uplifting message! I think we forget sometimes, the importance of just reading. We don't have to *do* something with every piece of literature--we can just enjoy it together. This is the easiest thing for me to let slip by. I don't want to do that this year!
And it was the fourth of July and here is one of my sassy silly girls with Grace's other child, David. What faces!
We took the most beautiful hike. You can see the smokey sky as the CA fires were still in full force at this time.
It was so green and lush and lovely. I didn't expect that in July, but wow, it was so pretty!
I was so happy this picture turned out. I love the colors of the yellow Mule's Ears and the purple Forget Me Nots. If you click on it, you will see just how pretty it is up close.
The children are all very excited and so are Mark and I. Tahoe is lovely in the summer and we will be near Squaw Valley. Yippie! I hope we can take the gondola up to the top of the mountain to see the whole view of the Lake. We shall see!
Thanks for praying. God hears His people!
We are finishing up our history study and loving every minute of it. I think I have bragged about Mystery of History here enough, so I will leave off that (though I *could* say more, you know - LOL) and share with you what we are going to be reading and listening over the next few months as we wrap up our study of the ancient folks. I am so looking forward to it!
So what are you doing for the summer? We will be finishing this up and also wrapping up other work we did not get to over the year. We will be taking the entire month of August off of everything but fun. :+) Then September will find us at work again. I really don't like to take off more time than that as I find we start to get stir crazy and don't accomplish much. We have to be extra diligent to get it done in June and July - and they are busy months too!
So what about you? What are you looking forward to for this summer? For next year?
A day with smallish creatures.
Today was a special day! It is not very often that I get to spend alone time with my two smallest creatures. Daddy was partaking of part of his Father's Day bliss by spending alone time with the oldest three at Golfland Sunsplash. Dead drop water slides plus 90+ degree weather equaled a fantastic time for them. They came home lightly toasted, red-eyed, and full of stories of dark water tunnels and wave machines. It was good they older ones were the chosen for this event as there were some things the littles just couldn't do. That is OK - I got to have fun with them!
We started our fun time with a trip to see Prince Caspian. I didn't know what to expect, but I was not disappointed. There were so many beautiful parallels to God's call on our lives; so many examples of what it means to have faith in something not seen. I really enjoyed it. The girls did too. Emma shut her eyes for the short gross beaked creepy creature, but otherwise this was a much less "icky creature" Narnia. It was a darker Narnia though as so many things had happened in the kingdom, but Aslan's presence was truly felt. I think I liked it better than the first one.
Daddy is home now and we are all in a very tired state, but it has been such a lovely day. I loved being with my "babies" today - just loved listening them them and talking with them and just loving them. They are little for so short a time! Enjoy your children this weekend - as we celebrate together their fathers.
Big list of books and a bit of curriculum too.
Shipping will be $3.00 for up to five books, media mail. For six to infinity it will be $5.00 shipping. Any questions, I will happily answer! I prefer Paypal, but will take a USPS money order. Thanks!
We have been *so* enjoying our Mystery of History study! I mean *really* loving it. So much more than I ever thought we would. I think I keep saying that but the curriculum keeps surprising me by its coverage of so many things! :+) We also just read Victory on the Walls and really enjoyed it! It is quite close to the book of Nehemiah that it teaches so much in the story. I really felt for the Israelites and the faith of Nehemiah is real and vibrant. I highly recommend it!
Sometimes the holidays we have in our country come and go and not much happens on my end to commemorate them. Memorial Day was a day we spent around the house trying to recover from not feeling so great. Today though, I discovered a site that made my heart hurt, but in that good must-never-forget kind of way. Through a story on CNN I learned about Project Compassion.
These amazing artists paint portraits for the families of every active duty soldier who has fallen in the line of duty since September 11, 2001. I spent a good deal of time in the gallery. There are hundreds of paintings. Every single soldier I met there had died in the service of our country. I feel every single one of those eyes has died for me.
The paintings are varied and done by several artists; most are portraits in military style. Some are not though. The ones that moved me the most were the ones with children in them--like the one where the daddy holds his newborn baby or the one with the laughing child on his daddy's back. My husband has never had to serve, to put his life on the line, for his country. I have been selfishly grateful he has never been in harm's way. But I know that if he had given the ultimate sacrifice it would have been terribly difficult for his children. I know that so many families have had to offer that kind of sacrifice and I just want to say thank you. I know it isn't much - that thank you. It won't make up for your loss, but I am grateful. God go with you and give you His peace.
I have been politically involved from a young age - not going door to door, but I follow those up for election, read the propositions, vote, stay involved, etc. I am not apathetic towards government. I am finding myself more and more perplexed by the "state of the state" and am not sure what there is to be done about it.
I am a Christian and know that my faith infuses all that I think and do, but I guess what I am trying to figure out is at what point (in a free society like ours) does one's personal faith affect the faith/lack of faith of others? This is a great puzzler for me as I am not sure what my responsibility as a Christian is with regards to moral issues in the public square. There are certain things I hold to be biblically immoral, but I am honestly asking how this plays out in a country that has freedom of religion? What is my responsibility and where do I have to draw the line? Does my moral compass determine what is right for others because I know the Bible to be God's inspired word? At what point does "freedom of religion" turn to "forced into my religion?"
I have no desire to return to the times of a state-run church or to the Spanish Inquisition where those who did not "tow the line" were eliminated. I have read enough history to know that I don't want to live faith by force. How does that play out in our world? How do we maintain a moral world when everyone's morality is different?
"Government should not censor any speech, press, media, or internet." and I have to answer "Yes, Maybe, No" which do I choose? As a freedom-loving American, I don't want my own thoughts and freedoms of faith in jeopardy, but there *are* inappropriate pictures on the internet, there are other horrifying things there too--and not just on the internet. Of course I don't want them available - so I do embrace censorship to some degree. There *are* appropriate things to censor. So who gets to decide what is censorable and where does our faith fit into it?
I was very interested to see the groundswell of support for Huckabee when he first came on the election scene. It seemed like he was embraced with fervor because he had all the right buzz words. His record didn't vouch so highly for him. (At least in my opinion.) I am not a person who believes that this country will be saved by politics or even by the actions of God's people. My Savior is not of this world. This does not remove our responsibility to be involved though--we have to be in a free nation or we have no say at all. Just how far though, do we go as Christians? What is our God-given, biblical calling, in the political arena? I am not talking about leaving our faith at the door of the election box--no way! I am trying to process the phrase, "You cannot legislate your morality." Do we draw lines? If so, what lines and when?
I would love to hear your thoughts. I am obviously mulling this around in my mind. I want to honor God in all that I do--to obey all His commands for me, and to glorify Him in all that I do. How do we do that politically?
God does and is everything impossible. Oh, how I love that! I have been in a discussion about faith in God and His work in creation and you know, sometimes it is just so hard to explain faith to those who don't share it. It truly is "...the substance of things hoped for and the evidence of things not seen." (Heb. 11:1) God is just like that, isn't He? I just love love love Him for that. How easy would our faith be if Jesus walked with us face to face here on this earth? How much would we have to trust in His saving, life-giving, purifying, providing hand?
The discussion has once again brought the quandry of faith versus sight into view. This is so key in our homeschools, isn't it? Our all-important faith is not something we can convince another of. It is truly a gift of God, lest we boast. Oh God, grant that my children walk in the faith you have so beautifully given me!
As I was sitting here working, I was listening to Mercy Me's album, Undone. The song, "Everything Impossible" just spoke to me! There are others who wonder and marvel at our Creator God! He is all we could ever need - even if we don't have all the answers. Let Him be praised. I hope you enjoy the lyrics as much as I. They met my heart tonight.
We spent one of the nicest days at a tremendous gold rush living history site near Coloma. Below are a few photos from that wonderful event. If you click on the photo you can see a larger version. Here are the children hand-dipping candles. I was amazed at how many dips it takes to make a candle! It was well over 40.
Here are the beautiful finished products. Don't they look so pretty hanging there?
Here they are making rope with twine. They were making a very long rope the old fashioned way!
Here they are making butter, ice cream, grinding wheat, and making fresh whole wheat tortillas by hand. All were wonderfully fresh and delicious!
Here is Abigail churning butter. This was such wonderful butter!
Here is the gold rush country in the spring. This picture was taken right by the American River as we were panning for gold. We did find some and now I finally know how to do it! There was not *much* to be found as I was only able to take gold dust, but boy, I could see the lure of it. It was something to figure out how to glean the gold from the riverbed!
Life has been hectic, but it has been so beautiful here. The weather just yesterday was 85! We have planted our garden and the flowers are all starting to bloom. It is a lovely time of year and we have had hardly any allergies! What a blessing. I hope you are all doing well!
Have you ever seen that verse? I know I have read it before because I have read the whole of the Bible and that is in Matthew 12:36, but I have never read it in the way I did today. My children and I did a study this morning on the tongue because their mother had an issue keeping hers in check. The words we read today were hard and brought many tears.
Out of the abundance of my heart my mouth speaks. What is in my heart if I have spoken something sinful? A fellow blogger has a "campaign" of sorts to root out gossip in the church. Gossip is probaby spoken more by women than by men. I have no real proof of that, but I would wager a good guess that it is so. I know that I have been guilty of it more often than I care to remember and it is almost always with another women. I don't share what I share with you to accuse you, but to encourage you to keep your tongues too.
This morning, by not bridling my own tongue I hurt a dear and precious friend. I repented of this sin, but it grieves me still. I share this with you so that you too may be thoughtful because I think it is so easy to open our mouths when we should be silent. Even when we think we are justified - are we honoring the person we are speaking of? Would we speak this way to their face?
Ladies, it was a painful lesson to teach my children this morning. It was hard to sit and admit my ugliness to them, to encourage them to keep their tongues pure and their hearts guarded, but the times of refreshing in God's word - even after reading these scriptures that cut the heart - was true and beautiful to me. I don't know what my children will take away from the lesson this morning. I don't know what they will have learned, but I have learned a hard lesson today. I praise my Savior for His kindness to me. I praise Him for His forgiveness when I don't deserve it. I praise Him for His longsuffering over me. I praise Him for the ability to be humbled. I pray that I will remember that it was Jesus who said, "I tell you, on the day of judgment people will give account for every careless word they speak."
Hallelujah! Christ arose! Rejoicing today for my salvation!
Rosetta Stone has been the #1 foreign language curriculum among homeschoolers for a while -- next week they are unleashing a brand new curriculum, and you can WIN the *all new* Rosetta Stone Homeschool Version 3… FOR FREE!
This is a $219 program (and believe me it's worth every penny!) and the winner gets to pick from any of these 14 languages: Spanish (Spain or Latin America), English (American or British), Arabic, Chinese, Japanese, French, German, Italian, Portuguese, Irish, Hebrew, or Russian.
This will also include a headset with microphone, and students will participate in lifelike conversations and actually produce language to advance through the program. Rosetta Stone still incorporates listening, reading and writing as well, in addition to speaking. Many homeschoolers requested grammar and vocabulary exercises, and with Rosetta Stone Homeschool Version 3, they're included! For parents, the new Parent Administrative Tools are integrated into the program and allow parents to easily enroll students in any of 12 predetermined lesson plans, monitor student progress, and view and print reports.
To win this most excellent program -- in the language of your choice -- copy these paragraphs and post it in (or as) your next blog post -- then to enter the contest, go to the original contest page HERE and leave a comment with the link showing where you blogged about it. And please make sure the link works to get back to the original contest page when you post it. And good luck! The winner will be picked randomly on March 26, and will be notified thru the link they left to their blog pg. And if you have more than one blog, you can post them and enter those separately for more chances to win. Yay for free stuff! | 2019-04-25T08:15:26Z | http://www.undertheskyblog.com/2008/ |
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SYDNEY, Australia – 9 February 2006 -- network equipment, Inc. (NASDAQ: NTAP) nowadays introduced that NetApp Fibre Channel (FC)–based mostly storage methods (NetApp unified storage) are actually a Part of the solar™ Cluster Open Storage program, proposing an availability retort for improving the predictability and resilience of enterprise-crucial functions. The program enforces immoderate high-quality and joint support, delivering unmatched tiers of availability. network rig participation in the software enables shoppers who've invested in NetApp unified storage and wish to construct expend of sun Cluster for utility availability to accomplish that comfortably and seamlessly.
With sun certification, NetApp customers will besides exist guaranteed that NetApp unified storage products are thoroughly interoperable with the sun Solaris™ operating system (OS). This interoperability makes it viable for customers using NetApp storage powered through information ONTAP® 7G, a dynamic virtualization engine, to double their storage utilization, automatically manipulate high-quality-grained data, and significantly lop back storage administration charges, while reaping the high-availability advantages linked to solar Cluster application.
additional information about the solar Cluster Open Storage program may besides exist discovered at www.solar.com/software/cluster/osp/.
community rig is a global leader in unified storage options for nowadays’s statistics-intensive commercial enterprise. due to the fact that its inception in 1992, network appliance has delivered expertise, product, and companion firsts that simplify records management. tips about network equipment™ solutions and services is accessible at www.netapp.com.
Backplane systems know-how has brought a brand new high performance 2U community rig that includes twin Intel Xeon scalable processors. iBASE's new FWA9500 2U community rig is informed for records management, community management, and network protection functions.
The highly resilient FWA9500 community computing rig is designed to exist an necessary workhorse for industry workloads, capable of managing much portions of information to allow tenacious ranges of efficiency and reliability in trade-grade community protection, firewall, VPN, UTM, WAN, and network management functions.
Key points of iBASE's new FWA9500 2U network rig consist of usher for Intel Skylake-SP Xeon processors to meet nowadays’s ever-changing community environments; 2U rackmount system incorporating twin LGA3647 CPU sockets; Intel C624 chipset, aiding up to 512GB RDIMM reminiscence in 16x DDR4-2666 sockets; and 2x Intel I210-AT Gigabit Ethernet controllers on-board and configurable NIC module slots. The FWA9500 will besides exist outfitted with 8x IBN (iBASE’s proprietary network interface) cards to accommodate a highest of sixty six GbE ports.
The modular design of the network appliance makes it viable for high expandability and scalability, enabling speedy customisation and straightforward configuration by means of interchanging and mixing modules with a view to meet the consumer's highest attribute necessities, altogether reducing the entire can charge of possession.
The inner storage enlargement with 2x three.5” or 4x 2.5” swappable power bays and an 800W redundant power give ensures immoderate availability and serviceability. It comes with I/O connectivity and growth slots including a PCIe x8 slot, an M.2 (M-key), a Mini PCIe, 2x USB 2.0, and an RJ45 serial console with LCM array for simple operation. optional points encompass LAN pass and the iBASE IDN100 IPMI 2.0 module.
if you're operating DB2, Oracle, or SQL Server on community-connected storage (NAS), you are not on my own. increasingly, more IT directors are internet hosting database applications on NAS to leverage its ease of expend and comparatively within your budget.
Database and NAS companies are working collectively to construct items that permit users to right now set up databases on NAS filers. for example, Oracle has licensed some NAS filers to travail with its databases, including items from EMC, Hewlett-Packard, community appliance, Procom know-how, and Veritas. BlueArc is presently working on certification.
traditionally, IT runs databases on direct-connected storage or storage zone networks (SANs) as a result of databases procedure facts at the screen level, and in most situations, requisite high efficiency for transaction-intensive functions. but over the past few years, IT directors believe begun the expend of NAS for database hosting, and the trend is carrying on with as NAS devices ripen and present SAN connectivity, better capacities, stronger performance, and excessive-availability elements.
"The leading improvement of operating a database on NAS is simplicity. Letting the NAS bailiwick finish the facts administration is less demanding than having the database occupy charge of it at once," says Steve Duplessie, senior analyst on the enterprise Storage group consulting company. "however, it exist a pious conversation, and finish not prognosticate individuals to dump their SANs every time quickly."
Analysts broadcast that NAS is a value-useful alternative for databases, in particular if no SAN infrastructure is already attach in.
"in comparison with the complexity and charges of establishing even an simple Fibre Channel SAN for a two-node Oracle database atmosphere, the benefit of deploying a NAS rig for a similar stint is compelling," says Brad O'Neill, senior analyst with The Taneja neighborhood consulting enterprise.
as with totality utility, the usage of NAS instead of a SAN ability sacrificing one of the vital appliance units general to SAN environments, says O'Neill. however in smaller database deployments the SAN performance should not missed, he says.
"The coerce on IT budgets has been a boon for NAS in light-weight and departmental database deployments," says O'Neill.
despite the fact, operating a database on NAS is not with out challenges, and analysts caution users to cautiously evaluation totality alternatives. Analysts recommend the usage of SANs for big-scale transaction-intensive purposes, however they're split on when it's appropriate to construct expend of NAS.
In a fresh record, the META group analysis difficult advises IT groups to wholly accept as superb with which database software characteristics are acceptable for NAS.
"We accord with the crucial question for IT businesses is not even if certain database applications can exist deployed on NAS techniques but whether or not they should silent be," writes META community analyst Rob Schafer in Database on community-attached Storage: opt for accurately. The record turned into subsidized by EMC.
Most NAS-primarily based database deployments are below 400GB. lower than 10% exceed 500GB. The benchmark database measurement tiers from 50GB to 250GB.
Most believe 250 to 350 concurrent clients. below 5% are in the sweep of 500 concurrent users.
I/O quotes (assuming a 1Gbps transport) are under 100MBps.
Response-time provider degrees (host to storage) are constantly greater than 15 milliseconds.
The report additionally recommends database software candidates for NAS internet hosting. These consist of recursive database testing; content material serving/caching; centralizing records for backup/recuperation purposes; and database purposes the expend of binary immense objects.
general, the premiere database-on-NAS deployment would believe a relatively wee database size and comparatively low I/O performance necessities, reviews META.
however no longer totality analysts and vendors accord with META's conclusions.
as an instance, Duplessie cites network rig shoppers' deployments of large databases on NAS. also, he believes that far more database applications can Hurry on NAS than META suggests.
"For tremendous-scale, high transaction rate database applications, they silent recommend block-based SAN storage, but for ninety% of database functions NAS is greater than sufficient," argues Duplessie.
network appliance additionally takes rigor with META's findings. "NAS isn't constrained by using the structure from a efficiency or scalability standpoint," says Puneet Pandit, director of advertising and marketing for network equipment.
network rig claims that 35% of its total profits is associated with databases operating on its NAS filers. Pandit says that NetApp consumers had been working databases on NAS for six years, and the enterprise has been partnering with Oracle and IBM for database certification for the selfsame amount of time.
"we believe many valued clientele that believe multi-terabyte, single-illustration large databases on NAS architectures," says Pandit. as an example, Pandit says that Southwest airlines is working its mission-important online reservation rig on Oracle databases and community equipment's NAS methods. definitely, Southwest runs a 1 petabyte Oracle database on NAS.
besides distinctly low cost, there are different benefits to using NAS for databases, in accordance with Pandit. The simplicity of NAS architectures can allow for less demanding and quicker backup and recuperation, and snapshots give immoderate availability. as an instance, users can create excessive-availability environments the usage of Oracle's superb software clustering (RAC) architecture and community appliance's photo expertise.
EMC is besides pursuing database-on-NAS alternatives. An EMC-Oracle partnership, which totality started in 1995, these days protected both organizations' first database-on-NAS provider—the first time that EMC offered database-on-NAS capabilities for the midrange market.
EMC launched the "Oracle Database with EMC: Accelerator for NAS" carrier, which permits purchasers to unexpectedly deploy Oracle databases on EMC's Celerra NS600 NAS techniques.
"in the past, EMC become now not a proponent of deploying databases on NAS," says Tom Joyce, EMC's senior director of NAS product advertising. "We spent most of their efforts coping with the excessive-conclusion, and high-conclusion database purposes in the past were basically an improved sound on SANs than on NAS," he says.
although, EMC saw distinct wants in the midrange, where quick deployment often takes priority over immoderate performance. additionally, the midrange market commonly cannot approach up with the money for the connectivity costs of Fibre Channel SAN ports and host bus adapters (HBAs). but EMC silent touts SANs for databases that requisite the highest availability and performance.
"although, in case you've obtained departmental or smaller, or less-crucial, database applications where there may exist a odds to sooner implementation, it truly is the situation it may exist appropriate to attach it on NAS," says Joyce.
EMC stands at the back of META's record, but believes the database-on-NAS parameters are flexible.
"it exist viable to finish stout statistics-bases on NAS, however in that zone shoppers are inclined to examine consolidating onto higher servers and a SAN becomes a natural alternative," says Joyce.
The common Oracle database is just between 50GB and 80GB. And, wee database applications construct up a plenty larger portion of the market than high-end databases.
a number of other NAS vendors present certification of their filers with databases. for instance, BlueArc is currently certifying its NAS methods with Oracle databases. in keeping with company officials, eight% to 10% of BlueArc's purchasers expend Oracle or SQL Server because the main utility on the business's SiliconServer NAS systems.
Like network appliance, BlueArc officers finish not accept as superb with some of META's parameters for operating databases on NAS, claiming that their NAS programs are basically quicker than SANs. "We could present I/O rates within the latitude of 200MBps, which is double what META lists," claims Geoff Barrall, CTO and govt vp at BlueArc.
Barrall suggests that operating databases on NAS brings several merits, exceptionally photograph expertise, which, among other benefits, makes it viable for for a much deal faster restoration of facts. "Databases are designed such that the database server itself holds loads of the records in reminiscence. in case you finish synchronous replication just on the storage on my own then chances are high you probably believe a crash you will lose some information; with snapshots you can besides exist fully certain the database is secure," he says.
Procom expertise's NetFORCE NAS methods are certified with Oracle 8i and 9i RAC. most of the exact for database-on-NAS products comes from Oracle customers, says John Hamrick, Procom's director of marketing.
Procom's high-end techniques expend a NAS gateway having access to a returned-end SAN, the situation a piece of screen storage is committed to Oracle, SQL Server, or change. Hamrick says that the aggregate of a NAS gateway and a SAN is becoming more and more well-known among the business's clients.
whereas the options for deploying a database on NAS are increasing, there are nevertheless a few considerations to believe, similar to which NAS gadget to construct expend of, database requirements, efficiency, and scalability, says Randy Kerns, a senior analyst with the Evaluator group consulting enterprise.
"now not totality NAS contraptions are created equal," says Kerns. "Some believe bigger file methods, international file programs, more advantageous scalability, different lock mechanisms, etc. efficiency is of matter mainly as the database receives larger with a greater number of accesses. You should admiration the necessities and then survey what methods construct the grade."
it could exist very problematic to set accurate parameters such because the variety of clients or database size as a result of there are many variables that alternate the performance traits of the distinct NAS programs available, provides Kerns.
In some circumstances, TCP/IP acceleration by the expend of offloading can construct a large change in performance.
"primary answers won't travail here. It requires homework: occupy into account the necessities and evaluate the aggressive alternate options," recommends Kerns.
subsequent month: Microsoft weighs in on the database-on-NAS controversy.
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NCP Engineering released the Virtual Secure Enterprise VPN Server offering complete compatibility with virtualization platforms for enterprises, Service and SaaS providers.
As a virtual VPN gateway appliance, the NCP Virtual Secure Enterprise VPN Server integrates mobile and stationary employees in a cross-company data network.
The VPN appliance is besides predestinated for Industrial Internet of Things (IIoT) projects. Special features of the NCP Virtual Secure Enterprise VPN Server comprehend a sophisticated multi-client capability, NCP’s patented VPN Path Finder Technology, an simple update mechanism, and high availability.
NCP’s Virtual Secure Enterprise VPN Server licensing model is subscription-based and consists of the VPN gateway, high availability services, and a hardened operation system.
It is designed to meet the needs of businesses or service providers looking for a virtualized and resource-efficient alternative to traditional solutions.
The multi-client capability of the NCP Virtual Secure Enterprise VPN Server allows service providers to combine several companies on one VPN gateway simultaneously with resource sharing.
With convenient access management, the NCP VPN clients can exist managed by administrators of the connected companies. The number of remote users and VPN tunnels can besides exist scaled as needed.
“As a virtual VPN appliance, their new Virtual Secure Enterprise VPN Server is scalable, simple to install, and simple to configure,” said Patrick Oliver Graf, CEO of NCP Engineering.
Additional security features of the NCP Virtual Secure Enterprise VPN Server comprehend the support of one-time password (OTP) solutions and certificates in a public key infrastructure (PKI).
The validity of certificates is checked each time a connection is established by means of blacklists offline or online to the Certification Authority (CA).
From the earliest days of the Internet era, it was painfully obvious that having a solitary application on a solitary server can't handle high-traffic situations. This limited set up simply could not provide high-availability.
No matter how powerful the underlying infrastructure of a solitary server instance of a given application or website, the reality is that concurrent traffic can overwhelm a solitary server. A solitary instance for application availability is quite literally a solitary point of failure.
To handle this load, the technique commonly referred to as load balancing was developed. It's an approach that enables organizations to execute workload balancing across different server and compute resources. The benefit of load balancing is that traffic and workload delivery are "balanced" or spread across available resources in an ail to provide higher resilience and availability.
In recent years, load balancing has become a feature of a broader class of technology, known as Application Delivery Controllers (ADC) which aims to provide multiple advanced load balancing features to ensure workload balancing, along with an overall high attribute of application delivery.
Load Balancing Architecture: How Does Load Balancing Work?
Compute Resource Availability. Rather than relying on a solitary server or compute instance, load balancing requires multiple resources, exist they server, virtual or networking to dole the load.
Content and Workload Duplication. Beyond just having multiple infrastructure resource, load balancing often involves duplication of content and applications workloads, such that more than one copy of a resource can exist accesses.
Load Balancing Cluster. The set of multiple resources and workload instances requisite to exist managed in some way, which is where the load balancing cluster concept comes in. An ADC system, or load balancing appliance in that context can provides orchestration and management of resources to enable high-availability.
Load Balancing Security. Often ADCs are now used as appliances and control points for security, helping to protect against various types of potential attacks, including Denial of Service (DOS).
There are several types of load balancing configurations that an organization can pick to deploy which provide different load poise features. In some cases an organization will apply multiple configuration types in tandem, as Part of a load poise appliance, or an ADC appliance.
With server load balancing, the goal is to dole workloads across available server resources based on availability and capabilities.
Server Load balancer configurations minister to reckon on application layer traffic to route requests. Server load balancing is besides sometimes referred to as Layer 7 load balancing as it makes expend of application layer traffic.
Distributes traffic flux across IP addresses, switches and routers to maximize utilization and availability.
Network load balancer configurations are made at the transport layer and data traffic.
Network load balancing is besides sometimes referred to as Layer 4 balancing.
With Global Server Load Balancing an operator handles workload balancing across a globally distributed set of Layer 4 and Layer 7 capable load balance.
In a GSLB deployment, there are besides typically ADC assets at the global level, as well as the local flat where the traffic is finally delivered.
With containers, which provided virtual isolated instances of applications, workload availability is besides enabled via load balancing clusters.
Among the most celebrated approaches is the open source Kubernertes container orchestration system which can dole load across container pods to hearten poise availability.
Within a cloud infrastructure as a service provider there are often multiple options for load balancing across compute instances.
Load balancing in the cloud, can besides comprehend both network (layer 4) and application (layer 7) balancing.
There are variety of load balancing techniques that can exist uses in different configurations in order to provide workload balancing.
A set of IPs for server or network resources are provided and traffic is directed to resources in the order listed.
Each compute or network resource in a list is provided a weighted score, with the highest weight getting the most traffic.
The resource with the fewest number of active connections is directed to win new incoming requests.
Information about server instance response time is used to direct traffic, with the slowest servers getting the least amount of traffic.
The IP address of the client and the receiving compute instance are computed with a cryptographic algorithm (the "hash" to hearten preserve clients connected to the selfsame resource.
SYDNEY, Australia – 9 February 2006 -- Network Appliance, Inc. (NASDAQ: NTAP) today announced that NetApp Fibre Channel (FC)–based storage systems (NetApp unified storage) are now Part of the Sun™ Cluster Open Storage Program, providing an availability solution for improving the predictability and resilience of business-critical applications. The program enforces high attribute and joint support, delivering unmatched levels of availability. Network Appliance participation in the program allows customers who believe invested in NetApp unified storage and want to expend Sun Cluster for application availability to finish so easily and seamlessly.
With Sun certification, NetApp customers can exist assured that NetApp unified storage products are fully interoperable with the Sun Solaris™ operating system (OS). This interoperability allows customers using NetApp storage powered by Data ONTAP® 7G, a dynamic virtualization engine, to double their storage utilization, automatically manage fine-grained data, and significantly reduce storage management costs, while reaping the high-availability benefits associated with Sun Cluster software.
Additional information about the Sun Cluster Open Storage Program can exist institute at www.sun.com/software/cluster/osp/.
Network Appliance is a world leader in unified storage solutions for today’s data-intensive enterprise. Since its inception in 1992, Network Appliance has delivered technology, product, and confederate firsts that simplify data management. Information about Network Appliance™ solutions and services is available at www.netapp.com. | 2019-04-23T06:34:43Z | http://morganstudioonline.com/brain-dumps.php?pdf=NS0-141 |
Hepatocellular carcinoma (HCC) is characterized by widespread epidemiological and molecular heterogeneity. Previous work showed that in the western part of North Africa, a region of low incidence of HCC, mutations are scarce for this tumor type. As epigenetic changes are considered possible surrogates to mutations in human cancers, we decided, thus, to characterize DNA methylation in HCC from North-African patients.
A set of 11 loci was investigated in a series of 45 tumor specimens using methylation-specific and combined-bisulfite restriction assay PCR. Results obtained on clinical samples were subsequently validated in liver cancer cell lines.
DNA methylation at tumor suppressor loci is significantly higher in samples displaying chromosome instability. More importantly, DNA methylation was significantly higher in Arg/Arg when compared to Pro/Pro genotype carriers at codon 72 rs1042522 of TP53 (65% vs 20% methylated loci, p = 0.0006), a polymorphism already known to affect somatic mutation rate in human carcinomas. In vitro experiments in cell lines indicated that enzymes controlling DNA methylation were differentially regulated by codon 72 Arg or Pro isoforms of p53. Furthermore, the Arg72-carrying version of p53 was shown to re-methylate DNA more rapidly than the pro-harboring isoform. Finally, Pro-carrying cell lines were shown to be significantly more resistant to decitabine treatment (two-fold, p = 0.005).
Our data suggest that Arg72Pro polymorphism in a WT p53 context may act as a primary driver of epigenetic changes in HCC. It suggests, in addition, that rs1042522 genotype may predict sensitivity to epigenetic-targeted therapy. This model of liver tumorigenesis that associates low penetrance genetic predisposition to epigenetic changes emerges from a region of low HCC incidence and it may, therefore, apply essentially to population living in similar areas. Surveys on populations submitted to highly mutagenic conditions as perinatally-acquired chronic hepatitis B or aflatoxin B1 exposure remained to be conducted to validate our observations as a general model.
Hepatocellular carcinoma (HCC), the most frequent primary liver tumor, is a malignancy affecting around 7 105 patients each year, with highest incidences measured in Sub-Saharan Africa and Eastern Asia. HCC is now the fifth most common malignant tumor and the third common cause of cancer-related mortality worldwide . The Western North-Africa (WNA: Morocco, Algeria and Tunisia), is considered as an area of intermediate endemicities for chronic viral hepatitis B and C, and displays much lower incidences of HCC than both European or African neighboring countries [2,3]. It is generally admitted that liver tumorigenesis is a consequence of accumulation of genetic and epigenetic alterations in key genes controlling proapoptotic or prosurvival signals. These changes occur generally in an impaired hepatic tissue undergoing a persistent viral infection and/or a cirrhosis, but it could be promoted also by an exposure to mutagens such as aflatoxin B1 . Several classifications of HCC were established to differentiate tumors by focusing on histological characteristics, gene mutations in TP53 and Wnt pathways and hypermethylation of tumor suppressor genes (TSG) [5,6]. In addition, HCC can be genomically characterized from the most instable tumors with frequent TP53 and AXIN1 mutations to stable tumors with β-catenin alterations . Moreover, transcriptomics revealed an overexpression of imprinted and mitotic cell cycle genes within instable tumors at odds with stable ones that show increased levels of metabolism-controlling genes coupled to an underexpression of stress, immune response and cell adhesion coding genes [8,9]. Epigenetic alterations, and particularly DNA methylation, are also suspected to represent a class of decisive events in liver tumorigenesis. Indeed, diverse studies have been carried out on different cohorts of HCC patients affording insight about epigenetic changes controlling liver carcinogenesis . Hypermethylation of a set of TSG such as RASSF1, RIZ, CDK2NA and GSTP1 is commonly reported in HCC . Such targeted silencing is generally accompanied by a global hypomethylation affecting repetitive elements covering the genome [12,13]. The connections between genetic and epigenetic features mentioned above are still poorly understood. Finally, numerous studies have been performed to explore the association of the genetic background of patients with an eventual individual susceptibility to HCC [14,15]. TP53 presents, at codon 72, a functional single nucleotide polymorphism (SNP, R72P, rs1042522) that modulates the susceptibility to several cancers including HCC . Notably, the presence of an arginine at codon 72 is known to be associated with higher rates of somatic TP53 mutations in tumors .
Despite this apparent wealth of data, carcinogenesis in specific populations such as WNA inhabitants is still poorly understood. The WNA patients are, actually, characterized by the scarcity of alterations found in HCC . This situation suggests that epigenetic changes may be the most significant changes in WNA patients. The aim of the study was, thus, to provide an appraisal of the epigenetic changes occurring in HCC from a WNA population. Methylation status at 10 individual loci as well as at repetitive elements (LINE-1) was assessed. Variations in DNA methylation levels were further confronted with genetic data including β-catenin and TP53 mutations, chromosomal instability (CIN) and genotypes of selected SNPs. We found that, in HCC from WNA, somatic changes including methylation, mutations, or CIN were primarily conditioned by the genotype at codon 72 of TP53. The current report represents the first description of the existing correlation between TP53 R72P and epigenetic changes in tumors.
Clinico-biological features of the HCC patients are summarized in Table 1. In this study, we examined methylation patterns of ten tumor-associated genes (RASSF1A, GSTP1, RIZ1, SOCS1, TNFRSF10C, hTERT, NRG1, CLU, miR-203, miR-663) and of the LINE-1 repetitive element in 45 HCC and 17 matching non-tumor livers (see Figure 1 and Additional file 1: Table S1). Genes were selected on the basis of the literature as aberrantly methylated in different human cancers including HCC [18-29].We define Methylation Index (MethIndex) as the number of methylated genes on the total number of informative loci analyzed for a given sample (LINE-1 was excluded from the calculation as it is constitutively methylated). miR-663 was found unmethylated in all samples.
Chromosome instability is expressed as the fraction of chromosome arms lost in a given samples (chromosomes 1p, 4q, 6q, 8p, 9p, 17p were analyzed).
HCV, hepatitis C virus; HBs Ag, surface antigen of hepatitis B virus; HBc, hepatitis B virus capsid/core.
Analysis of DNA methylation in WNA HCC by two PCR methods. (A) Representative Methylation-Specific PCR for 6 of the 11loci on 5 different matching pairs of hepatocellular carcinomas and non-tumorous livers. U: PCR with primers for unmethylated DNA, M: PCR with primers detecting methylated DNA. (B) Representative examples of combined bisulfite restriction analysis (COBRA) performed on 7 pairs of hepatocellular carcinomas and corresponding non-tumorous livers on three different loci. The smaller bands beneath the larger ones represent digested (i.e. methylated for BstUI and unmethylated for HpHI restriction enzymes) alleles. N, noncancerous liver; T: livertumor, C: controls, C- : native DNA from WI38 fibroblasts in culture, C+: SssI CpG methylase-treated DNA from the same cells. Ratio of undigested/digested quantified with ImageJ 1.38 Instrument software integrated (Yang et al., ).
First, we intended to check whether there was a significant increase of DNA methylation in tumors when compared with non-tumorous DNA extracted from the liver tissue of patients with HCC. The methylation profiles of 17 HCCs and their matching non-tumorous liver (NTL) tissues were visualized on a heatmap produced by unsupervised hierarchical clustering approach. Major differences between tumors and non-tumorous DNA enabled clustering analysis to discriminate between sample types (see Figure 2A). Significant differences or trends between HCC and NTL were detectable at four loci (SOCS1, RIZ1, TNFRSF10C, miR-203) out of the 11 examined (Figure 2B). RASSF1 locus comparison displayed only an infra-significant P value (P = 0.083). The overall difference between malignant and non-malignant tissues was highly significant (MethIndex was mean ± SD = 44 ± 20% in HCC versus 24 ± 20% in NT, p = 0.003, Figure 2C).
Distinct DNA methylation levels in HCC and non-tumor livers. (A) Hierarchical unsupervisedclustering and corresponding heatmap of the methylation status in 17 WNA HCCs and the 17 matching non tumorous livers. Clustering was obtained using a 1-rank correlation distance calculation and an average linkage on DChip software. T symbolyzes the tumor samples whereas N corresponds to the non-tumor liver counterparts. (B) Comparison of the methylation rates as detected at the different loci in the 45 HCC and the 17 Non-tumor livers. (C) Methylation Index in HCC and matching non-tumor liver DNA from the same patient. Lines link the dots corresponding to T and NT specimens of the same patient.
We then wondered whether the methylation pattern could distinguish different subsets of tumors in correlation with previously analyzed somatic mutations, loss of heterozygosity (LOH) or SNPs [2,30]. Unsupervised hierarchical clustering distinguished three categories of HCC patients: those with low MethIndex (mean ± SD = 19 ± 18%), a second group with medium MethIndex (42 ± 12%) and a third subset with high (69 ± 11%) MethIndex (Figure 3A). TP53 somatic mutations and LOH at chromosome 17p (TP53 maps in 17p13.1) were significantly associated with the high methylation index cluster (p = 0.022 and p = 0.014). Single-locus matrix of correlation revealed frequent significant associations between methylation occurring at RIZ1 or RASSF1 promoters and presence of methylation at other loci (Additional file 1: Table S2). Furthermore, increased methylation of tumor suppressor genes or decreased methylation of LINE-1 repetitive element, were associated with higher rates of somatic changes in tumor samples. There was a strong correlation between LINE-1 demethylation and the loss of chromosome 17p or the presence of somatic mutations in the tumor (either at TP53 or CTNNB1, p = 0.006, see Figure 3B). We next decided to explore whether DNA methylation at individual loci could be correlated with a more general form of chromosome instability. We calculated in a previous work on the same samples the fractional allelic loss (FAL) for common deletion targets in HCC (1p, 4q, 6q, 8p, 9p and 17p) . FAL is the number of chromosome arms showing LOH/number of informative chromosome in a given sample [31,32]. RASSF1 methylated status was significantly associated with higher FAL values (p = 0.034, Figure 3C) as well as isolated 17p loss (Additional file 1: Table S3). Methylation of RIZ1 and miR-203 was positively correlated with somatic mutations or losses at chromosome 17p and 4q (see Additional file 1: Table S3). Finally, we noticed a strong influence of the SNP rs1042522 on the methylation of WNA HCCs. The proline variant at codon 72 of TP53 gene was significantly associated with the low methylation cluster (p = 0.04, Figure 3A), and specifically with an almost complete absence of methylation on RIZ1, TNFRSF10C, NRG1, hTERT and miR-203. When the MethIndex was stratified according to TP53 codon 72 genotypes, significant differences were even more apparent (see Figure 3D). A very low MethIndex was associated with Pro/Pro genotype (mean ± SD = 20.8 ± 14%) whereas methylation was significantly higher in tumors of individuals homozygous for arginine (57.1 ± 19%, P = 0.0006). Tumors from heterozygous Arg/Pro were occupying an intermediate position for MethIndex (39.1 ± 23%) suggesting the existence of an allele dosage effect of TP53 codon 72 polymorphism on the DNA methylation in HCC from WNA patients. In addition, MethIndex distributions for Arg/Arg and Arg/Pro carriers were displaying a bimodal distribution (see Figure 3D). Methylation of SOCS1 was appearing as particularly correlated with TP53 codon 72 genotype (see Additional file 1: Table S3).
TP53 ARG72PRO modulates DNA methylation in WNA HCC. (A) Hierarchical clustering and corresponding heatmap of the methylation status at 10 loci in 45 WNA HCCs. Clustering was obtained using a 1-rank correlation distance calculation and an average linkage on DChip software. Squares indicate the presence of a somatic change or a pathogenic variant in the corresponding samples. TP53 somatic mutation (p = 0.017), LOH at chromosome 17p (p = 0.0094) and chromosome instability (p = 0.067) are associated with the high methylation index cluster whereas Pro/Pro at codon 72 of TP53 is significantly associated (p = 0.048) with a medium or low methylation index. (B) In WNA HCC, methylation of LINE elements correlates significantly with the presence of other somatic changes as point mutations (in TP53, CTNNB1 and AXIN1) or allelic loss at chromosome 17p where is mapping TP53. (C) Distribution of the Fractional Allelic Loss (FAL) according to the methylation status of RASSF1. mRASSF1, methylated or hemimethylated locus; uRASSF1, unmethylated locus. FAL was assessed on 6 chromosomes (1p, 4q, 6q, 8p, 9p, and 17p). LOH, loss of heterozygosity. (D) Distribution of the methylation index according to the genotype at codon 72 of p53. Methylation index is calculated as the methylated fraction at 9 loci (SOCS1, RASSF1, RIZ1, GSTP1, TNFRSF10C, miR203, NRG1, CLU and TERT).
Predicting the propensity of individuals to undergo a strong DNA methylation in their tumors may prove to be useful in a perspective of future treatment by epigenetic-targeting drugs. To determine whether it is possible to find a correlation between the aberrant methylation process ongoing in tumors and the DNA methylation in circulating lymphocytes, we analyzed the DNA extracted from peripheral lymphocytes of 25 patients with HCC and 35 patients with chronic hepatitis B or C but without HCC. All patients were from WNA. No significant differences were detected between patients with or without primary liver cancer (see Additional file 2: Figure S1A). DNA Methylation was very low in PBMCs of HCC patients as well as in patients infected by hepatitis viruses (Additional file 2: Figure S1B). In contrast, LINE-1 methylation remained high in both subsets of samples. Genetic targets usually used to assess the methylation process in tumors did not appear to be sensitive markers reflecting the tumor DNA methylation level when they were analyzed ectopically as in PBMC (Additional file 2: Figure S1C).
We decided subsequently to explore in vitro whether p53 codon 72 Arg or Pro-encoding isoforms could be endowed of a differential transcriptional activity, explaining the rate of DNA methylation observed in vivo. For this purpose, we analyzed eight different TP53 wild-type HCC cell lines differing at codon 72 (Figure 4A). All these cell lines were expressing p53 protein either at baseline or upon induction by doxorubicin (0.2 μM/24 h, see western-blot on Figure 4B).
Impact of TP53 ARG72PRO on the expression of genes involved in DNA methylation metabolism. (A) Panel of liver cancer cell lines wild-type for TP53 used for in vitro experiments. (B) Western-blot analysis of p53 expression (baseline and doxorubicin-induced) in the panel of cell lines. +: indicates doxorubicin treatment, 0.2 μM/72 h. (C) qRT-PCR analysis of genes involved in DNA methylation metabolism. All cells were treated 48 h by 0.5 μM doxorubicin. P values are obtained by ANOVA analysis.
TP53 encodes a transcription activator/repressor known to modulate directly or indirectly expression levels of many genes . As the codon 72 Arg72Pro polymorphism is located in the transactivation domain of the protein, we wondered whether this genetic variation might impact the capacity of p53 to modulate expression of those genes most directly involved in DNA methylation i.e. DNA methyltransferases and demethylases [34,35]. Using qPCR, we compared the expression of sixteen genes encoding for factors modulating DNA methylation levels positively or negatively. Gene expression was measured after 0.5 μM doxorubicin, or 2.5 μM decitabine or vehicle treatment for 48 h. Baseline or post-decitabine expression of the 16 genes was not different according to TP53 codon 72 genotypes (data not shown). Following doxorubicin treatment, we did not observe difference for two bona fide p53-responsive genes (p21-CDKN1A, GADD45). By contrast, DNMT3A, TET1 and TET2 expression levels were significantly higher in Arg/Arg cell lines whereas in a Pro/Pro background APOBEC3B expression was increased (see Figure 4C). Importantly, TP53 expression was significantly higher in Pro/Pro cells. These data suggest that, in case of genotoxic stress, Arg-bearing isoforms of p53 are more efficient inducers of enzyme controlling DNA methylation than Pro-encoding isoforms.
We next explored whether it is possible to mimic in cell lines what we observed on DNA from North-African HCC patients i.e. an increased DNA methylation in presence of Arg/Arg genotype. At variance with commonly performed gene inactivation experiments, differences of activity between two natural variants of a fully functional protein were predictably rather mild . Furthermore, the DNA methylation status is intrinsic to each cell line and may differ widely at baseline. We thus decided to analyze DNA methylation and re-methylation dynamics following treatment with drugs modifying DNA methylation levels. Decitabine alone, doxorubicin alone or both drugs were sequentially used. Doxorubicin, as an intercalating agent, is known to induce DNA breaks but early reports have shown as well its capacity to induce DNA methylation . To analyze methylation variations, we used a methylation-specific restriction enzyme (MSRE)-coupled qPCR method [37,38]. A set of seven CpG island-containing promoters (BIRC5, CDC25C, CLU, GSTP1, NRG1, RASSF1, SOCS1) was investigated on the panel of TP53 wild-type codon 72 Arg or Pro HCC cell lines (Additional file 3: Figure S2).
The impact of the treatment was dependent on the compound and on the promoter analyzed. No difference in DNA methylation level was observed after doxorubicin or decitabine treatment alone (data not shown). However, when decitabine (5 μM/72 h) and doxorubicin (0.25 μM/24 h) were used sequentially in a demethylation-remethylation procedure, a frequently higher rate of DNA methylation was observed (see Figure 5A) in presence of codon 72 Arg forms of p53, indicating a more active kinetic of DNA methylation. The phenomenon was particularly pronounced for genes displaying differential methylation in vivo (GSTP1, NRG1, RASSF1, and SOCS1). It was not observed on promoters of genes without differential methylation (CLU) or controlling cell cycle (data of CDC25C, BIRC5 are not shown).
Increased DNA methylation and increased sensitivity to DNA demethylation of ARG72 carrying HCC cell lines. (A) MSRE-coupled qPCR analysis following sequential treatment of the cells by decitabine (5 μM/72 h) and doxorubicin (0.25 μM/24 h). ARG/ARG cell lines are often more resistant to methylation-sensitive DNA restriction than PRO/PRO cells that usually yield weaker signal in qPCR. The figure represents the outcome of two independent experiments in triplicate. Fold is relative to decitabine-treated only DNA. (B) Cell viability analysis of Cell lines as measured by MTT assay in different treatment conditions.
Given the differential gene expression or DNA methylation capacity of p53 variants, the issue of a differential sensitivity to epigenetic-targeted treatment was asked. The eight TP53 WT cell lines were, thus, treated either with decitabine (10 μM/96 h) or doxorubicin (0.25 μM/72 h) and cell viability measured by MTT assay. No difference was observed with decitabine whereas homozygous Arg cells were significantly more sensitive to doxorubicin treatment (Figure 5B). Previous experiments have shown that differential in vitro effect of codon 72 polymorphism was essentially a kinetic-dependent phenomenon rather than relying on a difference in nature. We thus decided to measure the effect of decitabine at different time point after removal of the active compound. Cells were treated by 5 μM decitabine during 96 h and cell culture medium was then replaced by decitabine-free medium. Cell viability was then measured at 24 h, 48 h, 72 h, 96 h, 7 days and 10 days. No difference was observed after 24 h or 7 and 10 days of recovery (data not shown). However, significant differences of cell viability were observed 48 h (p = 0.05, not shown), 72 h (p = 0.01, not shown), and 96 h (p = 0.005, see Figure 5B) post-decitabine removal. In these settings, Arg/Arg HCC cells were significantly less viable than Pro/Pro. These results suggest, therefore, a more efficient death-inducing activity of decitabine in an Arg-bearing p53 background.
HCC epidemiology is known to follow ethno-geographic variations of incidence. Intriguingly, despite intermediate endemicities for chronic viral hepatitis B and C, low incidences of HCC are registered in the WNA populations (1.2-2.3 cases/105 habitants for males, age standardized ratio, http://globocan.iarc.fr/) [39,40]. Remarkably, in WNA, HCC is characterized by a relative paucity of mutations at common genetic targets (TP53, CTNNB1, AXIN1), making of liver tumorigenesis in WNA a rather mysterious process (2). Nevertheless, and despite an apparently mild tumor process, HCC prognosis in WNA is as bad as anywhere else [41,42].
To date, no survey characterizing epigenetic features of HCC in WNA patients has been published. Our results were in accordance with those published by Hernandez-Vargas et al. underlining the importance of aberrant methylation that differentially affects RASSF1, RIZ1 and SOCS1 in tumors and non-tumorous tissues . A rather high level of methylation was observed in four NT liver DNA (≥4 loci methyl(+), see Figure 2A). We could not find any annotations common to the four patients. However, we observed that their non-tumor liver tissues tended to be more frequently non cirrhotic (3/4 vs 5/41, p = 0 .014) and the FAL in tumors slightly higher (38 vs 28%, ns) than in other samples of the series. These observations might indicate that a stronger carcinogenic process conferring a preneoplastic status to NT liver is at work in these patients. Alternatively, it might be the consequence of a field cancerization process in absence of full-fledged cirrhosis [44-46]. Besides, Nishida et al. have shown that DNA methylation levels are correlated with chromosomal instability, TP53 and β-catenin mutations . Our data broadly corroborated this model, though without integrating β-catenin, as this alteration is very infrequent in WNA HCC. We hereby presented data refining and strengthening this model by showing a link between polymorphism at codon 72 of TP53, somatic mutations, chromosomal instability and DNA methylation status in HCC from WNA patients. The preferential association of codon 72 Arg with somatic mutation of TP53 has been thoroughly reviewed by Soussi and Wiman . Likewise, the well-known association of chromosomal instability and TP53 mutation will preferentially occur in an Arg/Arg context . Finally, it has been shown that DNA methylation is significantly reduced in Li-Fraumeni cell lines . However, to our best knowledge, a correlation between aberrant methylation and germline background of patients for TP53 was never reported.
The TP53 R72P polymorphism is known to be functionally relevant. The Arg variant was shown to be associated with a better apoptotic activity compared to Pro allele . Furthermore, predisposition studies showed that the presence of the Pro allele is commonly associated with a higher risk of cancer including HCC [30,51] and of defects in embryonic implantation . Our data indicate that codon 72 polymorphism conditions, apparently, genomic and epigenetic alterations encountered in the tumor tissue. In the current series of HCC from WNA patients, the Pro variant is associated with paucimutated and mildly methylated tumors. On the contrary, the presence of Arg allele requires the presence of additional somatic mutations and frequent DNA hypermethylation. It is well known that aging process is accompanied by an increase of genomic methylation that progressively decreases the expression of multiple genes . Moreover, as shown in mouse models, an excess of p53 activity is characterized by an aging-like syndrome . Finally, it has been shown in humans that TP53 codon72 Pro carriers tend to live longer than Arg carriers . A link between rs1042522 and constitutive DNA methylation was, however, never evoked so far. Our results indicated consistently that TP53 codon72 Arg/Pro polymorphism may, in the North-African ethno-environmental settings, influence somatic evolution through the modulation of DNA methylation levels. The fact that we were able to reproduce this situation in vitro reinforces this hypothesis. We did not detect baseline differences of DNA methylation between cell lines but an increased DNA methylation was often detectable in Arg/Arg cells after decitabine-induced demethylation and subsequent doxorubicin-induced DNA re-methylation. Interestingly, three of the genes showing differential methylation between Arg and Pro variants (GSTP1, RASSF1, and SOCS1) are known to be p53 targets [56-58]. This situation suggests that p53 may, depending on circumstances activates or methylate its target genes. The system we developed in vitro is relatively removed from physiological conditions or from a slow and long lasting process as tumorigenesis but it suggests that p53 controls DNA-methylation plasticity in condition of stress. Genome wide DNA methylation studies on normal and pathological conditions are now warranted to confirm our data. Another intriguing feature of DNA methylation in Arg/Arg and Arg/Pro carriers was its bimodal distribution. We were not able to correlate this feature with any of the clinic-biological annotations at our disposal. It is, thus, tempting to hypothesize that p53 impact on DNA methylation could be modulated by another genetic trait. It is, indeed, well known that DNA methylation levels in humans are strongly influenced by polymorphisms affecting genes controlling one-carbon metabolism [59,60]. Moreover other polymorphic effectors of DNA methylation, to be found in the oxidative stress pathway or among partners acting directly in DNA methylation (eg DNMTs), can be suspected to influence methylation levels [61-63].
Being aware that we do not provide a mechanistic explanation to our observations, some conspicuous differential expression affecting genes involved in DNA methylation metabolism, particularly those of DNMT3A (methylating) or APOBEC3B (demethylating), however, are in keeping with the current model of DNA-methylation metabolism . It is well known that p53 entertains tight connections with the different cellular DNA-methyltransferases. Indeed, p53 and Dnmt3A are direct interactors as shown by co-immunoprecipitation experiments [65,66]. In addition, and in absence of mutagenic stress, p53 is known to directly inhibit DNMT1 expression by trapping Sp1 and repressive chromatin modifiers on the promoter of the gene [67,68]. The links between p53 and Dnmt1 are, however, far more complex. Both proteins have been shown to physically interact on various p53-responsive promoters (eg survivin/BIRC5) leading to their inactivation through DNA methylation as well as other chromatin modifications [38,69]. These data and the well-described differential activities of p53 Arg/Pro isoforms in other epigenetic-sensitive phenomena such as cancer or ageing, make plausible a differential activity of rs1042522 on DNA methylation levels.
Finally, we showed a mild but significant increased ability to recover from decitabine treatment in Pro-carrying cells than in Arg carriers. This is in line with our hypothesis according to which tumorigenesis is less dependent on DNA methylation in Pro than in Arg carriers. In addition, and despite hitherto disappointing results in solid tumors, our data suggested that decitabine use in a codon 72 Arg/Arg wild-type TP53 context might significantly improve chemotherapeutic treatment [70,71]. The hypothesis obviously needs further confirmation but may be considered as a potential novel application in personalized treatment of cancer.
Our model of tumorigenesis, relying on TP53 Arg72Pro, may hold true only in selected populations of patients. In areas of high HCC incidence (Far East, Sub-Saharan Africa), populations are, indeed, exposed to potent risk factors such as perinatal infection with hepatitis B virus or exposure to aflatoxin B1. Such conditions, known to induce major genomic alterations in HCC, are presumably dwarfing the subtle impact of rs1042522 . Cases of primary liver cancers with somatic changes depending primarily on TP53 R72P genotype might be confined to low incidence areas such as WNA, Middle East, Indian sub-continent or South America. In a research field dominated by clinical and biological studies undertaken on Far-Eastern patients, our work emphasizes the necessary space for a research conducted on alternative populations affected with specific tumor processes.Such studies may provide valuable information for the understanding of a disease which natural history and biology remain amazingly diverse from one world region to another.
Sixty-three liver tissues including forty five HCC and seventeen matching corresponding non-tumorous liver tissues were obtained from WNA patients who underwent a liver surgery at University hospitals in Morocco (n = 41) and Tunisia (n = 4). Clinico-pathological features of patients are described in Table 1. In addition, PBMCs of thirty-five patients with chronic viral hepatitis B or C (27 HBV+ and 8 HCV+) but without tumors were collected for comparative methylation analysis with 25 PBMCs samples from patients with HCCs. All samples have been already published in previous surveys . The research was conducted with the informed consent of the patients in accordance to the recommendations issued by the conference of Helsinki. It was approved by the Ethics Committees of the Faculty of Medicine of Casablanca and that of the Tunisian Ministry of Health. DNA was extracted from frozen tissues and blood samples as previously described .
Data of SNP in TP53 (rs1042522) were previously published . Exons 4–10 of TP53, exons 2–6 of CTNNB1, exons 2–8 of AXIN1 were analyzed for the presence of point mutations by PCR-sequencing as previously described (2). Six chromosomes (1p, 4q, 6q, 8p, 9p, 17p) considered as “hotspots” of deletions in HCC, were tested for loss of heterozygosity (LOH) according to the protocol previously described .
PBMCs, non-tumorous and tumorous genomic DNA samples were subjected to bisulfite treatment using Epitect® Bisulfite Kit (Qiagen, Courtabœuf, France) according to manufacturer’s instructions. WI38 cells DNA were used as positive control of methylation after treatment with 12 units SssI methyltransferase (NE Biolabs, Ipswich, MA) in the presence of S-adenosyl-methionine 32 μM.
Methylation status was assessed for 10 loci including eight cancer-related genes and two miRNAs coding loci, methylation presence was determined by methyl-specific PCR (MSP) for RIZ1, RASSF1, SOCS1, TERT, TNFRSF10C and GSTP1 genes (Additional file 1: Table S4), and using COBRA for NRG1, CLU, mir-203 and mir-663 genes (Additional file 1: Table S5). Quantification of LINE-1 methylation was performed by COBRA as well according to the method described previously . Variations in bands intensity were analyzed by densitometry using a CCD camera and the GeneTools software (Syngene, Ozyme, Saint-Quentin-en-Yvelines, France). A 50% increase of methylated product in tumorous DNA as compared with non-tumorous was considered as the positive threshold. The methylation index (MethIndex) was defined as the ratio of the number of loci found methylated (Met(+)Loci) on the total number of informative loci in a given sample([Met(+) + Met(−)]Loci): Met(+)-Loci÷[Met(+) + Met(−)]Loci.
Each PCR reaction was performed in a 25 μl final volume containing 100 ng of genomic DNA, 1X PCR buffer, 1.5 mM MgCl2, 200 mMdNTP, 20 pmol of each primer, 5 units of AmpliTaq GOLD DNA polymerase (Applied Biosystem, Saint-Aubin, France). Reactions were subjected to 94°C for 5 min, followed by 40 cycles at 95°C for 1 min, 50-60°C for 1 min and 72°C for 1 min and final extension at 72°C for 7 min on a MyCycler thermal cycler (Bio-Rad, Marnes-la-Coquette, France). PCR products were separated on 3% agarose gels stained with ethidium bromide (Euromedex, Souffelweyersheim, France) as shown in Figure 1A [76-78]. All primer sequences are provided in Additional file 1: Table S4. Primers used for GSTP1, RASSF1, RIZ1, and hTERT analyses have been previously published [79-81].
PCR reactions were performed as described in MSP method with modification of Taq DNA polymerase using Platinium® Taq DNA Polymerase (Life Technologies, Illkirch, France). A volume of 15 μl of PCR products was then digested with suitable restriction enzymes (Fermentas, Life Technologies, Illkirch, France, Additional file 1: Table S5). PCR products were separated on 2.5% stained agarose gels and results were determined referring to the density of bands related to those of controls (Figure 1B). Primers used for miR-203 and LINE1 analyses have been previously published [12,75].
HCC derived cell lines analyzed have been described previously (Additional file 4). The cells were cultured in DMEM (Life Technologies, Saint-Aubin, France) supplemented with FBS (10%, Biowest, Nuaille, France) and antibiotic-antimycotic. Cells were incubated and maintained at 37°C with humified air and 5% CO2 (Binder, Tuttlingen, Germany). Cells at 50-60% confluence were treated for 6-96 h at various concentrations of doxorubicin (Selleck chemicals, Euromedex, Souffelweyersheim, France) and/or decitabine (Fluka, Saint-Quentin Fallavier, France). DNA, RNA, and proteins were extracted from 6-well plates (TPP, Dominique Dutscher, Brumath, France). Cell culture experiments were performed at least three times. For protein analysis, cells were washed in cold phosphate buffered saline (PBS), lysed in Laemmli buffer as described previously and samples loaded on Criterion XT precast gels (Bio-Rad, Marnes-la-Coquette, France) . Western-blots were carried out with a Trans-blot Turbo transfer system as indicated by the manufacturer (Bio-Rad). Blots were probed with primary antibody against p53 (Santa-Cruz, CliniSciences, Nanterre, France sc-6243, 1/1000) and vinculin (Abcam, Cambridge, UK, ab18058, 1/500) or actin (Sigma, Saint-Quentin Fallavier, France, a2066, 1/5000). Cell viability was measured by MTT (3-(4,5-dimethylthiazol-2-yl)-2,5-diphenyl-tetrazolium bromide, Euromedex) assay after seeding in flat bottom 96-well plates (TPP) and treatment for various time length. Formazan crystal resulting from MTT reduction was solubilized in acid isopropanol and absorbance measured at 570 nm on a Fluostar Omega plate reader (BMG Labtech, Champigny/Marne, France).
Total RNA was obtained from cell culture by direct lysis in Tri-Reagent (Sigma). One microgram of RNA was reverse transcribed using a high-capacity cDNA Archive Kit (Applied Biosystems, Villebon, France) according to the manufacturer’s specifications. Expression of 15 genes involved in DNA methylation (DNMT3A-B-L, DNMT1) and demethylation (TET1-3, APOBEC1, APOBEC3A-B-C-H, AID, SMUG and TDG) processes was analyzed. Two known p53-responsive genes (p21-CDKN1A, GADD45) were included in the analysis. Real-time PCR was performed in a CFX96 qPCR machine (Bio-Rad). All samples were measured in triplicate. The PCR volume of 10 μl included 20 ng of RT product, 1× TaqMan Universal PCR master mix and 1 μl of pre-validated Taqman Gene Expression Assay (TaqMan FG Shelf, Applied Biosystems, see Additional file 1: Table S6). The reactions were incubated in a 96-well optical plate at 95°C for 10 min, followed by 40 cycles of 95°C for 15 sec and 60° for 1 min. The Ct data was determinate using default threshold settings. The threshold cycle (Ct) is defined as the fractional cycle number at which the fluorescence passes the fixed threshold. For data analysis, gene expression values were determined using the calculation of the relative quantitation (RQ) of target genes normalized to a calibrator corresponding to 5 normal livers. RQ calculation was performed using the DeltaCT method with the geometric mean of three reference genes (TRIM44, Hs00214040_m1, HMBS; Hs00609297_m1 and LMF2; Hs00611068_m1) as reference . The three references genes were selected among 12 constant genes arising from a previous array analysis of 70 HCC samples and 9 normal livers to which were applied algorithms described previously .
QPCR coupled Methyl Sensitive Restriction Enzyme (MSRE) reactions were carried out as described by Melnikof et al. . Genomic DNA was extracted as described previously and quantified using NanoDrop ND-1000 (NanoDrop, Wilmington, USA) . All digestions were performed with HpaII, a methylation sensitive restriction enzyme. An amount of 200 ng of genomic DNA was digested 16 h at 37°C in a final volume of 100 μl containing 10 units of HpaII or HhaI. After incubation, each digested sample was diluted 5-fold with sterile water and incubated at 65°C for 15 min to inactivate the enzyme. QPCR was performed in triplicate on a Bio-Rad CFX-96 system (Bio-Rad) with 10 μl of reaction mixture containing 4 ng of digested DNA, 5 μl of 2X Sso Advanced SYBR Green Supermix (Bio-Rad) and 5 pmoles of each primer. Primers at CMYA5 gene, mapping in 5q21.1, a region non-affected by copy number changes in HCC, were used as reference. QPCR conditions included a denaturation step at 98°C for 2 min followed by 40 cycles at 98°C for 5 sec and 60°C for 1 min . Results were analyzed using the CFX Manager and Precision Melt Analysis software (Bio-Rad). Primers are provided on Additional file 1: Table S7.
Instat software (GraphPad Software Inc, La Jolla, CA, USA) was used for statistical analysis of the data with the Chi-square test, Fisher’s exact test, Student’s t-test, the Mann–Whitney test, ANOVA test and Kruskal-Wallis test as appropriate. The cut-off value for significance was of P < 0.05. All tests were two-sided.
Khadija Rebbani and Agnès Marchio are contributed equally to this work.
This work was funded by the French Ligue Nationale Contre le Cancer (LNCC) Odyssey-RE and the Pasteur Institutes International Network (RIIP).We are grateful to Eliane Coeffier, Marc Jouan and Jérôme Salomon from the Division International of the Institut Pasteur for their support. We thank Hélène Bierne, Marie-Louise Michel and Ophélie Godon for their scientific suggestions.
Additional file 1: Table S1. Functions of the genes investigated for DNA methylations in HCC from Western North-African patients. Table S2. Correlation matrix of the methylated loci as detected in North-African Hepatocellular Carcinoma. Table S3. Genetic features associated with abnormal DNA methylation in North-African Hepatocellular Carcinoma. Table S4. Methylation-specific PCR primers. Genome locations of primer sequences are given according to those provided by the Genome browser gateway. (http://genome-euro.ucsc.edu/cgi-bin/hgGateway?db=hg11&redirect=auto&source=genome.ucsc.edu). Um: amplifies unmethylated DNA, M: amplifies methylated DNA. Table S5. COBRA assay primers. Genome locations of primer sequences are given according to those provided by the Genome browser gateway. (http://genome-euro.ucsc.edu/cgi-bin/hgGateway?db=hg11&redirect=auto&source=genome.ucsc.edu). Table S6. Taqman Gene Expression Assay (PE Applied Biosystems). Table S7. MSRE-qPCR primers. Genome locations of primer sequences are given according to those provided by the Genome browser gateway (http://genome-euro.ucsc.edu/cgi-bin/hgGateway?db=hg11&redirect=auto&source=genome.ucsc.edu).
Additional file 2: Figure S1. (A) DNA methylation levels for the loci studied. No difference was statistically significant. (B) Methylation Index at 9 loci for DNA extracted from peripheral lymphocytes in patients with or without primary liver cancer. (C) Non-supervised hierarchical clustering of DNA methylation in PBMCs does not detect any difference between patients with or without liver cancer.
Additional file 3: Figure S2. Map of six among the seven promoters analyzed by MSRE-qPCR. Positions of primers are indicated by double arrows. Nucleotide position of primers is defined according to transcription Start site (↱1). Restriction sites are shown above the gene. Exons are symbolized at the scale by rectangles. BIRC5 assay is not shown.
Additional file 4: Supplementary data.
AM and PP designed research. KR and AM performed the molecular genetics study. PP performed cell culture experiments. KR, AM, SE, RA, OB, HT, MK, AE, AD, SB and PP analyzed the data. KR and PP wrote the manuscript. All authors read and approved the final manuscript. | 2019-04-21T22:09:51Z | https://molecular-cancer.biomedcentral.com/articles/10.1186/s12943-015-0340-2 |
The Lost River chapter of the Daughters of the American Revolution heard Robert Henderson review Killing Lincoln, the book by Bill O’Reilly and Martin Dugard, on May 10 in Paoli, IN.
Frank J. Williams presented “Lincoln and Leadership” at the Lyme Senior Center, Old Lyme, CT, on June 18.
The energy conservation company, Cenergistic, hosted its 2014 Summer National Training Conference in Chicago on August 11 with Frank J. Williams presenting “Gettysburg at 150.” It also included a press conference with President Abraham Lincoln—interpreted by Howard Wright covering the year 1864.
The Dallas Morning News One Day University featured The Civil War: From The Origins Through Reconstruction with Louis Masur on August 23.
Frank J. Williams presented “Lincoln’s Melancholia” on September 5 at the Dunns’ Corners Presbyterian Community Church.
Thomas Horrocks discussed his Lincoln’s Campaign Biographies at the Lincoln Group of Boston on September 20.
Eric Foner presented “The Emancipation of Abraham Lincoln,” the 2014 R. Gerald McMurtry Lecture, on September 26 at the Allen County Public Library, Fort Wayne, IN. The Annual Lincoln Colloquium, “Amid the Din of Arms: The Election of 1864,” was held at the Allen County Public Library on September 27. Speakers included Jeffrey J. Malanson (“‘George Washington, the founder of American independence, and Abraham Lincoln, the liberator of the slave’: The Founding Fathers and the Election of 1864”); Jonathan W. White (“Emancipation, the Union Army, and the Reelection of Abraham Lincoln”); and Nicole Etcheson (“Sustaining the National Government: The Election of 1864 in Indiana”). The panel discussion was moderated by Sara Gabbard.
The University of Illinois-Springfield hosted Lincoln’s Funeral on October 16 with James L. Swanson (“‘I give you my sprig of lilac’: The Death and Funeral of Abraham Lincoln”), Richard Wightman Fox (“What We’ve Forgotten About Lincoln’s Funeral, and What We’ve Never Known”), and Michael Burlingame (“Why Lincoln was Murdered”).
Harold Holzer, on the road speaking on his new book, Lincoln and the Power of the Press, appeared in Washington (in conversation with Major Garrett of CBS News) on October 16 at the Lincoln Cottage at the Soldiers’ Home; the Metropolitan Club on October 17; Frederick County (MD) Civil War Round Table on October 17; and the Newseum on October 18.
Professor James Coll of Hofstra University provided four sessions on October 27 and November 10 to discuss “Lincoln on the Civil War” at the Massapequa (NY) Public Library.
John Fabian Witt’s “Civil War Historians and the Laws of War,” appeared in the June 2014 issue of Journal of the Civil War Era.
Malvya Chintakindi’s “Neglected Lincoln’s Poetic Biography Gets Translated,” appeared in the September 4, 2014 issue of Helipolis ([email protected]).
Bret Stephens’s “What Does Vladimir Putin Want?” in the September 9 issue of the Wall Street Journal, includes a discussion of Lincoln’s Lyceum address.
The July 21 issue of Linn’s Stamp News reports that Tanzania issued a souvenir sheet on November 28, 2012 in honor of Lincoln.
The University of British Columbia Press has published Richard M. Reid’s African Canadians in Union Blue: Volunteering for the Cause in the Civil War.
Joseph C. Miller, The Problem of Slavery as History: A Global Approach, rev. by Anthony E. Kaye, Journal of Southern History (August 2014).
Enirco Dal Lago, American Slavery, Atlantic Slavery and Beyond: The U.S. “Peculiar Institution” in International Perspective, rev. by Natalie Zacek, Journal of the Civil War Era (June 2014).
John MacKay, True Songs of Freedom: “Uncle Tom’s Cabin” in Russian Culture and Society, rev. by Amanda B. Bellow, Journal of the Civil War Era (June 2014).
Robert J. Cottrol, The Long, Lingering Shadow: Slavery, Race, and Law in the American Hemisphere, rev. by Robert J. Steinfeld, Journal of the Civil War Era (June 2014).
John Boyko, Blood and Daring: How Canada Fought the American Civil War and Forged a Nation, rev. by Phillip E. Myers, Journal of American History (June 2014).
Jeffery R. Kerr-Ritchie, Emancipation Day in the Black Atlantic World, rev. by Ted Maris-Wolf, Louisiana History (Spring 2014).
A. Lincoln: A Pioneer Tale, a two-act musical drama, was performed at the Lincoln Amphitheater, Lincoln City, IN.
The Gettysburg Address, with music by Granville Wyche Burgess, with an arrangement by Stan Wietrzychowski, is available on CD (Granville Burgess, 983 North Street, Greenwich, CT 06831-2820).
A. Lincoln: A Pioneer Tale was performed at the Lincoln Amphitheater, Lincoln City, IN, on June 19.
New York’s Public Theater celebrated the newly published Library of America Shakespeare in America on June 24 at the Delacorte Theater in Central Park with actors Alec Baldwin, Annette Bening, and F. Murray Abraham, together with Lincoln scholar Harold Holzer who recounted Abraham Lincoln’s Shakespearean dreams.
Petersburg and Mobile Bay were honored in the Fourth Civil War Set on July 30, issued in a pane of 12 to commemorate the 150th anniversaries of the 1864 Civil War battles at Petersburg and Mobile Bay.
Smithsonian tours included The Seven Days Battle with Ed Bearss and Gregg Clemmer, August 9; The Battle of Antietam, also with Bearss and Clemmer on September 19; and Three Decisive Days at Gettysburg with day one on July 13, day two July 19 and day three July 27 with Bearss and Clemmer.
Lincoln’s Favorite Shakespeare by Harold Holzer was performed by the Berkshire Theatre Group with the author as narrator and performances by Kathleen Chalfant, Chris Noth, John Douglas Thompson, and Fritz Weaver. Gordon Hyatt was the producer and editor.
The Abraham Lincoln Library and Museum of Lincoln Memorial University will open a temporary exhibit that runs from October 6, 2014 to December 7, 2015. “Death and Memory: Abraham Lincoln in American Culture” is curated by students Jacob Wright and Marcus Smith and examines the Lincoln image post-assassination in popular culture.
Strong Women—Man’s World, an exhibit created by Jean Hendrick, a long-time volunteer at the Abraham Lincoln Library and Museum, will run from October 10, 2014 to September 16, 2015.
Mr. Lincoln’s Washington: A Civil War Portfolio, an exhibit using large-format reproductions of original photographs, prints, drawings and maps that show how the Civil War affected life in the District of Columbia, was on display at the National Portrait Gallery, Washington, through January 25, 2015. Mathew Brady’s photographs of Union Generals runs through May 31, 2015, as is One Life: Grant and Lee, 1864-1865.
Undying Words: Lincoln 1858-1865 will open at the Abraham Lincoln Presidential Library and Museum in November 2014. Mounted in cooperation with the Chicago History Museum in borrowing 24 historic items from their collections, it will be the biggest Lincoln show that the ALPLM has undertaken in eight years.
Efforts are underway to ensure the appropriate commemoration of Abraham Lincoln’s funeral in Springfield, IL, May 1-3, 2015. While the 150th anniversary of Lincoln’s interment at Oak Ridge Cemetery was May 4, 1865, the 2015 Lincoln Funeral Coalition is planning a re-enactment three days before the 150th in 2015. These activities will include a re-creation of the Lincoln funeral proceedings with a funeral march through Springfield ending at Oak Ridge. Coalition chairwoman Katie Spindell anticipated thousands of re-enactors would participate.
The Illinois Historic Preservation Agency is planning for a “lying in state” exhibit at the Abraham Lincoln Presidential Library and Museum. The exhibit Undying Words will focus on Lincoln’s major speeches and likely run through most of 2015. The Chicago History Museum will lend the bed where Lincoln died in the Peterson house, Washington, for the exhibit.
The Old State Capitol will be draped in black ribbon and bunting during the weekend of the 150th anniversary of the Lincoln Funeral. An exhibit will focus on the city of Springfield and how locals prepared for the funeral.
An additional plan is the restoration of the original entrance to Oak Ridge Cemetery that received Abraham Lincoln’s funeral procession 149 years ago.
Cullom Davis, professor emeritus of history at the University of Illinois, Springfield, received the 2014 William E. Winter Award for Outstanding Advocate Leadership. Davis, a founding faculty member of Sangamon State University—predecessor to the University of Illinois, Springfield, was a strong campus advocate and fundraiser and also served as editor of the Legal Papers of Abraham Lincoln.
The Lincoln Memorial Shrine in Redlands, CA, was the 2014 winner of the Certificate of Excellence awarded by TripAdvisor Awards.
A letter from Congressman Lincoln on May 7, 1859, auctioned at Swann on May 22, failed to reach the reserve. It was estimated at between $15,000 and $20,000: “…You overrate my capacity to serve you. Not one man recommended by me has yet been appointed to any thing, little or big, except a few who had no opposition.” An autographed manuscript signed “Lincoln” in the third person with five-lines of notes relating to his response to the speech of Senator Stephen A. Douglas during the 5th joint debate at Galesburg, IL in 1858 was sold for $32,500. At the Swann auction on April 8, the first report of the assassination of President Lincoln in the New York Times on April 15, 1865, went for $1,875.
“Lincoln’s Story Continues,” about the refurbishing and reorganization of the Lincoln Heritage Museum at Lincoln College, Lincoln, IL, by Mike Kienzler, appeared in the April 17 State Journal-Register.
Daniel R. Weinberg’s Abraham Lincoln Book Shop has published its 118th catalog.
Doug Finke reported in the Illinois State Journal-Register that there is a plan to completely overhaul the Lincoln-Herndon law office as a historic site in Springfield, to include a working version of an 1840s dry goods store. Planned to start in the fall of 2015, the estimated $1.16 million project would assist visitors in understanding commerce in Springfield at the time Abraham Lincoln was practicing there.
Bob Lewin wrote about Harold Culver’s Lincoln postal cachets in “A Spectacular Lincoln Cover” for the June American Philatelist.
Abraham Lincoln’s handwriting was found inside a well-worn book justifying racism which he may have read to better understand his opponents’ thinking on slavery. The 700-page volume is in the Abraham Lincoln Presidential Library and Museum, Springfield, IL. The inscription, written on a page in the book Types of Mankind, was penned by Abraham Lincoln—but not signed by him. Denver Nicks wrote about it in the August 5 Time.
Richmond, VA’s new American Civil War Museum is in the design phase. Scott C. Boyd reported this in the September Civil War News. A conceptual plan for the 35,000 sq. ft. facility is to be built at the Tredega Iron Works along the James River. The American Civil War Museum was formed in 2013 by the merger of the Museum of the Confederacy and the American Civil War Center.
The Atlanta cyclorama painting, The Battle of Atlanta, is being moved to a new 23,000 sq. ft. facility to be built at the Atlanta History Center. An additional painting portraying the locomotive Texas, which won The Great Locomotive Chase, and artifacts in the Atlanta Cyclorama and Civil War Museum will be moved from Grant Park to the new facility.
Billy Brantley has for sale replicas of the Abraham Lincoln Pocket Knife (www.Lincolnpocketknife.com).
Simon & Schuster has published Harold Holzer’s Lincoln and the Power of the Press: The War for Public Opinion.
Johns Hopkins has published Michael C.C. Adams’s Living Hell: The Dark Side of the Civil War.
Lincoln’s Gamble: The Tumultuous Six Months That Gave America the Emancipation Proclamation and Changed the Course of the Civil War by Todd Brewster has been published by Scribners.
Lincoln’s Dilemma: Blair, Sumner, and the Republican Struggle Over Racism and Equality in the Civil War by Paul D. Escott has been published by the University of Virginia Press.
A.J. Langguth wrote After Lincoln: How the North Won the Civil War and Lost the Peace for Simon & Schuster.
Lewis E. Lehrman has written Lincoln ‘by littles’ (The Lehrman Institute).
Fred J. Martin, Jr. is the author of Abraham Lincoln’s Path to Reelection in 1864: Our Greatest Victory (AuthorHouse).
William F. Moore and Jane Ann Moore are the authors of Collaborators for Emancipation: Abraham Lincoln and Owen Lovejoy (University of Illinois Press).
Donald Motier wrote Saving Lincoln: Mystic Chords of Memory, Part Two. This fictional novel has been published by Outskirts Press, Denver.
Gustav Niebuhr is the author of Lincoln’s Bishop: A President, a Priest, and the Fate of 300 Dakota Sioux Warriors (HarperOne).
Lincoln Dialogue by the late James A. Rawley, edited by William G. Thomas, has been published by the University of Nebraska Press. Professor Rawley cross-examines Lincoln’s major statements, papers and initiatives with the comments and criticism of his supporters and opponents.
Glenna R. Schroeder-Lein has written Treasures of the Abraham Lincoln Presidential Library (Southern Illinois University Press).
The Concise Lincoln Library of Southern Illinois University Press has published Lincoln’s Assassination by Edward Steers, Jr., Lincoln and the War’s End by John C. Waugh, and Lincoln and the Military by John F. Marszalek.
Jonathan W. White has written Emancipation, the Union Army, and the Re-Election of Abraham Lincoln (Louisiana State University Press).
Michael C.C. Adams has authored Living Hell: The Dark Side of the Civil War for Johns Hopkins University Press.
William A. Blair has written With Malice Toward Some: Treason and Loyalty in the Civil War Era (University of North Carolina Press).
William C. (“Jack”) Davis’s Crucible of Command: Ulysses S. Grant and Robert E. Lee, the War They Fought, the Peace They Forged has been published (Da Capo Press).
Chris DeRose wrote The Presidents’ War: Six American Presidents and the Civil War That Divided Them for Globe Pequot.
Civil War Limericks by Charles H. Hayes has been published by Pelican Publishing Co. Also published by Pelican is The Confederate States of America Poster by Daryl Hutchinson.
James M. McPherson’s Embattled Rebel: Jefferson Davis as Commander-in-Chief has been published by Penguin Press.
Students of Professor Herman Belz have edited and contributed to Constitutionalism in the Approach and Aftermath of the Civil War (Paul D. Moreno and Jonathan O’Neill, eds.) (Fordham University Press).
Simon & Schuster and Rowan Technology Solutions have published The West Point History of the Civil War, the first volume in a series of definitive West Point military history. Contributions in the first volume include “Origins of the Civil War and the Contest for the Borderlands” by Mark E. Neely, Jr.; “The War in the East, July 1861 to September 1862” and “Lee’s War in the East” by Joseph T. Glatthaar; “Grant’s War in the West” by Steven E. Woodworth, “Coordinated Strategy and Hard War” by Earl J. Hess, and “The End of the Civil War and Reconstruction” by James K. Hogue.
The winter 2013 issue of The Lincoln Herald included “The Plight of The African Americans Despite the Hopes of President Lincoln and the Bittersweet Victory of the Civil War” by Jay Goldberg, “Stephen A. Douglas, Lawyer, Legislator, Register and Judge: 1833-1843 – Part 2” by Harry E. Pratt, and “Lincolniana” by Frank J. Williams. Michael Burkhimer edited the reviews.
The summer issue of The Civil War Monitor included Bob Zeller’s “Lincoln’s Final Journey” with a reproduction of a newly-found photograph of the funeral procession for President Lincoln in New York City.
John Hoffmann wrote “The Lincoln Ox Yoke” at the University of Illinois for the summer issue of For the People: A Newsletter of the Abraham Lincoln Association.
Reflections on General Ulysses S. Grant, including ratings on his service as General-in-Chief and biographies about him, appeared in the summer Civil War Monitor. Of those polled, 21.7% believe that his presidency was underrated, with 8.7% disappointed.
The summer Lincoln Lore, edited by Sara Gabbard, included her interview with Eric Foner, Frank J. Williams, and Richard Striner.
Campaign materials from “The Election of 1864” were featured in the Fall issue of The Civil War Monitor.
Bradley Harjehausen wrote “The Young Napoleon and the Original Guerrilla: George McClellan, Abraham Lincoln, and the Changing State of Warfare in the Civil War” for the winter and spring Lincoln Memorial Association Newsletter. Don McCue wrote “Sam Grant, Savior of the Union” for the same issue.
James L. Cotton, Jr., The Greatest Speech, Ever: The Remarkable Story of Abraham Lincoln and His Gettysburg Address, rev. by David A. Galli, Civil War News (August 2014).
William C. Harris, Lincoln and the Union Governors, rev. by Allen C. Guelzo, Civil War News (July 2014).
Martin P. Johnson, Writing the Gettysburg Address, rev. by Jay Jorgensen, Civil War News (August 2014).
William Nester, The Age of Lincoln and the Art of American Power, 1848-1876, rev. by Thomas A. Horrocks, Civil War News (September 2014).
Jared Peatman, The Long Shadow of Lincoln’s Gettysburg Address, rev. by Thomas A. Horrocks, Civil War News (July 2014).
Joshua Zeitz, Lincoln’s Boys: John Hay, John Nicolay, and the War for Lincoln’s Image, rev. by Clint Johnson, Civil War News (September 2014).
Robert F. Henderson was profiled in the Paoli News-Republican (IN) on February 2014.
Historian and teacher James Percoco is now the Civil War Trust’s Teacher-in-Residence. For more information, go to www.civilwar.org/education.
Lincoln portrayers Max and Donna Daniels of Wheaton, IL—she for Mary and he for Abraham—were profiled in the Lake County Daily Herald on February 22.
David Kloke of Elgin, IL, is constructing a full-sized replica of the funeral train car that carried the President’s body from Washington, D.C., to Springfield, IL—Lincoln’s final resting place. Dubbed “The Lincoln Special,” the original train was built in 1864 as the office car for the President.
Illinois House Speaker Michael Madigan badly miscalculated when he attempted to separate control and direction of the Abraham Lincoln Presidential Library and Museum in Springfield from the Illinois Historic Preservation Agency in order to make the library and museum a stand-alone state agency. The Speaker’s proposal surfaced just one week before adjournment of the Illinois legislature and without any input from Governor Pat Quinn. Bruce Rushton wrote about the situation in the May 29-June 4 Illinois Times (“Presidential Politics: Lawmakers Ponder Future of the Abraham Lincoln Presidential Library and Museum”). Despite a House committee endorsement for a plan to make the presidential library and museum its own state agency, the plan died when Senate President John Cullerton confirmed that the Senate would not take up the bill during the 2015 session. Madigan said the cost of making the presidential library and museum its own agency would be minimal, but the historic preservation agency estimated it would cost $2.4 million. Madigan acknowledged that he is friends with the library and museum’s Executive Director, Eileen Mackevich, but denied that he was pursuing the legislation to bring patronage jobs to the facility. The House had earlier approved the bill on a bipartisan 84-29 vote.
Maureen Dowd’s article for the August 24 New York Times was a put-up of Abraham Lincoln’s Gettysburg declaration, using President Obama’s passion for golf as its thrust.
The Lincoln Memorial led the number of visitors in Washington during 2012 with 6,191,386 followed by the Vietnam Veterans Memorial at 4,424,404. Ford’s Theatre was ninth with 701,542.
Professor William D. Pederson, director of the International Lincoln Center at Louisiana State University Shreveport, wrote about the formation of the Lieber Code, which President Lincoln authorized at the urging of Secretary of War Edwin M. Stanton, Army General-in-Chief Henry W. Halleck and Judge Advocate General Joseph Holt, for the Shreveport Times on August 22. “The code was in sync with the Declaration of Independence and Emancipation Proclamation,” wrote Pederson, suggesting that a ‘natural law’ governs human beings even during times of armed conflict.” The Lieber Code (General Orders 100) became the basis for the Geneva Conventions.
Anthony S. Pitch gave his annual speech at Ford’s Theatre on the anniversary of Lincoln’s assassination, based on his book, “They Have Killed Papa Dead!:” The Road to Ford’s Theatre, Abraham Lincoln’s Murder, and the Rage for Vengeance. Later he gave four tours of Lincoln assassination sites in Washington, D.C. to sold-out crowds under the auspices of the Smithsonian Institution.
The 58th Annual Lincoln Tomb Ceremony Commemorating the 149th Anniversary of the Death of Abraham Lincoln, sponsored by the Death Day Association, Inc., occurred on April 15 at the Lincoln Tomb, Springfield. The Lincoln Tomb reopened on April 1 after a four-month closure to repair water damage. The $700,000 restoration involved a variety of projects, including fixing cracks and repairing plaster molding, as well as new LED lighting.
Oxford University Press will publish Terry L. Alford’s Fortune’s Fool: The Life of John Wilkes Booth in February 2015.
Brian McGinty’s Lincoln’s Greatest Case: The River, the Bridge, and the Making of America will be published by Liveright Publishing Corporation (W.W. Norton & Co.) in February.
Southern Illinois University Press will issue as Concise Lincoln Library books in 2014: John F. Marszalek’s Lincoln and the Military; Edward Steers, Jr.’s Lincoln’s Assassination; and John C. Waugh’s Lincoln and the War’s End. For Spring 2015, the press will also publish Bryon Andreasen’s Looking for Lincoln in Illinois: Lincoln’s Springfield; Harold Holzer and Sara Vaughn Gabbard’s 1865: America Makes War and Peace in Lincoln’s Final Year; John F. Marszalek’s The Best Writings of Ulysses S. Grant; Edna Greene Medford’s Lincoln and Emancipation; Christian G. Samito’s Lincoln and the Thirteenth Amendment; Justin Solonick’s Engineering Victory: The Union Siege of Vicksburg; and Todd Nathan Thompson’s The National Joker: Abraham Lincoln and the Politics of Satire.
Dr. David E. Long, a co-founder of the Lincoln Forum, teacher and author of The Jewel of Liberty, died on May 17 at age 66.
Lincoln collector and Lincoln Forum founding member Jean Hoefer died on April 8 at age 90. She packed many Lincoln items, including books and ephemera, in her 10×12 foot library at home in Freeport, IL.
I want to thank Thom Bassett, Randal Berry, Roger Billings, Kenneth L. Childs, Aaron Crawford, Alice Dure, Sybil and Bill Forsythe, Harold Holzer, Richard Sloan, Tom Lapsley, Dave Leroy, William D. Pederson, Dennis E. Stark, Joseph Fornieri, Robert F. Henderson, Thomas Horrocks, Wayne C. Temple, Edward Steers, Jr., David J. Stiller, Jo Dzombak, Guy C. Fraker, Malcolm Garber, Mike Marlow, Ralph S. McCrea, William K. Miller, Thom Bassett, Tracey Minkin, David Warren, John Schildt, Philip W. Stichter, Thomas J. Trimborn, Justice William P. Robinson III, Judges W. Dennis Duggan and Dennis Curran, Frank and Virginia Musgrave, and Virginia Williams for providing information for this column. I welcome news concerning Abraham Lincoln. Please contact me at 300 Switch Road, Hope Valley, RI 02832; fax (401) 364-3642; e-mail [email protected]. | 2019-04-18T16:45:35Z | http://www.lincolnbicentennial.org/lincoln-news/fall-2014 |
There are three fundamental beliefs that under lie the sense of self.
There are two models of the self, the rope and the ‘string of pearls’. The debate is not settled but the evidence points more to the rope.
The rope. “A rope holds together even though there is no single fibre running through the entire rope, just a sequence of overlapping shorter fibres.” From end to end there is no constant element.
The mind puts together sound and light as if they arrive at the same time, when in fact they do not. This only happens when it is arriving from 10m away. (See the ‘flash-lag’ illusion).
‘Beta phenomenon’ shows how the brain fills in gaps using guess work and makes connects where there are none.
Hood explores “subjects such as free will, the unconscious, the role of (false) memories in building identity, as well as myriad social psychology experiments showing how people behave differently according to the situation they are in.” We have interchangeable selves for different situations.
“If a primary function of self-identity is to help us build relationships, then it follows that the nature of the self should depend on the social environment in which it develops. Evidence for this comes from cultural psychology. In his book The Geography of Thought (Nicholas Brealey, 2003), Richard Nisbett at the University of Michigan presented lab experiments suggesting that Chinese and other east Asian people tend to focus on the context of a situation, whereas Westerners analyse phenomena in isolation – different outlooks that affect the way we think about ourselves.” So ones sense of self is culturally determined.
Those with a narcissistic level of self-esteem are more prone to cheating and aggression as well as being intolerant of criticism. Twenge suggest that modern culture has become too individualised. For example, work by Nathan DeWall, University of Kentucky, has shown that in the USA pop songs in the last three decades have increasingly used “I” and words about relating to others have fallen.
(Psychology of Aesthetics, Creativity, and the Arts, vol 5, p.200).
Growing research noted by Roy Baumeister and John Tierney indicates will-power is the key to a good life, not self-esteem. (“Willpower: Rediscovering Our Greatest Strength” Allen Lane 2012). Real achievement coming from resisting impulses, focusing, working with difficulties, not “meaningless praise”.
Structural differences in the brains of men and women are there to compensate for the effect of hormones to make men and women more similar rather than different.
“In brains terms, while certain circuits may be shaded pink or blue, that would not stop the output, or behaviour, being uniformly purple.” The “compensation theory” for brain differences.
““Label jars, not people” and “stop medicalising the normal symptoms of life” read placards, as hundreds of protesters – including former patients, academics and doctors – gathered to lobby the American Psychiatric Association’s (APA) annual meeting.” Diagnostic and Statistical Manual of Mental Disorders (DSM).
“Most researchers agree that 0.2 to 0.4 is really not in the acceptable range,” says Dayle Jones of the University of Central Florida in Orlando.
The kappa for mixed anxiety / depression for adults was less than 0.01. So hardly better than chance!
You have unique DNA, fingerprints, gait, ears, scent, heartbeat, network of neurons and the combination of skin bacteria.
However your face is not so unique.
Adversity that is economic, social, health, education and other factors not part of deprivation can lead to have life long disadvantages.
A chaotic and neglectful families affect development even for middle and upper socioeconomic groups.
The specific (and so therefore possibly treatable) areas of the brain affected were to do with decision-making and not related to the areas or patterns of areas associated with brain disorders. Also 10% of suicides have no history of brain disorders. (Brain Research, doi.org/cvrpyk).
Recent research has shown that more than 100 species as diverse as anemones and birds have been naturally selected to contain both shy and bold personality types in their populations. Both have survival benefits depending on the context. There is a continuum of shy-bold from reactive “shy, timid, risk-averse and slow to explore novel environments” to the proactive “bold, aggressive, exploratory and risk prone”.
Shy animals also seem to remember long term hazardous situations.
Research on humans has shown that extroverts have more sexual partners than introverts, but extroverts are far more likely to have accidents or illness requiring hospitalisation. (Evolution and Human Behavior, vol 26, p363).
A surprising recent study of Israeli soldiers shows that “anxious types are less prone to post-traumatic stress disorder” (JAMA Psychiatry, vol 70, p 401).
Political preferences are partly biological, suggests research by John Hibbing. Physical reaction to adverse stimuli tests show that a “Tough-on-crime, pro-military conservatives have a more pronounced startle reflex after hearing a sudden loud noise. They also show stronger skin responses when shown threatening images and look at them more rapidly and for longer.” But we are all working under the assumption that we think, and rationally decide our political views.
Hibbing says, “One of the things we’re trying to get people to realise is that those who disagree with them politically really do experience the world in a different fashion.” For example they organise living spaces differently. “with conservatives favoring tidiness and conventionality, and liberals more tolerant of clutter.” They also have different art and humour preferences.
This supports Hibbing’s work but he characterises them as aversive (conservative) and appetitive (liberal).
Substantial genetic studies show identical DNA twins tend to share political views more often than fraternal twins.
Liberals and conservatives have unconscious preference for high status groups over low status groups, but with the liberals it is not so pronounced.
Liberals have more grey matter in the part of the brain that regulates behaviour and self control. Whereas conservatives have more in the areas associated with strong emotions and responding to threats.
However the whole field of research itself has discovered its own bias.
Only 6% at a conference on this subject openly self identify as conservative. “The authors also asked how willing the respondents would be to discriminate against a conservative colleague in peer review, grant decisions, symposium invitations or hiring. A shockingly high percentage said that they would: for instance, nearly 40 per cent said they would be “somewhat” to “very” willing to discriminate against a conservative job applicant. And this from a field that has led the study of discrimination against race, gender and sexual orientation. ” (Perspectives on Psychological Science, vol 7, p496).
“Jost and others speculate that all societies contain groups analogous to western liberals and conservatives: one wants to bring new ideas, the other to resist change….If the genetic basis means these groups are hard-wired to disagree, it makes debate and policy analyses seem a little pointless.” Alford says “’The fact that people exist at poles doesn’t eliminate the persuasive element of politics’” as policies do change overtime.
One thing liberals and conservatives have in common is that both endorse unscientific ideas, and cut funding for scientific research that may provide evidence that contradicts their assumptions. However, currently the liberals are not criticised by the scientific community for doing this, this is reserved for the conservatives.
In the 1970s it was assumed that violent criminals were the product of their circumstances, but twin studies shown that identical twins are more likely to share antisocial behaviours than fraternal twins. Raine imaged the brains of convicted murderers and found that the area of the brain that helps hold one back from impulsiveness and helps with planning (prefrontal cortex) has reduced activity. However, mothers who smoke or drink during pregnancy, and levels of testosterone in the womb, have also been shown to correlate with later violent crime in their offspring.
“Many offenders also have impairments in their autonomic nervous system, the system responsible for the edgy, nervous feeling that comes with emotional arousal. This leads to a fearless, risk-taking personality, perhaps to compensate for chronic under-arousal.” It leads to a low heart rate, which has a better correlation with violent criminals than smoking does with cancer.
And of course the wider environment is also a strong factor. Raine says, “Treating the physical causes will work more quickly and effectively than repairing the complicated social factors that also contribute to criminal behaviour.” He has tested this in Mauritius, where he successfully reduced the criminality of young adults by 35% by “extra nutrition, exercise and intellectual enrichment” to them when they were 3-5 years old.
SHORT TERM MEMORY AND WORKING MEMORY. “This store is capable of holding roughly seven items of information for approximately 15 to 20 seconds, though actively “rehearsing” the information by repeating it several times can help you to retain it for longer.” You can squeeze in more by ‘chunking’ information, such as remembering numbers as groups.
In a now rightly famous experiment Elizabeth Loftus, University of California, Irvine, “persuaded subjects that they had seen Bugs Bunny at Disneyland, despite the fact that he’s a Warner Bros character.
Memory cannot be improved, but it is easily damaged by drugs.
Abstract concepts are easier to learn if they are linked to physical sensations, even something as slight as eye movements. Scents also aid recall, as does a 10 minute walk, but a 40 minute jog makes it worse.
If a day is left between first and second passes through material that helps recall.
Teaching others also helps you learn things, even when the other is a robot just pretending to not know how to do something.
“Physical exertion drains attentional resources, forcing a person to focus on what is necessary for survival, often to the exclusion of details vital to the courts.” Only 27% of those who exercised to exhaustion could identify the suspect, whereas 54% of those who did not. Lorraine Hope, University of Portsmouth, UK. (Psychological Science, DOI: 10.1177/0956797611431463).
There are individuals whose memory is such that they forget they have just eaten three 3 course meals in a row, or underestimate by eight hours how long they have been running (Diane Van Deren) so feeling full, and fatigued is partly in the short term memory. But for the rest of us simple distractions such as television cam make us underestimate how much we are eating or drinking.
This theory is a revolution in understanding memory.
“Only humans demonstrate the kind of capacity and flexibility that can allow us to imagine all kinds of futures. “These simulations allow us to plan, prepare for and deliberately shape the future, like no other animal appears to do,”.” Says Thomas Suddendorf, University of Queensland in Australia.
A large number of studies show that a good memory is linked with well being. Whereas depressed people recall their lives by “skimming the chapter headings”, they have difficulty in recalling details. “According to this theory, our memories act as a kind of ballast that holds us steady during times of stress.” “Over-general memory” develops before depression so may contribute to its development. The poor memory weakens imagination, foresight and problem solving.
Our recollections of our own lives are patchy. We have no conscious recall before 2 or 3 years old and little before 6. The neural pathways are not mature enough to transfer memories to long term memory. The experiments conducted by Martin Conway, City University London, indicate that words provide a structure upon which to hang memories, so that children find it hard to recall if they have not learned the language to describe it.
Families who deeply discuss events in children’s lives help them develop their personal narratives much more than those of their school age peers. However, it is also possible for the stories of siblings or spouses to absorbed in to your own memories.
Young adulthood is the peak of our life recollections. This could be due to changes in the brain, the emotions of that time or the expectation of the cultural milestones that we pass at that time.
Poorer rates of fitness among the old is a factor in affecting their ability to learn as poor cardiovascular health is known to affect connections in the brain. Also the adult lifestyle is not centred around learning, whereas the child’s environment is, for example using the methods for teaching children language work better for adults that the adult methods.
Also repeated testing improves recall, and this rarely happens with adult learning (For less painful methods see the website Memrise).
Learning skills improves if you switch between them, and do not practice one for too long.
Positive encouragement given by a rigged test, improved the speed of learning.
Personality appears to have little to do with predicting the features of dreams.
Jayne Gackenbach at GrantMacEwanUniversity in Edmonton, Canada made a study of players of online gaming and found they are more likely to take control of their dreams, to fight rather than flee, which makes the dreams more exciting and less scary.
Biggest mystery is the purpose of our dreams, on which there is no consensus.
We spend a third of our lives asleep. If it is for rest then why do we need to be unconscious and at risk from predators?
Sleep seems to be a requirement of the simplest of animals, but the amount of time varies enormously and inconsistently. Dolphin newborns and mothers are awake for a month after birth and bats sleep 20 hours, whereas horses nap on their feet for a few minutes at a time totalling only 3 hours.
“A new theory about the purpose of sleep says it is to stop our brains being overloaded by the new memories we form each day.” It rebalances the energy in the synapses so the total energy in the links is the same. This means unused links will get weaker. Jan Born, University of Tubingen, Germany.
During sleep brain activity changes, heart rate reduces by about 10 beats per minute, there is a fall in movement, sensation and core body temperature of 1-1.5C.
“using less blue and more yellow, minimises the disruptive effect on sleep (Journal of Pineal Research, DOI:10.1111/j.1600-079X.2011.00970.x).
“Lab studies have indeed shown that worry means shallower sleep and more waking up. We also know that age has a profound effect on sleep quality. Older people are more susceptible to the sleep-disrupting effects of stress, caffeine and alcohol.” The booze affects second half of the night.
Sleeping for too long or too short both raise chances of dying. The link between too much sleep and mortality is not known.
The police work hard to try and avoid leading witnesses, particularly children, but the following research shows how easy it is to mislead, and offers a surprising solution. “Even an investigator with the best intentions can let biases slip into the questions they ask a witness.” Even a very subtle thing such as using ‘smash’ instead of ‘bump’ can lead to witnesses recalling faster speeds in a car accident, and to describe the damage as more serious. Unconscious bias shapes the questions which then shapes the answers given by those questioned, with robots this is not an issue.
A study by Cindy Bethel of MississippiStateUniversity in Starkville filmed a ‘theft’ of an object from a desk. “Two groups – one with a human and one a robot interviewer – were asked identical questions that introduced false information about the crime, mentioning objects that were not in the scene, then asking about them later. When posed by humans, the questions caused the witnesses’ recall accuracy to drop by 40 per cent – compared with those that did not receive misinformation – as they remembered objects that were never there.” This did not happen with the robot. “The scripts were identical. We even told the human interviewers to be as robotic as possible,” says Cindy Bethel.
Being social animals our perception is bias towards being able to spot and read human faces. “The human brain is optimised to recognise faces, which could explain why we are so good at picking out meaning shapes in random patterns.” Also poor quality cameras often create odd images.
Seeing isn’t believing. Our picture of the world is not complete, it only seems so. We are in fact only able to see in full colour and detail in area of the eye that is equal to the size of the moon in the sky. The brain also gets the eye to flit around to build up the details for the ‘full picture’. We do not actually see these flits, they are edited out. When you look at yourself in the mirror and look from eye to eye, you never see them move. A similar thing happens with hearing.
Researchers at Harvard University have shown that you can change the person someone is giving directions to mid-conversation if their view of them is blocked by two workmen carrying a door between them and half will fail to notice the change. (For similar effect see flicker images, www.psych.ubu.ca/~rensink/flicker/download).
Reason is our attention is drawn to motion related changes, not static changes.
Sachs has experimented on himself with LSD and other hallucinogens. He also has issues with his sight that lead to low level geometric hallucinations. So he speaks also as someone who has these experiences, though he does not believe that they are evidence of anything.
One can be completely reasonable and balanced in all areas of ones life but this is no guarantee that in one area one might become extreme. This is referred to as mono-symptomatic delusion / delusional disorder.
Frank Tallis explores ideas of demonic possession in his 2012 book ‘Forbidden’. He says, “An individual could have a perfectly harmless interest in the supernatural but then something happens that triggers this delusion and they get stuck with it, reinforcing it, by piling up one misinterpretation after another. If you go out looking for evidence, you will find it.” This is perfectly natural because our brains are set up to seek out causes for events. So anyone can misread events and see causes that are not there, given the right circumstances.
Our instinctive decision making is faulty. This was first suggested by psychologists Daniel Kahneman and Amos Tversky in the 1970s who demonstrated that rules of thumb often lead people astray.
Robert Trivers (8 Oct 2011 New Sci) said, “If you ask me about my self-deception, I can give you stories, chapter and verse, in the past. But can I prevent myself doing the same damn thing again tomorrow? Usually not…” So there is a chance of error in all that you do.
The 48 most common fallacies and errors are listed on a website of the same name.
We are so unaware of all the processes that go on in our minds, so do we really have free will if this is the case? Freud “saw the unconscious, as described in a much cited 1992 study, as seething with ‘lust and anger…hallucinatory, primitive, and irrational’ (American Psychologist, vol 47, p788). Thanks to recent work across psychology, neuroscience and other disciplines, we now see it as a powerful, efficient decision-maker critical to our survival.” We could not cope without running all the myriad processes such as perception. It is nearly impossible to override.
Kahneman has characterised the way the brain operates as a dual system, system ONE which is a fast thinking automatic function, and system TWO, which is slow thinking and requires control and effort. The later is the conscious one.
“I have been studying this for years and my intuitions are no better than they were. But I’m fairly good at recognising situations in which I, or somebody else, is likely to make a mistake – though I’m better when I think about other people than when I think about myself. My suggestion is that organisations are more likely than individuals to find this kind of thinking useful.
People remember the feeling at the end and the worst part of medical procedures not the duration.
David Sloan Wilson of BinghamtonUniversity in New York, thinks that the origins are social, but that they could have been co-opted for other function.
Confirmation bias. “Yet people rarely have any awareness that they are not being objective. Such a bias looks like a definite bug if we evolved to solve problems: you are not going to get the best solution by considering evidence in such a partisan way. But if we evolved to be argumentative apes, the confirmation bias takes on a much more functional role. “You won’t waste time searching out evidence that doesn’t support your case, and you’ll home in on evidence that does,” says Mercier”.
“Notably, the attraction effect is strongest when people are told that they will have to defend publicly whatever choice they make. “In these kinds of situations, reasoning plays its argumentative role and drives you towards decisions that you can easily justify rather than the best decision for you,” says Mercier.
Simple environmental factors that the sub-conscious notices can change our actions, such as a game played as part of a test being taken out of a briefcase rather than a rucksack at the start will lead to more competitive behaviour without test subjects having consciously noticed.
The roles of the two hemispheres are much more complicated than being just emotional and intellectual, as they are often characterised.
“And while fear often seems to lead to overreactions, this makes sense when you consider the dangers facing prehistoric humans, says Daniel Nettle from Newcastle University, UK. On that one occasion where a rustle in the bushes really was made by a predator, the less neurotic peers of our ancestors would have paid the ultimate price, failing to pass their laid-back genes on to the next generation (Personality and Social Psychology Review, vol 10, p47).
Alex Kacelnik at the University of Oxford “Natural selection allows us to correct our behaviour to do what work works,” he says. Kacelnik believes the main force influencing our decision-making is reinforcement learning. In other words, we learn from experience and favour what has worked in the past. Nothing controversial there. But, he notes, we are also swayed by our changing internal states – things like hunger, thirst and libido –so that choices are tailored to our needs. Decision theory has long struggled with the problem that people are inconsistent, but Kacelnik argues that apparent inconsistencies in choice can arise simply because our preferences change according to our needs.” Utility is a moving target. We may not show the “economic rationality” of traditional decision theory but our choices have their own logic, which he calls “biological rationality”.
Grumpiness or sadness, on the other hand, produces more vigilant, outward-looking thinkers. “A negative mood produces a thinking style that is more detailed and attentive, and pays more attention to the demands of the external environment,” says Forgas.
Willpower is quality that gets used up and not so much a sign of moral superiority.
Doctors have a very low level of risk intelligence, as they get older they get more confident with their skills but their accuracy remains the same.
Having poor risk intelligence lead either to grabbing any answer to avoid uncertainty, or to get stuck gathering endless information and never acting. However, you can improve your risk intelligence by becoming aware of cognitive biases.
It is often observed that people prefer certainty, such as they fair better knowing the results of a medical test, those how got good news felt good about it, but those who got uncertain news felt worse a year later than those who had bad news. (The New England Journal of Medicine, I vol 327, p1401).
Here are just a few of our biases when it comes to money.
“OVERCONFIDENCE: We consistently overrate our prowess in doing everything from driving cars to investing in real estate or the stock market.
HERDING: A tendency to follow the crowd can cause massive numbers of investors to share the same belief about a financial asset, driving prices up or down.
interview with Dan Ariely, DukeUniversity in Durham, North Carolina).
Here are two common fallacies used in politics.
Strawman – “a person summarises the opposition’s position inaccurately so as to weaken it and then refutes that inaccurate rendition.” As this is closely related to opponent’s true position it is easy to spot.
Weakman – contains a grain of truth but “often bears little similarity to the strong arguments that should be presented.” One needs to be much cleverer to spot what has been disregarded.
“Even when using conscious reasoning (p18 12 Nov 2011 New Sci) we cannot judge conduct in isolation from consequences, even when told to do so. (Edie Greene University of Colorado in Colorado Springs.)” This is hindsight bias.
Jurys “perceived the same person to be less credible if they spoke with a foreign accent (Psychological, Crime & Law, vol 13, p317)”.
“Jurors instructions, which are meant to guide them through the decision, can be very hard for a layperson to understand. Confused, they often rely on gut instincts to make the choice, giving a freer rein to bias.” (Behavioural Sciences and the Law, vol 26, p603).
We will probably never be able to remove all effects of prejudice. “Our experiences, attitudes and beliefs always influence how we interpret things,” says Greene.
The gut is controlled by a second nervous system that is so complex it could be called a second brain. It could drive cravings. It produces the same amount of dopamine as the brain and 20 times as much serotonin. It can work independently from the brain if the nerve is cut. And 90% of messages go from it to the brain, rather than the other way round.
“In 2008, Simon Schnall, now at the University of Cambridge, showed that placing people in a room with an unacknowledged aroma of fart spray and a filthy desk increased the severity of their moral judgements about, say, whether it’s OK to eat your dead pet dog (Personality and Social Psychology Bulletin, vol 34, p1096)”.
If you are more easily disgusted you are the more likely to be conservative politically. (David Pizarro, CornellUniversity in Ithaca, New York).
Juries reacting with disgust leads to giving harsher sentences and clouds their judgement, more than those getting angry.
The universal triggers of disgust revealed in research by Valerie Curtis at the London School of Hygiene and Tropical Medicine, were in order; faeces, vomit, pus, spit and a variety of insects.
Disgust varies between individuals and gets less as we age. It is also possible to become less disgusted by things with continued exposure.
The ‘yuck’ response causes more problems when it is combined with our poor sense of probability and the ‘natural’ fallacy.
Food manufacturers have played on this instinct for what is natural is safer, so “leads us to underestimate the cancer-causing potential of some such products and overestimate the dangers of pesticides, clones livestock and GMOs (Behavioral and Brain Sciences, vol 28, p 531). | 2019-04-19T07:26:39Z | http://nick-hanks.co.uk/research-projects/natural-philosophy/hnindividuals/ |
More Legal Stuff | Tennessee Aircraft Services, Inc.
My October 2014 article concerned Cessna’s addition of Airworthiness Limitations (AL) to some of their legacy aircraft service manuals. My article couldn’t be completed because we did not have a ruling from FAA legal to tell us whether the new service manual section was truly mandatory in the eyes of the FAA. It took a long time, but the Letter of Interpretation has been received, and it is very interesting.
A copy of my letter of request to the FAA Office of the Chief Counsel and a copy of their letter of interpretation (LOI) is included with this article and should be fairly self explanatory.
The short version of the implication is that a manufacture cannot retroactively create a burden on an aircraft owner. The FAA can do so, in the form of an airworthiness directive, but must follow certain notification and comment period rules in advance. This is old news and we’ve dealt with it several times in regards to “current” inspection programs and manufacturers’ “mandatory” service bulletins. The difference with the AL is that they are FAA approved and specifically called out by the FAA as required in 14 CFR 91.403(c) and 14 CFR 43.16. The regulations referring to AL do not specify any time limit, so the addition of this new AL in a legacy service manual could be viewed as a way around the system.
The aviation community has a lot of precedent on which to stand showing this new AL had no real authority. Unfortunately, not having clear direction would make for a terrible mess for someone in court someday. Leaving the subject lay around unchallenged would also encourage manufacturers to use this legal side step again. I figured there had to be some way to get clarification in writing from some high authority in the FAA.
My good friend and colleague, Mike Busch, was a great help in guiding me through the process of asking the FAA legal department for a LOI on the matter. Writing such a letter was a totally new thing for me, so Mike’s experience and assistance was invaluable in creating the letter as well as knowing to whom it should be sent.
My contact at FAA legal was Ed “Skip” Alderman. I’ve had a few telephone conversations with Skip during this process and found him very approachable and helpful. When dealing with people in “high places”, I often feel a bit intimidated, but Skip eased all that tension right off the bat. It took a while to get the LOI, but the results were exactly what we’d expected and more.
An unexpected and very welcomed part of the LOI is the next to the last paragraph explaining the communication between the FAA and Cessna. I’ve not seen that Cessna has made any change to the manual yet, but maybe this LOI will assist some of our foreign owners in convincing their regulatory bodies to not view the AL as “mandatory”.
My first foray into FAA legal matters has been very educational. I know these matters don’t always turn out the way we’d like, but in this case the system worked.
I am writing your office with an urgent request for an interpretation of 14 CFR 91.403(c) which requires owners or operators to comply with mandatory replacement times and inspection intervals that are contained in an Airworthiness Limitations section (ALS) of a manufacturer’s maintenance manual or instructions for continued airworthiness. In addition, I am requesting an interpretation of 14 CFR 43.16 which requires maintenance providers comply with the same ALS as 14 CFR 91.403(c). My question specifically relates to a recent revision by Cessna Aircraft Company of their Service Manual for the Cessna 210 in which a new FAA Approved section 2B was added (titled “Airworthiness Limitations”) containing mandatory inspection intervals and component replacement times.
14 CFR 91.403(c) which reads: (c) No person may operate an aircraft for which a manufacturer’s maintenance manual or instructions for continued airworthiness has been issued that contains an airworthiness limitations section unless the mandatory replacement times, inspection intervals, and related procedures specified in that section or alternative inspection intervals and related procedures set forth in an operations specification approved by the Administrator under part 121 or 135 of this chapter or in accordance with an inspection program approved under § 91.409(e) have been complied with.
14 CFR 43.16 which reads: Each person performing an inspection or other maintenance specified in an Airworthiness Limitations section of a manufacturer’s maintenance manual or Instructions for Continued Airworthiness shall perform the inspection or other maintenance in accordance with that section, or in accordance with operations specifications approved by the Administrator under part 121 or 135, or an inspection program approved under § 91.409(e).
If a manufacturer’s maintenance manual for a small piston engine airplane is amended by the addition of an FAA approved airworthiness limitations section (ALS), are the mandatory replacement times and inspection intervals contained therein retroactively mandatory for aircraft operated prior to the publication date of the ALS, or would it require the issuance of an Airworthiness Directive to make those times and intervals retroactively mandatory for operators of such aircraft?
If you determine the ALS is retroactively mandatory to aircraft operated prior to the publication date, wouldn’t that effectively constitute a substantive rulemaking action by the FAA without benefit of the notice-and-comment procedures mandated by the Federal Administrative Procedures Act?
If you determine the addition of an ALS to a manufacturer’s maintenance manual does not make compliance with that ALS retroactively compulsory for an owner who owned the aircraft prior to the publication date ofthe ALS, then please explain what happens if the aircraft is subsequently sold. Is compliance with the ALS compulsory for the new owner?
A letter of interpretation from AGC-200 dated July 9, 2010 addressed a similar question with regard to the issuance of SIDs for the Cessna Conquest which concluded they are not retroactively mandatory unless the FAA issues an AD making them retroactively mandatory.
A difference with the questions presented herein concerning the ALS vs the Conquest SID is the maintenance manual amendment is an FAA approved ALS where SIDs are not FAA approved. Also, there is no regulation calling for compliance with SIDs but 14CFR 91.403(c) specifically does require compliance with ALS with no stated regard to whether the ALS is “current” relative to the particular subject aircraft or component.
Does the fact that the revised maintenance manual ALS is FAA approved and/or that ALS are required compliance items according to 14 CFR 91.403(c) change the application of the reasoning applied to term “current” as in the referenced letter of interpretation on the Cessna Conquest SIDs?
I found at least 3000 Cessna 210 models with the affected cantilever style wing on the US registry. The aircraft was last produced in 1986 and most are past the 3500 hour initial time limit for compliance with the ALS. If it is determined the ALS is required retroactively, then there are many aircraft flying non-compliant with the ALS due to an unaware owner group and maintenance providers. Your assistance in this matter is greatly appreciated.
This letter responds to your September 15, 2014 request for legal interpretation of 14 C.F.R. § 91.403(c) regarding whether replacement times and inspection intervals contained in an Airworthiness Limitations section (ALS) newly added to the maintenance manual or Instructions for Continued Airworthiness (ICA) by a manufacturer are mandatory for operators of an aircraft that was type-certificated and manufactured before the FAA approved the new ALS as a change to type design. On January 21, 2015, you amended your request, asking us to also address whether 14 C.F.R. § 43.16 (Airworthiness limitations) requires maintenance providers to perform inspections or other maintenance in accordance with the newly added ALS for those older aircraft. For aircraft operated under 14 C.F.R. part 91, the answer to your question is no.¹ These afteradded ALS requirements are not mandatory for operators or maintainers of the affected aircraft absent the FAA’s issuing an Airworthiness Directive (AD) or some other notice and comment rulemaking that would make them mandatory. Cessna included these new replacement times and inspection intervals in an ALS instead of in another portion of the maintenance manual where they would be more appropriate as non-mandatory procedures.
2 If the FAA finds that an unsafe condition exists in a product, the FAA issues an Airworthiness Directive (AD) under the authority of 14 C.F.R. part 39, which may require a change to the product’s type design. The AD would specify to which models the AD and any associated design changes would apply-some of the requirements could have retroactive application to earlier models. Except for emergency ADs, the FAA issues ADs under notice and comment rulemaking procedures in accordance with the Administrative Procedure Act (APA), specifically 5 U.S.C. § 553.
At issue here is Cessna’s recent addition of a new FAA-approved Section 2B (titled Airworthiness Limitations) to the Model210’s Service Manual. Because the FAA approved this change as an ALS, some would argue that the addition triggers the mandatory requirements of §§ 91.403(c) and 43.16. This argument is incorrect. The only version of an ALS that is mandatory is the version that was included in the particular aircraft’s type design that was approved by the FAA. As with the effectivity of a type design for a particular aircraft, absent an AD or other rule that would make the new replacement times and inspection intervals retroactive, Cessna’s after-added ALS is not mandatory for persons who operate or maintain the Model 210 aircraft, the design and production of which predate the new ALS addition. This is the case for all older model aircraft. For aircraft with type certificates that pre-date the requirements for an ALS, the manufacturer’s issuance of an ALS does not require operators or maintenance providers to comply with those limitations unless the FAA issues an AD or other rule to mandate it.5 Conversely, for an aircraft produced after adoption of an FAA-approved ALS revision, an operator may not operate that aircraft unless the mandatory replacement times, inspection intervals, and related procedures specified in the revision have been complied with. By the same reasoning, for those aircraft produced after the ALS revision, maintenance providers must perform inspections or other maintenance in accordance with that section.
3 Under § 21.3l(c), an ALS is part of a product’s type design.
4 Once an aircraft is produced under a type certificate, the type design of that particular aircraft is fixed in time, absent an FAA requirement to make a retroactive change, or an owner’s voluntary change (if it is approved under a method acceptable to the FAA (§ 21.95 for a minor change in type design) or if it is FAA-approved through a major change in type design(§ 21.97) or through a supplemental type certificate (SIC) (§ 21.113(b)).
5 The FAA’s requirements that Instructions for Continued Airworthiness (ICA) contain an ALS were adopted in 1980, and the Cessna Model 210 type certificate was first issued in 1959. Cessna produced the last Model 210 in 1986.
6 Along these lines, we note that on September 24, 2014, Mike Busch, the President of Savvy Aircraft Maintenance Management, Inc., published an article on the Aircraft Owners and Pilots Association (AOPA) Opinion Leaders Blog entitled “Backdoor Rule Making?,” in which he discussed the same after-added Cessna ALS matter, along with the related APA concerns. In that article, Mr. Busch notes that he co-drafted with you your September 15, 2014 request for interpretation that is the subject of this response.
To the extent it could be argued that the FAA imposed a requirement for operators and maintainers to comply with this type of after-added ALS by adopting §§ 91.403(c) and 43.16 through rulemaking, and that manufacturers’ documents simply define how the affected persons must comply, that interpretation must fail. It would violate both the statutory constraint on the FAA’s authority to delegate its rulemaking authority to private entities and the APA’s requirement for notice-and-comment procedures. If operational regulations were interpreted as imposing an obligation on operators and maintenance providers to comply with the latest revision of a manufacturer’s document, manufacturers could unilaterally impose regulatory burdens on operators of existing aircraft.
This would be legally objectionable in that the FAA does not have legal authority to delegate its rulemaking authority to manufacturers. Furthermore, “substantive rules” can be adopted only in accordance with the rulemaking section of the APA, 5 U.S.C. § 553, which does not grant rulemaking authority to manufacturers. To comply with these statutory obligations, the FAA would have to engage in its own rulemaking to mandate the manufacturer’s document, as we do when we issue ADs.
You also asked whether, even if these types of after-added ALSs are not mandatory retroactively for a person who owned the aircraft prior to the addition of the new ALS, if the current owner sells the aircraft would the new requirements be mandatory for the new owner. The answer is no, for the reasons explained above. The after-added ALS changes the type design only of aircraft produced under the changed type design. Aircraft manufacturers’ maintenance manuals and Instructions for Continued Airworthiness must be acceptable to the FAA, 7 and may be found acceptable if developed to maintain the aircraft in conformance with its type design. This necessarily means the specific type design for the aircraft at issue. Future changes, whether they be FAA-approved ALS or otherwise, cannot be retroactively enforced against owners/operators or maintenance providers of earlier model aircraft unless the FAA mandates their retroactive application by an AD or other properly adopted rule.
7 Except for the ALS, which must be FAA-approved.
8 FAA legal interpretation letter to Larry Furnas, President, Aviation Advocates, LLC, from Rebecca L. MacPherson, Assistant Chief Counsel for Regulations, dated July 9, 2010.
9 As we pointed out, this may not be the case for aircraft operated under 14 C.F.R. parts 121 or 135. For purposes of inspections, the Cessna Conquest is a large airplane described in § 91.409(e); therefore, the owner or operator must select and use one of the four inspection programs listed in§ 91.409(!). The first offuese inspection programs requires a continuous airworthiness inspection program under parts 121 or 135, which could require adoption of later-issued inspection requirements, and the second program option requires an approved aircraft inspection program approved under§ 135.419, which also could require adoption of later-issued inspection requirements.
manufacturer’s current recommended inspection program under § 91.409(±)(3) after the SID had been incorporated into the inspection program-because that would be current when adopted. Cessna Model 210 aircraft, however, unless operated under part 135 and therefore inspected under a part 135 inspection program, would be inspected in accordance with an annual or 100 hour inspection under § 9l.409(a) or (b), and the current maintenance or inspection manual or other methods, techniques, and practices acceptable to the Administrator would be applicable. To the extent the “current” maintenance manual contains the after-added ALS, using it would be acceptable, but not mandatory, as the previous revision without the new ALS would still be acceptable to the FAA-again, absent an AD or other rule that would make the new ALS retroactive and mandatory.
On February 19, 2015, the FAA’s Small Airplane Directorate sent a letter to Cessna that addressed some of the above issues, and pointed out the non-mandatory nature of the after-added ALS for the Model 210 aircraft. The FAA asked Cessna to republish the replacement times and inspections as recommendations that are encouraged, but optional, for those in-service aircraft, unless later mandated by an AD. To date Cessna has not provided a written response outlining its position on this matter.
This response was prepared by Edmund Averman and Benjamin Borelli, attorneys in the Regulations Division in the Office of the Chief Counsel, and coordinated with the Aircraft Maintenance Division (AFS-300) in the FAA’s Flight Standards Service, and with the Aircraft Engineering Division (AIR-100) in the FAA’s Aircraft Certification Service. If you have additional questions regarding this matter, please contact us at your convenience at (202) 267-3073. | 2019-04-26T09:41:16Z | https://www.tennesseeaircraft.net/2015/07/13/more-legal-stuff/ |
The Lester Prairie School District is seeking bids for Custodial Management, Custodial, Building and Grounds Services, and Health, Safety and Risk Management Services. Copies of the specs required for this project may be obtained by contacting the District, (320) 395-2521 and asking for Superintendent Mike McNulty or Alice Daak.
Bids must be received in the school business office by 1 p.m. Monday, October 18, 2010.
Published in the Herald Journal Oct. 4 and 11, 2010.
NOTICE IS HEREBY GIVEN that on Tuesday, the 19th day of October, 2010, as soon as possible after 7:00 p.m. upstairs in the Social Services wing, in the Commissioner’s Meeting Room of the Carver County Government Center, Chaska, Minnesota, the Planning Commission will hold a public hearing to consider an ordinance amending the Carver County Code and Zoning Map, including the Floodplain Overlay District.
TO: Amend Chapter 151, Subdivisions; Chapter 152, Zoning Code; Chapter 154 Sign Regulations; and the Carver County Zoning Map, including Transition Areas and the Floodplain and Shoreland Overlay Districts.
PROPOSED CHANGES: Ordinance #70-2010 would amend the County Code Chapters pertaining to Subdivisions, Zoning, Sign Regulations, and the Official Zoning Map for the unincorporated areas of the County. A significant portion of the amendments are intended to update the Zoning Code and Zoning Map to correspond with the approved 2030 Comprehensive Plan. There are also a number of text changes and reorganized sections. The proposed amendments include, but may not be limited to: simplifying or removing land dedication and park fee requirements; clarifying minor subdivision procedures; updating zoning districts and maps; updating the Floodplain and Shoreland Overlay District boundaries based on MN/DNR review and approval; addressing non-conforming uses and structures; adding or revising definitions; reducing some bluff setbacks; adding wind energy conversion system standards; allowing for the transfer of building eligibilities to non-adjacent parcels based on township approval; addressing “pick your own” roadside stands and similar operations; moving the temporary manufactured homes and mining - land reclamation sections to a new Interim Use Permit (IUP) section; adding a new Conservation Incentive section as an additional density option; adding a section providing for agricultural uses with a retail component; updating Transition Area Overlay Zone standards; and reducing the 500’ setback requirement(s) for signs near intersections.
Published in the Herald Journal Oct. 4, 2010.
PLEASE TAKE NOTICE that the Waverly Planning and Zoning Commission will hold a public hearing at 7:00 p.m. in the council chambers of Waverly City Hall on Thursday, October 21, 2010 to consider a variance request submitted by Marshall Sager for the property located at 502 Frankfort Way, Waverly, Minnesota.
The variance, if granted, would allow the construction of an 8 foot addition to the existing garage. A variation of the regulations in the Waverly Zoning Ordinance is proposed for a 22 foot front yard building setback. The addition is necessary to accommodate the parking of the applicant’s vehicle in the garage building. The existing garage is located on the setback line.
Interested parties are invited to attend the hearing in person or by agent or attorney to provide comments in favor or in opposition of the proposed variance application.
Petitions for a Conditional Use Permit as regulated in Section 610.2 of the Wright County Zoning Ordinance to allow Crossroads Church to locate in the existing building. The activities are to include Sunday services for 50-60 people, Wednesday bible study and other church meetings and related events.
Petitions for a Conditional Use Permit for a contractor’s yard to locate a landscaping business on site as regulated in Section 604.4 of the Wright County Zoning Ordinance.
Petitions for an amended Conditional Use Permit for the “Woodland Hill Winery” to allow expansion to “year-around” operations to include the following: Expand hours from Thursday-Sunday to Wednesday-Sunday and hours of operation per day to increase from 8 hrs. to 12 hrs. opening no earlier than 11 a.m. to accomodate seasonal daylight conditions and occasional special events. A maximum of 20 (per year) special events, festivals and educational demonstrations are proposed with a maximum number of people to be 375. On “normal” operating days there would be a maximum of 100 people.
Petitions for an extension of the existing Conditional Use Permit to allow mining operations to include stockpiling and hauling of gravel to continue as regulated in Section 604.4 & 727 of the Wright County Zoning Ordinance. (Action by the Planning Commission on November 13, 2008 stated that mining was to be completed by November 1, 2010 with reclamation by November 1, 2011.).
DATE AND TIME OF SALE: November 15, 2010, 10:00 a.m.
TIME AND DATE TO VACATE PROPERTY: If the real estate is an owner occupied, single-family dwelling, unless otherwise provided by law, the date on or before which the mortgagor(s) must vacate the property, if the mortgage is not reinstated under section 580.30 or the property is not redeemed under section 580.23, is 11:59 p.m. on May 16, 2011.
Published in the Herald Journal Oct. 4, 11, 18, 25, Nov. 1 and 8, 2010.
DATE AND TIME OF SALE: September 21, 2010, 10:00 a.m.
TIME AND DATE TO VACATE PROPERTY: If the real estate is an owner occupied, single-family dwelling, unless otherwise provided by law, the date on or before which the mortgagor(s) must vacate the property, if the mortgage is not reinstated under section 580.30 or the property is not redeemed under section 580.23, is 11:59 p.m. on March 21, 2011.
The above referenced sale scheduled for September 21, 2010, at 10:00 A.M., has been postponed to November 22, 2010, at 10:00 A.M., located at 3800 Braddock Avenue NE, Buffalo, MN 55313, said County and State.
If this is an owner occupied, single-family dwelling, the premises must be vacated by May 23, 2011 at 11:59 P.M.
DATE AND TIME OF SALE: November 16, 2010 at 10:00 a.m.
Unless said mortgage is reinstated or the property redeemed, or unless the time for redemption is reduced by judicial order, you must vacate the premises by 11:59 p.m. on May 16, 2011.
Published in the Herald Journal Oct. 4, 11, 18, 25, Nov. 1, and 8, 2010.
DATE AND TIME OF SALE: September 14, 2010 at 10:00 a.m.
Unless said mortgage is reinstated or the property redeemed, or unless the time for redemption is reduced by judicial order, you must vacate the premises by 11:59 p.m. on September 14, 2011.
NOTICE IS HEREBY GIVEN, that the mortgage foreclosure sale referred to in the foregoing Notice of Mortgage Foreclosure Sale has been postponed from: September 14, 2010 at 10:00 a.m. to October 19, 2010 at 10:00 a.m.
Unless said mortgage is reinstated or the property redeemed, or unless the time for redemption is reduced by judicial order, you must vacate the premises by 11:59 p.m. on October 19, 2011.
NOTICE IS HEREBY GIVEN, that the mortgage foreclosure sale referred to in the foregoing Notice of Mortgage Foreclosure Sale has been postponed from: October 19, 2010 at 10:00 a.m. to November 23, 2010 at 10:00 a.m.
Unless said mortgage is reinstated or the property redeemed, or unless the time for redemption is reduced by judicial order, you must vacate the premises by 11:59 p.m. on November 23, 2011.
ASSIGNMENTS OF MORTGAGE: Assigned to: Wells Fargo Home Mortgage, Inc., a California corporation n/k/a Wells Fargo Bank, N.A., successor by merger to Wells Fargo Home Mortgage, Inc.
DATE AND TIME OF SALE: October 19, 2010 at 10:00 a.m.
Unless said mortgage is reinstated or the property redeemed, or unless the time for redemption is reduced by judicial order, you must vacate the premises by 11:59 p.m. on April 19, 2011.
Unless said mortgage is reinstated or the property redeemed, or unless the time for redemption is reduced by judicial order, you must vacate the premises by 11:59 p.m. on May 23, 2011.
DATE AND TIME OF SALE: October 4, 2010, 10:00 a.m.
TIME AND DATE TO VACATE PROPERTY: If the real estate is an owner occupied, single-family dwelling, unless otherwise provided by law, the date on or before which the mortgagor(s) must vacate the property, if the mortgage is not reinstated under section 580.30 or the property is not redeemed under section 580.23, is 11:59 p.m. on April 4, 2011.
The above referenced sale scheduled for October 4, 2010, at 10:00 A.M., has been postponed to November 4, 2010, at 10:00 A.M., located at 3800 Braddock Avenue NE, Buffalo, MN 55313, said County and State.
If this is an owner occupied, single-family dwelling, the premises must be vacated by May 4, 2011 at 11:59 P.M.
LENDER: Acoustic Home Loans, Inc.
ASSIGNMENTS OF MORTGAGE: Assigned to: Bank of America, National Association as successor by merger to LaSalle Bank National Association, as Trustee for Certificateholders of Bear Stearns Asset Backed Securities I LLC, Asset-Backed Certificates, Series 2005-HE7; Dated: September 20, 2010.
DATE AND TIME OF SALE: November 16, 2010, 10:00 a.m.
LEGAL DESCRIPTION OF PROPERTY: That part of Government Lot 2, Section 20, Township 120, Range 25, Wright County, Minnesota, described as follows: Commencing at the southwest corner of said Government Lot 2; thence on an assumed bearing of North 00 degrees 18 minutes 50 seconds West along the west line of said Government Lot 2, a distance of 489.03 feet; thence South 82 degrees 07 seconds 23 minutes East, a distance of 157.79 feet; thence south 03 degrees 52 minutes 07 seconds West, a distance 25.00 feet, thence South 82 degrees 05 minutes 24 seconds East, a distance of 70.50 feet; thence south 82 degrees 34 minutes 34 sconds East, a distance of 69.46 feet; thence South 82 degrees 20 minutes 01 seconds East, a distance of 79.79 feet to the actual point of beginning; thence South 82 degrees 28 minutes 06 seconds East, a distance of 60.07 feet; thence North 17 degrees 58 minutes 42 seconds East, a distance of 213.00 feet, more or less, to the shoreline of Lake Pulaski; thence Northwesterly along the said shoreline, a distance of 59.0 feet, more or less, to a line bearing North 17 degrees 57 minutes 53 seconds East from the point of beginning; thence South 17 degrees 57 minutes 53 seconds West along the said line, a distance of 221.0 feet, more or less, to the point of beginning.
DATE AND TIME OF SALE: November 30, 2010 at 10:00 a.m.
Unless said mortgage is reinstated or the property redeemed, or unless the time for redemption is reduced by judicial order, you must vacate the premises by 11:59 p.m. on May 31, 2011.
LEGAL DESCRIPTION OF PROPERTY: That Part of Lot Eight, Block three, Barthel’s Industrial Park, Wright County, Minnesota, lying east of the following described line. Beginning at a point on the South line of said Lot Eight, distant forty-seven point seventy feet West of the southeast corner of said Lot Eight; thence North to a point on the North line of said Lot Eight, distant forty-eight point ten feet West of the Northeast corner of said Lot Eight.
DATE AND TIME OF SALE: November 22, 2010, 10:00 a.m.
TIME AND DATE TO VACATE PROPERTY: If the real estate is an owner occupied, single-family dwelling, unless otherwise provided by law, the date on or before which the mortgagor(s) must vacate the property, if the mortgage is not reinstated under section 580.30 or the property is not redeemed under section 580.23, is 11:59 p.m. on May 23, 2011.
Commencing at the Southeast corner of said GOVERNMENT LOT 3; thence on an assumed bearing of North 00 degrees 12 minutes 23 seconds East along the East line of said GOVERNMENT LOT 3, a distance of 2062.50 feet; thence South 88 degrees 45 minutes 37 seconds West, a distance of 181.50 feet; thence South 17 degrees 50 minutes 14 seconds West, a distance of 196.43 feet; thence South 48 degrees 14 minutes 42 seconds East, a distance of 36.38 feet to a point hereinafter referred to as Point “A”; thence South 17 degrees 25 minutes 37 seconds West, a distance of 66.00 feet to the point of beginning of the line to be described; thence continue South 17 degrees 25 minutes 37 seconds West, a distance of 38.81 feet; thence 228.66 feet Southeasterly on a tangential curve concave Easterly, having a radius of 250.00 feet and a central angle of 52 degrees 24 minutes 18 seconds; thence South 34 degrees 58 minutes 41 seconds East, tangent to said curve, a distance of 244.45 feet; thence 122.82 feet Southeasterly on a tangential curve concave Westerly having a radius of 200.00 feet and a central angle of 35 degrees 11 minutes 04 seconds to the West line of the East 33.00 feet of said GOVERNMENT LOT 3; thence South 00 degrees 12 minutes 23 seconds West, tangent to said curve, along said West line, a distance of 1214. 03 feet to the South line of said GOVERNMENT LOT 3 and said line there terminating.
That part of GOVERNMENT LOT 1 of Section 25, Township 120, Range 25, Wright County, Minnesota, that lies Northwesterly of the following described line.
DATE AND TIME OF SALE: October 5, 2010 at 10:00 a.m.
Unless said mortgage is reinstated or the property redeemed, or unless the time for redemption is reduced by judicial order, you must vacate the premises by 11:59 p.m. on April 5, 2011.
NOTICE IS HEREBY GIVEN, that the mortgage foreclosure sale referred to in the foregoing Notice of Mortgage Foreclosure Sale has been postponed from: October 5, 2010 at 10:00 a.m. to November 8, 2010 at 10:00 a.m.
Unless said mortgage is reinstated or the property redeemed, or unless the time for redemption is reduced by judicial order, you must vacate the premises by 11:59 p.m. on May 9, 2011.
DATE AND TIME OF SALE: November 19, 2010 at 10:00 a.m.
Unless said mortgage is reinstated or the property redeemed, or unless the time for redemption is reduced by judicial order, you must vacate the premises by 11:59 p.m. on May 19, 2011.
MORTGAGEE: Norwest Mortgage, Inc., a California Corporation, n/k/a Wells Fargo Bank, N.A., successor to merger by Wells Fargo Home Mortgage, Inc.
LEGAL DESCRIPTION OF PROPERTY: DESCRIPTION OF PROPERTY: That part of Government Lot 2 of Section 4, Township 120, Range 26, Wright County, Minnesota described as follows: Beginning at the southeast corner of Lot 11, Sunset View Addition, according to the plat thereof of record and on file in the Office of the County Recorder, Wright County, Minnesota; thence southeasterly along the southeasterly extension of the easterly line of said Lot 11, a distance of 20.00 feet; thence southwesterly deflecting 61 degrees 10 minutes right, a distance of 48.00 feet; thence southeasterly deflecting 103 degrees left, a distance of 63.54 feet to the intersection of said southeasterly extension line of the easterly line of said Lot 11; thence southeasterly along said southeasterly extension line, a distance of 60.21 feet; thence southwesterly parallel with the southerly line of said Lot 11, a distance of 148 feet more or less to the shoreline of Maple Lake; thence northwesterly along said shoreline, a distance of 152 feet more or less to the southerly line of said Lot 11; thence northeasterly along said southerly line, a distance of 158 feet more or less to the point of beginning.
Subject to and together with a 10.00 foot driveway easement over that part of Government Lot 2 of Section 4, Township 120, Range 26, Wright County, Minnesota, the centerline of said easement is described as follows: Commencing at the southeast corner of Lot 11, Sunset View Addition, according to the plat thereof of record and on file in the Office of the County Recorder, Wright County, Minnesota; thence northeasterly at a right angle to the easterly line of said Lot 11, a distance of 14.40 feet to the actual beginning of said centerline to be described; thence southerly deflecting 128 degrees 29 minutes 05 seconds right, a distance of 43.55 feet; thence southerly deflecting 14 degrees 30 minutes left, a distance of 16.00 feet; thence southerly deflecting 20 degrees left, a distance of 12.00 feet; thence southeasterly deflecting 23 degrees 07 minutes 43 seconds left, a distance of 12.20 feet; thence southeasterly deflecting 6 degrees 28 minutes 49 seconds left, a distance of 22.39 feet; thence southeasterly deflecting 10 degrees 18 minutes 25 seconds left, a distance of 33.42 feet; thence southeasterly deflecting 4 degrees 04 minutes 24 seconds left, a distance of 67.00 feet, said centerline terminating thereat.
DATE AND TIME OF SALE: December 7, 2010 at 10:00 a.m.
Unless said mortgage is reinstated or the property redeemed, or unless the time for redemption is reduced by judicial order, you must vacate the premises by 11:59 p.m. on June 7, 2011.
7. Legal Description of the mortgaged premises: The Northeast 1/4 of the Southwest 1/4 of Section 22, Township 122, Range 26, lying South of State Highway, Wright County, Minnesota.
Together with existing or subsequently erected and affixed buildings, improvements and fixtures; all easements, rights of way, and appurtenances; all water, water rights, watercourses and ditch rights (including stock in utilities with ditch or irrigation rights); and all other rights, royalties, and profits relating to the real property, including without limitation all minerals, oil, gas, geothermal and similar matters.
8. The physical street address, city and zip code of the mortgaged premises: 2575 143rd Street Northwest, Monticello, Minnesota 55362.
9. The person holding the Mortgage is not a transaction agent as defined in Minn. Stat. 58.02., subd. 30.
10. The requisites of Minn. Stat. § 580.02 have been satisfied. The holder of the Mortgage has complied with all conditions precedent to acceleration of the debt secured by the Mortgage and foreclosure of the Mortgage, and all notice and other requirements of applicable statutes.
11. The original principal amount secured by the Mortgage was $435,000.00.
12. At the date of this notice the amount due on the Mortgage, and taxes, if any, paid by the holder of the Mortgage is $387,909.08.
13. Pursuant to the power of sale in the Mortgage, the Mortgage will be foreclosed, and the Mortgaged Premises will be sold by the Sheriff of Wright County at public auction on November 17, 2010 at 10:00 A.M., at the Wright County Sheriff’s Office 3800 Braddock Avenue Northeast, Buffalo, Minnesota 55313.
14. The time allowed for redemption by Mortgagor or Mortgagor’s personal representatives or assigns is SIX (6) MONTHS after the date of sale.
15. Minn. Stat. 580.04(b) provides, “If the real estate is an owner-occupied, single family dwelling, the notice must also specify the date on or before which the mortgagors must vacate the property if the mortgage is not reinstated under section 580.30 or the property redeemed under section 580.23. If this statute applies, the time to vacate the property is 11:59 p.m. on May 17, 2011.
16. THE TIME ALLOWED BY LAW FOR REDEMPTION BY THE MORTGAGOR, THE MORTGAGOR’S PERSONAL REPRESENTATIVES OR ASSIGNS, MAY BE REDUCED TO FIVE WEEKS IF A JUDICIAL ORDER IS ENTERED UNDER MINNESOTA STATUTES, SECTION 582.032 DETERMINING, AMONG OTHER THINGS, THAT THE MORTGAGED PREMISES ARE IMPROVED WITH A RESIDENTIAL DWELLING OF LESS THAN 5 UNITS, ARE NOT PROPERTY USED IN AGRICULTURAL PRODUCTION, AND ARE ABANDONED.
LEONARD, O’BRIEN, SPENCER, GALE & SAYRE, LTD. | 2019-04-23T03:06:17Z | http://herald-journal.com/government/publicnotices/2010/hj100410.html |
After last weekend’s ascent of Fraser’s Hill, the R@SKLs opted for a route where the only climbing required was over the bridge across the South Klang Valley Expressway (SKVE), and over the bridge across the Langat River.
Well, that was the plan. A plan that was later amended – see below.
Alfred wins the prize again for being the most eager R@SKL. He was at our starting point, Restoran BR Maju, at 6.15am.
By the appointed start time of 7.15am, we had a peloton of twenty five.
The day had started out wet in many parts of KL. The rain had already passed over Kota Kemuning, so we had cool and dry conditions. 22°C / 72°F at the start.
It took a while for the group to get organized on the road. We regrouped after crossing the SKVE.
Then it was onto the very pleasant backroads through Kampung Seri Cheeding.
As you would expect of a group of twenty five, we soon split into smaller groups. Namely the insane and very fast, the slightly mad and moderately fast, and the mentally balanced and reasonably paced.
So it was no surprise that there were time gaps between the groups as we arrived in Morib.
We all got there safely though.
Top of mind for everyone was food and drink. This being the fasting month, all the stalls at the beachside food court were closed. So we went to the small food shop across the road and next to a temple.
It was still relatively cool when we got going again forty minutes later. 27°C / 81°F. We were blessed with very nice cycling weather.
10km / 6mi later we were at the T-junction with Jalan Bukit Jugra. There are two lighthouses on Bukit Jugra: a colonial era tower, and a shorter 25 metre concrete tower built in 1976, with lighting systems to facilitate navigation in the Straits of Melaka. The lighthouses stand out in clear relief against the sky.
It is 1km / 0.6mi from the base of the hill to the lighthouses. Including the not insignificant matter of 109 meters / 358 feet of elevation. It is a climb with gradients that hit 20% in places.
Hence, the answer to the question above is invariably “no,” and we turn right at the T-junction, away from the hill.
This time we turned left at the T-junction. Initially as a joke. Having ridden the 1.5km / 1mi to the base of the hill, some decided that, since they were there, that they might as well give the climb a go.
Others waited in the shade.
Where they were entertained by Meng’s trials with his tire.
Those who rode up to the lighthouses were rewarded with the sweeping views over the Langat River. And sore legs!
The descent was negotiated with great care. Rims and brake discs were very hot by this point.
We had about 40km / 25mi left to ride back to Kota Kemuning. The group stayed together for most of that distance, pedalling at an average of just below 30kph / 18.6mph.
Once we got to Rimbayu, the faster riders pulled ahead, and the group got stretched out over the last 5km / 3mi. The lone casualty was Kelin, who got lost. When he called for directions, I hindered rather than helped him. I misunderstood where he was, and gave him directions that sent him off on a course that took him further from, rather than closer to, Restoran BR Maju.
As is often the case, Daniel came to the rescue.
We all enjoyed the ride, the weather (although it was pushing 34°C / 93°F when we finished), and the company.
More importantly, Alfred accomplished his first 100km / 62mi ride. Congratulations Alfred! Here is your next challenge.
Posted in Cycling in Malaysia and tagged Jugra, Kampung Seri Cheeding, Langat River, Morib, Restoran BR Maju, Rimbayu, SKVE. Bookmark the permalink.
38km / 23.6mi from, and 1,200 meters / 3,937 feet higher than Kuala Kubu Bharu (KKB).
The weather forecasts from Weather Underground, Dark Sky, Accuweather, Yahoo etc. were unanimous. Thunderstorms were coming to Fraser’s Hill.
A quick 5.00am WhatsApp conversation decided the issue. The R@SKLs would be badass. The ride was on.
Alfred was knocking on the door of this coffee shop in KKB at 6.25am.
As the rest of us were driving to KKB, we passed Daniel, who rode from his home. He had a bit more than a 60km / 37mi warmup, before the 30km / 18.5mi climb up Fraser’s Hill. That was not enough to tire him out. After getting to the summit, he rode back down to the slower riders and proceeded to push them up the hill.
Daniel cemented his Superman status later in the ride – see below.
Twenty of us rolled up the road from KKB.
The lake at the Sungai Selangor Dam.
Part One of the climb is to get to The Gap. The Gap used to be the point where the two-way road became a one-way road for the final 8km to Fraser’s Hill. Traffic went up on even hours and came down on odd hours. If you missed the gate time at the Gap you waited at the Gap Resthouse.
It was closed for renovations and never reopened.
The Clock Tower shot was particularly sweet for Alfred and Leonard. It was their first time riding up to Fraser’s Hill.
We are in the middle of Ramadan. The oddly named Restoran D’Olio (Oil Restaurant) was the only eatery in the vicinity of the Clock Tower that was open. Actually it was barely open. Everyone had to wait for about thirty minutes for the kitchen to fire up.
You wouldn’t have guessed it by how quickly the food was gulped down, but reports are that it wasn’t worth the wait.
There is a bridge over a ravine about 5km / 3mi into the descent. A good place for a last set of photographs before the non-stop ride back to KKB.
About 7km / 4.5mi from Kuala Kubu Bharu, there is a lay by overlooking the lake behind the Sungai Selangor Dam. Someone had dumped a litter of puppies there. Being puppies, they were gamboling along the side of the busy road connecting KKB and Teranum, near Raub. We tried, with limited success, to usher the puppies off the road shoulder and onto the grass.
On the way back down, Luanne, Tomoe, Chen Li, Daniel and a few others went looking for the puppies. They found two. Superman Daniel carried one in the front of his jersey.
Luanne delivered the two puppies to the Paws Animal Welfare Society. Fingers crossed that they get adopted.
Three rides. Three rear tire punctures. Perhaps we need to buy Simon a protective charm. Thank you Meng for getting Simon back on the road.
So much for the accuracy of the weather forecasts.
The fun didn’t stop with the ride. Some of us met up in the evening at Via Pre Italian Restaurant for coffee, dessert, and sake. An excellent end to an excellent day.
Posted in Cycling in Malaysia and tagged Clock Tower, Fraser's Hill, Kuala Kubu Bharu, Paws Animal Welfare Society, Restoran D'Olio, Sungai Selangor Dam, The Gap, Via Pre Italian Restaurant. Bookmark the permalink.
As I recharged various devices after the Genting Sempah night ride, I was struck by how “e” cycling has become.
It wasn’t that long ago that bike lights were powered by AA or AAA batteries, and cycling computers were powered by coin batteries. These days lights and cycling computers are rechargeable. As are an increasing number of other cycling gadgets.
We are becoming increasingly e-dependent. The most important items to pack for a weekend cycling trip might just be some USB cables and a multiport USB power adapter.
Posted in Cycling in Malaysia, Gear and Tools and tagged Battery, Device, Electronic, USB. Bookmark the permalink.
How to Carry a Mobile Phone, Cash, etc. on a Ride?
The list of items one should carry on a bike ride, in addition to water, and perhaps food, is quite extensive. A spare tube, tire levers, patches, multi-tool, hand pump and / or CO2 canister and inflator, mobile phone, cash, credit card, ATM card, identification card, and insurance card.
Having decided what needs to come with you on a bike ride, you need to figure out how to carry it all.
The Velominati rules currently number 95. The first of which is Obey The Rules.
Rule #29 Regular readers have seen many photographs of my bikes, all showing a saddle bag or seat roll attached.
Rule #30 Two years ago I wrote a post about the pump I use. I still carry a Lezyne Pressure Drive, attached to a bracket fixed to the frame.
Rule #31 I carry a spare tube, tire levers, patches, and multi-tool in my current favorite seat roll, the Silca Seat Roll Premio.
So much for the Velominati rules then.
Not having the items needed to fix a flat tire in my jersey pockets means that they are available to carry the rest of the stuff in the list at the top of this post. These are all small items that require a case to keep them together and secure.
For a couple of years I have used a Rapha Essentials Case.
The case fits my iPhone 6. There is an inner sleeve pocket for cards and cash, and on the opposite side there a zippered pocket for coins. I put my car keys in that zippered pocket too.
At 155mm x 100mm, and about 30mm thick when filled with my stuff, the Essentials Case fits nicely into the center pocket of my jersey, without making me look like a camel.
Rapha says you can get an inner tube and multi tool in there too. I haven’t tried. That extra stuff would make the case too bulky for my liking.
Last Christmas the Essentials Case was augmented by the Bellroy x MAAP All-Conditions Phone Pocket. This is a most excellent present from my son Arif.
The Bellroy x MAAP case, at 156mm x 92mm, is slightly narrower than the Rapha case. Still roomy enough for the iPhone 6. The All-Conditions Phone Pocket has two internal pockets for cards and cash.
The Bellroy website says that the inner pockets can hold coins and keys as well. Just note that those pockets do not have zips, so heavier objects like coins and keys can fall out unexpectedly.
The All-Conditions Phone Pocket is my prefered case. Mostly because the case looks great sitting on a table during café stops.
The Essentials Case still gets the nod when I need to carry car keys. The thinner, more flexible leather, and the zippered inner pocket, accomodate keys and a fob that the All-Conditions Phone Pocket cannot.
So I roll with a pump on the frame, puncture repair items in a seat roll, and mobile phone, cash, cards, and keys when necessary, in a case.
Infinitely preferable to this alternative.
Posted in Cycling in Malaysia, Gear and Tools and tagged Bellroy x MAAP All-Conditions Phone Pocket, Lezyne Pressure Drive, Rapha Essentials Case, Rule #29, Rule #30, Rule #31, Silca Seat Roll Premio, The Rules, Velominati. Bookmark the permalink.
After the santai (relaxed) turned bantai (thrashed) ride of the day before, some of us were dubious about attempting a round-the-island ride. Following the CFAL route to the south-east, south-west, and north-west corners of the island, before heading east back to George Town, had been the original plan when this Tien Hotel Residence getaway to Penang was first mooted. Now we wondered if it would be a bit more than we could handle, given the exertions of the previous day.
However, the die was cast. We had invited some Penangites to ride with us, and they were on the doorstep at 7.45am, expecting to replicate the 80km / 50mi CFAL route. So nine R@SKLs and six Penangites posed in front of the Tien hotel before following our three guardian angels – we had retained the same three young men from the day before – out to Pengkalan Weld and then to Tun Dr. Lim Chong Eu highway.
This time we covered 12km / 7.5mi before having to stop for a mechanical problem. This time to reseat Simon’s rear tire. It is a mystery how, but a section of the bead had separated from the rim. Fortunately we had CK with us. The man from Pegasus Cycles soon had Simon’s wheel sorted out.
Our next stop was intentional. Kampung Tengah was 25km / 15.5mi into our ride. We stopped to regroup there because Kampung Tengah is at the base of Bukit Genting.
Everyone agreed that the 2km / 1 mi climb up Bukit Genting was easier than we had anticipated.
As we came off the relatively fast descent – more than 50kph / 31mph in places – we had to drop anchors and cut speed in time for the sharp left turn at the bottom of the hill onto Jalan Sungai Nipah. The day before, we had continued north, straight on Jalan Balik Pulau to the food court.
This time we headed south to Kampung Bakar Kapur and the coast. That was the closest we would come to the sea until we got to Teluk Bahang, in the north-west of the island, about 25km / 15.5mi away.
But that would be later. It was first time for some food. I wouldn’t have known this was a restaurant. It is a good thing we had locals riding with us.
Highlights of this meal, apart from the noodles, were the home-made soya bean milk and nutmeg juice drinks. Nutmeg juice is a unique Penang speciality.
Fed and watered, we made the straight run northward to Sungai Pinang in quick time.
We regrouped at the 玄龙双祝宫 temple, which Google translates as Xuanlong Double Wish Palace.
As you may have guessed, our local guides stopped at the temple because it is at the base of the climb up Jalan Teluk Bahang. A 5km / 3mi winding route that rises 255 meters / 837 feet.
We got ourselves to the top of the climb, which wasn’t as bad as we had anticipated.
The run down to the Teluk Bahang Dam would have been much more fun if the road hadn’t been littered with leaves, small branches, sand and mud. It had rained very hard the previous night, and a lot of debris had been washed onto the road. Descending with extra care was required.
We wanted to take our bikes with us through the security post at the dam, but that was a non no. So it was just us at the water’s edge, showing off our better sides.
We made our last stop at Restoran K-Haleel, just after the roundabout at the bottom of the descent from the dam. It was a good place to stop for a drink, and to thank our newfound local friends for their hospitality and guidance. Most of them were not going all the way back into town. Instead heading their own ways to get home.
There were just over 20km / 12.5mi to go. Most of it rolling terrain as we hugged the coast through Batu Ferringhi and Tanjung Tokong. Once we got to Gurney Drive we had a flat 5km / 3mi to the Tien hotel.
Six of us were 3 km / 1.8mi from the hotel when word came through, via walkie-talkie to the guardian angel with us, that Pai had suffered a puncture. Once again, it was CK to the rescue.
Inner tube replaced, Pai and the rest soon rolled around the corner where we were waiting, and we had no further interruptions as we wound our way through town to the hotel.
It was then a case of replaying the post ride activities of the previous day. Showers, hanging kit up to dry, napping, and eating and drinking. Plus loading bicycles and bags into the repaired van for the trip back to Pegasus Cycles.
All too soon, our boutique hotel / cycling getaway was over. We owe a large debt of gratitude to TH and the staff at the Tien Hotel Residence for making our stay such a nice one. We are already planning to stay there again during our next Penang trip. CFAL 9 is on 13th August.
Posted in Cycling in Malaysia and tagged Batu Ferringhi, Bukit Genting, Pegasus Cycles, Penang, Teluk Bahang, Tien Hotel Residence. Bookmark the permalink.
The R@SKLs crawled or bounced out of bed, depending on how much wine and beer had been consumed the night before. Freshly-baked bread, jam, juice, yogurt, fresh fruit, and coffee were waiting in the communal kitchen / dining area.
The plan for the day was a gentle ride of between 30 to 40km / 18 to 25mi, interrupted at regular intervals for food and drink. The estimated time of arrival back at the hotel was 11am. What transpired was a little different.
We were all ready to roll at about 8am.
I mentioned in the Prelude post that we would do this ride in style. We hired these three fine young men to accompany us on their scooters and motorbikes. Armed with whistles, flags, and walkie-talkies, they stopped traffic at junctions and intersections, and rode between the traffic and us on multi-lane highways, so ensuring that we were safe during our ride. They were our guardian angels over the weekend. Thank you gentlemen.
We spent the first kilometer of the ride looking for somewhere to have a second breakfast. Clearly, the breakfast at the hotel was merely a snack to tide us over whilst we searched for a proper breakfast.
We didn’t get far after the roti canais and teh tariks. Simon had a puncture within the next kilometer. Some of us were up the road, so there were only Leonard, Kevin and Kelin to stand around and watch Simon and CK replace an inner tube.
We got an early taste of Penang’s bike paths. There is an annual cycling event organized by the Campaign For A Lane (CFAL), that raises funds for the creation of bike paths and bike lanes. CFAL has been running for about a decade, and the results are visible all around the island.
After our stint on the bike path we were on the Tun Dr. Lim Chong Eu highway, riding toward the Sultan Abdul Halim Muadzam Shah Bridge. This bridge, Malaysia’s longest, opened in early 2014. It is the second bridge linking Penang to the mainland.
If we had known better, we would have retraced our track from here, and been back at the hotel, and out of the sun, by 11am. As most of us expected.
Instead we continued on to Bayan Lepas airport, and beyond. We all agreed that Kapitan Simon was to blame for this. We are sure he misled our guardian angels into thinking that we all wanted to ride further. So they took us on a longer route.
Just after the right turn onto Jalan Permatang Damar Laut, at the southern tip of the island, TH had a puncture. It was about 10am. The sun was bright and it was already 32°C / 90°F. A group of us waited in the only shade we could find as TH replaced his inner tube.
Fifteen minutes later we were all rolling again toward Teluk Kumbar, where we turned right. We were now cycling north and starting to climb up Bukit Genting. Those of us who had ridden CFAL in the past were familiar with this climb.
Once down the other side, it was time for more food. A stall in the Balik Pulau Food Court is famous for its asam laksa.
The guys had to settle for koay teow soup instead.
So some of the guys had seconds. Asam laksa on top of the koay teow soup. A decision that would rise up, so to speak, to haunt at least one person.
All smiles at this point, as we left the Balik Pulau Food Court.
Literally 500 meters from where we took the photo above, the road started tilting up, and up, and up. It was 5km / 5mi to Anjung Indah, with gradients touching 10% and more. This was allegedly a shortcut back to the hotel. Give me the longer way next time!
This was the last 20 meters of what is one of the hardest climbs any of us have done.
We stopped where the junction with a side road offered some extra tarmac where we could safely get off our bikes. As you can see from the photos, the sun was directly overhead. So we sought refuge in some shade across the road. Pretty much in a drain.
Which would have been convenient if that asam laksa had erupted up and out of someone’s stomach!
If we had known that there were fruit and drinks stalls 300 meters up the road, we would have kept going, rather than stop where we did. Although I must admit, that is easy to say now. We were on the limit at the time.
After all the cursing about the climb while recovered beside the drain, smiles were restored when we discovered durian at the fruit stalls.
Treasurer Heng Keng thought that he might have to make a cash call, given the amount of durian consumed. Especially by some guy in pink from Taiwan!
We still had 23km / 14mi to get back to the Tien hotel. With 8km / 5mi of that along the unshaded Tun Dr. Lim Chong Eu highway.
By the time we got back into George Town it was about 2pm. We were boiling. Cendol was called for. There is a very well-known cendol stall on Lebuh Keng Kwee, which goes by the less-than-modest name of Penang Road Famous Teochew Chendol. The queue for their cendol is always long – see below.
Some locals say that the cendol from the stall across the road is, in fact, better. We opted for that much less-crowded stall. Some of us had two bowls of cendol, and we were on our way before the people at the end of the queue for the “Famous” cendol had been able to place their orders.
Just one more kilometer, and we were back in the air-conditioned comfort of the Tien hotel. Most of us jumped into showers. Some took another option.
All of us did turn the rooftop pool deck into a dobi, or laundry. Open dividers, which had obviously been designed with considerable thought and care, became excellent places to hang wet cycling kit.
Some of us took naps. Some went for a massage. Some indulged in the nyonya cakes and bubur kacang merah (red bean soup) that were laid out in the hotel dining area.
Cyclists that we are, we had all done the maths, and had determined that, despite all we had eaten already, there were still calories to be replaced – see I Am Sure I’ve Earned That Second Roti Canai. We were ready for more food.
Dinner was at Yi Bing Qing Fish Head Steamboat. Yi Bing Qing is a big name when it comes to steamboat restaurants in Penang. So good that Leonard paused to give thanks at the altar of the steamboat chimney.
In all seriousness, the steamboat was delicious.
With that meal, Day One was a wrap. There was, allegedly, a party that night up in the lounge / bar area of the hotel.
Allegedly. If there was a party, I slept through it.
Posted in Cycling in Malaysia and tagged Anjung Indah, Asam Laksa, Balik Pulau, Bayan Lepas, Bukit Genting, Cendol, CFAL, Penang, R@SKLs, Tien Hotel Residence, Tun Dr. Lim Chong Eu highway. Bookmark the permalink.
Penang is noted for its food, its beaches, its street art, and its bicycle lanes. The Tien Hotel Residence will soon join that list.
Fellow R@SKL TH Lim has been converting what was the Sky budget hotel into a swankier boutique hotel. Here he is in the upstairs lounge / bar area.
The Tien Hotel Residence will open its doors to the public soon. TH invited the R@SKLs for a “shakedown” stay at the Tien. He wanted feedback from us so that any kinks could be ironed out before the official opening.
Eight of us jumped at the chance to be the first guests at a very nice boutique hotel located in the historic center of George Town. We did everything in the style befitting our accommodation.
Starting with transporting our bicycles. We hired an eighteen-seater van and driver to get our bikes to Penang and back. Nine bicycles (including TH’s bike) and our bags went into the van, with room to spare.
The eight of us met at Sultan Abdul Aziz Shah Airport on Friday evening for the short flight to Penang. Some beers were needed to calm the nerves after some of us had endured stressful journeys to the airport through particularly bad KL traffic.
Malindo Air got us to Penang on time.
We each got a guided tour of our rooms upon arrival. The rooms have everything you would expect from a boutique hotel, plus a few extras. Along with the standard power sockets, the rooms also have USB sockets. So mobile, Garmin, headphones etc. charging cables can be plugged into the sockets without the need for separate chargers. There is also a wall-mounted HDMI port so you can stream A/V from a portable device to the curved screen television. Lastly, the shower head has a built-in Bluetooth speaker. What is really neat about the Bluetooth speaker is that it is powered by the flow of water through the shower head. Eco-cool!
I did say Penang was noted for its food. Given the Tien hotel’s location in the foodie area of George Town, we didn’t have far to walk for excellent street food. Char kway teow, popiah, wanton mee, oyster omelette, apom manis and lok lok. We had it all.
Simon and Pai were spoiled for choice at the lok lok stall.
After dinner our minds turned to our bicycles. The van was supposed to arrive between 9 and 10pm. We had been told that the van would be delayed. This is why.
Posted in Cycling in Malaysia and tagged George Town, Penang, R@SKL, Tien Hotel Residence. Bookmark the permalink. | 2019-04-22T02:26:15Z | https://alchemyrider.me/2017/06/ |
Hosea 4:6 My people are destroyed for lack of knowledge: because thou hast rejected knowledge. 2 Peter 1:2 Grace and peace be multiplied unto you through the knowledge of God and our Lord Jesus Christ. Hebrews 11:6 But without faith it is impossible to please Him, for he who comes to God must believe that He is, and that He is a rewarder of those who diligently seek Him. Luke 10:16 He who hears you hears Me, he who rejects you rejects Me, and he who rejects Me rejects Him who sent Me.
Deuteronomy 30:19 I call heaven and earth as witnesses today against you, that I have set before you life and death, blessing and cursing; therefore choose life, that both you and your descendants may live; Proverbs 18:21 Death and life are in the power of the tongue, And those who love it will eat its fruit.
Most of the time God heals us like peeling an onion. He does this by one layer at a time. Healing is based on our beliefs (faith) and receiving of the Divine Power of God. This was released all over creation under the atonement of Jesus Christ over two thousand years ago. God has already provided everything for us and we have to learn how to receive this and to retain it. It's by faith that you receive healing from God. This is what Jesus said to the two blind men that wanted to be healed. Jesus said in Matthew 9:27-30 When Jesus departed from there, two blind men followed Him, crying out and saying, “Son of David, have mercy on us!” 28 And when He had come into the house, the blind men came to Him. And Jesus said to them, “Do you believe that I am able to do this?” They said to Him, “Yes, Lord.” 29 Then He touched their eyes, saying, “According to your faith let it be to you.” 30 And their eyes were opened. They were instantly healed according to their faith.
God sent Jesus (His Word) to heal us. Psalm 107:20 God sent His Word and healed them, And delivered them from their destructions. Matthew 8:17 “He (Jesus) Himself took our infirmities And bore our sicknesses.” 1 Peter 2:24 who Himself bore our sins in His own body on the tree, that we, having died to sins, might live for righteousness—by whose stripes you were healed. Did you notice that this scripture is written in past tense? That by His stripes you've already been healed? Think about that. You have to control your sin and be quick to repentance to stay well. This will keep sickness and diseases away but it takes some time to start working in you. Remember what Jesus told the man that He healed in John 5:14 Afterward Jesus found him in the temple, and said to him, “See, you have been made well. Sin no more, lest a worse thing come upon you.” See, how sin and sickness work together? Now you know what to do. Keep living in the now. Forgive all and especially yourself. Quit having regrets and feeling guilty about many things. Make sure that you give them to Jesus each and every day.
Most of the church does not teach healing because they don’t want their flock to think that it's their own fault for not being healed when it does not come to pass. If people are not healed they fall into discouragement, get hurt and don’t try anymore. Some of these people will place blame on the minister and others place the blame on God. They usually never blame themselves for not being healed. I have even heard many ministers say that they don’t know why God did not heal them. If these ministers truly knew the Word of God they would understand that God has already healed all that will receive and its Gods will for all to live in health, just as He says in 3 John 1:2.
This is where most of the church has failed because of their theology and religion. This has made the Word of God of none effect like God says in Mark 7:13. I have taught this to many people over the years and have had tremendous results, Praise God. Many of these people have been ministers that had been preaching for many years and they had their eyes opened. The truth has set them free.
The church and its leaders must open their hearts so they can see the truth and know that every person that needs healing has to have a personal and individual approach. I have found by experience that most healing will not come completely until the reason for their own individual pain and hurts is exposed and brought to the surface. If you cannot do this, then find a Spirit filled minister to help you or contact this ministry. This can be done through the Holy Spirit that gives the man or woman of God the discernment and truth of this person. Then when this person realizes that this minister knows the truth and that this could only come from God because no one else knows, then they are led to forgiveness and repentance. This will release the rights that the devil has had on you. That has placed torment on. That has placed sickness and diseases upon you. Once this has occurred then and only then can we use our God given authority (Luke 10:19) to bind up and to cast out these demonic spirits, thus allowing healing to occur. Now some people just need to be prayed for their specific needs in healing and they will receive instant healing but most need more than that.
We need to ask ourselves just what did Jesus do most of the time while on this earth. Let’s look in Acts 10:38 how God anointed Jesus of Nazareth with the Holy Spirit and with power, who went about doing good and healing all who were oppressed by the devil, for God was with Him. Jesus did more of this than anything else while on this earth but the church has often passed over these scriptures and for the most part rejected this teaching for today.
Here is another great example of what Jesus did while on this earth. Notice that as soon as the demons where cast out that the boy was also instantly healed. Matthew 17:14-21 And when they had come to the multitude, a man came to Him, kneeling down to Him and saying, Lord, have mercy on my son, for he is an epileptic and suffers severely; for he often falls into the fire and often into the water. So I brought him to Your disciples, but they could not cure him.” Then Jesus answered and said, “O faithless and perverse generation, how long shall I be with you? How long shall I bear with you? Bring him here to Me.” And Jesus rebuked the demon, and it came out of him; and the child was cured from that very hour. Then the disciples came to Jesus privately and said, “Why could we not cast it out?” So Jesus said to them, “Because of your unbelief; for assuredly, I say to you, if you have faith as a mustard seed, you will say to this mountain, ‘Move from here to there,’ and it will move; and nothing will be impossible for you. However, this kind does not go out except by prayer and fasting.” This same testimony is also located in Mark 9:14-29.
Few churches that will allow healing teams will ever experience healing success for the congregation. At least they are trying and are seeing some healing-Praise God. They should be having much more success in healing. I have witnessed the jealousies in these churches from the leadership down towards the people that use the Gifts of the Spirit, Ephesians 1:3, thus making the Word of God of none effect, Mark 7:13. The jealousy must end to make the Word of God work as He has created it to work.
Ministers also need to be very aware of the people around them in leadership roles. The dark spirit of Jezebel is in control of most of the church in America. I have witnessed this for decades. This is especially true in the churches that are having some success in people working in the Gifts of the Spirit. The dark spirit of Jezebel attacks and controls mostly women in the church but I have also seen this in some men. Some of these Jezebel spirits have been in control of the ministers wives and the wives of the leadership of the church for years. I have found and witnessed that some of these people cause harm and control. They keep out many of the great things of God in the church and the minister is never aware of it.
I have personally been screamed at, shouted at, hissed at, and gossiped about with lies by these people (called Christians) and the minister has never known any of this. I have seen and witnessed their demons. I think that many minister's are blinded by the friendships and trust that have been in place for years, so be aware of this. Evil lurks everywhere!
I believe that most of these people mean well but they are human and carry demons in them as well because they have never been healed in the first place and truly set free. We will always be fighting the demons within us as long as we are alive on this earth because of what the Apostle Paul said towards the end of his life in Philippians 1:19 For I know that this will turn out for my deliverance through your prayer and the supply of the Spirit of Jesus Christ. Paul made this statement late in his ministry making me understand that we will always be fighting demonic forces within or around us. By being aware that these demonic forces are always present will hopefully teach us to place on “The Whole Armor of God” each day (Ephesians 6:10-20) and to always fight them so we can be set free as much as possible during this life time. This has worked for me for many years and it will also work for you. Praise God!
Did you know that it is our responsibility to receive our healing from God and to keep it? This is because of the last portion of 1 Peter 2:24, “by His stripes we were healed”. It’s a matter of believing, receiving and keeping our healing. Jesus Christ died for all of us and He is not going to do this again. He provided all of this to us through Grace. After Gods power has healed you, most of the time the symptoms will return to you just as they felt before but most people don’t realize that the devil himself is trying to steal this healing from you and all of us think well it just did not work for me or we use some other excuse and I have witnessed this myself.
Several years ago, I had sharp pain in my left shoulder and I had a hard time raising my arm very high. I realized that I was not practicing what I had been preaching. I learned that after praying for healing, if any symptoms come back to you then say to the devil that I have already received my healing and say “by His stripes I was healed”. Do this every time until all of the pain is gone. I kept doing this for three days with that annoying same pain and it felt like it wasn't healed but never the less I kept claiming my healing and speaking of this healing out loud “by His stripes I was healed” (that is very important).
With each day the pain subsided. On the third day the pain was completely gone and I Praised God. This healing was completed for me at that time. The pain was completely removed and has never returned-Praised God. You see, I'd been teaching healing for many years but I never had to use this on my self until then because I have been so healthy since 1995. I am saying that if you take this attitude about healing about yourself and use this, then you will also receive a complete healing and be made whole. Praise God!
Proverbs 4:20-22 My son, give attention to my words; Incline your ear to my sayings. 21 Do not let them depart from your eyes; Keep them in the midst of your heart; 22 For they are life to those who find them, And health to all their flesh. God says it here that if you know His word then you will live in health.
In the book of James 5:13-16 below, gives the mature Christians a command to pray for the sick in the church. It does not say in the Bible that we quit praying for the sick when all of the Apostles died out. This is what some of the major Christian denominations have been teaching for many years and especially here in America. There is not any scriptural truth to that kind of teaching. This is the lie of the devil. You must bring down the walls of your religion before they destroy you. Read the Word of God, the Bible and make it replace your personal theology or faith. This is the only way that you will grow in God’s Word. This is the only way that will make the Word of God come alive and work in your life. Look at Matthew 10:8 below that gives us a command to heal the sick. How can you not understand these scriptures? Remember that healing will never come to those who don’t or wont believe. Jesus had this same problem in His hometown as it says in Mark 6:5-7 and He marveled at their unbelief.
James 5:13-16 Is anyone among you suffering? Let him pray. Is anyone cheerful? Let him sing psalms. Is anyone among you sick? Let him call for the elders of the church, and let them pray over him, anointing him with oil in the name of the Lord. And the prayer of faith will save the sick, and the Lord will raise him up. And if he has committed sins, he will be forgiven. Confess your trespasses to one another, and pray for one another, that you may be healed. The effective, fervent prayer of a righteous man avails much. Matthew 10:8 Heal the sick, cleanse the lepers, raise the dead, cast out demons. Freely you have received, freely give. Act 4:30 by stretching out Your hand to heal, and that signs and wonders may be done through the name of Your holy Servant Jesus.
Using the Healing power of God will always be in a learning stage. It doesn't matter how much that you think you know, It's a progression and I thank God that He is always teaching me. Jesus was always teaching the Apostles. Peter is a great example of this progression. Peter like the other Apostles was taught to lay hands on people to heal them. Peter did this at first but in Acts 3, it shows that he grabbed the hand of the crippled man that needed healing and stood him up as he was being healed. Acts 3:6-10 Then Peter said, “Silver and gold I do not have, but what I do have I give you: In the name of Jesus Christ of Nazareth, rise up and walk.” And he took him by the right hand and lifted him up, and immediately his feet and ankle bones received strength. So he, leaping up, stood and walked and entered the temple with them—walking, leaping, and praising God. And all the people saw him walking and praising God. Then they knew that it was he who sat begging alms at the Beautiful Gate of the temple; and they were filled with wonder and amazement at what had happened to him.
As time passed, people would hope that the shadow of Peter would go across their love ones that were placed in the streets to be healed. Acts 5:15 so that they brought the sick out into the streets and laid them on beds and couches, that at least the shadow of Peter passing by might fall on some of them.
I am not anywhere near perfect and I never will be while on this earth but praise God that I am no longer at the place that I used to be. I have left that place forever-Praise God!
Start paying attention to the words that are coming out of your mouth when you are with family, friends or by yourself and start using words that build up or create and not words that destroy. Listen to yourself! You might be surprised at your own words that you are using everyday. Look at the following scriptures and learn them. Proverbs 18:21 Death and life are in the power of the tongue, And those who love it will eat its fruit. Proverbs 17:22 A merry heart (speaking life) does good, like medicine, But a broken spirit (speaking death) dries the bones.
Death and life are truly in our words that we use each and every day. So speak life in every word that comes out of your month and you will learn to live in health because Jesus says “by my stripes you were healed”.
The following scriptures are the scriptures that God used to teach me Healing and Deliverance methods. Both are very closely related since I believe that the majority of sickness and disease are demonic. If you study and use these scriptures with the authority that God has given to you and you are a born again believer in Jesus Christ, you should receive the same results as I have. As Gods Word says in Romans 2:11, For there is no respect of persons with God.
It takes time, so stay in Gods word and have some patience. Remember, God loves you more than you will ever know in this life time. Learn the word of God and speak it everyday. By doing this you are acknowledging the word of God and this will make it work in your life just as it does in mine.
3 John 1:2 Beloved, I pray that you may prosper in all things and be in health, just as your soul prospers. This is God's will for all Christians. Not just some but for all.
Ephesians 1:3 Blessed be the God and Father of our Lord Jesus Christ, who has blessed us with every spiritual blessing in the heavenly places in Christ. As a Christian you need to acknowledge that you have all of these gifts in you. Most Christians have never known this because it's not taught in most churches, so how do they ever know to use the power of God. Most die without ever knowing this. This is why most Christians never know or understand the abundant life that God has for us.
When you start believing and know that Gods Divine healing is for today and tomorrow and forever like stated in Hebrews 13:8 Jesus Christ is the same yesterday, today, and forever. Then healing Words of God will benefit all who will believe as stated in Proverbs 4:20-22 My son, give attention to my words; Incline your ear to my sayings. 21 Do not let them depart from your eyes; Keep them in the midst of your heart; 22 For they are life to those who find them, And health to all their flesh.
Luke 9:2 He sent them to preach the kingdom of God and to heal the sick. Luke 10:9 And heal the sick in it and say to them, The kingdom of God has come close to you. Matthew 10:7-10 And as you go, preach, saying, The kingdom of heaven is at hand. 8 Heal the sick, cleanse the lepers, raise the dead, cast out devils: freely you have received, freely give. 9 Provide neither gold nor silver nor copper in your money belts, 10 nor bag for your journey, nor two tunics, nor sandals, nor staffs; for a worker is worthy of his food.
Jesus tells us that we will do greater works then He did in John 14:12-14 “Most assuredly, I say to you, he who believes in Me, the works that I do he will do also; and greater works than these he will do, because I go to My Father. 13 And whatever you ask in My name, that I will do, that the Father may be glorified in the Son. 14 If you ask anything in My name, I will do it.
1 Peter 2:24 Who his own self bare our sins in his own body on the tree, that we, being dead to sins, should live unto righteousness: by whose stripes ye were healed. Isaiah 53:5 But he was wounded for our transgressions, he was bruised for our iniquities: the chastisement of our peace was upon him; and with his stripes we are healed.
Ephesians 3:20-21 Now to Him who is able to do exceedingly abundantly above all that we ask or think, according to the power that works in us, 21 to Him be glory in the church by Christ Jesus to all generations, forever and ever. Amen.
John 16:23 And in that day ye shall ask me nothing. Verily, verily, I say unto you, Whatsoever ye shall ask the Father in my name, he will give it you. John 14:14 If you ask anything in My name, I will do it. Isaiah 45:11 Thus saith the LORD, the Holy One of Israel, and his Maker, Ask me of things to come concerning my sons, and concerning the work of my hands command ye me.
Mark 11:23-24 I tell you the truth, if anyone says to this mountain, 'Go, throw yourself into the sea,' and does not doubt in his heart but believes that what he says will happen, it will be done for him. 24 Therefore I tell you, whatever you ask for in prayer, believe that you have received it, and it will be yours.
Mark 16:17-18 And these signs will follow those who believe: In My name they will cast out demons; they will speak with new tongues; 18 they will take up serpents; and if they drink anything deadly, it will by no means hurt them; they will lay hands on the sick, and they will recover.” Luke 5:17 And the power of the Lord was present to heal them.
Acts 3:1-8 Now Peter and John went up together to the temple at the hour of prayer, the ninth hour. 2 And a certain man lame from his mother’s womb was carried, whom they laid daily at the gate of the temple which is called Beautiful, to ask alms from those who entered the temple; 3 who, seeing Peter and John about to go into the temple, asked for alms. 4 And fixing his eyes on him, with John, Peter said, “Look at us.” 5 So he gave them his attention, expecting to receive something from them. 6 Then Peter said, “Silver and gold I do not have, but what I do have I give you: In the name of Jesus Christ of Nazareth, rise up and walk.” (Peter would have been kicked out of most churches today for saying these words, "but what I have I give to you". They would call you arrogant). 7 And he took him by the right hand and lifted him up, and immediately his feet and ankle bones received strength. 8 So he, leaping up, stood and walked and entered the temple with them—walking, leaping, and praising God.
Acts 4:30 by stretching out Your hand to heal, and that signs and wonders may be done through the name of Your holy Servant Jesus.” Acts 8:14-17 Now when the apostles which were at Jerusalem heard that Samaria had received the word of God, they sent unto them Peter and John: 15 Who, when they were come down, prayed for them, that they might receive the Holy Ghost: 16 For as yet he was fallen upon none of them: only they were baptized in the name of the Lord Jesus. 17 Then laid they their hands on them, and they received the Holy Ghost.
James 5:13-16 Is anyone among you suffering? Let him pray. Is anyone cheerful? Let him sing psalms. 14 Is anyone among you sick? Let him call for the elders of the church, and let them pray over him, anointing him with oil in the name of the Lord. 15 And the prayer of faith will save the sick, and the Lord will raise him up. And if he has committed sins, he will be forgiven. 16 Confess your trespasses to one another, and pray for one another, that you may be healed. The effective, fervent prayer of a righteous man avails much. Psalm 107:20 He sent His word and healed them, and delivered them from their destructions. Hebrews 5:13-14 For every one that useth milk is unskilful in the word of righteousness: for he is a babe. (This verse is referring to a new Christian or for a Christian that doesn't know the word of God. It doesn't matter how long you've been a Christian. If you do not know God's word, then you are still a baby Christian). But strong meat belongeth to them that are of full age, even those who by reason of use have their senses exercised to discern both good and evil. (This verse is referring to a mature Christian. Someone that knows the Bible). | 2019-04-19T22:47:23Z | https://www.whirlwindhealingministry.com/healing |
For brick-and-mortar bookstores, the writing was on the wall.
It was November 19, 2007, and Amazon had just released the Kindle. The world's first e-reader sold out in five-and-a-half hours, and shell-shocked industry watchers and members of the reading population predicted that physical books — those archaic construct of bindings, glue and printed pages — were on the way out, and that neighborhood bookstores were soon to be as extinct as the trilobite and the passenger pigeon. In the intervening 11 years it became easy to believe these dire predictions, as bookstores closed and publishers released fewer and fewer new books.
"At one point in Charlotte we had three intimate bookshops," Sally Brewster remembers. Brewster, the owner and manager of Park Road Books, notes that Horizon Books, Brandywine Books and Poplar Street Books have all closed their doors.
Lee Rathers points out that her father, Richard Rathers, who owns Book Buyers in Plaza Midwood, learned the bookseller trade at Appleton's, another vanished retailer.
Just last June, family-owned business The Last Word filed for bankruptcy, joining a roll call of shuttered Charlotte bookshops including The Bookmark, Joseph Beth Booksellers and RealEyes Bookstore. Even big-box behemoth Borders bit the dust, filing for bankruptcy in 2011.
Despite this daunting retail body count, predictions of mass bookstore extinction have been greatly exaggerated, says Jeanne Dowd, owner and manger of The Book Rack in south Charlotte.
"The year Kindles became popular, that was the first time our sales fell instead of growing," Dowd remembers. However, she points out that the e-book sales have since plateaued at about 20 percent of the market, and that new physical books continue being published. After a few rocky years, the Book Rack's sales have been steadily increasing.
Other book retailers have weathered the digital revolution and are now reporting a similar uptick in business. In Charlotte at least, people still love their physical books and local booksellers. They apparently ascribe to Ernest Hemingway's observation that, "There is no friend as loyal as a book," and to Roman statesman Cicero's credo: "A room without books is like a body without a soul."
Launched in the Park Road Shopping Center in 1977, Park Road Books is Charlotte's oldest extant bookstore. Current owner and manager Sally Brewster was a sales representative for Random House publishers when she first called on then-owner John Barringer in the late 1990s. It was Christmastime and Brewster knew that no one wanted to talk to a sales rep during the height of the holiday season, so she cut a deal with Barringer: She offered to work for the bookseller every Christmas. As a result, Brewster became familiar with the store and its product. In July 1999 Barringer hired Brewster as store manager. Four years later, he asked her if she wanted to buy the business from him.
"I told him, 'Anybody who would buy a book store now is insane,'" Brewster remembers with a laugh. "And I just happened to be that insane person."
Crazy or not, it was natural fit for Brewster who says she's been selling books her entire adult life. Today, the store occupies a long and narrow 46,000-square-foot space stocked with over 30,000 tiles, Brewster says. Most hardcovers are $26. Mass-market paperbacks, what Brewster calls "the rack-sized jobbers," are $7.99 to $9.99. Trade paperbacks, the oversized volumes that use better glue and paper, run around $16.
The store's staff ranges from 13 to 16 people. Brewster has a handful of criteria for hiring, and the most important qualification for employees is that they must love reading. "We look for people that read authors that are alive," Brewster continues. "If you don't read anybody published after 1945, that's not going to help because most of our books are current."
Brewster also stresses that Park Road Books' staff must posses a certain je ne sais quoi, a combination of customer service skills and personality. "[Employees] have to engage the customer. People are looking to delve into the book and talk about them here." Perhaps the most friendly and dedicated employee is the bookstore dog, Yola. She's spent nine and a half of her 10 years at the shop, Brewster points out, adding that Yola is sleeping behind the counter as we speak.
For many readers, used books possess a particular allure. They come with a history, a connection to previous owners and an oft-musty smell that fantasist Ray Bradbury likened to the tombs of ancient Egypt. Author Virginia Woolf wrote, "Second-hand books are wild books, homeless books; they have come together in vast flocks of variegated feather, and have a charm which the domesticated volumes of the library lack."
Richard got the idea to launch a used bookstore in Plaza Midwood because he loved books, Lee says. He also thought that running a bookstore would be a good way to spend his retirement. It makes sense that the elder Rathers would choose a hectic activity like launching a business as a way to relax, Lee continues laughing. With an employment history that includes the Air Force, coal mining and teaching, Richard boasts a varied and busy background. In 1998 Lee's father started working part time at Appleton's to learn the book trade's ropes, while still teaching full time at Harding University High School.
"He started building bookcases, and going to yard sales, just amassing boxes and boxes of books, until he got to the point where he said it's time to open up the shop," Lee remembers.
In 1999, with the help of Virginia O'Riley, the Rathers moved their collection of used books into a 1,000-square-foot space at the then nearly empty Midwood Corners Shopping center at the intersection of The Plaza and Central Avenue.
"We were driving around Plaza Midwood and my father just had a good feeling about the [location]," Lee says. A year later, the store moved into a larger space in the strip mall, and a few years after that, it relocated once again (still the same building) into its current 35,000-square-foot space. Lee estimates that Book Buyers stocks close to 50,000 books, all priced, shelved, curated and sold by a lean staff made up of just O'Riley and the Rathers. Paperbacks run half the cover price, while hardcovers range from $6 to $10, with most falling in the lower end of that range. Book Buyers vets the used books that customers bring in, and offers store trade-in credit.
In many ways, The Book Rack represents a hybrid of Park Road Books and Book Buyers, offering a selection of new and used books. Dowd says she wanted to own a bookstore ever since she was a little girl. She got into the book trade soon after graduating from Wellesley College, when she went to work for Kroch's and Brentano's, then the largest privately owned bookstore chain in America. She moved from Massachusetts to Charlotte to manage the location here that opened in Carolina Place Mall in 1991.
"We did nicely for a few years but then Barnes & Noble opened up right across the street," Dowd remembers. With a much bigger selection and more attractive discounts, Barnes & Noble was rapidly pushing Brentano's out of business. Dowd cast around for her next move and decided she could compete in the bookselling market with The Book Rack's business model. "The Book Rack is a franchise, but a very loose franchise, " Dowd explains. She had too many bad memories of being micromanaged by district managers during her days at Kroch's and Brentano's. "I had had managers come in and say, 'You know what would be fun? Let's switch the entire store around. We'll move everything from the back into the front and everything from the front into the back.' Then I had to deal with all the angry customers."
In contrast, The Book Rack provided a bit of training, some books to start out, and few group-buying opportunities, Dowd continues. "Other than that they let you do what you want," she says. "[The Book Rack] gave me freedom with a little bit of support."
Dowd launched her store in 1995, moving from a 2,000-square-foot space to their current 5,000-square-foot space on Johnston Road in 2010. She currently employs six people who work the front desk, two employees who handle shelving and one woman who comes in part time to do the store's shipping.
Dowd estimates that she currently has 50,000 used books and 8,000 new books in stock. Prices range from $4 to $6 for used books. New books, both hardcovers and paperbacks, are discounted 20 percent off the publisher's price.
The mid-to-late 1990s was a stressful time for book retail, Brewster remembers.
"It was brutal," she says. "We were dealing with Borders, Barnes & Noble, Amazon, Media Play." To compete, Brewster expanded the store's scope and outreach in the community. She brought in more books, bolstered the shop's selection, strengthened existing relationships with publishers and started catering to book clubs. "Anybody that needed somebody to talk about books, I was more than willing to talk for free," she maintains. In-store events and author visits became a key part of Brewster's business model. She recalls Barringer telling her about a young writer coming into the store eager to talk about his self-published book. That young scribe turned out to be Pat Conroy, best-selling author of The Prince of Tides, The Great Santini and other blockbusters.
"That's why we have author events," Brewster concludes. "We want to help the writer meet the reader. Sometimes only a couple of people show up. Sometimes we have hundreds. But they're all important because the writer is trying to make contact, and people are interested."
Upcoming in-store author visits this fall include former Creative Loafing contributor Frye Gaillard (A Hard Rain) and Ellen Hilderbrand (Winter in Paradise). Brewster recalls Anne Rice stopping in and Conroy returning multiple times. She reckons the most memorable event was an appearance by Diary of a Wimpy Kid series author Jeff Kinney. "We had him for Cabin Fever, and they brought in 2,000 pounds of ice and made it into snow," Brewster remembers. The stars from the Wimpy Kid movie made a surprise visit to the store, and the line wound all the way down to Suarez Bakery at the far end of the shopping center, she continues.
In contrast, Dowd took on the big-box competitors with The Book Rack's discounted prices. The Book Rack, like most bookstores gets its new product through wholesalers like Baker & Taylor and Ingram Book Company.
"Wholesalers buy from publishers and sell to bookstores," she explains. Ingram Book Company is a quick source for titles and they also offer lower minimums than publishers in exchange for free shipping, Dowd continues. "With Ingram you can order from a whole variety of publishers from one source." Efficiency and cost-cutting results in saving, which is passed down to Dowd's clientele. "We take a lower margin on our new books than other new bookstores do which, is why we can offer the discount on them."
Also unlike new bookstores, The Book Rack can offset their lower margin on new books with a slightly higher margin on used books. "New bookstores have to make all of their money off new books so they can't afford to discount as much as we do," she explains.
Book Buyers has managed to cut itself loose from the big box pack with diversity. While many stores offer gift cards and bookmarks in addition to books, Book Buyers is the only bookstore where you can also pick up vegan products or adopt a kitten. The cat adoptions started in 2002, when O'Riley discovered an abandoned kitten in an alley behind the store, Lee says.
"Virginia scooped up the cat, who became our bookstore cat, Page," Lee continues. Soon O'Riley started rescuing other kittens and cats and bringing them into the store. A large cage at the back of the store currently houses the animals until O'Riley finds permanent homes for them. Prospective book buyers can now find themselves captivated by cute kittens, and they could wind up leaving the shop with a brand new pet as well as a used copy of Danielle Steel's latest opus.
As is often the case, it's easier to adopt out kittens than grown cats, so O'Riley moved some of the adult cats she rescued from her home into the store, where they currently reside in the back room. By the spring of 2017, Page had her own bookstore cat Facebook page with 6,063 followers, but she grew weary of the attention she drew from store patrons. Deciding it was time for Page to retire, O'Riley brought the literary veteran home and swapped her out with Book Buyers' current bookstore cat, Deena.
In much the way that O'Riley started rescuing and adopting out animals from the goodness of her heart, Lee followed her passion to launch her vegan store, The Greener Apple, which is housed inside Book Buyers. The shop, which offers vegan food, cleaning products, toys and more, began life in the front of the bookstore as Ecolicious, a locally sourced gift and food store that Rathers launched with a former business partner. When Ecolicious moved to Commonwealth Avenue, Lee decided to continue her business with an accentuated vegan bent.
"I started the Greener Apple because there wasn't anything around that just sold vegan," Lee explains. "You had to go to Whole Foods and look up all the ingredients."
Currently, Greener Apple carries everything from vegan cookbooks to 23-pound bags of vegan dog food. It's a one-stop shop where you can find products that you previously could only find in vegan magazines, Lee says. People come in specifically looking for vegan products, she continues, but sometimes people come in for books and leave with vegan health and beauty products.
"It's cool and eco-friendly stuff," Lee concludes. "It's sustainable, conscious of the earth and an alternative to our disposable culture." The Greener Apple had gotten so popular by last spring that Lee and her father considered giving over most of the bookstore's space to vegan products — but then book sales started to explode. Lee credits the population boom in Plaza Midwood for the uptick in book business. It seems that Richard's good feeling about the location at the intersection of the Plaza and Central Avenue has paid off. Lee notes that the shop's foot traffic has increased dramatically.
"We get people walking into our store who have never been here before," she says. "And there are people who have just moved here that are looking for a cool place. We remind them of bookstores that are like what they had where they used to live."
Brewster has also noticed an increase in Park Road Books' business.
"For the past seven years we've had an uptick almost every year," she says. "For us, the real slam was the recession." Park Road Books suffered with the big-box stores, and then suffered a little more when the market went digital, she continues. "But that peaked about five or six years ago," Brewster maintains. "A lot of people say they still read electronically but they also like to have a physical copy in their hands."
Dowd sees a similar trend.
"The number of physical books published every year is down, but The Book Rack's sales, after a bit rockiness in 2011 have gone back to growing." This growing customer base is shopping for best-selling fiction and action/adventure and suspense novels, Dowd says. Romance typically makes up 40 percent of the paperbacks sold in this country, she continues. "Our history and science fiction/fantasy sections get scoured on a regular basis.
Fiction titles are the most popular at Park Road Books, Brewster says. The store sells a lot of histories, biographies and young adult fiction, she continues.
"[Young adult fiction] is a category that expanded after J.K. Rowling and the Harry Potter books came out. We keep increasing our selections on that category."
For Book Buyers, the titles that people bring in for trade-in do much to dictate the categories. It may be the only bookstore where you will see categories like Marxism right down the aisle from Paranormal Romance.
"At one point we had a hypnosis category," Lee says. "If we get in enough books on a subject to fill a shelf, we make up a brand new category." One category that's easy to spot is Book Buyers' Aviation section. That's because the books are shelved just beneath an actual airplane, a 1940s Piper J-3 Cub. "My dad got his private pilot's license in the 1980s. He loved to fly. So one day he decided to build an airplane." Suspended from the ceiling without its canvas covering, the Piper Cub is just a frame and an engine. It looks too fragile to fly through the air.
"It's definitely a conversation piece," Lee says. "Some kids see it and say, 'Wow, an airplane!' It's a good way to bring the little ones into the store." With more children and adults coming in to Book Buyers, Lee attributes the surge in business to the tactile and nostalgic nature of physical books. "[People] like the feel and the smell of a book," she says. "They remember it and they miss it."
"A lot of people like holding a book in their hands," Dowd agrees. "We have people come in saying they look at a screen at work all day. The last thing they want to do is come home and look at a screen again." Dowd cites multiple studies that show the blue light emanating from e-reader screens is not conducive to inducing sleep. "So if you're reading yourself to sleep with a tablet, you're doing it the wrong way."
Brewster thinks our attachment to reading physical books goes even deeper into our psyches.
"There's something psychological about it," she says. "It hones into our being. I think our eyes and our brains react deeper and better with paper." Even with all the digital devices and entertainment options to choose from there is nothing like a book to fall into, Brewster continues. "There is so much depth to a book. I'm not going to lie. I do watch a little TV, but the experience of reading a book is so much broader and richer." | 2019-04-25T21:43:24Z | https://clclt.com/charlotte/books-are-making-a-comeback-in-the-queen-city/Content?oid=11630620 |
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I love the intensity and consistent scent and quality of this oil. I use it for candle making and appreciate it's strong aroma. Other essential oils vary in intensity or richness seasonally but NOT this one.
Didn't see this one coming in my future of NDA purchases but had a need for it when my wife started making massage oils. It...is....POWerful stuff straight from the bottle. Wow! Super easy to work with and renders a lovely scent in finished products. I picked up a huge bottle because, after all, they've got it priced cheaper than air.
I have been using this company for about seven years now. I have even stuck with them through their policy in shipping change. I am not a store owner or a spa or a soap,lotion etc maker. I use these oils, clays, accessories, etc for the personal use of my family and myself. I use the Eucalyptus oil for So many reasons! Room deoderizer, part of a mixture to make a flea spray for my cats and house. To kill germs, bed amd dust mites on our beds and pillows. It's GREAT to put on a cloth and throw in the dryer with your pillows. You know it's killing all the germs and mites and leaves such a wonderful Fresh smell! The MAIN USE IS LAUNDRY!!! There is Never a load washed without Two dropper full of straight Eucalyptus. To save money and the condition of our clothes, I Only use Cold Water. I know that the germs are going to be killed, even in Cold and Flu season because of the Eucalyptus. I actually learned this little trick several years ago in Family Circus and I've Never been let down!!!! I use it as a "sick room" spray, bathroom spray, surface spray if someone is sick. I use it in the car. I use it every where. It's a wonderful product by itself, but can be used with so many other oils, and uses. And, luckily a little goes a long way. Because I would just hate to fund another company. Others I've tried just doesn't have the potency. Everyone NEEDS to have a bottle of Eucalyptus and Peppermint and Lemon E.Os in their home with a carrier of 91% Alcohol for a spray or a nice Carrier oil of your choice for bodily or furniture use.
I get a lot of requests for eucalyptus soap so I got the 16.6 oz bottle this time. You can't beat the price or the quality, this is an excellent essential oil.
Goooooood stuff!! Love this eucalyptus. Smells fresh and medicinal, just like it should!
love this oil. recently there was a sever outbreak of lice at my daughters school and I tried 3 different brands of lice treatment they warded off the Luce for about 3 days at a time, and I looked online to see what else I could use and one site mentioned eucalyptus oil, so I ordered some and mixed it with some shampoo and all I can say is wow, no problems since then.
Good, quality oil. I don't particularly care for the scent of Eucalyptus Essential oil, but i do like it for the medicinal properties. I use this in several essential oil blends and am very pleased with it.
Strong, quality essential oil. I don't care for the scent of eucalyptus, however I got this one for medicinal purposes and it does it's job. When I came down with a bad cold and an awful sinus headache, I mixed a little of this with the peppermint essential oil and it cleared me right up relieving most of my pain.
Excellent strength, quality, and value. Characteristic scent.
I like the smell. put it in my soap for washing hands. won't feel my heart bleeding even if i put a lot in it.
I use this one for several household items, and am very pleased with it. Great Eucalyptus!
I can't really wax poetic about how this eucalyptus smells, but I love its medicinal properties, and always make sure to keep some at home, especially during cold/flu season, and to use in my homemade laundry detergent for some extra germ fighting action. This is one of the better deals around, and the quality is very very good. NDA packaged everything with extra care (I even started getting aggravated wit how long it took to open the extra wrapping on every item, but then I imagined how aggravated I would be if the items arrived broken, so I was mollified). Thanks NDA for offering an absolutely necessary item for a great price!
Fabulous. CP Soaps Wonderfully. This blends so well with other EO's. It marries perfectly.
Indispensable in a sinus blasting mixture with Rosemary and lemon.
3 drops eucalyptus and 3 drops lemon plus 1 teaspoon of vaseline thoroughly mixed applied to the chest of an adult once a day preferably at bed time.. Watch colds shorten.
Sinus buster on it's own and strong! Makes a great earthy scented soap and It does blend very well with spearmint. I always have eucalyptus in stock.
A few drops on the bed, great for clearing up stuffiness in adults and kids. My 5 month old has had a cold and not able to use anything for him. One drop near where he sleeps and a cold mist humidifier helps him sleep much better at night. NDA oils are of an amazing quality and at affordable prices!
The value of this oil is incredible, i am a eucalyptus fanatic. I purchased a 2 ounce bottle at whole foods for the same price as NDA's 16oz bottle, the quality is just as good if not better. I wont be running out anytime soon but will order again when i do. This oil has the freshest, cleanest smell, which is why it is my favorite. It is just so versatile to blend and create with. If you need a go to comforting oil Eucalyptus is the man;it helps with congestion, sleeping and just overall quality of life. Thanks NDA!
This has helped immeasurably with asthma & headaches. I spray it full strength around the edges of my pillow & sleep like a baby. Initially was using it just for the asthma, the lack of headaches is a bonus. If I happen to get a cold, 1 drop of peppermint added really helps. Another bonus? Makes the laundry smell fantastic!!
Such a fresh and clean smell. I add it to my under the weather blend. The price can't be beat either.
I love this product. I use it in my cold process soaps. Going to order more, I am almost out of it. The quality/price is excellent!
This is a staple. I buy the big bottles because i go through it so quick. Quality here is top-notch and this honestly helps better than anything else I've tried during congestion season. Buy the big bottle.
eucalyptus is my favorite EO! that said, it is very strong. I difuse it by itself or mixed with lavender or rosemary. I use it with mint oils to bring out that extra oomph! I put some in my shampoo as well as some combination of, lavender, rosemary and tea tree. If I have been exposed to lice like at summer camp etc... I mix those eo's extra strong in some hair conditioner and let it sit a few minutes before rinsing-so far so good!
I just got my Eucalyptus (Globulus) and it smells great. Not to mediciney, if that's a word. Used it to make a blend last night and it smelled great. Also huge thumbs up to NDA for delivery and the sweet personal handwritten thank you note.
Great product and price. I use this for several household applications. My favorite is a few drops on a washcloth thrown into the dryer with a load of towels or sheets. Wonderful!
I purchased this a year ago and mixed it with spearmint to make an inhaler as a stress relief. It was wonderful. I also made a inhaler with peppermint oil added for sinus relief. Last week I caught a really nasty cold. Mixed this with cedarwood and frankincense, carrier oil & rubbed my chest; sweated out the fever. Used the inhaler to clear my sinuses. Slept like a baby as well. If you haven't used this oil, please do. The theraputic value is wonderful. This is better than any antibiotic. And healthier too. I will be sure to keep this in my cabinet.
I like it - just wish it was a little stronger. I like eucalyptus to really grab you by the nostrils. This one is good, but I need to use more than I would like, to really get the strong aroma I am looking for.
Love it!!! I make up Cold & Flue Combo Baskets w Bubble Bath, Bathbomb, candles, spa slippers, Coughdrops, Mint tea. Chocolate & other assorted goodies, all prettied up with a pic of a cute Koala Bear. Great Christmas gifts!! Love all NDA products that I have ordered. (My new addiction :) making bath Goodies!!!
Very medicinal yet calming scent - great for cold/flu season!
This scent is clear, crisp and for some reason reminds me of sunshine, it's so bright and cheerful! This is an "essential" EO to have in your collection! I use it for countertop spray, and plan to use it to make a safe bug spray blend for spritzing. Great value for an amazing product! Get some, you won't regret it!
Very nice eucalyptus eo. I use it alone in my cp soap and it makes a very nice shampoo bar that gets the oils out of my hair.
I love the way this smells this will definately be in my next order.
I just ordered my 2nd bottle, this is such a great oil. I've bought this previously from a different company until I tried it from NDA...this is hands down the best one. I use it during cold/flu season but mainly for our laundry. It is now a staple in our household.
I bought this oil because I had a request for it in my HP soaps. This is a very strong oil, a little goes a long way. I also use it to scent my laundry soap as it has antiseptic qualities and helps give the clothes a fresh smell. It has been very popular with those who enjoy the scent!
This is an awesome EO for clearing out the sinuses, and I am just starting to try it out for my achey joints. Will report findings another time. But I love it for insect bites and my sinuses.
Another EO that you only need a little of to get a strong scent. Try it with the Japanese Peppermint EO with the Pink Salts. Sure to be hit for my customers this season.
I used this oil in cold processed soap. Stays true and smells great!!
This is a fantastic oil, I love it in my foot balms.
Just received my first order with ND and this EO is wonderful. It is one of my favorite scents and this product lived up to my expectations.
This Eucalyptus Oil has a nice scent. I put a few drops in my diffuser at night to help with sinus congestion. Reminds me a bit of Vicks Vapo Rub.
I bought the Eucalyptus Globulus for it's theraputic value. I was pleasantly surprised by the aroma. It's herbaceous and very pleasant. I put a few drops in boiling water and inhaled the steam for sinus congestion.
I dont think this EO is at all irritating, or harsh to breathe in, like some globulus! I litterally dump this oil on my right hand and wrist everyday, to help with stiffness and pain, as some of the other EO's if put on the hands, then transfered to the eyes, can hurt so badly! Not with this one though! The smell is so delightfull, and the price is amazing! Get the biggest bottle you can afford, you will want it!
Great! I use this in pet products to help keep fleas away.
Very refreshing smell. I recommend this product.
This is the Eucalyptus I use for my products that has literally healed asthma, bronchial pneumonia & various other respitory distresses fast. It's therapeutic value is pricless!
I twisted my ankle and pulled a muscle in the back of my leg 3 weeks ago. The pain had finally started to diminish a bit, but the swelling was still so bad I couldn't wear shoes. The day my shipment from NDA arrived, I made a mixture of Eucalyptus, lavender, tea tree and a drop of peppermint -- and honestly, within hours the swelling went down. Next day I used a few drops of spikenard and chammomile on the obviously damaged areas, several hours later followed by the Eucalyptus mixture. Today, 3 days later - my ankle looks and feels normal, the pulled muscle doesn't hurt at all. I honestly believe it was the application of essential oils that did it. Thank you NDA.
A common tick was attached to my stomach. On a Q-tip put Eucalytus Globug and rubbed it wher the tick was and it was not five seconds until the tick backed out and headed for somewhere else, but I caught it and ended it\'s life. Once more your oils came through.
Love this EO.. Use it for bug - flying bug repellant, much safer and smells so much better, great for use in Sinus remefy as well. The price is not bad either, thank NDA!
Great smell, classic Eucalyptus. I have used this for room freshening, in a chest and foot rub blend for sick children, and in an antibacterial hand lotion.
This EO is the strongest most true to scent eucalyptus I have come across and the price is the best out there. I have many essential oils from New Directions and am very happy with them all. They are very high quality, pure and fresh and you will not find a better deal on the internet. Their customer service is also the best. I will continue to do business with them, as well as direct all my friends to them. Finally, a great store with wonderful products you can trust.
I love this EO. It blends absolutely nice with lime and rosemary. I use to put few drops of each in my humidifier diffuser especially during winter. It is effective against flu and colds and smells so fresh and fruity. I would recommend it to everyone.
During my last bout of tonsillitis, I put a bit of this oil in a sink of hot water, then put a towel over my head and breathed in the vapors. It was the only effective pain management I could find; WAY better than all that over-the-counter stuff!
I am so in love with this oil. I would not go without it. Great for colds, and flus. Just a wonderful oil all around!
Using Eucalyptus in my massage business I'm never afraid of picking up a bug someone may have. I had a grand daughter spent the night with me, during the night she developed a bad earache, not having anything for her other than eucalyptus oit and pepermint I applied it to from her ear down the side of her neck and on her throat & the bottom of her feet. The next morning I asked how her ears felt she said good & I like the smell you put on me. I can't imagine not having the oils with me at all times. as a massage therapist that comes in hand.
I'm very happy with this oil. It smells awesome with lavender in a cleaner I made. Then I put it in a bubble bath to soothe my muscles after all that cleaning. I almost can't wait for cold season so I can soothe that, too.
I wouln't be without this oil. Good for so many things. I use it in my pain cream, acne cream and diffuser for the lungs as well as bath salts. Very versatile.
I have used this oil in my soap and in bath salts. All I get are good comments, every one loves it. My sister leaves the salt open beside her bedside when she has a cold and says it works miracles. I even put some directly in my daughters huidifier and it helpes her breath better when she has a cold. Really great stuff, love it!
VERY STRONG! Can easily overpower other scents when blending. Use sparingly.
Of all of the Eucalyptus, Eucalyptus Globulus is a personal favorite. Great price and wonderful scent.
I use this oil several times a week in steam inhalations, diffusers, and added to a bit of sweet almond oil for massage. It feels so good when you are sick, but even when you're not, it is refreshing and part of my EO routine. Love it!
What an all-round useful EO. Great for fighting off bugs winter and summer. Great price and quality. NDA never disappoints!
We use them in therapeutic rubs and I must say their is no doubt sbout the hight quality standards. We have become loyal customers!
The price can't be beat! other then that, this EO is fantastic. it has the classic eucalyptus scent that both me and my customers adore.
This Eucalyptus works great. My husband had an awful cold last winter and nothing otc worked. So I finally talked him into something natural - a few drops of Eucalyptus in some boiling water each night before he went to bed. He could sleep and got better in just a couple of days! | 2019-04-22T06:34:08Z | https://www.newdirectionsaromatics.com/products/essential-oils/eucalyptus-globulus-8085-essential-oil.html |
By the time you read this, the Profanity Peak wolf pack in Washington State will be no more.
At last count, six wolves of the 11 member pack have been destroyed. All that remains is one adult and four cubs. And if the last remaining adult is killed, the cubs will most likely starve to death.
What’s left of the pack will either survive long enough to join another pack , or they won’t. Regardless, the Profanity Peak wolf pack is gone.
Washington State prides itself on not being the same as its neighbors to the east and north. It doesn’t immediately issue a shoot-to-kill order for endangered wolves when one head of cattle is killed or injured. No, Washington State has a Wolf Advisory Board. On this Board are wolf conservation groups, like Defenders of Wildlife, Humane Society of the United States, Conservation Northwest, and Wolf Haven International.
This Board has helped Washington State develop a protocol for when wolves are killed; a set of non-lethal actions that must be followed before the kill order is given.
The reality is, though, the wolves in the Profanity Peak pack are being killed. Just like the wolves are being killed in Idaho, Wyoming, Alaska, and other states. But we’re not supposed to feel outrage at such an action because Washington State has a Wolf Advisory Board, and it has guidelines.
The authorized removal of wolves in the Profanity Peak wolf pack in northeast Washington is deeply regrettable. The Washington Department of Fish and Wildlife (WDFW) is, however, following the protocol developed by Washington State’s Wolf Advisory Group (WAG) – a diverse group of stakeholders. The WAG and WDFW have committed to evaluating how the protocol worked on the ground this season in order to improve it for next year. In addition, we intend to conduct a thorough and open-minded assessment of the issues raised by all stakeholders involved.
We remain steadfast that our important goals remain the long-term recovery and public acceptance of wolves in our state alongside thriving rural communities. In the meantime, we ask our community and the citizens of Washington State and beyond to engage in respectful and civil dialogue as we work through these challenging events. We believe that ultimately we can create conditions where everyone’s values are respected and the needs of wildlife, wildlife advocates, and rural communities are met.
The organizations don’t want us to be outraged. They want us to accept that “Eh, these things happen.” They want us to treat the destruction of an entire pack of endangered wolves as if it’s just another Sunday, and here’s a cookie. We’re to engage in a respectful and civil dialogue.
An entire pack of endangered wolves is being killed, and they want us to be respectful and civil?
OK, then. Let’s engage in a respectful and civil dialogue.
The cattle are on public land in the Colville National Forest. They are on this land because the rancher has a grazing permit. His cattle join with approximately 32,000 or so other privately held cattle allowed to graze on public land in Washington State. Graze at a taxpayer-subsidized rate—grazing permit holders don’t pay full value for the true cost of grazing on public land.
The rancher is Len McIver, of the Diamond M Ranch. He’s a multi-generation rancher who uses grazing permits to raise his cattle. You might say, since grazing permits are subsidized, he’s the fourth generation rancher benefiting from taxpayer support. A common term used for this type of rancher is “welfare rancher”.
Oh. I’m sorry. Was that not respectful? I’ll try to do better.
Bill tells me that the first confirmed wolf kill on the Diamond M was in 2007, and probably from the same pack accused of livestock depredation now, the Wedge pack. When I ask about other predators, Bill says lots of predators go after their cattle, including black bear and cougar, although he is unable to tell me how many cattle succumb to these animals yearly. But wolves, he says, are the worse. Why? I ask. Because they are killing but not eating–for fun, not merely for food, he responds.
Wolves kill for fun. It’s an odd thing, but of all the reasons given why wolves kill, not one wolf expert has stated that wolves kill for fun.
One could say that Bill McIrvin is a lying sack of cow poop if one wasn’t attempting to remain civil.
What’s interesting about Bill and Len McIrvin is how dedicated they’ve been about spreading the message that wolves are killers, wolves and cattle don’t mix, and how all wolves need to be killed. I contrast this with the assurances we’ve been given that any and all non-lethal measures were taken, first, by these same individuals before the decision was made to kill both Wedge pack in 20012, and the Profanity Peak pack this month.
I hope I won’t seem disrespectful if I happen to believe that two people passionate about removing wolves won’t do everything in their power to ensure wolves can remain.
Evidently, the McIrvins do support some wolves. I’m not sure what the definition of some is. I mean, it isn’t as if people are tripping over the wolves on a daily basis in Washington state: there are less than 90 wolves now, and it’s a big state. Decrease the number of wolves much more, and you don’t have any wolves.
Contrary to the Washington Department of Fish & Wildlife diagram, wolf packs in Washington aren’t growing. In fact, they’ve shrunk by two. And I suspect the Ranchers McIrvin believe this is still too many.
I also suspect that some wolves the McIrvins want, is more about geography than numbers. Some wolves are OK. Those wolves over there (and not here) are some wolves. Those wolves are OK.
In 2012, Mitch Friedman from Conservation Northwest, discussed the McIrvin’s motives and processes.
Mitch Friedman, Conservation Northwest executive director, said he remains unconvinced about McIrvin’s efforts to manage his herd to reduce conflicts with wolves. He does not agree that there are no options for better herd management.
Friedman believes the state is under pressure and needs to take more time. He accused McIrvin of alerting the media first, then the local sheriff’s office, then the wildlife department while reaching out to county and state legislators to turn up the heat.
If it’s not a wolf, Friedman isn’t certain what would be the cause. While he admitted to hemorrhaging on the rear flanks and groin in one of the recent calf attacks, there were no puncture wounds in the hide.
“We want to work collaboratively, we want to make this work so ranchers are not overly impacted by the presence of wolves,” he said.
How nice. Let’s ensure that the ranchers aren’t inconvenienced. That should be top priority for an animal welfare group.
By the way, this is the same Mitch Friedman who now exhorts us all to be respectful and civil about the killing of the Profanity Peak pack.
A couple of days after the decision to kill the Profanity Peak wolf pack was made, Robert Wielgus, of the Large Carnivore Lab at Washington State University, provided some surprising revelations.
“This livestock operator elected to put his livestock directly on top of their den site; we have pictures of cows swamping it, I just want people to know,” Wielgus said in an interview Thursday.
Evidently, the McIrvins deliberately introduced cattle directly into the den area for the Profanity Peak wolf pack.
The thing with cattle is they drive out most other animals in the area where they graze—they are inherently destructive of their surroundings. They decimate the plant life, damage the trees, churn up and damage the soil, and they muddy creeks and streams, as well as damage stream banks. Animals native to the land have no other choice but to leave.
Cause and effect: If all other prey animals are driven out, a wolf pack has little recourse but to hunt what animals remain. Though of course, they only do so for fun…not because they’re desperately trying to survive, and feed their young.
The decision was made to kill the entire Profanity Peak wolf pack. All 6 adults and 5 cubs.
You know, wolves are hard to hunt. They’re intelligent and cunning. They know how to avoid hunters, even hunters using high-powered rifles from helicopters.
But the Profanity Peak pack was operating under a handicap: members of the pack were equipped with radio collars, allowing them to be tracked.
Such wolves are called “Judas wolves”because their presence is a threat to the entire pack. I don’t know what’s more disturbing: that we allow hunting of a species that’s so rare, we actually equip them with tracking collars that cost thousands of dollars; or that wolves with such collars have been hunted so much, we actually have a term for them.
Thanks to the radio collars, the 11 member Profanity Peak pack is down to five remaining members. And the hunt still continues.
The wolf welfare organizations mentioned earlier have been receiving a great deal of heat in their Facebook posts related to the Profanity Peak pack.
The consensus among these groups is that, while it’s sad that the Profanity Peak pack is being killed, Washington State is still better than other states that have no advisory board. Animal welfare and conservation groups have a seat at the table. They have a hand in the decisions. This is better.
It’s an intellectual response to an emotional event…and it’s dead wrong.
We should be reacting emotionally to this event. We should be outraged. All those who support wolves should be speaking with one voice.
This isn’t a few animals killed among many: this is the deliberate extermination of 11 members of a group of 90, in the entire state. The number of wolves in Washington is so low, claiming they’ve recovered borders on the ludicrous. The State pontificates about “recovery” of the wolves, and how they’re no longer endangered, but we’re only talking about 90 wolves.
No. Now we’re only talking about 80. Well, unless those four cubs survive, which is doubtful.
Washington State allows 32,000 heads of cattle to graze on public land, and it won’t cut even a small break for the 90 wolves currently in its borders. It isn’t “better” than Idaho or Wyoming. Its process isn’t superior, or more humane. The only difference between the states is optics.
I had a strong scorched earth initial reaction to all of the animal welfare groups that issued such a passive, capitulating statement about the Profanity Peak wolves. I think there were some feelings of sowing salt into the ground at their feet, too.
I am calm enough today to know that ripping these organizations to shreds, while momentarily satisfying, doesn’t really address the problem. The problem is that our government doesn’t value us.
They value ranchers. They value farmers. They value hunters. They value people with guns. But they don’t value people who care about the animals just because the animals exist. In the great scheme of things, we’re expendable. And so are the wolves.
Six cattle were supposedly killed and that’s enough to wipe out an entire wolf pack. By all that’s sane, this isn’t equitable, balanced, decent, humane, or right. Washington State, for all of its high-mindedness, is no better than Idaho or Alaska or any other state that advocates killing off wolves so ranchers, hunters, and farmers aren’t inconvenienced. Let’s lose this feel-good facade.
What also wasn’t right was the statement the Humane Society of the US, Conservation Northwest, Wolf Haven International, and Defenders of Wildlife made. They were profoundly wrong to urge restraint. They have allowed their participation in the Advisory Board to file down their teeth, blunt their claws, and to remove the only weapons they have to fight for real change.
They should have embraced outrage, instead of trying to damp it down. If they can’t be outraged and serve on the Board, then they have no place on this board. Or they have no place in the animal welfare movement.
I’m not ready to abandon the groups, but I’m not ready to embrace them, either. They screwed up.
Don’t accept this. Get in people’s faces. Be mad. Be vocal. Be loud. And if being loud means to hell with respectful and civil discourse, so be it.
I was not surprised to read that Missouri’s Attorney General, Chris Koster, has come out in support of Amendment 1, the so-called Right to Farm Amendment. He used Missouri tax payer money to sue the state of California on behalf of a few large egg producers in the state. It’s pretty obvious that Mr. Koster is regretting that whole “I’m now a Democrat” thing, especially among the rural, large agribusiness types.
It must also sadden Mr. Koster to realize that the egg lawsuit isn’t doing all that well. California and other intervenor defendants moved to dismiss the lawsuit under the reasonable claim that Missouri can’t sue because it doesn’t have standing. States can sue, but only if a significant percentage of the population of the state is impacted by the lawsuit. I don’t work in the chicken or egg industry, and I have a strong suspicion neither does a significant number of other Missourians.
I strongly doubt the lawsuit will survive, and I believe Koster knows this, which is why he claims the costs will be less than $10,000. But it doesn’t matter in the end, because it makes Koster look real good to large agribusiness interests in the state. Large agribusiness interests that are known to donate big bucks to election campaigns.
Koster’s support for Amendment 1 is more of the same. You’d think a state Attorney General would know the costly, negative impacts from such a vaguely worded piece of legislation. Legal analysis has demonstrated that the Right to Farm Amendment is an awful piece of drivel that will clutter up an already cluttered up state Constitution and costs millions to defend in court. At best. At worst it can mire critical decisions in uncertainty and contentiousness.
But there you go, Koster supports Amendment 1, and he supports his ill-considered lawsuit against California. So does a new libertarian legal entity in Missouri called the Missouri Liberty Project. They filed an Amicus Curiae brief in opposition to California’s motion to dismiss. The group was founded by Joshua Hawley, and if you don’t recognize that name, he’s one of the lawyers who represented Hobby Lobby in its successful drive to get the Supreme Court to recognize that corporations can go to church on Sunday.
Josh Hawley’s name might also be familiar to those interested in the Amendment 1 vote, because Hawley wrote a piece in favor of the amendment, just before Nixon decided to put it to the vote in August instead of November. The piece contains the usual references to farming and how it hasn’t changed all that much since Jefferson’s time (just ignore those CAFOs with rivers of pink manure, and genetically altered corn implanted with some kind of bug DNA). According to him, all this innocent little Amendment will do is ensure that farmers can continue doing what farmers have been doing since the dawn of time.
Unfortunately, Missouri agriculture is under attack from government bureaucrats and outside interest groups that want to tie down farmers with burdensome regulations.
But, but…don’t all industries have to conform to one regulation or another? After all, we don’t allow oil companies to drill anywhere they want, nor can coal-fired utilities dump their waste into waters, putting wildlife, livestock, and people at risk—not without suffering consequences. Car makers have to ensure air bags inflate when they’re supposed to, planes really do need to stay in the air, and most of us just hate it when banks—or cable companies—rip us off.
Come to think of it, we’re not all that happy when we find out that rare beef hamburger we just ate comes with a generous dose of E.coli, or that the cow that supplies the milk the little ones drink can glow in the dark. And yeah, I don’t really want to eat the meat of a animal that’s so sick, some idiot in a fork lift has to lift her up to get her ready to be killed. It’s that whole, not wanting to die because I lost the luck of the draw in the food safety game, thing.
Then there’s that whole issue of clean water. I’ve seen some creeks and streams in Missouri that are so clear, you can see the fins on the tiny fish that inhabit them. I’d really hate to see these streams turned pink and murky, and all those cute little fish killed off before they have a chance to develop into nice big trout.
Though I live in the city, I’m also sympathetic to the small, organic farmer, fighting to keep pesticide off his or her field, and the country home dweller who once lived next to a corn field, only to wake up to 5,000 hogs the next day. Right next door.
And yeah, I like puppies. I like dogs, cats, horses, elephants, bats, bees, deer, and whole host of critters. I hate to think of any of them suffering or dying unnecessarily because of greed, stupidity, and cruelty. True, some animals we make into pets, some we eat, and some we leave alone, but that doesn’t mean any of them deserve abuse. I’d like to think we humans are better than that.
Regulations may sound scary, but they ensure we all have at least a fighting chance for a decent life. And a fighting chance to be decent human beings.
Amendment 1 isn’t about outside interest groups—it’s about people who live here, in Missouri. It’s about our interests, our concerns, and our responsibilities. Right to Farm sounds innocent, but it’s a backdoor method to undermine every county, city, and state-based regulation that impacts on anything even remotely related to agriculture. And it’s a way of making it almost impossible to adapt our laws to new information, new concerns, and new discoveries. It permanently enshrines the worst of behavior into the State Constitution for one single industry.
I’m thankful that Josh Hawley at least had the decency to come out and say that Amendment 1 is about undermining state and other regulations. That’s more than you’ll get from Chris Koster.
After reading all this, do you still think it’s all about the farmers? How’s this then: Go move a mile down river from a CAFO with 5,000 hogs and then tell me you’re going to vote for Amendment 1. Just be careful not to step in the pink stuff on your way to the poll.
I was sent a link to a story and asked if it was true. The story noted that Charity Navigator, the charity watch dog group, had attached a Donor Advisory to the Humane Society of the United State’s listing, specifically because of the lawsuits related to the Ringling Brothers circus.
I was astonished. A donor advisory because of a single Endangered Species Act lawsuit? Many nonprofits are involved in lawsuits as they work to achieve the goals that are part of their underlying mission. I have a hefty annual PACER (federal court document system) fee because of the documents I download for the numerous environmental and animal welfare cases I follow—and I’m only following a tiny fraction of the cases I’d really like to follow.
Was the Donor Advisory given because the animal welfare groups lost the case? I would hope not, because penalizing nonprofits for taking a chance in court would have a chilling effect on their ability to do their work.
Charity Navigator also referenced the fact that Ringling Brothers filed a counter-lawsuit against the animal welfare organizations based on RICO—the Racketeering law. The reference to RICO does sound serious, if it weren’t for the fact that because of the RICO law’s overly loose design, and due to the Supreme Court’s over-reliance on the “intent” of Congress when passing the law, RICO’s purpose has been badly muddied over the years. Now, rather than go after the Mafia or sophisticated white-collar criminal networks, RICO has become a highly tempting tool in corporate America’s tool belt, especially after the recent findings in the Chevron RICO lawsuit related to the earlier lawsuit brought by poor Ecuadorians against the oil company for environmental damage to their lands.
Regardless, neither lawsuit—the original Endangered Species Act lawsuit brought by the animal welfare groups (not including HSUS), or the RICO case—ever reached a decision on the merits. The former was dismissed because of lack of standing, and the second never went to trial. As part of the attorney fee settlement, Feld Entertainment (parent company for the circus) agreed to dismiss the RICO lawsuit. The fact that the corporation filed a complaint should be seen as irrelevant and not figure into any agency’s determination of whether the organizations involved are sound or not. Not unless Charity Navigator believes that all one has to do is file a complaint in court and it’s automatically taken as true.
Charity Navigator noted the reasons why the Judge dismissed the ESA case for lack of standing, though the agency’s understanding of the legal documents and associated time line of all the events are equally confused and inaccurate. For one, the agency stated that Feld filed the RICO lawsuit after the ESA case was decided. Feld originally filed the RICO lawsuit in 2007 when Judge Sullivan denied the company’s request to amend its answer and assert a RICO counter-claim. The new lawsuit was stayed until the ESA case was decided in 2009, and Feld amended its original complaint in 2010, when the RICO case started up again.
I wanted to pull out part of the memorandum Judge Sullivan wrote in 2007 when he rejected Feld Entertainment’s request to amend their answer (leading to the RICO lawsuit). It relates to Feld’s implication that the animal welfare groups were involved in a complex and corrupt scheme to pay their co-plaintiff, Tom Rider that the company lawyers claimed they didn’t know about until 2006.
Finally, the Court cannot ignore the fact that defendant has been aware that plaintiff Tom Rider has been receiving payments from the plaintiff organizations for more than two years. Although defendant alleges an “elaborate cover-up” that prevented it from becoming “fully aware of the extent, mechanics, and purpose of the payment scheme until at least June 30, 2006,” Def.’s Mot. to Amend at 4, such a statement ignores the evidence in this case that was available to defendant before June 30, 2006 and does not excuse defendant’s delay from June 30 forward. Plaintiffs’ counsel admitted in open court on September 16, 2005 that the plaintiff organizations provided grants to Tom Rider to “speak out about what really happened” when he worked at the circus.
In other words, Feld’s lawyers found out about the “elaborate scheme” to fund Tom Rider, because the animal welfare groups mentioned funding Tom Rider during a court hearing in 2005.
I compare this statement with Sullivan’s statement I quoted earlier, wherein Sullivan denied Feld’s request to amend its complaint because of the supposed underhanded and secret funding—an assertion that Sullivan rejected in 2007. The newer constradictory 2009 statement was just one of the many inconsistencies in Judge Sullivan’s decisions over the years related to these two cases.
But the last issue that Charity Navigator seemed to fixate on was Feld’s attempt to get confidential donor lists from the animal welfare groups. I’ve written about this request, and my great disappointment in Judge Facciola’s decision to grant the request.
Nothing will ever convince me this wasn’t a bad decision, with the potential to set an extremely bad precedent. Even when the discovery was limited primarily to those people who attended a single event, it’s appalling that a confidential donor lists can be given to a corporation who represents everything the donors loath and disdain—and a corporation with a particularly bad record when it comes to dealing with animal welfare groups and other people—not to mention its abysmal record when it comes to its animal acts.
The animal welfare groups settled because when you have a billionaire throwing $825.00 an hour lawyers at a case, and said billionaire doesn’t care how much it costs to win, it didn’t make sense to continue fighting a fight that was already stacked against them. When Judge Sullivan ruled on the ESA case, he should have recused himself in the RICO case, because to rule favorably for the animal welfare groups in the RICO case would be to say he was inherently mistaken in many of his assertions in the ESA case. When he turned the case over to the Magistrate Judge, Judge Facciola should have exercised independent thinking rather than just continue to parrot Judge Sullivan. In light of this judicial bias, and the fact that the groups would continue to spend way too much money fighting a lawsuit that the other side would deliberately stretch out as long as it possibly could, keeping up the fight was a lose-lose situation.
Top all that with the threat to the anonymity of their donors, and the groups settled. Point of fact, if they settled specifically to protect their donors, more power to them. They should be commended for doing so, not punished.
What’s ironic is in my original posts on the donor list request, I noted that if the animal welfare groups had to give these lists out, it would most likely impact on their ratings in sites such as Charity Navigator. Never in my wildest dreams did I expect that Charity Navigator would give a donor advisory to the groups just because a judge ordered that the list be provided, not that they were provided. The groups had planned on appealing this ruling before they settled, and frankly, I think they had a good chance of winning the appeal. But the very fact that a no longer existing possibility of an event is enough to trigger a donor advisory leaves me to wonder how many more innocent nonprofits will be labeled with a donor advisory just because someone sent in a newspaper article about the possibility of an event?
In actuality, the one fund raiser that was at issue in the donor list request did specifically state that the money was for the lawsuit, and other requests for funds specifically stated the money was for Tom Rider’s media campaign. In addition, there is a legitimate concern about what would happen to individuals put into an intimidating situation by a high priced, DC powerhouse attorney. Mr. Simpson has a way of asking questions in depositions, and then subsequently paraphrasing the responses so that even the most innocent and naive utteranceseems dark, and dastardly. It was unfortunate that Judge Sullivan allowed his scarcely concealed disdain for Tom Rider to lead him to basically accept whatever Feld’s lawyers said, even though the animal welfare groups presented solid arguments in defense.
Lastly, Charity Navigator linked an article in the Washington Examiner, as if this was further evidence of good reasoning for the donor advisory. Might as well link Fox News as a character reference for the EPA, or The Daily Caller as a reasoned source of news for President Obama.
Just because something shows up in a publication online does not make what’s stated truth, or even reliable opinion. That a charity watch dog would link a publication known for its political and social bias, as some form of justification for a decision only undermines its own credibility. Yes, the HSUS and the FFA are involved in lawsuits with a couple of insurance companies regarding their liability coverage. As noted, though, it’s common for insurance companies to deny claims of liability when it comes to litigation fees. Kenneth Feld, himself, is involved in a lawsuit with his insurance company about it not wanting to pay those $825.00 an hour fees for Feld’s attorneys in the lawsuit with his sister.
However, there were several insurance companies involved with the groups and this court case. One way or another most, if not all, of the attorney fee settlement will be paid by one or more insurance companies.
An interesting side note about the insurance company lawsuits is the fact that the Humane Society’s lawsuit is being handled in federal court, while the Fund For Animals lawsuit is being managed in the Maryland state court system. This disproves one Feld Entertainment claim that HSUS and FFA are one organization (and hence, justifying Feld’s dragging HSUS into the lawsuit). The reason for the lawsuit split is that FFA is a Maryland corporation, while HSUS is not, and the insurance company was able to argue that it could move the HSUS case to the federal level because of jurisdictional diversity. Nothing more succinctly demonstrates that FFA and HSUS are not the same corporate organization. Yet HSUS has received a donor advisory for a lawsuit it was never involved in. FFA was involved in the ESA suit, but not HSUS.
There is so much to this case, too much to cover in a single writing, but I did want to touch on the major points given by Charity Navigator in its donor advisory. Will the advisory hurt an organization like HSUS? Unlikely. The Humane Society of the United States is one of the older, more established, and largest animal welfare organizations in the country. Its charity ratings to this point have been excellent. A reputable organization like the BBB lists it as an accredited charity, and one only has to do a quick search online to see that it is currently involved in many different animal welfare efforts across the country—from rescuing animals in North Carolina to defending American burros. If people donate or not to the organization it won’t be because of Charity Navigator’s listing, because most people wouldn’t need Charity Navigator to learn more about the HSUS.
But such donor advisories could negatively impact on lesser known, smaller charities. I hope that when Charity Navigator issues such a drastic warning from this day on, it does so based on a foundation that is a little less arbitrary, and much less capricious, than the one they used for HSUS and the other animal welfare groups involved in this court case. | 2019-04-25T16:34:06Z | http://burningbird.net/category/critters/page/2/ |
377. The discharge of trade effluent into public sewers is regulated under the WIA. An occupier of trade premises requires a trade effluent consent before he may discharge trade effluent into the public sewer. He must therefore apply to his sewerage undertaker (water & sewerage company) who will consider the application and issue a trade effluent consent if they are content to do so. Trade effluent consents specify what may be discharged to sewer and contain conditions which the discharger must meet to comply with his consent.
378. From time to time confusion arises as to whether discharges arising from particular types of activity are required to be regulated under the trade effluent consenting regime. Often these discharges are small in volume, but a large quantity of such discharges could potentially be harmful to the environment. Sometimes it has proved difficult for sewerage undertakers to decide and this has led to inconsistency within the consenting regime.
379. Where this has occurred in the past, the problem has been overcome by amending the primary legislation in order to make it clear that effluent emanating from a specified trade required a trade effluent consent. However, this process whilst dealing with the immediate problem has not proved to be a satisfactory long term answer to this problem and remains a somewhat inflexible approach to take.
380. A power is provided Secretary of State to make it clear by statutory instrument whether discharges of any given liquid or matter (whether or not constituting trade effluent) to the public sewer are or are not required to be carried on in accordance with the conditions of a trade effluent consent.
381. The Secretary of State has the power (in effect) to modify the meaning of `trade effluent' and `trade premises' for the purposes of the trade effluent consenting regime in the WIA. By using this power, the Secretary of State should be able to narrow or widen the meaning of these expressions and in turn, make it clear whether discharges from particular processes, substances or types of activity to the public sewer are subject to the consenting regime.
382. The overall effect of these clauses is intended to result in better regulation of the trade effluent discharge process by bringing under control the discharge of small volumes of potentially harmful substances to the water environment.
383. Clauses 92 and 93 amend sections 42 - 44 of the WIA to enable the requisitioned costs of a water main to be paid by a single payment. The existing method of paying over 12 years is retained as an alternative (at the election of the person requisitioning the main).
384. Clause 92: Water mains requisitions: financial conditions. This clause amends section 42 of the WIA (financial conditions of compliance with water mains requisition) to enable the relevant deficit to be paid by a single payment. It also allows for disputes about requisition payments to be determined by the Authority.
385. Clause 93: Water mains requisitions: calculation of payments. This clause amends section 43 of the WIA (calculation of relevant deficit for the purpose of section 42) and is a consequence of the self lay provisions of water mains in clause 94. It also provides a new section 43A which sets out how the discounted aggregate deficit will be calculated. This deficit is the estimated charge by customers over the following 12 years which are taken into account when calculating the single payment. It also makes minor amendments to section 44 of the WIA (determination of completion date and route for requisitioned main).
386. Clause 94: Self-lay and adoption of water mains and service pipes. This clause provides five new sections 51A to 51E.
387. New Section 51A sets out the steps and agreement that must be entered into by a developer or self lay organization proposing to construct domestic water mains or service pipes which are to be vested in the water undertaker. It provides that the main must be built in accordance with the agreement with the water undertaker to enable it to be adopted on completion. The provisions do not prevent agreements being entered into in relation to declarations of vesting for pipes used for non-domestic supplies.
388. New Section 51B sets out the situations where appeals can be made to the Authority if the undertaker refuses to enter into an adoption agreement on reasonable terms.
389. New section 51C provides that the person who enters into the adoption agreement relating to a water main shall pay the undertaker's reasonable costs of incorporating the water main within its existing water mains network. It also provides for an offset payment to be made by the undertaker to the developer or self lay organisation equivalent to the discounted estimated sum of water charges for the first twelve years in respect of premises expected to be connected to the new main.
390. New section 51D provides that if anyone other than a water undertaker builds a water main or service pipe which will be used for supplying water for domestic or food production purposes, the pipe must not be connected unless it vests in the undertaker.
391. New section 51E is supplementary to sections 51A to 51D and Subsections (2) to (7) make minor amendments to sections 45, 47, 179, 198 and 219 of the WIA.
392. Clause 95: Requisition and adoption of sewers. This clause amends section 99 of the WIA to allow the offset payment to be made as a single sum as an alternative to paying over 12 years and provides a new section 100A which sets out how the single sum should be calculated.
393. Clause 96: Provision of public sewers otherwise than by requisition. This clause removes the cut off date from Section 101A of the WIA and extends the duty to provide a public sewer in certain circumstances to all properties where the existing non-mains drainage arrangements is causing environmental or amenity problems.
394. Clauses 97 to 100 provide for lateral drains to be requisitioned from the sewerage undertaker or if they are to be constructed by someone else for adoption by the undertaker, an agreement should be entered into with the undertaker to ensure they are built to adoptable standards. It also provides for an inspection chamber to be constructed close to the curtilage of the property to define the demarcation between the lateral and the house drain. The chamber will also have to be constructed to the required standard for adoption by the sewerage undertaker. A lateral is that part of a drain which runs from the curtilage of the premises to the sewer.
395. Clause 97: Requisition of lateral drains. This clause amends section 98 of the WIA (duty to comply with sewer requisition) to enable lateral drains to also be requisitioned from the sewerage undertaker.
396. Clause 98: Adoption of lateral drains. This clause amends s104 of the WIA to enable lateral drains to be adopted by the sewerage undertaker if they have been constructed in accordance with an agreement with the undertaker. It also makes provision for an inspection chamber to be installed in the lateral drain at or near the point of connection between the lateral drain and the house drain at the curtilage of the property.
397. Clause 99: Requisitioning and adoption of lateral drains: supplementary. This clause amends other relevant sections of the WIA and includes a definition of lateral drains.
398. Clause 100: Communication with public sewers. This clause makes consequential amendments to section 106 of the WIA (right to communicate with public sewers) and in particular to subsection 4 to enable a request to communicate a lateral drain with the sewer to be refused if the standard of construction of the lateral is unreasonable.
399. These clauses deal with devolution, consequential amendments, transitional provisions and powers to make orders and regulations, including providing for Schedule 7 and 8 to have effect. They also cite the name of this Act as the Water Act 2003 and cover its extent.
400. Clause 103 Specific transitional and transitory provisions. Section 103(1) provides that existing abstraction licences are a treated as a full licence (see Clause 3). Section 103(2) provides that where an abstraction is no longer required to be licensed by virtue of the introduction of the new threshold in clause 8, then a licence ceases to have effect for that abstraction.
401. Section 103(3) provides that where an abstraction licence is no longer required by virtue of section 103(2) then the protected right associated with the abstraction continues. However, the protected right will lapse, under section 103(4), if no abstraction has been made for four years or other period as agreed by the Agency if the abstraction is planned to occur over longer intervals.
403. Clause 104: Powers to make further supplementary, consequential and transitional provisions, etc This provision enables the Secretary of State to make such supplementary, incidental, consequential, transitory, transitional or saving provision as she considers necessary or expedient for the purposes of, in consequence of, or for giving full effect to any provision of this Act. This includes a power to amend primary legislation.
404. This power is considered by the Government to be necessary since the Bill is complex. A wide range of consequential amendments to existing legislation and other supplementary, incidental and transitional provisions may be needed.
405. Clause 105: Regulations and orders. This clause relates to the general purposes for which powers under the Bill may be exercised. This provides that any power to make any order or regulations includes powers to make "such incidental, supplementary, consequential, saving or transitional provision (including provision amending, repealing or revoking enactments..)" as the authority doing so considers "expedient". Instruments are generally subject to the negative procedure (clause 105(3)).
406. Part 1 of this Schedule makes a number of minor changes to the abstraction and impounding licensing regime. These include provision in paragraph 2 for the EA to require reports, such as an environmental report, to accompany a licence application. Provision is also made by paragraph 10 to end the current exemption from charges for groundwater abstractions for agricultural use (other than spray irrigation) of less than 20m3 per day (generally such abstractions will become exempt from licence control and hence also from charges). Paragraph 14 replaces Schedule 6 of the WRA, allowing the Environment Agency (only) to apply for Orders to vary abstraction thresholds (Clause 8) and to establish Registers of Protected rights (Clause 20). The revised Schedule retains the structure and consultation requirements of the original, and adds the nature conservation authorities and the Broads Authority (where appropriate) to the list of consultees.
Schedule 8 Minor and Consequential Amendments: Licensing of Water Suppliers etc.
407. Schedule 8 sets out minor and consequential amendments regarding licensing of water suppliers etc.
408. Section 174 of the Water Act 1989 applies a general restriction on disclosure of information obtained under that Act. The section is amended so that the restriction does not apply to disclosure for purposes of facilitating the carrying out of licensed activities by a licensed water supplier.
409. In section 6 of the WIA new subsection (5A) prevents a licensed water supplier from also holding an appointment as a water undertaker. This has the effect of not allowing undertakers to act as licensed water suppliers at the same time. In practice undertakers will need to set up new water supply companies in order to operate outside their own area as licensed water suppliers.
410. Section 18 of the WIA is amended to include licensed water suppliers in orders for securing compliance. Amendment to subsection (1) means that breach of conditions of licence and other enforceable requirements will leave the licensee subject to enforcement action. The insertion of new subsection (1A) will provide for action where either an undertaker has caused or contributed, or is likely to cause or contribute, to a contravention by a licensee or vice versa. This allows enforcement action to be taken against undertakers which cause, or are likely to cause, licensed water suppliers to breach their licence conditions or statutory duties which are made subject to enforcement, or against licensed suppliers where they cause, or are likely to cause, an undertaker to breach its appointment conditions or statutory duties subject to enforcement. This allows for cases where, for instance, an undertaker is in breach of its statutory duties with regard to water quality, but a licensed water supplier contributed to the problem by the omission of not alerting the undertaker to an incident at its customer's premises.
411. Further minor amendments in this section achieve the same purpose as above; including licensed suppliers in the framework for provisional enforcement orders (subsection (4)) and explaining how enforcement orders operate (subsections (6) and (8)).
412. Section 19 of the WIA: Exceptions to the duty to enforce; minor and consequential amendments to make provision for licensed water suppliers. This not only allows for the same exceptions for licensed water suppliers as undertakers where the contravention is trivial or the company is already complying etc. but will also make an exception where the extent of the contribution to the contravention was trivial.
413. Section 20 of the WIA: Procedure for making final enforcement orders; minor and consequential amendments to make provision for licensed water suppliers and contributing to contravention. These ensure the new elements of enforcement are included in the Secretary of State's or Authority's notices.
414. Section 22 of the WIA: Minor and consequential amendments to make provision for licensed water suppliers.
415. Section 23 of the WIA: is amended and has insertions of subsections (2A) and (6). At present, there are various circumstances under which an undertaker may be placed in special administration. These include: becoming insolvent and being in contravention of a requirement so that it would be inappropriate for it to continue to hold an appointment. This amendment extends the existing special administration provisions to licensed water suppliers. The aim of a special administration order is to enable the activities of a licensed water supplier (holding a combined licence) to carry on in respect of its strategic supplies (as defined in section 66G/66H). When a licensed water supplier is put into special administration, the special administration order would make the continued input of water into the supply system one of its purposes. The order allows the input of water to carry on whilst arranging for transfer of those activities to another company or companies through the appointment of a special administrator. (The order can only be made however, if the company already had its introduction or introductions of water designated as a strategic supply (or collective strategic supply) under new section 66G/66H of the Water Industry Act).
416. Section 24 is amended (and with insertion of subsection (1A)) to explain the grounds on which special administration procedures can be invoked in relation to qualifying licensed water suppliers. These grounds will include a breach of licence conditions or an enforcement order or causing an undertaker to breach its duties (if this was serious enough to make it inappropriate for the licence holder to continue to hold its licence). The grounds to invoke special administration will also include serious financial difficulty or the company being about to be wound up.
417. Section 27 of the WIA is amended to so that, in addition to keeping the activities of undertakers under review, the Authority will also keep authorised activities of licensed water suppliers under review. This allows the Authority to gather information from licensed suppliers in pursuance of its duties and powers and to pass on relevant information and assistance to the Secretary of State and the Director General of Fair Trading.
418. Section 39A of the WIA: Undertakers are already obliged to inform their customers about their standards of performance. The amendment of 39A ensures that the Authority can also direct undertakers to pass this information on to licensed suppliers who are using their systems to supply customers. In addition, the Authority can direct licensed suppliers to pass on the undertakers' information on standards of performance to their customers. This will enable customers to continue to be supplied with this information whether the undertaker or licensee is their supplier.
419. Section 43: Customers who requisition a new main in order to make a connection to their premises have to pay an amount known as the relevant deficit. This is defined in this section as the annual borrowing costs of the loan of the amount required to lay that main, minus the water charges payable in respect of that main. The latter amount is the charges paid by the undertaker's customer(s) supplied by that main. If one or more of the customers supplied by that main are subsequently supplied by a licensed water supplier, this amount will reduce and the relevant deficit will then not reflect the revenue received by the undertaker in respect of that main. To correct this, the amendment modifies the calculation of the water charges payable so that it includes the amount received by the undertaker from the licensed water supplier for giving wholesale supplies and permitting the introduction of water into its supply system which can be attributed to the licensed water supplier's customers supplied by that main.
420. Sections 52 and 55 of the WIA are amended to remove the duty for undertakers to supply water to customers eligible for competition outside their areas of appointment whilst ensuring that they do have a duty to supply ineligible customers, out of area, whether for domestic or non-domestic purposes. This has been done so that undertakers are not competing for customers with their associated companies outside their area boundaries. This change also removes any distinction between non-domestic and domestic duties outside undertakers' areas to supply to households and other customers ineligible for competition, i.e. household premises or premises using less than the threshold quantity. There has been ambiguity over application of the non-domestic duty due to requests for supply to premises for both domestic and non-domestic purposes. The changes will remove some ambiguity as to duties when an undertaker supplies water out of area. The only distinction will now be between eligible and ineligible customers.
421. Insertion of new subsection (6A) to section 52 of the WIA removes undertakers' domestic supply duty to any premises where a customer has served notice that they wish to discontinue being supplied by the undertaker (a request made under new section 63AA; see below) on transfer to a licensed water supplier. This means that a customer will have to re-apply to the undertaker for a supply for domestic purposes (under section 52) if they wish to return to being supplied by an undertaker. This subsection ensures that, once a customer has transferred from an undertaker to a licensed water supplier, specific rights and obligations which arise between an undertaker and its customers no longer apply. As an example, once a customer has discontinued being supplied by the undertaker, the licensed water supplier is responsible for ensuring a continued supply of water through its agreement with the undertaker. But the undertaker continues to be responsible to the entire network for water pressure and constancy of supply.
422. New sections 63AA and 63AB of the WIA allow undertakers' (domestic and non-domestic supply) customers to notify them that they no longer want to be supplied by the undertaker and instead are to be supplied by a licensed supplier. The notice will specify the time at which the transfer will occur and must allow at least 2 days notice for metered premises (so that the undertaker can arrange for the meter to be read). Once the undertaker no longer supplies customers, its domestic or non-domestic (as relevant) supply duty to them is interrupted until they re-apply to the undertaker for a supply. Domestic customers wishing to return to the undertaker will re-apply under section 52 of the Act. Non-domestic customers wishing to return will re-apply for a supply under section 55 of the Act. In the latter case, unlike an application under section 52, the undertaker will have ensure that it can meet other current and future supply obligations before it is required to re-supply.
423. Section 63AC. The insertion of section 63AC caters for instances where the customer ceases to be supplied by the licensed water supplier but has not notified the undertaker that he has made other arrangements or otherwise does not want a supply. Where the customer makes such arrangements himself he would be expected to make these in good time to arrange re-supply by the undertaker. Where the licensee has ceased to supply for some reason, an interim supply needs to be available until proper arrangements for re-supply (by the undertaker or another supplier) can be made by the customer.
424. Subsections (2) to (4) provide for the undertaker, as long as it does not put at risk its duties under the Act, to continue supplying the customer with the water as the supplier was previously doing. This supply will continue for a period of at least three months whilst the customer is making other arrangements.
425. Subsections (5) and (6). Where the customer seeks re-supply for non-domestic purposes (under section 55 of the Act) the undertaker will consider this a request for 'new' supply and will first have to ensure its other obligations can be fulfilled before agreeing to supply. The normal provisions regarding disconnections for non-payment and at the request of the customer (under sections 60 to 63 of the Water Industry Act) will apply.
426. Subsection (7). If the undertaker unreasonably fails to make a supply under new section 63AC, the customer will be able to sue them for any loss or damage.
427. Section 68 of the WIA is amended to include licensed water suppliers in the water quality provisions of the Act. Several small amendments in section 68 ensure that the undertaker's duty to provide wholesome water under this section exists whether the water is supplied by the undertaker or by a licensed water supplier. The duty applies to water supplied for domestic or food production purposes through the water undertaker's supply system.
428. New subsection (1A) requires that the licensed water supplier will be responsible for ensuring the water it supplies is wholesome at the time of supply. This will be irrespective of the source from which the water originates; the potential sources being its own abstraction and treatment works, where relevant, or treated water from an undertaker supplied under a wholesale agreement. All licensed water suppliers will have a responsibility to ensure that the water that they supply is wholesome. For example, a licensed water supplier with a retail authorisation may be in receipt of information (from their customers) that, if it was passed on to the relevant undertaker, could alert the undertaker to a water quality problem. In this instance the licensed water supplier acts as a conduit, passing important information between their customer and the undertaker, irrespective of which party supplied the water.
429. Subsection (2) is amended so that, as for the undertaker, the licensed supplier will not be responsible for instances where the water has ceased to be wholesome after having left the undertaker's pipes. However the undertaker (subsection (3)) does have a responsibility to ensure steps are taken to reduce the risk of water deteriorating after leaving the undertaker's pipes. An example of this is where the water supplied may react with lead piping at a premises, leading to an increase in the lead content of water at the tap, the undertaker will be expected to consider additional treatment of the water at the treatment works to reduce these risks. Subsection (3A) extends this duty to licensees.
430. Section 69 of the WIA is amended to ensure licensed water suppliers are included in the provisions for preserving water quality through the supply system. These provisions describe the general steps an undertaker should ensure are taken, such as monitoring, analysis, recording etc, to ensure that the water it supplies meets the wholesomeness requirements set out in section 68. The section provides for these steps to be specified by regulation making powers of the Secretary of State under this section. In the case of the undertaker, the 'steps' described in subsection (2) will need to cover all of the supplies made using the undertakers system. In the case of licensed water suppliers the steps taken to ensure water quality in subsection (2) will apply only to supplies made by them using the undertakers system.
431. The section is amended to allow inclusion of licensed suppliers in regulations made by the Secretary of State regarding the use of approved substances and processes in treating water intended for domestic supply or food production purposes, and to allow inclusion of licensed suppliers in regulations made by the Secretary of State regarding publication of information to customers and other interested parties about water quality in the supply system.
432. Section 70 of the WIA is amended to ensure that anyone concerned in the supply of water unfit for human consumption will be liable to prosecution. This will allow licensed water suppliers and their contractors (or those of undertakers) to be prosecuted for any incidents of such supply. The effect of new subsection (1A) is to include undertakers and any other employer of self-employed person of those concerned in the supply as relevant persons to which the section applies. These parties would all have to show, in the case of an incident (subsection (3A)), that they had no reasonable grounds for suspecting that the water would be used for human consumption or that they took all reasonable steps and all due diligence in avoiding the incident. Subsection (3B) explains the concept of relevant arrangements. The undertaker is in control of the system and in granting access to the licensed water supplier will ensure that they put in place arrangements to ensure water is fit. The licensed water supplier would be responsible for ensuring that all these arrangements are carried out. This is to prevent an undertaker or licensed water supplier claiming that an incident was the fault of a contractor or someone else concerned in the supply, where it had not taken sufficient care to ensure the contractor was carrying out his duties properly, i.e. it will have some responsibility whether it was directly or indirectly involved in an incident.
433. Section 72 of the WIA: Minor and consequential amendment extends the application of the section to the pipes and conduits of licensed water suppliers. It will be an offence to contaminate water in the pipes of licensed water suppliers as well as those of an undertaker.
434. Section 73 of the WIA: Minor and consequential amendment extends to the supply of water by licensed suppliers the protection against contamination and waste of water currently afforded to undertakers.
435. Section 74 of the WIA: Minor and consequential amendment extends to licensed suppliers the protection by regulations preventing contamination, waste and safety of water fittings currently afforded to undertakers.
436. Section 75 of the WIA: Minor and consequential amendment to make provision for premises supplied by licensed water suppliers to remain within the provisions which enable undertakers to prevent damage, contamination or misuse of the water, to their systems arising from customer's fittings.
437. Section 76 of the WIA is amended to include premises supplied by licensed water suppliers within those that will be affected by temporary hosepipe bans. Since undertakers issue public notices about hosepipe bans, they will remain responsible for informing all customers on their networks, irrespective of the supplier.
438. Section 78 of the WIA is amended to ensure that when local authorities inform undertakers of water quality or supply problems at a customer's premises, they do this whether the supplier is the undertaker or a licensed supplier. The undertaker would inform the licensee of the problem where appropriate.
439. Amendment of sections 93A to 93D of the WIA extends to licensed water suppliers the existing duty for undertakers to promote efficient use of water by their customers. Efficiency services offered to customers can, for example, advise them of ways of reducing their water consumption and adapting their seasonal water requirements.
440. Section 150 of the WIA is amended to ensure that the effect of the section, to impose a cap on charges on water resellers, does not affect licensed water suppliers supplying their customers.
441. Section 152 of the WIA is amended to allow licensed water suppliers to obtain grants in order to comply with national security directions (section 208) where this is appropriate. Currently undertakers can receive grants in order to assist them with complying with national security directions.
442. Section 158 of the WIA, powers to lay pipes in streets, is amended to include certain pipes laid in order to introduce water at the request of a licensed water supplier (subject to exclusions). The powers to lay these pipes will also apply across third party land under section 159. This power will not apply to pipes laid for the purpose of connecting to a non-potable network.
443. Section 174 of the WIA: Minor and consequential amendments extend the offence of interference with works, from the pipes and fittings vested in or belonging to undertakers, to those vested in or belonging to licensed water suppliers or used by them to supply customers.
444. Section 175 of the WIA: Minor and consequential amendments extend the offence of tampering with a meter used by undertakers in supplying a customer to meters used in supplying customers of licensed water suppliers.
445. Amendment of section 179 of the WIA requires undertakers to own any pipes laid by themselves between the licensed water supplier's treatment works and the undertaker's supply system, or between the secondary undertakers' distribution network and the undertaker's supply system in accordance with sections 66B and 66C respectively.
446. Amendment of section 195 of the WIA requires the Authority to add information on licensed water suppliers to the register that it keeps on undertakers' appointments. The register will include information on licences, variations and revocations. It will also include any direction, consent or determination made by the Secretary of State, Environment Agency or the NAW.
447. Amendment of section 201 of the WIA extends the right of the Secretary of State or the Authority to publish information in the public interest on the activities of a licensed supplier.
448. Amendment of section 202 of the WIA extends to licensed water suppliers the duty to supply to the Secretary of State information related to their licensed activities that the Secretary of State might reasonably require in order to carry out his statutory functions.
449. Amendment of section 203 of the WIA extends the power of the Secretary of State or the Authority in order that they may acquire information from any person if they suspect a licensed water supplier has breached its licence conditions or caused an undertaker to breach its appointment conditions; and also conversely, if they suspect that an undertaker has caused a licensed water supplier to breach the conditions of its licence. This is to ensure that the Secretary of State or Authority is able to gather all relevant information that they might reasonably need relating to the supply of water by a licensed water supplier.
450. Currently section 205 of the WIA allows sewerage undertakers to demand meter readings from water undertakers serving the same customer in order to estimate their sewerage service bills. The section is amended to allow any party; water undertaker, licensed water supplier or sewerage undertaker, subject to paying a suitable fee, to demand meter readings from the other party if it has that information. In practice this will mean if the water undertaker takes a meter reading, the sewerage undertaker and the licensed water supplier to the same premises may demand the meter reading on paying the meter reading charge. It may be the case that the licensed water supplier has its own meter and comes to an arrangement with the sewerage undertaker to supply it with a meter reading. This amendment ensures data is available to all parties involved in providing water and sewerage services. The aim is to prevent all three parties being obliged to visit the customer's premises (with the possible disruption to the customer) to take meter readings.
451. Amendment of section 206 of the WIA makes consequential amendments in respect of licensed water suppliers; restricting disclosure of any information obtained from licensed water suppliers by provisions of the Act. This extends the protection currently available to undertakers; that certain commercial or personal information is not published except under certain circumstances.
452. Amendment of section 208 of the WIA includes licensed water suppliers within the remit of the Secretary of State's power to make directions with regard to issues of national security and emergency planning. This draws in licensed water suppliers so that their water sources can if necessary be taken into account in preparations made to deal with civil emergencies.
453. Schedule 2 of the WIA is amended in order to apply the provisions relating to the making of transfer schemes to circumstances where a special administration order is made in respect of a licensed water supplier which provides one or more designated strategic supplies. They entitle a special administrator to make a scheme to transfer all or part of the property, rights, and liabilities of the licensed water supplier related to the strategic supply or collective strategic supply to one or more other parties, namely a new licensed water supplier together with, if the special administrator so determines, one or more of the undertakers in whose areas the strategic supplies are located. The new paragraph 4A, however, prohibits the special administrator from including in the scheme provisions to transfer the licence itself to the new licensed water supplier, which must go through an appropriate licensing process if it does not already hold a licence.
454. Schedule 3 of the WIA governs the application of certain provisions of the Insolvency Act 1986 in the specific circumstances of special administration. The amendments provide that the Insolvency Act will be applied where a licensed water supplier is the subject of a special administration order in the same way as it applies where an undertaker is the subject of a special administration order.
455. Amendment of section 203 of the Water Resources Act 1991, includes the licensed water suppliers in the reciprocal duties (which undertakers are currently under) to exchange information with the Environment Agency with respect to pollution incidents.
456. Amendment of section 204 of the Water Resources Act 1991, Minor and consequential amendments applies the restriction on disclosure of information to licensed water suppliers, and takes into account the changes to section 203 of the WRA.
457. Minor and consequential amendments will be made to paragraph 19A(9) of Schedule 7 to the Competition Act 1998 to make provision for licensed water suppliers.
458. Minor and consequential amendments will be made to section 168 and section 249 of the Enterprise Act 2002 to make provision for licensed water suppliers. | 2019-04-24T07:54:02Z | https://publications.parliament.uk/pa/cm200203/cmbills/149/en/03149x-e.htm |
Respondent brought this class action for injunctive and declaratory relief against the Illinois officials administering the federal-state programs of Aid to the Aged, Blind, and Disabled (AABD), which are funded equally by the State and Federal Governments, contending that they were violating federal law and denying equal protection of the laws by following state regulations that did not comply with the federal time limits within which participating States had to process and make grants with respect to AABD applications. The District Court by a permanent injunction required compliance with the federal time limits and also ordered the state officials to release and remit AABD benefits wrongfully withheld to all persons found eligible who had applied therefor between July 1, 1968, the date of the federal regulations, and April 16, 1971, the date of the court's preliminary injunction. The Court of Appeals affirmed, rejecting the state officials' contentions that the Eleventh Amendment barred the award of the retroactive benefits and that the judgment of inconsistency between federal regulations and state provisions could be given only prospective effect. Held: The Eleventh Amendment of the Constitution bars that portion of the District Court's decree that ordered retroactive payment of benefits. Pp. 658678.
(a) A suit by private parties seeking to impose a liability payable from public funds in the state treasury is foreclosed by the Amendment if the State does not consent to suit. Pp. 662663.
(b) The Court of Appeals erred in holding that Ex parte Young, 209 U.S. 123, 28 S.Ct. 441, 52 L.Ed. 714, which awarded only prospective relief, did not preclude the retroactive monetary award here on the ground that it was an 'equitable restitution,' since that award, though on its face directed against the state official individually, as a practical matter could be satisfied only from the general revenues of the State and was indistinguishable from an award of damages against the State. Ford Motor Co. v. Department of Treasury, 323 U.S. 459, 65 S.Ct. 347, 89 L.Ed. 389, followed. Shapiro v. Thompson, 394 U.S. 618, 89 S.Ct. 1322, 22 L.Ed.2d 600; State Dept. of Health and Rehabilitation Services v. Zarate, 407 U.S. 918, 92 S.Ct. 2462, 32 L.Ed.2d 803; Sterrett v. Mothers' & Children's Rights Organization, 409 U.S. 809, 93 S.Ct. 68, 34 L.Ed.2d 70; Wyman v. Bowens, 397 U.S. 49, 90 S.Ct. 813, 25 L.Ed.2d 38, disapproved to extent that their holdings do not comport with the holding in the instant case on the Eleventh Amendment issue. Pp. 663771.
(c) The State of Illinois did not waive its Eleventh Amendment immunity and consent to the bringing of respondent's suit by participating in the federal AABD program. Parden v. Terminal R. Co., 377 U.S. 184, 84 S.Ct. 1207, 12 L.Ed.2d 233, and Petty v. Tennessee-Missouri Bridge Comm'n., 359 U.S. 275, 79 S.Ct. 785, 3 L.Ed.2d 804, distinguished. Nor does the mere fact that a State participates in a program partially funded by the Federal Government manifest consent by the State to be sued in federal courts. Pp. 671674.
(d) The Court of Appeals properly considered the Eleventh Amendment defense, which the state officials did not assert in the District Court, since that defense partakes of the nature of a jurisdictional bar. Ford Motor Co. v. Department of Treasury, supra. Pp. 677678.
472 F.2d 985, 7 Cir., reversed and remanded.
Robert J. O'Rourke, Chicago, Ill., for petitioner.
Sheldon Roodman, Chicago, Ill., for respondents.
On appeal to the United States Court of Appeals for the Seventh Circuit, the Illinois officials contended, inter alia, that the Eleventh Amendment barred the award of retroactive benefits, that the judgment of inconsistency between the federal regulations and the provisions of the Illinois Categorical Assistance Manual could be given prospective effect only, and that the federal regulations in question were inconsistent with the Social Security Act itself. The Court of Appeals rejected these contentions and affirmed the judgment of the District Court. Jordan v. Weaver, 472 F.2d 985 (7 Cir. 1973). 6 Because of an apparent conflict on the Eleventh Amendment issue with the decision of the Court of Appeals for the Second Circuit in Rothstein v. Wyman, 467 F.2d 226 (1972), cert. denied, 411 U.S. 921, 93 S.Ct. 1552, 36 L.Ed.2d 315 (1973), we granted the petition for certiorari filed by petitioner Joel Edelman, who is the present Director of the Illinois Department of Public Aid, and successor to the former directors sued below. 412 U.S. 937, 93 S.Ct. 2776, 37 L.Ed.2d 398 (1973).
'The right of the Federal Judiciary to summon a State as defendant and to adjudicate its rights and liabilities had been the subject of deep apprehension and of active debate at the time of the adoption of the Constitution; but the existence of any such right had been disclaimed by many of the most eminent advocates of the new Federal Government, and it was largely owing to their successful dissipation of the fear of the existence of such Federal power that the Constitution was finally adopted.' 1 C. Warren, The Supreme Court in United States History 91 (rev.ed.1973).
Despite such disclaimers, 9 the very first suit entered in this Court at its February Term in 1791 was brought against the State of Maryland by a firm of Dutch bankers as creditors. Vanstophorst v. Maryland, see 2 Dall. 401 and Warren, supra, at 91 n. 1. The subsequent year brought the institution of additional suits against other States, and caused considerable alarm and consternation in the country.
'(W)hen the action is in essence one for the recovery of money from the state, the state is the real, substantial party in interest and is entitled to invoke its sovereign immunity from suit even though individual officials are nominal defendants.' Id., at 464, 65 S.Ct., at 350.
Thus the rule has evolved that a suit by private parties seeking to impose a liability which must be paid from public funds in the state treasury is barred by the Eleventh Amendment. Great Northern Life Insurance Co. v. Read, supra; Kennecott Copper Corp. v. State Tax Comm'n, 327 U.S. 573, 66 S.Ct. 745, 90 L.Ed. 862 (1946).
The Court of Appeals in this case, while recognizing that the Hans line of cases permitted the State to raise the Eleventh Amendment as a defense to suit by its own citizens, nevertheless concluded that the Amendment did not bar the award of retroactive payments of the statutory benefits found to have been wrongfully withheld. The Court of Appeals held that the above-cited cases, when read in light of this Court's landmark decision in Ex parte Young, 209 U.S. 123, 28 S.Ct. 441, 52 L.Ed. 714 (1908), do not preclude the grant of such a monetary award in the nature of equitable restitution.
Petitioner concedes that Ex parte Young, supra, is no bar to that part of the District Court's judgment that prospectively enjoined petitioner's predecessors from failing to process applications within the time limits established by the federal regulations. Petitioner argues, however, that Ex parte Young does not extend so far as to permit a suit which seeks the award of an accrued monetary liability which must be met from the general revenues of a State, absent consent or waiver by the State of its Eleventh Amendment immunity, and that therefore the award of retroactive benefits by the District Court was improper.
Ex parte Young was a watershed case in which this Court held that the Eleventh Amendment did not bar an action in the federal courts seeking to enjoin the Attorney General of Minnesota from enforcing a statute claimed to violate the Fourteenth Amendment of the United States Constitution. This holding has permitted the Civil War Amendments to the Constitution to serve as a sword, rather than merely as a shield, for those whom they were designed to protect. But the relief awarded in Ex parte Young was prospective only; the Attorney General of Minnesota was enjoined to conform his future conduct of that office to the requirement of the Fourteenth Amendment. Such relief is analogous to that awarded by the District Court in the prospective portion of its order under review in this case.
'It is not pretended that these payments are to come from the personal resources of these appellants. Appellees expressly contemplate that they will, rather, involve substantial expenditures from the public funds of the state. . . .
'It is one thing to tell the Commissioner of Social Services that he must comply with the federal standards for the future if the state is to have the benefit of federal funds in the programs he administers. It is quite another thing to order the Commissioner to use state funds to make reparation for the past. The latter would appear to us to fall afoul of the Eleventh Amendment if that basic constitutional provision is to be conceived of as having any present force.' 467 F.2d, at 236237 (footnotes omitted).
We agree with Judge McGowan's observations. The funds to satisfy the award in this case must inevitably come from the general revenues of the State of Illinois, and thus the award resembles far more closely the monetary award against the State itself, Ford Motor Co. v. Department of Treasury, supra, than it does the prospective injunctive relief awarded in Ex parte Young.
We do not read Ex parte Young or subsequent holdings of this Court to indicate that any form of relief may be awarded against a state officer, no matter how closely it may in practice resemble a money judgment payable out of the state treasury, so long as the relief may be labeled 'equitable' in nature. The Court's opinion in Ex parte Young hewed to no such line. Its citation of Hagood v. Southern, 117 U.S. 52, 6 S.Ct. 608, 29 L.Ed. 805 (1886), and In re Ayers, 123 U.S. 443, 8 S.Ct. 164, 31 L.Ed. 216 (1887), which were both actions against state officers for specific performance of a contract to which the State was a party, demonstrate that equitable relief may be barred by the Eleventh Amendment.
As in most areas of the law, the difference between the type of relief barred by the Eleventh Amendment and that permitted under Ex parte Young will not in many instances be that between day and night. The injunction issued in Ex parte Young was not totally without effect on the State's revenues, since the state law which the Attorney General was enjoined from enforcing provided substantial monetary penalties against railroads which did not conform to its provisions. Later cases from this Court have authorized equitable relief which has probably had greater impact on state treasuries than did that awarded in Ex parte Young. In Graham v. Richardson, 403 U.S. 365, 91 S.Ct. 1848, 29 L.Ed.2d 534 (1971), Arizona and Pennsylvania welfare officials were prohibited from denying welfare benefits to otherwise qualified recipients who were aliens. In Goldberg v. Kelly, 397 U.S. 254, 90 S.Ct. 1011, 25 L.Ed.2d 287 (1970), New York City welfare officials were enjoined from following New York State procedures which authorized the termination of benefits paid to welfare recipients without prior hearing. 12 But the fiscal consequences to state treasuries in these cases were the necessary result of compliance with decrees which by their terms were prospective in nature. State officials, in order to shape their official conduct to the mandate of the Court's decrees, would more likely have to spend money from the state treasury than if they had been left free to pursue their previous course of conduct. Such an ancillary effect on the state treasury is a permissible and often an inevitable consequence of the principle announced in Ex parte Young, supra.
But that portion of the District Court's decree which petitioner challenges on Eleventh Amendment grounds goes much further than any of the cases cited. It requires payment of state funds, not as a necessary consequence of compliance in the future with a substantive federal-question determination, but as a form of compensation to those whose applications were processed on the slower time schedule at a time when petitioner was under no court-imposed obligation to conform to a different standard. While the Court of Appeals described this retroactive award of monetary relief as a form of 'equitable restitution,' it is in practical effect indistinguishable in many aspects from an award of damages against the State. It will to a virtual certainty be paid from state funds, and not from the pockets of the individual state officials who were the defendants in the action. It is measured in terms of a monetary loss resulting from a past breach of a legal duty on the part of the defendant state officials.
Were we to uphold this portion of the District Court's decree, we would be obligated to overrule the Court's holding in Ford Motor Co. v. Department of Treasury, supra. There a taxpayer, who had, under protest, paid taxes to the State of Indiana, sought a refund of those taxes from the Indiana state officials who were charged with their collection. The taxpayer claimed that the tax had been imposed in violation of the United States Constitution. The term 'equitable restitution' would seem even more applicable to the relief sought in that case, since the taxpayer had at one time had the money, and paid it over to the State pursuant to an allegedly unconstitutional tax exaction. Yet this Court had no hesitation in holding that the taxpayer's action was a suit against the State, and barred by the Eleventh Amendment. We reach a similar conclusion with respect to the retroactive portion of the relief awarded by the District Court in this case.
'With respect to appellants' contention that the State of Colorado has not consented to suit in a federal forum even where the plaintiff is the United States, see Principality Monaco v. Mississippi, 292 U.S. 313, 54 S.Ct. 745, 78 L.Ed. 1282 (1934), and Ex parte Young, 209 U.S. 123, 28 S.Ct. 441, 52 L.Ed. 714 (1908).' Id., at 358, 87 S.Ct., at 467.
Monaco v. Mississippi, 292 U.S. 313, 54 S.Ct. 745, 78 L.Ed. 1282 (1934), reaffirmed the principle that the Eleventh Amendment was no bar to a suit by the United States against a State. Id., at 329, 54 S.Ct., at 750. In view of Mr. Chief Justice Hughes' vigorous reaffirmation in Monaco of the principles of the Eleventh Amendment and sovereign immunity, we think it unlikely that the Court in Department of Employment v. United States, in citing Ex parte Young as well as Monaco, intended to foreshadow a departure from the rule to which we adhere today.
Three fairly recent District Court judgments requiring state directors of public aid to make the type of retroactive payment involved here have been summarily affirmed by this Court notwithstanding Eleventh Amendment contentions made by state officers who were appealing from the District Court judgment. 13 Shapiro v. Thompson, 394 U.S. 618, 89 S.Ct. 1322, 22 L.Ed.2d 600 (1969), is the only instance in which the Eleventh Amendment objection to such retroactive relief was actually presented to this Court in a case which was orally argued. The three-judge District Court in that case had ordered the retractive payment of welfare benefits found by that court to have been unlawfully withheld because of residence requirements held violative of equal protection. 270 F.Supp. 331, 338 n. 5 (D.C.Conn.1967). This Court, while affirming the judgment, did not in its opinion refer to or substantively treat the Eleventh Amendment argument. Nor, of course, did the summary dispositions of the three District Court cases contain any substantive discussion of this or any other issues raised by the parties.
This case, therefore, is the first opportunity the Court has taken to fully explore and treat the Eleventh Amendment aspects of such relief in a written opinion. Shapiro v. Thompson and these three summary affirmances obviously are of precedential value in support of the contention that the Eleventh Amendment does not bar the relief awarded by the District Court in this case. Equally obviously, they are not of the same precedential value as would be an opinion of this Court treating the question on the merits. Since we deal with a constitutional question, we are less constrained by the principle of stare decisis than we are in other areas of the law. 14 Having now had an opportunity to more fully consider the Eleventh Amendment issue after briefing and argument, we disapprove the Eleventh Amendment holdings of those cases to the extent that they are inconsistent with our holding today.
The Court of Appeals held in the alternative that even if the Eleventh Amendment be deemed a bar to the retroactive relief awarded respondent in this case, the State of Illinois had waived its Eleventh Amendment immunity and consented to the bringing of such a suit by participating in the federal AABD program. The Court of Appeals relied upon our holdings in Parden v. Terminal R. Co., 377 U.S. 184, 84 S.Ct. 1207, 12 L.Ed.2d 233 (1964), and Petty v. Tennessee-Missouri Bridge Comm'n, 359 U.S. 275, 79 S.Ct. 785, 3 L.Ed.2d 804 (1959), and on the dissenting opinion of Judge Bright in Employees v. Department of Public Health and Welfare, 452 F.2d 820, 827 (C.A.8 1971). While the holding in the latter case was ultimately affirmed by this Court in 411 U.S. 279, 93 S.Ct. 1614, 36 L.Ed.2d 251 (1973), we do not think that the answer to the waiver question turns on the distinction between Parden, supra, and Employees, supra. Both Parden and Employees involved a congressional enactment which by its terms authorized suit by designated plaintiffs against a general class of defendants which literally included States or state instrumentalities. Similarly, Petty v. Tennessee-Missouri Bridge Comm'n, supra, involved congressional approval, pursuant to the Compact Clause, of a compact between Tennessee and Missouri, which provided that each compacting State would have the power 'to contract, to sue, and be sued in its own name.' The question of waiver or consent under the Eleventh Amendment was found in those cases to turn on whether Congress had intended to abrogate the immunity in question, and whether the State by its participation in the program authorized by Congress had in effect consented to the abrogation of that immunity.
The mere fact that a State participates in a program through which the Federal Government provides assistance for the operation by the State of a system of public aid is not sufficient to establish consent on the part of the State to be sued in the federal courts. And while this Court has, in cases such as J. I. Case Co. v. Borak, 377 U.S. 426, 84 S.Ct. 1555, 12 L.Ed.2d 423 (1964), authorized suits by one private party against another in order to effectuate a statutory purpose, it has never done so in the context of the Eleventh Amendment and a state defendant. Since Employees, supra, where Congress had expressly authorized suits against a general class of defendants and the only thing left to implication was whether the described class of defendants included States, was decided adversely to the putative plaintiffs on the waiver question, surely this respondent must also fail on that issue. The only language in the Social Security Act which purported to provide a federal sanction against a State which did not comply with federal requirements for the distribution of federal monies was found in former 42 U.S.C. 1384 (now replaced by substantially similar provisions in 42 U.S.C. 804), which provided for termination of future allocations of federal funds when a participating State failed to conform with federal law. 16 This provision by its terms did not authorize suit against anyone, and standing alone, fell far short of a waiver by a participating State of its Eleventh Amendment immunity.
Our Brother MARSHALL argues in dissent, and the Court of Appeals held, that although the Social Security Act itself does not create a private cause of action, the cause of action created by 42 U.S.C. 1983, coupled with the enactment of the AABD program, and the issuance by HEW or regulations which require the States to make corrective payments after successful 'fair hearings' and provide for federal matching funds to satisfy federal court orders of retroactive payments, indicate that Congress intended a cause of action for public aid recipients such as respondent. 17 It is, of course, true that Rosado v. Wyman, 397 U.S. 397, 90 S.Ct. 1207, 25 L.Ed.2d 442 (1970), held that suits in federal court under § 1983 are proper to secure compliance with the provisions of the Social Security Act on the part of participating States. 18 But it has not heretofore been suggested that § 1983 was intended to create a waiver of a State's Eleventh Amendment immunity merely because an action could be brought under that section against state officers, rather than against the State itself. Though a § 1983 action may be instituted by public aid recipients such as respondent, a federal court's remedial power, consistent with the Eleventh Amendment, is necessarily limited to prospective injunctive relief, Ex parte Young, supra, and may not include a retroactive award which requires the payment of funds from the state treasury, Ford Motor Co. v. Department of Treasury, supra.
'(The Attorney General of Indiana) appealed in the federal District Court and the Circuit Court of Appeals and defended the suit on the merits. The objection to petitioner's suit as a violation of the Eleventh Amendment was first made and argued by Indiana in this Court. This was in time, however. The Eleventh Amendment declares a policy and sets forth an explicit limitation on federal judicial power of such compelling force that this Court will consider the issue arising under this Amendment in this case even though urged for the first time in this Court.' 323 U.S., at 466467, 65 S.Ct., at 352.
For the foregoing reasons we decide that the Court of Appeals was wrong in holding that the Eleventh Amendment did not constitute a bar to that portion of the District Court decree which ordered retroactive payment of benefits found to have been wrongfully withheld. The judgment of the Court of Appeals is therefore reversed and the cause remanded for further proceedings consistent with this opinion.
Once the federal court had jurisdiction over the case, the fact that it ruled adversely to the claimant on the constitutional claim did not deprive it of its pendent jurisdiction over the statutory claim. United States v. Georgia Pub.Serv. Comm'n, 371 U.S. 285, 287288, 83 S.Ct. 397, 399, 9 L.Ed.2d 317.
In Ex parte Young, 209 U.S. 123, 28 S.Ct. 441, 52 L.Ed. 714, a suit by stockholders of a railroad was brought in a federal court against state officials to enjoin the imposition of confiscatory rates on the railroad in violation of the Fourteenth Amendment. The Eleventh Amendment was interposed as a defense. The Court rejected the defense, saying that state officials with authority to enforce state laws 'who threaten and are about to commence proceedings, either of a civil or criminal nature, to enforce against parties affected an unconstitutional act, violating the Federal Constitution, may be enjoined by a Federal court of equity from such action.' Id., at 156, 28 S.Ct., at 452. The Court went on to say that a state official seeking to enforce in the name of a State an unconstitutional act 'comes into conflict with the superior authority of that Constitution, and he is in that case stripped of his official or representative character and is subjected in his person to the consequence of his individual conduct. The state has no power to impart to him any immunity from responsibility to the supreme authority of the United States.' Id., at 159160, 28 S.Ct., at 454.
As the complaint in the instant case alleges violations by officials of Illinois of the Equal Protections Clause of the Fourteenth Amendment, it seems that the case is governed by Ex parte Young so far as injunctive relief is concerned. The main thrust of the argument is that the instant case asks for relief which if granted would affect the treasury of the State.
Most welfare decisions by federal courts have a financial impact on the States. Under the existing federal-state cooperative system, a state desiring to participate, submits a 'state plan' to HEW for approval; once HEW approves the plan the State is locked into the cooperative scheme until it withdraws, 3 all as described in King v. Smith, 392 U.S. 309, 316, 88 S.Ct. 2128, 2132, 20 L.Ed.2d 1118 et seq. The welfare cases coming here have involved ultimately the financial responsibility of the State to beneficiaries claiming they were deprived of federal rights. King v. Smith required payment to children even though their mother was cohabitating with a man who could not pass muster as a 'parent.' Rosado v. Wyman, 397 U.S. 397, 90 S.Ct. 1207, 25 L.Ed.2d 442, held that under this state-federal cooperative program a State could not reduce its standard of need in conflict with the federal standard. It is true that Rosado did not involve retroactive payments as are involved here. But the distinction is not relevant or material because the result in every welfare case coming here is to increase or reduce the financial responsibility of the participating State. In no case when the responsibility of the State is increased to meet the lawful demand of the beneficiary, is there any levy on state founds. Whether the decree is prospective only or requires payments for the weeks or months wrongfully skipped over by the state officials, the nature of the impact on the state treasury is precisely the same.
The Court of Appeals for the Seventh Circuit is in line with that view; the opposed view of the Court of Appeals for the Second Circuit in Rothstein v. Wyman, 467 F.2d 226, is out of harmony with the established law.
What is asked by the instant case is minor compared to the relief granted in Griffin v. School Board, 377 U.S. 218, 84 S.Ct. 1226, 12 L.Ed.2d 256. In that case we authorized entry of an order putting an end to a segregated school system. We held, inter alia, that 'the District Court may, if necessary to prevent further racial discrimination, require the Supervisors to exercise the power that is theirs to levy taxes to raise funds adequate to reopen, operate, and maintain without racial discrimination a public school system in Prince Edward County like that operated in other counties in Virginia.' Id., at 233, 84 S.Ct., at 1234. We so held against vigorous contentions of the state officials that the Eleventh Amendment protected the State; and in reply we cited Lincoln County v. Luning, 133 U.S. 529, 10 S.Ct. 363, 33 L.Ed. 766, and Kennecott Copper Corp. v. State Tax Comm'n, 327 U.S. 573, 579, 66 S.Ct. 745, 748, 90 L.Ed. 862, to support the proposition that 'actions against a county can be maintained in United States courts in order to vindicate federally guaranteed rights.' 377 U.S., at 233, 84 S.Ct., at 1234.
Griffin is sought to be distinguished on the ground that a 'county' is not the 'state' for purposes of the Eleventh Amendment. But constitutionally the county in Griffin was exercising state policy as are the counties here, because otherwise the claim of denial of equal protection would be of no avail.
Counties are citizens of their State for purposes of diversity of citizenship. Bullard v. City of Cisco, 290 U.S. 179, 54 S.Ct. 177, 78 L.Ed. 254; Moor v. County of Alameda, 411 U.S. 693, 718719, 93 S.Ct. 1785, 1800, 36 L.Ed.2d 596. And they are not States for purposes of 28 U.S.C. 1251(a) which gives this Court original and exclusive jurisdiction of: '(1) All controversies between two or more states. . . .' Illinois v. City of Milwaukee, 406 U.S. 91, 98, 92 S.Ct. 1385, 1390, 31 L.Ed.2d 712. But, being citizens of their State, suits against them by another State are in our original but not exclusive jurisdiction under 28 U.S.C. 1251(b)(3). Ibid. Yet, as agencies of the State whether in carrying out educational policies or other they are the State, as Griffin held, for purposes of the Fourteenth Amendment. And Griffin, like the present case, dealt only with liability to citizens for state policy and state action.
It is said however, that the Eleventh Amendment is concerned, not with immunity of States from suit, but with the jurisdiction of the federal courts to entertain the suit. The Eleventh Amendment does not speak of 'jurisdiction'; it withholds the 'judicial power' of federal courts 'to any suit in law or equity . . . against one of the United States . . ..' If that 'judicial power,' or 'jurisdiction' if one prefers that concept, may not be exercised even in 'any suit in . . . equity' then Ex parte Young should be overruled. But there is none eager to take the step. Where a State has consented to join a federal-state cooperative project, it is realistic to conclude that the State has agreed to assume its obligations under that legislation. There is nothing in the Eleventh Amendment to suggest a difference between suits at law and suits in equity, for it treats the two without distinction. If common sense has any role to play in constitutional adjudication, once there is a waiver of immunity it must be true that it is complete so far as effective operation of the state-federal joint welfare program is concerned.
'Our conclusion is simply that Alabama, when it began operation of an interstate railroad approximately 20 years after enactment of the FELA, necessarily consented to such suit as was authorized by that Act,' Id., at 192, 84 S.Ct., at 1213.
'Our conclusion that this suit may be maintained is in accord with the common sense of this Nation's federalism. A State's immunity from suit by an individual without its consent has been fully recognized by the Eleventh Amendment and by subsequent decisions of this Court. But when a State leaves the sphere that is exclusively its own and enters into activities subject to congressional regulation, it subjects itself to that regulation as fully as if it were a private person or corporation.' Id., at 196, 84 S.Ct., at 1215.
As the Court of Appeals in the instant case concluded, Illinois by entering into the joint federal-state welfare plan just as surely '(left) the sphere that is exclusively its own.' Ibid.
It is argued that participation in the program of federal financial assistance is not sufficient to establish consent on the part of the State to be sued in federal courts. But it is not merely participation which supports a finding of Eleventh Amendment waiver, but participation in light of the existing state of the law as exhibited in such decisions as Shapiro v. Thompson, 394 U.S. 618, 89 S.Ct. 1322, 22 L.Ed.2d 600, which affirmed judgments ordering retroactive payment of benefits. Today's holding that the Eleventh Amendment forbids court-ordered retroactive payments, as the Court recognizes, necessitates an express overruling of several of our recent decisions. But it was against the background of those decisions that Illinois continued its participation in the federal program, and it can hardly be claimed that such participation was in ignorance of the possibility of court-ordered retroactive payments. The decision to participate against that background of precedent can only be viewed as a waiver of immunity from such judgments.
This suit is brought by Illinois citizens against Illinois officials. In that circumstance, Illinois may not invoke the Eleventh Amendment, since that Amendment bars only federal court suits against States by citizens of other States. Rather, the question is whether Illinois may avail itself of the nonconstitutional but ancient doctrine of sovereign immunity as a bar to respondent's claim for retroactive AABD payments. In my view Illinois may not assert sovereign immunity for the reason I expressed in dissent in Employees v. Department of Public Health and Welfare, 411 U.S. 279, 298, 93 S.Ct. 1614, 1625, 36 L.Ed.2d 251 (1973): the States surrendered that immunity in Hamilton's words, 'in the plan of the Convention,' that formed the Union, at least insofar as the States granted Congress specifically enumerated powers. See id., at 319 n. 7, 93 S.Ct., at 1635; Parden v. Terminal R. Co., 377 U.S. 184, 84 S.Ct. 1207, 12 L.Ed.2d 233 (1964). Congressional authority to enact the Social Security Act, of which AABD is a part, former 42 U.S.C. 13811385 (now replaced by similar provisions in 42 U.S.C. 801804 (1970 ed., Supp. II)), is to be found in Art. I, § 8, cl. 1, one of the enumerated powers granted Congress by the States in the Constitution. I remain of the opinion that 'because of its surrender, no immunity exists that can be the subject of a congressional declaration or a voluntary waiver,' 411 U.S., at 300, 93 S.Ct., at 1626, and thus have no occasion to inquire whether or not Congress authorized an action for AABD retroactive benefits, or whether or not Illinois voluntarily waived the immunity by its continued participation in the program against the background of precedents which sustained judgments ordering retroactive payments.
Mr. Justice MARSHALL, with whom Mr. Justice BLACKMUN joins, dissenting.
So here, Illinois elected to participate in the AABD program, and received and expended substantial federal funds in the years at issue. It thereby obligated itself to comply with federal law, including the requirement of former 42 U.S.C. 1382(a)(8) that 'such aid or assistance shall be furnished with reasonable promptness to all eligible individuals.' In Townsend v. Swank, 404 U.S. 282, 286, 92 S.Ct. 502, 505, 30 L.Ed.2d 448 (1971), we held that participating States must strictly comply with the requirement that aid be furnished 'to all eligible individuals,' and that the States have no power to impose additional eligibility requirements which exclude persons eligible for assistance under federal standards. Today's decision, ante, at 659660 n. 8, properly emphasizes that participating States must also comply strictly with the 'reasonable promptness' requirement and the more detailed regulations adding content to it.
In agreeing to comply with the requirements of the Social Security Act and HEW regulations, I believe that Illinois has also agreed to subject itself to suit in the federal courts to enforce these obligations. I recognize, of course, that the Social Security Act does not itself provide for a cause of action to enforce its obligations. As the Court points out, the only sanction expressly provided in the Act for a participating State's failure to comply with federal requirements is the cutoff of federal funding by the Secretary of HEW. Former 42 U.S.C. 1384 (now 42 U.S.C. 804 (1970 ed., Supp. II)).
But a cause of action is clearly provided by 42 U.S.C. 1983, which in terms authorizes suits to redress deprivations of rights secured by the 'laws' of the United States. And we have already rejected the argument that Congress intended the funding cutoff to be the sole remedy for noncompliance with federal requirements. In Rosado v. Wyman, 397 U.S. 397, 420423, 90 S.Ct. 1207, 12211223, 25 L.Ed.2d 442 (1970), we held that suits in federal court under § 1983 were proper to enforce the provisions of the Social Security Act against participating States. Mr. Justice Harlan, writing for the Court, examined the legislative history and found 'not the slightest indication' that Congress intended to prohibit suits in federal court to enforce compliance with federal standards. Id., at 422, 90 S.Ct., at 1223.
I believe that Congress also intended the full panoply of traditional judicial remedies to be available to the federal courts in these § 1983 suits. There is surely no indication of any congressional intent to restrict the courts' equitable jurisdiction. Yet the Court has held that '(u)nless a statute in so many words, or by a necessary and inescapable inference, restricts the court's jurisdiction in equity, the full scope of that jurisdiction is to be recognized and applied.' Porter v. Warner Holding Co., 328 U.S. 395, 398, 66 S.Ct. 1086, 1089, 90 L.Ed. 1332 (1946). 'When Congress entrusts to an equity court the enforcement of prohibitions contained in a regulatory enactment, it must be taken to have acted cognizant of the historic power of equity to provide complete relief in light of the statutory purposes.' Mitchell v. DeMario Jewelry, 361 U.S. 288, 291292, 80 S.Ct. 332, 335, 4 L.Ed.2d 323 (1960).
In particular, I am firmly convinced that Congress intended the restitution of wrongfully withheld assistance payments to be a remedy available to the federal courts in these suits. Benefits under the categorical assistance programs 'are a matter of statutory entitlement for persons qualified to receive them.' Goldberg v. Kelly, 397 U.S. 254, 262, 90 S.Ct. 1011, 1017, 25 L.Ed.2d 287 (1970). Retroactive payment of benefits secures for recipients this entitlement which was withheld in violation of federal law. Equally important, the courts' power to order retroactive payments is an essential remedy to insure future state compliance with federal requirements. See Porter v. Warner Holding Co., supra, 328 U.S., at 400, 66 S.Ct., at 1090. No other remedy can effectively deter States from the strong temptation to cut welfare budgets by circumventing the stringent requirements of federal law. The funding cutoff is a drastic sanction, one which HEW has proved unwilling or unable to employ to compel strict compliance with the Act and regulations. See Rosado v. Wyman, supra, 397 U.S., at 426, 90 S.Ct., at 1225 (Douglas, J., concurring). Moreover, the cutoff operates only prospectively; it in no way deters the States from even a flagrant violation of the Act's requirements for as long as HEW does not discover the violation and threaten to take such action.
Absent any remedy which may act with retroactive effect, state welfare officials have everything to gain and nothing to lose by failing to comply with the congressional mandate that assistance be paid with reasonable promptness to all eligible individuals. This is not idle speculation without basis in practical experience. In this very case, for example, Illinois officials have knowingly violated since 1968 federal regulations on the strength of an argument as to its invalidity which even the majority deems unworthy of discussion. Ante, at 659660 n. 8. Without a retroactive-payment remedy, we are indeed faced with 'the spectre of a state, perhaps calculatingly, defying federal law and thereby depriving welfare recipients of the financial assistance Congress thought it was giving them.' Jordan v. Weaver, 472 F.2d 985, 995 (CA7 1972). Like the Court of Appeals, I cannot believe that Congress could possibly have intended any such result.
Such indicia of congressional intent as can be gleaned from the statute confirm that Congress intended to authorize retroactive payment of assistance benefits unlawfully withheld. Availability of such payments is implicit in the 'fair hearing' requirement, former 42 U.S.C. 1382(a)(4), which permitted welfare recipients to challenge the denial of assistance. The regulations which require States to make corrective payments retroactively in the event of a successful fair hearing challenge, 45 CFR § 205.10(a)(18), merely confirm the obvious statutory intent. HEW regulations also authorize federal matching funds for retroactive assistance payments made pursuant to court order, 45 CFR §§ 205.10(b)(2), (b)(3). We should not lightly disregard this explicit recognition by the agency charged with administration of the statute that such a remedy was authorized by Congress. See Griggs v. Duke Power Co., 401 U.S. 424, 433434, 91 S.Ct. 849, 854 855, 28 L.Ed.2d 158 (1971).
Illinois chose to participate in the AABD program with its eyes wide open. Drawn by the lure of federal funds, it voluntarily obligated itself to comply with the Social Security Act and HEW regulations, with full knowledge that Congress had authorized assistance recipients to go into federal court to enforce these obligations and to recover benefits wrongfully denied. Any doubts on this score must surely have been removed by our decisions in Rosado v. Wyman, supra, and Shapiro v. Thompson, 394 U.S. 618, 89 S.Ct. 1322, 22 L.Ed.2d 600 (1969), where we affirmed a district court retroactive payment order. I cannot avoid the conclusion that, by virtue of its knowing and voluntary decision to nevertheless participate in the program, the State necessarily consented to subject itself to these suits. I have no quarrel with the Court's view that waiver of constitutional rights should not lightly be inferred. But I simply cannot believe that the State could have entered into this essentially contractual agreement with the Federal Government without recognizing that it was subjecting itself to the full scope of the § 1983 remedy provided by Congress to enforce the terms of the agreement.
Of course, § 1983 suits are nominally brought against state officers, rather than the State itself, and do not ordinarily raise Eleventh Amendment problems in view of this Court's decision in Ex parte Young, 209 U.S. 123, 28 S.Ct. 441, 52 L.Ed. 714 (1908). But to the extent that the relief authorized by Congress in an action under § 1983 may be open to Eleventh Amendment objections, 2 these objections are waived when the State agrees to comply with federal requirements enforceable in such an action. I do not find persuasive the Court's reliance in this case on the fact that 'congressional authorization to sue a class of defendants which literally includes States' is absent. Ante, at 672. While true, this fact is irrelevant here, for this is simply not a case 'literally' against the State. While the Court successfully knocks down the strawman it has thus set up, it never comes to grips with the undeniable fact that Congress has 'literally' authorized this suit within the terms of § 1983. Since there is every reason to believe that Congress intended the full panoply of judicial remedies to be available in § 1983 equitable actions to enforce the Social Security Act, I think the conclusion is inescapable that Congress authorized and the State consented to § 1983 actions in which the relief might otherwise be questioned on Eleventh Amendment grounds.
My conclusion that the State has waived its Eleventh Amendment objections to court-ordered retroactive assistance payments is fully consistent with last Term's decision in Employees v. Department of Public Health and Welfare, 411 U.S. 279, 93 S.Ct. 1614, 36 L.Ed.2d 251 (1973). As I emphasized in my concurring opinion, there was no voluntary action by the State in Employees which could reasonably be construed as evidencing its consent to suit in a federal forum.
'(T)he State was fully engaged in the operation of the affected hospitals and schools at the time of the 1966 amendments. To suggest that the State had the choice of either ceasing operation of these vital public services or 'consenting' to federal suit suffices, I believe, to demonstrate that the State had no true choice at all and thereby that the State did not voluntarily consent to the exercise of federal jurisdiction . . ..' Id., at 296, 93 S.Ct., at 1624.
A finding of waiver here is also consistent with the reasoning of the majority in Employees, which relied on a distinction between 'governmental' and 'proprietary' functions of state government. Id., at 284285, 93 S.Ct., at 16171618. This distinction apparently recognizes that if sovereign immunity is to be at all meaningful, the Court must be reluctant to hold a State to have waived its immunity simply by acting in its sovereign capacityi.e., by merely performing its 'governmental' functions. On the other hand, in launching a profitmaking enterprise, 'a State leaves the sphere that is exclusively its own,' Parden v. Terminal R. Co., 377 U.S., at 196, 84 S.Ct., at 1215, and a voluntary waiver of sovereign immunity can more easily be found. While conducting an assistance program for the needy is surely a 'governmental' function, the State here has done far more than operate its own program in its sovereign capacity. It has voluntarily subordinated its sovereignty in this matter to that of the Federal Government, and agreed to comply with the conditions imposed by Congress upon the expenditure of federal funds. In entering this federal-state cooperative program, the State again 'leaves the sphere that is exclusively its own,' and similarly may more readily be found to have voluntarily waived its immunity.
Indeed, this is the lesson to be drawn from this Court's decision in Petty v. Tennessee-Missouri Bridge Comm'n, 359 U.S. 275, 79 S.Ct. 785, 3 L.Ed.2d 804 (1959), where the Court found that the States had waived the sovereign immunity of the Commission by joining in an interstate compact subject to the approval of Congress. The Court in Petty emphasized that it was 'called on to interpret not unilateral state action but the terms of a consensual agreement' between the States and Congress, id., at 279, 79 S.Ct., at 788, and held that the States who join such a consensual agreement, 'by accepting it and acting under it assume the conditions that Congress under the Constitution attached.' Id., at 281282, 79 S.Ct., at 790. Although the congressional intent regarding the sue-and-be-sued clause was by no means certain, the Court held that the surrounding conditions made it clear that the States accepting it waived their sovereign immunity. Id., at 280, 79 S.Ct., at 789, especially since this interpretation was necessary to keep the compact 'a living interstate agreement which performs high functions in our federalism.' Id., at 279, 79 S.Ct., at 788.
I find the approach in Petty controlling here. As even the dissent in that case recognized, id., at 285, 79 S.Ct., at 792 (Frankfurter, J., dissenting), Congress undoubtedly has the power to insist upon a waiver of sovereign immunity as a condition of its consent to such a federal-state agreement. Since I am satisfied that Congress has in fact done so here, at least to the extent that the federal courts may do 'complete rather than truncated justice,' Porter v. Warner Holding Co., 328 U.S., at 398, 66 S.Ct., at 1089, in § 1983 actions authorized by Congress against state welfare authorities, I respectfully dissent.
In his complaint in the District Court, respondent claimed that the Illinois Department of Public Aid was not complying with federal regulations in its processing of public aid applications, and also that its refusal to process and allow respondent's claim for a period of four months, while processing and allowing the claims of those similarly situated, violated the Equal Protection Clause of the Fourteenth Amendment. Respondent asserted that the District Court could exercise jurisdiction over the cause by virtue of 28 U.S.C. 1331 and 1343(3) and (4). Though not briefed by the parties before this Court, we think that under our decision in Hagans v. Lavine, 415 U.S. 528, 94 S.Ct. 1372, 39 L.Ed.2d 577 (1974), the equal protection claim cannot be said to be 'wholly insubstantial,' and that therefore the District Court was correct in exercising pendent jurisdiction over the statutory claim.
Effective January 1, 1974, this AABD program was replaced by a similar program. See 42 U.S.C. 801805 (1970 ed., Supp. II).
'(ii) 60 days . . . (for aid to disabled). Under this requirement, the applicant is informed of the agency's time standard in acting on applications, which covers the time from date of application under the State plan to the date that the assistance check, or notification of denial of assistance or change of award, or the eligibility decision with respect to medical assistance, is mailed to the applicant or recipient. . . .' When originally issued in 1968 the regulations provided that the applications for aid to the aged and blind be processed within 30 days and that aid to the disabled be processed within 45 days of receipt. They also provided that the person determined to be eligible must receive his assistance check within the applicable time period. The amendment to 60 days for aid to the disabled occurred in 1971, as did the change to require mailing instead of receipt of the assistance check within the applicable time period; effective Oct. 15, 1973, the time for processing aged and blind applications became 45 days.
'Except for (disability) cases which have a time standard of 45 days, the time standard for disposition of applications is 30 days from the date of application to the date the applicants are determined eligible and the effective date of their first assistance or are determined ineligible and receive a notice of denial of assistance. . . .
'Initial awards may be new grants, reinstatements, or certain types of resumptions. They can be effective for the month in which Form FO550 is signed but for no prior period except (under conditions not relevant to this case).
'(ii) For those disabled applicants who applied between January 1, 1971 and April 16, 1971, whose first full AABD check was not mailed within sixty days from the date of application, AABD assistance for the period beginning with the sixtieth day from the date of application to the date the applicant's entitlement became effective.
'These AABD benefits shall be mailed to those persons currently receiving AABD within eight months with an explanatory letter, said letter having been first approved by plaintiffs' attorney. Any AABD benefits received pursuant to this paragraph shall not be deemed income or resources under Article III of the Illinois Public Aid Code.
'(a) A certified letter (return receipt requested), said letter having been first approved by plaintiffs' attorney, shall be sent to the last known address of the person, informing him in concise and easily understandable terms that he is entitled to a specified amount of AABD benefits wrongfully withheld, and that he may claim such amount by contacting the County Department of Public Aid at a specified address, within 45 days from the receipt of said letter.
On July 19, 1973, the author of this opinion stayed until further order of this Court these two paragraphs of the District Court's judgment. 414 U.S. 1301, 94 S.Ct. 13, 38 L.Ed.2d 15.
Respondent appealed from the District Court's judgment insofar as it held him not entitled to receive benefits from the date of his applications (as opposed to the date of authorization of benefits as provided by the federal regulations) and insofar as it failed to award punitive damages. The Court of Appeals upheld the District Court's decision against respondent on those points and they are not at issue here. 472 F.2d 985, 997999.
ground had been timely presented, defendants' contention would be meritless.' Ibid. Noting that one of three tests established by our decision in Huson for determining the retroactivity of court decisions was that 'the decision to be applied nonretroactively must establish a new principle of law, either by overruling clear past precedent on which litigants may have relied . . . or (have decided) an issue of first impression whose resolution was not clearly foreshadowed . . .,' Chevron Oil Co. v. Huson, supra, 404 U.S., at 106, 92 S.Ct., at 355, the Court of Appeals found that the petitioner had not satisfied this test, since the 'federal time requirements for processing applications and paying eligible AABD applicants were made effective July 1, 1968, and defendants were well aware of these mandatory maximum permissible time standards.' 472 F.2d, at 996.
In light of our disposition of this case on the Eleventh Amendment issue we see no reason to address this contention.
that the 'establishment of arbitrary (forty-five) and sixty day maximums in the HEW regulations for determination of eligibility and initiation of payments without taking into consideration the efficient administration of the Act by the State agencies is in consistent with the 'reasonable promptness' requirement and must therefore be declared unlawful . . ..' Pet. for Cert. 23. The Court of Appeals rejected this contention, holding that 'these time requirements, binding on state welfare officials, are an appropriate interpretation of the Congressional mandate of 'reasonable promptness." 472 F.2d, at 996. We agree with the Court of Appeals.
controversies between States of the Union and foreign States. That purpose was suitably to provide for adjudication in such cases if consent should be given but not otherwise. Madison said: 'The next case provides for disputes between a foreign state and one of our states, should such a case ever arise; and between a citizen and a foreign citizen or subject. I do not conceive that any controversy can ever be decided, in these courts, between an American state and a foreign state, without the consent of the parties. If they consent, provision is here made.' 3 Elliot's Debates, 533.
'Marshall, in the same Convention, expressed a similar view. Replying to an objection as to the admissibility of a suit by a foreign state, Marshall said: 'He objects, in the next place, to its jurisdiction in controversies between a state and a foreign state. Suppose, says he, in such a suit, a foreign state is cast; will she be bound by the decision? If a foreign state brought a suit against the commonwealth of Virginia, would she not be barred from the claim if the federal judiciary thought it unjust? The previous consent of the parties is necessary; and, as the federal judiciary will decide, each party will acquiesce.' 3 Elliot's Debates, 557.
'Hamilton, in The Federalist, No. 81, made the following emphatic statement of the general principle of immunity: 'It is inherent in the nature of sovereignty not to be amenable to the suit of an individual without its consent. This is the general sense and the general practice of mankind; and the exemption, as one of the attributes of sovereignty, is now enjoyed by the government of every State in the Union. Unless, therefore, there is a surrender of this immunity in the plan of the convention, it will remain with the States, and the danger intimated must be merely ideal. The circumstances which are necessary to produce an alienation of State sovereignty were discussed in considering the article of taxation and need not be repeated here. A recurrence to the principles there established will satisfy us that there is no color to pretend that the State governments would by the adoption of that plan be divested of the privilege of paying their own debts in their own way, free from every constraint but that which flows from the obligations of good faith. The contracts between a nation and individuals are only binding on the conscience of the sovereign, and have no pretensions to a compulsive force. They confer no right of action independent of the sovereign will. To what purpose would it be to authorize suits against States for the debts they owe? How could recoveries be enforced? It is evident it could not be done without waging war against the contracting State; and to ascribe to the federal courts by mere implication, and in destruction of a preexisting right of the State governments, a power which would involve such a consequence would be altogether forced and unwarrantable." Monaco v. Mississippi, 292 U.S. 313, 323325, 54 S.Ct. 745, 748, 749, 78 L.Ed. 1282 (1934) (footnotes omitted).
Of the Court of Appeals for the District of Columbia Circuit, sitting by designation on the Court of Appeals for the Second Circuit.
It may be true, as stated by our Brother DOUGLAS in dissent, that '(m)ost welfare decisions by federal courts have a financial impact on the States.' Post, at 680681. But we cannot agree that such a financial impact is the same where a federal court applies Ex parte Young to grant prospective declaratory and injunctive relief, as opposed to an order of retroactive payments as was made in the instant case. It is not necessarily true that '(w)hether the decree is prospective only or requires payments for the weeks or months wrongfully skipped over by the state officials, the nature of the impact on the state treasury is precisely the same.' Post, at 682. This argument neglects the fact that where the State has a definable allocation to be used in the payment of public aid benefits, and pursues a certain course of action such as the processing of applications within certain time periods as did Illinois here, the subsequent ordering by a federal court of retroactive payments to correct delays in such processing will invariably mean there is less money available for payments for the continuing obligations of the public aid system.
The Court of Appeals considered the Court's decision in Griffin v. School Board, 377 U.S. 218, 84 S.Ct. 1226, 12 L.Ed.2d 256 (1964), to be of like import. But as may be seen from Griffin's citation of Lincoln County v. Luning, 133 U.S. 529, 10 S.Ct. 363, 33 L.Ed. 766 (1890), a county does not occupy the same position as a State for purposes of the Eleventh Amendment. See also Moor v. County of Alameda, 411 U.S. 693, 93 S.Ct. 1785, 36 L.Ed.2d 596 (1973). The fact that the county policies executed by the county officials in Griffin were subject to the commands of the Fourteenth Amendment, but the county was not able to invoke the protection of the Eleventh Amendment, is no more than a recognition of the long-established rule that while county action is generally state action for purposes of the Fourteenth Amendment, a county defendant is not necessarily a state defendant for purposes of the Eleventh Amendment.
Brief for Respondent 1518. Decisions of this Court in which we summarily affirmed a decision of a lower federal court which ordered the payment of retroactive awards and in which the jurisdictional statement filed in this Court raised the Eleventh Amendment defense include: State Dept. of Health and Rehabilitative Services v. Zarate, 407 U.S. 918, 92 S.Ct. 2462, 32 L.Ed.2d 803 (1972), aff'g 347 F.Supp. 1004 (S.D.Fla.1971); Sterrett v. Mothers' and Children's Rights Organization, 409 U.S. 809, 93 S.Ct. 68, 34 L.Ed.2d 70 (1972), aff'g unreported order and judgment of District Court (ND Ind.1972) on remand from Carpenter v. Sterrett, 405 U.S. 971, 92 S.Ct. 1199, 31 L.Ed.2d 246 (1972); Gaddis v. Wyman, 304 F.Supp. 717 (S.D.N.Y.1969) (order at CCH Poverty Law Rep. 10,506 (19681971 Transfer Binder)), aff'd per curiam sub nom. Wyman v. Bowens, 397 U.S. 49, 90 S.Ct. 813, 25 L.Ed.2d 38 (1970).
In the words of Mr. Justice Brandeis: 'State decisis is usually the wise policy, because in most matters it is more important that the applicable rule of law be settled than that it be settled right. . . . This is commonly true even where the error is a matter of serious concern, provided correction can be had by legislation. But in cases involving the Federal Constitution, where correction through legislative action is practically impossible, this Court has often overruled its earlier decisions. The Court bows to the lessons of experience and the force of better reasoning, recognizing that the process of trial and error, so fruitful in the physical sciences, is appropriate also in the judicial function.' Burnet v. Coronado Oil & Gas Co., 285 U.S. 393, 406408, 52 S.Ct. 443, 447, 76 L.Ed. 815 (1932) (dissenting opinion) (footnotes omitted).
Respondent urges that the traditionally broad power of a federal court sitting as a court of equity to fashion appropriate remedies as are necessary to effect congressional purposes requires that the District Court's award of retroactive benefits be upheld. Respondent places principal reliance on our prior decisions in Porter v. Warner Holding Co., 328 U.S. 395, 66 S.Ct. 1086, 90 L.Ed. 1332 (1946), and Mitchell v. DeMario Jewelry, 361 U.S. 288, 80 S.Ct. 332, 4 L.Ed.2d 323 (1960). Both cases dealt with the power of a federal court to grant equitable relief for violations of federal law; the decision in Mitchell indicated that a federal court could provided equitable relief 'complete . . . in light of the statutory purposes.' Id., at 292, 80 S.Ct., at 335. Since neither of these cases involved a suit against a State or a state official, it did not purport to decide the availability of equitable relief consistent with the Eleventh Amendment.
HEW sought passage of a bill in the 91st Congress, H.R. 16311, § 407(a), which would have given it authority to require retroactive payments to eligible persons denied such benefits. The bill failed to pass the House of Representatives. See H.R. 16311, The Family Assistance Act of 1970, Senate Committee on Finance, 91st Cong., 2d Sess., C169170 (Comm. Print No. 5, 1970).
'(2) Payments of assistance made to carry out hearing decisions, or to take corrective action after an appeal but prior to hearing, or to extend the benefit of a hearing decision or court order to others in the same situation as those directly affected by the decision or order. Such payments may be retroactive in accordance with applicable Federal policies on corrective payments.
The Court of Appeals felt that § 1983, the enactment of the AABD program, and the issuance by HEW of the above regulation, indicated that Congress intended to include within the Social Security Act the remedy of 'effective judicial review' and 'the remedy of restoration of benefits withheld in violation of federal law.' 472 F.2d, at 994995 and n. 15. But the adoption of regulations by HEW to permit the use of federal funds in the satisfaction of judicial awards is not determinative of the constitutional issues here presented.
'New York is, of course, in no way prohibited from using only state funds according to whatever plan it chooses, providing it violates no provision of the Constitution. It follows, however, from our conclusion that New York's program is incompatible with § 402(a)(23), that petitioners are entitled to declaratory relief and an appropriate injunction by the District Court against the payment of federal monies according to the new schedules, should the State not develop a conforming plan within a reasonable period of time.
'We have considered an rejected the argument that a federal court is without power to review state welfare provisions or prohibit the use of federal funds by the States in view of the fact that Congress has lodged in the Department of HEW the power to cut off federal funds for noncompliance with statutory requirements. We are most reluctant to assume Congress has closed the avenue of effective judicial review to those individuals most directly affected by the administration of its program. . . . We adhere to King v. Smith, 392 U.S. 309, 88 S.Ct. 2128, 20 L.Ed.2d 1118 (1968), which implicitly rejected the argument that the statutory provisions for HEW review of plans should be read to curtail judicial relief and held Alabama's 'substitute father' regulation to be inconsistent with the federal statute. While King did not advert specifically to the remedial problem, the unarticulated premise was that the State had alternative choices of assuming the additional cost of paying benefits to families with substitute fathers or not using federal funds to pay welfare benefits according to a plan that was inconsistent with federal requirements.' 397 U.S., at 420421, 90 S.Ct., at 1222.
Court to 'afford New York an opportunity to revise its program . . . or, should New York choose (not to revise its program), issue its order restraining the further use of federal monies pursuant to the present statute,' 397 U.S., at 421422, 90 S.Ct., at 1222, indicates that the Court felt that retroactive relief was not a permissible remedy. Brief for Petitioner 1720. We do not regard Rosado as controlling either way since the Court was not faced with a district court judgment ordering retroactive payments or with a challenge based on the Eleventh Amendment.
Respondent urges that the State of Illinois has abolished its common-law sovereign immunity in its state courts, and appears to argue that suit in a federal court against the State may thus be maintained. Brief for Respondent 23. Petitioner contends that sovereign immunity has not been abolished in Illinois as to this type of case. Brief for Petitioner 3136. Whether Illinois permits such a suit to be brought against the State in its own courts is not determinative of whether Illinois has relinquished its Eleventh Amendment immunity from suit in the federal courts. Chandler v. Dix, 194 U.S. 590, 591592, 24 S.Ct. 766, 767, 48 L.Ed. 1129 (1904).
Effective January 1, 1974, this AABD program was replaced by a similar program. See 42 U.S.C. 801805 (1970 ed., Supp. II). The program in Illinois is administered by the Department of Public Aid. Ill.Rev.Stat., c. 23, §§ 31 to 312 (1973). The former program was funded in part by the State and in part by the Federal Government. 42 U.S.C. 303, 304, 306, 12011204, 1206, 13511355, 13811385.
The Social Security Act states what a 'state plan' must provide. At the time this suit was brought, 42 U.S.C. 1382(a) provided: 'A State plan for aid to the aged, blind, or disabled, or for aid to the aged, blind, or disabled and medical assistance for the aged, must . . ..
Nearly identical provisions are now found in 42 U.S.C. 802(a) (1970 ed., Supp. II).
The Secretary of HEW issued mandatory federal time standard regulations. Handbook, Public Assistance Administration, pt. IV, §§ 2200(b)(3), 2300(b)(5); 45 CFR § 206.10(a)(3). Illinois adopted a 30-day standard for aged and blind applicants (Ill. Categ. Assistance Manual § 4004.1) as contrasted to HEW's 60-day period, § 2200, supra. It is that conflict which exposes the merits of the controversy.
The lower court's opinion is found in D.C., 347 F.Supp. 1004.
The lower court's opinion is found in D.C., 304 F.Supp. 717. Retroactive payments were challenged in question 2 of the jurisdictional statement.
The lower court's opinion is found in D.C., 270 F.Supp. 331.
Id., at 338 n. 5. The award of money damages was alleged to be a violation of the Eleventh Amendment in Part V of the jurisdictional statement.
The jurisdictional statement in the Sterrett case explicitly urged that the decree below violated the Eleventh Amendment since it would expend itself on the public treasurythe second question in the jurisdictional statement.
We settled in Rosado v. Wyman, 397 U.S. 397, 90 S.Ct. 1207, 25 L.Ed.2d 442, the question whether the grant of authority under the Social Security Act to HEW to cut off federal funds for noncompliance with statutory requirements provides the exclusive procedure and remedy for violations of the Act. We said: 'We are most reluctant to assume Congress has closed the avenue of effective judicial review to those individuals most directly affected by the administration of its program.' Id., at 420, 90 S.Ct., at 1222.
In view of my conclusion on this issue, I find it unnecessary to consider whether the Court correctly treats this suit as one against the State, rather than as a suit against a state officer permissible under the rationale of Ex parte Young, 209 U.S. 123, 28 S.Ct. 441, 52 L.Ed. 714 (1908).
It should be noted that there has been no determination in this case that state action is unconstitutional under the Fourteenth Amendment. Thus, the Court necessarily does not decide whether the States' Eleventh Amendment sovereign immunity may have been limited by the later enactment of the Fourteenth Amendment to the extent that such a limitation is necessary to effectuate the purposes of that Amendment, an argument advanced by an amicus in this case. In view of my conclusion that any sovereign immunity which may exist has been waived, I also need not reach this issue.
COUNTY OF ONEIDA, NEW YORK, et al., Petitioners v. ONEIDA INDIAN NATION OF NEW YORK STATE, etc., et al. NEW YORK, Petitioner v. ONEIDA INDIAN NATION OF NEW YORK STATE, etc., et al.
NATIONAL LABOR RELATIONS BOARD, Petitioner, v. INTERNATIONAL LONGSHOREMEN'S ASSOCIATION, AFL-CIO, et al.
Michael J. BOWERS, Attorney General of Georgia, Petitioner v. Michael HARDWICK, and John and Mary Doe.
B.H. PAPASAN, Superintendent of Education, et al., Petitioners v. William A. ALLAIN, Governor of Mississippi, et al.
David Randolph GRAY, Petitioner v. MISSISSIPPI.
Otis R. BOWEN, Secretary of Health and Human Services, Petitioner, v. Beaty Mae GILLIARD et al. David T. FLAHERTY, Secretary, North Carolina Department of Human Resources, et al., Appellants, v. Beaty Mae GILLIARD et al.
MISSOURI, et al., Petitioners v. Kalima JENKINS, by her friend, Kamau AGYEI, et al.
PORT AUTHORITY TRANS-HUDSON CORPORATION, Petitioner v. Patrick FEENEY.
OKLAHOMA TAX COMMISSION, Petitioner, v. CITIZEN BAND POTAWATOMI INDIAN TRIBE OF OKLAHOMA.
U.S. BANCORP MORTGAGE COMPANY, Petitioner, v. BONNER MALL PARTNERSHIP.
ARIZONANS FOR OFFICIAL ENGLISH and Robert D. Park, Petitioners v. ARIZONA et al.
Sandra Jean Dale BOGGS, Petitioner, v. Thomas F. BOGGS, Harry M. Boggs and David B. Boggs.
WISCONSIN DEPARTMENT OF CORRECTIONS, et al., Petitioners, v. Keith D. SCHACHT.
Lewis H. GOLDFARB et al., Petitioners, v. VIRGINIA STATE BAR et al.
ALYESKA PIPELINE SERVICE COMPANY, Petitioner, v. The WILDERNESS SOCIETY et al.
UNITED STATES, Petitioner, v. Herman R. TESTAN and Francis L. Zarrilli.
COLORADO SPRINGS AMUSEMENTS, LTD., etc., et al. v. Frank L. RIZZO, Mayor of Philadelphia, et al.
Lawrence CANTOR, dba Selden Drugs Company, etc., Petitioner, v. The DETROIT EDISON COMPANY.
MT. HEALTHY CITY SCHOOL DISTRICT BOARD OF EDUCATION, Petitioner, v. Fred DOYLE.
Harry ROBERTS, Petitioner, v. State of LOUISIANA.
ILLINOIS BRICK COMPANY et al., Petitioners, v. State of ILLINOIS et al.
Marvin MANDEL, Governor of Maryland, et al., Appellants, v. Bruce BRADLEY et al.
LAKE COUNTRY ESTATES, INC., et al., Petitioners, v. TAHOE REGIONAL PLANNING AGENCY, etc., et al.
State of NEVADA et al., Petitioners, v. John Michael HALL, etc., et al.
GREAT AMERICAN FEDERAL SAVINGS & LOAN ASSOCIATION et al., Petitioners, v. John R. NOVOTNY.
Edward W. MAHER, etc., Petitioner, v. Virginia GAGNE, etc.
PENNHURST STATE SCHOOL AND HOSPITAL et al., Petitioners, v. Terri Lee HALDERMAN et al. MAYOR OF CITY OF PHILADELPHIA et al., Petitioners, v. Terri Lee HALDERMAN et al. PENNSYLVANIA ASSOCIATION FOR RETARDED CITIZENS et al., Petitioners, v. PENNHURST STATE SCHOOL AND HOSPITAL et al. COMMISSIONERS AND MENTAL HEALTH/MENTAL RETARDATION ADMINISTRATORS FOR BUCKS COUNTY et al., Petitioners, v. Terri Lee HALDERMAN et al. PENNHURST PARENTS-STAFF ASSOCIATION, Petitioner, v. Terri Lee HALDERMAN et al.
Ronald M. ZOBEL and Patricia L. Zobel, Appellants, v. Thomas WILLIAMS, Commissioner of Revenue, and Alaska.
Kenneth CORY, Controller of the State of California, et al., Petitioners, v. Mark WHITE, Attorney General of the State of Texas, et al.
State of ALABAMA et al. v. Jerry Lee PUGH et al.
William G. MILLIKEN, Governor of the State of Michigan, et al., Petitioners, v. Ronald BRADLEY et al.
CONTINENTAL T. V., INC., et al., Petitioners, v. GTE SYLVANIA INCORPORATED.
FLORIDA DEPARTMENT OF STATE, Petitioner, v. TREASURE SALVORS, INC., etc.
Henry W. KERR et al., Petitioners, v. UNITED STATES DISTRICT COURT FOR the NORTHERN DISTRICT OF CALIFORNIA et al. | 2019-04-24T22:45:31Z | https://www.law.cornell.edu/supremecourt/text/415/651 |
Auto Repair in Mint Hill – Should I Trade in My Car?
Have you ever owned a car that seemed to spend more time in the garage getting fixed than in your garage at home? As you sit in the waiting room of the auto shop you find yourself asking “Is it time for a new car? I’m here it seems quite a bit.” The answer to that question, like many other things in the auto industry, isn’t as black-and-white as it may seem.
Consider A New Car’s Future Repairs.
Buying a new car isn’t like buying a TV. You can’t just save up for it, buy it, and be done spending – even with a new car, you’ll have to visit the shop. Though maintaining a new car is inherently cheaper than maintaining an old one, oil changes, factory-required tune ups at specific mileage, and the like still have to be done. Bottom line – if you can afford a car payment, but can’t afford the car’s maintanence that goes with it, you can’t afford a new car.
Consider the Time Value of a New Car.
Let’s say you spend only $1,800 a year keeping your old car running. Averaging just $150 a month is great for a car 15-20 years old, but what if it is your only mode of transportation and you can’t make the time to go to the shop? It may be time to get a new car. Though you’ll likely be paying more monthly due to a car payment, you’ll be in the shop far less – probably just once every 3-5 months for those oil changes and factory-reqired jobs we talked about earlier. That may be worth more to you than the money you’re saving repairing the old car, depending on your job or health.
Auto Repair in Mint Hill – Is My Car Ready for a Summer Road Trip?
Tires are important all the time, but especially so on a road trip. After all, they are the one thing separating you from the road. Check tread wear and make sure the tire has not worn unevenly, and check tread depth to make sure it is above 2/32″. If a tire is not “ready” it should be replaced before a road trip, especially if its a long one.
Don’t forget, you may need to have your A/C fixed, if you’re already in for a fluid checkover, that’s the best time to do so!
Gas is expensive, and it adds up quick on a road trip. Don’t take the biggest vehicle you own if you don’t have to. Bigger vehicles and bigger engines consume more fuel and have worse MPG’s.
A First-Aid Kit is a great thing to have in a car at any time, but especially so during a road trip. A summer-ready kit should contain the basics such as band aids, gause and snacks, but should also have sunscreen, a portable battery pack to charge phones (some of these packs double as jumper boxes for your car, that’s always a plus) as well as a warning sign (they are triangular and orange) and some over-the-counter style scrape cleaner.
Have Some Repair Money Ready.
It’s unfortunate, but things break. Sometimes they break away from home. Though hopefully this never happens to you, have some money set asside for incase you have to make emergency repairs.
PROTIP: Most independent shops have a nationwide warrenty program. Go to these shops. For example, if you have your vehicle serviced at a shop with a TechNet warrenty program in Texas, and that part needs to be warranteed out back here in NC, any shop that uses that program can do the job here at home, and vice-versa.
Some cars break more than others. For example, an Ol’ Reliable 2000 Chevy Tahoe with 240,000 miles is something to be proud of, and is a great daily driver, but it’s 18 years old and is more likley to break down on the road. If the miles are high on your vehicle, it is probably best to rent something else for the trip.
Auto Repair in Mint Hill – Conventional Oil or Synthetic Oil?
Every time you head in for an oil change, one question you’ll usually hear is “Do you want conventional or synthetic oil?” Though this seems like a simple decision, this actually brings up more questions like “What kind should I use in my car?” or “Is the difference really worth the extra money?” Below we’ve listed some of the main differences between the oils and some useful information to help determine what kind is right for you.
Conventional Oil is the “traditional” motor oil. Conventional is derived from crude oil and has additives that help with heat tolerance and viscosity. When purchasing a “regular” oil change, this is the oil usually being used. It usually comes in a black bottle, but depending on brand this may not be the case. Oil changes for conventional are usually recommended at 3,000 miles or 3 months, whichever comes first.
Synthetic Oil is derived from crude oil and has additives just like Conventional, however this version of the oil is “synthesized” – in other words, the oil is modified at the molecular level. It is also distilled. It usually comes in a silver bottle, but depending on brand this may not be the case. Synthetic Oil Changes are usually recommended at 5,000 miles or 5 months, whichever comes first.
There is no “wrong time” to use Synthetic over Conventional, because it is fact that Synthetic lasts longer and holds up better. However, this doesn’t mean Conventional is bad. Conventional is fine for cars that are daily drivers that have a “regular” commute (15 minutes or longer.) Synthetic is better for cars that drive in extreme temps (a New York winter or an Arizona Summer, for example) or make short trips commonly (conventional may not heat up enough in short trips.) Synthetic is also useful in dusty climates. Synthetic is sometimes recommended in the owner’s manual, in which case that oil should be used. Synthetic can also be useful in high milage cars, but is not necessary unless the manual requires it. In short, conventional is fine for the average daily driver, but synthetic will usually be the better option.
Auto Repair in Mint Hill – How Do I Keep Children Safe Around A Car?
The importance of keeping kids safe when around or in a car is a story we’ve all heard a thousand times. It may have even been covered in your driver’s education class. However, do you know exactly how to keep kids safe? Listed below are some tips and tricks on how.
Check Seat Belts – And Not Just For If They’re On.
The importance of wearing a seat belt is pretty well known, however, kids can suffer injuries in a wreck if their seatbelt wraps around their head. This can happen from a child being mischievous and wrapping it themselves, but can also happen by the child being strapped in wrong in the first place.
Backovers are where a person is driven over by a car. This can happen with children because of how small they are and are hard to see (or sometimes impossible to see) in mirrors. According to the Motorist Assurance Program, 15,000 injuries are caused by backover crashes yearly. “Back-Up Cameras,” the cameras which are designed to display the rear view of a car when in reverse, usually cannot prevent these kinds of accidents because even they cannot see directly behind the rear wheels and bumper. The general rule of thumb is this – before driving off, walk around the car and check for anything or anyone.
This is probably the most obvious of all the tips listed, but leaving children in the car still happens. Leaving a child in a car can cause heatstroke, which can be deadly. Heatstroke is still possible even on lukewarm spring days because as the sun beats down on the car, the temperature still rises just as it does in the summer. It is important to know cracking the windows is usually not enough to keep the car cool enough. Remember, no matter how short the trip, do not leave kids in the car – nothing is more important than their lives. This also applies to pets.
Keep Children in Car Seats As Recommended.
A large factor in injuries of children in cars is improper car seats, or lack thereof. The age and weight of a child usually determines what kind of seats they need. Local laws also sometimes dictate this, so be sure to check for any.
Warm weather is a sign of great times, cook outs, and road trips. For those if us who own pets, it just wouldn’t be summer if we didn’t bring them along for the ride! However, keeping our fuzzy friends safe should always be a priority. Below are some tips, tricks and other useful info.
Some pets like to stick their heads out the window when driving. That’s fun for the pet, but this can hurt your pet’s eyesight over time. Buying you pet goggles (sometimes called Doggles) are a great way to protect their eyes and let them have their fun.
Some pets are big enough for seatbelts. In events of a wreck, seatbelts can save a pet’s life just like a person. Modifications and adapters to make seatbelts work for your pet can be found online for as little as about $7.
3. Leaving Pets in Cars isn’t OK!
Leaving a pet in a vehicle that isn’t running with A/C (or heat in cold months) isn’t not only unsafe, but illegal.
So, in other words, if the pet is in dangerous temperatures or doesn’t have enough air, it is legal for officers of the law to enter the vehicle to save the pet. Don’t let this be your pet!
The next time you bring your pet into the vehicle, just remember these tips, and you and your fuzzy friend will have a great (and safe) time!
Auto Repair in Mint Hill – Is My Car Ready for Spring?
Finally, spring has sprung! The weather is warmer and our winter coats are back in the closet. Just like how we change our activities and wardrobes, our cars need some TLC for the warmer months too. Here are some basic tips and tricks on how to “springtomize” your car.
In the winter months, you may have swapped out your washer fluid for a “winter wash” style of fluid. While that fluid is great for breaking down ice on your windshield, the formula isn’t intended for the warmer months. Consider switching to a regular washer fluid or a hot-weather-specific blend.
Your wipers put in overtime in cold months, helping remove ice and similar winter debris. Always check your wipers for tears or cuts and, if needed, replace.
A sun shade isn’t so much a requirement as it is an accessory, but it’s useful nonetheless. Sun shades are big, tin foil looking covers that go under your windshield when you’re not driving. This is especially useful on cars painted dark colors, because it helps prevent your car from being ridiculously hot when parked outside.
Have your A/C system checked.
Your A/C system has been sitting dormant now for a few months. Your coolant may be low/dirty and other systems used to cool your car may be running a little weak. It’s best to have your car serviced now in the spring so that when the hottest of the summer months roll around, you’re A/C is at peak performance.
Depending on how severe the weather was during the winter, your tires may have worn a bit quicker than expected. Check to make sure there aren’t any holes/leaks/bumps or uneven wear.
Similar to the sun shade, window tint works to keep some of the sunlight out of your car. This not only makes the windows darker but also helps it keep cool (and in some cases, provide UV protection.) Just remember that in North Carolina, 35% tint is the lowest you legally can go.
There is no bad reason to wash your car’s underbody, but in areas like Mint Hill where salt was spread to prevent snow and black ice buildup, it is incredibly important. Salt left on the underbody of a car can cause the frame to rust, which is an extreme safety hazard, and lowers the overall value of your vehicle.
Now that the warmer months are here to stay, be sure to consider the tips above, and most importantly, have a safe and happy spring!
Auto Repair in Mint Hill – Is My Car Safe for a Rainy Day?
Tire Tread Depth is important on any day, but it plays an even more important role when the roads are wet. The gaps between your tire and the road that your tire tread creates is what prevents you from losing control and hydroplaning. This is why most states consider tires that are below 2/32″ in tread depth illegal.
This one may seem a bit obvious, but Windshield Wipers are one of those things that you really don’t think about unless you try and use them. Wipers usually should be replaced every six months, but that can vary by quality and usage. If you’d like to read more about Windshield Wipers, we have an article about them here.
In North Carolina, it is law to turn on your Headlights when your Windshield Wipers are in use. This law is in place not so much so you can see in the rain, but so others can see you. If you have headlight/taillight/daytime runner out, you may be harder to see and possibly more likely to be hit. If you’d like to read more about Headlights, we have an article about them here.
When driving in the rain, you should allow for more following distance (this is the distance between you and the car in front of you) and slow down. This allows you more time to stop should something in front of you happen. A lot of your vehicles automation devices – cruise control for example – may not work as well during the rain.
No matter if it is rainy, sunny, sleeting or snowing, be sure to enjoy the ride and stay safe!
Auto Repair in Mint Hill – What do the Lights on my Dashboard Mean?
If you’ve ever owned a motor vehicle, you’ve most likely been driving around and had a light come on, only to find yourself saying “What does that mean?” This is an understandable feeling. After all, even the most common light, the check engine light, looks different from vehicle to vehicle. Due to this, we’ve made a list of common lights and what they mean so the next time a light comes on in your car, you’ll be informed and ready.
Officially known as the Malfunction Indicator Lamp (MIL) the Check Engine Light is a light that tells you something is wrong inside your engine. It can have multiple forms, but the most common are shown above. In vehicles with OBD II built in (this is all vehicles made during or after 1996) Check Engine Lights also put out a code (you’ll need a code-reader for this) that give a broad diagnostic of the issue. Vehicles equipped with OBD I (these are in most vehicles made during the 70’s to 1995) blink a certain way to tell you what code you have.
The Maintenance Required Light, which was created by Toyota, is commonly confused as a Check Engine Light. All this light actually does, though, is tell you its time for an oil change. It isn’t always accurate, however, so don’t rely on just it for when to know its time for an oil change.
Commonplace on vehicles made in the 2010’s, the Tire Pressure Monitoring System (TPMS) Light is a light that is synced with the TPMS monitors inside your wheels. This light comes on to tell you one of two things; either “your tires are low on air” or “your TPMS monitors are broken.” The light usually goes away once you air your tires back up, however, if your monitors are broken or replaced, some reprogramming of the TPMS monitors may need to be done to make the light go off.
The Oil Light (sometimes called the Oil Pressure Light or Oil Temperature Light) is an oil-can shaped light designed to tell you that there is something wrong with your oil. It can mean that your oil’s pressure is too low, your oil levels themselves are low, or the oil temp is too high. Oil is the lifeblood of the car, and this light should be taken seriously if it comes on. This light sometimes has a squiggly line under it (pictured above) or a temperature gauge with squiggly lines by the oil can.
The Anti-lock Braking System (ABS) Light is designed to tell you if there is a problem with your anti-lock braking system(ABS). The ABS system is why we no longer need to “pump the brakes” to prevent our wheels from locking up and skidding. ABS was created in the 1980’s and is equipped on most vehicles made during or after the 90’s. ABS became legally required on all new vehicles in the United States in 2013. While the light usually means there is a problem with your ABS system, the sensors on these can go bad causing the light to come on when there actually isn’t a problem with the system at all. Either way, the ABS system is important and it is highly recommended that when this light comes on, you visit your local auto shop.
Auto Repair in Mint Hill – What Should I Do if My Vehicle is Recalled?
Having your vehicle recalled is a scary thing to have happen. After all, if a vehicle is recalled for a defect, the issue is most likely important. Recalls happen all the time for various reasons. Though recalls themselves are common, what to do when the vehicle is recalled is not commonly discussed.
If you vehicle is recalled, you’ll likely get a letter.
2. You are usually required to bring the vehicle to the dealership from where it was originally sold.
Sadly, your local independent auto shop cannot do recall repairs, usually due to licensing or legal reasons. The good news is, however, a recall is free if the recall was issued by the manufacturer. For example, if a Toyota is recalled, the repair is usually done at the Toyota dealership who sold it new, regardless of who currently owns it. If you cannot get to that specific dealership, you should attempt to go to your local dealer.
3. If you have the repair done, you should keep the records.
It is incredibly important you keep the records of a recall repair. If something should happen to the vehicle or if you try and resell it, proof that the job has been done is great to have.
If your vehicle ever gets recalled, you can rest easy, you now know everything there is to know about recalls.
Auto Repair in Mint Hill – Should I Replace My Headlights?
Headlights are a crucial part of any car. After all, without them, driving after sunset would be more of a dangerous stunt than a common activity. Headlights, like any other part, wear over time. Replacing headlights, however, are not as cut and dry as “change your headlights at X miles,” but “when can you not see anymore?” To expand on the topic, we spoke with Manchester Auto and Tie of Mint Hill’s co-owner and co-founder Ken Manchester.
We then asked Ken if there is a law about headlight visibility. | 2019-04-19T16:51:00Z | http://www.autorepairminthill.com/category/uncategorized/ |
This information-packed episode of LMScast features Chris Badgett of codeBOX discussing Tin Can API, eLearning authoring tools, LRS, H5P, and more with Dennis Hall of Learning Templates, who’s also created the LifterLMS xAPI.
If you’re not technically inclined you’ll still find this discussion informative and easy to understand. You’ll get answers to some basic questions, especially if you want to understand the scope of what LifterLMS xAPI does. Dennis starts with an explanation of what an API is and what it’s for. Basically Tin Can API, the Experience API, and xAPI are all names for the same thing. It’s simply a tool that connects things together.
If you’re new to LifterLMS, it’s a WordPress plugin that makes it easy to create, sell, and protect your online courses. The LifterLMS xAPI is an add-on for your WordPress site that gives you even more functionality. It also removes the need for a programmer to set up the API for you, allowing you to create your learning products and generate reporting with no programming skills required.
Dennis fills in some history on SCORM – the Shareable Content Object Reusability Model – and why it’s being replaced by the xAPI. He tells how xAPI and LifterLMS integrate to access eLearning services, and use communication channels in ways that save bandwidth for mobile devices because a lot of students use those to access your courses.
You’ll learn the difference between a Learning Management System (LMS) and a Learning Record Store (LRS), what their functions are, and how xAPI handles information privacy. Chris and Dennis explain competencies and activities beginning with measurable learning objectives for your curriculum, and how all of that gets reported. And LifterLMS is now the only WordPress-based Learning Management System that supports CASS competency analysis.
LifterLMS xAPI is also able to work with H5P content, giving you rich, visual, web-based, interactive content for your course, lessons, or quizzes. You’ll also get a quick overview of eLearning authoring tools and how they integrate with LifterLMS xAPI. By getting the most out of Tin Can API, eLearning authoring tools, LRS, H5P, and more with Dennis Hall’s LifterLMS xAPI, he has solved a lot of problems and provided new integrations and additional features.
Chris Badgett: Hello, and welcome back to another episode of LMScast. My name is Chris Badgett, and today I’m joined by special guest Dennis Hall from Learning Templates, creator of the incredible LifterLMS xAPI plugin, a companion to LifterLMS that we’re going to get into in this episode. First, Dennis, thanks for coming on the show.
Dennis Hall: Thanks, Chris. Nice to be here.
Chris Badgett: LifterLMS xAPI does a lot of different things, and I really wanted to take the opportunity to talk with you and get some answers to some pretty basic questions for people first coming across this, or for people trying to understand the full scope of what LifterLMS xAPI does. A lot of people listening to this episode already know what LifterLMS is, but in case you’re new, LifterLMS is a WordPress plugin that makes it easy to create, sell, and protect engaging online courses. LifterLMS xAPI is an add-on that you can add to your WordPress site that gives even more functionality, and quite frankly a lot more power and functionality to the core feature set of LifterLMS.
Let’s start at the beginning, Dennis, what is xAPI? Which is also known as the Experience API, and also known as the Tin Can API. If someone came up to you on the street and said what is that, how do you explain it?
Dennis Hall: What xAPI is, or Tin Can, as it’s most commonly referred to, a little history…Tin Can was the original project name that ADL, Advanced Distributed Learning organization, the U.S. government subsidiary. Tin Can was the name of the project that was given to a company called Rustici, who are the owners of SCORM.com, which I’m sure a lot of people are aware of over the years. Tin Can is just a nickname, in reality. It’s kind of stuck with it, but xAPI is the Experience API. You’re correct.
What xAPI is, it is exactly what they say, an API, meaning an application programmer’s interface. The wonderful thing about it is those of us who have developed things against xAPI have taken the programmers out of it. We’ve given you an API where you fill in some information, and that populates the information to be sent to servers and to be transmitted around the world, and to be communicated between you and your course, as well as your Learning Management System and your course. We’ve taken the technical programmer part out of it all, and made it much easier for the end user, the person who has no programmatic skills, to be able to focus on the job that they are good at doing, which is creating their learning products, and generating reporting output that makes sense to them.
Chris Badgett: That’s awesome. You mentioned the word SCORM, and my understanding is SCORM is something that’s dying, or phasing out, being replaced by the xAPI, as the new standard or whatever. For those who are looking at SCORM, or still using SCORM, can you talk about how that’s going away, or what’s new, and how people can think about it? You hear these words, SCORM, and Tin Can, or xAPI sometimes side by side but help us understand the difference.
Dennis Hall: Sure, to understand the difference you have to kind of have been in the industry since the onset of this. Back about ’95, we all started talking about and beginning to work with a specification called AICC. This was the Aviation Industry specification for reporting course materials and reusing courses amongst different platforms. The idea was you could have one course sitting on one server, and you could have many different Learning Management Systems connect to it, and be able to have those users of those Learning Management Systems use that content.
That kind of brought in what we call the SCO, back then though they called it an AU, and Assignable Unit, in reality. An AU was also a kind of file that you configured for AICC to work, but the beauty of it is that you could cross domains in the internet. That really was beneficial, but AICC, from a reporting, or a granular reporting perspective, it just didn’t have enough giddy up to really turn people on enough to go for it. Then came SCORM.
If you recall, I mentioned the shareable content part of AICC, well that got carried into SCORM. SCORM is an acronym for Shareable Content Object Reusability Model, and what that kind of means is that everything in your course is an object, and because it’s in your course, and your course is being used, it’s shareable content, because it’s being used amongst different people. You’re not giving a physical course to each person. You’re hosting it centrally, and having a bunch of users connect to your LMS and use it. It’s shareable.
What is sad about SCORM is one of the first things that ever went away were that AICC model, where you could connect from your domain to another domain, and use the course in the other domain. SCORM lost that right away, and that forced everybody to take that shareable content, and start distributing it amongst all the different LMSes to be used locally. This was a problem for people who wanted to centrally host courses and resell them to different platforms, but it was something, I’m not going to say become liked it. People just succumbed to it, and accepted it for what it was.
That was the problem with SCORM, is that throughout the years it went through four evolutions, and in those four evolutions, essentially people just became more and more apt to succumb to the lesser abilities, let’s call them. SCORM kind of got milked down so much. It’s not uncommon for somebody to expect, Dennis Hall completed course A. Dennis Hall scored 55% on exam A. That was kind of it. ELearning really took a big hit, because eLearning could do so much more, but SCORM was basically killing it.
Then through the different iterations of SCORM, things tended to become more broken. Even to the point where by the third edition of SCORM, if you made a big enough course you could never get a completed on the course, because there was so much information being sent to the LMS, and the LMS wasn’t able to handle it all, so it was losing data. Essentially, in large courses, people weren’t completing courses. I myself have been an instructional designer and courseware developer through this whole evolution. I’ve seen it grow from day one, from the beginning of AICC, even beforehand to be honest. It just got more and more broken as things got along.
Like I say, the only thing that kept it going was the fact that people were expecting less and less, and their expectations were lowered quite a bit. More than a year ago now, the ADL, various working groups, I’m in three of them. I’m in the xAPI working group, as well as the cmi5 working group, as well as the CASS working group. In two of those, xAPI and cmi5, I’m one of the contributing authors to that. There are a number of us in there including Learning Management System vendors who are all in there.
What we’re trying to do in the xAPI working group is we’ve created a specification for the xAPI to be able to send and receive data. We’ve created rules. What type of data? What format of data? What format of information? What kind of details should be in the information? This sort of thing. In the cmi5 working group, what cmi5 is, it is a layer on top of xAPI, that compliments xAPI, and applies a set of rules to Learning Management Systems to be able to use xAPI effectively. It basically determines, for example, what format should the AU, the Assignable Unit, which Assignable Unit kind of means the course. What format of the information should be in the course, and how should the Learning Management System read it?
That’s all the technical stuff. That’s out of the way. Bottom line is though, the announcement that SCORM was no longer being supported, it doesn’t mean that it’s dead. It simply means it’s not going to evolve, and grow anymore. That happened a little over a year ago that that announcement was made. At that time, xAPI had been gearing up for about two years prior to. At that time xAPI was announced as the replacement for SCORM.
Dennis Hall: The beautiful thing about xAPI is that what you had in AICC, what you lost in SCORM, you’ve now regained with even tons more information in xAPI. That’s the whole history in a nutshell.
Chris Badgett: That’s awesome. You’ve been along for the ride through all that, so that brings a lot of depth of knowledge and experience there, in seeing where things have been, and where they’re headed, where the opportunities are, where the problems are.
Dennis Hall: Yeah, you’re right. What’s important, a key word there is where the problems are. What is really important to understand about implementing xAPI is to understand what your objectives are when implementing it. When you want to use xAPI do you have a valid reason? Are you doing it just because it’s the latest greatest thing? That’s not really a good reason. Are you doing it because SCORM is failing you? That’s a better reason. It’s an important reason, but is it still going to serve your needs?
Another thing with xAPI, something that we’re seeing a lot of is eLearning implementations. The thing with eLearning is that unlike LifterLMS, LifterLMS the content’s in the website, where eLearning, the content can be anywhere in the world, as I mentioned with the AICC being brought into Tin Can. What’s really important to understand about that is that here you are. You’re on your mobile device, an iPad, for example. I wouldn’t do learning on a cell phone, but some people might, even. Let’s say you’re on your iPad, there are rules related to browsers in mobile devices.
As an example, when you open up a video in a mobile device it never automatically plays. You always have to tap it to play it. That’s a rule that’s built into all mobile devices, and this is because mobile devices by default will not stream two channels of information simultaneously. They’ll only connect to one thing, and use it, until you intentionally tap something to make it connect to the other thing. Then, it’ll stop communicating with the first thing. They do that intentionally, because the mobile developers have been trying to save bandwidth usage for their users, so they don’t clock up gigabytes of data usage every month. That is the design.
LifterLMS doesn’t have a problem out of the box, because everything’s native in LifterLMS. You’re using one communication channel. As soon as you open up an eLearning course within LifterLMS, your mobile device has to make a choice: eLearning or Lifter? The end. When you tap the eLearning to get it started, you’ve made the choice for the device, and it can communicate to the Learning Management System. Excuse me, it won’t communicate to the Learning Management System.
It’ll communicate to a database called a Learning Record Store. In my case, the ones that I implement, they’re high performance databases. They’re designed to be 8,000 times faster than your typical WordPress database. That is what I provide as a service as well. It’s really critical when you’ve got 100 users that are constantly streaming data in and out of the database, as well as people trying to run reports off the database at the same time. You need the performance. You need the speed, especially when crunching reports.
Chris Badgett: Got you. I just want to say what LifterLMS xAPI does at a high level, and then let’s get into unpacking more of these bits and pieces that people need to understand to see if it’s a good fit for you or not. LifterLMS API makes it possible for you to integrate LifterLMS with an xAPI or Tin Can service. You can manage your LifterLMS competencies and activities, your H5P content, as well as uploaded and linked Articulate, Captivate, or Lectora eLearning course activities. Those are those external courses that Dennis was talking about there.
LifterLMS xAPI does a lot. You may only need certain pieces of this, or you may need it all. You may need everything, and you’re really going big with your eLearning. Circling back to what you were just talking about, Dennis, LifterLMS is a Learning Management System. As you helped me understand, it’s a LCMS, a Learning Content Management System as well.
Chris Badgett: WordPress is a content management system. What is the big difference between an LMS, and an LRS? A Learning Management System versus a Learning Record Store?
Dennis Hall: Good question. A Learning Management System is a system that encompasses everything to do with your users, everything to do with your registrations, everything to do with scheduling, if you’ve got that, and everything to do with serving content to those users based on a set of rules. A Learning Record Store is primarily a database. It’s a place that you send data to. Some Learning Record Stores have reporting ability built into them, where others don’t. There are certain ones that can and can’t provide reports, but that’s all it is. A Learning Record Store is simply that.
However, what happens as the forward facing part of the Learning Record Store is that it receives xAPI data, and it interprets it, and then it stores it appropriately based on how in interpreted the data strings. We won’t get into that technical stuff, but it’s actually you’re sending strings of information to the server, the server interprets, oh I see this, I should put it here. I see that I should put it there. The end.
Chris Badgett: Yeah, and if you’re new to the technical jargon, that’s one of the ways I like to first explain the concept of an API. It’s kind of like a pipe that connects things together.
Chris Badgett: It’s sort of like connecting your LifterLMS site to a Learning Record Store. That pipe is the Tin Can API.
Dennis Hall: That’s correct. One of the things LifterLMS xAPI does is it prepackages everything that the user’s doing, and it prepackages it in an xAPI format, and it sends it to the Learning Record Store, which then unpackages it and reads that information, and stores it in the appropriate location. It is important to understand, by the way, all the data being sent across is encrypted.
Chris Badgett: Yeah, privacy is a big deal. I think one of the things that really helped me understand the difference between a LRS and an LMS too is that an LRS may be receiving data from multiple Learning Management Systems. You may be getting data from some course platform over here. It might be Lifter powered. Something else over here. Whoever owns the LRS for some kind of degree program, or certification, or training objective, the data can be coming in from all kinds of different places.
Dennis Hall: That’s right. You really need a high performance server to handle it all. One other thing to mention, since you were just on that subject … Sorry, go ahead. I lost my train of thought there.
Chris Badgett: In terms of LifterLMS xAPI, I know when you first set it up it asks you which Learning Record Store, or LRS do you want to use, and you’ve got one that you have in there that you recommend, or people could sent it to a different one of their choice. Is that right? Can you help us understand the options around that?
Dennis Hall: Yeah. One of the things with the xAPI’s standard. It is a standard that allows you to connect to any Learning Record Store that is xAPI compliant. In the case of Tin Can, of LifterLMS xAPI, I do have a special key added into mine, so it is best suited to work with the Learning Locker Learning Record Story system. Learning Locker is a project that I’ve done minor development in with that company as well, and it is an open source project out on GitHub. However, the server that Learning Locker sits on is a very, very important architecture that helps Learning Locker to work as fast as it can.
There are a number of other companies out there that do also host their own Learning Record Stores. SCORM.com itself hosts one. There is Saltbox. There is a number of different companies out there. When you connect LifterLMS xAPI to any of those Learning Record Stores, you will need to contact them, because they’ll have to provide you a key separately, much like the user key that is setup in mine. If you go with a Learning Locker provider, then that key will be provided to you as part of the package already. You don’t need to worry about converting, or trying to figure out how to ask them for the key.
There are three pieces of encrypted information typically associated with the Learning Locker setup. One is the LRS key that I just described. The other is your LRS user key, your username, excuse me. Then you’ve got your LRS password. What you receive as LRS key, LRS username, and LRS password already pre-encrypted information. They won’t look like your username or your password. These get repackaged again into further encrypted data. We encrypt the encryptions, and we send that optimized server, or any Learning Locker server, or any Learning Locker type server, let’s say.
Chris Badgett: What about, if we’re sending data over the pipe, what is a LifterLMS competency and activity? These are some types of things that we can communicate to our LRS through the API. What are competencies and activities?
Dennis Hall: Good question. It’d be better probably to start with a learning objective. What is a learning objective? For people who have been developing courses over the years, they understand that learning objectives are statements that define the expected goal of a curriculum, or a module, even, or a course, or a lesson, in terms of demonstrateable skills, or knowledge that will be acquired by the student as a result of the instruction in the lesson, course or module.
Learning objectives are also known as instructional objectives. They can also be known as learning outcomes. In fact, I hear them quite often as learning outcomes more than learning objectives. It seems like a nicer name I think. Another name for them is learning goals. I’ve heard many people call them that. Learning objectives describe what the learner should be able to achieve at the end of this module, for example, and they should be specific. They should be measurable as well. They should be measurable statements written in behavioral terms.
Chris Badgett: What does that mean, behavioral terms?
Dennis Hall: Behavioral terms, an example might be, that is how I was able to identify bacteria, or that sort of thing. Those are learning objectives. Why have I brought that up first? Because the learning objective is one piece of the foundation. The other piece of the foundation is the competency, which will directly relate to the learning objectives. Competency is the capability to apply or use a set of related knowledge, and skills, or abilities. Otherwise known in the industry as KSAs, which you may have heard of. Knowledge, skills, abilities, those create a competency.
Chris Badgett: Because of the geolocator in the phone?
Dennis Hall: That’s right. I went to the top of Mount Everest, and tapped my phone saying I’m here, and when I tapped it it stored an xAPI record, because there was no cell coverage. When I came down off the top of Mount Everest, it connected to the nearest cell tower, connected to my Learning Record Store, and submitted that data. That’s a native function of xAPI.
Dennis Hall: Record stores. That’s something SCORM cannot do, by the way. If you attempt to do that in SCORM, you’ll be dead in the water from the start.
Chris Badgett: Got you. You can send data to your LRS about what people are doing with LifterLMS courses, or lessons, or quiz questions, and these sorts of things, and you can also create competencies that fulfill some kind of learning objective, and pass that data through the API as well.
Dennis Hall: That is what we do. There’s been a couple of fallbacks to xAPI. THey’re not bad things. It’s just that they’re things that surprise people. They’re not used to it. xAPI can send a lot of data. It can fill up your database pretty fast if you let it. What’s important to understand is that you get a lot more data than you did with SCORM. Secondly, xAPI data, out-of-box, xAPI data can look a little bit cryptic. You’re going to see Dennis Hall experienced this eLearning. It’s like okay, well the whole idea behind xAPI is to say the actor did something. Dennis Hall experienced this eLearning. Dennis Hall being the actor, the verb being experienced, this eLearning being the object that he experienced. Sorry, talking about myself in third party. I’ve lost it.
What I’ve done, Dennis Hall experienced this eLearning, it’s just a bit too, let’s call it out there. What would you say if you had completed a specific learning objective in an eLearning course, wouldn’t you rather see something like Chris completed this eLearning, or module one, or Chris was able to complete question three, or this sort of thing. What I’ve done in LifterLMS xAPI is I’ve taken the competency, and assigned it to that learning object, so now when you run a report in the Experience API reports, raw statements we call them, will come out, and by default the ADL verb will be sitting behind the learning object, so when you click on the learning object in a report it’s going to come back and say here’s the ADL verb per course.
What I’ve done is I’ve remapped the information, so that in LifterLMS xAPI, what happens is if you click on the name of the learning object that’s being reported, it will actually map you or redirect you to the competency that you’ve created in LifterLMS. Now you can take a competency, and you can assign it specifically to the start page of a LifterLMS course, to lesson one of a LifterLMS course, to quiz one of a LifterLMS course, or even to question one of a LifterLMS course. Whenever people read a report, they’re going to have a clickable item, and that clickable item will be the name of what the person experienced, the learning object the person experienced.
When they click on the name in a report, it’s going to come up and say, here’s the competency that was associated with it. Otherwise, the only other alternative is to send you off to the ADL server, and you’re going to see what is the definition of course. That’s one of the drawbacks so far, but it’s not a drawback with the specification. It’s simply a drawback with the application of the specification. What I’ve done in LifterLMS as far as I’m concerned is best practice where I’ve directly linked the competency to the learning object.
Chris Badgett: Nice job solving that problem.
Dennis Hall: Yeah, I’ve been, by the way, also given you the ability to rename that experienced item. You can rename it to whatever you want. Dennis Hall jumped off a cliff. Done. As long as you have a learning object called a cliff, and you have a competency saying well I guess he died, whatever the case be. You can put whatever you want, and you can put it in any language you want.
That’s another key thing is the Experience API out-of-box, although the verbs are very flexible, if you use it directly out-of-box you have to assign a language to it. As you know, in WordPress you can have multi-lingual sites, so in that particular case you can actually create a new course in LifterLMS, and you can map new lessons to it in the different languages, and use those same competencies in different languages, because WordPress can serve competencies separately in different languages.
Dennis Hall: The course itself may have to, the lesson may have to get redone, but the competency can be translated in WordPress, dynamically.
Chris Badgett: That’s awesome. We’re still not even half way through it.
Chris Badgett: That’s amazing, and LifterLMS xAPI does a lot. It opens up the door to a lot of avenues. That reporting piece, and the customized view of that is really incredible, and matters to people who want really advanced reporting, and a focus on this type of competency-based learning.
Dennis Hall: That’s it. Competency-based learning is evidentiary learning. That’s what’s really most important about it. If you want your course to be meaningful, and you want to be able to prove that it’s meaningful, set this up, use competencies. They become the documentation to prove the skills, the knowledge, and the ability of the user.
Chris Badgett: I like that.
Dennis Hall: Another thing, earlier I had forgotten my train of thought. I did want to make mention, one of the specifications with xAPI is that the learner owns their data. What’s important to understand about this is that everything I do in a LifterLMS Learning Management System, the administrator at the moment of the system has to be able to export my information out, specifically. Now, it’s all fine that you see Dennis Hall experienced eLearning. That’s not very useful information to a human resources person receiving your XML file, which by the way would be filled with hyperlinks back to the original content, and back to the competency.
LifterLMS is now the only Learning Management System that’s WordPress based that supports CASS competency analysis. What’s really important to understand about this is that when Dennis Hall, or Chris, basically quit their job and say, hey HR give me my learning records, when HR gives them their learning records in an Excel spreadsheet, now Dennis Hall takes this to the new company and basically says, oh you want to know what my competencies are. Here they are, in my Excel spreadsheet. Please import them into your system, so that my human resources information can be updated properly.
Chris Badgett: So their records are portable.
Dennis Hall: That’s correct. In fact, with xAPI that’s the rule, not an option. It’s the rule. The owner owns their data. Now, in this particular version of LifterLMS xAPI I don’t have a front-end data export, so the learner won’t be able to get their own data, so for now they’ll have to ask the administrator. However, I do have a number of planned releases in the future with LifterLMS xAPI, and one of those planned releases are to have front-end shortcodes so the user can get their own data, leaderboards, this sort of thing.
Chris Badgett: That’s awesome. LifterLMS xAPI also introduces the ability to work with H5P content. I’ve been aware of H5P for a couple years now, and my understanding of it is it’s an open source project where you can create these incredibly rich web based, interactive things. It’s very visual. The place I’m drawn to when I think about it is using it for some quizzing, like with really advanced graphics, and non-linear learning situations where you can end up in all kinds of different places. Tell us more about what H5P is in your experience, and how it works with LifterLMS xAPI.
Dennis Hall: Yeah, not a problem. First off, H5P is a non-SCORM, I would put. It is xAPI only, or nothing. You can already use H5P content in LifterLMS, but it’s not going to report anything if you use the content alone. However, what I’ve done with LifterLMS xAPI is I’ve packed, and even preconfigured your H5P xAPI connector in my plugin. When you install my plugin, it’s an optional install of their H5P plugin, but when you install their H5P plugin from mine, I actually preconfigure everything for you so you have nothing to setup. You just install it and you’re done. It works out of the box. Beyond that, as well, I also have a lightbox plugin which I’ll explain later.
The H5P content itself, what H5P Content is, and that’s the name of their plugin, by the way H5P Content. Pretty straightforward. I don’t package that plugin with mine. I only package the connector, and you can actually just do a search in the WordPress plugins directory. In your plugins page you would simply click add new. You’d be immediately taken to the WordPress repository or plugins. You would do a search for H5P. In searching for it the first thing that comes up is H5P Content. You’ll install it. Once you install it you then have a bunch of libraries available, and the libraries, there’s about somewhere in the area of 50 or 60 different libraries that they carry.
Each library is a type of interaction that you can do with H5P products. The content type products that they present you with, there’s tons. There’s image, do hotspots over images, do drag and drop over images, do hotspots over videos, do drag and drop over videos. Basically you can get the idea that the object would be the video, or the image, and the interaction they provide you might be drag and drop, hotspot, multiple choice, pick one, you name it. There’s just tons and tons of different ones. They create very rich interactive content to be used in a LifterLMS course, lesson, quiz, or question, just like my LifterLMS xAPI connects to.
In doing this, when you use LifterLMS xAPI, once you create that content and those interactions using H5P, which is a very simple, intuitive interface, by the way. Actually I drool over it. It’s a beautiful, beautiful product. Once you’ve created that, and it’s in your course, lesson, quiz, or question, it will automatically just start communicating xAPI. With my LifterLMS xAPI, at that point you have a couple of choices. You can turn on or off every single course, lesson, quiz, or question in LifterLMS. You can turn off the xAPI reporting.
Let’s say that I have an H5P content sitting on my course page of LifterLMS for course one, I may only want to report the H5P content, so at that point I simply would turn off the xAPI for the course, but the H5P content will still travel.
Dennis Hall: It will still report. Same thing can happen later on, I’ll explain, with eLearning. Let’s say lesson one in the course has a bunch of learning objectives, and such, and it has no other content. It’s pure LifterLMS content. I may want to turn on xAPI reporting for that, and assign a competency to that as well.
Chris Badgett: You can mix and match.
Dennis Hall: Absolutely. In lesson one, for example, I can turn on xAPI reporting for that, assign a competency to it, as well as apply my own custom verb within the content of lesson one. I can embed an H5P interaction, and I can embed as many eLearning interactions as I wish.
Chris Badgett: That’s awesome. Let’s get into eLearning a little bit, because I think this is kind of confusing for some people. LifterLMS, without all of this, you’re working with lessons, which are kind of like WordPress posts. You can put videos in there. You can embed Vimeo videos, Wistia videos, Youtube videos, you can put text, images, whatever you can think of that you can put on a regular webpage, you can put in a LifterLMS lesson.
Chris Badgett: In the eLearning community, there are some different types of tools out there, and one of the things that I find, just as being a member of the community is there are these people called instructional designers out there, and a lot of them, they’re coming to WordPress, and LifterLMS later, they’re more focused on building eLearning with authoring tools like Articulate, Captive, Lectora, these tools.
What you’ve done is, if somebody builds an eLearning module, which we’ll go over in a little bit, and they want to stick that in a course, or stick that in a lesson, or stick that in a quiz, you can also mix and match with that as well, or have that be the entire course, is this other content, and it’s going to talk through the xAPI. Can you give us a lightening fast tour Dennis of eLearning authoring tools, and how they integrate with LifterLMS xAPI?
Dennis Hall: Yes, the key being xAPI. That is the point of integration. With LifterLMS what I’ve done is I’ve created a form that allows you to either upload your xAPI published, or your Tin Can published eLearning project.
Chris Badgett: You can upload that directly to your WordPress website.
Dennis Hall: That’s correct. You can upload it directly to your WordPress website, or if you wish to run it off a different web server, you can link to it from your website. There’s advantages to doing it either way. For example, if your LifterLMS website, if you want to keep it light and airy, so light and speedy, and fast, and quick for everyone, that’s one of the reasons why I offshore the database, so to speak. I don’t mean offshore literally. I mane that’s why the database isn’t sitting in LifterLMS.
Chris Badgett: The LRS is somewhere else.
Dennis Hall: That’s right. That’s because if we start piling 9,000 records a day into LifterLMS, you’re going to need a bigger server real soon. It is best practice to use a surrogate server for that. I create that service. eLearning, in LifterLMS, excuse me, you have the ability to turn on or turn off reporting of anything that you want granularly. In eLearning you don’t have that choice, unfortunately. What’s going to happen is, as an example in Storyline, hitting page one of your course, it’s going to send two records. The first record saying the course was entered. The second record saying the start page was entered.
You’re going to get a ton of data whether you want it or not, and unfortunately we don’t have control over the way those companies have developed their product. Not without becoming a programmer, and going in and programmatically adding or removing things. We don’t want that, do we? What we want is we want a person to simply upload their course and get it done, the end. In Lifter I give you the granular ability, but in those courses we can’t do that. What you can do is, you can at least turn off your Lifter reporting for that particular course, lesson, quiz, or question that you’ve uploaded a eLearning course into.
The operation of uploading a course is one thing. What’s really cool about the way I’ve done this, by the way, I do smart disk management for the courses. If you upload a course called my favorite course one into LifterLMS, I put it in your uploads folder, in a specific folder called courses, and I always watch that folder. If you later come and update my favorite course one, and call it my favorite course two, what’s going to happen is when you go in to update the course, I’m going to remove all the files, and the folder from my favorite course one, and replace that for my favorite course two, because you’re updating. If you add a new one you can call the new one my favorite course one again if you want.
Then when you delete a course, I delete the course for you as well. You have nothing to do behind the scenes. Everything is done within the update panel, or the update forum. In that forum as well, again future versions, I am going to allow you to remap your course, each course item to a competency in LifterLMS, because today, again, based after the same problem I explained earlier, where as soon as you click the name of that item that was int he course, it’s going to send you off to an ADL page saying a page was viewed. Dennis experienced a page, and it’ll give you this definition of what a page is. Again, I’m going to allow people to remap their uploaded courses to valid competencies within Lifter.
Chris Badgett: That’s awesome. For the uninitiated out there, who hasn’t yet used, Articulate, Storyline, Captivate, Lectora, these types of tools, what can you do with them that you can’t necessarily do like on a LifterLMS lesson WordPress page where you might insert video and text, and audio embeds, and thing like that? What can you do with these tools?
Dennis Hall: Good question. Sorry, I should have respected that question earlier. I did not. Basically, the various Articulate products that are available, the Captivate, and Lectora products that are available today, for the most part what they’re giving you is everyone’s giving you a fairly standardized xAPI output. What they’re doing for you as a courseware developer, they allow you to do things like import PowerPoint, which everybody actually really hates in the industry, but PowerPoint is an important tool to develop with speed the subject matter expert.
However, they allow you to create rich, interactive content, rich interactive media content within a eLearning environment, or a online course environment. Once you’ve created the product that you want, which is your eLearning course, you then publish that from that product as a Tin Can, or xAPI package. Those products then zip that up for you, and put it into a proper format for you to upload into your Learning Management System.
Chris Badgett: That’s awesome. You told me about, and you showed me a feature that was really incredible, that I just want to make sure that the listeners and the viewers here understand. Let’s say I’m building my course platform, and I actually want to bring in courses from somewhere else.
Dennis Hall: That’s a good question.
Chris Badgett: Maybe I work out a licensing deal with them.
Chris Badgett: I’m paying a licensing fee to. Can you tell me how that works, and what that’s all about?
Dennis Hall: Sure, yeah. I did briefly mention that earlier when I talked about uploading courses to a different server. Essentially, in that same upload forum that I was just describing, when you create a new course, or you update a course, let’s say that you had a course locally on your server, you can actually delete that course, and in that same forum you can link the same course title to a course out on a remote server. There’s only two pieces of information that you need to be able to link a remote course.
Information number one is what is the URL to the start page of that course. It’s going to be out on http://www.domain.com/path/two/index.html, for example. That might be the start file of your course that somebody else is allowing you to use, or rent, or whatever it be. After that they need to give you another piece of information, and that is what is the starting activity ID, or the starting ADL activity URL for that. It might be http://adl.net/path/twocourse. Those are the only two pieces of information you need to link to a remote course. Beyond that you’ll have a title that you’ll put in. That title will be reflected in LifterLMS.
After that you’re done. You now have all the foundations set for running local and remote courses such as the old AICC model, that allow you to do this, to use those courses. To use the courses in LifterLMS xAPI, that’s a separate function. What I’ve done is I’ve built in the LifterLMS editor, the course, lesson, quiz, and question editor that is in LifterLMS. By the way, as well as the membership, and non-membership editor, it also has this. No, disregard. It does not. No. It’s only courses, lessons, quizzes, and questions.
In your editor I’ve added a new button to your editor’s button bar, a button called xAPI with square brackets around it. The square brackets denote a shortcode in WordPress. I’ve created a visual button builder that allows you to use images for your buttons. You can even use a combination of image backgrounds, and have borders and such, and reshape the images to circles, or rounded rectangles, or whatever you wish, or you can just color your buttons, and make them look exactly like the Lifter buttons if you wish, as well.
No matter how you do it, you have the ability to create a custom button to launch your eLearning course from a course, lesson, quiz, or question. You would do that by selecting in a dropdown menu the eLearning course title that you’ve given your course. Then you would configure your button, you could click insert, and boom you’ve got a button in your course to launch the eLearning. That brings up that other plugin, the lightbox plugin.
By default, and this is not just with my plugin, it’s with any scenario in WordPress. If you have an external HTML file that you’re pointing to, like in WordPress, if you click on a link it might open up and replace your website, or it might open up in a new window or tab. In Lifter, the way I’ve done it with these if you use the lightbox plugin, it will open up your eLearning course in a lightbox. Now a lightbox is that kind of grey shadowy, that grey border around an HTML cage that you see. Basically you would interact with your course within that lightbox plugin, or within that lightbox.
If you are going to use eLearning, I highly recommend using activating the lightbox plugin that I supply as well, and that is simply so that if you don’t activate it your courses will open up in a new tab or window automatically. The drawback of doing that is that the users will no longer be focused on the content that they launched that product from. If you’ve got, let’s say lesson one has some really important information. Then it tells you watch this tutorial, because it doesn’t have to be a course, right? It can be a tutorial that’s done in Storyline or something, or a video, or whatever, so watch this tutorial about what you just read, or watch this demonstration.
Then you watch that, and you close it, and then you continue reading, and it says, here’s another demonstration on another aspect of what I’ve read as well. You have multiple eLearning inside that content, and that will all open up in lightboxes, and keep you in the content so when you close the lightbox you haven’t lost your place.
Chris Badgett: Fade the background, and give them what they want, and then when that’s done they’re back where they started.
Dennis Hall: No, they’re back to where they left off.
Chris Badgett: Where they left off, yeah. Just to reiterate your point, because I think it’s a really important one, Dennis, is that when we use this word eLearning, or course, that we’re making with these other authoring tools, those don’t necessarily have to be complete end-to-end courses. They could be just one lesson in your LifterLMS course, or they could even be part of a lesson, like you said.
Chris Badgett: You might have a video on your LifterLMS lessons and text, and then you say click this button, and now you’re bringing in this eLearning content that you have either hosted locally or elsewhere, or whatever. It’s amazing. What you’ve done is you’ve opened up the door to craft really intricate learning journeys.
Chris Badgett: With the best tools available out there.
Dennis Hall: Yes. If I may add, by the way, you’ve said something really, really important there. You can break up your eLearning courses. It’s not uncommon, actually, to have an eLearning module that focuses on one learning objective, and has one competency related. Which, by the way, if you do it that way in LifterLMS xAPI, I give you the ability already to remap that default adl.net/path/two/course to one of your competencies already. If you do a single learning objective eLearning, so if you upload or link a single learning objective eLearning, you can already map that eLearning to a competency built in LifterLMS.
Chris Badgett: That’s really amazing.
Dennis Hall: Yeah, so you can already do it. What I plan in the future is that if you have multiple modules, or multiple pages within the eLearning that are reporting xAPI data, in the future you’ll be able to remap all of them to competencies. Because again, the biggest problem the eLearning vendors have is that they don’t map you to anything that actually is meaningful.
Chris Badgett: That’s awesome. Nice job. You’ve solved so many problems, and provided so many integrations, and additional features. It’s really incredible. I know, like when I was first learning about how all this stuff works I had a lot of questions. If you’re listening to this, or you’re watching this, and you want to reach out directly with a question, just go to LifterLMS.com/contact, and we’ll get you your answer there. Also, if you invest in the product, we’re hosting this product that Dennis has made, and the LifterLMS store, and it uses our support system, so if you are using LifterLMS, and it sounds like LifterLMS xAPI is a fit for you, and what you’re trying to do, or you want to try it out and see what you can make with it, we can support you in all the normal ways that you’re used to being supported through the LifterLMS systems, and that sort of thing.
We’re really honored, Dennis, to have you, and LifterLMS xAPI in our store, your decades of experience, and all this knowledge, and seeing the journey of eLearning, and being a developer, and being an instructional designer yourself, and doing client work, you have a really unique insight into creating really effecting Learning Management Systems. Again, we’re honored to have you as part of the LifterLMS community, and thank you so much for coming on the show.
Dennis Hall: Thanks a lot, Chris. Honestly, back at you on that as well. The one thing I’ve found with your team is that you guys are awesome to work with. I really, really appreciate the support that you’ve given me, but as well the support that I see you give to your community. You guys love your community and it shows. It shows big time.
Chris Badgett: I appreciate that. Thank you very much. Dennis Hall, ladies and gentlemen, Learning Templates, and then come find out more about LifterLMS xAPI at LifterLMS.com. | 2019-04-21T04:17:27Z | https://podcast.lifterlms.com/tin-can-api-elearning-authoring-tools-lrs-h5p-dennis-halls-lifterlms-xapi/ |
Hi guys! How’s your holiday? The month of January is full of holidays. But as usual our magic scene is full of activity. New items are coming in only after the holidays! Talk about holiday mood! Despite he holidays, Magic Crew is still business as usual striving to deliver orders. OK, guys, time to get back to practising magic. As always, happy magic! Till then, take care!
Happy new year fellow magicians! Boy, Chinese New Year is fast approaching, and we still haven’t recover from New Year’s Holiday. Its holiday again guys! But not to worry because we at Magic Crew 2U will still provide you with the same quality service despite the holidays. We barely sleep to ensure your satisfaction! Rite guys, see you in next post, until then, Happy New Year!
We now operates 100% online with no physical shop. It’s a massive relieve for us, since now we’ll be able to concentrate on giving you the best web service in the world. Thanks for choosing us!
Magic Crew is on holiday until 9/9/2011. Starting from today 28/8/2011 until 9/9/2011 there will be no activity from Magic Crew. Any orders will be processed on 9/9/2011. Thanks and Magic Crew wishes Selamat Hari Raya to everybody!
Now we are proud to present a Monthly Promotion for all our customers! Visit us monthly to get special prices. Who knows if you’re on a good day you might get your long favourite magic trick very cheap!
A beginner amateur magician starts his career just by doing a few tricks for his friends when they ask him. Often times he will have his family as his test audience until he knows his stuff works. Family member is a good test audience because they will be brutally honest, and they will surely end up knowing how you did it anyway. It is best to treat family as the first audience, if they are impressed, he will know that the trick is surely going to impress other people.
You will find once you have shown enough good tricks to friends and families, you will become a targeted man. Often times they will request you to show a new trick. Before you know it, people will start asking whether you give shows for birthday or any other occasions. The next thing you know, you will be up amongst the semi professionals, doing magic for a set of pay. This article deals with things you should know besides just knowing your tricks when becoming a professional magician. Showmanship, timing and stage management need to be learned in order to become a successful magician.
The first requirement of professional magic that makes you separated from just showing a bunch of tricks to your friends is that you must always knoow what you are going to do next. You must decide on your best tricks, what order to show them, and arrange them so that they are seamless and you can perform with confidence without confusion. Say that you have a ten minute at a party. That meanes you have enough times to do two or three routines. You may begin with with card flourishes, then a coin routine, then finally a silk routine. Keep in mind this is just an example. The point is to have a seamless routine so that you will have no weird and awkward transitions between your routines.
Seamless transitions is a matter of your own taste. You may have a card flourishes, then change the cards into a coin, and later have the coin disappear and change into a silk. In more than ten minutes show, a break in a transition is recommended, by simply laying down your cards, and produce a coin. This will give the chance for audience to relax their attention.
A good show which consists of three routines must have an opening, middle and an end. The opening trick is important. It establishes your stature as a magician to your audience. You must prove your self a magician, not anybody else. There must be magic happening the moment you are up on the stage. Avoid pick a card trick or things that deal with audiences. They are time wasters. Flourishes and manipulations are best openers.
The middle is the easy part. You have a wide range of tricks to choose from. Audience participations is welcomed at this points. After a card flourish, you can proceed to do a pick a card tricks. The trick must get better and better, but not necessarily faster and faster.
The closing trick should be a spectacular one. A production trick that leaves the stage full of silks, coins and cards is an excellent finish. Make your audience remmeber during this part. Your closing effect should be the best that leaves the audience stunned.
Misdirection in magic is actually a popular topic and quite a few things have been said over it. There are lots techniques to use, some work some don’t, in this article I will point for you which is the best one to use. Its deceptive enough to use yet very simple.
In performing magic trick to an audience, a good way that you can do to direct an audience attention is by imitation. As an example, every joker is aware that he can get a crowd by just standing and looking at the empty sky. A crowd will wonder what exactly is happening as they stares at the empty cloud too. By this principle, an audience will look wherever you look fixedly at. Even magician may find it tough to not look too. So in order to learn sleight of hand, the initial thing you must do is making your eyes behave.
When you perform a simple coin vanish, neglect the coin in your right hand(assuming you are righty), instead just look and stare fixedly at your left hand, pretending that the coin is stil there. When you move your left hand, point with your right and follow through with your eyes, people will follow even though your small fingers motions are not altogether invisible: the audience gets caught up in the larger motion. You could look towards the audience to see how they’re taking it. When you are looking at the left hand, you are guiding them to the wrong spot.
This brings us to another technique, that is parallel actions. Whenever there are two movements in a motion, the eyes follows the fastest or the largest one. This information is great to know if you plan to use one action to be a cover for another action. However avoid doing quickly. The slower the motion the better it really is. The reason is , the eyes are drawn to speed! The saying the hand is quicker than the eye is a false one, it is just a phrase to make the audience or layman thinks that magicians have fast hands, when it’s in fact a rapid movement attracts the eye. Sleight of hand works best when it is performed slowly, it will look pure and innocent.
In conclusion, misdirection is really a method and you as a magician should be practicing it. It’s just not only a theory or principle. The best way to practice is to actually put it to use. Usually it takes some time and energy to get used to it, so practice it always. After a while, you’ll get the timing and everything right plus it becomes second nature for you.
NEWS: Our online price is cheaper from our booth(AEON Klang) price. So if you order from this website, you will get the website price. If you buy from our booth, the price is a bit higher. due to unavoidable reasons. So do your shopping online right here!
Do you find yourself surprised by vanishing acts, card tricks, coin tricks as well as other magic trick you watch on different occasions? Children birthdays, magical events, dinner shows, parties, and carnivals are a few of the events where magicians are common.
Given the effect of magic on people, many consider magic just for their entertainment. There are several of online sites that give the way to get started with magic. Most people please themselves with ready-made gimmicks they found at magic shops. However for people who are serious into magic, these online magic sites may offer lots of opportunity to help you dive in to the art. Most of them offer videos and you may have an idea what is the basic tricks that you would like to learn. Oftentimes they offer courses too. A newbie magician should really consider that given that the courses would speed up your process of learning.
Before you start to learn magic, you need to know why do you find yourself doing magic. You should understand why people fascinate with magic. Magic first of all brings happiness to people. The feeling of mysterious is the thing that fascinates people. Secondly, a baffling magic makes audience remembers it.
The absolute right place to buy your first magic trick is in the local magic shop. Talk to the magician of the shop and try asking him questions about magic. Request him to demonstrate a couple of tricks to you. Magicians usually are helpful towards beginners.
Magicians never repeat tricks to the very same audience. There’s a reason behind that. This is because during the first-time you show the trick, the audience doesn’t expect just what the effect is. It puts an element of surprise to the trick. Once you repeat it, the element of surprise is just not there. The viewers will now try and work out your trick rather then enjoying it. They’ll know what you will do next as they have observed it before. This what makes the trick becomes boring.
a. Always practice your magic. Allocate time everyday to practice.
b. If you are attempting to videotape your act, be certain there are not any mirrors around you because they change views and it maybe different from what the viewers sees.
c. Ask other magicians to have a look at you perform then request for feedback. This really is a good way to improve.
d. Master one trick first before learning another one.
e. Anywhere you travel, make it a habit to bring magic props. Try taking some coins along with a pack of cards together with you so that whenever you have extra time, you can use it to practice tricks.
Thinking about buying magic online using the internet? A junior magician recently asked me after a show for some thoughts on purchasing a magic item from internet. His question give us some thought and we have great advice for purchasing magic online via the internet.
Before you purchase anything, find out anything and everything that you can about the item, trick or DVD. Ask for the advices of friends who are into magic. If you’re lucky, they may own the item that you’re looking for and you can ask their permission for you to check it out.
Generally, the advantage of a magic shop online is that they’re cheaper, and they offer a post your items straight to your home. You can just relax and order through the internet while they’ll take care of everything for you.
If you’re looking for magic trick, one of the best Malaysia’s online magic shop is Magic Crew Entertainment. They provide one of the customer service in Malaysia, why don’t you take a look and shop around!
Often as a beginner and young magician when we’re going to step up into that stage, we tremble significantly. Such a thing happens to me each time last time. But nowadays, I have overcome this trembling after learning these hints. This has helped me termendously in my magic show. This article is concerning a way to gain confidence on your magic show. This is actually one of the more important part of being a great magician.
Confidence comes through knowledge and confirmation. You’ve to be positive of all things will turn out fine. If you haven’t practice enough, the mind is going to take over and then your confidence will drop. Having said that, if you practice hard enough, you’ll definitely be confident. It is all concerning the mind.
Confidence might be more associated with a mood and psychic condition more than how much you practiced. You’ve to inject the mood to feel confidence. Another point you might want to remember is don’t get worried too much. Stop thinking regarding your audience.
Develop presentation which fits your style, this is certainly where your confidence will boost. When the presentation is a thing that best suits you, you are much comfortable because that presentation is all concerning being you.
As they say, practice makes perfect. Let’s say you’re practicing a sleight. Do that repeatedly, the work should come as an auto pilot for you. You don’t need to focus on the sleight. This will boost up your confidence. You can concentrate on your presentation this way. The best possible would be to practice and rehearse everyday so your presentation will come as automatic to you.
Being a magician, we will have usually what we call a horrible day. If you happen to get no response from the audience, it is not necessarily a failure. It’s simply called feedback. Think of it this way. Use this feedback so that you can strengthen your presentation.
Know what to do should you screw up! Have always a backup plan. Come up with a few ways to get out of a situation when something fails. This can help on your confidence as well.
As a final point, do not worry! Most importantly, be happy with your presentation, cause if you screw up, just get on with the show. Nothing bad could happen. Just switch to Plan B.
In case you desire to become a magician, head to a local magic shop or even better, an online magic shop. They will have hundreds of advice along with magic tricks to get you started with.
1. We have a new number : 010-2454625 .
2. Our free postage promotion is up, so effective now free postage is RM150 & above.
We have a new number now : 010-2454625. Any enquiries can be made using this number. Thanks all!
Our number 019 327 8110 is no longer working! All questions please direct to email for this week, while we’re getting prepare to change to a new line. Allow for a few days while we’re setting up a new number. Thanks for your patience!
We are now open in Klang!
Thanks for your support! We have opened a new kiosk, that is in Jaya Jusco Bukit Tinggi, Klang(Bangunan AEON). We are open 10am to 9pm there EVERYDAY! Come drop by and have a chit chat with us!
Things have been hectic. Because of our full weekend schedule, we decided to take a rest at out Booth at Plaza Alam Sentral. Our kiosk will be back open on 1st March! See you there!
We are off for this weekend, to celebrate holiday! Do see you next week at Plaza Alam Sentral! Our online shop is open however! 24/7, if anything just order here!
Happy Chinese New Year to our Chinese friends and fans, and for the rest of us happy holiday!!!!!
A great end to 2010 for Magic Crew! Now 2011 comes with the best start possible for us. Fans and friends, we are at Plaza Alam Sentral Ground Floor again until 9 January 2011. Loads of new stuff available, do come and take a look at our kiosk! Oh, and look out for us at Harbour Place, Klang in the weeks to come, we have a Magic Extravagant Show there! We will announce the date later. Stay Tuned!
Sempena musim cuti sekolah ini, Magic Crew akan berada di tingkat Ground Floor di Plaza Alam Sentral sehingga Hari Krismas. Silalah lawati kami di sana! Kami berada di sana bermula 10 pagi hingga 9 malam Isnin hingga Ahad! Pelbagai barangan silap mata untuk diperolehi. Jangan ketinggalan!
1). hq video *( takder stuck stuck ).
Please share it with your friends..
Most kids are fascinated with magic tricks. Finding good magic trick kits for kids is pretty easy because most of the big discount stores carry them in the toy aisle. You can also find plenty of magic trick kits for kids online. But your child can also perform magic tricks by using items found around the house. These magic tricks are very easy to perform and can be set up at a moment’s notice.
The first magic trick we will discuss is the empty matchbox trick. You need two matchboxes. one of them should be empty. Get a rubber band and attach the matchbox with the matches in it to the upper arm underneath a shirt sleeve. Now hold the empty matchbox in the same hand and shake it. Ask your friends to guess how many matches are in the matchbox and then when it is opened, the matchbox is empty. The matches that they hear rattling are the ones taped to your upper arm.
Another fairly easy magic trick for a child to perform is the disappearing coin trick. You will need a glass, two sheets of the same colored paper, a coin and a handkerchief. You place the glass upside down on one sheet of the colored paper. You then place a coin beside the glass. Put the handkerchief over the upturned glass and move it, glass and all, over the coin. Say the magic word and remove the handkerchief and presto the coin has disappeared!. The trick to this is to carefully cut a circle from the same colored paper the exact size of the rim of the glass. Tape this paper to the rim and when you move the glass over the coin the colored paper will conceal the coin.
Another good trick is the wine into water trick. For this you will need water, red food coloring and bleaching powder. This should only be performed with adult supervision! Pour some water into a glass and add red food coloring to make the water turn red like wine. Another glass will contain your “magic” powder. Now pour the red liquid into the other glass and it becomes clear water again!
A very easy trick is the rubber pencil trick. Hold the pencil loosely at the tip. Now shake your hand up and down. This will create the illusion of your pencil turning to rubber.
If your child wishes to become a magician or wants to perform magic tricks at his next party, let him practice some of these. Kids and magic tricks go together like peanut butter and jelly!
In medieval times, magic was associated with sorcery and witchcraft. People who possessed such a talent or gift were considered as heretics and were burned at the stake.
Years later, magic was given a new connotation. It provided people with a form of entertainment like making a plane disappear or cutting a person in half. These are all illusions from the simplest trick like making a coin disappear which just goes to show that the hand is quicker than the eye.
There have been a lot of talented magicians in this lifetime alone such as the likes of Harry Houdini who was an escape artist, David Copperfield who traveled around the world and amazed people with his large scale acts and lately David Blaine who is seen on television performing magic tricks that are seen by millions of viewers around the world.
What then makes a good magician is the one common question asked by several magician wannabe’s. Is it talent, a gift or sheer luck?
Everyone has the potential of becoming a somebody in the future, even magicians. Here are some traits that one might need to possess to be successful in life even if in the end, one does not become a magician.
1. Patience. Nobody became a successful magician overnight. It takes time to learn a trick, to practice it and eventually be good at it.
2. Open mind – a lot of well known magicians started in the confines of home watching how other people do it and reading up on such tricks. Some children started out by even buying a magic toy set with a variety of gadgets and followed the instructions until these people were able to do it with any need of guidance.
3. Confidence – some people have a hard time delivering a speech to a large audience. It is same thing with magic since there are a lot of people staring at just one person. The best thing to do is practice with a small audience first like some family members and friends and once that stage fright has been extinguished, one can perhaps get a larger crowd and do more.
4. Excellence – magicians can’t always use the same tricks in every show. There has to be changes and improvements that will make people old and new come back for more. By spending some time thinking about what to do or what has not yet been done and working on it, it will make that person stand out above the rest. Such reinvention will make a magician quite a gem in the field of magic.
Are you constantly amazed by disappearing acts, card tricks and other magic wonders you see on different occasions? Children’s shows, magical exhibitions, trade shows, parties, and carnivals are some of the events where magicians are popular.
Because of the effect of magic on people, many would like to somehow try the basics of magic. There are a lot of online sites that offer tips on how to get started with magic. Others just content themselves with ready-made gimmicks they found at magic shops. But for those who are really serious about trying magic, these magic-filled sites offer different services for newbie magicians. In their sites, they offer free videos that will help you become trained in simple card tricks and other vanishing acts with the use of coins, rings and other magic props.
Before starting to learn magic, you have to know the essence of magic. First, magic or magic shows should provide happiness to people. Magic ought to be truly enjoyed by people watching and by the magician performing. Second, a truly good trick should be remembered. Different methods can be tried in order to make your tricks stand out even more.
The best place to get excited about your first magic trick is in a local magic shop. Talk to the magician of the shop, if there is one, and try asking him basic questions. Then, request him to show a couple of tricks to you. Usually, magicians are very eager to help beginners.
A good magician does not mind putting in a lot of effort to learn and continuously practice his magic tricks and constantly reinvent. Good magicians don’t repeat tricks to the same audience. Your audience may figure out your secret. It is not long before people notice familiar moves and can get bored quickly.
a. Regularly practice your magic. Allot time every day for your practice.
b. If you are trying to videotape your act, be sure that you have no mirrors around you as they change views and the audience would not see what they ought to see. And remember do not appear as though you are unsure of what you are doing because your audience might easily lose interest watching when the magician looks not confident.
c. Ask other people to watch intently while doing your tricks, then ask for feedback.
d. Master one trick first before learning a new one.
e. Anywhere you go, make it a habit to bring magic props. Take some coins and a deck of cards with you so that if you have extra time, you can use it to practice the tricks. | 2019-04-24T18:26:30Z | http://magiccrew.com.my/blog-posts/ |
Some processes of energy saving and expenditure occurring during ethanol perfusion in the isolated liver of fed rats; a Nuclear Magnetic Resonance study.
In the isolated liver of fed rats, a 10 mM ethanol perfusion rapidly induced a rapid 25% decrease in the total ATP content, the new steady state resulting from both synthesis and consumption. The in situ rate of mitochondrial ATP synthesis without activation of the respiration was increased by 27%, implying an increased energy demand. An attempt to identify the ethanol-induced ATP-consuming pathways was performed using 31P and 13C Nuclear Magnetic Resonance.
Ethanol (i) transiently increased sn-glycerol-3-phosphate formation whereas glycogenolysis was continuously maintained; (ii) decreased the glycolytic ATP supply and (iii) diminished the intracellular pH in a dose-dependent manner in a slight extend. Although the cytosolic oxidation of ethanol largely generated H+ (and NADH), intracellular pHi was maintained by (i) the large and passive excretion of cellular acetic acid arising from ethanol oxidation (evidenced by exogenous acetate administration), without energetic cost or (ii) proton extrusion via the Na+-HCO3- symport (implying the indirect activation of the Na+-K+-ATPase pump and thus an energy use), demonstrated during the addition of their specific inhibitors SITS and ouabaïn, respectively.
Various cellular mechanisms diminish the cytosolic concentration of H+ and NADH produced by ethanol oxidation, such as (i) the large but transient contribution of the dihydroxyacetone phosphate / sn- glycerol-3-phosphate shuttle between cytosol and mitochondria, mainly implicated in the redox state and (ii) the major participation of acetic acid in passive proton extrusion out of the cell. These processes are not ATP-consuming and the latter is a cellular way to save some energy. Their starting in conjunction with the increase in mitochondrial ATP synthesis in ethanol-perfused whole liver was however insufficient to alleviate either the inhibition of glycolytic ATP synthesis and/or the implication of Na+-HCO3- symport and Na+-K+-ATPase in the pHi homeostasis, energy-consuming carriers.
The total ATP hepatic content rapidly decreased to reach 75% of the baseline level about 30 min after the beginning of 10 mM ethanol perfusion in the isolated liver of fed rats , thus characterizing a new energetic steady state. We have recently demonstrated that at this steady state in the presence of ethanol, the rate of mitochondrial ATP synthesis increased without activating the respiration, leading to an enhanced ATP/O ratio. Besides oxidative phosphorylation, glycolysis is known to provide nearly 30% of the total ATP liver content in physiological conditions . Since hepatic glycogenolysis occurs in the presence of ethanol as demonstrated in isolated hepatocytes , subsequent glycolysis could then supply some ATP until all the stored carbohydrates are oxidated. However, in fed rats the glycolytic ATP production has been reported to be diminished in isolated livers perfused with ethanol and in isolated hepatocytes from ethanol-fed rats [5, 6]. Hence, ATP production in the presence of ethanol might be mainly mitochondrial and the observed increase in its rate at the new steady state might reflect an increase in ATP consumption in the whole liver, since at a steady state the net ATP consumption rate equals the net ATP synthesis.
These findings raise the issue of the involvement of the ethanol-induced ATP-consuming pathways. Could the question concern the regulation of the redox state since many of the effects of ethanol on metabolism result from the large production of protons and from the decrease in the [NAD+] / [NADH] ratio in the cytoplasm occurring during its oxidation? Ethanol has been demonstrated to decrease the [NAD+] / [NADH] ratio in the cytoplasm 5.5-fold 5 min after an intraperitoneal administration corresponding to 10 mM in total body water . Special shuttle systems are required for mitochondrial oxidation of cytosolic NADH+H+. For example, ethanol oxidation results in an increased concentration of hepatic sn-glycerol-3-phosphate (G3P) [7–9], a rise that has been associated with the very large changes in the redox and phosphorylation states, according to simple thermodynamic laws . However, a main implication of the shuttle systems could lead to an increase in the organ respiratory activity. Since liver respiration was only transiently and slightly increased at the beginning of ethanol addition, the question arises as to whether other systems play an important role in H+ transfer processes between the cytosol and the mitochondria and/or the cell in order to avoid intracellular acidosis.
Using continuous noninvasive 31P and 13C Nuclear Magnetic Resonance (NMR), the present work shows in real-time that, during the ethanol oxidation, besides dihydroxyacetone phosphate/G3P shuttle involved in the regulation of the redox state, systems involved in the intracellular pH homeostasis are required: the passive extrusion of acetic acid is a way used by the liver to save energy, whereas the cell membrane proton carriers (Na+-HCO3- symport and Na+-K+-ATPase) are energy-consuming systems.
In the absence of carbohydrates in the perfusate, the apparent rate of glycogenolysis evaluated by the changes in the area of glycogen C-1 NMR resonance was 0.90 ± 0.08%/min (n = 4) in the control KHB group (100% being considered as the initial content = 73 ± 8.50 μmol.g-1 glycosyl units, n = 8). After the initial 30 min KHB perfusion, the remaining amount of glycogen (60–75%) when the ethanol was added could potentially ensure glucose supply for glucose excretion and/or glycolytic activity. In order to compare the apparent rate of glycogenolysis, 10 mM ethanol or 2-min IAA (0.5 mM) were added to KHB; glycogenolysis occurred in the same extent [0.78 ± 0.13%/min (n = 4; NS vs KHB) and 0.85 ± 0.08%/min (n = 5; NS vs KHB), respectively]. Glucose excretion was 1.71 ± 0.40 μmol/min.g ww during the equilibration period, and was not significantly changed throughout the perfusion of KHB or ethanol, nor when 2 min- IAA (0.5 mM) was added. Since glycogenolysis and glucose excretion were unchanged when glycolysis was inhibited, the question arises as other pathways for glucose utilization.
The change of the signal of phosphomonoesters (PME; 3.83 ppm) is mainly representative of that of sn-glycerol-3-phosphate, by-product of glycolysis (provided from dihydroxyacetone phosphate [DHAP]). As shown in Figure 1, the suppression of glycolysis with 2-min IAA (0.5 mM) addition in the KHB group (n = 3) led to a moderate 5–10% increase in the PME peak. A 20–30% increase occurred under ethanol perfusion (n = 3) without any significant dose-dependent effect in the range of 10–100 mM. The conjunction of ethanol and 2 min-IAA perfusion allowing the total inhibition of glycolysis (n = 3) amplified this increase by a maximum of 40–50% (Fig 1 and 2). In all groups, the maxima of these transient increases were reached after 10–20 min perfusion.
Effect of ethanol and/or IAA on the time-course of phosphomonoester levels. PME resonance (sn-glycerol-3-phosphate) was measured in the following perfusion conditions: (i) IAA 0.5 mM for 2 min (n = 3), (ii) ethanol (with no dose-dependent effect in the range 10–100 mM; n = 3) and (iii) 2 min IAA immediately followed by the ethanol perfusion (n = 3).
31 P NMR spectra of an isolated rat liver perfused at 37°C: (A) under initial 30 min-KHB perfusion; (B) after 15-min perfusion in presence of ethanol (10 mM) immediately following 2 min IAA (0.5 mM) perfusion. Major resonances were assigned to (a) phosphomonoesters, mainly sn-glycerol-3-phosphate; (b) phosphocholine; (c) intracellular inorganic phosphate (Pi); (d) glycerol 3 phosphoryl ethanolamine; (e) glycerol 3 phosphoryl choline; (f) nucleoside-5'-triphosphates (γNTP) and diphosphates (βNDP); (g) αNTP and αNDP; (h, i) nicotinamide adenine dinucleotide, uridine 5' diphosphoglucose and derivatives; (j) βNTP. The external reference (methylene diphosphonic acid) is outside of the spectral window (18.40 ppm).
In order to stimulate the formation of DHAP, the oxidative phosphorylation is inhibited by addition of KCN (2.5 mM; inhibitor of the cytochrome oxidase). The glycolysis was enhanced to compensate the ATP supply; the by-product PME was then increased, as observed in KHB group (30 ± 3%; n = 5). The subsequent addition of ethanol led in 30 min to a dramatic and transient increase of PME (227 ± 45%; n = 3; P < 0.02 vs KHB).
Representative 31P NMR spectra obtained during KHB perfusion are presented in Figure 2A. The addition of ethanol after the 30 min initial KHB perfusion enhanced the initial rate of net total ATP consumption (Vi = 100 ± 12 nmol/min.g ww, P < 0.001) as compared to KHB (Vi = 6.0 ± 0.12 nmol/min.g ww, n = 20), whatever the range of concentration studied (10–100 mM). The ATP content stabilized at 75 ± 3% (n = 16) of the initial ATP level after about 20–30 min. The new steady state of ATP content-mainly representative of cytosolic ATP-observed was independent of the concentration of ethanol used, and was characterized by a slight net consumption of the total ATP similar to that of the KHB control. On the other hand, addition of ethanol induced an increase in the fraction of the form of ATP bound to divalent ion (bound ATP), F=bound ATP/total ATP, as shown in the upper graph of Figure 3 (typical experiment performed with 100 mM). Under the initial KHB condition, the difference between total and bound ATP was 11% and was reduced about 15 min after alcohol-addition to reach 6% at the end of experiment. The increase in the bound ATP/total ATP ratio observed under ethanol perfusion was unexpected and an explanation such as Mg2+ leakage from mitochondria remains to be validated in further investigations.
Representative experiment of the effect of 100 mM ethanol on the time-course of total and bound ATP. The differences between total and bound ATP are indicated with vertical arrows in the initial KHB condition and after ethanol perfusion. The upper internal figure represents the evolution of the fraction of the bound form. The beginning of ethanol perfusion is indicated with the arrow; F = bound ATP/total ATP.
The suppression of glycolysis by 2 min-IAA (0.5 mM) in KHB group decreased the liver ATP content to reach a new steady state [77.2 ± 3.1% (n = 6) of the initial ATP level]; the ΔATP was about 20% between the two steady states (KHB-IAA). As previously demonstrated , addition of 2 min- IAA (0.5 mM) in ethanol-perfused livers (n = 5) slightly decreased the liver ATP content, leading to a ΔATP of about 4% between the two steady states (ethanol-IAA). This evidenced that ethanol has strongly reduced glycolytic ATP production before the IAA addition.
This effect was also demonstrated when glycolytic ATP production was previously stimulated by inhibition of the oxidative phosphorylation (2.5 mM KCN). In the KHB group (n = 3), KCN addition rapidly led to a new steady state of the ATP content (around 45–65% of the initial content). ATP was supplied until glycogenolysis and glycolysis remained active. The subsequent addition of IAA (0.5 mM during 2 min) to KCN (n = 3) led to the total inhibition of the residual glycolytic ATP synthesis, as expected. The subsequent addition of 10 mM ethanol (instead of IAA) to KCN led to a similar decrease of the ATP content, thus confirming the inhibition of glycolysis by ethanol. Representative experiments are shown in Figure 4.
Effect of ethanol on glycolysis followed by the total hepatic ATP content by 31P NMR. One typical experiment per group: effect of IAA (0.5 mM; 2 min) or 10 mM ethanol. The sequence was (i) initial perfusion with KHB, (ii) inhibition of oxidative phosphorylation with KCN (2.5 mM during 30 min) and (iii) effect of IAA or ethanol on residual glycolytic ATP.
The average pHi value was 7.20 ± 0.06 (n = 15) under KHB perfusion. Ethanol led to a slight dose-dependent decrease in pHi, with a maximum of -0.069 pH units obtained from 50 mM ethanol, the ethanol concentration for the half-maximum effect on pHi being around 13 mM (Figure 5). A plateau of the pHi was obtained within 15–20 min. Ethanol induced also an acidification of the effluent from the beginning of perfusion with variation from -0.05 to -0.10 pH units.
Ethanol dose-dependent effect on hepatic intracellular pH (pHi). The upper internal figure represents the change in ΔpHi (= pHiKHB – pHiEtOH) where pHiKHB and pHiEtOH are the pHi values in KHB and ethanol, respectively. The double-reciprocal plot in the main part of the figure indicate estimated maximal ΔpHi and K0.5.
The role of Na+-HCO3- symport was only investigated because we have already and clearly demonstrated in the model of the perfused rat liver that in our physiological perfusion condition the Na+-HCO3- symport was mainly implicated in the pHi homeostasis, and the Na+-H+ antiporter activity was negligible at physiological pH and was activated below pHi 7.00 or in absence of bicarbonate in the medium . Moreover we have also demonstrated using bicarbonate-free perfusate that the cycling of endogenous production of bicarbonate resulting of hepatic metabolic activity was sufficient to maintain the Na+-HCO3- symport activity thus contributing to cytosolic pH regulation concomitantly with that of Na+-H+ antiporter . We have checked the inhibition of Na+-H+ antiporter during ethanol perfusion with amiloride 1 mM, dimethylamiloride 1 mM or isopropylamiloride 2.5 10-4 M: no effect was observed on the pHi.
In a characteristic experiment shown in Figure 6, a high concentration of ethanol (50 mM) slowly decreased the pHi value leading to a plateau reached within 15 min, with a ΔpHi = -0.05 pH units at the steady state. The subsequent addition of SITS 1 mM, already demonstrated to efficiently inhibit the Na+-HCO3- symport in the perfused rat liver [10, 11], reduced the pHi instantly (<2 min) but transiently (15–20 min), the variation being -0.05 pH units. This evidenced the involvement of the HCO3- uptake in pHi regulation, as in a control group (KHB+SITS; ). However, in the control group (data not shown), the decrease in pHi was slow (the nadir was reached after 10–12 min), characteristic of a less intense efflux of protons (about 2-fold lower). Moreover, the transient effect in presence of ethanol suggested that another mechanism alleviated the inhibition of the symport. After rinsing with ethanol, the pHi was recovered within 10 min.
Effects of 1 mM SITS, an inhibitor of Na + :HCO 3 -symport, and 20 mM acetate on the pHi regulation of an isolated rat liver perfused with 50 mM ethanol. This concentration was chosen in order to better visualize the effects on pHi. The high acetate concentration added during the initial KHB perfusion crossed the cell membrane only in protonated form (acetic acid) which was immediately dissociated in the cytosol owing to the difference between the actual pHi and its pKa, thus resulting in a pHi decrease (acid load). Conversely, at the beginning of the rinsing phase with KHB, the excess of cytosolic acetate flushed out of the cell as acetic acid form had trapped the cytosolic proton, resulting in a pHi increase.
The addition of a 20 mM acetate in control conditions (KHB) led to a rapid and transient acid load, regulated by the cell membrane carriers (Figure 6), showing the acetate inflow into the cell.
Addition of 20 mM acetate on 50 mM ethanol perfused liver rapidly decreased the pHi (-0.13 pH units) (and was accompanied by a 5+0.06% decrease of the ATP content). A slow and partial recovery of pHi occurred conversely to that observed when acetate alone was added to KHB. A rapid and transient increase in pHi was observed during the rinse phase at the end of the experiment showing the extrusion of acetate out of the cell.
Exogenous acetate was expected to counterbalance the acetate gradient generated by alcohol oxidation. The partial recovery of pHi (+0.05 pH units) suggested that the excretion of endogenous acetic acid across the cell membrane contributed to the proton extrusion. In this condition, the contribution of the Na+-HCO3- symport was also evidenced, as shown by the effect of SITS.
The addition of 1 mM ouabaïn, a specific inhibitor of the Na+-K+-ATPase, to KHB group induced no significant pHi change (n = 3). Addition of 1 mM ouabaïn to 50 mM ethanol perfused liver reduced the pHi after a 15 min delay, the maximum variation being -0.22 ± 0.08 pH units 20 min later (n = 3). During the effect of ouabaïn, the pH of the effluent increased, reflecting a decrease in the efflux of H+. The recovery of pHi was progressively obtained after a 25 min-ethanol rinse. This evidenced the indirect contribution of the Na+-K+-ATPase to pHi regulation during ethanol metabolism.
The total ATP hepatic content (75% of the initial level) reached about 30 min after ethanol perfusion characterized a new energy steady state. In our experimental conditions in the absence of glucose in the perfusate, glycolysis depended only on the glycogenolytic activity, this latter indeed occurring in the presence of ethanol, as also demonstrated in isolated hepatocytes . Glycolysis might then supply some ATP until the whole carbohydrate store is oxidized, since no increase in glucose excretion was observed. The inhibition of glycolysis with IAA indeed induced a significant decrease (-20%) in the ATP content in the control (KHB) perfused livers. Moreover, the glycolysis inhibition with IAA in ethanol-perfused livers induced only a slight decrease (-4%) in the ATP content. Beside of previous works observing the ethanol-induced decrease of lactate and/or pyruvate excretion which demonstrated decrease in the glycolytic activity in ethanol-perfused liver isolated from fed rats and in isolated hepatocytes from ethanol-fed rats [5, 6], the present work clearly evidenced that ethanol highly diminished the glycolytic ATP production. Hence, ATP production is mainly mitochondrial in the presence of ethanol.
Since glycolysis was inhibited and no glucose excretion occurred whereas glycogenolysis remained active, the question arises as other pathways for glucose utilization.
The interference of ethanol with the liver metabolism is to a large extent due to the NADH+H+ produced in the oxidation catalyzed by alcohol dehydrogenase in the cytosol and aldehyde dehydrogenase in the mitochondria. In the latter, the electron transfer system allows the reoxidation of NADH+H+ to NAD+. The reoxidation of cytosolic NADH involves the malate/aspartate and/or irreversible DHAP/sn-glycerol-3-phosphate shuttles, since the mitochondrial membrane is known to be impermeable to NADH. An alternative pathway for regeneration of cytosolic NAD, without the transfer of reducing equivalents to the mitochondria, is the reduction of pyruvate to lactate. It has already been demonstrated in perfused rat liver that 10 mM ethanol largely increase the lactate/pyruvate ratio, whereas glycolysis was inhibited as evidenced by a decrease in the release of lactate+pyruvate . In the present work, immediately after ethanol perfusion, PME content increased reflecting the large accumulation of sn-glycerol-3-phosphate as previously demonstrated [8, 9, 12, 13]. This ethanol-stimulated PME production evidenced, as when we have used IAA to inhibit glycolysis, the deviation of glycolysis to the DHAP/sn-glycerol-3-phosphate shuttle. However in all our experimental conditions, the PME content increase was transient. The subsequent decrease in the PME content could be due to (i) stimulation of the use of glycerol-3 phosphate in the synthesis of hepatic triacylglycerol specially in the presence of ethanol and/or (ii) the decrease in the glycogen content. As consequence, it could be postulated that the metabolic effects of ethanol must be enhanced in absence of carbohydrate store (i.e., fast).
As demonstrated in this work, ATP production in the presence of ethanol is mainly mitochondrial and the observed increase in its rate at the new steady state might reflect an increase in ATP consumption in the whole liver, since at a steady state the net ATP consumption rate equals the net ATP synthesis. These findings raise the issue of the involvement of the ethanol-induced ATP-consuming processes.
The activation of free fatty acyl CoA required for triglycerides synthesis could be one of them, but its contribution is probably minor. On the other hand, a concentration of 10 mM ethanol is known to produce a maximum rate of alcohol oxidation averaging 2–4 μmol/g.min-1 [7, 15, 16]. Hence it leads to 4–8 μmol/g.min-1 of NADH and H+ in the cytosol, the latter potentially representing a large acid load when respiration remains unchanged. Cytosolic ethanol oxidation leads to an excess of protons whose cellular extrusion stimulates mechanisms leading to ATP consumption via the activation of the Na+-K+-ATPase pump, which in turn extrudes the Na+. Indeed, a Na+ overload induced by ethanol observed in hepatocytes results from the activity of membrane ionic carriers. In physiological conditions, in hepatocytes the active carriers are the the Na+-HCO3- symport and the Na+/H+ antiport, this latter being activated below 7.2–7.3 , whereas in the liver the activity of the Na+/H+ antiport is negligible above its set point of pHi 7.0 [10, 11]; other carriers such as Na/K/Cl cotransporter may be implicated. The Na+-K+-ATPase pump requires about 25% of the cellular ATP turn over and oxygen consumption in basal conditions [19, 20]. The pHi regulation from the beginning of ethanol perfusion was here demonstrated by (i) the slight dose-dependent decrease in pHi, with a maximum of -0.069 pH units and (ii) the expulsion of protons observed in the effluent. It has already been demonstrated by our team in the isolated liver that acute ethanol administration under hypoxia dramatically accentuates the intracellular acidosis and the simultaneous ATP decrease; from this result, we can point out the contribution of ATP to pHi homeostasis in this condition. However, no detailed study concerning the involved mechanisms has been previously performed in an isolated perfused liver. In the present work, the cytosolic acidification induced either by SITS or ouabaïn evidenced for the first time in presence of ethanol a contribution of Na+-HCO3- symport to a rapid H+ elimination and Na+-K+-ATPase, respectively. It probably accounts for the ATP consumption observed at the onset of the alcohol perfusion.
Beside of ATP-consuming processes, we clearly demonstrate that a cellular way eliminating protons saves energy. A concentration of 10 mM ethanol is known to produce a maximum rate of alcohol oxidation averaging 2–4 μmol/g.min-1 [7, 15, 16]. Hence it leads to 2–4 μmol/g.min-1 of acetate and to 4–8 μmol/g.min-1 of NADH and H+. It has been demonstrated that acetate ions arising from ethanol oxidation are barely metabolized in the liver, with 75–85% recovered in the effluent . Theoretically, the elimination of electronegative acetate ions from the liver during ethanol metabolism, mainly through acetic acid passive excretion, must necessarily result in the net output of intracellular H+ . Beside the energy cost relative to the contribution of Na+:HCO3- symport to H+ extrusion, our study of pHi regulation evidences that acetate excretion largely participates in the elimination of the proton excess arising from ethanol oxidation. The passive transport of acetate along its concentration gradient thus avoids a dramatic energy expenditure.
Various cellular mechanisms diminish the cytosolic concentration of H+ and NADH produced by ethanol oxidation, such as (i) the contribution of the DHAP / sn- glycerol-3-phosphate shuttle between cytosol and mitochondria, mainly implicated in the redox state and (ii) the major participation of acetic acid in passive proton extrusion out of the cell. These processes are not ATP-consuming and the latter is energy saving. On the other hand, we have previously demonstrated an increase in mitochondrial ATP synthesis at the new steady state in ethanol-perfused whole liver . However, the ATP level significantly decreased at the beginning of the ethanol perfusion. So, by appropriate use of specific inhibitors of glycolysis, oxidative phosphorylation, Na+-HCO3- symport and Na+-K+-ATPase, we conclude that the different processes used by the liver to save energy during ethanol perfusion are probably insufficient to alleviate (i) the inhibition of glycolytic ATP synthesis or/and (ii) ATP-consuming membrane carriers implicated in the pHi homeostasis.
Male Wistar rats (80–120 g) fed ad libitum were anesthetized by intraperitoneal injection of pentobarbital sodium (50 mg/kg of rat). The technique of non-recirculating liver perfusion through the portal vein (antegrade perfusion) was described previously . The liver (4–6 g) perfused with Krebs-Heinseleit (KHB) buffer at 37°C was excised from the abdomen and transferred into a 20 mm-diameter NMR cell. KHB was composed of (in mM) 120 NaCl, 4.70 KCl, 1.20 MgSO4, 25 NaHCO3, 1.20 KH2PO4-K2HPO4, 1.30 CaCl2, 0.30 Na-pyruvate and 2.10 Na-lactate (pH = 7.35 at 37°C). When any substrate or inhibitor was added, the perfusate pH was always adjusted.
The perfusate was pumped through a Silastic home-made oxygenator (95% O2 + 5% CO2). Constant perfusion flow (5 ml/min.g liver wet weight) ensured good oxygenation of the liver as judged from the effluent oxygen concentration. Perfusate temperature and pH were monitored both before entering and after leaving the liver by continuous-flow pH and temperature electrodes.
The standard sequence protocol at 37°C was as follows: (i) initial KHB perfusion (30 min), (ii) addition of ethanol (70–90 min) in a 1–100 mM concentration range.
The contribution of the glycolytic pathway to ATP production was estimated in real-time by using 0.5 mM iodacetate (IAA), an inhibitor of glyceraldehyde-3 phosphate dehydrogenase activity. IAA was added within 2 min in the following conditions: (i) after a 30-min perfusion of KHB and (ii) after a 30-min perfusion of ethanol.
However, other sequences of IAA addition have been applied in this study according to the goal. These sequences will be specified with the results. For instance, in order to better analyze the contribution of the glycolytic pathway in presence of ethanol, the oxidative phosphorylation was inhibited in a first step by addition of the specific inhibitor of the cytochrome oxidase (KCN, 2.5 mM) leading to an increase of the contribution of glycolysis alone to the ATP supply. When the new steady state was obtained, ethanol 10 mM was added and compared to an addition of 0.5 mM IAA (2 min). When necessary, the other sequences will be detailed.
The contribution of acetic acid and Na+-HCO3- symport to pHi regulation in the presence of ethanol (50 mM) was respectively studied by (i) reducing the intra-extracellular acetate gradient with the addition of 20 mM acetate in the perfusate, and (ii) using 1 mM 4-acetamido-4'-isothiocyanostilbene-2,2'-disulfonic acid (SITS), an inhibitor of the symport.
The indirect contribution of Na+-K+-ATPase pump to pHi regulation in the presence of ethanol (50 mM) was evaluated using its specific inhibitor ouabaïn (1 mM).
For each group, the number of experiments is specified in the results section.
The study is complied with the Guide for the Care and Use of Laboratory Animals, U.S. Department of Health and Humans Services, N.I.H. Publication n° 85-23, revised (1985).
31P and 13C NMR spectra of liver were recorded on a Bruker DPX-400 spectrometer operating at 9.4T (161.9 and 100.6 MHz respectively). For 31P NMR spectra without proton decoupling, 240 free induction decays (70° flip angle, 0.2 s acquisition time, 0.5 s total recycling time, 10000 Hz spectral width and 4 K data points) were routinely acquired within 2 min, except during the periods corresponding to the addition of the ATP synthesis inhibitor where the number of scans was reduced to 70 FIDs to increase the accuracy of the rate determination. 13C NMR spectra (500 FID, 66° radiofrequency pulse repeated every second, 25000 Hz spectral width) were proton-decoupled using a gated bilevel mode, with a high level of 1H irradiation used during acquisition and a low level during relaxation delay. A Lorentzian line broadening of 15 Hz was applied prior to Fourier transformation by the Bruker software for both 31P and 13C NMR spectra. Peak assignment was done as previously described using methylene diphosphonic acid (MDPA set at 18.40 ppm) as an external standard and glycerophosphorylcholine as an internal standard set at 0.47 ppm.13C chemical shifts were expressed from an external silicone reference (at 1.45 ppm). Phosphorylated metabolite content [ATP, phosphomonoesters (PME; namely sn-glycerol-3-phosphate)] amount were estimated from their peak areas and expressed as a percentage of the initial value obtained at the end of the 30 min-equilibration period in KHB. In physiological conditions, cellular ATP is mainly in the bound form, especially Mg2+-ATP, corresponding to about 90% of the total ATP . It can be thus interesting to distinguish the two cellular forms (free and bound) of ATP, by the 31P NMR chemical shifts between the α and βATP resonances, which resulted from the binding of divalent cations (Mg2+) to ATP .
ATP (t) =-kt+b, where k is the apparent velocity of the ATP decrease and b the liver ATP content at the beginning of the substrate perfusion. In order to compare all experimental groups, the values at the beginning of ATP depletion were arbitrarily fixed at 100%.
13C NMR quantification of glycogen content at the beginning of the KHB perfusion was performed from a calibration curve established with oyster glycogen (0 to 185 mM glycosyl units). The change of glycogen content was estimated from the C-1 peak area and expressed as a percentage of this initial value.
All chemical compounds are provided by Sigma.
Changes in intracellular pH (pHi) were determined from the chemical shift of the intracellular inorganic phosphate (Pi) signal using a titration curve constructed at 37°C according to the Henderson-Hasselbach equation . The accuracy of the NMR pHi determination for the same liver was <0.015 pH unit.
Liver effluent (3 ml) was collected in order to enzymatically determine glucose (glucose oxidase, Sigma France) excretion at each phase of the protocol. Glucose excretion was expressed in μmoles/min.g liver ww.
All results are expressed as means ± SEM. Since the factor analyzed was the nature of the perfusate, one-way analysis of variance (ANOVA) was applied before a t-test (software package statworks, Cricket Software, London). A P value lower than 0.05 was considered to be significant.
This work was supported by grants from Institut de Recherche Scientifique sur les Boissons (IREB), contract number 2001/07-renewal 2002. The authors thank Pierre Tissier for his technical assistance and Dr Ray Cooke (Département des Langues Vivantes Pratiques, Université Bordeaux 2) for proofreading the manuscript.
MCB carried out the NMR data and wrote the manuscript. Pat. C participated in the design and the financial support of the study. HG and Paul C participated in the design of the study. JLG conceived of the study, participated in its coordination and corrected the manuscript. | 2019-04-23T12:42:59Z | https://bmcphysiol.biomedcentral.com/articles/10.1186/1472-6793-4-3 |
Adoption involves complex relationships and emotions among those involved, including the adoptee, the adoptive parent(s), and birth parents. Adopted children understand adoption in different ways, depending upon their developmental age and stage, and their understanding changes over the life span. It is important that children have as much information about their adoption as possible to help them incorporate their cultural heritage into their identity as they strive to integrate their biological and adoptive roots.
The dynamics involved in adoption are complicated and it is beneficial for all involved to communicate about these issues. It is often easier to share the joy and blessings involved than it is to explore the loss, grief, confusion, sadness, anger, rage, and fear of further abandonment that may accompany adoption. For some, this kind of communication comes easy, for others, it is more difficult. Sometimes children express these emotions through their behavior and it can be difficult for the adoptive parent to help the child process these emotions because they are an integral part of it.
Deer Creek clinicians work with families created by adoption to learn ways to identify and process these complex dynamics; to explore and understand the possible behavioral manifestations and emotional outbursts; to help the family talk openly talk about adoption and the adoptee’s biological family and early beginnings; and to consider options for learning more about the biological family. As the process deepens, the clinician helps the family explore and understand the depth of the fear, anger, grief, and shame that may be involved and means for healing. The clinician works with the family members together; assigns readings; and helps create activities to practice and incorporate into the family’s daily routines.
Attachment is a term that describes the state and quality of an individual’s emotional ties to another person (Becker-Weidman, Arthur; Dyadic Developmental Psychotherapy: The Theory, Creating Capacity for Attachment, 2005). The capacity to become attached or become emotionally tied with another occurs in infancy as the child develops an attuned, reciprocal relationship with at least one primary caregiver. Usually infants become attached to sensitive and responsive adults who remain as consistent caregivers for many months during the first two years. A primary goal of the attachment process is to provide a secure base from which the child can explore the outside world and return for nurturance, reassurance, and refueling. For some adopted children, this normal developmental process has been interrupted by early abuse and trauma or by the adoption process. When this occurs, the adoptive parents must become the responsive, sensitive, and attuned attachment figure, replacing those the infant has lost.
Deer Creek clinicians work with the parent(s) and child during each session to learn and practice interactions, communication, and activities that help facilitate attachment. The clinician creates a safe place and guides the parent(s) and child to learn to tolerate and validate the emotions that arise. During the sessions, the parent learns how to attune with the child, regardless of the emotion, and with the connection established therein, helps the child learn to regulate the emotional expression. The clinician guides the parent and child in establishing and maintaining eye contact, speaking with each other, acknowledging and naming emotions, and thereby processing the early concerns that make this kind of attunement difficult for the child. The therapist also organizes the sessions to include breaks from such intimacy and intensity through the establishment of a playful and fun environment, and other activities that teach self-regulation.
Adult counseling addresses the concern of adolescents transitioning into adulthood, adults, and senior citizens. Specialties include the treatment of anxiety and depression; life transitions; relationship difficulties; grief and loss.
Deer Creek clinicians use Cognitive Behavioral Therapy, with elements drawn from Cognitive Therapy, Behavioral Activation, Interpersonal Therapy, Dialectical Behavior Therapy, Acceptance and Commitment Therapy, and Narrative Therapy.
The clinicians work with clients to help them understand how their difficulties developed, and to devise practical thinking and action strategies that may diminish their suffering; increase their tolerance for people and circumstances that cannot be changed; and help them mourn losses; focus on positives remaining in their lives; and incorporate new positive activities and thoughts into daily living.
Your counselor will help you to set goals and to move towards them. You will be taught strategies you can use to understand and cope with future or continuing difficulties.
Behavioral Activation is used with some clients. This method involves helping clients to identify activities that they have enjoyed, do enjoy, or think they might enjoy, and then to set simple, concrete goals to incorporate one activity at a time into their schedules. It can also focus on beginning an exercise program, using physical activities that the client enjoys, and/or pairing physical activity with other pleasurable things, such as social connection, music, an appealing or supportive setting, etc. Physical activity has been shown to improve mood when done on a regular basis- often, as much as or more than an antidepressant.
Finally, positive attentional focus is always a goal of therapy, balanced with the ability to squarely face the realities of life.
Child, Adolescent and/or Family therapy are treatment options that your clinician may recommend after an initial appointment. The recommended treatment will depend on the presenting issues or problems, age of the child, concerns about other family members, and the clinician’s assessment of particular strengths or challenges the child displays. With younger children (ages eight and younger) we often find it is productive to have the parent present during the session so than can reinforce strategies at home and in the community. As children mature, often the parent is not present in the session after the initial appointment but will join appointments periodically to provide input and receive updates.
After several appointments, treatment goals emerge and become the focus of sessions. Various strategies may be implemented to reinforce the messages of treatment between sessions and may or may not include sessions with parents and child together, child alone, or consultation with parents and child not present. These decisions are based upon many factors and the final format of treatment may evolve over a number of sessions. The frequency of sessions may also be variable. Whereas with adult psychotherapy, weekly sessions for a period are often elected, treating children and adolescents often is best accomplished with less frequent contact since weekly appointments may be overwhelming to children and not allow enough time for strategies to be implemented and reviewed. Meeting twice per month after an initial period of more frequent sessions is often a productive mode.
Clinicians who treat children and adolescents often find it helpful to coordinate services with the child’s school, especially when the presenting problem(s) involve educational, social, or behavioral concerns during the school day. Management of such communication is critical and most often the clinician is seeking vital information from school rather than sharing information learned in session. When more comprehensive communication with school is indicated, the clinician may join a team meeting at school to coordinate efforts. Any communication with school or other outside agencies would always be discussed in advance with the parents and the child/adolescent, and a release of information would need to be signed before the clinician could talk to an outside party.
Treatment generally ends in a gradual fashion with the frequency of sessions tapering. Some parents or clients will elect to return to treatment at a future date and this often is effective if a strong working relationship was established initially.
Advances in medical care and technology have led to improved care and better longevity for youths and adults with chronic medical conditions. Medical providers are often ill-equipped to help, however, when it comes to supporting individuals with the psychological aspects of living with a chronic medical condition. Physicians and other medical providers often say their training did not adequately prepare them to manage the psychological/social aspects of chronic care and state that patients with chronic medical conditions frequently have mental health needs that are not being met.
Addressing the impact of physical and psychological effects of the illness on both the individual and the family, strategies for improved self-management of your/your child’s chronic condition, enhancing communication with your doctors, maintaining emotional balance to cope with negative feelings, strategies for managing anxiety and depression associated with the stress of managing a chronic condition, and building strength and resiliency within the individual and family.
Cognitive Behavioral Therapy (CBT) includes many types of psychotherapy that blend behavioral psychology and cognitive psychology principles. Behavioral psychology typically sees behavior change as a function of reinforcement either by expectation of rewards or punishment. The key word is expectation, a mental process. How people form their expectations is the focus of cognitive psychology. Expectations are a complicated mix of feelings, past experience, motivations, social context, hopes, etc. Therefore, CBT explores all of these thoughts (cognitions), feeling memories, etc, and uses cognitive and behavioral psychology techniques to reinforce the adaptive shifts that would increase the chances for making important changes.
Another facet of CBT is the use of homework, that is, clients are often asked to practice a skill, keep records of events, ratings of feelings, use of a strategy, etc., outside of the session. The record gives the therapist a running account that often gives clues to a client’s unique problems to adjust the strategies. In this way the therapist and the client form a partnership for understanding the problem finding solutions in real world situations.
CBT is often cited in evidenced based therapy research studies as equivalent to or more helpful than medications for treatment of depression, anxiety, addictions, trauma, Obsessive Compulsive Disorder and Borderline Personality Disorder. CBT also has shown to have lasting effects beyond the initial treatment period.
Finally, CBT uses many types of therapies such as: Rational-Emotive Behavior Therapy (REBT), Cognitive Therapy (CT), Behavioral Medicine, Dialectical Behavior Therapy (DBT), Mindfulness Based Cognitive Therapy (MBCT), Acceptance and Commitment Therapy (ACT), Behavioral Activation, and Eye Movement Desensitization Reprocessing (EMDR). Each of these was developed for specific populations or disorders. The variety of approaches is not surprising because CBT is evolving rapidly as new neuroimaging studies reveal the brain processing and structural changes that come with these therapies.
We at DCPA strongly suggest that you talk with any prospective therapist about your concerns and questions about psychotherapy or psychological testing. We believe that therapy or testing should fit the client’s needs and not the other way around.
Through a battery of individually-administered, nationally normed tests, an evaluator can determine what a student’s cognitive strengths and weaknesses are and how these can impact upon a child’s academic learning. Cognitive, (or intellectual), testing is usually the first step. These tests provide an abundance of information about a child’s cognitive processing skills including, but not limited to, verbal ability, spatial ability, nonverbal reasoning, processing speed and memory skills. An evaluator can further test in these and other areas if it is warranted; for instance, memory skills are an area in which an evaluator often does additional testing. An evaluator can also assess through both tests and rating forms a student’s executive function skills, or the cognitive processes required to plan and direct activities, such as initiating tasks, shifting between tasks, using working memory, sustaining attention, monitoring performance, inhibiting impulses, controlling emotions, and organizing materials.
An evaluator will also do academic testing to look at the student’s reading, writing, math, listening, and expression skills. Again, a variety of tests can be used to look at different aspects of a student’s academic learning. By examining the cognitive processing and academic information together, the evaluator can make recommendations on how to strengthen a child’s academic learning either through modifications or curricular changes. The data gathered through educational testing is typically used by the student’s educational team to determine eligibly for special services and to establish appropriate program goals.
Emotional Freedom Technique (EFT) is an energy-psychology technique used for reducing stress and the intensity of negative emotions such as anxiety, fear, anger, prolonged or exacerbated grief and traumatic memory. It reduces the psychological pain associated with stressful experiences, mood disorders and the negative thought and/or behavior patterns that typically prompt people to seek psychotherapy. It can also be beneficial for the relief of physical symptoms and the management of chronic pain.
EFT was developed by Gary Craig in 2003 out of several fields, most notably Thought Field Therapy (TFT), Kinesiology, quantum physics and Chinese meridian therapies. Most simply explained, it relies on neuro-linguistic programming (using language to focus the thoughts) and acupressure (performed by the client and led by the clinician) to relieve the negative emotional intensity associated with painful experiences which may be contributing to unwanted thoughts, feelings, behaviors and in some cases physical ailments. It utilizes some of the same principles as traditional psychotherapy and Cognitive Behavioral Therapy but has the advantage of usually bringing about more rapid change, often immediately or shortly after treatment is initiated. Once learned, clients can apply the technique to a wide range of situations in their everyday lives to reduce stress and improve their overall sense of wellbeing.
Because EFT is relatively new, it is still being researched. In the meantime, client testimonials have been extremely encouraging and there are no known cases where a result has been considered detrimental. However, as with any treatment, individual results are variable. As with traditional talk therapy, you may experience the surfacing of painful emotions that have been buried, but EFT is designed to address and relieve these underlying issues as well and produce greater overall emotional resilience. As with psychotherapy, EFT is a collaborative effort between client and clinician, such that client investment is essential to the final result. If you feel the need to do so, please check with your health care professional about the advisability of this type of meridian based therapy.
EMDR stands for “eye movement desensitization and reprocessing” and is a fairly new treatment for traumatic memories. To explain EMDR, it helps to explain what would bring a person to therapy after a trauma or loss. Although some people are able to work through a trauma or loss and come out stronger, others seem to get stuck. Along with getting stuck, comes a variety of distressing symptoms, which could include nightmares, depression, anxiety and other problems. A therapist can help you to get unstuck, and work through the memory piece by piece, until you are finally “over” it. Unfortunately, this process can take many months, and while most people get at least somewhat better, some of the problems can stubbornly hang on.
With EMDR the process seems to go much more quickly. The EMDR session itself is different for each person, but can be very emotionally intense. The patient is asked to concentrate on the worst part of the upsetting memory, while moving the eyes back and forth by following the therapist’s finger. It is actually a lot more complicated than that, which is why specialized EMDR training is very important. Often an upsetting memory can be worked through in one to three sessions. And the results seem to be more consistent, with symptoms usually completely disappearing.
Even though the treatment is fairly new, the research results are positive. The controlled studies have been showing that EMDR is really as good as it sounds, for working through a single traumatic memory. There is not enough research on other uses yet. Ricky Greenwald just co-authored a first controlled study using EMDR with children, which also had very good results in just one session.
Just remember that EMDR is just one tool to be used by a trained therapist. It is important to work with a therapist that you trust, who will know when to suggest EMDR and when to use other approaches.
A neuro-developmental evaluation comprises a complete neurological assessment, including tests of mental abilities, verbal and communication skills, and tests of sensory and motor function, placed within the context of a child/adolescent’s developmental age. This assessment seeks to determine if there are underlying biological and/or structural causes for often complex events and behaviors. A neurological assessment can be useful in determining the nature of a child’s learning challenges, when testing for specific learning disability has not been conclusive.
An autism-specific evaluation focuses on the child’s developmental history within the first 5 years of life, as well as his/her current social, language, communicative, and motor planning abilities, in order to determine the presence of a spectrum disorder. In these cases, it is important to “rule in/out” other distinct conditions which can give rise to autistic behaviors or symptoms. The neurologist also seeks to determine whether there are co-morbid conditions that could further impact on the student’s function or well-being.
A neuropsychological evaluation tests a client’s functioning in many areas of cognitive functioning, including intelligence, academic achievement, language processing, memory, visual perception and organizational skills, processing speed, attention, executive skills, fine motor skills, and emotional functioning. The clinician is often asked to assess a student for an autism spectrum disorder such as autism, Asperger’s disorder, and Pervasive Developmental Disorder, not otherwise specified (PDD-NOS). This involves an assessment of reciprocal social interactions and communication skills. This test typically incorporates the Autism Diagnostic Observation Schedule (ADOS) and the Autism Diagnostic Interview-Revised (ADI-R) which are both specifically tailored for assessment of autism spectrum disorders. Adaptive functioning is also assessed by means of a questionnaire that is completed by parents and teachers, often the Vineland Adaptive Scales or the Adaptive Behavior Assessment Systems (ABAS).
Before beginning an assessment, the clinician will discuss the nature of the referral questions with educators and parents. Many schools and parents have specific questions for the clinician to address in the evaluation, and specific types of assessments for the clinician to administer. All neurological evaluations performed by the Deer Creek Psychological clinicians meet the guidelines set forth by Vermont and New Hampshire school districts for assessment of learning disabilities, autism, and/or ADHD.
A written report of the evaluation findings, strategies, recommendations and diagnosis is completed by the clinician usually within a three-six week period after the testing is completed. This report is released to the person, school or agency financially responsible.
Modern psychodynamic psychotherapy is a unique form of intensive psychotherapy that alleviates emotional and mental suffering through an in-depth exploration of the client’s life. In psychodynamic therapy, client and therapist collaborate to understand the meaning of the client’s emotional reactions, thoughts, memories, fantasies, dreams, images, and sensations. As a team, the therapist and client seek to discover repetitive, unsatisfying patterns of living. In this form of therapy the client leads the way and is invited to say whatever is on his or her mind. The therapist primarily listens and offers hypotheses in an effort to enrich the client’s understanding of themselves and move them forward in their lives. Typically this form of therapy fosters a restorative relationship between the therapist and the client. Psychodynamic psychotherapy is process-based, open-ended, and may be lengthy, because understanding the nuanced complexities of a client’s life takes time. Often this therapy is helpful when clients have not responded well to more directive treatments. Psychodynamic psychotherapy has a well established tradition and is practiced worldwide.
A Psychological Evaluation is performed by a licensed psychologist to assess a problem or clarify the cause of the cognitive, emotional, attentional or behavioral difficulty. The purpose is to understand a child, adolescent or adult’s personality characteristics to assist in diagnosis or treatment interventions. This type of evaluation consists of several components: Clarifying the presenting problem or reason for the referral, gathering information via clinical interview with client (child, parent, teacher, etc), and tests that measure moods, personality, intelligence or ability. The evaluator integrates information gained from interview and testing to create a clinical picture that can assist in diagnosis, treatment considerations and/or educational recommendations.
Traditional psychotherapy addresses the cognitive and emotional elements of trauma, but lacks techniques that work directly with the physiological elements, despite research findings that trauma profoundly affects the body and that many symptoms of traumatized individuals are somatically driven. Unassimilated somatic (bodily) responses evoked in trauma involving both arousal and defensive responses are shown to contribute to many PTSD symptoms and to be critical elements in the use of Sensorimotor Psychotherapy.
Sensorimotor Psychotherapy Training presents simple body-oriented interventions for tracking, naming and safely exploring trauma-related somatic activation, creating new competencies and restoring a somatic sense of self. Clients will learn effective, accessible interventions for identifying and working with disruptive somatic patterns, disturbed cognitive and emotional processing, and the fragmented sense of self that they experienced because of their trauma. Techniques are taught within a phase-oriented treatment approach, focusing first on stabilization and symptom reduction.
Sensorimotor Psychotherapy identifies two general kinds of interrelated psychological issues: developmental and traumatic. Developmental issues result from disturbed early attachment relationships that lead to limiting beliefs about oneself and the world, while post-traumatic stress disorder results from overwhelming experience that remains unintegrated. When combined with unresolved trauma, early attachment disturbances can lead to a wide variety of adult relational problems. Treatment focuses on how traumatic, attachment, and developmental issues influence one another, and how to provide effective treatment given their inevitable intertwining.
Sensorimotor Psychotherapy techniques are uniquely suited for clients with complex symptoms and disorders. Complex trauma and Borderline Personality Disorder clients benefit from the emphasis on mindfulness and present day focus, while dissociative disorder clients benefit from working with the body that is a shared whole for all parts. Despite the fact that more complex clients can be body-phobic or have difficulty with movement and action, Sensorimotor techniques can be adapted to suit their special requirements. Slowing down the pace, working with ‘slivers’ of information, combining body and parts work, increasing the amount of repetition and practice all contribute to expanding the Window of Tolerance.
Before starting this therapy it is important to discuss with your therapist all the questions you have and see if this will be a good therapy for you and answer any treatment questions you may have. This is a new therapy, but there is a useful book written by Pat Ogden, Kekuni Minton and Clare Pane: Trauma and the Body. | 2019-04-25T21:40:02Z | http://deercreekpsych.com/interventions.html |
The Complainant is Bayerische Motoren Werke AG, more commonly referred to as BMW, a corporation organized under the laws of the Federal Republic of Germany, with a principal place of business at, Munich, Germany and represented by BMW AG of Germany.
The Respondent is Lucjan Niemiec an individual with an address at, Ilenoy, United States of America.
The disputed domain name <bmwcars.info> is registered with Go Daddy Software, Inc., 14455 North Hayden Road, Suite 226, Scottsdale, United States of America 85260.
The Complaint was filed via e-mail on March 26, 2003, and in hard copy on March 28, 2003, with the WIPO Arbitration and Mediation Center (the "Center").
On March 28, 2003, the Center transmitted by e-mail to Go Daddy Software a request for registrar verification in connection with the domain name at issue. On March 31, 2003, Go Daddy transmitted by e-mail to the Center its verification response confirming that the Respondent is listed as the registrant and providing the contact details for the administrative, billing and technical contact. The Center verified that the Complaint satisfied formal requirements of the Uniform Domain Name Dispute Resolution Policy (the "Policy"), the Rules for Uniform Domain Name Dispute Resolution Policy (the "Rules"), and the WIPO Supplemental Rules for Uniform Domain Name Dispute Resolution Policy (the "Supplemental Rules").
In accordance with the Rules, Para. 2(a) and 4(a), the Center formally notified the Respondent of the Complaint, and the proceedings commenced on April 3, 2003. In accordance with the Rules, Para. 5(a), the due date for Response was April 23, 2003. The Respondent did not submit any response. Accordingly, the Center notified the Respondent�s default on April 24, 2003.
The Center appointed Angelica Lodigiani as the Sole Panelist in this matter on May 6, 2003. The Panel has submitted the Statement of Acceptance and Declaration of Impartiality and Independence, as required by the Center to ensure compliance with the Rules, Para. 7.
The Panel finds that the payment was properly made and agrees with the Center�s assessment concerning the Complaint�s compliance with the formal requirements.
Finally, in accordance with Para. 11 of the Rules, since the Parties to the present administrative proceeding have not agreed otherwise, and since the Registration Agreement that relates to the domain name in question does not specify otherwise, the language of the administrative proceeding will be the language of the relevant Registration Agreement (i.e., English).
According to the Complaint, the Complainant conducts business in the manufacture and distribution of motor vehicles. The trademarks BMW and BMW and design (collectively referred to as the "BMW Trademarks") are, according to the Complaint, "world-famous" and have been in use since as early as 1917 in Germany. Copies of the earliest registrations in Germany for BMW Trademarks, upon which this Complaint is primarily based, along with their English translations, were attached to the Complaint as Annex C and Annex D, respectively.
"In addition to motor vehicles and other goods listed in the registrations above, the BMW Trademarks are currently used in relation to a wide variety of goods, including various accessories and merchandise, such as clothing, watches, sunglasses and leather goods, which promote the image and lifestyle that are associated with BMW automobiles and motorcycles. Services such as the repair and maintenance of motor vehicles, financial leasing of motor vehicles, and participation and sponsorship of sporting events, are also covered by various trademark registrations."
All the aforementioned statements are uncontested and are supported by ample documents. In light of the foregoing, the Panel takes the view that the Complainant�s statements are a fair representation of the Complainant�s trademarks and activities.
Interested in purchasing this domain name?
The Complainant further contends that the Respondent�s use of its trademark is "neither connected to, sponsored by, nor within the control of the Complainant," and that the Respondent has never been entitled to use the BMW Trademarks.
On September 27, 2002, the Complainant sent a letter to the Respondent informing him of its earlier trademark rights, and requested the Respondent to discontinue any further use or reference to any of the Complainant�s trademarks and to transfer the domain name at stake to the Complainant. The Respondent failed to reply and the Complainant sent a reminder letter. After this letter, the Respondent removed the website offering the domain name for sale and replaced it with the Registrar�s holding page. Accordingly, the Respondent has shown no willingness to comply with the Complainant�s request for a transfer of the disputed domain name.
- "The dominant and distinctive component of the disputed domain name is BMW, which is identical to the Complainant�s registered trademarks."
- "The addition of the generic word "cars" does not make the predominant element BMW less distinctive."
The Complainant�s main products are cars, and therefore the addition of the word "cars" to the name "BMW" is even more likely to create confusion rather than alleviate any confusion.
- "The Complainant does offer its products and services under the second level domain name "bmwcars" under various top level domains. These domain names, such as <bmwcars.com>, <bmwcars.org>, and <bmwcars.de> are used as official websites of the Complainant" (Annex L). "Therefore, the likelihood of confusion between the Respondent�s and the Complainant�s domain names is very high."
The Complainant enclosed as Annex L the print out of the whois registration of <bmwcars.com> as evidence that the Complainant has been using the second level domain "bmwcars" since August 14, 1995, i.e., several years before the Respondent�s registration of <bmwcars.info> on October 2, 2001.
- "The ending �.info� is a generic top level domain, which is not sufficient to render a domain name dissimilar or to prevent consumer confusion."
The Complainant also alleges that the Respondent has no rights or legitimate interests in respect of the domain name that is the subject of the Complaint because "the Respondent is not a licensee of the Complainants� marks and has not been authorized in any way to use the same. The Respondent has made no legitimate non-commercial or fair use of the domain name."
According to the Complainant, "the fact that the Respondent has not listed a specific sale price on its website is also irrelevant, since by making a general statement that the domain is for sale, the Respondent is in effect asking potential buyers to make an offer and is holding out for more than out-of pocket expenses."
The Complainant submits that the offer to sell the domain name on a website to a third party should be taken as evidence constituting bad faith registration and use within the meaning of Para. 4(b) of the Policy.
Prior ICANN decisions have found that advertising at large that the domain name is for sale is evidence of bad faith and is properly regarded as an offer to sell the domain name to the Complainant or a competitor. It is therefore irrelevant that the Respondent did not contact the Complainant directly with an offer for sale and that the Respondent did not list a specific price on its website. Indeed, by making a general statement that the domain is for sale, the Respondent is in effect asking potential buyers to make an offer and is requesting more than out-of-pocket expenses.
The Respondent did not submit any response and is considered in default. The Panel, in compliance with Para. 14 of the Rules, shall therefore proceed to a decision on the Complaint and shall draw such inferences therefrom as it considers appropriate.
According to Para. 4(a) of the Policy, in an administrative proceeding, the Complainant must prove that each of following three elements are present: (1) the domain name is identical or confusingly similar to a trademark or service mark in which the Complainant has rights; and (2) the Respondent has no rights or legitimate interests in respect of the domain name; and (3) the domain name was registered and is being used in bad faith.
The Panel believes that the domain name at issue, <bmwcars.info>, is confusingly similar to a trademark in which the Complainant has rights.
As mentioned above, the Complainant�s trademarks cited in the Complaint either consist of the word BMW per se, or of the word BMW accompanied by a device. As far as the disputed domain name is concerned, the Panel shares the Complainant�s view that the distinctive part of <bmwcars.info> lies in the BMW component, while the word "cars" is a generic term for English speaking people, as the Respondent is, and also for the citizens of many other countries where people have knowledge of the English language (at least of the basic English language to which the word "car" certainly belongs). As far as the ".info" ending is concerned, it refers to a gTLD which is not capable of avoiding confusion with the Complainant�s BMW Trademarks.
Therefore, the addition of the term "cars" to the BMW component is not sufficient to avoid a confusing similarity between the disputed domain name and the Complainant�s BMW trademark (See also Bayerische Motoren Werke AG v. bmwcar.com, WIPO Case No. D2002-0615; Toyota France and Toyota Jidosha K.K.d/b/a v. Computer-Brain, WIPO Case No. D2002-0002; Prisma Presse v. Buy Domains. Com, WIPO Case No. D2001-1073).
On the contrary, the Panel finds that the addition of the term "cars" in the domain name at stake, increases, rather than diminishes the possibility of confusion among Internet users. The addition of the term "cars" makes reference to the Complainant�s main activity, i.e., that of car manufacturing, an activity that undoubtedly the Complainant wants to promote, as the Panel reasonably infers from the Complainant�s registrations, as early as 1995, of "bmwcars" as second level domain names under the gTLDs ".com," ".org" and ".net." Accordingly, by specifically mentioning BMW�s main products - albeit in a generic sense - in the disputed domain name, the confusing similarity between the BMW trademark and the disputed domain name is enhanced (See in this respect, Bellsouth Intellectual Property Corporation v. Freeworld and/or Luis, WIPO Case No. D2000-1807 Volvo Trademark Holding AB v. e-motordealer Ltd.,WIPO Case No. D2002-0036; Nintendo of America, Inc. v. Tyasho Industries and Thomas G. Watson, WIPO Case No. D2001-0976).
Also the device accompanying some of the BMW Trademarks does not prevent the disputed domain name to be confusingly similar to the BMW device marks. Indeed, the most distinctive component of the BMW and device trademarks certainly lies in the word BMW. Furthermore, a device is an element which cannot be reproduced in a domain name.
In light of the foregoing, the Panel finds that the domain name <bmwcars.info> is confusingly similar to a trademark in which the Complainant has rights.
The Panel finds that the Respondent has neither rights nor legitimate interests in respect of the domain name.
It is an established principle that the burden of proof lies with the Complainant. However, satisfying the burden of proving a lack of the Respondent�s rights or legitimate interests in respect of the domain name according to Para. 4(a)(ii) of the Policy is quite onerous, since proving a negative circumstance is always more difficult than establishing a positive one. Accordingly, and in line with other prior decisions, the Panel holds that it is sufficient that the Complainant provides prima facie evidence in order to shift the burden of proof to the Respondent (See among others, Anti Flirt S.A. and Mr. Jacques Amsellem v. WCVC, WIPO Case No. D2000-1553, Intocast AG v. Lee Daeyoon, WIPO Case No. D2000-1467; Marie Claire Album v. Geoffrey Blakely, WIPO Case No. D2002-1015).
The Respondent failed to prove any of the above-mentioned circumstances as it did not reply to the Complaint. According to Para. 14 of the Rules, in case of default, the Panel shall proceed to a decision on the Complaint.
The Panel did not find in the Complaint and in the enclosed documents any element attesting that the Respondent has been commonly known by the domain name, even if the Respondent has acquired no trademark or service mark rights. On the contrary, as the Complainant underlines, the Respondent is not a Complainant�s licensee and was never authorized to use the BMW Trademarks.
Furthermore, the circumstances as known by the Panel, do not indicate anything which would induce one to believe that before any notice of the dispute to the Respondent, the Respondent used, or made demonstrable preparations to use, the domain name or a name corresponding to the domain name in connection with a bona fide offering of goods and services. On the contrary, before any notice of the dispute, the only activity carried out was Respondent�s offer for sale of the domain name at stake, activity which however should be compared with the subsequent removal of the indication "For Sale" after having received a second letter from the Complainant objecting to the registration of the domain name. In the Panel�s opinion, such a removal is inconsistent with a bona fide offering of goods and services.
Furthermore, independently assessed, the offer for sale of a domain name which is confusingly similar to a worldwide renown trademark as BMW, cannot be considered in itself a use of the domain name in connection with a bona fide offering of goods and services. The disputed domain name is rather unique and specific to the Complainant and there is no apparent legitimate reason justifying the offer for sale of the disputed domain name to third parties (Bayerische Motoren Werke AG v. (This Domain is For Sale) Joshuathan Investments, Inc., WIPO Case D2002-0787).
Finally, given the circumstances of the case, the Panel does not believe that the Respondent is making a legitimate noncommercial or fair use of the domain name, without intent for commercial gain to misleadingly divert consumers or to tarnish the Complainant's trademark, as required by Para. 4(c)(iii) of the Policy.
Based on all of the above, the Panel concludes that the Respondent has no rights or legitimate interests in the domain name <bmwcars.info>.
Under Para 4(a) (iii) of the Policy, the Complainant must prove two additional requirements, (i) that the disputed domain name was registered in bad faith; and (ii) that said domain name is being used in bad faith.
The Panel finds that the Complainant has offered and supplied enough evidence of the fact that the domain name <bmwcars.info> was registered and is being used in bad faith.
As also recognized in other decisions (Bayerische Motoren Werke AG and Williams Grand Prix Engineering Limited v. Neil Malkhandi, WIPO Case D2000-1172; BMW AG v. Loophole, WIPO Case D2000-1156; Bayerische Motoren Werke AG v. DLR, WIPO Case D2001-1231; Bayerische Motoren Werke AG v. (This Domain is For Sale) Joshuathan Investments, Inc., WIPO Case D2002-0787; Bayerische Motoren Werke AG v. Steven Koeppel, WIPO Case D2002-0795; Bayerische Motoren Werke AG v. Partinbank, WIPO Case D2002-0892; Motoren Werke AG v. Null, WIPO Case D2002-0937; Bayerische Motoren Werke AG v. Quality Services, WIPO Case D2003-0077), the BMW mark enjoys a worldwide reputation.
It is inconceivable that the Respondent was not aware of the existence and worldwide reputation of the BMW trademark and of the Complainant�s activities when he registered the domain name <bmwcars.info>. Even more so, the registration of a domain name like <bmwcars.info>, where the BMW trademark is coupled with the term "cars," making clear reference to the Complainant�s principal activity, eliminates any doubt as to the fact that the Respondent knew the BMW mark and the Complainant�s activities at the time of the registration of the disputed domain name.
As explained in the Complaint and supported by evidence, the Respondent offered for sale the domain name <bmwcars.info>. The Complainant removed its "offer for sale" of the disputed domain name only after having received two letters from the Complainant.
According to Para. 4(b)(i) of the Policy, circumstances indicating that the Respondent registered or acquired the domain name primarily for the purpose of selling, renting, or otherwise transferring the domain name registration to the Complainant who is the owner of the trademark or service mark or to a competitor of the Complainant, for valuable consideration in excess of the Respondent�s documented out-of-pocket costs directly related to the domain name, constitute evidence of bad faith registration and use of the domain name.
It is unclear from the Complaint whether the offer for sale of the disputed domain name was made from the time of its registration, or subsequently. The domain name <bmwcars.info> was registered in October 2001, and Annex H to the Complaint shows that the domain name was advertised for sale in November 2002. However, considering the renown of the BMW mark and the fact that the Respondent removed the offer for sale only after having received two cease and desist letters from the Complainant, absent any Respondent�s contrary statement, the Panel concludes that the domain name at issue was primarily registered for the purpose of selling it for valuable consideration in excess of the Respondent�s documented out-of-pocket costs directly related to the domain name.
The fact that the offer for sale was not specifically addressed to the Complainant or to its competitors does not legitimate the registration and use of the domain name at stake. Para. 4(b) of the Policy only indicates circumstances which, without limitation, shall be evidence of the registration and use of a domain name in bad faith. Therefore, nothing prevents the Panel from finding other circumstances supporting the conclusion that the domain name was registered and has been used in bad faith.
The nature of the domain name and the manner in which the domain name has been advertised for sale coupled with the Respondent�s lack of rights and legitimate interests in the domain name are indisputable evidence that the domain name <bmwcars.info> was registered and has been used in bad faith (Bayerische Motoren Werke AG v. (This Domain is For Sale) Joshuathan Investments, Inc., WIPO Case D2002-0787; United Artists Theatre Circuit, Inc. v. Domains for Sale Inc., WIPO Case D2002-0005).
Finally, as also underlined in the Complaint, the fact that the Respondent did not list a specific price on its website is irrelevant. Making a general statement that the domain name is for sale implies that the Respondent is asking potential buyers to make an offer and is holding out for more than out-of-pocket expenses (Toroc & Ioc v. Peter Hufschmid, WIPO Case D2001-0604).
Under the factual and legal circumstances of the present case and absent any contrary indication from the Respondent, the Panel concludes that the offering for sale of the <bmwcars.info> domain name on the home page of the corresponding website is clear evidence that the disputed domain name has been registered and is being used in bad faith.
In light of the foregoing, the Panel finds that the Respondent�s disputed domain name <bmwcars.info> is confusingly similar to a trademark in which the Complainant has rights, that the Respondent has no legitimate rights or interests in the disputed domain name, and that the Respondent has registered and made use of the domain name in bad faith.
Accordingly, pursuant to Para. 4(i) of the Policy and 15 of the Rules, the Panel orders that the disputed domain name <bmwcars.info> be transferred to the Complainant. | 2019-04-20T16:25:59Z | https://www.wipo.int/amc/en/domains/decisions/html/2003/d2003-0240.html |
Produced by hemp plants, otherwise known as Cannabis sativa, hemp seeds are small and dark brown.
Since the 1930s, many people have been scared away from hemp seeds due to the fact they are related botanically to marijuana, a member of the cannabis family.
Most people are not even aware of the great nutritional benefits offered by hemp seed.
Today, we’ll present a detailed breakdown of the positive side of these unusual seeds.
Since hemp seeds are produced by the cannabis plant by the same name ‘hemp’.
They contain tetrahydrocannabinoids (THC), but the amount of this chemical contained in the seeds is incredibly small, trace amounts only.
Hemp cultivated for non-intoxicant purposes is known as industrial hemp. In 1976, Cannabis sativa was split into 2 subspecies; Cannabis sativa subspecies sativa, which has less than 0.3% of THC in the reproductive part of the plant, and Cannabis sativa subspecies indica which has more than 0.3% THC.
The majority of ordinary marijuana contains around 8% THC (1).
Because there must be at least 1% THC present for you to become intoxicated, there is no way you could experience the sort of “high” reaction marijuana users experience when you consume hemp seeds (2).
Hemp and cannabis are derived from the same plant but come from different parts of the plant.
Hemp is one of the first known and domesticated crops in the world.
During the earliest days of human history, cannabis thrived near the temporary dwellings of our ancestors.
Water nearby, wide open spaces, and well-fertilized soil gave aid to this “camp follower” crop which quickly became domesticated (3).
For millennia, hemp was cultivated in Europe and Asia. At that point in time, most of its value was found in it being a source of fiber, as well as an oilseed.
We know that hemp has long been used as a textile fiber because we have discovered remains of cloth woven from hemp as far back as 6000 years (4).
This is not a comprehensive list of all the things hemp can be used for, but our main focus today is not on every conceivable use but rather on the many direct benefits of the powerhouse hemp seed.
The following is 14 evidence-based hemp seeds health benefits.
You might be surprised to know that these tiny little hemp seeds, also known as hemp hearts, are packed with a nutritional punch.
Though classified as a seed, hemps hearts are actually a nut. When you eat them, you can expect a mild, nutty flavor.
Get all these nutrients in just 2 to 3 tablespoons of hemp seeds and they are easy to incorporate into your everyday diet.
KEY POINT: Hemp seeds are a great source of valuable nutrients.
High in vitamins and minerals, and full of protein and healthy fats, hemp seeds provide a broad spread of nutritional benefits.
Hemp seeds are also a great source of protein (7) since over 25% of their caloric impact is from protein.
When compared by weight, the protein impact of hemp seeds is close to that of lamb and beef.
You can get around 10 grams of protein from 2 to 3 tablespoons of hemp seeds (8).
Amino acids are vital to the body, but your body is unable to produce all of them on its own.
Many people are not getting enough protein in their diets on a daily basis.
Of course, the amount of protein you need will vary depending on the type of life you live and your chosen way of eating.
If you are pretty sedentary, you will not need as much as if you were training for a triathlon.
Nonetheless, reaching the minimum recommended daily intake of protein is important.
Pregnant and nursing women should consume 71 grams of protein a day.
Many people think they have to rely on meat sources for protein, but that is simply not the case.
While it is often difficult to find a complete protein that is plant-based due to them not containing the amino acid lysine, that is not an issue with hemp seeds.
There are two vital proteins found in hemp seed - edestin and albumin.
Edestin is similar to protein found in the human body and this protein works hard to repair cellular DNA.
Albumin is a protein also found in egg whites (8).
The protein found in hemp seeds is far easier for your body to digest when compared to protein from several other nuts, legumes and grains. (7).
High levels of glutamic acid and arginine, as well as the amino acids cysteine and methionine can be found in hemp seeds (11).
Hemp seeds can easily help you hit your recommended protein intake.
This makes hemp seeds ideal for your plant-based protein needs.
Over 30% of the hemp seed’s caloric density comes from fat.
Linoleic acid (omega-6) and alpha-linolenic acid (omega-3) are two essential fatty acids that are found in high amounts in hemp seeds (8).
30 grams of shelled hemp seeds contains 3 grams omega-3 and 7.5 grams of omega-6 fatty acids (108).
Omega-3 fatty acids are linked to improving health like the development of muscle fibers (12) and helping to heal skin disorders (13), and they are also essential for balancing your immune system (14).
Unfortunately, studies show that many people living in the Western world do not get enough omega-3 fatty acids in their diet (15).
When researchers studied the relationship between coronary heart disease and linoleic acid (the omega-6 from hemp seeds), they found that people who consumed more linoleic acids had a lower risk of coronary heart disease events, and were less likely to die if an event did occur (16).
When the omega-6 to omega-3 ratio is not properly balanced in our body, it can result in health problems like obesity and systemic inflammation (18).
Your body does not have the ability to create these fatty acids, nor can it convert omega-6 fatty acids into omega-3 fatty acids.
The only way your body can get these essential fatty acids is through your diet – but you must be careful to consume a healthy ratio of omega-6 to omega-3.
The balance of these two fatty acids is important because when the balance is not properly maintained it can be detrimental to human health (17).
Too much omega-6 in the diet can result in the exacerbation of many inflammatory diseases, and put you at risk for developing diseases such as diabetes, inflammatory bowel disease, cardiovascular disease and rheumatoid arthritis (17).
For most people eating a Western diet, the balance of omega-6 to omega-3 is completely out of balance as they consume a ratio of at least 15:1 (19).
The recommended ratio of these fats in a healthy diet is 4:1 (20).
The proportional ratio of omega-6 to omega-3 in hemp seeds is between 2:1 and 3:1 (21, 22).
This makes hemp seeds beneficial in helping you consume more omega-3 to balance the omega-6.
Eating hemp seeds in can help balance the omega-6 to achieve a healthy fatty acid dietary balance.
Resulting in nearly 10 million deaths a year, heart disease is the number one killer in the world and has been for almost two decades (23).
Inflammatory processes have been linked to coronary heart disease (24), so avoiding inflammation is important in reducing your risk of heart disease.
The gamma-linolenic acid found in hemp seeds (8) helps to suppress inflammatory responses, which in turn reduces inflammation in the body.
Familial hypercholesterolemia is a genetic disorder characterized by extremely high cholesterol (26) and those who live with this disorder are more likely to die from heart disease while they are young (27).
As the excessively high levels of cholesterol collect in the platelets they can lead to abnormal platelet aggregation, which can increase the risk of atherothrombosis (28) that leads to cardiac death.
In animal studies it was found that adding hemp seeds to the diets of rabbits increased the measured levels of polyunsaturated fatty acids (PUFA) in the plasma, which in turn normalized the levels of cholesterol induced abnormal platelet aggregation (29).
When you get your cholesterol tested, they measure your total cholesterol, your HDL (good) cholesterol and your LDL (bad) cholesterol.
Your total cholesterol is divided by your HDL to find your cholesterol ratio, which helps determine your risk of heart disease (30).
The higher your ratio is, the greater your chance of developing heart disease (31).
PUFAs like the gamma-linoleic acid found in hemp seeds can help lower the ratio of total cholesterol to HDL (32), thereby lowering your risk of heart disease.
For people at risk for coronary heart disease, it is recommended that 5-10% of the diet come from linoleic acid sources (33) such as hemp seeds.
High C-reactive protein (CRP) levels in the blood are an indicator of inflammation (34) as well as a predictor of heart attacks (35).
Arginine found in hemp seeds has been shown to be useful in the reduction of CRP (36).
Though heart attacks themselves can result in death, the ensuing ischemic reperfusion injury can also kill (37).
An animal study from 2007 has shown that a diet containing hemp seeds played a large role in the post-ischemic recovery of rats (38).
This study showed that during post ischemic reperfusion there were many cardio-protective effects brought on by the PUFA content of the hemp seeds.
KEY POINT: Hemp seeds can supply the PUFAs as well as the arginine that can help to lower the risk of heart disease.
According to the CDC the sixth leading cause of death in the United States is Alzheimer’s disease (39).
Alzheimer’s causes 60-80% of all dementia cases (40).
It results in severe memory loss as well as problems with behavior and cognitive abilities, and it worsens over time.
As mentioned earlier, omega-3 fatty acids are found in abundance amounts in hemp seeds (8).
In one study, researchers were looking at the relation between Alzheimer’s disease and lipid status in the human body.
They were looking into the theory that omega-3 fatty acids are beneficial to neuroprotection and theorize that proper capacities of lipids could prevent or delay Alzheimer’s disease (41).
In another study it was found that the higher a person’s intake of omega-3 containing foods was, the less likely they were to experience mild cognitive impairment which is a precursor to Alzheimer’s disease (42, 43).
It is strongly believed that the production of this Abeta is directly correlated to the development of Alzheimer’s (45).
In a human study, linoleic acid supplementation (of which hemp seeds contains in abundance) over two weeks have been found to reduce LDL cholesterol by as much as 18% (53).
In Alzheimer’s disease, many of the neurotransmitters in the brain have decreased in function (46) resulting in a loss of acetylcholinesterase (AChe) activity.
The most common drugs used to treat the effects of Alzheimer’s work to reduce the breakdown of AChe, allowing the neurotransmitters to function for longer periods of time (47).
A study found that some of the secondary metabolites in hemp seeds can act as AChe inhibitors, giving rise to the hope that hemp seeds maybe beneficial in the fight against Alzheimer’s disease (48).
KEY POINT: Hemps seeds contain nutrients that can help in reducing the risk of developing Alzheimer’s disease.
People with adequate fiber consumption are at a lower risk for many diseases such as diabetes, high blood pressure, obesity and heart disease (50).
Nutritional data shows that hemp seeds are a good source of both soluble and insoluble forms of dietary fiber, containing 4 grams of fiber in a 100g serving (51, 25).
The fiber in hemp seeds is 20% soluble and 80% insoluble (8).
Soluble fiber can dissolve in water and forms a thick gel like sludge in the gut.
Insoluble fiber increases the amount of roughage to help food and waste travel along your gut.
Insoluble fiber ingestion has been linked a lowered risk of type-2 diabetes (54, 55).
A study conducted in China looked at patients who were suffering from constipation and the efficacy of using hemp seed to treat this problem.
The patients were relieved of their constipation when their diet was supplemented with hemp seed pills (56).
It was found that for functional constipation, 7.5 grams was more effective than lower doses.
While there is plenty of fiber in the hemp hearts, most of the fiber in hemp seeds is found in the shell of the seed.
Therefore, if you want as much fiber as possible you will want to eat whole hemp seeds instead of the shelled hemp hearts since they contain very little fiber.
KEY POINT: Hemp seeds are a great source of both soluble and insoluble dietary fiber which helps us to have healthy digestive systems, resulting in better health.
Fatty acids can be a beneficial tool in the modulation of immune responses (57).
They can be useful in over 100 autoimmune-inflammatory diseases (58) that we live with each day (59).
The fatty acids found in hemp seeds can play a role in the production of cytokines, gene regulation, signal transduction pathways, and antioxidant enzymes (59).
When they are able to control the above-mentioned systems, hemp seeds can reduce inflammation brought on by immune-mediation, and can also beneficially suppress the immune system in people with autoimmune diseases (60, 61).
KEY POINT: The omega-3 and omega-6 fatty acids hemp seeds help regulate our immune system.
Because hemp seeds contain all 21 essential amino acids and provide the perfect 3:1 ratio of omega-3 to omega-6 essential fatty acids (62), hemp seeds can be pressed into an oil that is beneficial to skin.
There are many skin disorders, some the result of systemic disease (63) and others as a symptom of autoimmune disease (64).
The omega-3 and omega-6 oils found in hemp seeds can reach the deepest layers of your skin, alleviating the dry, itchy, red skin that can happen as a result of inflammatory skin disorders (65).
Atopic dermatitis, or eczema symptoms showed improvement when treated with oil from hemp seeds (66).
Studies suggest that this improvement is a direct benefit received from the PUFAs in the hemp seed oil (67).
Additionally, hemp seeds contain antioxidants that are beneficial to skin health (68, 69).
One such antioxidant found in hemp seeds is Vitamin E (70) which has been used in the treatment of dermatological disorders for decades (71).
KEY POINT: If you suffer with dry itchy skin, you may find relief in using hemp seed oil due to its rich content of fatty acids and antioxidant properties.
The most satiating macronutrient available in our diets is protein. This is believed to be a result of the amino acids contained in protein (72).
Not getting enough protein in your diet can cause you to feel hungrier and increase your desire to eat (73).
People who eat diets high in protein showed significantly greater weight loss when compared to those who didn’t (74).
Because hemp seeds are a complete protein (containing all 21 amino acids as well as several essential fatty acids), they can help to naturally suppress your hunger (8).
Hemp seeds are also high in fiber. Fiber is another macronutrient that can promote satiety and help you to control your appetite (75).
Many people add hemp seed protein to their diets in an attempt to raise their intake of protein without adding more meat.
The product that is commonly used as hemp protein is derived from dry hemp seed meal and contains about 50% protein.
In one 30 gram (4 tablespoons) serving there are around 15 grams of protein (76).
KEY POINT: The high levels of protein and fiber found in hemp seeds can keep you satiated helping you to lose weight.
High levels of inflammation are linked to a increase risk of developing cancer as inflammatory cells produce an attractive environment for tumor growth (77).
We know that hemp seeds can play a role in reducing inflammation (78) due to their high levels of beneficial PUFAs.
Researchers theorize that hemp seeds anti-inflammatory nature will be useful in the treatment of cancer and have started looking into this option.
Though the levels are minimal, there is THC in hemp seeds. THC has proven beneficial in the treatment of cancer.
In one study, THC was shown to inhibit the growth of glioblastoma multiforme tumors in the brain (79).
Another study found that CBD oil (also derived from the hemp plant) has proven effective in improving advanced stages of breast cancer (80).
Cannabinoids have also been found useful in treating the side effects of cancer treatment (81).
KEY POINT: There is promise that the use of ingredients found in hemp seeds can be beneficial in the treatment of cancer.
The research is still ongoing.
People who suffer with multiple sclerosis (MS) experience many symptoms, but no two people will experience them in the same way.
Some of the more predictable symptoms of this disease are fatigue, difficulty walking, weakness and numbness, spasms and problems with vision (82).
Multiple sclerosis is a demyelinating disease.
In a demyelinating disease, the myelin sheath of the nerves is damaged which impairs the transmission of signals in the nerves that have been affected (83).
Studies have found that supplementing with a mixture of hemp seeds and evening primrose oil significantly improved the symptoms the study participants were experiencing (84, 85).
One such study claims that because of the hemp seeds effect on improving the myelin membrane, it might help to also prevent MS (85).
More research is required in this area.
KEY POINT: Hemp seeds have show its effectiveness in rebuilding myelin membranes which gives promise in the treatment and prevention of multiple sclerosis.
Combining the power of hemp seeds with evening primrose oil can improve the life quality of MS patients.
An imbalance in the hormone prolactin is thought to be directly responsible for the premenstrual syndrome (PMS) symptoms experienced by more than 80% of women who have reached reproductive age (86, 87).
Prostaglandin is a hormone that has been used to reduce the effects of prolactin and lessen the symptoms of PMS (88).
Gamma-linolenic acid (GLA) is an essential building block for prostaglandin E1 (89, 90), and GLA is found in high levels in hemp seeds (75).
In one study, it was found that women who took one gram of GLA a day experienced a decrease in their PMS symptoms (91).
Researchers also believe GLA helps regulate the inflammation and imbalanced hormones that are characteristic of menopause (92, 93).
KEY POINT: The gamma-linoleic acid found in hemp seeds can play an integral role in reducing the symptoms of PMS caused by prolactin.
It is also believed that this can reduce the symptoms of menopause.
There are two main types of arthritis, osteoarthritis and rheumatoid arthritis.
They both involve the joints in your body.
When the joints and the tissues that surround them become inflamed, you will experience the joint pain that is synonymous with arthritis (94).
Many clinical trials have shown that omega-3 fatty acids are a great tool in the fight against chronic inflammation and autoimmune diseases such as Crohn’s disease, multiple sclerosis and rheumatoid arthritis.
In hemp seeds the omega-3 is an excellent source of gamma linolenic acid (GLA) which has been shown to be effective in treating inflammation (96).
Studies found that diets rich in GLA can alter the generation of the prostaglandins and leukotrienes which can influence chronic inflammatory and acute responses (97).
Another study looked specifically at the effect hemp seed oil had on rheumatoid arthritis symptoms.
During the study the researchers discovered that the hemp seed oil slashed the survival rate of MH7A synovial cells found in patients with rheumatoid arthritis.
In several cases the hemp seed oil even promoted the death of these troublemaking cells.
It concluded that the hemp seed oil was useful in treating the effects of arthritis (98).
KEY POINT: Hemp seeds contain a great source of the anti-inflammatory gamma linolenic acid (GLA).
Adding hemp seeds to your diet can help reduce your inflammation, thus reducing joint pain and arthritis symptoms.
High blood pressure affects nearly half of all American adults (99).
Blood pressure can remain at normal levels when the blood vessels are able to relax and dilate properly.
Nitric oxide, a gas molecule in the body can play a large role in the regulation of blood pressure (100).
The human body can synthesize nitric oxide from the amino acid l-arginine (101), which is found in high levels in hemp seeds (8).
It is widely believed that a key contributor to hypertension is stress, due to the increased blood pressure elevations that occur under repeated stress (102).
To reduce the number of blood pressure elevations that leads to hypertension, we need to find a way to reduce stress.
Hemp seed can help with this, too.
The protein hydrolysate found in hemp seed protein meal has been found to reduce stress factors in hypertensive rats (103).
For 4 to 8 weeks the study participants were fed defatted hemp seed meal that was hydrolyzed.
At the end of the testing period, the participants showed lower levels of hypertension when compared to the controls (104).
Studies of hemp seed meal and hypertension give hope to the idea of treating or even preventing hypertension.
At this point, you know the benefits of hemp seed and may consider adding it to your diet. But does it have any side effects? In short, minimal.
There are no known drug interactions with general medication.
However, due to hemp seeds reducing blood platelet aggregation (107), it may increase bleeding risk if taken alongside anticoagulants.
Make sure to consult a medical practitioner if you have concerns about possible drug interactions.
You have now learned of some of the many benefits of hemp seeds, and now we are going to look at things you need to be mindful of when purchasing this wonder food.
There are a lot of options available, and it can be difficult to weed through the information and find what is best for you.
To help you make your choice, I’ve come up with a list of things you need to think about when you decide to purchase your hemp seeds.
Find out where your hemp seeds were grown.
Though things are slowly changing, as of this writing it is still against federal law to cultivate hemp in the United States, which means that you won’t be able to find any hemp seeds originating in the US (105).
When looking at reviews, it appears as though the best hemp hearts are cultivated in Canada – but this is a matter of opinion.
The good news is that many hemp seeds and other hemp products grown in Canada have been verified to be non-GMO (106).
There are two types of hemp seeds sold.
One is hemp hearts which are seeds that have been hulled (also known as shelled), meaning that the outer crunchy shell has been removed.
The other is whole hemp seeds which are usually sold as roasted.
The shell of the seed contains most of the fiber, so if you are looking to consume more fiber from hemp seed, whole hemp seed is what you need.
Hulled hemp seeds will contain more protein and less carbs compared to whole hemp seeds.
Just as with anything else you consume, you can find hemp seeds that are grown organically and hemp seeds that are grown conventionally.
If eating organic is important to you, be sure to look for that on the hemp seed packaging.
There are dozens of brands to sift through when choosing hemp seeds.
There really isn’t one brand to recommend over the other as of yet, since they are all cultivated in the same way.
As hemp seeds become more of a staple, there will be more differences and it will be easier to have a preference.
You can usually purchase hemp seeds at a local retailer or at a health food store.
You can also find them online, where you are likely to get good bulk prices.
There are ways you can add hemp seeds into your diet, and they are all relatively simple.
You can sprinkle hemp seeds on top of your salad, just as you would any other topping like nuts or other seeds.
Top your breakfast smoothie with a bit of hemp seeds, or you can easily blend them into your smoothie if you’d rather.
Sprinkle hemp seeds on your sandwiches, whether it be a meat and cheese sandwich or a peanut butter and jelly. Have a tasty lunch with a nutritional kick!
Acai bowls and other types of loaded nutrition bowls are packed with nutrients, throw a few more in there with a handful of hemp seeds!
Whether they’re made from hamburger or beans, when making your burgers or meatloaf, mix the hemp seeds into your mixture.
Use hemp seeds as a topping for your baked potatoes.
Sprinkle some hemp seeds on top of your pizza or pasta dishes.
Use hemp seeds in place of sesame seed in Asian-inspired dishes like stir fry and sushi.
Blend up with water and make hemp seed milk.
Instead of popcorn, reach for toasted hemp seeds while binging on your favorite tv shows.
Toss some hemp seeds on top of your hearty bowl of oatmeal in the morning.
If you’re a cereal eater, add some nutrition to your fruity pebbles with a sprinkling of hemp seeds.
As you can see, there are plenty of ways to add hemp seeds into your diet, and they are all great choices for hiding away a bit more nutrition each day!
While it can be simple to add hemp seeds into your diet by just tossing them into something you already eat, it can also be a good idea to learn how to use the hemp seeds in recipes.
For the recipes, you can replace sugars with the appropriate amount of healthier sweeteners like stevia or swerve.
Below you will find a selection of tasty hemp seed.
Place bananas, berries and coconut milk in a food processer and combine. Taste the mixture for sweetness. If you’d like it sweeter, add maple syrup to your liking and blend again to combine.
Add hemp seeds, chia seeds and cinnamon, then pulse the mixture to combine the ingredients.
Transfer to a dish to chill and thicken in the refrigerator for at least 2 hours, preferably overnight.
This makes 3 to 4 servings and will keep in the fridge for 3 to 4 days.
Set aside 2 tablespoons of hemp seeds.
In a food processor, combine the dates, cocoa powder, hemp seeds, coconut oil and extract, mixing just until it starts sticking together.
Shape the mixture into small balls about 1 inch around, and roll the balls in the 2 tbsp of hemp seeds you set aside.
Refrigerate the balls for around 1 hour, or until they are firm.
This recipe will make 6 fudge balls, but it is very rich, so you won’t need many at once!
Preheat oven to 325°F/162°C and line a baking pan with parchment paper or a nonstick mat.
Mix together the oats, hemp seeds, coconut, almonds, cinnamon and salt in a large bowl.
In another bowl, combine the coconut oil, maple syrup and vanilla extract.
Pour the liquid mixture over the oats and hemp seed mixture. Stir to combine.
Spread the granola mixture on your prepared baking pan.
Stir the granola around on the pan and place it back in the oven for another 10 minutes.
Allow the granola to cool before storing in an airtight container.
This will make about 14 servings (at ¼ cup per serving) and will keep for about a week in an airtight container.
Pulse the red onion and the red pepper in your food processer until they are minced, then add to a large mixing bowl.
In your food processor, add the brazil nuts, pumpkin seeds, hemp seeds, garlic, chili powder, cumin and salt and blend until it has a grainy texture. Add to the bowl with the pepper and onion.
Add the beans and the cilantro to the food processor and pulse them until they are almost smooth, then add to the mixing bowl.
Add the oats to all of the other ingredients in the mixing bowl and stir well to combine.
Take the mixture and form it into palm sized patties, then place the patties on the prepared baking sheet.
Bake the burger patties in the preheated oven for 25 minutes, then remove the pan and flip the burgers over.
Return the pan to the oven and cook the burgers for an additional 10 minutes.
When the burgers are done, serve them on buns (optional) with the usual burger toppings like lettuce, tomato and onion.
This recipe will make about 6 burger patties and is best when eaten fresh.
These chicken tenders are naturally gluten free, but will give you the crunch you love.
In a bowl, mix together the hemp seeds, almond meal, garlic powder, paprika, salt, pepper and cayenne.
Dip each chicken piece into the whisked egg, shaking off any excess.
Place chicken in the hemp mixture and coat with the hemp and seasonings.
Place chicken strip on prepared baking pan.
Continue with he remaining pieces of chicken.
Place your sheet of chicken tenders in your preheated oven and bake for 20 minutes, making sure to flip the tenders halfway through.
Remove from the oven and serve with your favorite dipping sauce or enjoy plain.
This recipe will make about 4-6 servings of chicken tenders and is best when enjoyed fresh.
In a high-powered blender, combine the hemp seeds and water then blend until completely smooth.
Pour the mixture into a big bowl using a fine mesh strainer to catch any bits of hemp seed that remain.
Refrigerate your milk in a closed container.
This makes several servings of milk and will keep fresh for about 1 week in the fridge.
Now you have several delicious recipes you can make to get some hemp seeds into your diet!
Though hemp seeds are nothing new in nutrition, there is still a slight stigma due to the fact that they come from the cannabis plant.
Think about all the amazing health benefits that these tiny little seeds will provide you and get them into your daily diet.
They are easy to find, simple to use, and they add a nutrition packed punch to your daily routine.
Your heart, brain, skin and joints will all be thanking you!
Cool! I think the black bean burger and the chicken tenders look especially enticing. | 2019-04-22T08:49:49Z | https://www.authoritydiet.com/hemp-seed-health-benefits-side-effects-recipes/ |
Greg will introduce you to DataRobot, an automated Data Science platform, that makes building accurate models orders of magnitude faster and more deployable than any other technology available today. During this live demonstration, you'll see DataRobot in action and learn how it can be implemented in your business.
In our Big Data world, reliance on machines and technology has become the governing philosophy particularly with advanced analytics involving predictive models. Technology has definitely enhanced the practitioner's capabilities but technology must be countered with the human perspective when developing predictive models. With an ever-increasing reliance on technology and machines, model overstatement becomes the more likely outcome. In this session, we explore the approach and tasks in identifying model overstatement. Through one case study with an insurance company, this above approach is used to not only identify model overstatement but why it has occurred.
In this new era of Big Data, retailers collect data in ever-increasing volume and variety. In the midst of Big Data, a revolution is taking place in how retailers gain insights about customers, whether they interact with the brand online, in stores, or both. This session will describe the transition from reporting to data-driven decisions using predictive analytics. Success requires collecting the right data, creating informative derived attributes, making this data accessible in a timely manner, and building predictive models. Examples, drawn from real-world retailers, will include shopping cart funnel management, shopping cart abandonment, marketing attribution, churn, and purchase propensity.
Data driven decisions are meant to maximize impact - right? Well, the only way to optimize influence is to predict it. The analytical method to do this is called uplift modeling (aka, persuasion modeling). This is a completely different animal from standard predictive models, which predict customer behavior. Instead, uplift models predict the influence on an individual's behavior gained by choosing one treatment over another.
In this session, PAW founder Eric Siegel provides an introduction to this growing area to prepare newcomers for this PAW event's full-day track covering uplift modeling.
The customer is always right; but what if they don't know what they want? Measuring satisfaction, sentiment or churn using traditional methods with limited data often belies true customer intent. But customers telegraph their next moves indirectly; and when actions speak louder than words, do you have the right tools to hear them? Building a predictive analytics workflow must include the ability to transform customer actions into features, tune an ensemble of machine learning algorithms, and interpret the model insights. But which actions, transformations and algorithms are effective?
This talk will focus on a recent data science engagement with a community-focused, regional bank in the Northeast. The discussion will focus on how to connect nebulous customer attitudes with actual profitability using machine learning to predict behaviors based on a small survey, then applied to all. MapR's Data Scientist Joseph Blue will review the results including how customer behavior has allowed this bank to apply these connections and identify untapped opportunities for growth.
The price of housing in major metropolitan areas in the US is affected by many variables including the economy, interest rates, the availability of jobs, and population growth. As an investor looking for higher yields from rental properties which neighborhoods should you invest in? In this work we introduce a novel data analytics approach to isolating the movement of different socio-economic groups through New York City. Using online restaurant reviews, we applied sentiment analysis, data clustering and data classification algorithms to provide a leading indicator for rental prices. Tawfik and Bari will cover these analytical results, which were produced by an extended group of graduate students and researchers at NYU.
The success of direct marketing campaigns is often measured by how many additional sales have been achieved. This measure is also known as uplift. By trying to predict the influence on an individual's behavior, uplift can be optimized. Recently, there have been a lot of analytical methods introduced to build uplift models. But is predicting influence in this way always the best option? Under certain conditions, standard predictive models provide even better results. Thomas Klein and Alexander Funkner share their experiences and present approaches to select the most suitable predictive model to maximize uplift.
Marketing, political campaigning, and healthcare have one major thing in common: organizations combine millions of individual interactions with social, digital, and traditional advertising in order to move people towards positive actions.
Prior to President Obama's reelection campaign, standard practices for persuading voters—that is, changing their minds—were unscientific and driven by long-standing assumptions and unsupported hunches. These practices mirror outreach efforts by other companies and organizations, who know that a certain percentage of their marketing efforts will inevitably be wasted on people who will not be the most receptive.
Daniel Porter of BlueLabs, who served as the Director of Statistical Modeling for the Obama Campaign, will discuss his experience using the results from a large-scale, randomized, controlled experiment that targeted persuadable voters for the Obama Campaign, i.e. persuasion modeling, aka uplift modeling. Daniel will review the ways these cutting edge statistical modeling techniques can be applied to influencing behavior in realms ranging from health outcomes to customer retention. He will also focus on methodological advances that have been made since 2012, how these techniques lead to more precise insights than ever, and how they can be used to drive broader strategic decisions in addition to narrower tactical choices.
When Should We Trust Robots with Decisions?
The surge in big data and machine intelligence portends a future in which robots will have the capacity to transform daily life, as we know it. This raises a key question, namely, when should we entrust a decision to a robot? I provide a framework for business leaders for making this decision for any business problem. The analysis is based on two factors, namely, the inherent predictability of the problem and the consequences of errors.
We discuss five case studies to give an overview of some best practices for deploying analytic models into products, services and operational systems. We discuss commons architectures for deploying analytics. We then cover the role of vendor neutral standards for analytics, such as the Portable Format for Analytics (PFA) and the Predictive Model Markup Language (PMML). The case studies range from models built using R to models built using Hadoop, MapReduce and Spark. We conclude with five common mistakes that can delay the deployment of analytic models.
Business people and policy makers typically want answers to causal questions, so that they may undertake actions that lead to results. The increased availability of data, along with developments in techniques of statistics and of machine learning, are making it easier to identify the causes of effects. For business, this has important implications, because it expands the ways in which "business analytics" can contribute to improved decision making. In this presentation, we examine two recent advances – uplift modeling (aka true lift modeling) and directed acyclic graphs (DAGs, aka Bayesian networks) – that are only now being applied to business decisions. We briefly motivate and summarize the techniques, and apply them to business examples. Our main conclusions are that these techniques are of practical value, that it is often possible to identify actionable causes, and that the challenge of transforming business analytics into causal business analytics remains relevant, even urgent.
Process manufacturers create products including chemicals and tires. This industry is core to our economy and a single manufacturer can have tens of thousands of customers and vendors. Beyond the efficiency gains from automated supply chains is the predictive value that can be derived from the data. Automated decisions can impact operations days to months in the future and can save tens of thousands of dollars. Additionally predictive insights support longer-term decision making, and structural improvements to the system that can drive even more value. This session will present real-world challenges seen in achieving a predictive supply chain and present a demand-sensing solution that makes supply chain predictions and recommends action.
Why Big Data is different and what is driving the change.
Issues and challenges in how to make the benefits of predictive analytics fit within the application environment.
How real-time data streaming and embedded predictive analytics have become a requirements.
- Three case studies to demonstrate the challenges and benefits of Big Data Analytics across different businesses from small to large.
LexisNexis has developed an advanced legislative tracking service that uses predictive analytics to learn the probability of a bill's passage. The models forecast how likely a bill will move to the next stage of the legislative process based on about 20 features, including measurements of the social influence of the bill's sponsor, political parties of committee members, and the likely roadblocks within a committee and in the larger legislative process. This session will also describe work at LexisNexis that uses predictive analytics to deliver complex legal search results and develop advanced user analytics for business decision-making.
Continuous process improvement remains an imperative across multiple sectors. Advances in algorithms, computing capacity, and machine learning tools make it possible to leverage historical quality attribute data to gain insights into what can be done to improve quality. This case study presents the current status of MITRE research applying machine learning techniques to software quality and project attributes to predict software project outcomes (success, cost, and schedule). Using multiple alternative predictive models will allow MITRE sponsors to check their software quality results and make better investment decisions. This analytics process can be applied to government and industry sectors.
The session will present an old technique for new analytics methodology for Netlift/Uplift models. A number of nonparametric techniques have proven popular to estimate uplift models, such as tree-based and random forest based techniques. In contrast, we will apply a traditional regression-based approach: Recursive Bivariate Probit Models. One advantage of this approach is that we can then easily simultaneously calculate, for each individual, the probability of response when included in a campaign, and, the probability of response when not included in a campaign, and, taking the difference, prioritize our campaign on those with the greatest differential or incremental effect.
Predictive Analytics is so powerful and so useful – everywhere – we are astonished that its widespread adoption has taken so long. Its modest risk and phenomenal return should lead rational actors to cooperatively pool technical and domain expertise to tweak production processes to the benefit of all. And yet, most early projects fail to be implemented – felled by fear, pride, and ignorance.
But we can anticipate those foes! Recall that success requires solving three serious challenges: 1) Convincing experts that their ways can be improved, 2) Discovering new breakthroughs, and 3) Getting front-line users to completely change the way they work. No wonder there is resistance at every stage!
John argues that it's helpful to have a mental model of the human brain as not optimized for success in our modern life of safety and abundance, but for survival within a small tribal society. And that with this model we can better anticipate – and escape - the traps that we idealistic techno-nerds tend to blunder into as we try to bring life-changing fire into the tribal circle.
In the age of Big Data, ethics is becoming increasingly important when predicting behavior responsibly. This is especially true when using predictive analytics to understand the actions of consumers or employees. Join us in reviewing a case study where we apply predictive modeling to increase employee retention, while protecting employees from the invasive big brother perception.
Preeminent consultant, author and instructor Dean Abbott, along with Rexer Analytics president Karl Rexer, field questions from an audience of predictive analytics practitioners about their work, best practices, and other tips and pointers.
New technology in the television industry is allowing advertisers to be much more targeted in their approach to buying and executing advertising campaigns. The technology itself however is only effective to the extent that television-viewing habits are well understood. Predictive methods on top of advanced TV viewership data have provided the ability to accurately predict viewership patterns for specific population segments, allowing advertisers to generate significantly more targeted views per dollar on TV than has ever been possible. This session will show how these predictive technologies are deployed to increase the effectiveness of TV advertising.
Change.org is the world's largest online platform for social activism. With the unique advantage of scale, our platform is continually fueled by analytics and data Science. In this talk, I'll discuss how algorithms such as collaborative filtering, graphs and topic classification are leveraged, as well as analytical techniques Change.org has developed and regularly use - that are unique to our mission. Using case studies from a variety of recent social movements, I'll discuss the role of data in key flows, including starting petitions, user growth, engagement, our client relationships, and the decision makers who are petitioned.
Optimized pathways driven by KPI-focused predictive models, which may suggest novel and useful pathways for employee growth.
This discussion will explore these mapping methods, the interfaces between them, and directions for further innovation.
Understanding different types of customers' behaviors and developing data-driven business strategies accordingly can be one of the most valuable data science applications. By developing in-house predictive analytics tools, marketers will be able to gain a much deeper understanding of how to manage customer relationships with each business type and to optimize all the funnels. In this session, I will discuss the various in-house predictive analytics that I have implemented at Bitly, including marketing qualified lead scoring system, churn and upsell predictive models. Attendees will learn the techniques and machine learning models used, as well as key insights derived.
Leveraging data from past campaigns, Mountain America Credit Union was able to identify characteristics of the "ideal" responders (those more likely to bring "new new money"). The predictive model was leveraged to filter a refined list of customers for a future promotional campaign. Pilot results were compelling: test group had a response rate 14 times that of the control group; test group deposited 50 times more money than the control group; test group deposited new money at a 57 percentage point higher rate than the control group; deposits per account in the test group were 60 times the control group.
The term digital transformation does not even come close to conveying the fundamental metamorphosis that is going on in the world. It is not just companies that are transforming. It is the human race that is transforming. Envision a world where robots are smarter than humans. They assimilate knowledge at a much faster pace compared to humans because they are connected to each other, and to all the devices through internet. Sounds like something out of a scary sci-fi movie? Be ready, it is going to be reality. Big data is playing a major part in this transformation.
Big data analytics technologies, algorithms, and concepts are the foundation of this digital revolution. These trends are disrupting business models. Who would have thought five years ago that the livelihood of taxi companies will be impacted by democratization of cabs by Uber!! Now, the financial industry is about to be disrupted by block-chain technology. Every business model disruption disrupts lives.
How does one survive in such a world? Quoting the Borg from the TV series Star Trek, "Resistance is futile!". Be part of the revolution. Be very adaptable. Scale up your own capabilities and keep transitioning into jobs that cannot be replaced by artificial intelligence and robots in your lifetime. Even the "maker" is no longer safe. Data Scientists have been the creators of analytics. They used to be, and still are a hot commodity in the market. But technologies are emerging that will commoditize this role in the next two years.
In this thought leadership keynote presentation, Saum Mathur will talk about the disruption that is coming, and how companies and employees should participate in it to stay relevant.
This session will focus on analytics technologies such as data management and visualization, data democratization, predictive analytics and real-time insights. The use case will demonstrate how a Global CPG Company uses a next generation technology platform to drive analytics and insights globally. This platform can meet the demands of a global, evolving data environment with its scale-out and lab/factory information capabilities, and support hybrid data scenarios as well. It connects both Advanced Analytics and Insights functions. Traditionally, analytics and BI applications have been implemented conforming to specs and design requirements, but have failed in user adoption because end-users are unable to use the applications. The user experience and usability is not something that can be added to an application after IT has created it. With our platform, we decided to drive the development from the user prospective right from the beginning - with a true understanding of the users, the goals they have, and the process they expect the analytics platform to facilitate.
As a standard practice, the private sector leverages data science and predictive analytics to understand customer's motivations. Yet, many brands are missing out on important cues from another set of data: social issues engagement. In this session, Rita will detail how brands can bridge this gap through partnerships with social enterprises or philanthropic foundations. By sharing data sets and understanding how people engage around social issues, brands and social enterprises together have the power to shed new light on existing databases. Companies then gain the opportunity to unlock behavioral triggers and engage new and existing audiences in more effective ways.
This case study explores propensity of an order to close for a highly configurable server line. These servers have a long manufacturing and testing lead time, often requiring sellers to predict which order to 'build-ahead' even before it is closed in order to guarantee prompt delivery. Conventionally this process relies on human experience to determine which order to pre-build, which often result in high inventory and high costs to take machines apart if it was not sold. This presentation discusses how we employ Design Thinking, together with Analytics approaches to enhance stakeholder's engagement in the development and the adoption phases of the predictive solution in the pre-build decision-making.
One of the most universal, and unfortunately often dreaded, consumer experiences is with the automotive dealership. The vast majority of these experiences are actually positive and dealers need to ensure that these positive experiences result in public, online dealership reviews. This case study addresses the issue of whether it is possible to create actionable analytics based on currently available social and demographic data to determine which consumers are likely to generate a review and therefore positively impact the dealer's online reputation. This predictive analysis would actually make it possible to counteract the impact of disproportionate negative voices in the consumer social network – helping automotive dealerships – and likely other online reputation dependent businesses – create a more balanced and informative market view.
Hiring -- even for data scientists -- is often not very data driven. At The Data Incubator, we run a fellowship to train and place data scientists in industry that receives over 2000 applications per session and is more selective than Harvard. To cope, we have to rely on robust analytics and machine-learning for our admissions process to ensure we are finding the best talent for our hiring partner companies. We'll explain why most traditional keyword-driven screening processes do not work for finding data science talent and how to both streamline and build an automated data-driven screening process that filters for skills and talent, not keywords and hype. Our results are based on thousands of aspiring data scientists who would like to be.
Data is the fuel that powers analytics. However, an enterprise's misaligned focus on data can erode an organization's ability to create a business impact with analytics. The "Chief Data Officer" role is now receiving three times as many Google searches as "Chief Analytics Officer". As large enterprises increasingly view data as a strategic asset, what roles should analytics leader take in order to ensure success? In this session, Richard Wendell of the MIT International Society for Chief Data Officers discusses strategies for success at this critical intersection between data and analytics.
This session covers Consumer Experience enhancement deployment that employs real-time predictive analytics. Field deployments have now evolved for multiple generations and associated best practices are emerging. How are predictive segmentation techniques used for the anticipation of demand and consumer intent? How is consumer experience enhancement predicted and attributed to channels and touch points? What is the business impact of predicting Consumer Context for experience enhancement and how do we measure it? What are best practice modeling techniques and their relative business impacts? Predictive analytics field deployments will include examples spanning the Automotive, Finance, Retail, Transportation, and Wellness industries.
Choosing what to eat is an everyday part of life. Our brains are able to assess thousands of options quickly and nearly completely subconsciously. However, the process is far from simple; each person has their own preferences, each restaurant has their own specialties, and each dish its own ingredients. Graph Databases offers a natural way to codify these classes of objects and complex relationships to build a better model than what be accomplished through a traditional relational database. | 2019-04-21T05:08:00Z | https://www.predictiveanalyticsworld.com/newyork/2016/agenda.php?utm_medium=referral-link&utm_campaign=PAWNY16&utm_source=patimes&utm_content=interview |
RNA interference has a close relationship with the host defense system including adaptive immunity. It is not only involved in regulating immune cells at different stages of the immune response but also directly induces or enhances antigen presentation and subsequent immune responses. We have previously reported that a small hairpin RNA (shRNA) targeted the downstream site of a dominant cytotoxic T lymphocyte (CTL) epitope of human papillomavirus (HPV) type 16 oncogene E7 can stimulate an immune response against E7 expressing tumors in C57BL/6 mice. This results in the elimination of tumor growth in vivo, whereas an shRNA that targets the upstream site does not. Our recent data further confirm the long half-life of the 5'-mRNA fragment after shRNA degradation and its involvement in protein synthesis. This chapter summarizes these findings and provides some updated explanations for the findings.
RNA interference (RNAi) is a conserved gene-regulation mechanism in all eukaryotic cells, where small RNAs including small interfering RNA (siRNA), small hairpin RNA (shRNA), and micro-RNA (miRNA, miR) interact with message RNAs (mRNAs) in a sequence-specific manner and cause the cleavage or translational blockage of a gene [1, 2]. Because of its specificity and efficiency, it has been widely utilized as a routine tool for gene functional studies in biology laboratories worldwide. In addition, since RNAi blockage is very specific and at the transcriptional level, RNAi-based gene therapy (RNAi therapy) is thought to hold a great potential for treating many diseases, especially viral infections and genetic disorders. Synthesized siRNA is thus regarded as a specialized drug for gene therapies. So far, promising results have been obtained with RNAi therapy in various diseases and many are being tested in clinical trials, including viral infections, cancers, and genetic or inflammatory disorders [3-7]. As cancers and other emerging diseases such as dementia and super-bug infections become major public health issues, RNAi therapy can offer a new solution and has the additional ability to overcome drug resistances.
Beside the fundamental gene-silencing and gene-regulating roles of RNAi, which will also regulate the gene functions of immune cells and thus the immune responses, RNAi pathway itself has an additional function and involvement in inducing adaptive immunity. This function has not been well-studied, and the mechanism is not clear. Its relationship with the immune system in terms of antigen reactivation and antigen presentation is still a new area to be investigated. Indeed, in plants and primitive species, RNAi is a part of the defense system against viral infections. However, in mammals, RNAi seems not directly involved in the immune system, probably due to the development of an advanced and sophisticated immune system. This chapter summarizes the evidence of RNAi-induced immunity against tumors and provides some updated possible explanations for the findings. The possible link between miRNA and its degraded products with the immune system has been also discussed. Exploring the relationship between RNAi and the immune system may lead to new discoveries in RNAi biology and approaches for more effective cancer immunotherapy or treatment for viral and intracellular pathogen infections.
In 2009, we reported a discovery about RNAi-induced immunity . We investigated two shRNAs encoded by lentiviral vectors on their ability to suppress tumor cell growth and stimulate antitumor immunity in vivo. One shRNA targeted the downstream site of a dominant cytotoxic T lymphocyte (CTL) epitope of the oncogene E7 of human papillomavirus (HPV) type 16 (termed downstream shRNA), while another shRNA targeted the upstream site of this epitope (termed upstream shRNA). Both shRNAs were equally effective at silencing E7 gene expression (in mRNA and protein levels) and led to the inhibition of tumor cells growth in vitro and in vivo . In spite of this, TC1 tumor cells (expressing HPV E6 and E7) treated with downstream shRNA stimulated an immune response against E7 in C57BL6 mice and resulted in elimination of tumor growth in vivo, whereas cells treated with the upstream shRNA did not. When untreated TC1 tumor cells were injected to the same mice (challenging tumors), the group of downstream shRNA exhibited a total inhibition of challenging tumor growth, whereas no inhibition was observed in the upstream shRNA group. This ability of downstream shRNA was absent in Rag-/- mice (lack of T- and B-cells), suggesting adaptive immune response or T-cell response was required. To prove that the immune response was antigen-specific, we carried out a same animal experiment by immunizing C57BL/6 mice with TC-1 cells treated with these shRNAs but challenged with another tumor cell line C2, which has the E7 expression and H-2b genetic background as C57BL/6 mice. Again, we observed that only mice immunized with downstream shRNA treated cells had a loss of tumor formation, indicating tumor clearance was specific to E7. Our data indicate that a more effective treatment can be developed for cervical cancer by combining RNAi treatment with immunotherapy. Our results also reveal that RNAi may be widely used as an antitumor immunity stimulator or enhancer (Fig 1).
Schematic diagram shows RNAi targeting site and 5' mRNA fragment. It is known that in cervical cancer HPV E7 and mouse lymphoma EG7/OVA (ovalbumin) models, the shRNA targets the downstream site of the CTL epitope that produce the 5' fragment of mRNA. This makes immature proteins and further induces an immune response.
To prove the applicability of immune response to general tumor antigens, we tested a model antigen ovalbumin (OVA) expressed in EG7 cells that are a mouse thymoma cell line with C57BL6 genetic background. We chose the major CTL epitope of OVA, SIINFEKL, as the target site and designed two upstream shRNAs OVA-1 and -2 and a downstream shRNA OVA-3. The shRNA-treated EG7 cells were used to immunize the mice, which were subsequently challenged with untreated EG7 cells. We observed that only mice inoculated with OVA-3-shRNA treated cells had significantly reduced tumor formation but not with OVA-1 and -2 shRNAs.
To determine if the RNAi-induced immune response was actually from degraded products of RNAi, we designed a series of primers that would amplify RNA fragments inside and outside the targeting sites of upstream shRNA (E6-1) and downstream shRNA (E7-1, Fig 2A). If an inside fragment was present while the outside fragment was absent, it would indicate that the mRNA had been cleaved by shRNA at the target site. The cells were treated with E6-1 and E7-1 shRNAs and incubated for 2–4 days before real-time RT-PCR was carried out. As expected, the shortest PCR fragment, R3, was observed in all samples (Fig 2B). The full-length R1 PCR fragment was only observed in untreated TC1 cells or cells infected with the lentiviral vector control (PLL, Fig 2B). In cells treated with both E7-1 and E6-1, R1 was not found, indicating that shRNA-mediated cleavage was occurring. Of most interest was the R2 fragment which was found in all samples except cells treated with E6-1. These results suggest that R2 or R3 short fragments of E6-1 and E7-1 existed in the cells, at least temporarily at the time we isolated RNA. These short-form mRNAs may act as templates for short-form proteins (truncated proteins) and trigger antigen presentation to CD8+ T-cells and a CTL immune response to E7.
Apart from our data, a previous study reported that degradation of the 3' mRNA fragment resulting from siRNA-mediated cleavage was blocked for some mRNAs, leaving an mRNA fragment that could act as a template for cDNA synthesis. They suggested that this could give rise to false negative results and that this phenomenon may be avoided by the careful design of RT-qPCR primers for each individual siRNA experiment . This report further confirms that mRNA fragments from RNAi do sometimes exist in the cells. In addition, it was noticed by researchers that un-degraded fragments of an siRNA-targeted mRNA may cause false positive effects of microarray analysis . To avoid this, they developed a qRT-PCR protocol, which allowed for the determination of the optimal time point for mRNA analyses, indicating mRNA fragments after RNAi can be present in cell for a certain time.
What is the functional role of these mRNA fragments after RNAi? Our data demonstrated that they can be involved in translational machinery and produce truncated proteins. To experimentally prove this, we utilized the OVA-expressing EG7 cell model again. The cells were treated with downstream and upstream shRNAs and further treated with the protease inhibitor MG132 to reduce protein degradation before immunoblotting was performed. The blots were probed with an antibody against the N terminus of OVA protein. The predicted size of a truncated protein produced by the cleavage of OVA-2 shRNA was 14.7 kDa. We observed a protein band about 15-kDa in cells treated with the OVA-2 shRNA but not in untreated and OVA-1 or OVA-3 shRNA treated cells. It proves that truncated proteins can be produced in cells by the translation of mRNA fragment cleaved by shRNA. The predicted truncated product by shRNA-OVA3 was not observed due to cross-reacting proteins on the blot .
Our recent data (unpublished) showed that the cleaved 5’ and 3’ fragments of human papillomavirus type 16 (HPV-16) E6/7 mRNA after shRNA treatment were unevenly degraded. The 5’ mRNA fragment was more abundant and displayed a greater stability than the corresponding 3’ fragment in the treated cells. Further analysis revealed that the 5’ fragment was polysome-associated, indicating its active translation, and this was further confirmed by using tagged E7 protein to show that C-terminally truncated proteins were produced in treated cells (Singhania et al. submitted).
The shRNA targeting sites and primer design for HPV E6/E7 mRNA (Adapted from Gu et al 2009). (A) The shRNA and primer sites on E6/E7 mRNA. (B) The PCR products on an agarose gel. Notes: TC1, the untreated cell control. PLL, lentiviral vector control. *: indicates the site of CTL epitope. F: forward primer, R: reverse primer.
It is well established that miRNAs play an important role in regulating innate and adaptive immune responses as a part of their gene-regulating roles. Evidence has accumulated that miRNAs are involved in the adaptive immune responses by regulating T-cells, B-cells, and antigen-presenting cells (APCs). For example, miR-214 was reported to target phosphatase and tensin homolog (PTEN) and increase proliferation and the activation of T-cells , while miR-150, -155, and let-7 have been shown to be involved in the development of T-cells into memory cells . In addition, miR-184 was shown to inhibit nuclear factor of activated T-cells-1 (NFAT-1) in the activation of CD4 T-cell in the early stage of adaptive immune responses and miR-181-a could promote CD4 and CD8 double positive T-cell development . For B-cells, miR-155 is required for their normal function such as production of isotype-switched, high-affinity antibodies and for memory responses . It has also been demonstrated that miR-155 is induced by B-cell receptor (BCR) . However, overexpression of miR-155 can immortalize B-cells and lead to transformation, for instance, EBV was shown to have induced miR-155 expression and transformed B-cells [16, 17]. In addition, miR-150 is important in B-cell development and so is miR-17 [19, 20].
For dendritic cells (DCs), a recent review summarized the need of miRNAs in their lineage commitment from bone marrow progenitors and for the development of subsets such as plasmacytoid DCs and conventional DCs . Liu et al. (2010) used software to predict and then conducted experiments to confirm that three members of the miR-148 family, miR-148a, miR-148b, and miR-152 are negative regulators of the innate immune response and antigen-presenting capacity of DCs. They showed that miR-148/152 expression was upregulated in DCs on maturation and activation induced by TLR3, TLR4, and TLR9 agonists. These miRNAs in turn inhibited the production of cytokines including IL-12, IL-6, TNF-alpha, and IFN-beta and upregulation of MHC class II expression and DC-initiated antigen-specific T-cell proliferation by targeting Calcium/calmodulin-dependent protein kinase II alpha (CaMKIIα) . In addition, miR-150 and miR-223 has been shown to play an important regulatory role in Langerhans cells (LCs) by cross-presenting a soluble antigen to antigen-specific CD8(+) T-cells [23, 24]. Beside APCs such as DC and LC, miRNA is shown to be directly involved in antigen presentation. For example, Bartoszewski et al. (2011) demonstrated that the mRNA of human endoplasmic reticulum (ER) antigen peptide transporter 1 (TAP1) is a direct target of miR-346. They showed that the 3'-UTR (un-translational region) of TAP1 contains a 6-mer seeding region for miR-346 and the ER stress-associated reduction of TAP1 mRNA and protein levels could be reversed by inhibitory miRNA of miR-346 . As TAP plays an important role in MHC class I-associated antigen presentation, their data provide an insight for miRNA-regulating MHC class-I-associated antigen presentation during ER stress.
The above-highlighted results clearly indicate miRNA’s regulatory role in many aspects of adaptive immunity. However, is it possible that miRNA also takes part in host immunity through mRNA fragments produced after RNAi just like shRNA described in section 2 and 3? Normally, miRNAs target the 3' UTR and lead to the translation block or degradation of the targeted mRNAs. So when they degrade mRNAs, it is supposed to produce long 5' mRNA fragments and may also produce truncated proteins. If this is true, the translated defective proteins could be treated as truncated protein and be processed by proteasome. If there is a CTL epitope in the defective structure, it could be coupled with the MHC class I molecule and presented to T-cells by DCs through antigen cross-presentation, as described above with shRNA. This could be a link between RNAi pathway and antigen presentation or adaptive immune response.
In the shRNA case discussed above, the target should be at the downstream of a CTL epitope to induce immunity. When miRNAs target 3' UTR, a site certainly at the downstream site of any possible CTL epitopes, it is assumed to have the ability to produce truncated proteins and so to induce immune responses. Therefore, an important question for miRNA biology is whether miRNAs can routinely induce immune responses by degrading mRNA at 3' UTR and generating 5' mRNA fragments or truncated proteins that contain CTL epitopes? So far, there is no answer for this question. Another critical question is: what is the difference between blocking and degrading mRNA by miRNAs at 3' UTR? Does this relate to antigen presentation of different proteins?
Because it has been shown that miRNA can act as siRNA and shRNA can be produced in the same pathway as miRNA , it is important and interesting to investigate if miRNA can induce the same immune response as shRNA. The systems of HPV 16 E7/TC1 and OVA/EG7 can be used as good models to investigate this. As miRNAs are routinely transcribed and involved in interacting with mRNA, this mechanism can be considered as a routine way in cells to generate CTL containing truncated proteins. However, because most mRNAs in cells are for self-proteins, their CTL epitopes will not be presented to T-cells. This leaves the question of whether this is a mechanism just for cells that express viral genes (such as HPV E7 in TC1 and C2 as above) or for cells expressing foreign genes/antigens (such as OVA in EG7)? The next question is: can this be generalized to any tumor antigens including self-antigens? This is an interesting subject to investigate and will facilitate our understanding of how RNAi pathways interact with and are involved in adaptive immune responses (antigen presentation) to utilize them for cancer immunotherapy.
Although some miRNA are highly conserved between lower animals and higher animals, mammals have far more miRNAs compared to nonmammals. This suggests that during evolution, as gene regulation became so complex and important in higher animals, miRNA or RNAi pathway gradually specialized into gene regulation. At the same time, as the adaptive immune system became well developed and highly specialized, these two systems got separated, but as described above, they still have some links. Future investigations leading to insight into these links will provide answers to the above questions.
In summary, RNAi-induced immunity opens a new perspective in which to explore the relationship between RNAi pathways and the immune system, especially its involvement in antigen presentation in the adaptive immune response. For RNAi biology, it will provide an insight into the understanding of function roles of RNAi (including miRNA and siRNA) in host defense. In the field of gene therapy for cancers, RNAi can be used as an approach to silence oncogenes as well as a strategy to enhance immunity against cancer antigens (at least viral infection related cancers) and further explored as a novel cancer immunotherapy. Finally, for intracellar pathogens, it can be used as a strategy for developing new vaccine through RNAi reactivating their antigens to the immune system. | 2019-04-23T11:05:39Z | https://www.intechopen.com/books/rna-interference/rnai-induced-immunity |
Ask any child about deer and “Bambi,” the fawn1 in Walt Disney’s beloved animated movie of the same name, will inevitably come up. Bambi and his family lived way out in the wild, but many real-life fawns and their families have become urbanites. The ‘wild” is getting smaller and all it takes is a neighborhood with 20 acres or more that offers what they need for survival. As human development unceasingly squeezes deer habitat, they sometimes have no better place to go. Do they visit your backyard? Here’s their story.
White-tailed Deer, Odocoileus virginianus, are mammals in the order Artiodactyla (ART-ee-oh-DACK-tuh-luh, which means even-toed animals) and the family Cervidae (SER-vuh-dee), which includes Moose, Elk, reindeer (known as Caribou in North America), and others. Their genus is Odocoileus, which is from the Greek for “hollow tooth.” And, the word “deer” is from Old English dor, meaning “beast.” Like “Moose” and “Sheep,” deer is both singular and plural.
White-tailed Deer, or Whitetails, are a group of subspecies native to the Americas. Taxonomists don’t agree on just how many there are, but somewhere between thirty and forty. They have no close relatives anywhere else in the world. Thirty million live in the continental United States, except California, and most heavily east of the Rocky Mountains. The subspecies inhabiting your area may be different from those living just a state or two away. Whitetailtails were introduced into localized areas of Europe in the mid-1800s.
Whitetails evolved over millennia from small, antler-less, tropical herbivores to the graceful animals we see today. Fossil DNA shows they date back to the mid-Pliocene Epoch. That was between 5.33 million and 1.81 million years ago—a time of global cooling which led to the spread of grasslands that, in turn, created suitable deer habitat. They began to radiate northward from the tropics of Central and South America, and by the Pleistocene Epoch, 1.8 million to 10,000 years ago, they were common in eastern and central NA.
Males are called bucks and females are does (DOZE). You may know the term “stag” for male deer, and that isn’t incorrect, but it’s more commonly used for larger members of the Cervidae family, like Moose or Caribou males.
White-tailed Deer are named for their tail, which appears to be brownish with a rather unimpressive white fringe. That is until they raise it. When it flips up and curls forward, a bright, broad underside of white hair is exposed.
As for the rest of their hair, in summer, it’s reddish-brown and relatively short, with a thin, wiry texture. It turns grayish in winter, with long guard hairs and a thick undercoat to provide insulation. The hair of those living in northern regions has hollow shafts that fill with air and add to its insulative value.
In general, their body size varies according to their locale–the farther they live from the Equator, the larger they are. If you’ve never seen a Whitetail up close, you may be surprised when you do, because all are much smaller than you may think.
Their shoulder height ranges from 21 to 47 inches (53 cm to 120 cm)–about the height of a six-year-old child. Males are taller than females. Body length runs from about 37 to 87 inches (94 to 221 cm), including a tail of about 3.9 to 14.6 inches (10 to 37 cm). As for weight, rarely a male might weigh up to 300 pounds or more (136 kg) but typically no more than 100 to 150 pounds (45 to 68 kg). Two examples of size variance are the South American White-tailed Deer, Odocoileus virginianus cariacou, found in Peru and Brazil, that stands only 24–32 inches (61-81 cm) at the shoulder and the Dakota White-tailed Deer, Odocoileus virginianus dacotensis, of the US, which is 31 to 41 inches (79 to 104 cm).
The Whitetail’s ears are large, upright and 5–12 inches long (13–30 cm). They have 32 teeth, but no front teeth in their upper jaw. Instead, there’s a tough pad that’s used to help the lower front teeth hold food in place.
Their legs are perfectly designed to escape predators. They’re long and slender with powerful muscles and agility that can swiftly turn and pivot. The back legs offer strength for leaping—up to 10 feet high (3 m) or 30 feet forward (9 m) in a single bound—and they can gallop at 35 miles per hour (56 kph). The deer are also exceptional swimmers and can paddle at 13 miles per hour (21 kph).
Deer have “cloven” hooves, which means they’re split into two toes. There are two other toes, called dewclaws, located higher up on the leg. They’re similar in structure to the hooves, but smaller, and don’t touch the ground, except when the deer runs, jumps or is on a soft surface. The surface of the hoof is hard and made of keratin, the same protein that forms our fingernails.
Whitetails have excellent vision, smell, and hearing. Their eyes have superb peripheral sight because they’re located at the sides of the head; they can see almost all the way around their body. Also, they have more light-detecting cells than humans have, which enable keen night vision. That’s impressive, but smell—ten thousand times better than a human’s—and hearing–which can detect the softest sounds–outweigh their eyesight.
It’s commonly assumed that “antler” and “horn” are two names for the same thing, but there’s a difference. Antlers come in pairs, they’re branched, and protrude from the front of the deer’s skull. Horns project from the front, too, but they’re permanent and don’t branch.
Antlers primarily grow on males (although about one in ten thousand females also has antlers). They start in the spring when more extended daylight hours increase the male’s testosterone level, which ignites their growth. They begin as two bumps, or “buds,” on the forehead, one a few inches above each eye. Called pedicles, they’re covered with skin and hair and made of spongy bone. (Male fawns begin to grow them at only a couple of months old.) Within a month the first tine, or “point,” begins to form. The antlers grow fast—up to 2 inches (2.5 cm) or more per week—and in about four months they’re fully developed.
Each antler has a main beam that first grows slightly in a backward direction, then reverses and curves forward and over the face. Each main beam holds from one to several un-branched tines. Antler width, or “spread,” is calculated by the widest inside distance between the main beams. For White-tails, spread may range anywhere from 3–25 inches (8–64 cm). Antlers are usually symmetrical, but asymmetrical pairs also occur, with tines growing in every direction.
While the antlers are growing, they’re covered in a soft, velvety-looking skin tissue that’s filled with a rich supply of blood vessels and nerves. By late summer decreasing day length signals the testosterone level to drop, and the blood supply turns off. The velvet, now starved of blood, dries up and falls off, often in just a day or two. Males rub their antlers against trees during this time, which clears off the velvet and, incidentally, polishes them to a lustrous shine.
Males use their now-hardened antlers for combat displays of strength and dominance during the breeding season. The sound of antlers colliding can often be heard over long distances, and it sometimes attracts females in heat. After the season ends, antlers drop off, or “shed.” That leaves an open wound, which covers over with skin. Come next spring, the process starts again.
The older a buck, the larger his antlers. At one-and-a-half years old, they average four tines, while at three-and-a-half years and older, they average eight tines. After about seven-and-a-half years the antler size declines. It seems like this would be an excellent way to judge an individual buck’s general age. But, not so, say the experts—genes and injury influence antler growth, as do any nutritional deficiencies in calcium, protein, phosphorus or other vitamins.
So, what method do they use? They check a deer’s teeth. It so happens that fawns have baby teeth, just like humans do—they’re born with four, and in a few months will grow baby incisors and premolars. By about eighteen months the baby teeth have been replaced with permanent adult teeth. After that, the amount of wear on the molars is used to establish the animal’s age—teeth lose about 0.04-inch of height (1.06 mm) above the gum line each year.
Deer partly chew their food and swallow it, where it passes into the first two chambers of the stomach, the rumen (ROO-men) and reticulum (ruh-TIC-u-lum), which perform the same function. The food moves back and forth between the two (collectively called the reticulorumen), mixes with saliva and breaks down into solids and liquids. The solid material clumps together and gets regurgitated. Deer slowly ruminate (chew) the material (cud) to mix it with more saliva and break it down into even smaller particles. Depending on how much fiber is in the food, they may spend several hours a day chewing their cud.
Once swallowed again, the cud passes through the reticulorumen into the omasum (oh-MAY-sum), where many of the mineral elements are absorbed into the bloodstream. From there the mixture moves into the abomasum (AB-oh-MACE-um), which is equivalent to a human stomach, and from there into the small intestine. All four chambers contain vast populations of various bacteria and other microbes that break down and ferment the food material. So, there you have it!
The deer like to rest in “deer beds,” which are oval depressions in leaves, soft dirt or grasses. The beds are always surrounded by shrubs and grasses to shield them from prying eyes and lousy weather. They’re hard to spot. They rarely bed in the same spot twice, a tactic that probably protects them from predators.
The deer have several ways of communicating with each other. For example, males strip the bark off of small trees to mark their territory. Like nearly everything else, there’s a name for that mark, it’s called a “rub.” They also make scrape lines with their front hooves to expose bare ground in their territory.
Deer also communicate with scent glands that secrete fatty lipids. They’re located between the split toes on their hooves, on each leg, between the eyes, at the base of each antler, and other places. The secretions convey many messages. They send a signal every time a deer rubs trees or shrubs. The glands on their hooves leave a scent on the ground with every step they take. They stomp their feet when they’re alarmed, which deposits an excessive amount of scent as a warning to others. Their scent alerts females when males are moving through the area, and it also lets males know when competitors are around.
And, deer vocalize. Not a lot, but thirteen different calls have been identified. For example, one particular call is used by females to locate other members of their family group. Mothers have a call for their fawns. Females have a call that announces when they’re ready to mate. Bucks have several calls, too. You can hear several different deer sounds here.
Males and females typically reach sexual maturity at about eighteen months of age. Breeding season seems to be timed to occur about six and a half months before the best fawning period for a particular locale. Commonly called rutting season, it may occur anytime from late-September through January.
Males spar with each other to win the rank of top deer. Sparring consists of ramming into each other, clicking antlers, trying to push each other backward, kicking, and flailing their legs. The reward is the first choice of females.
A male follows a female for a few days before mating. They mate several times. He hangs around for a few more days to keep other bucks away, then goes off to mate with several other females. He won’t be involved with females again until the next mating season.
The gestation period is about 200 days. Females usually give birth to only one fawn the first time. After that, they typically have twins or, rarely, triplets. The fawns are born quickly, sometimes with the mother standing. Newborns weigh 5–8 pounds (2.3–3.6 kg). Their eyes are open, and they can stand and walk within an hour or two. Their first nursing provides a high-protein milk called colostrum, which contains an assortment of antibodies that will help the fawns resist disease until their own immune system is developed.
The mother hides her fawns in dense vegetation to protect them from predators and stays away from them. She returns only two or three times a day to nurse them. While they wait, fawns tuck their legs, head, and neck into their body for maximum concealment. They lie motionless when a predator is nearby. Their coat is reddish-brown with white spots, which is a perfect camouflage in the dappled sunlight striking a forest floor. Even out in the open, it’s hard for predators to see them.
Fawns can’t be smelled, either, as they have no body odor and hold their urine and feces until their mother returns. When she does, she ingests whatever the fawns eliminate, which removes any tell-tale odors.
Fawns munch on vegetation as early as a week or so old. At about one month, they start accompanying their mother. Should a predator approach, the mother will show herself and run off in another direction, hoping to lure it away. Fawns are playful and spend time frolicking, nudging, jumping and boxing one another with their legs and feet. They’re weaned at eight to twelve weeks and will sport their characteristic white spots for three or four months until their winter coat grows in.
Female offspring remain in the same general area as their mother throughout their lives. Males leave in the fall, or by the next spring—if they don’t, the females will force them away. They might have to travel long distances to find new territories.
Life expectancy can be up to ten years in the wild, but males typically live no more than two or three years and females five to six years. In captivity, a White-tail can live up to twenty years.
The perfect habitat for White-tails is an area of one or two miles composed of a mixture of trees, shrubs, vines, flowering plants, grasses, and other plants, such as fungi. They need water, too, of course. That’s the ideal, but where forced to, they’re able to adapt to different environments, including forests, farmland, brushy areas, even shrubby deserts, and from sea level to mountain ranges.
Fields and meadows appeal to Whitetails in the summer, along with nearby deciduous and coniferous forests for shade. In winter, the forests offer some protection from harsh weather, too. In agricultural areas, they stay within a forested area until evening, then move out to feed in the fields. On the Plains, which are wide-open and scantily dotted with areas of cover, they travel along grassy gullies and draws that offer them some cover.
Some Whitetails live year-round in swamps, which provide them with water, many species of trees that drop nuts or offer good wood for browsing, soft bedding and cover for hiding and some safety from hunters.
Their diet is based on the plants available to them, but soft-stemmed, broad-leaved, flowering plants are their favorite foods. In a forest, they might feed on undergrowth and fungi. In agricultural areas, they eat such crops as corn and alfalfa, while in the city their diet might consist of shrubs, fruits, nuts, vegetables, and flowering plants.
Whitetails are intensely alert to everything going on around them. They’re agile and fast. They often enter streams and lakes to escape predators. But life is perilous. Coyotes, Cougars, Bobcats, wolves and wild dogs prey on them. Humans, though, are the primary predators of adults—hunters kill an estimated six million a year. In some states, they take up to eighty percent of the antlered deer each year. Two million Whitetails are killed by motor vehicles every year. Forty to fifty percent of fawns don’t make it to adulthood.
1In the book, Bambi, a Life in the Woods, by Felix Salton, published in Austria in 1923, the fawn is a roe deer. In the Disney 1942 animated movie, Bambi is a mule deer.
**The fawn is in the lower right quadrant of the image, lying down. | 2019-04-18T12:27:01Z | https://www.welcomewildlife.com/white-tailed-deer/ |
We’re almost at Easter Break…we can make it!
Thank you to all my 7H families who turned in their paper/ and/or bought their ticket for the 50/50 raffle. If you haven’t, please send in. Next week is only M,T, and early dismissal W. Please enjoy a holy, blessed Easter with the risen Christ! Enjoy your family time.
When we return Mon. 4/29 the students may wear summer uniforms.
Grade 6- Mon 4/15 Reading about different cloud formations; Tue 4/16 watch video on cloud formations & illustrate.
Grade 7 -Mon 4/15 reviewing Respiratory & Excretory Systems; Tues 4/16 Chapter Test on Respiratory & Excretory Systems.
Grade 8-Mon 4/15 comparing how the relative amounts of energy of electrons are in an atom; Tues 4/16 drawing Dot Diagrams.
Wow, last full week before Easter break! No doubles this week. Beginning of 4th Marking Period! Report cards can be viewed Friday afternoon.
Grade 6–Mon 4/8 Pressure systems & what drives weather systems; Tues 4/9 4 types of weather fronts-worksheet 31/36; Wed 4/10 quiz about weather patterns; Thurs 4/11 weather clues crossword puzzle; Fri 4/12 no class due to Mass.
Grade 7–Mon 4/8 begin the Excretory System & learn how the kidneys work; Tues 4/9 Urinary diseases & disorders-worksheet 580-82; Wed 4/10 review main ideas of the Respiratory System-chapter review; Thurs 4/11 go over answers to the chapter review; Fri 4/12 review the Respiratory/Excretory System for test next week.
Grade 8–Mon 4/8 review main ideas of chapter; Tues 4/9 review chapter 5-Physical & Chemical Reactions & Changes; Wed 4/10 Chapter 5 test on Physical & Chemical Reactions & Changes; Thurs 4/11 begin chapter 6-Atomic Structure & Chemical Bonds; Fri 4/12 compare how the arrangement of electrons in an atom is related to its place in the periodic table.
**Reminder-Friday, 4/12 is a 12:00 dismissal/faculty meeting.
Happy Friday! What a great showing we had for this years’ Science Fair. Thank you to all my students and their parents, too. The last part of the Science Fair is the written report; most have handed it in, but for the rest, please have it to me Monday. End of the 3rd marking period is upon us and I’m closing out all grades.
Next week we will have doubles on Tues/Thurs.
Grade 6–Mon 4/1 lesson 1 quiz on Weather; Tues/Th 4/2 & 4/4 explaining the Water Cycle- triangle puzzle & cut & paste activity; Wed 4/3 lesson 19 packet on what weather is; Fri 4/5 Teachers In-Service no classes.
Grade 7–Mon 4/1 label and identify the parts of the Respiratory System on worksheet 29; Tues/Th 4/2 & 4/4 Yeast Respiration investigation lab; Wed 4/3 identify disorders & diseases of the Respiratory System-worksheet crossword puzzle; Fri 4/5 no class-Teachers In-Service.
Grade 8–Mon 4/1 identify & explain Chemical & Physical Changes-pair read, then answer questions for quiz; Tues/Th 4/2 & 4/4 build a Density Tower & make a Cartesian Diver; Fri 4/5 no class-Teachers In-Service.
April is Earth Month! For this first week here are some ideas: Buy SJRS reusable bags; pick up someone’s trash; Dine in the dark! short-shower day!
Enjoy the last March weekend–April weekends are sure to be a little warmer, a little sunnier, more flowers and more smiles!
Happy Spring! The students have assured me they are busy with their Science Fair projects. They may bring them to school Monday, 3/25 or Tuesday, 3/26 for class presentations. The projects will be set up & on display for 5:00pm Wednesday, 3/27. The schedule for judging is as follows: 6th grade 5:00-5:45; 7th grade 5:45-6:30; 8th grade 6:30-7:15. I ask that your child be at his/her project for those times at least. When your child needs to leave, he/she can take the project, find Dr. Fipp, Mrs. Wilson, myself, or any other teacher and let one of us know that you are taking your child from school. Looking forward to seeing over 100 FANTASTIC projects!
No doubles next week. All grades–Typed Report about your Science Fair project is due by Fri 3/29!!
Grade 6–Mon & Tues 3/25 & 3/26 project presentations; Wed 3/27 begin Weather unit-p.456 questions; Thurs 3/28 worksheet 9, 17; Fri 3/29 lesson 1 quiz on weather & Report due.
Grade 7–Mon & Tues 3/25 & 3/26 project presentations; Wed 3/27 begin the Respiratory & Excretory Systems worksheet 65-66; Thurs 3/28 understanding hiccups-worksheet 17-18; Fri 3/29 typed Report due.
Grade 8–Mon & Tues 3/25 & 3/26 project presentations; Wed 3/27 begin Chapter 5 Properties & Changes of Matter-ques. pg. 138; Thurs 3/28 lesson 2 Chemical Properties-ques. pg. 142; Fri 3/29 lesson 3 Physical & Chemical Changes-quest. pg. 148 & Report due.
Have a beautiful weekend; I hope to see many of you at the SJRS Gala in AC on Saturday eve!
Happy St. Patrick’s Day! Erin go Braugh! Your students have this weekend and next weekend to complete their Science Fair experiment, results, make charts, graphs, pictures, and apply to their Science Board all due Monday or Tuesday 3/25 or 3/26, with the Science Fair on Wednesday, 3/27 and the typed report due on Friday, 3/29. On the evening of the Fair, the 6th grade will report to their projects for judging from 5:00pm to 5:45pm; 7th grade will report 5:45pm to 6:30pm for judging; and 8th grade 6:30pm to 7:15pm for judging. If anyone needs help with their Science Fair project, next week there will be mentoring on Tuesday, 3/19 2:45-3:45 ( NOT Monday). Just email/call me.
Please try to join many of our SJRS Staff and families at the Gala next Saturday. It’s always a great time! And it’s our BIG fundraiser to support all the plans and projects we have for our school. Do your part to support the school; donate, invite a friend, join us! See you in AC next Saturday!
Grade 6–Mon 3/18 quiz on Volcanoes; Tues/Th doubles 3/19 & 3/21 making a tri-fold about the 3 types of Volcanoes & facts; Wed 3/20 Review for Chapter Test on Volcanoes; Fri 3/22 Chapter Test on Volcanoes.
Grade 7–Mon 3/18 do Chapter review for homework; Tues 3/19 7B doubles, review for chapter test; Wed 3/20 7B Test on Circulatory System, 7A review for test; Thurs 3/21 7A doubles, Chapter test; Fri 3/22 begin Chapter 20-Respiratory System.
Grade 8–Mon 3/18 worksheet 20/27; Tues 3/19 worksheet 145/6 & chapter review for homework; Wed 3/20 review for chapter test on Matter; Thurs 3/21 Chapter test on Matter; Fri 3/22 build a Density tower.
Happy Lenten season. I hope you are enjoying this beautiful weekend- after some crazy weather this week! My 7th grade homeroom students did a terrific job taking the IOWA’s & CogAts everyday; they arrived on time, seemed to be well rested, broke their fast, and cooperated with the grueling schedule! Thanks for your help, as well.
This upcoming week-back to classes. Remember to send in your permission slip for our field trip to Holy Spirit High to see Hello Dolly.
**Reminder–your child should be doing the experimenting part of their Science Fair. Monday, 3/11 is another mentoring after school. The actual Science Fair is Wednesday eve ,March 27th, 5-7:30…more details to come.
Grade 6–Mon 3/11 Volcanic Eruptions; Tues 3/12 possibly no class due to confessions; Wed 3/13 Volcanoes lesson 2 quiz; Thurs 3/14 Understanding main ideas-do work puzzle; Fri 3/15 Chapter 9 review.
Grade 7–Mon 3/11 Blood Pressure worksheet & understanding how your heart works; Tues 3/12 identifying the parts & functions of blood; Wed 3/13 Play; Thurs 3/14 Blood types packet; Fri 3/15 diseases of the blood.
Grade 8–Mon 3/11 All Pop-up books due! Chapter study guide & worksheet pg. 132-3; Tues 3/12 Behaviors of Fluids, worksheet 145-6 & 27/20; Wed 3/13 Play; Thurs 3/14 Chapter 4 review about Matter; Fri 3/15 review main ideas of Matter.
Welcome March–as it comes in like a lion! Please remind your children that next week the weather will be freezing–they need to wear their winter coats still. Wed. the students will receive ashes in the afternoon. Next week also brings IOWA testing, and for 7th graders, the CogAts. Every grade tests in the morning; so please have your child 1) get a good night sleep; 2) eat a good breakfast; 3) bring in a snack; and 4) relax and do their best. These tests are important, and are another way of measuring your child’s progress.
**Reminder-Monday, 3/4 after school until 4:00pm will be another Science Fair mentoring session. All students have their Materials & Procedures index card due Friday, 3/8. Just let me know if your child is staying! Students should be thinking about “doing” their experiment now; they don’t have to wait until mid-March to complete it.
Grade 6–Tues 3/5 Deep under a volcano worksheet; Thurs 3/7 Comparing Cinder cones, Composite, and Shield Volcanoes.
Grade 8–Presenting their Wanted poster of their element; and making a 3-dimensional pop-out book.
Grade 7–will only have Grammar & Literature classes in the afternoon.
Have a great weekend-even though it’s cold, we’re into March & Spring training Baseball has begun!
My goodness, the last week of February and Tuesday marks 70 days of school left! Time sure does fly. **Reminder–Science Fair index card with Testable Question & Hypothesis is due Monday 2/25. And our new mentoring program begins Monday also. You’ll receive details about this new program! There will be doubles/lab this week.
Grade 6–Mon 2/25 worksheet on volcanoes; Tue/Th 2/26 & 2/28 making flip books about an erupting volcano; Wed 2/27 worksheets about cinder, shield, & composite volcanoes; Fri 3/1 no class due to Mass.
Grade 7–Mon 2/25 Circulation lesson pgs. 540-44; Tues/Th 2/26 & 2/28 take blood pressure & color heart/blood flow; Wed 2/27 read about pulmonary & systemic circulation-do ques. 1-5 pg. 148; Fri 3/1 complete vacab word puzzle on the heart.
Grade 8–Mon 2/25 Changes of States of Matter, lesson 2, Wanted Poster is due!; Tues/Th 2/26 & 2/28 1) test on 50/75 Elements & Symbols! 2)make a liquid solution semi-solid; Wed 2/27 cont. Changes of states of matter-do questions 1/5 pg. 114; Fri 3/1 investigate how energy affects matter-worksheet 132-133.
I hope everyone enjoys their long President’s Day weekend. This upcoming week I will be reminding students that their question & hypothesis for their Science Fair project will be due on the 28th of Feb. We’ve been discussing it in classes, and many have gotten a tentative approval. Please ask your child about it. There will be NO doubles/lab this week.
A BIG shout out & THANK YOU to the Tampellini family for taking care of all the Valentine grams!!
Please support the Thirty-one fundraiser online–SJRS receives 30% of all sales! Also don’t miss out on our annual SJRS GALA–hope to see many families there. And if you can’t attend, perhaps make a donation.
Grade 6–Tues 2/19 Shake, Rattle & Roll worksheet; Wed 2/20 chapter 3 wrap-up worksheet pgs. 197-200; Thurs 2/21 review for chapter test on earthquakes; Fri 2/22 chapter test on earthquakes. Nest chapter–Volcanoes!
Grade 7–Tues 2/19 Nutrients & Digestion chapter test!; Wed 2/20 begin Circulatory system and the path the blood travels around the body; Thurs 2/21 worksheet on the way your blood travels through your heart; Fri 2/22 working of the heart-color code oxygenated/unoxygenated blood flow.
Grade 8–Tues 2/19 Chapter test on Matter part II; Wed 2/20 begin chapter 4-The States of Matter, worksheet 135-6 for hwk; Thurs 2/21 lesson 2 Thermal Energy & Temperature; Fri 2/22 changes in Thermal energy to changes of State-worksheet 132-3.
Wow last Thursday we celebrated day 100 of school! That means as of Monday there are only 88 school days left. Let’s make the most of marking period 3! Enjoy your weekend, and stay warm-more cold weather upon us! There are doubles this Tues/Thurs.
Grade 6– Mon 2/11 quiz on lesson 1 earthquake types; Tues/Thu 2/12 & 14 make a seismograph,worksheet scramble & earthquake video; Wed 2/13 vocab worksheet; Fri 2/15 diagram different types of earthquake waves.
Grade 7–Mon 2/11 digestion quiz; Tues/Th 2/12 & 14 place digestive organs on life-size bodies; Wed 2/13 chapter 18 Digestion review; Fri 2/15 no class due to mass.
Grade 8–Mon 2/11 Chapter 3 review & quiz on elements & their symbols; Tues/Th 2/12 & 14 correct chapter review, begin designing Wanted poster of your element; Wed 2/13 review for chapter 3 test; Fri 2/15 Chapter 3 test on Matter.
All grades–should be thinking about and researching a topic for their Science Fair question & hypothesis…due in 2 weeks!!
Welcome February! We had a wonderful Catholic Schools week-as I’m sure you saw from the many pictures posted.
This upcoming week all classes will have doubles Tues. & WEDNESDAY.
Grade 6–Mon 2/4 Begin Chapter 9 on Earthquakes; Tues/Wed lab 2/5 & 2/6 plot where earthquakes occur on a world map; Thurs 2/7 learn how scientists monitor earthquake activity; Fri 2/8 answer worksheet 19-20 on what earthquakes are & where they occur.
Grade 7–Mon 2/4 begin the Digestive system, worksheet 72-3; Tues/Wed lab 2/5 & 2/6 demonstrate digestion lab & varies tastes lab; Thurs 2/7 digestion worksheet; Fri 2/8 chapter 18 review.
Grade 8–Mon 2/4 interpret questions about the periodic table; Tues/Wed lab 2/5 & 2/6 create words using periodic symbols; Thurs 2/7 lesson 3 Identify compounds & different types of mixtures; Fri 2/8 Chapter 3 review.
Happy Catholic Schools Week! Thank you so much for choosing St. Joseph Regional School for your child’s Catholic education! Grade 7H is assigned the Book Fair on Monday afternoon; also there is Tues. eve during our open house 6-7:30pm, and after the Buddies & Brownies Bingo Wed. 3:15-4:15 to peruse and buy wonderful books for all ages!
**Remember we have 12:00 dismissal/faculty meeting on Fri. Feb. 1,2019.
**No doubles this week due to all the Catholic Schools Week activities.
Grade 6–Mon 1/28 no class due to assembly; Tues 1/29 Lesson 4 Continent Building, worksheet 71, 75 for homework; Wed 1/30 lesson 4 quiz; Thurs 1/31 Earth’s Dynamics chapter test; Fri 2/1 no class–Mass.
Grade 7–Mon 1/28 Nutrition & Digestive System chapter 18; Tues 1/29 worksheet 44 on the food pyramid; Wed 1/30 Bring in a snack with a nutrition label to compare; Thurs 1/31 parts of the Digestive System worksheet 70-71; Fri 2/1 5 connected parts of the Digestive system worksheet.
Grade 8–Mon 1/28 Interpret the Periodic Table worksheet; Tues 1/29 quiz on 25 elements & symbols; Wed 1/30 complete STEMconnector survey; Thurs 1/31 Talent Show-no class; Fri 2/1 solve the riddles to find the elements.
Enjoy this three-day weekend, but stay warm & dry! Next week no doubles due to shortened week & upper classes have Mass. 2nd Marking Period ends 1/25/19–Please check your child’s grades.
Information about the Science Fair will be given on Tues. detailing each step of the process and dates that each step is due. Please discuss with your child.
Grade 6–Tues 1/22 lesson 2 Features that form where plates meet; Wed 1/23 concept builder on features of plates; Thurs 1/24 lesson 3 Mountain Building-worksheet 57-58 for homework; Fri 1/25 lesson 3 quiz on Mountain building.
Grade 7–Tues 1/22 lesson 3 The Skin & chapter review for homework; Wed 1/23 review for chapter test; Thurs 1/24 Chapter 17 test on Structure & Movement; Fri 1/25 no class due to Mass.
Grade 8–Tues 1/22 lesson 2 The Simplest Matter packet; Wed 1/23 Color coding the periodic table; Thurs 1/24 Mendeleev worksheet & name the element quiz; Fri 1/25 worksheet on periodic table-Find the Animals; begin to learn 25 elements & their symbol.
Wow it was a long week–but there was plenty of learning going on! Next week is another full week-the last one before the marking period ends. No doubles next week.
Remember to send in hats, scarves, & gloves/mittens for our January outreach.
Grade 6–Mon 1/14 Chapter review of plate tectonics; Tue 1/15 study guide pg. 51 & review for test; Wed 1/16 Test on plate tectonics; Thurs 1/17 begin chapter 8-Earth’s dynamics; Fri 1/18 what forces can change rocks.
Grade 7–Mon 1/14 Joints & their functions; Tues 1/15 quiz on human body; Wed 1/16 major functions of the muscular system; Thurs 1/17 Exercising your skeletal system; Fri 1/18 Function of the skin.
Grade 8–Mon 1/14 Chapter 15 review worksheet; Tues. 1/15 review for test; Wed 1/16 Chapter 15 test on Thermal Energy; Thurs 1/17 begin Chapter 3 Structure of Matter; Fri 1/18 quiz on Matter.
Have a wonderful weekend! Stay warm & keep your eyes to the skies for those snow flurries.
Happy New Year! We have a full, uninterrupted week ahead, so we Will have doubles/lab on Tues/Th for each grade. Enjoy a mild weekend!
Grade 6–Mon 1/7 lesson 2 on Seafloor spreading; Tues/Th 1/8 & 10 demonstrate 3 types of plate tectonics in motion; Wed 1/9 lesson 2 quiz on seafloor spreading; Fri 1/11 lesson 3 Theory of plate tectonics.
Grade 7–Mon 1/7 skeletal system worksheet; Tues/Th 1/8 & 10 dissect owl pellets; Wed 1/9 Bone marrow & joints worksheet; Fri 1/11 bone fractures.
Grade 8–Mon 1/7 Chapter 15 Thermal Energy-how temperature is related to kinetic energy; Tues/Th 1/8 & 10 match energy changes on worksheet & build a pyramid puzzle on thermal energy; Wed 1/9 lesson 2 -learn difference between thermal energy & heat, and insulators & conductors; Fri 1/11 lesson 3-Engines & refrigerators, describe what a heat engine does.
Wow! We made it…and what a fun last week of school we had! We watched many Christmas shows; practiced for the 6,7,8 show, performed our show twice! it was awesome:) A big thanks to our room parents for organizing and cooking the yummy home-made waffles for our delicious annual Waffle Breakfast!! Finally the week ended with a beautiful piano recital; then we cleaned up the classroom & left for a wonderful Christmas break.
Thank you for all the delicious, wonderful, generous gifts I received! I have the Best students & families around! May you have a Blessed & Holy Christmas with your family. Be safe, enjoy your break, Happy New Year, and I’ll see everyone Wednesday, January 2, 2019.
Good evening and happy 3rd week of Advent. We are down to the last week before break. Grades 6 and 8 had their chapter tests this week, so we will not begin any new chapters next week; grade 7 will complete their chapter when time allows next week, as we have many Christmas shows we will be attending! Grade 6,7,8 Christmas play will be Wednesday eve; students need to be at school by 5:30. Thank you to all the parents who adjusted their schedules to pick up their children after our rehearsals! Reminder: Friday the 21st is a 12:00 dismissal.
Have a wonderful weekend–stay dry!
Week of 12/10–12/14/18 2nd Week of Advent!
I hope you had an enjoyable weekend! NO DOUBLES this week.
Grade 7 NYC trip Wed. 12/12.
Wed. 12/12 Play rehearsal for grade 8 & 6 3-5:00 pm.
Thurs. 12/13 Play rehearsal for grades 6,7, & 8 3-5:00 pm.
Wed. 12/19 Christmas play grades 6,7, & 8 6:00pm.
Grade 6–Mon 12/10 worksheet 56-7; Tues 12/11 quiz on lesson 3 absolute dating; Wed 12/12 Rock cycle pages; Thurs 12/13 Archaeology pages; Fri 12/14 Chapter 10 test on Geologic Evidence-open notes.
Grade 7–Mon 12/10 chapter 6 test on Adaptations over time; Tues 12/11 no class due to confessions; Wed-NYC trip; Thurs 12/13 begin Animal behavior; Fri 12/14 Behavioral adaptations.
Grade 8–Mon 12/10 Begin Energy & Resources chapter; Tues 12/11 lesson 2 Energy Transformations; Wed 12/12 concept map on various energy forms; Thurs 12/13 lesson 3 Sources of Energy; Fri 12/14 cont. Sources of Energy.
I have to apologize for not posting anything last week. It was a very emotional week for the Hink family, as we buried my mother-in-law of 94 years on Nov. 28 and then welcomed our first granddaughter into the world on Nov. 30! Truly a circle of life experience within a week.
But now the December calendar has been flipped, the first advent candle has been lit, and we have many fun and exciting activities planned during the upcoming season! For 7th grade we shop at the Secret Santa Sale on Tues. 12/4; and on Fri. 12/7 is our school Mass and 12:00 dismissal/faculty meeting. Enjoy a wonderful week.
Grade 6–Mon 12/3 learning about Relative age dating of rocks; Tues 12/4 worksheet 26; Wed 12/5 lesson 2 quiz; Thurs 12/6 Radioactive decay of rocks; Fri 12/7 no class due to mass.
Grade 7–Mon 12/3 Chapter 6 Ideas about evolution packet; Tues 12/4 identify fossils as evidence of evolution; Wed 12/5 no class due to Santa letter writing with Pre-K4; Thurs 12/6 lesson 2 Evidence of Evolution packet; Fri 12/7 cont. Evidence of Evolution packet.
Grade 8–Mon 12/3 How are Voltage,Current & Resistance related?; Tues 12/4 Chapter review; Wed 12/5 review main ideas of Electricity; Thurs 12/6 Chapter test; Fri 12/7 build a circuit.
As we start this short week, I’d first like to wish everyone a happy & safe Thanksgiving. We have so much to be thankful! Congratulations on all the Honors, 1st Honors, & Principal Honors that 7H earned! Keep up the good work.
**Reminder 12:00 dismissal Wed. 11/21. No doubles this short week!
Grade 6–Mon 11/19 Galaxies lesson 4 & worksheet 71-72; Tues 11/20 quiz on star life cycle & study guide pg. 834-5; Wed 11/21 begin reviewing chapter.
Grade 7–Mon 11/19 Worksheet on Genes & DNA; Tues 11/20 DNA quiz; Wed 11/21 begin review of Cell Reproduction Chapter.
Grade 8–Mon 11/19 Review main ideas of Electricity & Magnetism; Tues 11/20 Chapter Test; Wed 11/21 finish up Test. | 2019-04-21T14:55:07Z | http://sjrs.org/category/teachers/donna-hink-science/ |
The human noroviruses are a highly diverse group of viruses with a single-stranded RNA genome encoding a single major structural protein (VP1), which has a hypervariable domain (P2 domain) as the most exposed part of the virion. The noroviruses are classified on the basis of nucleotide sequence diversity in the VP1-encoding ORF2 gene, which divides the majority of human noroviruses into two genogroups (GI and GII). GII-4 noroviruses are the major aetiological agent of outbreaks of gastroenteritis around the world. During a winter season the diversity among the GII-4 noroviruses has been shown to fluctuate, driving the appearance of new virus variants in the population. We have previously shown that sequence data and in silico modelling experiments suggest there are two surface-exposed sites (site A and site B) in the hypervariable P2 domain. We predict these sites may form a functional variant-specific epitope that evolves under selective pressure from the host immune response and gives rise to antibody escape mutants.
In this paper, we describe the construction of recombinant baculoviruses to express VLPs representing one pre-epidemic and one epidemic variant of GII-4 noroviruses, and the production of monoclonal antibodies against them. We use these novel reagents to provide evidence that site A and site B form a conformational, variant-specific, surface-exposed site on the GII-4 norovirus capsid that is involved in antibody binding.
As predicted by our earlier study, significant amino acid changes at site A and site B give rise to GII-4 norovirus epidemic variants that are antibody escape mutants.
The ability of RNA viruses to maintain plasticity as well as functionality in their genome has been well documented as a survival mechanism, allowing RNA viruses to adapt to changes in their environment, maintaining fitness in the viral population . Mutation in vivo can have a number of effects including increasing the virulence of a virus or acquisition of antiviral resistance [3, 4]. An important consequence of the accumulation of point mutations in viral structural proteins is the rise of antibody escape mutants [5–7]. RNA viruses generate this diversity in their genome via the lack of fidelity of the viral RNA-dependent RNA polymerase (RdRp), and the mutants with most increased fitness are selected from the progeny by environmental factors such as the host immune response.
Norovirus is a genus in the Caliciviridae family, that includes pathogens of humans and animals . Human noroviruses are a highly diverse group of viruses with a single-stranded RNA genome made up of three open reading frames (ORFs), . Noroviruses are classified on the basis of nucleotide sequence diversity in the ORF2 gene, which divides the majority of human noroviruses into two genogroups (GI and GII) and approximately 19 genetic clusters within them . The genogroup II-genotype 4 (GII-4) noroviruses have been the dominant circulating strain since the early 1990s , and in 2002 a variant GII-4 norovirus emerged that caused unusually high numbers of outbreaks of gastroenteritis in the summer of 2002, and epidemic gastroenteritis around the world in the winter of 2002/2003 . This variant possessed a 3 nucleotide (nt) insertion in the hypervariable P2 domain of the VP1 protein at position 6265. This epidemiological pattern was repeated in 2006 when another novel GII-4 norovirus variant emerged, however, no insertions or deletions were observed in the genome of this virus (J Gray, personal communication).
Noroviruses are the major aetiological agent of outbreaks of gastroenteritis in the community and in semi-closed settings around the world. During a winter season (September-March), the diversity among the GII-4 noroviruses has been shown to fluctuate, driving the appearance of new virus variants in the population . Studies of the genetic diversity of these viruses have shown that new GII-4 variants appear periodically in the population following evolution of the viruses along neutral networks, and that accumulation of mutations in the hypervariable P2 domain results in antibody escape mutant viruses which go on to cause epidemic gastroenteritis [14–16].
Computer modelling experiments have previously suggested that there are two 3-amino acid motifs (site A and site B) in the hypervariable P2 domain that define the appearance of epidemiologically significant GII-4 variant norovirus strains . Based on these observations, we predicted that these two motifs may be a functional variant-specific epitope that evolves under selective pressure from the host immune response and give rise to antibody escape mutants.
Due to the lack of a tissue culture system and suitable animal models in which to study noroviruses, we synthesised recombinant virus-like particles (VLPs) using a baculovirus expression system based on previously described methods [18, 19]. These VLPs were used to generate monoclonal antibodies (mAbs) in order to test the functionality of site A and site B. We use these novel reagents to provide evidence that site A and site B form a conformational, variant-specific, surface-exposed site on the GII-4 norovirus capsid that is involved in antibody binding, and that as predicted, significant amino acid changes at site A and site B give rise to GII-4 norovirus epidemic variants that represent antibody escape mutants.
Wild-type VLPs were purified from recombinant baculovirus-infected Sf9 cells and were analysed by EM (Figure 1(d)). Negative staining of preparations showed intact VLPs had formed for both strains, and no significant morphological variation was observed within the VLP preparations (Figure 1(d)). Particles were 30-35 nm in diameter, and the surface structure of the particles could be visualised at high magnification (Figure 1(d)). The VLPs were morphologically indistinguishable from native norovirus virions found in clinical specimens, but >10-fold more VLPs were observed per viewing field than are typically observed in clinical specimens.
GII-4 Norovirus Major Sturctural Protein. (a) Schematic representing the norovirus VP1 protein, highlighting the hypervariable P2 domain and putative epitopes Site A and Site B (as described in Allen et al., 2008). (b) Table showing amino acid variation at Site A and Site B in the period 1999-2006, as previously described in (Allen et al., 2008). Strains used in the work described here are highlighted. (c) Model of the norovirus VP1 P domain showing the location of Site A and Site B in the three-dimensional protein (structure from Cao et al., 2007). (d) Electron micrograph showing GII-4v2 VLPs purified from Sf 9 cells, the morphology of which is representative for all VLPs described here. Magnification is 105 000× and VLPs are stained with 1.5% phosphotungstic acid. Scale bar is 100 nm.
The two wild-type expressing plasmid constructs pRN-GII4v0 and pRN-GII4v2 were modified by PCR site directed mutagenesis so that the ORF2 encoded a VP1 protein that was identical to either the GII-4v0 or GII-4v2 parental protein except at either of the putative epitope positions 296-298 (site A) or positions 393-395 (site B), where the protein would be of the heterologous (non-parental) strain (Figure 2). Successful mutagenesis at the target site without alteration of the remaining norovirus insert was confirmed through sequence analysis (data not shown).
Schematic representation of norovirus protein coding region of pRN16 constructs expressing wild-type and hybrid VLPs. Following construction of plasmids pRN-GII4v0 and pRN-GII4v2 expressing wild-type GII-4v0 and GII-4v2 VLPs, respectively, these plasmid constructs were modified by site directed mutagenesis at either putative epitope site A (nt 886-891, aa 296-298), or putative epitope site B (nt 1176-1182, aa 383-395) to generate plasmid constructs that expressed hybrid VLPs. The schematic shows a representation of the region of the plasmid encoding norovirus structural proteins (3'UTR and remainder of plasmid not shown for clarity). PCR mutagenesis was used to generate plasmid constructs that encoded an ORF2 identical to either GII-4v0 or GII-4v2, except at either site A or site B, which was modified to be as equivalent to that position in the heterologous variant. The resulting expressed VP1 protein was a hybrid of the two variants, and so the VLP formed from the hybrid VP1 was antigenically hybrid. Plasmid construct names are given on the left, whilst the hybrid VLPs are represented with VLP names next to them on the right. All GII-4v0 derived regions are shown in solid black, all GII-4v2 derived regions are shown in hatched lines.
All four hybrid VLP-expressing recombinant baculoviruses efficiently expressed VP1 (data not shown). Further, EM analysis of GII4v0/A2B0, GII4v0/A0B2 and GII4v2/A2B0 VLPs formed by mutant recombinant VP1 proteins were morphologically indistinguishable from wild-type VLPs (data not shown). However, the hybrid construct pRN-GII4v2/A0B2 did not form VLPs, despite expressing VP1 (data not shown), therefore the hybrid VLP GII-4v2/A0B2 was not available for subsequent work.
In addition to the hybrid VLPs described above, a reverse mutant construct, pRN-GII4v0/A0B0R, was also generated by back mutation of the hybrid construct pRN-GII4v0/A0B2 by site-directed mutagenesis (Figure 2). This reverted the amino acid sequence at the site B from STA (GII-4v2) back to N~N (GII-4v0). This plasmid was sequenced to confirm the mutation at the target site had taken place, and that no changes had taken place in the rest of the insert (data not shown). The plasmid was used as described to produce recombinant baculoviruses and produce the VLP GII-4v0/A0B0R.
Mice were inoculated with either GII-4v0 VLPs or GII-4v2 VLPs, and five monoclonal antibodies were fully characterised for their isotype, titre and binding specificity (Table 1). Test bleeds from both GII-4v0 and GII-4v2 inoculated mice prior to fusion showed that only a low level of cross-reactivity with the heterologous antigen by ELISA (data not shown).
1Titres were determined by serial dilution between 1:10 and 1:10 000 000 in an EIA. Titres were taken as the reciprocal of the last dilution to give an optical density >0.5 at 450 nm.
Three anti--GII-4v0 mAbs (mAbGII4v0.5, mAbGII4v0.8, mAbGII4v0.10) and two anti-GII-4v2 mAbs (mAbGII4v2.5, mAbGII4v2.6) were characterised for reactivity, isotype and titre. The ability of the five mAbs to recognise their respective homologous antigen that had been chemically denatured was also assessed by ELISA.
Urea treatment of the homologous antigen significantly reduced recognition of the epitope by all of the monoclonal antibodies (Table 1), and urea treatment of the heterologous antigen did not confer recognition (data not shown).
Each of the three anti-GII-4v0 mAbs displayed a slightly different binding pattern, although the data suggested that all three mAbs recognised an epitope formed or influenced by both site A and site B (Figure 3(a)).
Average percent reduction in binding of (a) anti-GII-4v0 and (b) anti-GII-4v2 mAbs to wild-type and mutant VLPs in a cross adsorption ELISA. As described in the Materials and Methods, each mAb was pre-incubated in a blocking step with the antigen indicated on the x-axis, before being transferred to a microtitre plate coated with antigen homologous to the mAbs being tested. Percent reduction in binding was then calculated using a PBS control. Cross absorption assays were repeated 3 times independently and the average data is presented here with bars showing the standard error of the mean. Cartoons representing the antigenic structure of the antigen (as described in Figure 2) are shown above the bars (with corresponding labels below the bars). All mAbs were used at 1:10 000 dilution, except mAbGII4v0.5, which was used at 1:1000.
More than 75% reduction in binding of mAbGII4v0.5 to its homologous antigen (GII-4v0) was observed following blocking with the homologous antigen, whereas no reduction in binding was observed following incubation with the heterologous antigen (GII-4v2). Following replacement of GII-4v0 site A with the heterologous GII-4v2 site A, VLP GII-4v0/A2B0 failed to block any of the binding of mAbGII4v0.5 to its homologous antigen, demonstrating that site A is essential for mAb recognition of the antigen. When the GII-4v0 site B was replaced with the GII-4v2 site B, VLP GII-4v0/A0B2, reduced binding to the GII-4v0 antigen by ~19% indicating that when the homologous site A was intact, partial mAb recognition occurred, but without the corresponding homologous site B, mAb recognition was impaired. Similarly, substitution of the heterologous site B in the GII-4v2 with the GII-4v0 site B (VLP GII-4v2/A2B0) was not sufficient for recognition of this hybrid VLP by mAbGII4v0.5. Importantly, restoring site B to the VLP GII-4v0/A0B2 was sufficient to restore wild-type levels of binding, to >70% reduction.
A 25% reduction in binding was observed following blocking of mAbGII4v0.8 with the homologous GII-4v0 VLP, compared to only 5% reduction in binding following blocking with the heterologous GII-4v2 VLP. Blocking with any one of the three hybrid VLPs resulted in ≤10% reduction in binding; the highest level of reduction following blocking among these VLPs was with the GII-4v2/A2B0 VLP which displays site B from the homologous (GII-4v0) antigen, thereby indicating that mAbGII4v0.8 was able to partially recognise site B, but that complete recognition required the homologous site A to be displayed concurrently. Blocking with the reverse mutant VLP GII-4/A0B0Rrestored binding reduction to 27%, comparable to blocking levels by wild-type GII-4v0. This further supports the observation that both homologous site A and site B must be displayed simultaneously on the virus surface for mAb recognition.
Approximately 68% of mAbGII4v0.10 binding was reduced following blocking by GII4v0 VLP, and only one tenth of this reduction in binding observed following blocking with GII-4v2 VLP. Blocking with any one of the three hybrid VLPs resulted in ≤10% reduction in binding; again the highest level of reduction following blocking with a hybrid VLP was with the GII-4v2/A2B0 VLP which displays site B from the homologous (GII-4v0) antigen, suggesting a role for site B in mAb recognition. Blocking with the reverse mutant VLP GII-4/A0B0Rrestored binding reduction to levels comparable to blocking levels by wild-type GII-4v0, of approximately 70% reduction. This confirmed that both homologous site A and site B must be present for mAb recognition of the antigen.
Both anti-GII-4v2 mAbs behaved the same in competition immunoassays (Figure 3(b)). Blocking of both mAbs with the homologous GII-4v2 antigen resulted in >85% reduction in binding in both mAbs, and blocking with the heterologous GII-4v0 antigen resulted in <2.5% reduction in both mAbs. When blocking was performed using one of the two GII-4v0-derived hybrid VLPs (GII-4v0/A2B0, or, GII-4v0/A0B2), or the reverse mutant VLP, <7.5% reduction in binding was observed in both anti-GII-4v2 mAbs. In contrast, blocking with the hybrid VLP GII-4v2/A2B0 (which is all GII-4v2 except at site B) produced reduction in binding equivalent to that observed with the GII-4v2 antigen of >80% reduction. These data indicated that both the anti-GII-4v2 mAbs recognised an epitope that is variant specific, but is not formed of either site A or site B, alone or in combination.
Efforts to identify sites on the norovirus capsid involved in antibody binding have been hampered by the lack of a cell culture system for human noroviruses , and therefore epitope mapping studies using infectious virus have not been possible. Here we have used VLPs synthesised in the baculovirus expression system (BES) as a surrogate for infectious virus in a mutagenesis study to identify sites on the GII-4 norovirus capsid important in antibody recognition. Previous work has shown that when VLPs expressed in the BES were compared with VLPs expressed in a mammalian recombinant protein expression system, no discernable differences in the biochemistry or structure of the two differently expressed VLPs were observed .
The data presented here show the expression of high yields of VLPs representing two norovirus strains, one from each of the previously identified neutral networks: (i) pre-2002 epidemic, and (ii) 2002 epidemic-200 . These VLPs were used to immunize mice to produce monoclonal antibodies against these strains.
Both the anti-GII-4v0 and anti-GII-4v2 polyclonal antibody responses were generally specific for the homologous antigen, but a low level of cross-reactivity was observed (data not shown). Cross-reactivity is expected in polyclonal serum because the different antibodies present recognise a range of different epitopes, and have different affinities; therefore polyclonal antibodies will, at least in part, recognise a heterologous antigen. However, following sub-cloning by limiting dilution, cross-reactivity was lost as mAbs were isolated. This confirmed the specificity of these antibodies for a single GII-4 norovirus variant strain through recognition of an epitope that was unique to that variant norovirus and offered no cross-reactivity between other GII-4 norovirus variants.
The absence of any cross-reactivity in the EIA between the mAbs and their heterologous antigen also showed that the mAbs were not recognising epitopes from baculovirus proteins or from Sf9 cell-derived proteins. Both antigen preparations were made in the same protein expression system and purified in the same way. Therefore any baculovirus or cell-derived proteins that co-purified with the VLPs were present in both the GII-4v0 and the GII-4v2 VLP preparations used in the immunization of the mice and in the preparation used as antigen in the EIA. Thus any mAb reacting to a baculovirus or cell-derived protein would react equally with both antigen preparations. This is not the case, with all mAbs displaying specificity for the homologous antigen preparation, thereby demonstrating that all five mAbs were raised against norovirus proteins and not baculovirus or insect cell proteins.
Urea treatment of both GII-4v0 and GII-4v2 VLPs revealed the three anti-GII-4v0 mAbs recognised a conformational epitope, whereas the anti-GII-4v2 mAbs recognised a partially conformational epitope (Table 1). Treatment of a macromolecular protein with a chaotropic agent such as 8 M urea will denature the three-dimensional structure of the protein by disrupting the non-covalent intra-molecular interactions such as hydrogen bonding and van der Waals forces. If the mAbs recognised a linear epitope, binding would remain unaffected following chaotropic treatment. However, the epitope recognised by the mAbs must be conformational, as the level of mAb binding to the antigen was reduced following denaturing treatment of the antigen. Demonstrating that the mAbs recognised conformational epitopes was important because site A and site B identified by sequence analysis were shown to be surface exposed loop structures on the virus surface separated by 100 amino acid residues in the linear protein, but in close proximity in the three-dimensional protein (Figure 1(a) &1(c)). Therefore, it was expected that any antibodies raised against these sites would, at least in part, recognise the conformation of the surface structure at these positions, which is why it was important that VLPs were used as the immunogen rather than linear VP1 protein. This was corroborated through the failure to detect a VP1 band in western blots (data not shown).
Site-directed mutagenesis was used to modify the norovirus ORF2 gene in the plasmids pRN-GII4v0 and pRN-GII4v2 at putative epitopes site A (aa296-298) or site B (aa393-395). The aim was to generate both GII-4v0 and GII-4v2 hybrid VLPs which displayed either an heterologous site A or site B. It was predicted that the changes engineered at site A or site B would differently affect the ability of mAbs to recognise the antigen, and so demonstrate the roles of site A and site B as surface-exposed sites involved in antibody binding.
The three hybrid VLPs that were isolated were found to be morphologically indistinguishable from wild-type VLPs as determined by EM, demonstrating that the mutagenesis had no adverse effect on the structural integrity of the VLP. The exception was the hybrid VLP expressed from the recombinant baculovirus BAC-GIIv2/A0B2, which despite expressing VP1 to high levels, did not form VLPs. As no coding errors were observed in the ORF2 gene, and a high level of protein expression was observed by SDS-PAGE, the lack of VLP formation was not due to truncation of the protein, failure of the baculovirus and expression vector to undergo recombination, or failure of the recombinant baculovirus to express the protein. Therefore, it seems most likely that the mutations engineered in the P2 domain were structurally unfavourable and that they either perturb the correct conformation of the protein or interfered with the subunit-subunit interactions, thus precluding particle formation.
It was predicted that the mAbs raised against the GII-4v0 and the GII-4v2 antigens would recognise a site formed of both site A and site B, or would recognise a site formed of one of these sites alone. This was tested in a cross absorption EIA using wild-type VLPs, hybrid VLPs, the reverse mutant VLP and the five mAbs.
All three anti-GII-4v0 mAbs recognised an antigenic region formed or influenced directly by both site A and site B, as replacement of either of these sites abolished recognition of the GII-4v0 antigen by the mAbs. This observation was supported by the data from the reverse mutant VLP. The GII-4v0/A0B2 VLP failed to block binding of the anti-GII-4v0 mAbs to the GII-4v0 antigen, but reverse mutation of site B in this antigen back to GII-4v0 concurrently restored the ability of the antigen to block mAb binding. The conclusion that the anti-GII-4v0 mAbs require both site A and site B for antibody binding reflects predictions made using bioinformatics data . It was noted that epidemiologically significant variant strains appeared in the population following a cluster transition event in which biochemically significant amino acid substitutions (or insertions/deletions) were observed at site A and site B concurrently which itself suggested that both site A and site B are required for defining epidemiologically important strains and allowing GII-4 noroviruses to evade immunity existing in the population.
The back mutation of the hybrid GII-4v0/A0B2 at site B created the VLP GII-4v0/A0B0Rthat had twice undergone site-directed mutagenesis at site B, so that it was structurally and antigenically identical to the wild-type GII-4v0 antigen. This experiment confirmed: (i) that the site-directed mutagenesis process had no effect on the integrity of the antigenic properties of the particle, other than those created by the targeted mutation, and, (ii) that recognition of an unrecognised hybrid antigen by a mAb could be restored by replacement of the mutated site, thus demonstrating that the mutated site was necessary for antibody recognition of the antigen.
The anti-GII-4v2 mAbs recognised only the GII-4v2 VLP and the GII-4v2/A2B0 VLP, therefore demonstrating that these mAbs recognise either an epitope that is dependent on site A being in the structural context of the GII-4v2 antigen, but is independent of site B, or, an epitope that is formed of neither site A nor site B. The former is difficult to evaluate because the VLP GII-4v2/A0B2 was not available, but the latter could be investigated by construction of a GII-4v2 hybrid VLP with site A and site B from GII-4v0, which if recognised by the mAbs, would demonstrate that the mAbs bind a site that is neither site A nor site B. Conversely, if such a VLP was not recognised, this would demonstrate that site A and site B were important for antibody binding, and more detailed mutagenesis studies where individual amino acid residues in the GII-4v2 VLP were mutated would aid in revealing the residues critical for antibody recognition. Whether the five mAbs described here recognise the same or different epitopes remains to be tested in blocking EIAs.
In this study, we have used several well characterised experimental systems in conjunction with in silico models, to identify sites on the GII-4 norovirus capsid that are important in antibody recognition. The use of antigenically hybrid VLPs to study capsid-antibody interactions was used as a surrogate for infectious virus because there is no cell culture system available for these viruses, and our approach of systematic mutation of VLPs led to the identification of two 3aa sites on the surface of the capsid required for antibody binding. Whether the regions identified in this work represent neutralisisng epitopes remains to be investigated, but these investigations remain hampered by the lack of a replicative in vitro system or suitable animal model. It would also be interesting to determine whether the mAbs described here could interfere with the ability of VLPs to interact with histo-blood group antigens (HBGAs) when used in a VLP-HBGA binding assay .
Two faecal specimens were selected from outbreaks that had been characterised by PCR as being caused by a GII-4 norovirus at the Enteric Virus Unit, Centre for Infections, Health Protection Agency, London, UK. The two viruses were: (i) a GII-4 norovirus circulating before the 2002 epidemic, classified as a variant 0 (GII-4v0) virus; and, (ii) a GII-4 norovirus circulating after the 2002 epidemic, and classified as a variant 2 (GII-4v2) virus. Samples were prepared as 10% suspensions in balanced salt solution (Medium 199, Sigma, Dorset, UK) prior to nucleic acid extraction.
Total nucleic acid was extracted from a 250 μl aliquot of the 10% faecal suspension using a guanadinium isothiocyanate/silica method as previously described . Extracted nucleic acid was incubated at 42°C for 60 minutes with 50 pmol of poly(T)-TVN primer in Tris-HCl buffer, pH8.3, 5 mM MgCl2, 1 mM each dNTP, and 200 U SuperScript® III reverse transcriptase (Invitrogen, Paisley, UK).
The genes ORF2 and ORF3 encoding the major structural protein VP1 and the minor structural protein VP2, respectively, and the 3' untranslated region (3'UTR), were amplified by PCR using primers ORF1/2-F1 and TVN-linker. The resulting amplicon 3'ORF1+ORF2+ORF3+3'UTR, was either 2513 bp or 2516 bp in length, depending on the strain. Reactions were performed using High Fidelity PCR System (Roche Diagnostics Ltd, Burgess Hill, UK). PCR amplified amplicons were purified either from solution using Montage® PCR Filter Units (Millipore, Watford, UK), or from agarose gels using Geneclean® Spin Kit (Qbiogene, Cambridge, UK). Both were used as according to manufacturers' instructions.
Sequencing PCR was performed using 10 pmol of primer and 100 fmol template DNA. All sequencing was performed using GenomeLab™ DTCS - Quick Start Kit (Beckman Coulter, High Wycombe, UK) according to the manufacturer's instructions, and a CEQ8000 automated sequencer (Beckman Coulter).
Nucleotide sequence contigs were generated from trace data using the Assembler tool in BioNumerics v3.5 (Applied Maths, Kortrijk, Belgium). Multiple alignment and phylogenetic analysis was performed using appropriate algorithms in BioNumerics v3.5 (Applied Maths). Amino acid sequence data was deduced from nucleotide data and analysed using BioEdit , and also using BioNumerics v3.5 (Applied Maths).
Each of the purified 3'ORF1+ORF2+ORF3+3'UTR amplicons was cloned into the vector pCR2.1-TOPO® (Invitrogen) according to the manufacturer's instruction. The 3'ORF1+ORF2+ORF3+3'UTR amplicon was then modified by PCR using primers deigned to: (i) remove the partial 3'ORF1 sequence at the 5' end of the amplicon; (ii) include two restriction enzyme sites at each end of the amplicons in order to allow for directional cloning into vector pRN16; and, (iii) modify the translation initiation context of ORF2 to match that of the baculovirus polyhedrin gene (PH). The GII-4v0 amplicon was modified as follows: 5'-A-Stu I-Sac I-PH-ORF2-ORF3-3'UTR-Xba I-Stu I-A-3'. The GII-4v2 amplicon was modified as follows: 5'-A-Stu I-Kpn I-PH-ORF2-ORF3-3'UTR-Xba I-Stu I-A-3'. The vector pRN16 contains a region of the Autographa californica nuclear polyhedrosis virus (AcMNPV) around the polyhedrin gene (ORF7 (735)) which overlaps the essential ORF8 (1629) gene. pRN16 was produced by ligating the Bst XI/Hin dIII polyhedrin promoter-polylinker fragment from pAcCL29.1 into Bst XI/Hin dIII cut pBacPAK8 (BD Clontech). After digestion of both inserts and vector pRN16 with the appropriate restriction enzymes ligation was performed using T4 DNA ligase (Fermentas, York) to produce the plasmids pRN-GII4v0 and pRN-GII4v2.
Positive clones were grown overnight in a 50 ml LB broth culture containing 50 μg/ml ampicillin, and the plasmid isolated using a plasmid preparation kit (Plasmid Midi Kit, QIAGEN, West Sussex, or SNAP Midi-Prep Kit, Invitrogen) according to the manufacturer's instructions.
Wild-type sequences for GII-4v0 and GII-4v2 VLPs were mutated in the P2 domain at site previously identified as forming a putative epitope (Figure 1(a)-(c)). Plasmids pRN-GII4v0 and pRN-GII4v2 were mutated in a site specific mutagenic PCR reaction at either a 9 nt site at positions 886-894 (site A), or a 6 or 9 nt site (depending on the strain) at positions 1176-1182 (site B) from the GII-4v0 sequence to the GII-4v2 sequence, or vice versa (Figure 2). For this, the GeneTailor Site-Directed Mutagenesis System (Invitrogen) was used according to manufacturer's instruction, using a touchdown PCR method to mutate and amplify the plasmids. Mutated plasmids were transformed into DH5αT1RE. coli cells (Invitrogen) and purified using SNAP Midi Prep Kit (Invitrogen) according to manufacturer's instruction.
Purified plasmids were used to generate recombinant baculoviruses as has been previously described . Following recombination, a clonal population of recombinant baculoviruses was obtained by plaque purification. The resulting recombinant baculoviruses expressed either GII-4v0 VLPs (BAC-GIIv0) or GII-4v2 VLPs (BAC-GIIv2). Plaque purified viruses were used to seed stock cultures of each virus, and these stocks were titred by plaque assay.
Suspension cultures of Sf 9 cells were infected with either BAC-GII4v0 or BAC-GII4v2 at a moi of 2-3 and incubated at 28°C for 48-72 hours. Virus-like particles were purified from the intracellular phase by treatment with phosphate buffer containing 1% IGEPAL (Sigma Aldrich) and sequential centrifugation steps for clarification, and finally through 15%-60% sucrose cushions to concentrate the VLPs. Fractions were collected and analysed by SDS-PAGE on a 12% polyacrylamide gel (NuPAGE kit (Invitrogen), according to manufacturer's instruction) and electron microscopy (EM).
BALB/c mice were inoculated subcutaneously with 100 μg of either wild-type GII-4v0 or wild-type GII-4v2 VLPs in Freunds incomplete adjuvant in order to produce mAbs. After boosting the mice fortnightly on a further four occasions, the spleen cells were harvested and fused with mouse myeloma cells (NSI) by standard procedures .
The fused cells were dispensed into 96 well tissue culture plates and cultured in RPMI1640+GlutaMAX media (Invitrogen), supplemented with 2% hypoxanthine-thymidine (HT) (Invitrogen), 1% oxaloacetate-pyruvate-insulin (OPI) (Sigma) and 1% antibiotic-antimycotic (AbAm) (Invitrogen). Ten to 14 days post fusion, supernatants from the fusions were tested for antibodies to GII-4v0 and GII-4v2 by EIA as described below. Hybridomas secreting norovirus variant-specific antibodies were then cloned twice by limiting dilution.
Microtiter plates (Greiner Bio-One, Stonehouse) were coated with either GII-4v0 or GII-4v2 VLPs at a concentration of 1 μg/ml diluted in PBS + 0.08% azide at 4°C. A 100 μl aliquot of test supernatants were diluted between 1 in 100 and 1 in 10000000 in PBST, and detection was performed using a rabbit anti-Mouse IgG-HRP conjugate antibody (Dako, Cambridgeshire) at 1 in 4000 dilution in conjugate diluent (Microimmune) and TMB Substrate (Europa Bioproducts, Cambridge).
A 100 μl sample of culture supernatant from each hybridoma was added to coated microtiter plates and antibody isotype determined using a goat anti-mouse IgG1a, IgG2a, IgG2b, IgG2c, IgG3 or IgM (Jackson Laboratories, Maine, USA) antibody, diluted 1 in 2000 in conjugate diluent (Microimmune). Detection was performed using rabbit anti-goat HRP-conjugate diluted 1 in 20000 in conjugate diluent (Microimmune) containing mouse serum (Sigma-Aldrich, Dorset, UK) and TMB Substrate (Europa Bioproducts).
The EIA was performed as described above, but before the addition of the mAb to the plate, the VLP antigen bound to the plate surface was treated with either 8 M urea in PBS or PBS for 1 hour at room temperature. Wells were then washed 3 times with PBST and the EIA performed as described above.
In the competitive immunoassay, monoclonal antibodies were diluted in PBS 1 in 1000 - 1 in 10000 and pre-incubated with either the homologous or heterologous wild-type VLP at a concentration of 1 μg/ml, one of the antigenically hybrid VLPs at 1 μg/ml, or PBST as a control. Pre-incubated monoclonal antibodies were then added to microtiter plates coated with 1 μg/ml of the homologous antigen (as described above) to which the monoclonal antibody was raised. The monoclonal antibody was then allowed to attach, and detected with an anti-mouse HRP conjugate antibody in an EIA as described above. Results are shown as per cent reduction in binding of mAb to homologous antigen (ODtest) compared to level of binding in PBST control (ODPBST): % reduction in binding = ([ODPBST - ODtest]/ODPBST) × 100.
The authors are grateful to Ian Jones (University of Reading) for the gift of BAC10:KO1629 and pAcCL29.1. This work was supported by the European Commission, DG Research Quality of Life Program, under the 6th Framework (EVENT;SP22-CT-2004-502571).
DJA participated in the design of the experiments, conducted the experiments, and drafted the manuscript. RN participated in the design of the experiments, provided reagents and expertise for production of the VLPs, and editing of the manuscript. DS participated in the design of the experiments, provided reagents and expertise for production of the monoclonal antibodies, and editing of the manuscript. JJG participated in the design and coordination of the study, analysis of the data and editing of the manuscript. PR provided reagents, participated in the coordination of the study and editing of the manuscript. MIG participated in the design and coordination of the study, analysis of the data and drafting and editing of the manuscript. All authors read and approved the final manuscript. | 2019-04-19T04:37:31Z | https://virologyj.biomedcentral.com/articles/10.1186/1743-422X-6-150 |
Brexiteers like Boris Johnson inhabit an outdated form of sovereignty. A new realm of power - regulation - demands shared authority and is the EU's greatest achievement. Britain helped create it and can't leave it.
Leviathan T-shirt thanks to Red Bubble T-Shirts.
Regulation, reinforced by human rights, has become a new sphere of government. It is now as essential to modern society as executive power, legislative authority and courts of law. The way we experience this is also novel. It does not stem from the influence of politicians, the role of authority whether national or local, or fear of justice. These familiar locations of power continue, but a new force has joined them as our intimate lives have become strangely politicised, from our health and diet to our metadata. The famous frontispiece of Hobbes’s Leviathan shows the people inhabiting the ruler. Today, rules have entered the bodies of citizens - and we want to know who is in charge of them and whether they enhance or imprison us.
Brexit forces into the open this change, which has been underway since the 1970s. In the UK, those who support Leave have failed to understand the epochal significance of its development, while those who back Remain have failed to articulate it. The European Commission, too, does not grasp its centrality. Brussels as well as Brexiteers are captives of 20th century notions of sovereignty and its unsustainable illusions of grandeur - illusions that are now being tested to their destruction, most immediately with Brexit.
I stumbled across its significance of regulation and am only beginning to get a measure of it. Denunciation of the EU’s over-regulation was the starting point of the long campaign against British membership. Now, a revealing analysis in openDemocracy reports staggeringly high rates of popular support in the UK for European levels of regulation. They run at between 70-80% - incorporating large majorities of those who voted to Leave. While the big boys bang on about sovereignty, regular people, women somewhat more than men, prefer regulation. Brexit has a weird, old-fashioned veneer because it is so male-dominated and self-important, giving the issue its end of epoch feel. The campaign against it risks being drawn into similar routines and perhaps recognising the centrality of regulation can help prevent this.
The significance of regulation came home to me when I recently attended a meeting with a senior member of the Cabinet who is an influential Brexiteer. The UK government will leave the EU, he said confidently, and no longer submit to the ECJ, the European Court of Justice. However, it would seek 'association agreements' with respect to nuclear materials, air travel, pharmaceuticals, automobiles and chemicals. Such agreements would have ECJ oversight. All international agreements necessitated arbitration, he told us, helpfully. The rules would be accepted at every point in the production process. When someone said such ongoing arrangements would come at a high cost, he nodded assent. In effect, the Brexiteer told us, all our manufacturing needs to be within the aegis of the EU’s regulated space.
Shortly after Open Europe, which is directed by Brexit-supporting Henry Newman who once worked for Michael Gove, published Striking a Balance, a report that recommends an across-the-board agreement on these lines. Its justification: “The EU is our most important goods’ market and the most highly-regulated sectors – electrical, automobiles, and chemicals – are the areas which we trade most with the EU and are growing the fastest”. Unlike Boris Johnson, who I'll come to in a moment, Brexiteers who study the evidence want the UK to be in the Single Market for goods. The government will apply “to stay in the European standards system for industry products and services”.
It is easy enough to ask, as we should, what, then, is the point of Brexit? Another good question is whether the EU will agree to the request. I want to ask why even passionate Brexiteers now see no way out of the EU’s regulated space, certainly in traded goods. The crux of the answer is that that there is no way out of regulation.
By regulation I don’t just mean high profile financial regulation. I mean its ongoing, background role in ensuring the quality of the air we breathe, the medicines we take, the food we consume and the safety of the flights we board. You could undertake the enormous costs of building custom checks for goods going between the UK from the EU. But what is the point, if you then have to recreate and duplicate inside the UK the entire apparatus of regulations, with their ongoing autonomy from parliamentary 'sovereignty'? The idea that once the UK left the EU Britain could ‘do away’ with regulation from Brussels, because it is mostly unnecessary, has proven to be an utter fantasy. Britain’s wannabe Donald Trump, Nigel Farage, told the BBC, “we will finish up perhaps in an even worse place than we are now because we won’t be free to de-regulate”. But no modern democracy would wish to deregulate. It is not the road to freedom. And as the UK government is learning, public opinion will not let it deregulate. This is a fundamental lesson of Brexit.
The lesson is related to, but goes further than, Will Davis's notable response to the referednum result in 2016. Drawing on David Graeber's The Utopia of Rules, Davis emphasised that in an important way "capitalism is regulation" and concluded that the ideology of Brexit is illusory.
In the UK, these dire, Brexit-times have bred impatience, shallowness and lack of reflection. I want to resist these and examine an activity which may seem petty and irritating but isn’t. A misconception needs to be undone, an everyday prejudice that certainly had me in its grip, and has blinded us to a reality that cannot be escaped. To comprehend why I will start with a glance at the conceptual inheritance embedded in the notion of sovereignty itself. It makes for a long article but the reward is that I will show it is impossible to ‘take back control’ in the way the Leave campaigners promised. They are living in the past. It is desirable and possible for countries to retain lots of democratic legislative, executive and judicial independence within the European Union. But with respect to the new, fourth branch of government we are hard-wired into a union of regulation. Something that is also, and not incidentally, to our huge mutual, personal and bodily benefit.
The dominant, early modern justifications of state power, from to Bodin to Hobbes, were concerned with the absolute nature of sovereignty, how to justify it, exercise it and ensure consent. In the eighteenth century the concept of the separation of powers was developed, most notably by Montesquieu. He looked at the nature of government not from the point of view of the ruler but from that of property owners. They needed good, strong government to ensure their rights. They also needed to preserve their privileges from the danger of such government becoming a tyranny over them. Montesquieu's solution was to elaborate on the way government involves three forms of activity: the legislative, the executive and the judicial, and to argue that their seperate autonomy was essential for the preservation of liberty. Each would check the others and thereby protect society from arbitrary power. Thus the executive (whether a monarch or those ruling in a monarch’s name) could not tax or expropriate except with the agreement of the parliament or assembly and only then within the rule of law.
The extreme nature of the separation of powers in the United States proved exceptional. Even there, they overlap and interact. Congress approves presidential appointments to the Supreme Court. Currently it does so on party lines and as a consequence the court has become politicised - in effect its independence is diminished more than in many European constitutions.
The practical reality of the three functions became the matrix for describing other law-based systems. In Britain, Bagehot, in his famous mid-19th century account of what he called The English Constitution, praised the efficient way the Cabinet 'fused' executive and legislative power, so that members of the legislature exercised executive government. The legacy of this undivided sovereignty remains central to the trauma of the Brexit referendum. In practical terms, the Victorians feared the consequences of the all-powerful fusion, should the extension of the franchise bring the unwashed to power. They ensured the independence of the executive arm by creating a permanent civil service that could not be replaced by an incoming government. But the mentality of parliamentary absolutism defined the horizons of the British system. In 1885, in what became its defining tome, The Law of the Constitution, A.V. Dicey described it as "the despotism of the King in Parliament". He summarised a tradition that goes back to Hobbes, whose Leviathan in the same famous frontispiece holds the public sword "unconstrained". To this day this remains, "the very definition of sovereignty" in the United Kingdom. We have not left centuries of history behind us.
Not so in most of Europe, where the earlier tradition of constrained power re-emerged in the codified constitutions of the later 20th century, creating a tide of protection and extending the rights of citizens. In a grim article in Prospect, Vernon Bogdanor analyses and laments the UK's looming loss of rights if it abandons the 'protected' constitutional model of the EU to revert back to Hobbes. It is a traditional argument well put but insufficient. Today, we are surrounded by a new kind of agency that does not oversee the exercise of power, judge who breaks the law or administer the armed forces or public services. Instead these agencies regulate.
If you embrace the Hobbesian, Westminster notion of the state, as Brexiteers do, then power is zero-sum. Either one has it or the other does. In contrast, the powers of regulation are an exercise in mutual collaboration with the aim of collective gain. The process is win-win not win-loose. For the Anglo-British this cannot define the nature of power - because sovereignty cannot be shared, it can only be singular. There are endless examples of this taken-for-granted assumption across the commentariat, both Remainers and Leavers. To take an example at random, Oliver Wiseman, the editor of CapX website, says he prefers "the return of powers from an undemocratic supranational organisation to a democratic national government”. The assumption: that power is something you have or do not have and it can be returned. But in many fields there is no such possibility. The power of regulation resides in relationships that are negotiated. The process needs to be democratised but it can't be 'returned'. The underlying premise of Brexit is that sovereignty is simple. It is not. If it ever was, it isn't simple now. It is complex, multi-layered and in the age of corporations no longer something nation states can monopolise over their territory. Hence Brexit cannot be 'Brexit', as in Boris Johnson's call for a "full British Brexit". Sovereignty is no longer a meal we can eat alone.
I owe much of my thinking about what has happened to Frank Vibert, author The Rise of the Unelected and The New Regulatory Space, Reframing Democratic Governance. He describes how over the last half-century unelected bodies, from economic regulators, to science and medical councils, and now digital watchdogs, backed by a new range of auditors and ‘risk managers’, have proliferated. Democracies need regulation for a wide variety of reasons that have grown out of an increasingly complex, science-based, long-range market-place. New relationships are being created between the state and the market, while ethical questions of safety, accountability, privacy and consumer and employee rights have emerged. The internet and the explosion of digital platforms has intensified the process greatly.
Regulation goes back to the first British Factory Acts. It was strongly developed in the USA in the New Deal to rein in business. In 1991, Cass Sunstein wrote a pioneering account of this in After the Rights Revolution, Reconceiving the Regulatory Space and attempted to set out legal principles to govern regulation within the framework of the US constitution. This year, Paul Tucker, who was deputy director of the Bank of England, published a massive, thoughtful account, Unelected Power: the quest for legitimacy in central banking and the regulatory state. He argues that it is dangerous for democracy if regulation over-reaches itself to become a fourth branch of government and he sets out principles to ensure it remains accountable. His arguments are echoed by David Currie, outgoing chairman of the Competition and Markets Authority. In a valedictory lecture he emphasised how its regulatory power is wholly independent of parliament and ministers and is deployed “even when no one is breaking the law” to investigate whole markets (such as the price and practice of funerals). Yet because its authority is set out by parliament and subject to judicial review, Currie sees it as subordinate to the traditional structures.
A parallel example would be the way ‘cyber-space’ has now added a new dimension to land, sea and air, without replacing them. We live in the same physical world as the twentieth century but not in the same way.
Regulation has become a parallel form of authority over how we live. This has enormous dangers. We now need to ensure it answers to citizens democratically; which in turn presents a new kind of constitutional challenge that will not be met by traditional political responses. Otherwise, our democracy, such as it is, could be replaced by hi-tech dependency that subordinates us to a networked ‘social-credit’ regime of the kind being pioneered in China to pre-empt democracy there.
With the danger comes the possibility of a more human, decentralised self-government. That is for the future. Here, I simply want to examine what it means in the present; starting with three perspectives: that of the law, for a single industry and for us as individuals.
As of the date of a Brexit, the process of rulemaking and enforcement within these expert entities will not stop, and indeed should not stop, since new dangers will be identified, new products will be proposed, new licensing requirements will emerge and adverse events about existing products will be reported. To take one example, pharmaceuticals are today subject to successive tests in the laboratory, then on animals, then on healthy human volunteers, then on selected patients in order to demonstrate safety and efficacy. Once approved, the performance of the medicine is regularly monitored and apparent problems (adverse health events) reported, for corrective action to be taken. Animal feed in line with the advice of the Scientific Committee on Animal Nutrition is subject to comparable but lighter rules, as are food additives and cosmetics.
It seems that the EU has in this way developed over 11,000 regulations, set over 60,000 standards and its different agencies have taken over 18,000 decisions on interpreting regulations and laws. Forrester notes that it could take ten years to incorporate them into British law, if each is accorded scrutiny. This alone shows that a process has been taking place that is beyond the reach and capacity of traditional legislatures. The result was acknowledged by the prime minister in her Mansion House speech in March when she finally set out ambitions for Brexit, “the UK will need to make a strong commitment that its regulatory standards will remain as high as the EU’s”.
The continuous development of the rules that we need, to manage the dangers of science-based progress that we enjoy, can’t be legislated by traditional parliamentary institutions or overseen by traditional executive power. Regulation is an ongoing process of investigation, consideration and enforcement, different from both while it also has a quasi-judicial role. This is now integral to the everyday life of government in an age of international trade. We live in a regulated world.
A lucid, two-page letter in December last year explains why we live in a regulated world, from the viewpoint of just one critical industry. It is addressed to Michael Gove as the Secretary of State for the Environment. The author is Steve Elliott, Chief Executive of the UK’s Chemical Industries Association, a sector, he points out, that is “the UK’s largest manufacturing export earner”.
Ten years ago, the EU created REACH (Registration, Evaluation, Authorisation and Restriction of Chemicals), whose landing page explains its regulatory aims and justification. When it was set up, Elliott admits, the industry “was very concerned about the regulatory/testing costs”. Now, he reports, while imperfect and in need of changes, they have embraced it. It has worked, and is setting global standards that customers want. He makes a strong “plea” that the UK remains in REACH, sketches some of the chilling costs of leaving, and points out that if it does, given the huge importance of the EU market, his members have to respond to “two regulatory bodies”. This would make a “mockery” of the “regulatory simplification” promised by Brexit.
Why two? Because here in the UK the chemical industry needs and desires regulation and would have to create its own version of REACH: “our industry would wish to highlight that it recognises the need for robust regulation. We are a high hazard sector and it is only right that we are regulated accordingly, giving confidence to our workforce, our local communities and consumers of our products”.
In terms of what passes for the debate about Brexit, it is important to register that there has been no serious, counter-argument to the detailed, reasoned case, based on the realities of regulation. No one, therefore, can be in any doubt about the imperative need for a regulatory regime outside normal, parliamentary legislation and the impossible costs, practical and financial, of attempting to duplicate one. No one, that is, unless you are Boris Johnson oblivious to evidence. It is striking, watching Johnson in action, how he is unable to move on from the referendum campaign of 2016, that he led. You would expect after two years that his advocacy of Brexit would be more than hot air. Instead, it is as if he already knows that it was the high-point of his influence and he clings to its tropes and his now wearisome bonhomie. In a diatribe to fellow MPs, leaked to Buzzfeed, the man who is its Foreign Secretary attacked his own government’s negotiations in case they end up, as he knows they must, with the UK “locked in orbit around the EU…and not having freedom with our regulatory framework”. The casual suggestion that Britain can benefit from the “freedom” to regulate for itself shows Johnson’s lack of seriousness. This is confirmed by an article in the Sun on the second anniversary of the Referendum. Johnson demands, "the freedom to bust out of the corsets of EU regulation and rules - to do things our way" and not "some perpetual pushme-pullyou arrangement".
There is not a scintilla of evidence that he has read the letter from the Chemical Industries Association or similar ones from every sector of industry, or from Japanese and European foreign investors, with respect to regulation, or even that he absorbed what the prime minister said in her Mansion House speech when he sat in front of her. Gove at least appears to have registered the evidence. Yet Brexit is personified by Johnson more than anyone.
What does regulation mean for us as individuals? I’ve cited various experts and regulators and quoted a judge and the spokesman for the chemical industry. All this associates regulation with top-down authority. But the strength and vitality of the regulatory transformation of government is rooted in popular demand. There are two reasons why this is not obvious. Wealthy, speculative enemies of good government have funded the populist drumbeat attacking ‘regulations’ as ‘elitist’. Second, in our everyday lives, while we worry about the purity of what is sold to us, we only think about regulation when something goes wrong. This needs to change. We need to be able to challenge and improve regulation when it is clumsy, stupid or disempowering - to do so we need to make regulation democratic.
Today, we rely on regulation. Back in the mid-twentieth century Britain if you wanted a take-away meal you might go to a locally owned chippy and pay cash. Today, you are just as likely to order and pay for it over the phone or even online, from a pizza chain. In doing so you have a set of expectations. Even if these do not include concern for working conditions in the kitchens and for the delivery workers, as they should, you will certainly expect that your card details are secure and the food healthy. The latter is especially important as those fullfilling your order may be temporary employees with no direct responsibility for the content of what you are eating. You do not want state surveillance of your activity. But in the background you expect it to have ensured oversight of banking and payment systems and rules about what goes into our food.
We expect official standards to be in operation in the background of our everyday lives in a way that is historically novel. Even for simple activity. Previously if you were poor you wrapped a cloth around your hand to take something out of the oven, should you be cooking for yourself and your family. Now we buy oven gloves. We do not expect these to melt or burn easily. If they contain synthetic materials these must not be emit toxic fumes if singed. If you want free trade in oven gloves they could be made anywhere. Standards are required so that wholesalers know that even the cheapest are minimally safe. This requires regulation.
In Trump’s United States, the corporate lobby holds sway. It has just been reported, the chemical industry has “scored a big win” and persuaded the Environment Protection Agency that when it assesses the use of dangerous chemicals it will “exclude from its calculations any potential exposure caused by the substances’ presence in the air, the ground or water’”. Think about that. However callous the USA, at some point its victims will capture popular sympathy when it suffers its version of Grenfell Tower, which now stands as a witness to the consequence of permissive deregulation. As the fridge caught fire in Flat 16 of the fourth floor of Grenfell Tower on the 14 June 2017, it sucked a whirlwind of inadequate, flawed, ill-enforced regulation and cuts in fire-brigade risk assessment and enforcement, into a murderous inferno. It was nothing to do with the EU but it would never have happened had the EU set the UK’s building standards and their implementation.
“The root cause of this shift was simply that there was – and indeed still is – no public appetite for a deregulatory agenda. Our own polling with Opinium has found widespread public support for some of the most controversial EU-derived employment, environmental and financial legislation… Renewable energy targets – another bugbear of earlier Eurosceptics – are endorsed or considered too low by 74 per cent… more than 80 per cent of the public are opposed to lowering food safety standards. When confronted with this wall of public opinion, it is no surprise that leave campaigners adapted their position as the referendum date neared”.
The anti-EU campaign is one of the strangest on record. It began by demanding an end to European regulation while increasing trade with the EU. Its triumph has led it to embrace less trade with the EU while retaining its level of regulation! But when it comes to 80% you can’t argue with “the people’s will”. Or as Theresa May put it in har Mansion House speech that Johnson praises but ignores, in "areas like workers’ rights or the environment, the EU should be confident that we will not engage in a race to the bottom in the standards and protections we set. There is no serious political constituency in the UK which would support this – quite the opposite".
fundamental misunderstanding [is] about the single market, ironically since Britain was in large part its architect. The core of that misunderstanding is to regard the single market as an economic entity or international trade area whereas, in fact, it is more precisely a regulatory entity and area. It is this which has enabled the EU to dismantle non-tariff barriers to trade, including trade in services, in a way that goes beyond anything that exists anywhere else in the world. But, inevitably, this entails a shared legal and political infrastructure. How else can market-wide rules and regulations be made and enforced? The failure to understand this basic definitional fact, allied with the ‘in 1975 we were told it was just a trade bloc’ myth, gave rise to all of the ‘bendy banana’ type stories that ended up with the ‘take back control’ slogan of 2016.
The correct way to think of the EU in economic terms is as a “regulatory union”, with the appetite and ability to extend its rules extraterritorially: the so-called Brussels effect. The EU is a superpower in no other respect. But in this critical one, it is. And the idea that, on its own, the UK, can compete with massive regional trading blocs – the EU, the US, China – as a standard setter, on industrial goods to data, is an illusion. And leaving a regulatory union, including a Customs Union is really much more difficult than leaving a free trade area.
We have to go further. The way to think about the EU in terms of constitutional sovereignty is as the European union of regulation. This is its core achievement and greatest attainment. It is so fundamental that whether or not the Euro survives, and however much the Union may fail on critical issues like migration, it is not going to break up. It has achieved an enormous, ongoing material and human advance by responding to the need for the new and now essential domain of government.
Why hasn’t the significance of regulation for the EU been recognised? Routledge have just published a densely researched Handbook on Brexit, edited by Patrick Diamond, Peter Nedergaard and Ben Rosamond. It has 23 scholarly articles and aims to set out a “systematic academic overview” of the Brexit process. They encompass the special character of the British state, the English and Irish questions, the role of the city of London, the flaws of the EU and the need to rethink theories of its nature. But regulation only figures as an aspect of financial policy for the City of London. The respected Centre for European Reform published a 50 page overview of how to Relaunch the EU in November last year. It is sober, thorough and addresses the need to make the EU more responsive. But it does not mention regulation or the need to make this accountable. The arguments that Vibert has developed remain peripheral to mainstream thinking.
There is a prejudice against regarding regulation as anything other than a secondary activity or an add on. This extends back to the origins of the EU’s creation of itself as a regulatory space in the 1980s. In his classic account of the EU, The Passage to Europe, Luuk Van Middelaar recounts that when Jacques Delors was appointed President of the Commission in 1984 he was ambitious to create a sovereign Europe. He toured the capitals of the then EU to see if they would support a unified army, a common currency, or institutional reform. Instead, they only shared an interest in an improved internal market. Quotas and tariffs had been banned but a “maze” of rules and regulations prevented trade. A disappointed Delors accepted what he could get. He applied the EU’s approach pioneered by its founder Jean Monnet, aptly described by Perry Anderson as “incremental totalization”. Delors proposed an 8 year timetable of 300 legislative measures each member state should adopt to create what we now know as the Single Market. The Commission’s paper justified this to itself, explaining, “Economic integration has to precede European union”. As Middelaar dryly comments, “Europe was escaping into low politics again, while longing to engage in high politics”.
Regulation was regarded as the dull but necessary preparatory work of the kitchen. The justification for it was the future feast in the dining room of global sovereignty. This may still be the hope for some. But the feast was and is a fantasy. Democratic nation-states are not going to fuse into a superstate. As the current President of the Commission, Jean-Claude Juncker, has just emphasised with respect to Italy, if only to shield the EU from responsibility for it, “A country is a country, a nation is a nation. Countries first, Europe second.” But meanwhile, in the kitchen, something else has been cooking, an autonomous continental-wide system of regulation that now provides many essential safeguards for Europe’s economies and consumers, whose standards for hazardous products and materials are becoming a benchmark around the world.
Regulation is the Cinderella of the Union.
Regulation is the Cinderella of the Union. It is despised by the stepmothers of the media, and obliged to undertake the routine chores while the Euro and its ugly sisters enjoy the silk sheets of endless attention. But midnight has struck for the ball of ever-closer union and super-statehood. On whose feet will the glorious slippers of the European Union fit, if not regulation?
What are the principles we need to ensure regulation is answerable to us as citizens? Paul Tucker sets out some bold ones for first order agencies like the Bank of England, including clear mandates set out by parliaments. All bodies that undertake regulation should be independent of those whose activities they regulate. This might seem obvious, but regulatory capture is often the name of the game – especially when it comes to sweetheart auditing. The greatest recent scandal dramatically confirms the life and death need for robust regulation, outside of political control in an age of corporate power. The Volkswagen emissions disaster saw the German company sell eleven million cars that filled cities around the world with lethal nitrogen oxide fumes. Fortune published a gripping description of how this was permitted by the crony networks of German politics. At one point it describes how regulation was “watered down to the point of meaninglessness...[when] the German government amended its rules so that inspections of emissions performance would be based solely on readings from a car’s own ‘onboard diagnostic’ system, effectively ceding total control to the automakers”. It was also a grotesque failure by the EU to ensure independent oversight of testing.
Another principle is that every agency should have a duty to explain itself in clear language to the public as well as the workforces and businesses directly affected by it. Such reports should also be subject to open challenge and questioning. Regulation must be answerable and should relish explaining itself, as a rational form of policy making with the public interest at heart. Only if different national publics are able to see that continental-wide regulation makes sense for them and is rooted in their own interests, will it be experienced as a gain of control and democratic mastery.
An additional principle is needed to build on this. Regulation should protect and encourage diversity and empower responsible judgment - and not create costs that only corporations can fulfil. Like nature, progress consists of generating an abundance of variety. Sometimes the EU does achieve this. Thus its regulations for Protected Designations of Origins, EU 1151/2012 covers nearly 1,500 food products, from Stilton to Parma ham within the EU and without, to ensure that no description can suggest that products “originates in a geographical area other than the true place of origin...”.
The democratic politics of regulation has yet to begin, outside of the Green movement. There is much to learn. But the fundamental point is that regulation must be brought out of the kitchen to be recognised as an extension of our democratic interests and intelligence, rather than being caricatured as the negation of self-government. For this to happen, the European Union and its Commission need to abandon their presumption that their calling is to replace national governments. Instead of regarding it as the dirty-work preparing the foundations for a super-state, regulation needs to be treated as the EU’s towering, irreplaceable achievement. One that assists national governments. On behalf of its member states the EU has created the new domain of sovereignty – regulation - with huge savings and advantages for all. Its accumulation of agencies, rules, and decision-making may seem to Brexiteers like the mere threads tying down the British Gulliver. But they are neither Lilliputian in strength nor chains of restriction: they are the inescapable and potentially liberating liaisons of a union of regulation. A union that empowers citizens across the continent, a union from which Britain should not wish to escape and, as we are now witnessing, cannot.
Last month I published an open letter to my fellow Remainers in the UK about how to win the civil war that has broken out over Brexit. Millions of UK voters said Basta – enough! – when asked whether they wanted things to continue as they are. This was captured by the slogan 'Take Back Control'. To combat this we need a positive story about EU membership that engages with sovereignty and immigration as well as the combattive one attacking the oligarchs who back Brexit. This is not difficult for me because, while I'm critical of the EU, I regard myself as an English European. I delight in Europe and take an interest in how it and the UK are governed. When I wrote The Lure of Greatness in the aftermath of the referendum I forensically examined the decomposition of the British constitution thanks to the Brexit crisis and how resolving this is central to overcoming Brexit. But the vast majority of my compatriots including most of those who voted Remain don't yet share my interest in sovereignty and the constitution.
Why, then, do millions show such stalwart, unwavering desire to repair the breach with the EU, while they remain indifferent to its institutions? Why do they regard Brexit as bonkers when they care little for Brussels and have no interest in how it works, apart from perhaps regarding it as tiresome and self-important? Something practical and not at all about the high institutions must be going on which has normalised living as part of the European Union. Something like the widely shared interview with a van driver who rang James O’Brien’s call-in programme and explained how Brexit would destroy his livelihood. Although no one uses such a mouthful, he was singing the praise of its shared regulatory space. Maybe, I thought to myself, I too have got too caught up in traditional notions of high politics and sovereignty while the nature of government has moved on.
The defining ideologist of Brexit is the Daily Mail. It describes the main motive for leaving the EU as, “a deep-seated human yearning to recover our national identity and independence”. Must it be the case, then, that those of us who voted Remain are indifferent to, or have no yearning for, national identity and independence? I think not. I claim that we are more free in a fundamental way as persons - as English, Scottish, Welsh, Irish and British persons - inside the EU. Our liberty is enhanced within it, for all the dangers. You could answer that it is a false binary: that we can enjoy both patriotism and partnership, national identity and international regulation. Indeed, but such an answer takes a side. The spirit of Brexit insists on a single priority. For the Daily Mail our national identity and independence are being lost and must be “recovered”. It sees mass migration and the European Court of Justice as invaders that have penetrated our national space. It demands they be repelled to save our country and its great institutions. If judges show themselves to be “enemies of the people” and peers of the realm have become “traitors in ermine” they merely confirm how far subversion has reached.
The Prime Minister shares this view. In her first speech to a Conservative Party conference as its leader she warned, “if you believe you’re a citizen of the world, you’re a citizen of nowhere”. This is the Daily Mail, Brexit point of view: our national identity is singular. The opposite, pro-European point of view has just been powerfully described by David Marquand: all of us have multiple identies. How, then, is it possible to share more than one identity and live with others who have their multiple allegiances - and not fall into the vertiginous vacuum of nowhere? How can the country – any country – hold together, if its people are not joined by the same, single “deep-seated, human yearning”? The answer is that regulation and human rights make multiple identities nationally feasible, by providing a practical framework for living together. They could hardly be more important for us.
This is the second in a mini-series. The first is on the Brexit civil war. Next, The Brexit breakdown. | 2019-04-23T21:58:51Z | https://www.opendemocracy.net/en/opendemocracyuk/why-brexit-won-t-work-eu-is-about-regulation-not-sovereignty/ |
Stay up to date with what is happening with CCAE by reading the April 2019 issue of The Communicator.
CCAE has always focused on promoting professional standards for adult educators and influencing legislation that protects and promotes Adult Education in California.
One of CCAE's major task is to keep a vigilant watch on legislation that affects the Adult Education community in California. By communicating with, and keeping our Assemblyman and Senators informed of Adult Education needs, we can foster better legislation for Adult Education.
The California Council for Adult Education is people working together for the advancement and continued professionalization of Adult Education in California. CCAE is unique among education organizations in its breadth of membership. Our members are the practitioners of Adult Education: Teachers, administrators, counselors, classified support staff, students and community.
"To all of you who fought a noble battle and won a creditable victory goes the thanks and gratitude of all people who believe in adult education. Adult education would have been seriously hurt this year if it had not been for the united efforts of the California Council for Adult Education, the California Teachers Association, the California Association of Adult Administrators, and thousands of interested adults and citizens."
Our struggles are not over. Undoubtedly additional attempts will be made to curtail the finances and the programs of adult education. Your membership and the memberships of all your associates are needed now to continue the fine work of the legislation committee and your officers. Let us not wait until the crisis is upon us. We must act now."
This information was condensed from the CCAE State Leadership Handbook, 2018-2019. Most of the information was researched by Steve Prantalos (Executive Director, 1999-2013) and Virginia Donnellan, (President, 1995-1996).
I hope you will join me in celebrating the 75th anniversary of the California Council for Adult Education (CCAE). May we continue to work together in support of the adult students in the state of California for many years to come.
Best Wishes for a great month ahead---I hope to see you at LEG Day in Sacramento and the CCAE State Conference in San Diego!
After many years of teaching in secondary education, including six years in the Middle East, Elk Grove Adult and Community Education (EGACE) has been Geno’s professional home for the past five years. For the past three years, he has been teaching courses, using the Career Choices and Changes in EGACE’s bridge-to-post-secondary program, “Career and Academic Preparation” (CAP), Geno demonstrates exceptional skills and knowledge of college and career education through. He is a high-energy and innovative instructor whose passion for teaching and learning keeps his students engaged and moving toward the goal of successful transition into post-secondary education, training, and/or a career. He teaches his students how to explore their options to meet their education, career, and lifestyle goals; develop professional and computer skills; and how to use new financial tools to improve their everyday life. He has presented at various conferences and training and has consulted with several adult education agencies and community colleges around the state to provide resources and support for their college and career readiness programs.
The majority of Geno’s students successfully complete the program, and they have reported back to him that they have enrolled in community college or Sacramento State University and are working toward their goal of earning post-secondary degree; they have obtained jobs working for the state of California, as well as careers for which they trained and/or worked in their native country. They have formed cross-culture support groups while in class, and they continue to support one another even after they have completed the program. One of his students, who was living in a homeless shelter with her two teenaged children during the time she was attending the class, is now living on her own and has started a catering business. Both of her children are now enrolled in a community college in Sacramento. Another former student got a job working at the State Chancellor’s Office. After 18 months of employment, she was twice promoted and receives full health benefits, a full retirement package, and 401K/457 plans.
Geno also works at the Folsom-Cordova Adult School as a transition specialist. In this role he meets with students to assist them as they prepare to move from adult education into post-secondary education, career training, and/or a career.
Paul Shatswell, Principal of Pittsburg Adult School passed away Sunday, March 24th. He had been principal at Pittsburg Adult School since May 2018.
His family and his Pittsburg USD colleagues have arranged for an opportunity to gather with Paul's family, friends and colleagues to honor Paul's life.
In addition, the Pittsburg Adult Education Center (PAEC) is collecting cash contributions or grocery gift cards to help offset the costs for the care of Paul's youngest three boys (6, 12 & 13 years old). If you are interested in making contributions to this fund, please contact Lisa Williams (Accountant), Pittsburg Adult Education Center (PAEC), 1151 Stoneman Avenue, Pittsburg, CA 94565. Lisa can also be reached at 925-473-2403 (direct line). The main number at PAEC is 925-473-2400.
A dedicated website is now available to reserve rooms for 2019 CCAE State Conference on April 25-27, 2019 in San Diego, California at the Hilton San Diego Airport/Harbor Island. Please note that the Hilton San Diego Airport/Harbor Island hotel is located 0.8 miles (16 minute walk) from the conference hotel.
Book online or call 1.800.445.8667 and use Group Code: CCAE.
Xiaoyi Yi Li was born in the province of Guangdong in China. Her father was a teacher and the inspiration for Xiaoyi Yi to become a teacher as well. Growing up, she always enjoyed school and started learning English in middle school. She was a top student and received numerous academic awards. Xiaoyi Yi became an elementary school teacher and taught in China for six years, then resigned to emigrate to the United States in 1999.
She had met her husband when they were in China, but he and his family had also emigrated to the United States and they were married in California. Xiaoyi Yi was anxious to continue her education in America. She recalls arriving in California on a Friday, going to an amusement park that weekend, and registering for ESL classes at the Rosemead Adult School on Monday. She was put on wait list, so she decided to enroll in evening classes at Rosemead High School where she was placed in ESL Level 1 (Beginning Low). She was later called by the Rosemead Center where she was reevaluated and placed into Connie Villaruel’s Intermediate-Low class in the morning and Carmen Garcia’s ESL Level 3 class in the afternoon. Xiaoyi Yi finished all levels of ESL, completing the program in 2001.
Xiaoyi Yi’s next step was the High School Independent Studies Program which she completed in 2003. At the same time, she was working on her high school diploma, Xiaoyi Yi was taking classes at Pasadena City College where she obtained both an Associates of Arts and Associates of Science degrees with a major in Applied and Liberal Arts Studies.
In 2001 Xiaoyi Yi was hired as a part- time Adult Education Assistant. After learning additional skills in the workplace, she moved to the ESL Resource Office where she assisted in registering and giving placement tests to students, scanning CASAS tests and assisting the Resource teacher with a variety of projects. During this time, Xiaoyi Yi had two children and like so many adult students, balanced family, home and work. In 2006 she became an election volunteer inspector for Los Angeles County. In 2015, she was hired as a Para Educator for the ESL Department where she helps students in the Beginning Literacy class. She gives educational support to students and prepares teaching materials for teachers.
Xiaoyi Yi is a lifelong learner who continues taking classes at El Monte- Rosemead Adult School and is certified in several CTE pathways, including Accounting Fundamentals, computer certifications at the expert level, and is currently in the Administrative Assistant pathway.
What impresses Xiaoyi Yi most about adult education is the dedication of the students, especially the effort the older adults make to come to school every day, and how happy students are to be there. Xiaoyi Yi is very happy to help students with all of their needs and truly enjoys giving them the same kind of encouragement her teachers had always given her.
As part of her commitment to adult education, Xiaoyi Yi became of member of CCAE. Whenever there is an event or fundraiser, she is there to help translate for the ESL Beginning Low students and helps them access resources to pay for books, public transportation or get medical help.
Her background is in Business Administration and she holds a Bachelor’s Degree from her native country El Salvador. During the Summer IET class she was able to appreciate the opportunity to become exposed to this fascinating career. She had held jobs in warehouses and hospital kitchens, which she disliked due to the lack of interaction with customers. She will be able to interact directly with people on a daily basis when she completes her training and become a certified pharmacy technician.
It has been a challenge for Liliana, since she is raising two young children, ages 6 and 4, while pursuing her goal of completing the Pharmacy Technician program. Her mother has been very supportive by being involved in her grandchildren’s education and upbringing. She also finds the language barrier a bit daunting, but so far she has persevered and overcome many challenges. After class, she goes home and relaxes for an hour, then goes to the library, where she catches up on the day’s lesson for three hours.
“I see the importance of the support that East LA Occupational Center offers all students, not only to help us learn English, but to encourage us to pursue a career through the Career Technical Education programs,” she added.
She would like to thank her current teacher, Ms. Broccolo, for her patience and leadership, Mr. Bill Hrycyna, Ms. Veronica Aguirre, and her husband for the motivation in pursuing this new challenge.
Stay up to date with what is happening with CCAE by reading the March 2019 issue of The Communicator.
The adult education community has a strong positive presence on social media. Even if you don't have a Twitter account you can go to https://twitter.com/search and type #AdultEdu so that you can keep up-to-date. If tweeting, make sure you include that hashtag in your post so that other members of the community can find you and follow you. And if you are wondering if it does work, check out a series of more recent posts by the Honorable Assembly Member Kevin McCarty related to our work and his experience as an adult learner.
About earning his high school diploma at San Juan USD's Winterstein Adult Ed - CLICK HERE.
About the value of adult education - CLICK HERE.
After speaking to a group of adult education administrators - CLICK HERE.
And of course, you will always get useful information and professional development if you follow your professional associations at @CCAEstate and @COABEHQ.
As you know, CCAE has been compiling a directory of Adult Ed providers which includes primary contacts, program areas they deliver instruction in, and total number of students served. The goal is to strengthen local sharing of best practices by creating a directory of programs that is easy to use.
You may remember that we had this before flexibility, and it was quite popular and useful. If you have not done so yet, please take a few minutes to click HERE to complete the short form for your Adult Ed school to ensure it is included in the directory.
If you need assistance, please contact [email protected] to schedule an appointment with our dedicated staff who can help you or one of your lead staff complete the form in under 5 minutes.
We appreciate your help with this important work!
Adult Education Week is a good time to build awareness of your programs within the community. Ask your mayor, city council or county board of supervisors to declare one day during the week as ”Adult and Continuing Education Day.” Plan events for the week and let your local media know about them. Schedule an open house, create in-school displays and bulletin boards that focus on your school’s programs and achievements, hang a banner, honor your students, recognize teachers. It’s a week to tell the community where you are and what you do.
As we celebrate the 75th Anniversary of the California Council for Adult Education (CCAE), I think it's appropriate to take a look back at a bit of our history.
The early growth and development of adult education support groups, such as CCAE, has not been well documented. We do know however, that a support group called the California Association for Adult Education (CAAE) was formed in 1926 to promote the goals of adult education and it continued to function until 1937. Because of the seven year time lapse, it has never been fully determined whether or not there was a connection between CAAE and CCAE. We do know however, that in 1944, George C. Mann was the Chief of the Bureau of Adult Education (now the Adult Education Office, California Department of Education) and that he is credited as the driving force behind the founding of the California Council for Adult Education during the 1943-1944 school year. In addition, he served as the first Executive Director of CCAE.
The main purpose for forming CCAE was the need to have some grassroots support for Dr. Mann and the Adult Education Division in working with the legislature when they were pushing for positive legislation for adult education. If local adult education administrators could work with legislators in the local areas and personalize the needs of adult education, then we could have greater success gaining their support in Sacramento. Professional development was also an issue that needed addressing.
Several other educators have been recognized as contributing to the early organization of CCAE. Leo James, assistant to Dr. Mann, worked on the goals and purposes of the organization. E. Manfred Evans, from Los Angeles, continued the work for Mann when the Chief of the Bureau was called into service for the Navy during World War II, and Guy Garrard and Louise Heyl, who were both leaders in adult education in the 1940's and later became CCAE presidents, were instrumental in organizing and promoting CCAE around the state.
As mentioned above, Dr. Mann was the first Executive Director of CCAE, and he continued for about a dozen years in the duel role of CCAE Executive Director and Chief of the Bureau of Adult Education. His role in founding CCAE and guiding it through the early years cannot be minimized. Without his efforts there would be no CCAE, and adult education would most certainly not have been as successful as it has been over the years. In 1956, Dr. Mann retired from the Bureau and as Executive Director. It is interesting to note that his successor, Stanley Sworder, continued the tradition of serving in both capacities. So, there has always been a strong link between CCAE and the Department.
Stay up to date with what is happening with CCAE by reading the February 2019 issue of The Communicator.
The conference team has selected more than 97 innovative sessions that will enhance and enrich instruction and student support services in the field.
Click the button below to view a list of all accepted sessions organized by title.
Make your hotel reservations at the San Diego Hotel & Marina. Rooms will go quickly, so don't delay!
Southern Section wishes to spotlight two of our own powerhouse teachers, Francisco Lopez (Chaffey Adult School) and Roland Espinosa (Inland Career Education Center).
Francisco, a 21-year veteran teacher, and 2016 CCAE State Excellence in Teaching awardee and Teacher of the Year for Moreno Valley Unified School District in 2018, with 12 years at Chaffey Adult School, is currently teaching Online-HS diploma and ABE math, began his Adult Education (AE) career in ESL, and is also a full-time 2nd grade teacher. Roland, also a two-time award winning teacher, as District Teacher of the Year in 2000 for Santa Ana Unified, and as a 2016 CCAE State Excellence in Teaching awardee, started his career in elementary and middle school 27 years ago, then entered AE in 2011 at the Inland Career and Education Center where he has taught in the ABE, ASE and ESL program areas. Currently, Roland teaches five GED courses that prepare students for their Reasoning Through Language Arts and Social Studies exams.
Both Francisco and Roland note that teaching in AE is incredibly rewarding and provides adults with opportunities for career pathways. Francisco enjoys teaching fractions to his students, and he utilizes technology in the classroom to assist in their learning. Francisco says, "Teaching adults is like a walk in the park for me. I love the fact that students want to be here." Roland points out that it is amazing that students who may not have been in an academic setting for many years can apply themselves and thrive academically. Roland says, "I enjoy witnessing the transformation of how students feel empowered to transition on to college and career opportunities after passing their GED exams."
Francisco and Roland have been members of CCAE for 8 and 5 years respectively. Both, jumped into CCAE leadership positions right away. Starting at the chapter level, both have been Chapter Presidents; Roland with the San Bernardino Chapter and Francisco with the Chaffey Chapter for which he was a founding member. Presently, Francisco is serving a second term as Southern Section President and Roland is serving as President-Elect. It is also important to note that Francisco and Roland are the 2019 CCAE State Conference Co-Chairs. They have brought together a large team of fellow teachers, clerical support staff and administrators to put adult education in the spotlight and to celebrate the 75th Anniversary of CCAE.
Francisco Lopez and Roland Espinosa are extraordinary adult education teachers who go above and beyond for their students, their districts and the adult education field. Their CCAE Southern Section Board Members are honored to spotlight Francisco's and Roland's contribution to adult education.
Founded 85 years ago by educators for educators, First Financial Credit Union takes tremendous pride in serving the financial needs of the educational community and has proudly done so since 1933. Unlike other credit unions, we have a closed field of membership—not open to the general public—which further strengthens our commitment to the educational community.
Must meet First Financial Credit Union (FFCU) eligibility requirements and establish membership in order to take advantage of these offers. *APY=Annual Percentage Yield. Restrictions apply, including only one School Employee Flex Share Certificate (CD) per member and/or per household. Fixed-term of 12 months from date of opening. A minimum opening deposit is required. Dividends are paid only at maturity and will automatically transfer to member’s FFCU savings or checking account. Federally insured by NCUA. Information accurate as of November 2018. Call for complete details.
As of September 30th, the 2017-18 legislative session officially came to an end with the Governor taking final action on the bills sent to him by the Legislature before they adjourned on August 31st. The issues debated this year were diverse and, at times, controversial ranging from wildfire liability to privacy to sexual harassment and more. Impacting much of the debate and shaping policy proposals were actions taken at the federal level by the Trump Administration and also by the #MeToo movement. In the final weeks of the legislative session, hundreds of bills were heard and ultimately, many received enough support to pass. Further, this session was Governor Brown's final round as he moves towards the end of his fourth and final term as governor.
In terms of a historical perspective, since 2011 Governor Brown vetoed 10.7% to 15% of the bills he was presented. This year's totals were at 1,016 bills signed and 201 vetoed, with his highest veto rate ever at 16.5%.
Among the many bills signed this session was CCAE and CAEAA's sponsored bill, AB 2098 (McCarty), related to immigrant integration. You will recall that the proposal was originally part of our FY 18-19 Budget framework along with increased funding, instituting a COLA, changing the term "grant" in AEBG and addressing the inequities in the indirect rates. As shared with the field in our July update, the Department of Finance, Administration and budget committees ultimately decided the issue needed to go through a policy process rather than a budget process. Hence, we moved quickly to identify authors in Assemblyman Kevin McCarty (D-Sacramento)(Chair, Senate Budget Subcommittee on Education) and Assemblyman Tony Thurmond (D-Richmond)(Candidate for Superintendent of Public Instruction). Both members were a pleasure to work for and wholeheartedly supported moving the bill forward.
Fortunately, there was widespread, bipartisan agreement that instituting immigrant integration metrics into the Adult Education Program, as applicable, made sense to ensure the needs and outcomes of our immigrant and refugee students who may not yet measure up against the Program's current academic literacy and career progress metrics were explicitly accounted for going forward. As you all know better than anyone, serving immigrant and refugee adults in need of English language skills has been at the core of adult education since its inception. Immigrant and refugee students come to adult schools to develop literacy, and in doing so, gain cultural competency and literacy more broadly defined as health, financial, digital literacy, parenting and family literacy, and civic engagement, all also critical to successful transition to college and careers.
To be clear, AB 2098 is permissive and applies as applicable for adult schools and community colleges. It seeks to address the lack of metrics for these students in the Program by incorporating immigrant integration metrics consistent with English Language Civics ("EL Civics") and associated Civic Objectives and Additional Assessment Plans (COAAPs) that are already in use for federal WIOA reporting purposes into the Adult Education Program. Doing so will help preserve and ensure access and support for these students who are most in need of the programs and services offered in adult education by providing the tools for the students and adult education providers to demonstrate outcomes and progress for these students. Also of note, while permissive as applicable, the language also provides flexibility for those adult schools, community colleges and partners who are collaborating and pushing the boundaries of the EL Civics to be able to do so for the benefit of their students.
At the end of the day, the Legislature wholeheartedly passed AB 2098 with unanimous, bipartisan support and no "NO" votes. The bill was subsequently sent to the Governor who signed the bill on September 26th.
Kudos to you all for your support, letters and overall assistance in pushing the bill to the finish line - this is a significant victory for you and for the students we serve. And thank you to San Jose City Mayor Sam Liccardo, San Jose - Evergreen Community College District, ACCE, ALLIES, ACSA, CATESOL, CFT Local 4681, the California Immigrant Policy Center, Chinese for Affirmative Action and many other organizations across the state who provided support and grassroots engagement. Congratulations!
For more information on AB 2098, please see http://leginfo.legislature.ca.gov/faces/billNavClient.xhtml?bill_id=201720180AB2098.
It is that time of the year when CAEAA and CCAE begin formulating priorities for the next budget cycle and legislative session. As you know, it is an election year with not only a host of changes in legislative offices possible but also changes in important statewide offices such as for Governor and Superintendent of Public Instruction. While it will be some time yet before we are able to fully understand the priorities of the newly elected, we must get started on determining our own priorities for adult education to continue to move us forward. In this regard, we would welcome feedback from the field on policy and budget proposals you would like to see considered for action in 2019. Some of the issues we are already considering include additional funding in the budget, legislation to address the challenges and reciprocity for credentialing of teachers, Education Code changes, career technical education investments and fees, and more. If you have ideas about these issues or others you'd like to have considered by both boards, please share with us no later than October 15th. While we have some time, we must begin evaluating the proposed priorities, determining which to move forward in 2019, prepare language and materials, and begin reaching out to the Department of Finance, Legislature and stakeholders to ensure the smoothest path to success we can hope to achieve.
We thank you for your engagement and look forward to another productive legislative and budget year ahead in support of adult education! | 2019-04-22T20:28:51Z | https://www.ccaestate.org/latest-news/ |
I admit to finding this an insurmountable task.
My novel has dozens of characters. My first problem wasn't keeping track of them, but creating them.
My 20th century characters were easy. I tweaked ages, genders, names, and family configuration a few times, but they were mostly set in a few days and fully set after a week or two.
Impossible! Seriously, months. Months of not writing a bleeping thing because I couldn't move forward without knowing my family units and having it all together. I couldn't just make it all up because this is based on a Bible story. There are multiple existing characters and I had to research every last one of them (much harder than you think as the source material is not as clear as one might like). Then fill in the gaps (which is mostly the women and girls).
I didn't post for help with this process because I knew the answer: Just make yourself do it!! So I did it.
Word: I started off in Microsoft Word. I'm still writing my chapters and doing all my notes on different topics there. But for lists of characters and their attributes, nope.
Excel: I love a good spreadsheet. All of my family charts are in Excel and it's still the tool I use for them. But it wasn't helping me move forward with creating my new set of characters and dividing them up into living units.
Family Tree Maker: My other hobby is genealogy. One thing I'm especially good at is making family trees (with well-cited sources of course). I figured my best bet was to go through the Torah (starting with Exodus), some other Biblical books, and commentary, and boom, I'd at least have all the named people, then I could add in missing wives and kids. Except...no. It is not straight-forward and there is no existing genealogy that is uncontroversial (don't say Flavius Josephus because he made choices most commentators think are not right). After creating entries (and facts and relationships) for 242 people, I gave up.
Index Cards: My husband's a writer who is finally starting to get published. Index cards work for him (complex soap opera comic series) and he pushed me for weeks to give it a try. I tried it. I've now got 2 dozen mostly filled out index cards buried under the clutter of my desk. It would be great for keeping track of individual existing characters who have scenes with various other characters, but did not work at all for me to create characters within large families.
Paper: Paper tears. Paper gets lost. Paper becomes kitty beds. But wait, I have a wall.
I started off with my modern characters and their lineage (parents, aunts and uncles, and grandparents). Two pages for the genealogy, 1 more page for the grandparents, another page for the grandchildren. Printed. Taped to the wall. I reference this all the time! As in 2-12 times per chapter. Much more helpful than having to open the right Excel file/sheet and find the info.
I have 43 modern characters, many of whom you never see or even hear about; they're for my own use. My Egyptian characters were a lot more complex. I've got 65 of them and every single one is present in the story. I won't use most of the names or show most of the people, but I needed to know who they were.
This was the part that was like pulling teeth. First getting the known characters, then adding more, with names that worked, with characteristics that worked. But done.
Color-coded. Printed. On the wall. 10 pages.
After that, diving them up by household (who is in which hut) was pretty easy. As was deciding which of the 18 time-traveling children was staying with them. That last bit went on the wall today. 3 pages.
Scotch tape to attach pages to each other when needed. I had originally used scotch tape to attach to the wall, but it was hard to move pages and I was worried about damaging the paint. I used blue painter's tape but hated the look. Now I use the painter's tape rolled up and on the back of the pages.
My question is not "what is the best method/tool for creating and tracking characters?" That is a very individual thing. What works well for one person will be awful for another. And what worked for me for this novel may not work for my next one. Besides, it's an opinion-based list, which isn't something we do at Writing.SE.
What is the best process for figuring out the methods and tools you need to create characters and keep track of them while you're writing?
I'm going to echo @galastel: trial and error.
I have a historical fiction novel based on real people and events. I had to compile all the people known to affect the events and then map all their genealogies to identify who was whose cousin in nth degree, who had been raised by whom (so I'd know where they'd have their loyalties), and who had participated in different events while supporting which party. I ended up with hundreds (well past 300) people just to identify kinship bonds, when I was really only going to need about 30 (with different levels of participation in the plot). Nevertheless, since these people could name their ascendents sometimes for over five generations, I had to map it out.
I also tried several of the methods you used. To be honest, I was so desperate at one point that I tried out methods even though I knew they wouldn't work. Then I started creating diagrams.
Focusing on character A: First, all of his family, showing his blood connection to some of the 30 important characters. Then, all of his friends and enemies (within the important 30). Reapeat the family diagram for those friends and their families and see how the kinship bonds match across families. Createa summary diagram with the most important family connections.
I ended up with tons of diagrams. Some of the diagrams were only used to organise my ideas, so I usually keep the 'summary' diagrams handy and, as I need them, I spread them about. I use Yed for the diagrams, by the way.
Based on my experience, if one thinks a method isn't going to work (and you have a valid reason for it) it probably isn't the best option to go for it. Unless one's desperate, of course. It's still a waste of time, though.
What really needs to be done is understand what are the particular difficulties of the data that needs organising.
Talking of a large social network (as groups of characters tend to be), one should first think about what is essential. Is knowing who is whose parent and sibling what matters? Family tree software should work. Is it a matter of knowing who lives where? A map with households and a list of inhabitants per household. Is it both? Then the map could be colour coded for each family.
The more information is required, the more complex it becomes. If what one is looking for is a host of human connections (kinship, likes-dislikes, etc), then social networking software would be the thing to go for (I'm currently learning Neo4J for this precise reason).
Basically, identify what you need to get out of the information and look at the tools and methods you know of in order to see if they can give you what you need. One may have to combine more than one tool and method, though.
Once you decide on one, choose a small simple sample (family relationships between two brothers and their children) and see if it works. If it does, slightly enlarge the sample with complex connections (add frequency and quality of contacts, or perhaps add the circles of acquaintances one of those characters interacts with). See if it works. If it doesn't, see if it's a fundamental fail or if it can be mended by using the tool/method together with another tool/method.
If it's a fundamental flaw and there's nothing that can help it work, cross it out and move to the next option.
I wouldn’t go blindly into trial and error, not in these days where all the information in the world, almost literally it’s at your fingertips.
Instead do a little bit of research, read up on what has worked for other people and pick up the approach you find more appealing or mix a couple that sound like they’ll work for you.
Then apply those and test what’s working and what’s not. Identify what is not working and research again for those specifics. See how other people solve those specifics problems and don’t worry about what seems to work.
Eventually you’ll arrive at a system that is pretty much tailored to your specifics needs and way of working without too much effort.
I'm not trying to pretend to answer your question. I can't hope to say what is best, especially for someone who isn't me. But I will at least attempt to order what I've tried from what seems to have worked the best for me to what has clearly worked the worst. I do feel the need to point out you're working on something more ambitious than anything I've attempted. My history isn't that good; I've never had the guts to try writing something in a defined historical real-world setting. Most of the suggestions I'm going to give at the end of this were things people gave me as advice, and I've found at least some utility of them.
Feel free to skip down to the next horizontal break; the stuff between here and there is appendix stuff I just don't want to risk looking like my conclusion.
I've set up a wiki on my home computer, localhost only, for several of my stories. Each character gets a page, and each time I write new things about the character, I try to update their wiki page. Their page starts off with what story or stories they're in, because I have accidentally put a character in the wrong story after I started with the wiki concept. But once I got that fixed, it hasn't been too bad. What exactly goes in to each wiki page varies widely by the character, but it at least starts off with how they're associated with the most prominent character not them that they're associated with, and then lists their various relationships and details some notes with them. Characters with quirks tend to get much more written about them than others. If they have an accent, that might include everything they ever say as a reference.
I've kept text files with notes about all of the characters, one file per story. The same sort of information goes in there, except it usually doesn't list multiple relationships for characters, and it won't include quotes or as much background, just because of trying to keep all the data roughly proximal. If there are characters with accents, there will be a second file for quotes.
I've kept text files, one per character, sort of like a wiki. The best result of this effort was it gave a proper seed for the start of the wiki. The worst bit is navigating through dozens of files without using hyperlinks is rough. The worst part isn't finding which file to open, but rather which window to switch to. Microsoft Word's inability to have more than one file open per file base name could come in handy here.
I've used an actual database. If you're going to go down this path, I'd strongly recommend that you use an off-the-shelf solution written specifically for the purpose. Trying to write my own thing is not beyond my computer sophistication. But trying to write my own author details database while also trying to write a story is an excellent way to forget what you were writing about, because the glitches in the software will come out at the worst times. I think maintaining explicit fields for the various sorts of data is probably overkill; if you have a wiki and you have discipline, that works.
Re-read the story whenever I'm at a loss for who a character is. This tends to break down around chapter 2. Wait, who the heck is this Mike character? That wasn't who Giselda was talking to! How the heck did I go from her talking to Sfen to Mike? Um, wait, it just literally stops with Sfen in paragraph 12 and starts with Mike in paragraph 13? Oh, crap, Mike was the guy from that other thing. Edit edit edit.
This was a really intense dream, I don't need to keep track of my characters, I know all this stuff.
In going through all of that, I knew when I needed something better as far as tools when I got to the point where I couldn't keep track of what I was doing. But there always was a time before that I felt uneasy about how I was proceeding.
As far as keeping track of characters and how to best figure out the tool, I'd think I've actually had the best luck practicing that with somebody else's work, especially web comics. If I lose track of a web comic's characters, it's no big loss. But I can at least determine whether the mechanism is sufficient for handling a cast of that size. That said, if you have your 107 characters now, I'd strongly suggest at least writing an outline of all of the characters you don't already have at least an outline of before you think about focusing on something else. It's preferable that you jot down as much as you can in that outline, especially bibliography notes.
That is unfortunately literally all I wrote down in my character notes for the character I knew second best in one of the stories. I wrote slightly more about her in my dream journal. The problem with intense dream characters is other intense dream characters can shove them aside, and you don't really have any idea when that will happen. I had an intense dream over a decade ago, which I remembered well enough to write about 60k of dream journal entry over the next few days. Expanding on that, I now have over 70,000 words written. That is also a candidate for my least dialog-driven work. It feels like it mostly just needs much better description to make it into something I'd be willing to give to some beta readers.
I do have intense dreams fairly regularly, but usually not that intense and rarely so epic. Back in June, I had another dream, which felt about as intense as the one from the last paragraph, but not as epic. It seemed like it could have made a nice short story. I was busy that day, so I only was able to write about 7k of dream journal and 1k of character notes, focusing mostly on the lesser characters because there was no way I'd forget the two main characters.
The next night I had an even more intense dream. It was not story material; it was too chaotic and bizarre to make into something I'd be willing to show people, especially since I have a lot of better material. But now all I have of the girl is a description of her and how she becomes a portal.
Colonel Mustard is in the Observatory with the Revolver.
Adding the who-where-when details to a scene is no different than plotting the current location of a MacGuffin, or pacing the reveal of a plot twist. This information belongs on the main timeline with the other narrative elements and story beats.
What hasn't been mentioned is that characters are living and dynamic. They have chemistry between other characters, and have internal motives and sympathies that change due to the events in the story. Each individual has an emotional state that is constantly in flux, and a receptivity to the events and people that are around them. This evolution is their character arc and they must shift from an opening status quo, through an interpersonal conflict with other characters, and finally resolve the conflict by ending on a new version of the status quo. Without this development arc they are not characters just plot devices.
Colonel Mustard is frustrated by his wife's irritability, and prefers the quiet company of his loyal horse.
This character detail has nothing to do with plot or logistics, but he will be a completely different man when he is around his wife compared to when he is around his horse. In order to show, not tell these facets of his character, he (logistically) needs a scene with his wife and a scene with his horse. Both scenes need to present him with a conflict (however minor) where he reacts differently. This contrast will make him appear to be inconsistent. Is he a simple man with a "frustrating" wife? Or is he an emotionally stunted man who thinks his wife ought to be more like an obedient animal: under his control? Both might be true, but as the reader resolves this apparent dichotomy she fills in the gaps of his personality. It's not really about contrasting a bad wife and a good horse, it's about his temperament and his fundamental viewpoints on the world.
The character is presented with 2 contradicting traits – his receptivity changes depending on who is in the room. This type of dynamic detail will probably not be spelled out for the reader, but it profoundly effects him in every scene. He is 1 person filtered by 2 different relationships, both need to feel realistic for this to register as a character flaw or handicap (in writing, a flaw can be "fixed" if the character chooses, a handicap cannot be "fixed" and requires a workaround). There is no inherent conflict to who-where-when, that's just moving chess pieces around the board. But there is inevitable conflict with volatile interpersonal relationships. The "chemical reactions" between characters will drive the motives and personal development arcs even more than the plot.
For example: a young man joining the military to defend his country has no internal conflict, he is doing the expected thing for external reasons. But if he joins the military to be more like his older brother and to impress a sweetheart, he has a start-state with internal motives and preconceptions. He is much more interesting because there are so many ways these interpersonal relationships can fail him that will impact his character arc and receptivity. How he reacts is more important than stuff that happens.
You need a way to track every interpersonal relationship, the motives and conflicts between all the dynamic characters, over the course of the story. It is less important to plot relationships between non-dynamic characters who don't change, but it's still helpful to sketch in their general impression towards all the other characters even if it is superficial. What do these characters want/need, and how do they require the other characters to get it?
For me, this starts with plotting my main character arcs individually, everything they should experience in the logical narrative order to tell their story. Before this process, I typically have a loose plot outline consisting of Mary Sue characters and their flattering "power moments". I also have an idea of the obvious personality clashes (A___ is quick to act, B___ is over-cautious), but this is general and not yet dynamic.
I use a pseudo-Snowflake method to define the start and end states of the most important characters, then I fill in with various beats and conflicts needed to define their arcs. It's like Snowflake because it starts with broad generalities, but as I add specific story beats it starts to feel more like a subplot. There will be a call to action, try/fail cycles, a mid-story crisis, and a resolution that isn't really what the character wanted or expected. This is strictly character building, I do it individually for each character, and at this early stage the arcs don't align with my main story plot or each other. The arcs need to be outlined independently for each main character. I'll repeat what I said at the start, each character needs their own arc (beginning, middle, and end) or they are not characters just plot devices or supporting roles.
Once I have their character arcs I have a better idea of who each is as an individual. At this point, the Mary Sue moments look out of place so I will rework my main plot outline until the motives and actions make sense. I also have a better idea of the situations I need to support each arc, so secondary characters are emerging and being consolidated, as well as worldbuilding and backstory to frame them. I don't merge the main character arcs, instead I try to cross-pollenate them: a story beat in one triggers a story beat in another. Getting the arcs to influence each other isn't difficult, everyone is effected by the main narrative, meanwhile the interpersonal moments are where characters show individual motivation and arc development. One character's momentary outburst leads to another character's self doubt. Main characters de-rail each other leading to distrust and consequences. Likewise characters make sacrifices or misrepresent themselves creating unsustainable house of cards. The more going on in each character's personal conflicts, the easier it is ripple the effects to the other character arcs and have it all feel organic, not contrived.
The final phase, which is the actual story-writing, is to approach each scene with a clear idea of where each character is on their arc, and what is currently motivating them. Their dialog and actions will come overwhelmingly from their personal arcs. Even characters who are working together for mutual benefit will not entirely agree. They will have different approaches, and set different objectives. Even in friendly situations they will be advocating and negotiating in support of their own individual goals.
In nearly all scenes at least one character is proactively trying to influence the other characters by logic, charisma, dominance, or subterfuge, and this is where the other characters' receptivity comes in. They will agree or resist based on their own receptivity and motives – every scene with character interaction involves this negotiation of goals and personalities. These character differences are like tent poles that lean away from each other to create space between them. Characters never just state an objective fact, everything gets filtered through their subjective realities, everything. When each character is advocating for their own motives, there should never be a situation where the reader is confused about who is speaking. It should be obvious by what they say. The objective "truth" of the story lies somewhere in the space between the characters's differences.
For each scene, I refer back to my Snowflake character arcs and make sure each character signals their progress. If the beat signals a lack of progress or stagnation, the arc is still progressing even if the character isn't. Sometimes the point of an interaction is so the arc beat is observed by another character (with or without comment) just so the reader feels the change.
In a longer work I'll have a half-dozen main characters with fully developed beat-for-beat arcs, and at least as many supporting characters who have backstory and an evolving arc but don't take up as much space in the actual narrative. They still act according to their own dynamic motives, which must progress in every scene they are in.
The lowest tier of characters are essentially plot devices to aid or impede the protagonists, or who act as a Greek chorus to provide context and worldbuilding. They also receive a status quo or starting state, but they don't have much room to evolve. Nevertheless, they will still negotiate for their own goals, but are completely unaware of the plot. Rather than create forgettable throwaways, this frees them to be more selfish, more transparently themselves, because they don't need to negotiate in good faith or compromise with the main characters. They are free to over-react, to insult and provoke, and essentially to lean in opposition to the main character(s) to represent all the things the MCs can't be. They still act as a tent pole to define space between for a larger story.
I use Scapple by Literature and Latte, the makers of Scrivener.
It's basically a storyboarding tool, much like you have created on your wall, only you can't run out of wall space or damage your walls!
Each character gets a place on the board and lines link them to characters they are related to/interact with. For families, each character can have their place in a family tree structure.
I add photographs of how I visualise their appearance, and other photographs of people I may be basing their personality on (I often create characters as composites of people I know).
I give them a brief description, then a deeper outline of their needs, desires and motivations.
As the story comes together, I add portions of dialogue and descriptions and inspirational photographs for scenes and settings (e.g. rooms in their home, things they own, etc.). And if a setting is a crucial part of a story, I give it its own place on the board.
I assign colours and styles to different notes for clarity, and that makes it easier to zoom in and out on specific areas of the board. And, when it comes to the actual writing and I use up portions of dialogue or scene descriptions, I colour them pale grey, so they no longer stand out.
The great thing about Scapple is that it can just keep growing, moving and changing, without rewriting index cards or reprinting spreadsheets and documents. You can quickly zoom in and out, even when your board is huge. You can pick up all the pieces for one character and move it around on the board, create space for new characters, quickly delete things you no longer want, etc. etc.
You can download a free trial from Literature and Latte.
I can't imagine starting a novel without it now.
A program you could use is Campfire. It's for fantasy authors who need to keep track of their characters/items/lore/plot/etc. I don't use it, however (Not enough money.), but have heard many good reviews for it. Hope this helps!
I know this is a short answer but I've started to organize characters using Charahub. I think your wall-method may even be more advanced than that!
Please don't worry about being 100% crazily consistent; I promise that the majority of your genealogy (and its mistakes) will not be a focal point to readers. It's more important to give emotional and psychologically development into the central characters (or families), and then just plunge right into the interwoven plot. Best of luck!
Not the answer you're looking for? Browse other questions tagged characters novel software tools organization or ask your own question. | 2019-04-19T07:12:51Z | https://writing.stackexchange.com/questions/41850/creating-and-keeping-track-of-characters |
Symbioses with beneficial microorganisms constitute the universal and ecologically highly effective strategy of adaptation of plants towards nearly all types of environmental challenges. Representatives of many groups of fungi and bacteria participate in plant-microbial symbioses (PMS) wherein they can colonize the plant surfaces, tissues or intra-cellular compartments using two basic adaptive strategies: nutritional and defensive. Construction of niches for hosting the symbiotic microbes involves the complicated developmental programs implemented under the joint control by plant and microbial partners and based on the cross-regulation of their genes.
Legume plants (family Fabaceae) are known to form symbioses with extremely broad range of beneficial soil microorganisms (BSM), representing examples of almost all plant-microbe mutualistic systems. Different groups of beneficial microbes improve host mineral nutrition, acquisition of water, promote the plant development and offer protection from pathogens and pests. For ecology and agriculture, the most important beneficial legume symbioses are arbuscular mycorrhiza (AM) and root nodule (RN) symbiosis. These symbioses demonstrate high level of genetic and metabolic integrity, compared with other interactions of legumes with plant growth-promoting rhizosphere bacteria (PGPR) and/or beneficial endophytic bacteria.
High integrity of AM and RN symbioses implies highly specific mutual recognition of partners, formation of special complex symbiotic compartments and integration of partners’ metabolic pathways. In the symbioses, legume plant plays a role of the organizing center of the system as it performs functions of coordination and regulation of all developmental processes. During last decade, a significant progress has been achieved in revealing the genetic bases of symbioses formation and functioning, so the knowledge of the plant genetic control over symbioses can effectively facilitate breeding new varieties of legumes that are needed for modern sustainable agriculture. In this chapter, we describe the present state of the developmental genetics of legume symbioses and depict the potential to organize the multi-component symbioses to be used for optimizing the broad spectrum of plant adaptive functions and to improve the sustainability of legume crop production.
Leguminous plants are able to grow in the soil/substrate without any combined nitrogen due to the fixation of atmospheric nitrogen by symbiotic nodule bacteria (collectively called rhizobia). In collaboration with rhizobia, legumes make a large contribution to the global nitrogen balance in natural and agricultural ecosystems . Nitrogen fixation occurs within special plant organs, root nodules (in some associations stem nodules are also formed). Development of these organs represents a well-organized process based on the tightly coordinated expression of specialized symbiotic plant and bacterial genes. The legume nodules provide an ecological niche for bacteria, as well as structure for metabolic/signal exchange between the partners and for the control of symbionts by the hosts .
Family Fabaceae contains 17000-19000 species divided between three sub-families (Caesalpinioideae, Mimosoideae and Papilionoideae) and more than 700 genera of world-wide distribution . With a single exception (Parasponia: Ulmaceae), the ability for symbioses with rhizobia is restricted to Fabaceae, although in eight related dicotyledonous families (Rosid I clade) an ability to form nodules with the nitrogen-fixing actinomycete Frankia is known .
By contrast to legumes, their nitrogen-fixing microsymbionts do not constitute a taxonomically coherent group of organisms. The majority of rhizobia belong to the α-proteobacteria assigned into the Rhizobiaceae family solely on the basis of their ability to nodulate the legumes (e.g. Azorhizobium, Bradyrhizobium, Mesorhizobium, Rhizobium, Sinorhizobium). Recently some β-proteobacteria (close to Burkholderia, Cupriavidus, Pseudomonas and Ralstonia) and even some γ-proteobacteria have been discovered that can form nitrogen-fixing nodules with the legumes . All these bacteria vary enormously in their overall genome organization, location of “symbiotic” (sym) genes and their molecular organization and regulation [6, 7].
Root-nodule symbiosis is well known as highly specific plant-microbe interaction. According to the early surveys of symbiotic specificity , legumes were suggested to comprise a range of taxonomically restricted cross-inoculation groups within which the free cross inoculation occurs, while the species from different groups do not cross-inoculate. The best studied examples of this classification are represented by four cross-inoculation groups: “Trifolium – Rhizobium leguminosarum bv. trifolii”, “Pisum, Vicia, Lathyrus, Lens – R. leguminosarum bv. viciae”, “Galega – R. galegae”, “Medicago, Melilotus, Trigonella – Sinorhizobium meliloti, S. medicae”. However, it was demonstrated later [9, 10] that such strictly defined specificity is limited to the herbage papilionoid legumes growing in temperate zones and representing the “Galegoid complex”.
The specificity of legume-rhizobia interactions is expressed just during the pre-infection stage when rhizobia recognize the roots of appropriate host plants and colonize their surfaces. The interaction starts when the root-excreted signals, in particular, flavonoids, activate the rhizobial nodulation genes (nod/nol/noe) . These genes control the synthesis of lipochitooligosaccharidic (LCO) nodulation factors (Nod factors, NFs) which induce the early stages of RN symbiosis development [12-14]. NFs represent the unique group of bacterial signal molecules not known outside legume-rhizobia symbiosis. They are among the most potent developmental regulators: their effect is expressed at concentrations of 10–8 – 10–12 M only. The core structure of these molecules, common for all rhizobia species, consists of 3-6 residues of N-acetylglucosamine and of a fatty acid (acyl) chain. The type of symbiotic specificity is dependent mainly on the chemical modifications in NF structures . However, a sufficient role in the host specificity of RN symbiosis may also be implemented by the interactions between bacterial surface molecules (some polysaccharides and proteins) [15, 16] and the lectins located on the root hair surfaces .
The main enzyme of nitrogen fixation in nodules is a nitrogenase that has a complex structure [18, 19]. Synthesis of nitrogenase (the enzyme catalysing reduction of N2 into NH4+) and other proteins involved in nitrogen fixation is induced in bacterial cells after they differentiate into a specific form called bacteroids. Bacteroids are embedded into a membrane structure named symbiosome, which formation as well as bacteroid differentiation is induced by plant . These symbiosomes are organelle-like units of plant cell responsible for nitrogen fixation [21, 22]. Peri-bacteroid membrane (PBM) that surrounds bacteroids is an active interface of RN symbiosis where exchange of metabolites between symbionts occurs .
A pronounced differentiation is typical for rhizobia-infected plant cells, such as an increase in internal membrane structures participating in the PBM formation and biosynthetic processes. Polyploidization and chromatin decondensation are typical for these cells correlating with an elevated transcription activity . Biochemically plant cell differentiation is expressed as a de novo synthesis of many proteins including leghaemoglobin and nodule-specific isozymes of carbon and nitrogen metabolism . Leghaemoglobin binds oxygen actively ensuring its transport towards symbiosomes (which are characterised by the intensive respiration necessary to support energy consuming nitrogen fixation) and microaerobic conditions inside the nodules (required for the nitrogenase activity). The carbon and nitrogen metabolic enzymes responsible for the energy supply to nitrogenase and for the assimilation of fixed nitrogen are nodule specific . Organic nitrogenous compounds formed from N2 fixation are transported to the upper parts of the plant either as amides (mainly asparagine (Asn), but also glutamine (Gln)) or as ureides (allantoin and allantoate), so that legumes can be classified as amide or ureide exporters according to the compounds they use for the mobilization of fixed nitrogen .
Rhizobial cells also undergo differentiation, but its level varies in different legume species. The terminal bacteroid differentiation (when bacteroids increase their size and DNA content and lack the capacity to divide) is specific for legumes belonging to the inverted repeat–lacking clade (IRLC) such as Medicago, Pisum, or Trifolium, whereas bacteroids in the non-IRLC legumes, such as Lotus, show no sign of terminal differentiation as they maintain their normal bacterial size, genome content, and reproductive capacity . The same rhizobia strains that form symbiosis with both IRLC and non-IRLC legumes have different bacteroid differentiation fates in the two legume types. It was demonstrated that in Medicago and probably in other IRLC legumes, the nodule-specific NCR peptides act as symbiotic plant effectors to direct the bacteroids into a terminally differentiated state . Possibly, IRLC legumes use nodule-specific NCR peptides to dominate the endosymbionts: NCR peptides interfere with many aspects of the bacteroid metabolism to allow the efficiency of the nitrogen fixation process to be optimized, for example, by stimulation enlargement and polyploidization of bacteroids . Also, the peptides could be part of a mechanism to avoid the “cheating” of rhizobia that could use host resources to accumulate carbon storage compounds instead of fixing nitrogen , which is often observed in the non-IRLC legumes but not in the IRLC .
It was also found that nodules where terminal bacteroid differentiation takes place are more efficient in terms of energy use. Oono and Denison reported that legume species with terminal bacteroid differentiation (such as peas (Pisum sativum L.) and peanuts (Arachis hypogaea L.) invest less in nodule construction but have greater fixation efficiency when compared to species with reversible bacteroid differentiation (such as beans (Phaseolus vulgaris L.) and cow peas (Vigna unguiculata (L.) Walp.). This effect is probably due to genomic endoreduplication of the bacteroids and full contact of single undivided bacteroid with peribacteroid membrane (some reproductive bacteroids can lose contact with PBM after they divide). Still, this is not known if these useful features of terminal bacteroids differentiation in some legumes could be transferred into other legume species. In work of van de Velde et al. , expression of NCR genes in nodules of Lotus japonicus (Regel.) K. Larsen (with normally reversible bacteroid differentiation) was sufficient to induce bacteroid morphologies reminiscent of terminally differentiated bacteroids of Medicago truncatula Gaertn. But, no positive effect on nitrogen fixation efficiency was reported, probably because there are much more regulatory genes needed to make bacteroids work propertly in such a heterologous system.
Arbuscular mycorrhiza (AM) is formed by at least 80% of contemporary terrestrial plants with fungi of phylum Glomeromycota. The Glomeromycota are unique as the only monophyletic mycorrhizal fungus lineage that has co-evolved with land plants throughout their history. They are obligate biotrophs that colonize plant roots obtaining photosynthates, such as carbohydrates (hexoses), and niches for both their growth and reproduction. The AM is evolved more than 400 million years ago and was considered to play a decisive role in plants achieving a terrestrial existence [32-34]. The AM is supposed to be “the mother of plant root endosymbioses” . Since legumes originated long after AM, about 60 million years ago , it may be assumed that all of them have the potential to produce this type of symbioses. Lupinus is the only known genus where this ability had apparently been lost [37-39].
Specificity of AM symbiosis is relatively low . Symbiosis establishment starts with molecular dialogue between the partners. Plant roots release sesquiterpenes (also known as inducers of parasitic plant seed germination) as well as different phenolic compounds, including flavonoids, which induce fungal hypha growth and branching [40, 41]. Similar to rhizobia, AM-fungi produce signal molecules termed Myc factors (mycorrhization factors) , which can be recognized by the plant. They are a mixture of several lipochitooligosaccarides, the structure of which is close to that of rhizobial Nod factors, but is presumably more universal for different plant-fungus combinations . Both sesquiterpenes and Myc factors are released constitutively and in the absence of physical contact with symbiotic partner .
The AM-fungi penetrate the root to colonize inner cortical cells. Plant plays an active role in fungus hosting inside the root tissues using cellular mechanisms similar to those used during rhizobial invasion, such as nucleus reposition, cytoplasm aggregation, special cytoskeletal tunnel assembly and symbiotic membrane formation (reviewed in: ). A special intracellular compartment of AM providing tight metabolic exchange between the partners is arbuscule, which is highly branched fungal hypha surrounded by membrane of plant origin similar to symbiosome of RN symbiosis [35, 46].
Inner-root and outer parts of mycelium remain bound with arbuscules and are a single continuum via which the fungus is able to translocate mineral nutrient and water from the soil into the root system . Thus, well developed AM-symbiosis allows plant growing well in nutrient-poor and drought-affected soils, increases its resistance against pathogens and pests and heavy metals, and improves soil structure (see below).
Phosphorous (P) is one of the mineral nutrients essential for the plant growth (constituting up to 0.2% of the dry weight of the plant cell) and development. It plays the diverse regulatory, structural, and energy transfer roles and consequently is required in significant amounts [48, 49]. The plants can acquire soluble forms of phosphorous directly from soil through the plant specific phosphate transporters (PTs). The dominant available forms in soil (orthophosphate ions, Pi) are very poorly mobile because of the abundance of cations such as Ca2+, Fe3+ and Al3+ . In such environments where inorganic phosphorous is the predominant form in soil, a range of root adaptations, most of them primarily involved in mobilization and assimilation of phosphorous, are described including plant dependence on arbuscular mycorrhizas (see for review: [34, 51]). In most cases there is a preferential uptake via fungal hyphae (the mycorrhizal uptake pathway) . Studies employing radioactive tracers to track hyphal Pi uptake from soil have shown considerable AM contributions to phosphorous uptake [53-55]. The process involves several fungal transport systems some of which have an extremely high affinity for Pi .
After transporting into hyphae, the major part of Pi is polymerized by polyphosphate kinase into polyphosphates (poly-P), the linear chains of Pi. The granules rich in poly-P together with phosphorous-containing esters are packed into the cylindrical vacuoles which are transported along the hyphae by tubulin fibrils. After reaching the arbuscules, phosphorous compounds are destroyed by phosphatases and the released Pi cross the partners’ interface [56-58]. The arbuscule is the site of phosphate transfer from fungus to plant. It is well documented that plants possess many classes of phosphate transport proteins, including those which are expressed only in AM symbiosis [59-61]. It was discovered that five plant and one fungal PT genes are consistently expressed inside the arbusculated cells . A plant phosphate transporter MtPt4 was shown to be expressed specifically on the peri-arbuscular membrane in Medicago truncatula .
The mycorrhizal Pi uptake pathway is controlled by the plant host. Many results suggest that the plant phosphorous status is a major regulator controlling induction/repression of plant PT genes at both the soil-root interface and the inner-root symbiotic interface [63-65]. It was shown that high phosphorous concentrations counteract the induction of the mycorrhizal Pi transporter genes by phospholipid extracts from mycorrhizal roots containing the mycorrhiza signal lysophosphatidylcholine . The efflux of Pi probably occurs in coordination with its uptake and the fungus, on its side, might exert the control over the amount of Pi delivered to the plant .
Although Pi acquisition receives more attention, the important advances in investigations on nitrogen uptake by AM-fungi have been made in recent years. AM-fungi directly uptake ammonium (NH4+), nitrate and amino acids with preference to NH4+ . The first step in the nitrogen uptake requires the activity of specific transporters located at the interface between the soil and extraradical mycelium. A fungal transporter gene (GintAMT1) involved in the process and having high affinity with NH4+ was characterized .
Inorganic nitrogen that was taken up by the extraradical mycelium should then be incorporated into the amino acids and translocated to the intraradical mycelium, mainly as arginine (Arg) since this is the predominant free amino acid in the external hyphae . The glutamine synthetase/glutamate synthase (GS/GOGAT) cycle is possibly responsible for a subsequent NH4+ assimilation in AM extraradical hyphae [70, 71], although the involvement of glutamate dehydrogenase has not been experimentally excluded. Arg similar to Poly-P is stored and is translocated along hyphae in vacuoles and is later released to the plant apoplast .
A mycorrhizal-specific NH4+ transporter LjAMT2;2 has been revealed recently in transcriptomic analysis of Lotus japonicus roots upon colonization with Gigaspora margarita. The gene has been characterized as a high-affinity AMT belonging to the AMT2 subfamily. It is strongly up-regulated and exclusively expressed in the mycorrhizal roots, but not in the nodules, and transcripts have preferentially been located in the arbusculated cells .
The plants colonized by AM-fungi have been demonstrated to manifest an increased resistance to attack of some pathogenic microorganisms, such as fungi, nematodes, bacteria, phytoplasma, and plant viruses (reviewed in: ) as well as to plant feeding insects [74, 75]. However, it is still unknown whether such increased resistance to pathogens is a consequence of improved plant overall fitness or it is due to the specific defense responses induced by AM-fungi.
Actually, a range of processes occurring as a result of pathogen invasion (plant defense responses) also takes place in mycorrhized root tissues. They include the signal perception, signal transduction and defense-related gene activation [76-80]. The elements of hypersensitive responses have been observed to take place at both compatible and non-compatible combinations of plants with AM-fungi; reactions similar to the “oxidative burst” are typical for AM during fungus penetration into the epidermal cell . In AM, as in other compatible biotrophic interactions, the defense-like response appears to be weak and occurs transitorily during the early phases of colonization, suggesting that the suppression of plant defense responses by the fungal signals may contribute to successful, compatible AM fungal colonization [76, 82]. AM-fungi are known to alter both constitutive and induced defenses in foliar tissues [83-85].
Drought stress is a major agricultural constraint in the semi-arid tropics. In most cases symbiosis with AM-fungi has been shown to increase host plant growth rates during drought stress and plant resistance to drought. Several mechanisms explaining this phenomenon have been proposed: an influence of AM on plant hormone profiles, increasing intensity of gaseous exchange and photosynthesis in leaves, direct water transport via fungal hyphae from soil into the host plant, enhanced water uptake through improved hydraulic conductivity and increasing leaf conductance and photosynthetic activity, nitrate assimilation by fungal hyphae, enhanced activity of plant enzymes involved in defence against oxidative stress, plant osmosis regulation, and changes in cell-wall elasticity (reviewed in: [86-89]).
The AM fungal hyphae grow into the soil matrix and create conditions conducive to the formation of microaggregates and then their packing into macroaggregates due to production copious amounts of the glycoprotein glomalin [90, 91]. Through AM-fungi-mediated effects on soil structure, it seems logical to suggest that AM colonization of a soil might affect its moisture retention properties and, in turn, the behaviour of plants growing in the soil, particularly when it is relatively dry .
AM-fungi were found to play an important role in heavy metal detoxification and the establishment of vegetation in strongly polluted areas (see for review: ). Fungal strains isolated from old zinc wastes also decrease heavy metal uptake by plants growing on metal rich substrates, limiting the risk of increasing the levels of these elements in the food chain . Phytoremediation of metal contaminated areas attracts the increasing interest as a cheaper alternative to chemical methods, more friendly for environment and nondestructive to soil biota. The effectiveness of the bioremediation techniques depends on the appropriate selection of both the plant and the fungal partners. Plants conventionally introduced in contaminated areas disappear relatively soon, while those appearing during natural succession are better adapted to harsh conditions. Much more stable are plants that appear on the wastes spontaneously, but, it takes a long time till they establish and form stable communities. Symbiotic partners selected on the basis of such research are often the best choice for future phytoremediation technologies [93-96]. Introduction of plants from xerothermic grasslands into the soils contaminated with industrial metal rich wastes is supposed to be a new solution for waste revegetation . Further improvements can be obtained by optimization of diverse microbiota including various groups of rhizospheric bacteria and shoot endophytes .
Plant Growth Promoting Rhizobacteria (PGPR) are the taxonomically diverse group including different bacteria (Arthrobacter, Azospirillum, Bacillus, Enterobacter, Pseudomonas, Paenibacillus, Streptomyces) and even some archaea . The PGPR are inhabitants of soil in the vicinity of plant roots and are dependent on consuming root exudates. Many PGPR are able to attach to root surfaces and to AM and other fungal hyphae. The PGPR provide several benefits affecting the host plant either directly (due to mineral nutrient improvement and stimulation of root development) or indirectly (due to defence of plants from soil-borne pathogens and improving host tolerance to abiotic stresses).
Similar to rhizobia, Azospirillum possess nitrogenase and therefore is able to fix atmospheric nitrogen. In the early papers, plant growth promoting activity was attributed mainly to associative nitrogen fixation. A broad distribution of cereal-Azospirillum associations was identified (reviewed in: ). It was demonstrated later, however, that a partial role in these plant–PGPR associations was due to phytohormone auxin (indole-3-acetic acid, IAA) synthesis which improves the root growth and assimilatory capabilities and hence aids nitrogen uptake by plants. In spite of absence of the visible anatomic differentiation in root-Azospirillum associations, its development involves a range of molecular interactions some of which may be common to endosymbiotic associations with rhizobia. Moreover, there is a visible taxonomic relatedness between Azospirillum and Bradyrhizobium genera. Thus, azospirilla and those slow-growing rhizobia might originate from a common Azospirillum-like ancestor (see for review: [101, 102]).
Many PGPR are able to solubilize sparingly soluble phosphates, usually by releasing chelating organic acids. Phosphate solubilizing bacteria (PSB) have been identified, but their effectiveness in the soil-plant system is unclear. The ability of an inoculated PSB to supply phosphopous to plant may be limited, either because the compounds released by PSB to solubilize phosphate are rapidly degraded or because the solubilized phosphate is re-fixed before it reaches the root surface .
The best studied examples of bacteria providing efficient defense from phytopathogens are: Pseudomonas (P. fluorescens, P. chlororaphis, P. putida), Bacillus (B. cereus, B. subtilis) and some Serratia (e.g., S. marcescens) species. Many of these bacteria are capable of preventing attacks by pathogenic fungi, nematodes and bacteria [98, 104, 105]. Diverse mechanisms may be involved in host protection offered by PGPR.
The best studied mechanism is the competitive exclusion of pathogens often related to their direct suppression by the bacterial antibiotic substances: phenazine-1-carboxamide, 2,4-diacetylphloroglucinol, kanosamine, oligomycin A, oomycin A, pyoluterin, pyrrolnitrin, xanthobaccin, zwittermycin A, volatile dyes (HCN) and cyclic lipopeptides [98, 104, 105].
An important mechanism for the suppression of pathogens by biocontrol microbes may result from competition for iron or other metals, that involves bacterial siderophores which may possess much greater affinities for ferric ions than those for fungal siderophores [104, 105]. The value of siderophores in biocontrol effects under natural conditions is predominantly associated with their ability to induce forms of systemic resistance in plant [98, 106].
Competitive exclusion of pathogens by PGPR is best achieved when the bacteria exhibit high root-colonizing activity. Application of the technique of genetic labeling with Green Fluorescent Protein (GFP) suggested that these bacteria do not regularly colonize the root interiors, and only rarely they can be observed inside the outer root tissues . Most PGPR cells are concentrated on the root surface where the micro-colonies [98, 104] or bio-films are formed . Since the interactions of plants with root-associated bacteria are not specific, the bacteria will colonize the roots of a broad spectrum of hosts. Specificity of the defensive association may be expressed however, at the point when antimicrobial compounds are being synthesized and this does not always correlate with bacteria taxonomy; many strains of Bacillus and Pseudomonas which possess plant-protective properties have close relatives amongst phytopathogenic types [106, 108, 109].
Microscopic observations demonstrated that suppression of fungi may be correlated with bacterial attachment to pathogen hyphae. As a result of this attachment, some PGPR strains commence their biocontrol functions by behaving as hyper-parasites of pathogenic fungi. This suppression may be related to the production of bacterial enzymes which destroy the pathogen cell walls [104, 105, 110, 111].
Sometimes the biocontrol activities of PGPR do not correlate with intensive colonization of host roots and plant protection results from only a small number of bacteria cells. This occurs when PGPR inoculation induces the systemic resistance mechanisms that make the root non-accessible by pathogens. Initially this effect of PGPR was called ISR (Induced Systemic Resistance) and was attributed exclusively to nonpathogenic systems ; SAR (Systemic Acquired Resistance) reactions, by contrast, were considered to be typical for the interactions with plant pathogens. Nevertheless, it was later found that the reactions of both types occur in either pathogen or nonpathogen systems and are distinguished by the nature of their endogenous elicitors (reviewed in: [106, 113]). The conventional SAR reaction is characterized by an accumulation of salicylic acid as signal molecules and pathogenesis-related proteins (PR-proteins), whereas ISR reaction is based on signal transduction pathways regulated by jasmonates and ethylene. The systemic defence responses of both types may be elicited exogenously by PGPR cells attached to the roots or penetrating their outer tissues. Some molecules produced by PGPR (cell wall and cyclic lipopolysaccharides, flagella components, exoenzymes, phytohormones, type III secretion system (TTSS) effectors, siderophores, salicylic acid, and toxins) may be perceived by the plant and elicit a defensive response .
It has been reported that PGPR which produce an enzyme which is involved in the catabolism of 1-aminocyclopropane-1-carboxylate (ACC) – the ACC deaminase, can lower ethylene concentration in a developing or stressed plant, protecting it against the deleterious effects of ethylene induced stress and facilitating the formation of longer roots [114, 115]. This demonstrates that ethylene is negative regulator of plant interaction with PGPR.
Despite relatively low specificity of plant associations with PGPR, plant genotype has been shown to influence their effectiveness (i.e. genetic integration exists between the partners), and a series of genome loci (QTL) was identified controlling its quantitative variation [106, 116, 117]. The most pronounced plant species-specificity has been observed in the manifestation of ISR reactions caused by PGPR [118, 119].
Both highly effective direct promotion of plant growth and biocontrol may be due to an ability of the host to regulate PGPR functions by modulating the composition of root exudates. Root-excreted organic acids, but not sugars, are optimal for support of different types of PGPR [120-122]. Additionally, some plants (including the legumes, pea and alfalfa) regulate their PGPR functions by exudating specialised signals from the roots which mimic the bacterial “quorum sensing” regulators required for root colonization and antifungal activities . These observations suggest that improvement of biocontrol functions in root-PGPR associations may be achieved via manipulations with the bacterial and plant host genotypes.
Healthy naturally propagated plants grown in the field or in pot cultures are colonized by populations of endophytic bacteria. The spectrum of endophytic bacteria isolated from the roots of various plants covers a wide range of species; representatives of the genera Pseudomonas, Bacillus or Streptomyces are most frequently encountered as endophytes (reviewed in: ). Newly developed molecular methods enable complete analyses of the diversity of culturable and non-culturable bacteria . Most of the known genera include some phytopathogenic endophytes. Endophytes and pathogens both possess many similar virulence factors (reviewed in: ).
Some endophytes are seed-borne, but others have mechanisms for colonizing plants that have yet to be elucidated . Although there are occasional poorly substantiated reports of intracellular colonization of bacteria providing a consistent and effective increase in the productivity of crops, it is still considered that the intercellular apoplastic space is the most suitable niche for endophytes . It is suggested that many bacterial ‘endophytes’ may not colonize the living tissues, but occupy protective niches in dead surface tissues or closely adhering soil of rhizosheaths. Consistent entry of endophytes into living root tissues in the field is supposed to require a bacterial capability to hydrolyse the hydrophobic incrustations of the walls of epidermal, hypodermal, endodermal, and other cortical cells .
Plant associations with endophytic bacteria can increase plant growth and promote general development or improve plant resistance to pathogens and other environmental stresses enhancing the host’s ability to acquire nutrients, or by production of plant growth-regulating, allelopathic or antibiotic compounds [127, 129]. Sometimes improved plant resistance can be linked to induced systemic resistance caused by bacterial elicitors coming from the endophyte .
It is necessary to study the natural associations between bacterial endophytes and their hosts for the purposes of employing such systems most productively in sustainable agriculture . Delivery of endophytes to the environment or agricultural fields should be carefully evaluated to avoid introducing plant, animal and human pathogens .
Microorganisms in the rhizosphere are under the influence of root exudates and plant as a whole as well as of interspecies interactions with each other. Many fungi including AM-fungi can interact with different bacterial species which frequently attach to fungal mycelium (reviewed in: [103, 132, 133]). For those bacteria known to stimulate mycelial growth of mycorrhizal fungi and/or enhance root mycorrhization the term ‘mycorrhiza-helper-bacteria’ has been proposed [133, 134]. Particularly, the bacteria may encourage growth of AM-fungi at the perisymbiotic stage of development, which precedes the establishment of a direct contact of the microsymbiont with the plant root [103, 135]. On the other hand, AM-fungi directly modify the environment due to mycelial exudation , forming the so-called ‘mycorrhizosphere’ . In addition, the stimulation of root exudation as a result of interactions with AM-fungi leads to qualitative and quantitative changes of the bacterial community in the rhizosphere (reviewed in: [103, 132]).
Synergistic effect between RN and AM symbioses of legumes was described by many authors [95, 138-142]. AM formation is known to promote nodule development and nitrogen fixation by rhizobia, in particular, by means of improvement of mineral (predominantly phosphorous) host plant nutrition (see for review: ). AM-fungi also manifest synergism during interactions with PGPR (both indigenous and introduced), which perform biocontrol, nitrogen fixation, and phosphate mobilization during double and complex inoculation [103, 132]. The synergetic effect of plant inoculation by rhizobia and PGPR (Azospirillum, Bacillus, and Pseudomonas) is well known. In particular, it is associated with PGPR production of indole-3-acetic acid, which encourages nodule formation [103, 143]. Triple inoculation of a model legume Anthyllis cytisoides with PGPR, AM-fungi and rhizobia was shown to be the most effective approach for revegetation in mediterranean semi-arid ecosystems .
Thus, the potential of microbial synergism allows us to speak about high prospects of biotechnologies focused on creation multicomponent symbioses (MCS) that increase the fertility and quality of agricultural legume and nonlegume crops. At the same time, the results of experiments with plant symbioses with AM-fungi, rhizobia and PGPR, including multimicrobial systems, show the important role of physiological and genetic adaptation of microorganisms to local environmental conditions [92, 94, 95, 144]. Hence, during the development of such biotechnologies, it is recommended to use a complex of local microbial isolates adapted to particular environmental conditions.
The complex developmental processes which lead to the formation of intercellular and sub-cellular symbiotic compartments in RN and AM symbioses are controlled by both macro- and microsymbiont. Genetic systems of the symbionts are highly integrated, because some genes and gene products of one partner can switch certain genetic programs in another partner, still the development and function of the symbioses is reliant to the greatest extent on the plant. Developmental genetics of RNS is now well described because both plants and nodule bacteria can be subjected to genetic analysis during nitrogen-fixing nodule formation and functioning. There has been less investigation of AM systems. Mainly this is due to the difficulties encountered in culturing AM-fungi, caused by their obligate symbiotic lifestyle and impossibility of using selective media. Additionally, genetic analysis of AM fungi is more complex because of their heterokaryotic nature and lack of sexual process [34, 145].
The plant genes involved in development of RN and AM symbioses may be divided into two groups, according to approach which was used for the gene identification. The first group, Sym genes , had been identified with the use of formal genetic analysis (started from selection of plant mutants defective in nodule development). The other group of genes comprises nodulins (from nodule) , mycorrhizins (from mycorrhiza) [148, 149], and symbiosins (from symbiosis) [149, 150]. These genes were identified by molecular genetic methods, through identification of proteins and/or RNAs synthesized de novo in root nodules (nodulins) or roots colonized by AM fungi (mycorrhizins). The genes whose expression is induced during the development of both endosymbioses, RNS and AM are called symbiosins .
Genes of these groups are suspected to play different roles in the processes which may be referred collectively as “management of microsymbionts” inside plant roots. Specifically, the products of some nodulin genes represent the structural elements of newly constructed temporary compartments developed during symbiosis . The other nodulin genes may play essential roles in modulating the hormonal status of the developing nodules [152, 153]. Resently, in silico and microarray-based transcriptome profiling approaches have allowed identification of nodulins, mycorrhizins and symbiosins, which are being activated in response to an AM fungal signal, or by either rhizobial or AM fungal stimulus, respectively . Several hundred genes were found to be activated at different stages of either symbiosis, with almost 100 genes being co-induced during nodulation and in AM formation. These co-induced genes representing the common evolutionary bases of AM and nodular symbioses can be associated with those cellular functions which are required for symbiotic efficiency, such as the facilitation of nutrient transport across the perisymbiotic membranes that surround the endosymbiotic bacteroids in root nodules and the arbuscules in AM roots . However, it should be remembered that although most of the nodulins/mycorrhizins/symbiosins were already cloned and sequenced, functions for many of them have been identified only preliminary using the sequence data of the encoding genes and location of the gene products in the symbiotic compartments.
Still, most of nodulins, mycorrhizins and symbiosins seem to play a subordinate role in the regulatory scheme of symbiosis, nevertheless being indispensable for its functionality and stability. In turn, the major, regulatory role in realization of symbiotic programmes is to be assigned to Sym genes. These genes, in contrast to nodulin genes, are usually not expressed outside symbiotic structures and there are many examples of the high functional and sequence homologies between them in different legumes. First genes of this group had been identified using the spontaneous mutants from natural legume populations and afterwards using the experimentally induced mutants defective in nodulation or nitrogen fixation (Nod– and Fix– phenotypes) . Afterwards, it was demonstrated that mutations in some of these genes also affect the ability of plant to form AM . The presence of such common genes necessary for both AM and RN symbioses development suggested that both endosymbioses were more closely related than it was suspected before. The cloning and sequencing of the common symbiotic genes helped to understand that AM and RN symbioses share the overlapping signaling pathways, which probably were established during evolution the AM symbiosis and was recruited afterwards into the RN symbiosis development .
The large sizes of genomes of crop legumes (e.g. soybean Glycine max (L.) Merr. and pea) in which the formal genetics of symbioses was initially developed, as well as low capability for genetic transformation, complicate greatly the cloning of symbiotic genes, analysis of their primary structures and the gene manipulations. Therefore, in early 1990s the new legume species, Lotus japonicus and Medicago truncatula [157, 158] have been introduced in studies as model plants. These species are characterized by small genomes (470 – 500 Mb; ) and can easily be genetically transformed [158, 160-162]. In addition, the short lifecycle and high seed productivity made them attractive and convenient model objects for studying molecular bases of RN and AM symbioses.
Genetic analysis in model legumes as well as in crop legumes was started with experimental mutagenesis. Large-scale programs of insertion, chemical and X-rays mutagenesis, performed by different research groups, resulted in generation of numerous symbiotic mutants in L. japonicus and M. truncatula [163, 164] which allowed researchers to identify and characterize a series of Sym genes. The genes involved at the initial stages of nitrogen-fixing symbiosis (early Sym genes) were of primary interest, allowing dissection of the mechanisms by which the NF signal is perceived and transduced by host plants . It turned to be that after the perception of NF, the nodulation process follows the same signalling pathway as AM does, with slight differences, though.
The data obtained during the last fifteen years allowed reconstruction the symbiotic signaling pathway which starts in RN and AM symbioses with recognition the Nod and Myc factors, respectively, and goes on as the signal transduction inside the root. In legumes Nod and Myc factors are most likely perceived by specific receptor complexes . The receptor for NF is considered to be a heterodimer composed of at least two LysM containing receptor kinases [166-168]. Alike, receptor for Myc factor (which is not known yet) also supposed to be consisted of similar receptor kinases, or even include one or more kinases participating in Nod factor signaling . The system of receptor kinases perceiving signal molecules of microsymbionts seems to be complicated, with some receptor complexes being necessary not only for starting the interactions, but also on later stages, during penetration bacteria into the root cortex through root hair. Moreover, some receptor kinases could non-specifically bind Nod and Myc factors, which results in intensified growth of lateral roots [43, 169]. Probably, the diversity of receptor kinases should complement the variability of soil microorganisms and increase the specificity of interactions with mutually beneficial ones.
After the first step of reception of Nod or Myc factor, the symbiotic signal is being transmitted to the common pathway, named Common Symbiosis Pathway . The first player in this pathway is LRR-receptor kinase, or SymRK (symbiotic receptor kinase), which is required for both RN and AM symbioses development [171, 172]. The ligand for this receptor kinase is not known yet. Interestingly, the activity of this kinase is also required for proper progression of late symbiotic stages, at least for rhizobial infection . SymRK kinase domain has been shown to interact with 3-hydroxy-3-methylglutaryl CoA reductase 1 (HMGR1) from M. truncatula , and an ARID-type DNA-binding protein . These results suggest that SymRK may form protein complex with key regulatory proteins of downstream cellular responses. Symbiotic Remorin 1 (SYMREM1) from M. truncatula and SymRK-interacting E3 ligase (SIE3) from L. japonicus have also been shown to interact with SymRK [176, 177].
The symbiosis receptor kinase SymRK acts upstream of the Nod and Myc factor-induced Ca2+ spiking in the perinuclear region of root hairs within a few minutes after NF application . Perinuclear calcium spiking involves the release of calcium from a storage compartment (probably the nuclear envelope) through as-yet-unidentified calcium channels. To date it is known that the potassium-permeable channels might compensate for the resulting charge imbalance and could regulate the calcium channels in plants [179-183]. Also, nucleoporins NUP85 and NUP133 (to date described only in Lotus) are required for calcium spiking, although their mode of involvement is currently unknown. Probably, NUP85 and NUP133 might be a part of specific nuclear pore subcomplex that plays a crucial role in the signal process requiring interaction at the cell plasma membrane and at nuclear and plastid organelle-membranes to induce a Ca2+ spiking [184, 185]. Recently, the third constituent of a conserved subcomplex of the nuclear pore scaffold, NENA, was identified as indispensable component of AM and RN endosymbiotic development .
The calcium spiking is characteristic for both RN and AM symbioses formation . These Ca2+ spikes are supposed to activate a calcium- and calmodulin-dependent protein kinase (CCaMK) that is also required for NF signaling and AM development . This kinase contains an autoinhibition domain, removing of which leads to a spontaneous activation of downstream transcription events and induction of nodule formation in the absence of rhizobia . Thus, CCaMK appears to be a general manager for both symbioses activating different cascades of signaling for N2-fixing symbiosis and AM in response to different Ca2+ spiking, because the next steps of nodulation signaling are independent from those of AM: the mutations in downstream Sym genes do not change the mycorrhizal phenotype of the legume. Interestingly, mutations in any Sym genes do not influence the defense reactions, suggesting that signaling pathways of mutualistic symbioses and pathogenesis are sufficiently different.
The calcium-calmodulin-dependent protein kinase (CCaMK) is supposed to be also involved in legume interactions with PGPR and/or endophytic bacteria as it was shown using inoculation of M. truncatula by P. fluorescens that MtDMI3 gene (encoding for CCaMK) regulates intercellular root colonization by bacteria as well as expression of some plant housekeeping genes known earlier as mycorrhizins .
The CCaMK is known to form a complex with CYCLOPS, a phosphorylation substrate, within the nucleus . cyclops mutants of Lotus severely impair the infection process induced by the bacterial or fungal symbionts, and are also defective in arbuscule development . During RNS, cyclops mutants exhibit the specific defects in infection-thread initiation, but not in the nodule organogenesis , indicating that CYCLOPS acts in an infection-specific branch of the symbiotic signaling network . Cyclops encodes a protein with no overall sequence similarity to proteins with known function, but containing a functional nuclear localization signal and a carboxy-terminal coiled-coil domain.
It is supposed that CCaMK with help of CYCLOPS probably phosphorilates the specific transcription factors already present in cell: NSP1 and NSP2, which influence the changes of expression in several genes related to the symbiosis development [192, 193]. The activity of these proteins leads to the transcriptional changes in root tissues, for instance, increasing the level of early nodulins ENOD40, ENOD11, ENOD12, ENOD5, which are known to be the potential regulators of infection thread growth and nodule primordium formation [165, 194, 195). Also, the changes in cytokinin status of plant are detected, followed by up-regulation of genes encoding for RN symbiosis-specific cytokinin receptors [196-198]. Moreover, transcription regulators NIN and ERN are to be induced specifically downstream of the early NF signaling pathway in order to coordinate and regulate the correct temporal and spatial formation of root nodules [199-202].
The presented genes are responsible for the signal cascade which is aimed to induce the nodulin, mycorrhizin and symbiosin genes responsible for building the symbiotic structures and implementing their biochemical functions. It is supposed that the signaling pathway did not appear de novo in legumes when they become able to form nodules, but was developed from already existed system of AM formation into which the novel, nodule-specific genes were recruited. Still, new genes had been involved in RN symbiosis development, especially those encoding the receptors recognizing hormones (e.g. cytokinins) and hormone-like molecules (Nod factors).
Autoregulation of symbiosis development is an important process that takes place after successful mutual partners’ recognition and signal exchange. For RN symbiosis, it is considered that legume host controls the root nodule numbers by sensing the external and internal cues. A major external cue is the soil nitrate, whereas a feedback regulatory system in which earlier formed nodules suppress further nodulation through shoot-root communication is an important internal cue. The latter is known as the autoregulation of nodulation (AON), and is believed to consist of two long-distance signals: a root-derived signal that is generated in infected roots and transmitted to the shoot; and a shoot-derived signal that inhibits nodulation systemically [203, 204]. Therefore, AON represents a strategy through which the host plant can balance the symbiotrophic N nutrition with the energetically more “cheap” combined N nutrition.
Recent findings on autoregulation of nodulation suggest that the root-derived ascending signals to the shoot are short peptides belonging to the CLE peptide family [205, 206]. The leucine-rich repeat receptor-like kinase HAR1 of Lotus and its homologues in M. truncatula and P. sativum (SUNN and Sym29, respectively) mediate AON and also the nitrate inhibition of nodulation, presumably by recognizing the root-derived signal [207-210]. Other genes, like ASTRAY, KLAVIER and TML in Lotus, and RDN1 in M. truncatula, are also supposed to play a sufficient role in AON [211-214].
Very little is still known about the plant regulation of mycorrhization process. In split-root systems on alfalfa (Medicago sativa), inoculation of one half of a split-root system with the fungus Glomus mosseae significantly reduced later AM colonization on the other half. A similar suppressive effect on mycorrhization was observed after inoculation with Sinorhizobium meliloti . Furthermore, prior addition of purifed rhizobial Nod factors on one half signifcantly reduced mycorrhization on the other half of the split-root system, and reciprocally, prior mycorrhization on one side suppressed nodule formation on the other side of the split-root system. Together these data point to a common autoregulation circuit for both symbioses . It was suggested that Nod factor signaling, as well as mycorrhizal Myc factor signaling, induces expression or post-translation processing of CLE peptides, which likely function as ascending long-distance signals to the shoot . Also, it was demonstrated that mutations in HAR1 of Lotus and corresponding orthologues in other legumes increase both nodulation and mycorrhization suggesting the shared role of these orthologous genes in controlling the rate of root colonization by microsymbionts. Thereby, not only the local signal transduction (CSP) but the systemic autoregulation is common for the RN and AM symbioses.
The next-coming step of development the genetics of symbioses is studying gene networks on intergenomic level, i.e. the coordinated expression of plant and microbe genes. For AM, with use of the new molecular approaches, in particular transcriptomics, a series of AM fungal genes has been identified, having altered expression levels during the AM formation [216-219]. Still it is not well studied at which stages of fungal-plant interaction the complementary partners’ genes are induced or repressed, and so the use of plant mutants impaired at different steps of AM development might be a challenging approach to reveal the pattern of plant and fungal genetic cooperation . The same research aimed at identification of plant-rhizobial gene interactions with the use of plant and microbe mutants is also in progress.
It has been recently observed that Medicago truncatula showed significantly lower efficiency of nitrogen fixation than its close relative Medicago sativa L. . The number of nodules formed on the roots of M. truncatula was less than that of M. sativa, and the nitrogen fixation measured on plants at the beginning of flowering (as well as specific N2 fixation (µgN h-1 mg nodule-1)) was significantly lower. The reasons for the low efficiency in nitrogen fixation were partially a result of low relative efficiency (electron allocated to N2 versus H+), and slow nitrogen export from nodules in M. truncatula when compared to M. sativa. This might be connected with a low malate concentration in the nodule tissue of M. truncatula, and thus insufficient carbon provision for asparagine formation (fixed nitrogen is to be added to malate to form asparagine) . Therefore, Sulieman and Schulze suggest that improvement the malate formation in M. truncatula nodules could help improving the effectiveness of nitrogen fixation.
According to these data, genes encoding for enzymes of malate synthesis should be good candidates for markers to be used as selection and breeding aimed at improvement of symbiotic properties in M. truncatula. But, in different species potential markers of symbiotic effectiveness could be found among genes of different functional groups. Our original data on sequencing alleles of symbiotic genes in pea (Pisum sativum) varieties with different symbiotic effectiveness suggest that polymorphism of genes belonging to CSP does not correspond to symbiotic properties of pea varieties analysed (Zhukov V.A., unpublished results). Perhaps, good candidates for markers of symbiotic effectiveness could be found during large-scale screening by transcriptome sequencing in different pea genotypes, which is now underway in our laboratory.
An existence of plant genes [148, 150, 222] and their molecular products common for both AM and RN symbioses led to a conclusion that system of legume symbiotic genes should be considered as a single whole, controlling the development of a tripartite symbiosis (legume plant + AM fungi + rhizobia). This fact along with the demonstration of synergistic activity in beneficial soil microbes (reviewed in: ) and a suggestion that plant genetic systems controling the development of RN and, probably, of some other beneficial plant-microbe associations evolved on the basis of that of AM have great importance for the application of tripartite or even multi-partite symbiotic systems in low-input sustainable environmentally-friendly agrotechnologies.
The use in sustainable agriculture of inocula based on beneficial soil microbes as described above allows the improvement crop productivity with decreased doses of mineral fertilizers and pesticides (reviewed in: [224, 225]). These days the majority of commercial inocula contain pure cultures of single microorganisms and only occasionally multiple combinations. There are several objections to the use of mono-inoculation. Firstly, endemic microbial communities are stable and the introduced microbe may be allowed to occupy a very small niche in the whole community or even get lost in a first week after introduction. Secondly, genetic material in microbes is very plastic, and consequently strains introduced into natural ecosystems can rapidly lose their beneficial traits. Thirdly, the existence of microbial cooperation in the rhizosphere as well as in natural synergistic associations of different microbes including those between AM fungi and their endocellular or superficial symbionts [103, 132] question the possibility and expediency of applying mono-inoculants and even use of the term ‘mono-inoculation’ itself. Finally, plants possess relatively stable genomes and this fact contributes significantly to the effectiveness of symbiosis . Therefore, for industrial plant production in sustainable systems we should use plants having highly effective interactions with all kinds of beneficial soil microbes, which can encourage the development of multiple niches hosting microbes and regulating their activity. For this it is necessary to develop new multi-component microbial inocula which increase the content and biodiversity of beneficial soil microbes in agricultural land.
There is experimental evidence of the effectiveness of simultaneous inoculation of legumes with AM fungi and nodule bacteria leading to increased productivity and quality of the yield, e.g. groundnut , pea [139-141, 227], albaida (Anthyllis cytisoides) , and soybean . The effect achieved equalled or exceeded that achieved with mineral fertilizers [140, 141, 227]. The effect also exceeded that of mono-inoculation with AM fungi or with rhizobia either in model experiments or under field conditions [139, 140, 142]. In long-term experiments in a desertified Mediterranean ecosystem, it was found that simultaneous inoculation with AM fungi and rhizobia enhanced the establishment of key plant species and increased soil fertility and quality; increased soil nitrogen content, organic matter content, and soil aggregate hydrostability and enhanced nitrogen transfer from nitrogen-fixing to non-fixing species associated with the natural succession of the plants .
There is an example of application of triple inoculum (AM fungi, rhizobia and PGPR) to the legume A. cytisoides which was successful only when the microorganisms used were isolated from local environment . In collaboration with an innovation company “Bisolbi-Inter” (Russian Federation) the All-Russia Research Institute for Agricultural Microbiology (ARRIAM), Saint-Petersburg, Russian Federation, has developed technology for the production and application of a new multifunctional biopreparation BisolbiMix containing a complex of the most effective isolates of endosymbiotic microbes (AM fungi and rhizobia) and associative bacteria (PGPR) from the collection held at ARRIAM. A non-sterile substrate-carrier which is derived from washing-filtration by-products of a sugar-beet factory contains its own microbial community including all the above groups of beneficial microbes. The preparation can be formulated into a seed dressing (not effective for all the crop plants tested) or granules. The efficacy of BisolbiMix was demonstrated in field trials with legumes, e.g. pea or non-legumes such as wheat, pumpkin and potato (Chebotar V.K. et al., unpublished results). The use of microbial formulations containing rhizobia for non-legumes seems to be sensible because it is known that nodule bacteria which do not form nodules on a non-host legume as well as non-legume roots can operate as PGPR [229, 230]. Thus, the selection of rhizobia with both PGPR activity and efficient symbiotic nitrogen fixation should be advantageous in crop rotations or intercropping systems using legumes and non-legumes.
It is possible, therefore, to develop effective multi-microbial inoculants, but it is necessary to use local communities of beneficial microbes because this exploits the natural biological and genetical adaptations of the partners to their environment [94, 231].
During development of plant-microbe systems for low-input sustainable ecologically friendly plant cultivation it is necessary to be guided by conclusions of EC experts about global productivity of legumes (http://www.grainlegumes.com/aep/; http://ec.europa.eu/research/biosociety/food_quality/projects/002_en.html) for sustainable agriculture. The use of legumes in agriculture is leading to: improved soil fertility and increased diversity of crops and soil microbial communities; reductions in the use of non-renewable natural resources; decreased negative effects from intensive agrotechnologies on the natural environment due to decreased requirement for mineral fertilizers and pesticides and decreased production of animal protein and associated wastes; local production of pollution-free food and forage; and a more stable income for the agricultural producers. This is why it is necessary to breed legumes which have highly effective interactions with beneficial soil microbes.
For more than twenty five years the authors’ laboratory has specialized in the genetics of plant-microbe interactions using pea (P. sativum L.) as a model plant. Our experience for improving the effectiveness of beneficial plant-microbe systems with pea is consequently given as an example. At the same time, the authors’ team knows only single record of other activity of this nature: genetic variability of onion (Allium spp.) has been shown with respect to its responsiveness to AM fungi inoculation which indicate that onion breeding for improving efficacy of associations with AM fungi is possible . The necessity for this sort of plant breeding is also considered, mainly with respect to the effectiveness of RN symbiosis [233-236].
A high level of genetic variability was demonstrated in analyses of the symbiotic effectiveness under double inoculation with AM fungi and nodule bacteria of 99 land-races and outclassed heritage cultivars of P. sativum from the collection N.I. Vavilov’s All-Russia Research Institute of Plant Industry, Saint-Petersburg, Russian Federation, of different geographical origin [139, 141]. In a few genotypes considerable increases in plant dry weight (about 300 %), seed productivity (more than 650%), phosphorus and nitrogen content (more than 900 and more than 300 %, respectively) were observed. The most promising highly symbiotically effective genotypes and those with low symbiotic potential were included in the Pea Genetic Collection (ARRIAM) to be used for experiments studying the functioning of tripartite/multipartite symbiosis. Types identified as highly symbiotically effective genotypes were involved in breeding programmes to create commercial pea cultivars with great potential for interactions with beneficial soil microbes (in collaboration with All-Russia Institute of Leguminous and Groat Crops (ARILGC), Orel, Russian Federation).
The most promising highly symbiotically effective pea genotypes previously selected and different commercial pea cultivars created without consideration of symbiotic effectiveness were involved in three-year field trials (Orel district) . Seed productivity and plant dry weight were chosen as the main criteria for the evaluation of symbiosis effectiveness in legume crops. The double (actually multiple, see above comments on the nature of AM fungi) inoculation was shown to increase seed productivity and plant dry weight in most of the pea genotypes studied and sometimes this could exceed the effect of mineral fertilizers. The effectiveness of legume breeding to improve the symbiotic potential of legume cultivars was proven therefore under field conditions and the genotypes to be used in such breeding programmes were identified. The genotype K-8274 (non-commercial) was selected as a standard of symbiotic effectiveness. Additionally, it was demonstrated that highly effective genotypes can be also found among commercial pea cultivars created without consideration for effectiveness of interactions with beneficial soil microbes. Taking into account that most commercial legume cultivars have accidentally lost their abilities for symbiotrophic nutrition without selective pressure during breeding of intensive crops, the latter constitutes a very important finding for plant breeders and gives them the possibility for concurrent generation of cultivars with required pea plant architecture, other agriculturally important traits and high effectiveness of interactions with all types of beneficial soil microbes in a single breeding programme.
In order to cultivate plants with improved symbiotic potential a special breeding nursery was created in the experimental trials ground of ARILGC on land where for the 5 years before nursery establishment mineral fertilizers had not been applied. To reduce the incidence and severity of root pathogens a 6-field crop rotation was used where cultivation of winter wheat was followed by peas. The multi-component preparation BisolbiMix was used for the inoculation of test plants.
Using the breeding nursery as well as a breeding protocol developed from long-term collaboration of ARRIAM with ARILGC the first (in the whole history of legume breeding) pea cultivar “Triumph” having increased potential of interactions with beneficial soil microbes was intentionally created . It arose as a result of crossing a commercial cultivar ‘Classic’ (donor of agriculturally important traits) and the genotype K-8274 (donor of symbiotic effectiveness trait) and subsequent individual selection of genotypes with high productivity and capacity for supporting various beneficial microbes.
The cultivar “Triumph” is of middle stem height, semi-leafless and has stable productivity under different climate conditions, it is comparatively resistant to root rots and pests. Its productivity is not lower than those of the productivity standards for Orel district using the conventional production technologies and 10% greater in comparison with the standard cultivars when inoculated with BisolbiMix. As a result of two-year state trials (2007-2008) the productivity of “Triumph” was shown to be comparable with those of standard regional cultivars enabling recommendation for commercial cultivation in the Central region of Russian Federation (unpublished results). Thus, the innovative concept of the authors’ research team for plant breeding (applicable not only for legumes, but also for non-legumes) is bearing its first fruits.
Intimate associations of beneficial soil microbes with the host plants described above in detail are applicable in sustainable crop production if taken either separately or in combination. Many authors are now recognizing the need for using the multi-microbial plant inoculants and the advantages of using the indigenous plants (or varieties of local breeding) and microbes.
The authors’ team proposes its own concept which offers fundamentally new approaches to plant production. Firstly, it is necessary to consider plant genetic systems controlling interactions with different beneficial soil microbes in unison. Secondly, plants used as a component of this complex plant-microbe system controlling its effectiveness should be bred to improve the effectiveness of interactions with all types of beneficial soil microbes. Increases of plant biomass production due to plant-microbe symbiosis should be used as the main parameter for an evaluation of plant effectiveness in interactions with beneficial soil microbes. The plant production should be done with inoculation composed of multi-component microbial inocula consisting of AM fungi, rhizobia, PGPR and/or beneficial endophytic bacteria. Finally, taking into consideration the importance of legumes for global agriculture, greater emphasis should be placed on plant-microbial systems in the development of low-input agro-biotechnologies enabling wider cultivation of leguminous crops.
Molecular markers are considered to be a convenient tool to facilitate breeding via MAS (marker-assisted selection) approach. But, search for suitable markers that are associated with symbiotic effectiveness trait is rather complicated problem. To our knowledge, there was no direct link between sequences of symbiotic genes and symbiotic effectiveness, and there are only a few examples of successful use of QTL analysis in legumes to trace loci associated with some symbiotic traits in pea and Lotus . So there’s a gap between molecular genetic bases of symbioses development, from one side, and effective functioning the symbiotic systems in field conditions, from the other side. In our opinion, substantial improvement of methods of molecular genetics and bioinformatics, such as next-generation sequencing and proteome analysis, could help to build a bridge between fundamental and applied science in this area, and to improve the sustainability of the legume crop production.
We thank Dr. Margarita A. Vishnyakova (N.I. Vavilov All-Russia Research Institute of Plant Industry, St-Petersburg, Russian Federation), Dr. Tatiana S. Naumkina (All-Russia Institute of Legumes and Groat Crops, Orel, Russian Federation) and Dr. Vladimir K. Chebotar (“Bisolbi-Inter” Ltd., St-Petersburg, Russian Federation) for the long-term collaboration in the fields of legume breeding and microbial inocula development. We are also grateful to Victoria Semenova (Komarov Botanical Institute, St-Petersburg, Russian Federation) for critical reading the manuscript. This work was supported by the grants of RFBR (10-04-00961, 10-04-01146, 12-04-01867), Grant to support leading Russian science school (HIII–337.2012.4) and Governmental contracts for research with Ministry of Science and Education of Russian Federation (II1304, 16.512.11.2155, #8109). | 2019-04-26T00:56:01Z | https://www.intechopen.com/books/plant-breeding-from-laboratories-to-fields/breeding-to-improve-symbiotic-effectiveness-of-legumes |
One of the best ice skating rinks in Littleton, CO, The Ice Ranch Ice Skating Rink is a 2 sheet indoor ice skating rink is open year round. Figure & Ice Skating Lessons. If so, the folks here love to teach and their instructors are top notch. For beginners they usually focus on providing the basics. For more advanced skaters they focus on proper form, technique and getting you ready to meet your goals. Call The Ice Ranch at (303) 285-2110 for more details. Ice Hockey Leagues The Ice Ranch Ice Skating Rink offers ice hockey leagues for all ages. Whether you are a beginning skater looking to play on a team in an instructional league or an experienced ice hockey player looking to get out and play with others of a similar caliber, The Ice Ranch Ice Skating Rink is the place to play. Give them a call at (303) 285-2110 to inquire about their leagues now. The experienced group will help get you ready for your next game Leagues and levels include: Adult,Youth,High School,Collegiate. Ice Hockey Tournaments What better way to see how you and your team stacks up than to play against teams outside your normal leagues? The Ice Ranch Ice Skating Rink hosts ice hockey tournaments forall ages.at their facilities. Call The Ice Ranch at (303) 285-2110 for more details and to look into upcoming tournaments. Ice Hockey Camps and Clinics With the exception of private lessons, the best way to increase your hockey skills is to do drills and exercises that build on the fundamentals. Even better is to do those drills while supervised by someone who understands how to do things properly and can correct you when you are doing them wrong. When playing, everyone feels like they are NHL ready, but very few really look or play that way. The Ice Ranch Ice Skating Rink offers camps and clinics for all ages.to help you improve your game. Call The Ice Ranch at (303) 285-2110 to learn when their next ice hockey camp or clinic is being held. Pickup Hockey on Ice Looking for a casual game of hockey? The Ice Ranch Ice Skating Rink offers pickup ice hockey for all ages.Give The Ice Ranch a call at (303) 285-2110 to inquire about their pickup hockey schedule if it is not listed in the description or schedule here. Broom Ball The Ice Ranch offers Broomball. Many people do not know this, but Broomball is an actual competitive sport. It is similar to ice hockey – it is fast and fun. If you are looking to rent the ice for a group to play broomball or you are just interested in giving it a try, give them a call now at (303) 285-2110. Interested in Curling? Curling is a team sport that is offered at The Ice Ranch. Their ice is carefully prepared and ready for the next bonspiel competition. If you are interested in giving it a try, please give them a call at (303) 285-2110 Birthday Party or Event Planning? Why not have your party or event at The Ice Ranch? They can make their rink and other facilities available to you for birthday parties, holiday parties or corporate events. Their prices are great. They would love to have you out. Give them a call if you would like to schedule your event now at (303) 285-2110. Please call at least one week in advance to properly schedule your event. Snack Bar Got the munchies? The Ice Ranch provides food and beverages in the snack bar.
One of the best roller skating rinks in Arvada, CO, U S On Wheels Roller Skating Rink is a 1 floor indoor roller skating rink is open year round. It was founded in 1974. Public Skating Roller skating sessions for All Ages are one of the main attractions at U S On Wheels. Skating provides great exercise and an opportunity to get out of the house – plus, it is not like exercising at the gym… skating is fun! Lace-em up and come join the others. Get on the floor and get ready for a great experience. If you do not see the rinks public roller skating schedule posted, be sure to contact them at (303) 423-0616 for their public session times. And please tell them that you saw them on RinkTime. And remind them to keep their schedule updated on the site. Roller Skating Lessons. If so, the folks here love to teach and their instructors are top notch. For beginners they usually focus on providing the basics. For more advanced skaters they focus on proper form, technique and getting you ready to meet your goals. Call U S On Wheels at (303) 423-0616 for more details. Roller Hockey Leagues U S On Wheels Roller Skating Rink offers roller hockey leagues for all ages. Whether you are a beginning skater looking to play on a team in an instructional league or an experienced roller hockey player looking to get out and play with others of a similar caliber, U S On Wheels Roller Skating Rink is the place to play. Give them a call at (303) 423-0616 to inquire about their leagues now. The experienced group will help get you ready for your next game Leagues and levels include: Adult,Youth. Pickup Roller Hockey Looking for a casual game of hockey? U S On Wheels Roller Skating Rink offers pickup roller hockey for all ages.Give U S On Wheels a call at (303) 423-0616 to inquire about their pickup hockey schedule if it is not listed in the description or schedule here. Roller Hockey Tournaments What better way to see how you and your team stacks up than to play against teams outside your normal leagues? U S On Wheels Roller Skating Rink hosts roller hockey tournaments forall ages.at their facilities. Call U S On Wheels at (303) 423-0616 for more details and to look into upcoming tournaments. Roller Hockey Camps and Clinics With the exception of private lessons, the best way to increase your roller hockey skills is to do drills and exercises that build on the fundamentals. Even better is to do those drills while supervised by someone who understands how to do things properly and can correct you when you are doing them wrong. When playing, everyone feels like they are ready for the pros, but very few really look or play that way. U S On Wheels Roller Skating Rink offers camps and clinics for all ages.to help you improve your game. Call U S On Wheels at (303) 423-0616 to learn when their next roller hockey camp or clinic is being held. Speed Skating Some say going round in circles is boring – others feel the thrill of flying around on the floor at twenty to over miles per hour and find it exhilarating. Speed Skating is fast, requires strength, skill, talent and concentration. U S On Wheels provides speed skating for facilities with very fast ice. Birthday Party or Event Planning? Why not have your party or event at U S On Wheels? They can make their rink and other facilities available to you for birthday parties, holiday parties or corporate events. Their prices are great. They would love to have you out. Give them a call if you would like to schedule your event now at (303) 423-0616. Please call at least one week in advance to properly schedule your event. Snack Bar Got the munchies? U S On Wheels provides food and beverages in the snack bar. Visit our Pro Shop If your are looking for new roller skating equipment or services, U S On Wheels can help. The U S On Wheels pro shop offers a wide array of products and services. Stop by for a visit next time you are at the rink or contact them now at (303) 423-0616 to see if they have what you are looking for.
One of the best roller skating rinks in Parker, CO, The Parker Fieldhouse Roller Skating Rink is a 1 floor indoor roller skating rink is open year round. Public Skating Roller skating sessions for All Ages are one of the main attractions at The Parker Fieldhouse. Skating provides great exercise and an opportunity to get out of the house – plus, it is not like exercising at the gym… skating is fun! Lace-em up and come join the others. Get on the floor and get ready for a great experience. If you do not see the rinks public roller skating schedule posted, be sure to contact them at (303) 805-6300 for their public session times. And please tell them that you saw them on RinkTime. And remind them to keep their schedule updated on the site. Birthday Party or Event Planning? Why not have your party or event at The Parker Fieldhouse? They can make their rink and other facilities available to you for birthday parties, holiday parties or corporate events. Their prices are great. They would love to have you out. Give them a call if you would like to schedule your event now at (303) 805-6300. Please call at least one week in advance to properly schedule your event. Snack Bar Got the munchies? The Parker Fieldhouse provides food and beverages in the snack bar.
Louisville - Downtown Ice Skating Rink is a 1 sheet indoor ice skating rink that is open seasonally. Ice skating sessions for All Ages are availble at Louisville - Downtown.
One of the best ice skating rinks in Louisville, CO, Louisville – Downtown Ice Skating Rink is a 1 sheet indoor ice skating rink is open seasonally. Public Skating Ice skating sessions for All Ages are one of the main attractions at Louisville – Downtown. Ice Skating provides great exercise and an opportunity to get out of the house – plus, it is not like exercising at the gym… skating is fun! Lace-em up and come join the others. Get on the ice and get ready for a great experience. If you do not see the rinks public ice skating schedule posted, be sure to contact them at (303) 449-3137 for their public session times. And please tell them that you saw them on RinkTime. And remind them to keep their schedule updated on the site.
One of the best ice skating rinks in Nederland, CO, Nederland Ice Skating Rink is a 1 sheet indoor ice skating rink is open year round. Public Skating Ice skating sessions for All Ages are one of the main attractions at Nederland Ice. Ice Skating provides great exercise and an opportunity to get out of the house – plus, it is not like exercising at the gym… skating is fun! Lace-em up and come join the others. Get on the ice and get ready for a great experience. If you do not see the rinks public ice skating schedule posted, be sure to contact them at (303) 478-8592 for their public session times. And please tell them that you saw them on RinkTime. And remind them to keep their schedule updated on the site. Figure & Ice Skating Lessons. Are you an adult looking to learn to ice skate? Do you have children yearning to ice skate like the pros? If so, the folks here love to teach and their instructors are top notch. For beginners they usually focus on providing the basics. For more advanced skaters they focus on proper form, technique and getting you ready to meet your goals. Call Nederland Ice at (303) 478-8592 for more details. Ice Hockey Leagues Nederland Ice Skating Rink offers ice hockey leagues for all ages. Whether you are a beginning skater looking to play on a team in an instructional league or an experienced ice hockey player looking to get out and play with others of a similar caliber, Nederland Ice Skating Rink is the place to play. Give them a call at (303) 478-8592 to inquire about their leagues now. The experienced group will help get you ready for your next game Leagues and levels include: All Ages. Ice Hockey Camps and Clinics With the exception of private lessons, the best way to increase your hockey skills is to do drills and exercises that build on the fundamentals. Even better is to do those drills while supervised by someone who understands how to do things properly and can correct you when you are doing them wrong. When playing, everyone feels like they are NHL ready, but very few really look or play that way. Nederland Ice Skating Rink offers camps and clinics for all ages.to help you improve your game. Call Nederland Ice at (303) 478-8592 to learn when their next ice hockey camp or clinic is being held. Pickup Hockey on Ice Looking for a casual game of hockey? Nederland Ice Skating Rink offers pickup ice hockey for all ages.Give Nederland Ice a call at (303) 478-8592 to inquire about their pickup hockey schedule if it is not listed in the description or schedule here. Birthday Party or Event Planning? Why not have your party or event at Nederland Ice? They can make their rink and other facilities available to you for birthday parties, holiday parties or corporate events. Their prices are great. They would love to have you out. Give them a call if you would like to schedule your event now at (303) 478-8592. Please call at least one week in advance to properly schedule your event. Snack Bar Got the munchies? Nederland Ice provides food and beverages in the snack bar.
One of the best roller skating rinks in Lakewood, CO, Rocky Mountain Roller Hockey League Inc. Roller Skating Rink is a 1 floor indoor roller skating rink is open year round. Roller Skating Lessons. If so, the folks here love to teach and their instructors are top notch. For beginners they usually focus on providing the basics. For more advanced skaters they focus on proper form, technique and getting you ready to meet your goals. Call Rocky Mountain Roller Hockey League Inc. at (303) 933-1680 for more details. Roller Hockey Leagues Rocky Mountain Roller Hockey League Inc. Roller Skating Rink offers roller hockey leagues for all ages. Whether you are a beginning skater looking to play on a team in an instructional league or an experienced roller hockey player looking to get out and play with others of a similar caliber, Rocky Mountain Roller Hockey League Inc. Roller Skating Rink is the place to play. Give them a call at (303) 933-1680 to inquire about their leagues now. The experienced group will help get you ready for your next game Leagues and levels include: Adult,Youth,Middle School,High School. Pickup Roller Hockey Looking for a casual game of hockey? Rocky Mountain Roller Hockey League Inc. Roller Skating Rink offers pickup roller hockey for all ages.Give Rocky Mountain Roller Hockey League Inc. a call at (303) 933-1680 to inquire about their pickup hockey schedule if it is not listed in the description or schedule here. Roller Hockey Tournaments What better way to see how you and your team stacks up than to play against teams outside your normal leagues? Rocky Mountain Roller Hockey League Inc. Roller Skating Rink hosts roller hockey tournaments forall ages.at their facilities. Call Rocky Mountain Roller Hockey League Inc. at (303) 933-1680 for more details and to look into upcoming tournaments. Roller Hockey Camps and Clinics With the exception of private lessons, the best way to increase your roller hockey skills is to do drills and exercises that build on the fundamentals. Even better is to do those drills while supervised by someone who understands how to do things properly and can correct you when you are doing them wrong. When playing, everyone feels like they are ready for the pros, but very few really look or play that way. Rocky Mountain Roller Hockey League Inc. Roller Skating Rink offers camps and clinics for all ages.to help you improve your game. Call Rocky Mountain Roller Hockey League Inc. at (303) 933-1680 to learn when their next roller hockey camp or clinic is being held. Snack Bar Got the munchies? Rocky Mountain Roller Hockey League Inc. provides food and beverages in the snack bar.
One of the best ice skating rinks in Greeley, CO, Greeley Ice House Ice Skating Rink is a 1 sheet indoor ice skating rink is open year round. Public Skating Ice skating sessions for All Ages are one of the main attractions at Greeley Ice House . Ice Skating provides great exercise and an opportunity to get out of the house – plus, it is not like exercising at the gym… skating is fun! Lace-em up and come join the others. Get on the ice and get ready for a great experience. If you do not see the rinks public ice skating schedule posted, be sure to contact them at (970) 350-9402 for their public session times. And please tell them that you saw them on RinkTime. And remind them to keep their schedule updated on the site. Figure & Ice Skating Lessons. Are you an adult looking to learn to ice skate? Do you have children yearning to ice skate like the pros? If so, the folks here love to teach and their instructors are top notch. For beginners they usually focus on providing the basics. For more advanced skaters they focus on proper form, technique and getting you ready to meet your goals. Call Greeley Ice House at (970) 350-9402 for more details. Ice Hockey Leagues Greeley Ice House Ice Skating Rink offers ice hockey leagues for all ages. Whether you are a beginning skater looking to play on a team in an instructional league or an experienced ice hockey player looking to get out and play with others of a similar caliber, Greeley Ice House Ice Skating Rink is the place to play. Give them a call at (970) 350-9402 to inquire about their leagues now. The experienced group will help get you ready for your next game Leagues and levels include: Adult,Youth,High School. Ice Hockey Tournaments What better way to see how you and your team stacks up than to play against teams outside your normal leagues? Greeley Ice House Ice Skating Rink hosts ice hockey tournaments forall ages.at their facilities. Call Greeley Ice House at (970) 350-9402 for more details and to look into upcoming tournaments. Ice Hockey Camps and Clinics With the exception of private lessons, the best way to increase your hockey skills is to do drills and exercises that build on the fundamentals. Even better is to do those drills while supervised by someone who understands how to do things properly and can correct you when you are doing them wrong. When playing, everyone feels like they are NHL ready, but very few really look or play that way. Greeley Ice House Ice Skating Rink offers camps and clinics for all ages.to help you improve your game. Call Greeley Ice House at (970) 350-9402 to learn when their next ice hockey camp or clinic is being held. Pickup Hockey on Ice Looking for a casual game of hockey? Greeley Ice House Ice Skating Rink offers pickup ice hockey for all ages.Give Greeley Ice House a call at (970) 350-9402 to inquire about their pickup hockey schedule if it is not listed in the description or schedule here. Broom Ball Greeley Ice House offers Broomball. Many people do not know this, but Broomball is an actual competitive sport. It is similar to ice hockey – it is fast and fun. If you are looking to rent the ice for a group to play broomball or you are just interested in giving it a try, give them a call now at (970) 350-9402. Birthday Party or Event Planning? Why not have your party or event at Greeley Ice House ? They can make their rink and other facilities available to you for birthday parties, holiday parties or corporate events. Their prices are great. They would love to have you out. Give them a call if you would like to schedule your event now at (970) 350-9402. Please call at least one week in advance to properly schedule your event. Snack Bar Got the munchies? Greeley Ice House provides food and beverages in the snack bar.
One of the best ice skating rinks in Glenwood Springs, CO, Glenwood Springs Community Center Ice Skating Rink is a 1 sheet indoor ice skating rink is open seasonally. Public Skating Ice skating sessions for All Ages are one of the main attractions at Glenwood Springs Community Center. Ice Skating provides great exercise and an opportunity to get out of the house – plus, it is not like exercising at the gym… skating is fun! Lace-em up and come join the others. Get on the ice and get ready for a great experience. If you do not see the rinks public ice skating schedule posted, be sure to contact them at (970) 384-6313 for their public session times. And please tell them that you saw them on RinkTime. And remind them to keep their schedule updated on the site. Figure & Ice Skating Lessons. Are you an adult looking to learn to ice skate? Do you have children yearning to ice skate like the pros? If so, the folks here love to teach and their instructors are top notch. For beginners they usually focus on providing the basics. For more advanced skaters they focus on proper form, technique and getting you ready to meet your goals. Call Glenwood Springs Community Center at (970) 384-6313 for more details. Ice Hockey Camps and Clinics With the exception of private lessons, the best way to increase your hockey skills is to do drills and exercises that build on the fundamentals. Even better is to do those drills while supervised by someone who understands how to do things properly and can correct you when you are doing them wrong. When playing, everyone feels like they are NHL ready, but very few really look or play that way. Glenwood Springs Community Center Ice Skating Rink offers camps and clinics for all ages.to help you improve your game. Call Glenwood Springs Community Center at (970) 384-6313 to learn when their next ice hockey camp or clinic is being held. Pickup Hockey on Ice Looking for a casual game of hockey? Glenwood Springs Community Center Ice Skating Rink offers pickup ice hockey for all ages.Give Glenwood Springs Community Center a call at (970) 384-6313 to inquire about their pickup hockey schedule if it is not listed in the description or schedule here. Birthday Party or Event Planning? Why not have your party or event at Glenwood Springs Community Center? They can make their rink and other facilities available to you for birthday parties, holiday parties or corporate events. Their prices are great. They would love to have you out. Give them a call if you would like to schedule your event now at (970) 384-6313. Please call at least one week in advance to properly schedule your event. Snack Bar Got the munchies? Glenwood Springs Community Center provides food and beverages in the snack bar.
One of the best roller skating rinks in Fort Collins, CO, OD’s Sports Crossing Roller Skating Rink is a 1 floor indoor roller skating rink is open year round. Public Skating Roller skating sessions for All Ages are one of the main attractions at OD’s Sports Crossing. Skating provides great exercise and an opportunity to get out of the house – plus, it is not like exercising at the gym… skating is fun! Lace-em up and come join the others. Get on the floor and get ready for a great experience. If you do not see the rinks public roller skating schedule posted, be sure to contact them at (970) 282-1112 for their public session times. And please tell them that you saw them on RinkTime. And remind them to keep their schedule updated on the site. Roller Skating Lessons. If so, the folks here love to teach and their instructors are top notch. For beginners they usually focus on providing the basics. For more advanced skaters they focus on proper form, technique and getting you ready to meet your goals. Call OD’s Sports Crossing at (970) 282-1112 for more details. Roller Hockey Leagues OD’s Sports Crossing Roller Skating Rink offers roller hockey leagues for all ages. Whether you are a beginning skater looking to play on a team in an instructional league or an experienced roller hockey player looking to get out and play with others of a similar caliber, OD’s Sports Crossing Roller Skating Rink is the place to play. Give them a call at (970) 282-1112 to inquire about their leagues now. The experienced group will help get you ready for your next game Leagues and levels include: Adult,Youth. Roller Hockey Tournaments What better way to see how you and your team stacks up than to play against teams outside your normal leagues? OD’s Sports Crossing Roller Skating Rink hosts roller hockey tournaments forall ages.at their facilities. Call OD’s Sports Crossing at (970) 282-1112 for more details and to look into upcoming tournaments. Roller Hockey Camps and Clinics With the exception of private lessons, the best way to increase your roller hockey skills is to do drills and exercises that build on the fundamentals. Even better is to do those drills while supervised by someone who understands how to do things properly and can correct you when you are doing them wrong. When playing, everyone feels like they are ready for the pros, but very few really look or play that way. OD’s Sports Crossing Roller Skating Rink offers camps and clinics for all ages.to help you improve your game. Call OD’s Sports Crossing at (970) 282-1112 to learn when their next roller hockey camp or clinic is being held. Birthday Party or Event Planning? Why not have your party or event at OD’s Sports Crossing? They can make their rink and other facilities available to you for birthday parties, holiday parties or corporate events. Their prices are great. They would love to have you out. Give them a call if you would like to schedule your event now at (970) 282-1112. Please call at least one week in advance to properly schedule your event. Snack Bar Got the munchies? OD’s Sports Crossing provides food and beverages in the snack bar. Visit our Pro Shop If your are looking for new roller skating equipment or services, OD’s Sports Crossing can help. The OD’s Sports Crossing pro shop offers a wide array of products and services. Stop by for a visit next time you are at the rink or contact them now at (970) 282-1112 to see if they have what you are looking for. | 2019-04-21T03:20:30Z | https://www.rinktime.com/rinks/united-states/colorado/ |
This paper shall demonstrate how recent developments in technology are about to completely alter they way we think about our work. These converging technological revolutions come from diverse and unrelated backgrounds. The battleground where these converging changes will meet is the desktop. The PC that we all use today is the battle-ground whereby fundamental changes to the way we work are about to break. And it is not Bill Gates who is managing this particular change!
Microsoft is attempting to manage some component of the IT revolution. Backoffice support, Internet, Object Linking and Embedding (OLE) and so on are merely sub-components. What we are focusing on in this white paper is the user interface. The user interface transcends Microsoft, although Xerox and perhaps Apple pioneered it and Microsoft popularized the Windows interface back in the 1980’s. This paper will review how the user interface has changed in the last 15 years. It will conclude by highlighting the key issues in user interface design, and describing a road map that demonstrates the tremendous shift that is taking place today in this area. The impacts are far reaching. What we do today at work, how we do it, and why we do it, are all going to change. The user interface is fundamental in how we, as humans, communicate with everything else that is not human.
In 1980 personal computers (PC’s) were typically used by accountants to evaluate budgets and analyze finances. That was their limited role in life. Lotus’s 1-2-3 spreadsheet was the market - the industry standard - since it was first major PC spreadsheet that received widespread demand. The typical PC (and their very presence in the business environment was not typical) was a green screen, 20 megabyte hard drive machine, with 640K memory. The PC sat on a corner of a spare desk somewhere in the accounting office. Sometime later, nervous bosses began to move the PC to there enlarged desk.
In terms of operating systems, the market for PC’s was dominated by DOS. There were various flavors of DOS, but all utilized a character-based interface. Commands were given to the PC by typing in words (some of them meaningful) at a command line. Early spreadsheets did not use a mouse. Today that is hard to imagine, but it was true.
Also in 1980 most medium or large enterprises, at least in the Western world, were in the midst of either implementing their first, or re-implementing their second, Manufacturing Resource Planning (MRP II) solution. Computer systems that supported enterprise management were huge, monolithic monsters, at least by today’s standards. They typically operated on mainframes, or perhaps the newer AS/400 midrange. Over time these business applications grew in complexity. Data integration was a nightmare. User interfaces typically mirrored the PC solutions, in that screens were character based.
Figure 1 shows a typical text-based emulation screen.
The above example is from an AS/400 business application. The character-based representation is identical to that available on mainframe solutions. We could associate this period with the dark ages. A user interface was seen as a necessary evil, and the specification was guided by what was easiest for the programmer - rather than having much reference to users of such systems. It was not seen as part of an integral solution between man and machine. Anybody who spent any amount of time using these systems realized very soon how limiting they were. At the time however, the use of such systems was still in its infancy. We all used them.
Usability was not a prime concern since computers were seen as "number crunchers". Graphical displays were unheard of; the mass use of Lotus 1-2-3 integrated with business applications was not even contemplated. On-line help when available was limited to screen or menu option detail. Typically on-line help was simply a text-based list of the printed material, perhaps accessed via a key on the keyboard. User manuals were not seen as important in terms of look and feel, and soon earned a reputation as being large, complex and not user-friendly.
Figuratively the employees of the Data Processing department (DP) did not talk with the users. Many systems implementations appeared to the user as ‘painful’ and ‘poorly managed’. A whole school of management evolved to try to cope with these issues. Many people made a living by telling other people how to do the things they ought to know how to do anyway. Other people made a lot of money telling people nothing.
The midrange systems (AS/400) represented an advancement in technology. Old arguments regarding how AS/400 processing power stacked up against the mainframe were, for the best part, soon resolved. Additional technological improvements impacted the user interface, in areas such as multiple sessions and more user-friendly interactive programming. In offices around the world, the MIS (or as they were originally, the DP) people began to sit on the same floor as the user.
Although usability was enhanced with respect to on-line help, pop-up boxes and so on, the overall look and feel was generally unchanged. In many cases one could simply take a mainframe screen, with white text on black screens, and replace it with green text on black.
In general, graphics, color, icons, pictures and other visually expressive tools were not used, available, or even thought of. The whole focus was technology and the benefits thus derived. These were seen purely as overhead from the programmers point of view.
Original releases of Lotus 1-2-3 were green text on a black background, just like a mainframe and AS/400. However, during the early 1980’s the PC began to offer functionality and power of a more focused nature.
An initial strategy for some software suppliers of business applications was to put mainframe and AS/400 functionality on a PC. This recognized some of the power of the PC. Since the PC was already on the side of the accountants’ desk, all this required was a shift in the location of the PC from the accounting office to the operational offices such as sales and marketing.
Business functionality was ported to the PC. In this porting, software developers were able to enhance the interface based on the new features that were to be found on PC’s at that time.
American Software was an early leader in this field. American Software launched a product called Logistics Planning Workstation, (LPW), which incorporated forecasting and distribution planning solutions. LPW was a leader in what has become known as the ‘supply chain management’ market, with over 800 customers using such systems. These 800 customers included many of the Fortune 1000 businesses and smaller companies who needed solutions to manage inventories throughout their supply chains.
The roots of LPW can be found by incorporating "best of breed" functionality from the then current mainframe solutions together with new ideas that were popular in the market place. LPW initially achieved two things: the porting of mainframe functionality to the desktop and a dramatic improvement in user-friendliness. In the late 1980’s LPW was generally equal to any competitor product in terms of look and feel. In terms of functionality however, LPW was miles ahead of its nearest competitor. The main issue for LPW was the target market. In which market did LPW operate in? Simulation of mainframe processing? Operation of mission-critical business processes? Or a combination of both? The technology to facilitate "big number" processing on a PC had not yet matured. This was to follow.
LPW satisfied the need for powerful "engine room" functionality, but did little for technology-driven sales needing relational databases and GUI.
Technology accelerated and eventually overtook the position that LPW maintained and its competitors sought to attain . Windows, OS/2, UNIX, client/server and others were to open a Pandora’s of box of options. Which to follow? Which will survive? Which will lead the market? As these issues grew in size and complexity, other players entered this mini-size market. Downsizing was pregnant - but had not been born. LPW spawned a whole market of desktop business applications. In principle, a whole business could run its operations on a PC.
However, the PC was not utilizing the vast data warehouse that resided on the mainframe or AS/400. UNIX, or more precisely, Client/Server technology was the answer to exploiting PC based power and enterprise-level business data. However, the enterprise systems were still employing textual based screens with little color, and the PC market was into color, and Microsoft Windows was the early leader. Lotus 1-2-3 spawned into Excel and SuperCalc market segments. Microsoft’s Office suite of products followed some time later.
In 1993, an exciting endeavor was initiated in the UK. Early seeds were sown that brought together the power of the LPW product together with the popular Windows interface. "Executive Planning Workstation" (XPW) was born. XPW was the first prototype that envisaged altering that way people interact with computers. As XPW was being pioneered in the UK, another development program in the USA was conceiving a similar solution, called Supply Chain Planning.
The foundations on which XPW were built were simple yet hugely difficult to achieve. The current Microsoft Windows release at this time was the new version 3.1. Many applications were marketed as operating on Windows 3.1. However, the Macintosh was a competing system that offered some degree of increased graphical advantages. The "Mac" was more object-oriented and graphical. Windows 3.1 was file-centric and not very intuitive. However, by comparison to the character-based solutions that were available, both were far better than anything ever seen before. Windows became the market, the standard.
The call that brought XPW forth was the need to simplify what users do. Windows systems at this time incorporated pull down menus, combo boxes and radio buttons. Software vendors recognized the market shift and began to retrofit their text-based screens to the PC / Windows environment. Everyone raced to provide an enterprise or business level application on a client/server "windows" environment. Each attempt to meet this new market "need" had met with varying levels of success.
Jumping momentarily to today, SAP is a perfect example of what happens to a mainframe solution (known as R/2) when combined with client/server and while not utilizing the true power of Windows. SAP is today the worlds largest Client/Server Enterprise Resource Planning software developer from Germany. In developing their latest product, R/3, they added a Microsoft Windows interface. SAP developed a client/server architecture and implemented a GUI by following and implementing wholeheartedly the Microsoft Graphical User Interface (GUI) standards. This GUI development was achieved with the thoroughness usually attributed to the German people. The interface fits the standards perfectly, without any variation or violation.
As a result, while including all the business information one needs to do a particular job, is probably the most boring windows interface ever devised by man! XPW’s goal to provide the most intuitive interface for people to manage their business activity as efficiently as possible. The design guidelines for R/3 did not include the user as a critical component of the system.
The birth of an "Intuitive Management Control"
The first prototype to be called XPW included the ability to "drag and drop" a business forecast. This was achieved in February of 1993. Prior to this development, forecast overrides the world over were achieved by keying desired changes on the keyboard. In fact, ALL data maintenance in this time was keyboard-driven. Windows only simplified some basic activities that ‘surrounded’ the real work of the day. For example, the mouse is used to find files, open files, and move files. To actually add an order to an order management system, you used a keyboard. The concept of adding characteristics to a product on screen by dragging such characteristics with a mouse had not yet been thought of. However, back in early 1993 these were being thought of and being demonstrated in XPW.
The concept of XPW was more than just dragging a forecast with a mouse. XPW was meant to represent a re-engineering of the planning process. The paradigm shift for XPW, as a visionary product, was meant to be as far advanced from LPW as Continuous Replenishment and DRP was from the infamous Re-Order Point in the 1970’s! XPW heralded a shift in user interface design.
This example shows a "pop-up" map overlaying another map.
As already stated, American Software pioneered the supply chain management market with LPW. By combining LPW and XPW, American Software decided to move into a segment of the market that was to revolutionize not just supply chain management, but also the whole user interface design process for all business applications. The impact and importance of this "intuitive" interface design is what will shape all future interfaces for all applications, from the lowly spreadsheet to the enterprise level information systems.
Supply Chain Planning (SCP) is American Software’s latest client/server RDBMS supply chain solution. More than this, SCP has redefined the standards by which the user interface will be judged. What is so fascinating about this whole story is that those in the market who are analyzing GUI designs are totally unaware of the market shift that is, right this minute, beginning to shape the next few years.
SCP exploits EGUITM, or Enhanced-Graphical User Interface. So what is E-GUI?
As previously stated, the majority of windows based applications today use many ‘first generation’ features such as scroll bars, radio buttons, and pull down or combo boxes. These were extremely popular when windows was new. Today, they portray a poor use of technology in interface design. They represent an unimaginative way to present data and the decision making process. They are boring.
Looking back at the SAP example described above, there was nothing more boring than having to key in a whole load of numbers. Today, with R/3, you can use the mouse to navigate through several menu trees, but the user still has to maintain the data with the keyboard. Boring.
The market abounds with other examples of software vendors operating on the fringe of E-GUI. For example, in some modeling packages users can drag and drop objects. Very intuitive, of course. But what these vendors don’t understand is that this power and flexibility needs to be employed and exploited within operational and decision support packages. Other products that exhibit E-GUI tendencies are Quicken and, to some extent, Lotus Organizer.
However, E-GUI is not a product. It is a concept.
E-GUI is all about devising the most intuitive interface so that a user never has to refer to a help manual or user guide. E-GUI is all about the use of graphics, colors, sound, icons, and pictures, to more effectively communicate meaning. It is a well known fact that pictures are a more effective medium for communicating a message. So why do we force users to look at rows and rows of text?
E-GUI is all about "intuitive management control". It is all about ensuring that, whatever activity the user undertakes, they can achieve their task in the shortest amount of time with the least effort. The whole process and activity will be an enjoyable one. It will not be a game, but it will not bore the user. If it bores the user, they will not do the job as effectively as they could.
Definition of E-GUI - How to measure "Intuitive Management Control"
Configurability is about putting into the hands of the user the ability to define their working environment, an example of which is the PC-Desktop. The Macintosh introduced some great configurability. Windows 95 today offers the most configurability on the market. Configurability means that the whole presentation and structure of the desktop and associated views are controlled and managed by the user.
In the arena of configurability, the designer’s challenge is to make it easy and intuitive for users to improve their environment, but not provide so many features, bells and whistles, that software becomes ‘bloatware’. Users need to be provided with the tools they need so they can find the area of the system they need for their work quickly and efficiently.
The evolution of the ‘main menu’ is a classic example of people employing configurability in their designs. Menu’s themselves have fallen out of favor because of the implied use of nested menus - menus that reside underneath other menus, and so on. Today, a highly configurable menu solution includes ‘Navigators’, windows that bring to the same view all the necessary sub menus that are needed to perform a particular task. In fact, ‘task oriented navigators’ is what today is replacing old fashioned menu systems.
However, configurability is one component of a great user interface. SCP certainly has much to say about configurability as the leader in its market, and greater things will follow. Today SCP fits somewhere in the middle of the scale. Too much configurability means that users spend too much time building windows and views and less time on real work.
For most of us who work in the real world, Microsoft has taken control of the definition of user interface standards. They have achieved this by making Windows 3.x, and then Windows 95, the standard operating system that most of us use, and by making their Office suite of products the most popular in the world.
This has been good for the industry and good for us users, since they have generally done an excellent job of defining how Windows programs should look and work. For the most part, their products conform to their own standards and are internally consistent.
Conformity is another way that software products can be measured and compared. Even though Microsoft has done a great job of publicizing its standards, there are still too many software designers who choose to ignore convention and go their own way, mostly with unfortunate results. This is not to say that a piece of software is automatically bad because it violates a rule defined by Microsoft; rather, as users, we tend to become confused and frustrated when a designer obviously has not studied Microsoft’s guidelines and feels they must invent their own rules. It is rare that these new rules improve upon the ones developed by Microsoft through years of usability testing.
The lesson here is that a designer must study and thoroughly understand Microsoft’s guidelines before thinking about violating or extending them.
Conformance is critical when selecting multiple desktop solutions from different vendors. SCP clearly meets all the critical and most less critical areas for conformance, without loosing flexibility in the remaining measures of E-GUI.
We can also evaluate software on internal consistency. Although Microsoft has defined what controls are available to a designer and how they should be used, this still leaves much latitude in the construction of the user interface. Conformity (above) measures how well a software product matches Microsoft’s standards. Consistency measures how well the product matches itself.
Are the same controls and objects used the same way throughout the product? Is the use of color consistent? Are the components within the windows arranged the same way? Is terminology consistent? Have the same conventions been used for all the help topics? In short, does the product look like it was designed by one person at one time following a specific style guide, or does it appear that it grew over time, built by different people with differing goals, incompatible tastes and conflicting opinions about what constitutes good design? The best software acknowledges Microsoft guidelines, violates those guidelines where appropriate, and is fully internally consistent.
Again, SCP clearly satisfies this component of E-GUI measurability.
Software can follow the Microsoft guidelines to the smallest detail, be 100% internally consistent, and still be bad. There are multiple ways to achieve this. The most popular way is by being boring. Unimaginative designers who do not understand what their users are trying to accomplish typically build clunky, ugly, confusing interfaces. A creative designer who truly understands the task the user is doing can create an application that looks attractive and is fun to use. While business software may never achieve the level of user engagement that an arcade game reaches, good design can fully engage the user and make him/her more productive and produce more accurate results in less time and with less boredom. Is it still work if you enjoy it?
This is the measure that, of itself, differentiates SCP from the rest of its competitors. SCP employees more leading edge visual design precepts than any other solution available today. SCP has more cool GUI than any other. SCP is setting the standards for where GUI is going.
New or changed activities must be designed (by default) using graphics and color. Only when there is no possible way of expressing the function with color or graphic must we revert to Radio Buttons etc.
In this sense, taction is another dimension to the four E-GUI benchmarks described above. With these precepts in place it is easy to see why SCP has a unique advantage in its market today. Users that were bored and used to the old way of manipulating un-intuitive screens can now operate at a high level of simplicity. More can be achieved with less. Training is reduced. Effectiveness in increased. Objects that relate to the real world (natural objects) are now communicate more effectively than engineered objects, and far more effectively than text and words.
In the commercial market we have already seen how taction has proven to be marketable and profitable. In the PC games market, DOOM (from id Software) was a game that basically exploded on the scene one quiet summers day back in 1993. DOOM is a first person "shoot ‘em up". You play the part of soldier in a simple maze, whereby you move around trying to proceed to subsequent levels, simply killing monsters as you go. There had been other games of this type on the market for years, but nothing like DOOM.
DOOM had superior graphics. DOOM modeled and ray traced the actual lighting that a person would experience if they were "there". DOOM more closely represented, on the PC, what you and I would have actually experienced if we had been inside the game. The game-play itself was also superior to anything in the market. Highly intense, to survive the player has to be "on their toes" all the time. Accordingly, DOOM qualifies as a high taction activity. Speaking as a DOOM freak, I know how addictive it became. I lost many hours sleep playing this game. I would arrive home from work some evenings at 6pm, turn on the PC, and play until my sore eyes gave up at 2am! And this was for many consecutive evenings. DOOM was a disease that could not be cured until the player had finished the whole maze.
Doom - Play the part of a sergeant and kill monsters and other bad guys all you want.
DOOM itself today is 3 years old, and yet every game that tries to invade this space is compared to this original. It is very rare that a PC game ever remains on the scene for any amount of time. DOOM takes all records. It spawned many subsequent seed games, such as DOOM2, Heretic, Hexen and so on. Many other companies have tried to duplicate the success achieved by DOOM. None have done it. DOOM is a winner in its market.
The elements for success used by id software, the makers of DOOM, are clear. The interface had the highest quality interface possible with the given technology. In fact the interface design advanced that technology. The intensity of the game play was the other major success factor. QED. Playing DOOM was a high taction activity.
Supply Chain Planning is bringing high taction to an area that traditionally would never have been considered worthwhile for taction of any level. Business application users are used to being bored. They are used to looking at screens with white backgrounds screens with radio buttons everywhere. They are used to a screen that has no bearing to the real world. In fact they live in two worlds - the one home and a different one at work that shares not common look and feel as that at home.
What E-GUI is trying to do is make working easier. More efficient. More intuitive. Data and files are not the real world focus. Products and customers are. Products and customers should be what people see on their screens.
The mouse is a far more efficient mode of communication than the keyboard when the objects underneath the mouse are more meaningful. In fact, the mouse itself probably has a limited life span already. Advances in neural technologies may soon surpass the pointing device in terms of effective communication with the computer. E-GUI is all about exploiting technologies that are available today to a more effective level.
What is unknown is how far can this technology evolve, and how this little revolution will impact all other business applications on the market. For example, imagine R/3 employing E-GUI?
Users of Supply Chain Planning now make intuitive changes to their business forecast with the aid of the mouse. Changes to budgets, prices and costs are also made via the mouse. The principle now being deployed by E-GUI is that ALL data and information should be managed via the mouse. Setting up product categories, managing orders, managing the setting of polices are all happening now via E-GUI.
E-GUI adds value to current business process, in order to make them more intuitive and simple to use. In principle, wherever a user used to wait for an event to be modeled by executing a button initiated event, they can now "drag and drop" the characteristics or decision onto another object, and now simulate changes to the business before making final decisions. A good example here is in forecast modeling.
Some forecasting applications can model the demand profile for a firms products. In this modeling process, curves are assigned to each product. In this sense, each product may have a seasonal forecast, or perhaps a non-seasonal forecast. There are clearly many other curves and shapes that can be applied. Traditionally, grouping items together to improve forecast processes used to be a time-consuming process. Some application packages try to automate this, as did IBM’s Inforem product.
This product was able to take huge volumes of data and statistically analyze the demand patterns of each item, and then produce certain curves that groups of items could be associated to.
Today, E-GUI can enhance this activity today with re-engineering it. Imagine a window whereby you can view graphical representations of single and grouped items curves. Simply dragging one item to the group would cause the window to simulate the addition on the item to the group, graphically. To aid the user who might be trying to establish a relationship between items and groups of items, a measure of correlation may be employed. The point here is that already we have black box solutions to real business needs. E-GUI can provide a way to "turn the light on" and deliver a more intuitive way to make decision. E-GUI provides for "Intuitive Management Control".
E-GUI also provides for a most effective vehicle to re-engineer business process completely. For example, with the focus being customers and products or services, how better then to represent these as objects within the screen.
But don’t forget, E-GUI also includes color, pictures and sound. Already there are movements in the market place to add sound and color to communicate on several levels activity and management interaction. Using colors for status is a traditional use for color. However, status is actually used in many cases, and color can help assist to communicate such changes more easily.
Color and sound signify changes in planned loads within the supply chain planning process. Green communicates a user configurable load acceptance criteria being met, and a red (with associated sound) would signify failure to meet criteria.
Windows 95 has certainly advanced the case for a more effective and pleasing user interface. Windows 95 shifts the focus from directories and files to objects, such as projects. In Windows 95, for example, several Word documents may share some graphics in a PowerPoint, together with an Excel Spreadsheet. All the documents may be located in a folder that resides on your desktop. Just like in the real world!
As the use of objects increases we shall also see a new trend toward natural objects. What this means is that the objects that are being used on our desktops will not be pristine, perfectly engineered graphics. As in the real world, the metaphor will , eventually, be focused on a natural form of graphic. For example, a trash can is used in Lotus Organizer for the user to "drag and drop" data to. The trash can is in fact a waste paper basket. In some other systems, perfectly designed and perfect trash cans are used to simulate a similar deletion process. No one has a perfectly designed ‘perfect’ trash can in their back yard. Trash cans are dirty, damaged, bent and real. E-GUI supports the natural look, not the engineers’ look. Microsoft Bob was one such neat idea that was, in terms of its user interface design, ahead of its time. Doom employs a substitute natural interface - one that is so good that it is believable. The natural interface will become the norm.
Looking to the future the impact of E-GUI will be far reaching. The desktop will become the medium by which we shall communicate. It may change in size and shape. It may become more portable, and be integrated more at home with other electronic devices. The desktop will be the focus. The technology behind it will become more and more transparent to the user. What will gain in importance will be what is on the desktop.
Bill Gates certainly changed the face of the world with Microsoft Windows. With Windows 95 the user interface has taken greater bounds forward. E-GUI is certainly an unspoken goal at Microsoft. But this is only the beginning. As Churchill said in referring to the Battle of France in the Second World War: "This is not merely the end of the battle. Nor is it the beginning, but rather the beginning of the end." | 2019-04-21T16:34:58Z | http://delboy.com/evision.htm |
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However, if the operator is toimipisfeet familiar with the overlap technique or if the EAS is only partially torn (grade 3a3b), an end-to-end repair should be performed using two or three mattress sutures similar to IAS repair (Figure 4.
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12, 337365. Leaves carry on forex toimipisteet suomessa. 12 (December 2000):115565. Barium sulfate is used as an effective contrast medium for X-ray examinations in medicine.
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Chem. The most important alternative to gfs and egfs uses the kernel functions 1 n; it is intended for sequences (4192. 2004 Toxicity of familial ALS-linked SOD1 mutants from selective recruitment to spinal mitochondria.
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You should therefore consider the appropriateness of our advice before making any decision about using our services. Light with the greatest frequency is perceived as violet, while light with the lowest frequency is perceived as red. When each has succeeded, you see an appearance similar to Figure 19-17. Figure 10-34 Energies of the valence orbitals as a function of Z. Repeat surgery yields very good results Recurrent disk material causes a nonspecific mass ef- fect, has a density of more than 90 HU, may show a gas or calcium collection and nodularity, does not con- form to the margins of the thecal sac, and tends to have sharp tiimipisteet.
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There is no more iconic notion of our era (in Western culture at least) than that of The Individual. In fact, the idea of individuality virtually defines Western culture. But, like so many ‘Great Ideas’, it has a use by date.
Individuality has been latched onto by predators and has turned to the service of their agendas. It has become toxic. We must ask –Is the idea of the individual still useful to us? Has it reached its use by date?
In Inventing the Individual, Larry Siedentop traces the evolution of individualism in concert with the development of Christianity. It is a compelling thesis. The very essence of the Christian ideal is the lifting of the individual toward the prospect of personal salvation. I do not want to here enter into a debate about the merit of this focus or role the faith has played in an imputed transformation. The Church acted as much to crush individuality, so while it may have been the carrier of the flame of individualism, it certainly was not the custodian. It may have been no more than the available vehicle to carry an evolutionary impulse.
Siedentop argued that the individual evolved out of a more fundamental and instrumental condition of being – as part of an essential group like a family or tribe in which personal will was trumped by collective or group imperatives. We understand this best through the way marriages that once served social and political ends are now expressions of personal affection.
It is important to understand that evolutionary impulses that alter the human condition are not uniformly expressed. This is why arranged marriages are still crucial aspects of some cultures today. It is as if these impulses have one or two starting points in the world and their influences radiate from them – and transform the human condition over centuries or millennia.
As Western civilisation evolved, wars and displacements disrupted traditional instrumental groups and the relationships that made them functional. It is arguable that Christianity grew because it offered something essential to disrupted people, especially those dispossessed and exploited. As the roots of identity and meaning were torn away what could be more comforting than a community of strangers forming a new kind of group – voluntary and foundational – where the right of membership is not rooted in geography or blood. Here was an association that honoured a singular being – a person dislocated and separated – individualised.
Would Christianity have evolved without the Roman Empire disrupting the cultures it touched? Would the necessity of individualism emerged without the devastation of traditional ways? What happens to the person torn from the soil of homeland, tribe and family? They are wrenched from the spirits that cradled, nurtured and protected – that gave meaning and identity.
The trauma of dispossession and displacement is something we can understand in our observation of indigenous peoples whose lifeways have been shattered by an often brutal encounter with modernity. Individualism is so entrenched in our psyches that we find its absence incomprehensible and repellent. Its absence was ‘primitive’, and even ‘savage’, to use the language of late 19th century gentlemen who saw themselves at the very apex of human expression. Indigenous peoples remain a ‘problem’ to modernity precisely because their cultures and identity are not constructed on the precepts of individuality.
The very idea of the individual denotes a person apart. But apart from what? In Why Liberalism Failed, Patrick Deneen says that Liberalism had the intent “to liberate the individual from embedded cultures, traditions, places, and relationships”. Humans are understood to be “by nature, nonrelational creatures, separate and autonomous”. This is a bold and radical assertion that we need to look at in more depth.
Implicit here is that the pre-individualised state is inimical to the human condition because it is contrary to its nature. The indigenous person, embedded in place and culture, is justifiably to be seen as the enemy, especially if they defend their embedded condition.
Deneen’s critique is focused on Liberalism, which is an Enlightenment political and moral philosophy centred on ideals of liberty and equality – and which has the individual at the very centre. Perhaps it opposed the suffocating social power structures of its time for what seemed like good reasons, but the growth of the idea as a universal doctrine led to an absurdity.
Individualism was certainly not the foundation of human nature, unless we assume that the family and tribal states of being are inherently oppressive. In contemporary individualistic thought that would not be unexpected. If we do a quick self-check we might find a sentiment of reflexive agreement.
Am I saying that individual equality and liberty are not fundamental principles of our culture? Yes I am. They exist as ideas and ideals, but not as actualities. Are we really “by nature, nonrelational creatures, separate and autonomous”? Such ‘creatures’ exist, but, bar the psychopath, they are not human. They are, rather, fictions created by commercial and political powers.
Humans are inherently the very opposite – embedded and relational. We are happiest when we are in a stable community with strong relationships. Every time there is a shared catastrophe this is what we turn to. Any coach will tell you that a bunch of star performers do not make a team.
So what’s happened here? How come there is a fiction at the heart of Western culture? If the transition to individuality is in fact evolutionary, then prior states are inimical to the individual in the same way that being in the womb is inimical to our sense of being in the world. Perhaps birth is an act of liberation, but it is not one that regards the mother or an unborn child as an enemy. The evolution from one state to another does not involve a change in nature.
Here we can see the root of the philosophical error. There are two sources of individualism, not one. The Enlightenment source arises from a discontent formed as an aspiration – to be free from a condition thought to be oppressive, denying liberty and equality to those who think they should have both. We have sympathy with that.
The other source is spiritual, but this is confused. We see in original Christianity a balm to the trauma of displacement and dislocation through the restoration of the opportunity to be embedded and related. But the symbol of the faith became the radical individual in a state of mystical transformation. This individualisation is an intensification, not a separation, and it is expressed through shamans, priests, magicians and mystics – all shades of the one, rather than distinct expressions.
Intensification generates distinction, not separation, but that distinction is so often expressed through spatial separation. The radical individual lives apart often, alone or in a community.
Intensification also precipitates the trauma of initiation. The Crucifixion of Christ echoes the shaman’s initiatory drama of being hung on a tree.
In important ways the trauma of separation and the trauma of intensification are related. Both mark a transition into an alternative state of awareness. Both are transitory phases. The error of Liberalism is the assumption that individualism is an end state marked by the expression of the ideals of liberty, equality and rationality. The free, equal and rational person is the apogee of human evolution, it was thought.
The error of Christianity was to make an extreme claim on individuality, and be unable to sustain it. The central radically transformative individual was both feared and celebrated, and not infrequently killed before being revered.
That Enlightenment ideal imagined the perfect human as radically displaced – from religion, culture and nature. Deneen observes that according to Liberalism’s fans [T]he advent of liberalism marks the end of a benighted age, the liberation of humanity from darkness, the overcoming of oppression and arbitrary inequality, the descent of monarchy and aristocracy, the advance of prosperity and modern technology, and the advent of an age of nearly unbroken progress. Liberalism is credited with the cessation of religious war, the opening of an age of tolerance and equality, the expanding spheres of personal opportunity and social interaction that today culminate in globalization, and the ongoing victories over sexism, racism, colonialism, heteronormativity, and a host of other unacceptable prejudices that divide, demean, and segregate.
It’s a compelling and familiar sales pitch. But if we agree on this we must confess also that Liberalism has led to the sundry ills of the contemporary world – the pollutions, illnesses of body, mind and spirit. It is not an unalloyed good. It articulated a promise of idealism, and failed to deliver on it.
There is a difference between what has happened and what must happen. History does not necessarily deliver necessary sequences – only those that do happen. In the same way that Christianity was, in part, carrier of the torch, not the custodian, so Liberalism must be seen in relation to the idea of the individual. Where Christianity’s error was the assertion of an historically ground sole franchise, Liberalism’s championing of individualism as a universal and absolute ideal was its. Christianity did not emerge because it was perfect and ordained by God, but because it was responding to a human need at the time. Had it baulked at its delusion of exclusivity, the Enlightenment would likely not have manifested. Had individualism not become a universal ideal Western civilization would not have become what it is. In the mess of what we have there is a constant theme of individuality, but the agents are carriers, not causes.
Deneen cautions that the liberated individual “becomes synonymous with hedonic titillation, visceral crudeness, and distraction, all oriented toward promoting consumption, appetite, and detachment.” Has the individual been “liberated” only to be left with no clear pathway into the future? This is the problem of excising a spiritual vision from an account of individuality. But the dream of being a ‘free and equal’ individual is powerful only because it has a spiritual foundation to it. It is nonsensical in its atheistic or materialistic mode. Freedom and equality are aspirational goals, and hence a kind of redemption – a restoration to a ‘lost’ state.
The US Declaration of Independence asserts that “all men are created equal” and that “they are endowed by their Creator with certain unalienable Rights”. The authors of the Declaration were religious men, and yet Liberalism has come fuse religious principles with materialistic thought. Materialism has to employ the ideals that are religious to serve its ends because it cannot develop its own.
It is abundantly clear that materialism, expressed through political and commercial interests, has delivered neither equality nor liberty. In Age of Anger: A History of the Present Pankaj Mishra traces the failed efforts to manifest Liberalism’s noble ideals. Overtly religious wars may have ended, but, as John Gray in 7 Types of Atheism argues, worse proxy religious wars precipitated. It is no doubt that the worst conflicts have occurred under Liberalism’s banner. Why is this?
We inherently blend religious and materialistic thought, whether we see ourselves as religious or as atheists, or as a member of the rising new class of Spiritual But Not Religious (SBNR). We live in a blended culture that sees individuality as important as being embedded and connected. We don’t see an inherent contradiction. And that generates a confusion we are mostly unaware of.
In fact our culture is a constant battle zone between the two, and for us it is just normal life. We do not know a world in which there is an absence of binary conflicts. Conservatives want to preserve the embedded and connected and the Progressives champion the dislocated individual. These days, however, simple binary descriptions fail to deliver the complexity of the actual state of cultural tensions. These conflicts are not real. Only the confusion is.
If Liberalism’s individual is the ideal universal condition, it is opposed deeply by many who disagree. There is an existential conflict afoot. If individualism is a transitional evolutionary phase in human consciousness and spirituality then we can understand the conflict in a different light.
Aside from the radical individuals who occupy heroic and mystical roles human, cultures embrace their members in the encompassing arms of place and tradition. For individualism to natively arise it must do so by disrupting the norm. And, short of looming catastrophes, that is not likely to happen. Externally imposed trauma acts as a plough that disrupts the ‘soil’ and precipitates separation. Individuals emerge out of necessity, rather than desire – but where to from there? There is no going back to things as they were.
Liberalism’s individual seems frozen at the moment of separation, celebrating the novelty of the moment and wanting to hold it forever. It can exist only in the ruins of what was. The spiritual individual seeks a restoration of the state of connection through a novel interpretation of faith and belief. There is no celebration of release. Each response is distinct. For one, individuality as a sense of separation is the attainment of a desired state. For the other it is a terrible condition to be in.
Christianity has developed a doctrine that admits no evolutionary imperative in the divine creation. Were it otherwise, it might imagine that the Fall, and the Redemption that must follow, is an evolutionary mechanism that applies to all humans. Liberalism in its materialistic guise admits evolution, but not of human consciousness (and hence spirit) other than in incidental relation to the brain.
A deeper enduring tradition of mystical thought offers that human consciousness evolves through the experience of being in physical form. The human person (not the individual) evolves, and individuality may be one of the stages it goes through.
These days we are conditioned to think the self, the person and the individual are all the same thing, and the terms are freely interchangeable. But they are not. As humans we are persons who possess distinct selves that may be individuated to some degree.
We must conclude that Liberalism’s individual is a fiction and a fantasy. A being with no natural connection to place, community or the divine cannot exist other than as a grotesque expression of a traumatized person. Christianity’s individual is maligned by the imputation of sin and the need to be redeemed from its separation from God.
In both instances there is an existential trauma that fuels a conception of being. It is twisted out of shape. Christianity and Liberalism – the twin engines of Western culture – have both failed for the same reason. They have misread human nature. The idea and ideal of the individual exemplifies that failure.
In the West Christianity has played a double paradoxical role. It has called the human person forth from the mud of life with a promise. And then it has put a tollgate on the road it has mapped out. The price demanded was the subjugation of the personal inner life to that marketed by the clerics. That same subjugation was later demanded by the owners of factories. Industrialization created a market for a compensatory individualism that was exploited in what we now understand as consumerism. What began in religious faith flowed into the imperatives of commercial and political systems that demand similar observances.
Wither “I” in the maelstrom of product? With a credit card as a compass and a catalogue as a map many embark on the Ikea pathway to salvation and satisfaction – and no one gets there.
Frank DeMarco, in his latest book, Awakening from the 3D World, invites the reader to imagine that they are a constituent of a continuity of being. Our individual sense of I is not an expression of separation but of particularization – an intensification of awareness of being that must find a new form of relationship to the world in is inhabiting.
This is very different to the social or political notion of individuality that asserts a sense of specialness and singularity with no sense of substance or character. Being is alone sufficient. The cry, “I am an individual!” is an affirmation of separation and significance, not as a good thing, but as an articulation of profound existential crisis. It is a cry against being a ‘nobody’ – a loss of connection and meaning. Here individuality is used to assert what it cannot ever deliver. This is the central confusion of our culture.
Individualization as an expression of intensified awareness rooted in the continuity of being is profoundly different to an expression of separation and significance that has no conscious affirmation of belonging. The experience of the individual as a separate thing is intense, but like the amputee, it is haunted by the phantom of what it has been separated from.
It is time to change language here. From here on the term ‘individual’, and its variants, will stand for Liberalism’s creation only. The alternative term is the Intensified Self. This denotes a person whose expression might be taken to be radical individualism, but who driven by a deeper sense of connection and belonging. This is exemplified in the mystic or shaman whose greater awareness of essential interconnectivity of lives intensifies their being.
Is it possible to walk with a foot in both camps – spiritual and materialist? Not without persistent confusion. Individualism is not a useful thought any more. Besides it is not what we mean most of the time in any case. A sportsperson may wear shirt with a number on the back, but it is not to denote their individuality, rather their particularity. To clarify our thoughts we must clarify our language.
As humans we are not individuals, but nodes in a network – points of particularity – unique and enduring. The sense of individuality that we struggle to understand and live with is a signal of a sense of separation – an absence of awareness of a greater being of which we are part.
We can lose this sense of individuality because it is a fiction. It will die, but our particularity will not. The intensification of awareness of connectedness will render the illusion of individuality redundant, and we will see it as an injurious idea.
The Intensified Self is the phantom element of the separated individual. It is the part of us that cannot be pleased or satisfied by stuff bought by adding adornments and embellishments to our bodies. Deneen observes that the founders of Liberalism separated themselves from a culture that promoted the “virtues of self-restraint and civility.” Now, in the pursuit of free speech, neither virtue is easy to find. The individual is not inherently virtuous.
The separated self craves connection and belonging, but has been persuaded that these can be attained through the acquisition of commercial products and services. Even the promise of the Intensified Self has been turned into a commodity.
Yet implicit in the messages of our culture there is a clear signal – the confusion of the Individual is losing its appeal. We may not yet be at the stage of acknowledging the Intensified Self, but the growth of the SBNR movement flags a growing momentum in walking away from Liberalism and institutional religion. Jeff Kripal, Professor of Philosophy and Religious Thought at Rice University in Texas, sees the people who identify as SBNR as “placeholders” – signaling they still have skin in the game of cultural discourse on spiritual and religious matters, but they have no truck with faith traditions tainted by evils and errors.
The Yale University Press series Politics and Culture begins with the premise that self-government, the hallmark and glory of the United States, the West, and an expanding number of countries around the world, is ailing. Those who sense the ailment cannot agree on what it is, much less how it is to be treated; and that disagreement, only deepening as time passes, is in fact part of the ailment.
When this message is being delivered through a major American university’s textbook you know the concern is very plainly mainstream.
The legacy of the Enlightenment is an extraordinary conceit married to a singular philosophy. The humanist conceit that the human being (and European males in particular) is the highest form of intelligent life has been united to an assertion that there is nothing beyond the mechanism of the physical world. The best future that can be imagined in this marriage is that of transhumanism – humans will be subsumed into rapidly evolving technology. We have reached the end of the natural process of evolution and now step into a new stage enabled by robotics and AI.
If extraterrestrials are watching, they may well have decided that as a species, we’re still basically infants, spending most of our time sleeping, pooping, or crying. We haven’t reached out to say hello via humanity’s global telepathic mind because we’re still enthralled with the cowboy myth of rugged individualism? What other than our planet-sized ego makes us think that the conscious universe of galactic minds would be interested in engaging with infants?
To some the Enlightenment’s rejection of religion constituted a radical disruption to a mentality that was incapable of moving beyond habits of thought and tradition. In an important way the founders of Liberalism added their own contribution. The idea of the individual deeply disrupted habits of thought as well. But it was not a profound insight so much as a useful idiot of an idea – that has now outlived its usefulness.
The evolutionary impulse that is driving the transformation of human consciousness (and no doubt others as well) needs better carriers than Liberalism and Christianity, and the confused thought they have generated.
The television series Star Trek opened with the proposition that Space was the “final frontier” in perfect materialist thought. Peter Carroll thinks the “psychic domain” is next. There is a difference in thinking here –one final and the other next. One closed and absolute, and the other open.
We use the term ‘spiritual’ in many loose ways. There is a necessary connection between spiritual and psychic – and from that a whole array of contentious and speculative ideas will emerge. Our ideas are imprecise and ill-formed, showing how much work we have yet to do.
It is our choice to decide where we locate ourselves in relation to the passions and arguments about the nature of human being and our destiny. If we move away from Liberalism and its companion notions and arguments we have to be prepared to let go the idea of the individual – and all it means and implies.
Drop the Definite Article Please!
The Religious versus the Secular? | 2019-04-26T16:08:16Z | http://aspiringanimist.com/2018/06/ |
Talking at RSF Germany: Support Sri Lanka’s media freedom and professionalism needs!
On a brief visit to Berlin, Germany, to speak at a media research and academic symposium, I was invited by Germany’s Reporters without Borders (RSF, or Reporter ohne Grenzen) to address a side event at their office that looked at media freedom status and media development needs of Sri Lanka.
It was a small gathering that involved some media rights activists, researchers and journalists in Germany who take an interest in media freedom and media development issues in Asia. I engaged in a conversation first with Anne Renzenbrink of RSF Germany (who covers Asia) and then with my audience.
I said the media freedoms have significantly improved since the change of government in Jan 2015 – journalists and activists are no longer living in fear of white vans and government goon squads when they criticise political leaders.
But the pre-2015 benchmarks were abysmally low and we should never be complacent with progress so far, as much more needs to be done. We need to institutionalise media freedoms AND media responsibilities. So our media reforms agenda is both wide ranging and urgent, I said (and provided some details).
I used my favourite metaphor: the media freedom glass in Sri Lanka is less than half full today, and we need to gradually fill it up. But never forget: there was no water, and not even a glass, before Jan 2015!
When asked how European partners can help, I said: please keep monitoring media freedom in Sri Lanka, provide international solidarity when needed, and support the journalists’ organisations and trade unions to advocate for both media rights and media professionalism.
I was also asked about slow progress in investigating past atrocities against journalists and media organisations; recent resumption of web censorship after a lull of two years; how journalists are benefitting from Sri Lanka’s new Right to Information law; the particular challenges faced by journalists in the North and East of Sri Lanka (former war areas); and the status of media regulation by state and self-regulation by the media industry.
I also touched on how the mainstream media’s monopoly over news gathering and analysis has been ended by social media becoming a place where individuals are sharing news, updates – as well as misinformation, thereby raising new challenges.
I gave candid and measured answers, all of which are on the record but too detailed to be captured here. My answers were consistent with what I have been saying in public forums (within and outside Sri Lanka), and publicly on Twitter and Facebook.
And, of course, I was speaking my personal views and not the views of any entity that I am working with.
In this Sunday (15 July 2012) Ravaya column (in Sinhala), I briefly trace the history of comics in Sri Lanka in the Sinhala language and ask: what lessons can we derive from that experience on integrating a new media type or form to Lankan society?
Comics in Lankan newspapers started 60 years ago in October 1951 — and a vocal minority of cynics and puritans resisted it from the beginning. I argue that this misplaced resistance prevented Lankan media houses and society at large from harnessing this versatile medium for greater good – in both entertainment and educational terms.
I first presented these ideas in my talk at National Media Summit 2012, held at University of Kelaniya, Sri Lanka, in late May 2012.
පාසල් යන වයසේ දරුවන් සිටින නාගරික මැද පාංතික මවක් ලගදී මගෙන් මේ ප්රශ්නය විමසුවා. පරිගණකයක් සිය නිවසේ ඇතත්, ඉන්ටර්නෙට් සබඳතාවක් ගැනීමට වත්කම තිබුණත් තම දරුවන් ලොකු මහත් වන තුරු ඉන්ටර්නෙට් තහනම් බව ඇය කියා සිටියා.
මා ඇය සමග තර්ක නොකළත්, ඇගේ ස්ථාවරය මට සිහිපත් කළේ මීට දශක තුනකට පෙර අපේ බොහෝ දෙමවුපියන් හා ගුරුවරුන් චිත්රකථා පත්තර තහනම් කළ සැටියි. වගකීමකින් යුතු පුවත්පත් ආයතන පළ කළ චිත්රකථා පත්තර පවා ඒ ගෙදරදොර තහනමට ලක් වුණා. එහෙත් තහනම් පත්තර කෙසේ හො සොයා ගෙන කියැවූ දරුවන් එමට සිටි බවත්, ඒවා නිසා ඔවුන් අයාලේ නොගිය බවත් මා දන්නවා.
අළුතෙන් සමාජයට පිවිසි දේ ගැන සැකයෙන් හා බියෙන් පසු වීම අපේ ඇතැම් දෙනාගේ පුරුද්දක්. සමාජයේ සෙසු අයගේ ජනමතයට බලපෑම් කළ හැකි පොතේ උගතුන්, කලාකරුවන් හා සමාජ ක්රියාකාරිකයන් ආදීන් අතරත් මේ ආකල්පය සුලබයි. යමක් අළුත් වූ පමණට ම ඒ ගැන නිසි විමර්ශනයක් නොකොට එයට එරෙහි වීම යුක්ති සහගත ද? යම් තාක්ෂණයක්, ජනප්රිය සංස්කෘතියේ අංගයක් හෝ නව සමාජ රැුල්ලක් පැතිර යන විට තමන් එයට ආගන්තුක වූ නිසා ම එය නිර්දය ලෙස හෙළා දැකීම සාධාරණ ද? මෙරට චිත්රකථා ඉතිහාසයෙන් වත්මන් නව මාධ්ය සංවාදයට යම් ආදර්ශයන් ගත හැකි ද?
2007දී ප්රකාශිත “චිත්රකථාවේ වංශකථාව” නම් කෘතියේ මහාචාර්ය සුනිල් ආරියරත්න සුරීන් පෙන්වා දෙන පරිදි කතන්දර කීම සඳහා චිත්ර උපයෝගි කර ගැනීමේ දිගු ඉතිහාසයක් අපට තිබෙනවා. එසේ වුවත් අද අප හදුනන චිත්රකථා කලාව අපට ලැබුණේ බටහිර ආභාෂයෙන්. 19වන සියවසේ බිහි වූ බටහිර චිත්රකථාවල පිටපත් 20වන සියවස වනවිට ක්රමයෙන් මෙරටට පැමිණියා. ටාසන් කථා, ගොපලූ (කව්බෝයි) කථා හා අභ්යවකාශය ගැන කථා ඒ අතර තිබුණෘ. මුල් යුගයේ සිංහල චිත්රකථාවලට ආදර්ශය කර ගත්තේ මේවායි.
මෙරට ජාතික පුවත්පතක චිත්රකථාවක් මුල් වරට පළ වූයේ 1951 ඔක්තෝබර් 28දා “ඉරිදා ලංකාදීප” පත්රයේ. ප්රධාන කතුවරයා වු ඞී බී ධනපාලගේ අදහසකට අනුව ලංකාදීප මාණ්ඩලික ලේඛක ධර්මසිරි ජයකොඩි ලියු “නීලා” නම් කථාව චිත්රයට නැගුවේ චිත්රශිල්පි හා කාටුන් ශිල්පි ජී එස් ප්රනාන්දුයි. නීලා නම් වැද්දකුගේ චරිතය වටා ගෙතුණු මේ සරල කථාවට ටාසන් කථාවල ආභාෂය පැහැදිලි බව ආරියරත්නයන් කියනවා.
සති 52ක් පුරා කොටස් වශයෙන් පළ වූ “නීලා” පාඨකයන් අතර ඉතා ජනප්රිය වූ අතර එය අවසන් වන්නටත් පෙර සුසිල් පේ්රමරත්න ශිල්පියාගේ නිර්මාණයක් දෙවන චිත්රකථාව ලෙස හදුන්වා දෙනු ලැබුවා. පේ්රමරත්න පසු කලෙක නිර්මාණය කළ “බිලි පූජාව”, “ලන්දේසි හටන” හා “රන් දුපත” වැනි චිත්රකථා හරහා චිත්රකථා කලාව ජනප්රිය සංස්කෘතියේ අංගයක් ලෙස ඉක්මණින් ම මෙරට සමාජයේ ස්ථාපිත වුණා.
ටයිම්ස් පුවත්පත් සමාගමේ මේ අත්හදා බැලීම අනුකරණය කරමින් ටික කලක් ඇතුළත ලේක්හවුස් ආයතනයත් සිය ජාතික පුවත්පත්වල චිත්රකථා පළ කිරිම ඇරඹුවා. 1960 දශකයේ චිත්රකථා “අපේකරණය” කිරිමට චිත්රශිල්පීන්, රචකයන් හා පුවත්පත් කතුවරුන් සමත් වුණා. ජාතක කථා, බෞද්ධ හා ක්රිස්තියානි සාහිත්යය හා ලංකා ඉතිහාසය පාදක කර ගනිමින් හොඳ චිත්රකථා රැසක් බිහි වුණා.
චිත්රකථා පමණක් අඩංගු මෙරටමුල් ම පත්රය 1972 අගෝස්තු 29දා ලේක්හවුස් ආයතනය ආරම්භ කළ “සතුට”යි. 1975දී මල්ටිපැක්ස් ආයතනය “සිත්තර” ආරම්භ කළා. වසර 5ක් ඇතුළත සතිපතා අලෙවිය පිටපත් 225,000 දක්වා වැඩි වූ සිත්තර සාර්ථකත්වය දුටු ව්යාපාරිකයන් දිගට හරහට අනුකාරක චිත්රකථා පත්තර ඇරඹුවත්, 1980 දශකයේ වෙළඳපොල ජය ගන්නට ඔවුන්ට හැකි වුයේ නැහැ.
මෙරට චිත්රකථා ව්යාපාරය හා කලාව බිඳ වැටීමට විවිධ හේතු ඉදිරිපත් කැරෙනවා. චිත්රකථා නිර්මාණ ශිල්පීන් කාලීනව අනුගත නොවීම, ප්රකාශකයන්ගේ මුදල් කෑදරකම, 1979දී ටෙලිවිෂන් ආගමනය, ප්රධාන ප්රවාහයේ ලේඛකයන් හා චිත්රශිල්පීන් දිගින් දිගට ම චිත්රකථා හෙළා දැකීම ආදිය මේ අතර තිබෙනවා. එය වෙන ම සංවාදයකට සුදුසු මාතෘකාවක්.
මෙරට චිත්රකථා ඉතිහාසය (1950 – 1980 දශක) දෙස පොදුවේ බලන විට නව මාධ්යක් මෙරටට පිවිසීමේදී අත්දකින අවධි තුනක් මා හදුනා ගන්නවා. මැයි මස කැළණිය සරසවියේ පැවති ජාතික මාධ්ය සමුළුවේ මා කළ කථාවේදී මෙය ඉදිරිපත් කළා.
පළමුවන අවධිය: පිටත ලෝකයෙන් පැමිණෙන නව අදහසක් හෝ සම්ප්රදායක් විවෘත මනසකින් යුතු ටික දෙනෙකු දේශීයව අත්හදා බලනවා. එයට ඉක්මන් ප්රතිරෝධයක් මතු වන්නේ සමහර ප්රවීණයන් හා සුචරිතවාදීන්ගෙන්. අළුත් මාධ්යය වෙළඳපොළ ජය ගන්නා ආකෘති හරිහැටි පැහැදිලි නැතත්, එඩිතර ව්යාපාරිකයන් ටික දෙනෙකු එයට ආයෝජන කරනවා. ඒ අතර රටේ ප්රතිපත්ති සම්පාදකයන් කුමක් සිදු වේදැයි හරිහැටි නොදැන තුෂ්නිම්භූත වනවා.
දෙවන අවධිය: නව මාධ්ය හෝ මාධ්ය අංගය වඩාත් මෙරට ප්රචලිත වන විට එයට වැඩි දේශීය ස්වරූපයක් ලැබෙන (අපේකරණය) නිර්මාණාත්මක අත්හදා බැලීම් කැරෙනවා. මුලින් මතු වූ දැඩි ප්රතිරෝධය තරමකට සැර බාල වුවත් සර්වදෝෂදර්ශීන් (cynics) බලා සිටින්නේ නව මාධ්යයේ කුඩා අඩුපාඩුවක් වුවද විශාල කොට පෙන්වා ආන්දෝලන කිරීමටයි. නව මාධ්යය නියාමනය කළ යුතු ද එසේ නම් කෙසේ ද යන්න ගැන ප්රතිපත්ති සම්පාදකයන් වඩාත් නිරවුල් ස්ථාවරයකට කල් ගත වී හෝ එළැඹෙනවා. ඒ අතර වඩා සාර්ථක වෙළඳපොළ ආකෘතින් මතු වනවා.
තෙවන අවධිය: තව දුරටත් නැවුම් බවක් සමාජයට නොදැනෙන මේ මාධ්යය සමස්ත මාධ්ය ක්ෂේත්රයේ තමන්ට හිමි තැනක ස්ථාපිත වනවා. වෙළඳපොල ප්රවාහයන් නිසා මුදලට කෑදර ආයෝජකයන් ද ක්ෂේත්රයට පිවිසෙනවා. මුල් යුගයේ මාධ්යය දැඩි සේ විවේචනය කළ උදවියත් හින්සැරේ තම න්යායාත්මක අරමුණු ප්රචාරණයට එම මාධ්යයට ම පිවිසෙනවා. මතවාදයන් හා පුද්ගලවාදයන් නිසා ඇතැම් විට අන්තවාදී ප්රකාශන බිහි වී අධිකරණය දක්වා යන ගැටුම් ද හට ගන්නවා. ඒ අතර පුරෝගාමින් සමහරෙක් වෙළඳපොළ තරගය නිසා ඉවතට විසි වෙනවා.
නව මාධ්යයකින් අපේ සංස්කෘතිය, සභ්යත්වය සෝදාපාලූ වන බවත්, එය ආර්ථිකයට හා ජාතික ආරක්ෂාවට තර්ජනයක් විය හැකි බවත් කියමින් සර්වදෝෂදර්ශින් නගන තර්කවලට යම් ආකාරයකින් ප්රතිචාර දක්වන්නට ප්රතිපත්ති සම්පාදකයන්ට සිදු වනවා. එබදු අවස්ථාවල ඔවුන් කලබල වී නොනිසි ප්රතිචාර දැක්වීමට ඉඩ තිබෙනවා.
සන්සුන්ව කරුණු එක් රැස් කොට, මැදහත්ව ඒවා විග්රහ කොට තුලනාත්මකව ප්රතිපත්ති නිර්දේශ කිරීම රටේ සරසවි ඇදුරන් හා අනෙකුත් බුද්ධිමතුන්ගේ වගකීමක්. එහෙත් වැල යන අතට මැස්ස ගසන, කෙටිකාලීන උපදේශක තනතුරු හා නිලතල පතන උගතුන්ගෙන් මේ පෙරගමන්කරුවන් වීමේ වගකීම කිසිසේත් ඉටු වන්නේ නැහැ.
මෙරට ජනමාධ්ය පර්යේෂණ කරන, සරසවි මට්ටමින් එය උගන්වන ඇදුරන් රැසක් හමුවේ මා ඇසුවේ මේ ජාතික හා සමාජයීය වගකීම ඔවුන් අතින් ඉටුවනවා ද කියායි. (එයට හරිහැටි පිළිතුරක් නොලැබුණත් ඔවුන්ගේ නිහැඬියාව ම යථාර්ථය ගැන හොඳ ඉඟියක් සපයනවා! http://tiny.cc/NMOM බලන්න.
ජනප්රිය සංස්කෘතිය හා නව මාධ්ය ප්රවණතා දෙස අපේ බොහෝ උගතුන් බලන්නේ සාවඥ හෝ නොරිස්සුම් ආකල්පයකින්. (සුනිල් ආරියරත්නයන් වැනි උගතුන් මෙරට ඉතා දුර්ලභයි.) නොදන්නා දේ ගැන නොවිමසා එරෙහි වන මෙබදු උගතුන්, අළුත් හැමදේට ම සහජයෙන් විරෝධය දක්වන සුචරිතවාදීන්ට උඩගෙඩි සපයනවා. බහුතර උගතුන්ගේ නිහැඬියාව මැද, මොර දෙන සුචරිතවාදීන්ගේ හඩ පමණක් රැව් දෙන පසුබිමක ප්රතිපත්ති සම්පාදකයන් ද තමන්ට ඇසෙන සැකය, භීතිය හා කුමන්ත්රණවාදී තර්කවලට අනුගතවීම පුදුමයක් නොවේ.
මතුව එන හැම දෙයක් ම බදා ගත යුතු යයි මා කියන්නේ නැහැ. එහෙත් අළුත් දෙයක් අළුත් වූ පමණට, නුහුරු වූ පලියට ම ප්රතික්ෂේප නොකර එය විචාරශීලීව හා විවෘත මනසකින් විග්රහ කළ යුතු බවත්, අළුත් ප්රවණතා අපට ගැලපෙන පරිදි හැඩගස්වා ගෙන “අපේකරණය” කළ හැකි බවත් මගේ අදහසයි.
චිත්රකථා මෙරට සමාජ උන්නතිය හා ජන වින්දනය සඳහා නිසි ලෙස යොදා ගන්නට ලක් සමාජය අසමත් වුණා. චිත්රකථා කලාවේ ස්වර්ණමය යුගය 1960 හා 1970 දශකයන්. ඒ වකවානුවේ පැවති සමාජ සාධක හා පසුබිම දැන් මුළුමනින් වෙනස් වී තිබෙනවා. චිත්රකථා පදනම වැනි සංවිධාන මේ මාධ්යය නැවත පණ ගැන්වීමට අවංකව වෙර දැරුවත් ඒ ස්වර්ණමය යුගයට යළි පිවිසීම අපහසුයි.
චිත්රකථාවලට එරෙහි වූ සුචරිතවාදී අතලොස්ස ඊට කලකට පසු මෙරටට ටෙලිවිෂන් හදුන්වා දෙන විට එයට ද දැඩි විරෝධය දැක් වූවා. 1990 දශකයේදී චන්ද්රිකා තාක්ෂණය හරහා විදේශ ටෙලිවිෂන් විකාශයන් එවේලේ ම මෙරට ග්රහණය කර ගත හැකි වූ විට අපේ සභ්යත්වය මුළුමනින් විනාශ වී යනු ඇතැයි අනතුරු ඇඟවීම් කළා.
හැම අළුත් දෙයට ම එරෙහි වන සුළුතරය දෙස උපෙක්ෂා සහගතව බලා සිටින මට පෙනී යන්නේ මේ අයට කන්නට උවමනා වූ විට කබරගොයාත් තලගොයා වන බවයි. ටෙලිවිෂන් අති භයානක බටහිර ආක්රමණයක් යයි මොර ගෑ උදවිය ම අද විවිධ ටෙලිවිෂන් නාලිකාවල දේශපාලන හා කාලීන සංවාදවල ප්රබල චරිත රග පානවා!
මේ ඇත්තන්ගේ අළුත් ම ඉලක්කය ඉන්ටර්නෙට් මාධ්යයයි. එදා මෙදා තුර සුචරිතවාදී චරිත වෙනස් වී ඇතත් ඔවුන්ගේ තර්කවල වෙනසක් නැහැ. ඉන්ටර්නෙට් මාධ්යයට බිය නොවී එය අපේකරණය කර ගන්නට තවමත් ඉඩක් තිබෙනවා. එහෙත් සුළුතරයක් පුවත් වෙබ් අඩවිවල ක්රියා කලාපය දෙස බලා අතිශය සංකිර්ණ වූත්, විවිධාකාරවූත් ඉන්ටර්නෙට් මාධ්යය ගැන උවමනාවට වඩා සරල හා දැඩි ප්රතිචාරයක් දැක්වීම හරහා අනාගත තොරතුරු සමාජය මොට වීමේ අවදානම ද තිබෙනවා.
අත්ත බිෙඳයි – පය බුරුලෙන්…..
My Sunday (Sinhala) column in Ravaya this week was on impressions of the National Media Summit 2012 held at the University of Kelaniya, Sri Lanka, on 24-25 May 2012. My own talk at the Summit, during a session New Media policies for Sri Lanka, was titled New Media, Old Minds: A Bridge Too Far?.
I shared my impressions in an English blog post on May 25 itself.
සාමාන්ය ජනතාව බැලූ බැල්මට පෙනෙන පරිද්දෙන් හෝ කලක් තිස්සේ සිතේ මුල් බැසගත් ආකල්පයන් පදනම් කර ගෙන හෝ ප්රශ්න විග්රහ කළත්, සරසවි ඇදුරන් හා පර්යේෂකයන් ඊට වඩා විවෘත මනසකින් ක්රමානුකූලව කටයුතු කරනු ඇතැයි අපේක්ෂාවක් තිබෙනවා.
පෙනෙන මානය (perception) හා සැබෑ තත්ත්වය අතර වෙනසක් තිබිය හැකියි. මේ හිඩැස අඩු කර ගන්නට අපට සමීක්ෂණ, නිල සංඛ්යා ලේඛන හා විද්වත් පර්යේෂණ උදවු වනවා. සාක්ෂි මත පදනම් වූ තර්ක වඩාත් ප්රබලයි. එහෙත් යල්පැන ගිය දත්ත හා තොරතුරු භාවිත නොකිරීමට අප සැවොම වග බලා ගත යුතුයි.
කැළණිය සරසවිය 2012 මැයි 24 – 25 දෙදින පැවැත් වූ 2012 ජාතික මාධ්ය සමුළුවේ නව මාධ්ය හා ප්රතිපත්ති ගැන සැසියේ කථා කරන්නට මට ද ඇරැයුම් කර තිබුණා. සංවාද කරන්නට ඇරැයුම් ලද විට මා කරන්නේ බහුලව එල්බගත් මතවාදයන් හා ජනප්රිය තර්කවලින් ඔබ්බට ගොස් අසම්මත විදියට ප්රශ්න විග්රහ කිරිමට මා අමතන සභාවට අභියෝග කිරිමයි.
මෙරට ජන මාධ්ය හා සන්නිවේදනය උගන්වන හැම සරසවියකින් ම ඇදුරු හා සිසු මට්ටමේ නියෝජිතයන් කැළණිය සරසවියට පැමිණ සිටියා. අපේ ජන මාධ්ය ක්ෂේත්රයට ඉදිරි වෘත්තිකයන් බිහි කරන්නෙත්, මාධ්ය හා තොරතුරු සමාජයට අදාළ ප්රතිපත්ති ගැන රජයට උපදෙස් දෙන්නෙත් මේ දැනුම් ගවේෂක උදවියයි.
මේ අයට මා සරල ප්රශ්න දෙකක් ඉදිරිපත් කළා. මේ ප්රකාශ දෙක සත්ය ද අසත්ය දැයි විමසුවා.
• මෙරට ග්රාමීය ප්රදේශවල තවමත් වැඩිපුර ම ප්රචලිත ජනමාධ්යය රේඩියෝවයි.
• ඉන්ටර්නෙට් යනු අපේ ජනගහනයෙන් 5%කට අඩු ප්රතිශතයක් භාවිත කරන, ඇති හැකි අයට සීමා වූ වියදම් අධික මාධ්යයකි.
සභාවේ බහුතරයක් දෙනා කියා සිටියේ රේඩියෝව අපේ ගම්වල ප්රචලිත ම මාධ්යය බවයි. ඉන්ටර්නෙට් ගැන ප්රකාශය හරි ද වැරදි ද යන්න ගැන ඊට වඩා මත බෙදුමක් ඇති බව පෙනී ගියා.
මෙහි සැබෑ තත්ත්වය මොකක්ද? නිල සංඛ්යා ලේඛන පදනම් කර ගනිමින් මා පෙන්වා දුන්නේ බොහෝ දෙනා සිත් සෝදිසියට විශ්වාස කරන දේ සත්ය නොවන බවයි.
• ජන ලේඛන හා සංඛ්යාලේඛන දෙපාර්තමේන්තුව කළ 2009-2010 ගෘහස්ත ඒකක ආදායම් හා වියදම් සමික්ෂණයට අනුව මෙරට නාගරික, ග්රාමීය හා වතු යන ප්රදේශ තුනේ ම නිවෙස්වල මේ වන විට රේඩියෝ යන්ත්රවලට වඩා ටෙලිවිෂන් යන්ත්ර තිබෙනවා. දීප ව්යාප්තව නිවාස 80%ක ටෙලිවිෂන් හමු වන විට රේඩියෝ ඇත්තේ නිවාස 75.4%ක පමණයි. (2012 පෙබරවාරි 26 කොලම කියවන්න) www.tiny.cc/HIES910 බලන්න.
• ශ්රී ලංකා විදුලි සංදේශ නියාමන කොමිසම එක් රැස් කරන නිල තොරතුරුවලට අනුව 2011 අවසන් වන විට මෙරට ස්ථාපිත ඉන්ටර්නෙට් සබඳතා 375,000ක් සහ ජංගම ඉන්ටර්නෙට් සබඳතා 711,000ක් තිබුණා. මේ දෙක එකතු කළ විට සබ`දතා 1,086,000 (මිලියන් එකයි අසුහය දහසක්) වුණා. එක සබඳතාවකින් තිදෙනකු ඉන්ටර්නෙට් හා බද්ධ වනවා යයි උපකල්පනය කළොත් ඉන්ටර්නෙට් භාවිත කරන්නන්ගේ සංඛ්යාව මිලියන් 3 ඉක්මවා යනවා. ලෝක විදුලිසංදේශ සංගමය (ITU) දත්ත දුවා දක්වන තවත් මුලාශ්රයක් කියන්නේ ශ්රී ලංකාවේ අඩු තරමින් ඉන්ටර්නෙට් නිතිපතා (සතියකට දෙතුන් වතාවක්වත්) භාවිත කරන සංඛ්යාව මිලියන් 2.5ක් පමණ වන බවයි. මේ අඩු ඇස්තමේන්තුව ගත්ත ද එය ජනගහනයෙන් 10% ඉක්මවා යනවා.
මෙරට ඉන්ටර්නෙට් භාවිත කරන සමස්ත සංඛ්යාව හරිහැටි ගණන් බැලීම ඉතා අසීරු නමුත් 2012 පෙබරවාරිය වන විට එය මිලියන් 2 හා 2.5 අතර සංඛ්යාවක තිබු බව තොරතුරු සමාජයේ ප්රගමනය අධ්යයනය කරන ලර්න්ඒෂියා (LIRNEasia) පර්යේෂණායතනය ඒ මාසයේ ප්රකාශයට පත් කළ Broadband in Sri Lanka නම් වාර්තාවේ කියනවා. http://tiny.cc/BBSL බලන්න.
මෙබදු නිල සංඛ්යා ලේඛන හා විද්වත් විශ්ලේෂණ අද වන විට පහසුවෙන් ඉන්ටර්නෙට් හරහා ම සොයා ගත හැකියි. එසේ තිබියදීත් අපේ ඇතැම් ජනමාධ්ය ඇදුරන් පිළුණු වූ දත්ත මත එල්බ ගෙන සිිටින්නේ ඇයි?
ශ්රී ලංකාවට ජංගම දුරකථන තාක්ෂණය 1989දීත්, වාණිජ මට්ටමේ ඉන්ටර්නෙට් සේවා 1995දීත් හදුන්වා දුන්නා. වසර 23ක ජංගම දුරකථන ඉතිහාසයක් හා වසර 17ක ඉන්ටර්නෙට් අත්දැකීමක් ලක් සමාජයට තිබෙනවා. මුල් වසරවල ඇති හැකි අය අතර සෙමින් පැතිරුණු මේ නව මාධ්ය තාක්ෂණයන් 2000 දශකයේදී සමාජයේ විවිධ ආර්ථික මට්ටම් හරහා විහිද ගියා. නිසි විදුලි සංදේශ නියාමන ප්රතිපත්ති හා වඩා ලාබදායක විද්යුත් උපකරණ බිහි වීම මෙයට දායක වුණා.
ඉක්මණින් පරිනාමය වන විද්යුත් මාධ්ය හා වෙබ් මාධ්ය ගැන විද්යාත්මක පර්යේෂණ නිබන්ධන හා පෙළපොත් ලියැවෙන තුරු බලා සිටිය නොහැකියි. ලෝකයේ වෙනත් රටවල මාධ්ය ඇදුරන් හා පර්යේෂකයන් කරන්නේ නව මාධ්ය හා නව තාක්ෂණය ඔස්සේ ම ඒවා ගැන නිරික්ෂණ කරමින්, අළුත් මතවාද හා සංවාද ඒ හරහා ගොඩ නැංවීමයි.
බි්රතාන්යයේ විවෘත විශ්ව විද්යාලයේ ආචාර්ය ජෝන් නෝට්න් (Dr John Naughton) එවැනි අයෙක්. ප්රධාන ප්රවාහයේ The Observer පුවත්පතට කොලම් ලියන අතර ඔහු මාධ්ය හා තොරතුරු සමාජය ගැන ඒවා හරහා ම බ්ලොග්, ට්විටර් ආදිය ඔස්සේ නිතර කථා බහ කරනවා. එබදු ගවේෂණය කරන ඉන්දියානු, ඉන්දුනීසියානු, තායි හා සෙසු ආසියානු පර්යේෂකයන් ද සිටිනවා.
අපේ කිසිදු සරසවියක එබදු නව මාධ්ය පෙරගමන්කරුවකු සිටිදැයි සොයා ගන්නට අපහසුයි. කැළණියේ මාධ්ය සමුළුවේ වෙබ් මාධ්ය ගැන සංවාද හරවත්ව හෝ ඉලක්කගතව කිරීමට රැස්ව සිටි උගතුන් අපොහොසත් වුණා.
ඉන්ටර්නෙට් මාධ්යය හරහා ප්රවෘත්ති හෝ ඕපාදුප බෙදා හරින වෙබ් අඩවි සුළුතරයක් තිබෙනවා. මේවා ගැන උඩින් පල්ලෙන් බලා පොදු නිගමනවලට එළඹීම හා ප්රතිපත්ති නිර්දේශ කිරිම අනතුරුදායක මෙන්ම ඇතැම් විට හාස්යජනක ක්රියාවක්. “රජයට හා ප්රභූන්ට අපහසා කරන වෙබ් අඩවි පාලනය කළ යුතුයි”, වැනි සරල උද්යොගපාඨ දේශපාලන වේදිකාවලින් ඇසී පුරුදු වුණත්, විද්වත් සභාවල මීට වඩා කරුණු තෝරා බේරා ගෙන සමබරව විග්රහ කිරිමේ හැකියාවක් උගතුන්ට තිබිය යුතුයි. අවාසනාවකට එදා සංවාදයේ මෙබදු විසමතා, අතිශයෝක්තීන් හා අනවශ්ය තරමට ලඝු කිරීම් ගණනාවක් දකින්නට හා අසන්නට ලැබුණා.
උදාහරණයකට බොහෝ කොට සංවෘත අවකාශයක් වන Facebook සහ සහජයෙන් ම විවෘත හා පොදු අවකාශයක් (Public Space) වන සමස්ත ඉන්ටර්නෙට් මාධ්යය අතර මූලික වෙනස පවා තේරුම් නොගත් උගතුන් සිටින බව පෙනී ගියා.
ලක් සමාජය අන් කවරදාටත් වඩා වේගයෙන් වෙනස් වෙමින් පවතිනවා. එය ආර්ථික, දේශපාලනමය, සාංස්කෘතික මෙන් ම තාක්ෂණික අංශයන්ට ද අදාළයි. මේ වෙනස්කම්වලට ජන ව්යූහයේ (demographic), තාක්ෂණයේ මෙන්ම පාරිභෝගික රටාවල බලපෑම ද හේතු වනවා. අපේ පෞද්ගලික අත්දැකීම්වලට සීමා වී මිලියන් 20ක ජන සමාජයේ තත්ත්වය ගැන නිගමනවලට එළඹීම ශාස්ත්රවේදීන් නොකළ යුත්තක්. ඔවුන් ඊට වඩා පර්යේෂණ හා තර්කානුකූල පදනමකින් ක්රියා කළ යුතුයි.
ඉන්ටර්නෙට් හරහා පැමිණෙන මාධ්ය අපේ සමාජයේ හා ජනප්රිය සංස්කෘතියේ තවත් පැතිකඩක් බවට පත් වී ගෙන යනවා. මෙය එයට සමීප හා එයත් සමග ගනුදෙනු කරන අයට නම් අරුමයක් හෝ අසාමාන්ය දෙයක් නොවෙයි. එහෙත් එයට ආගන්තුක උදවියට නම් මේ ප්රවාහය “උන්මාදයක්” හෝ “මනෝ විකාරයක්” ලෙස පෙනිය හැකියි.
නමුත් ඉන්ටර්නෙට් නොදැන හා පරිහරණය නොකර වත්මන් තොරතුරු සමාජයේ යම් මට්ටමකින් ඔබ්බට යා නොහැකි ආකාරයේ යථාර්ථයක් බිහි වෙමින් පවතිනවා. විශේෂයෙන් නව දැනුම සොයා යන, දැනුම ගවේෂණය කරමින් එයට එකතු කරන පර්යේෂකයන්ට, ශිෂ්යයන්ට හා සරසවි ඇදුරන්ට නව මාධ්ය හැකියාව අවශ්යයි.
එයින් අදහස් වන්නේ පරිගණක දෘඩාංග හා මෘදුකාංග ගැන ඉංජිනේරු මට්ටමේ දැනුමක් හැමට තිබිය යුතුයි කියා නොවෙයි. වසර 20කට වැඩි කලක් දිනපතා පරිගණක භාවිත කරන මට පරිගණකයක් අළුත්වැඩියා කිරීමට හෝ එහි කාර්මික ගැටළු විසඳීමට හැකියාව නැහැ. මා එය දකින්නේ මෝටර් රථ භාවිතය වගෙයි.
වත්මන් සමාජයේ මධ්යම පාංතික බොහෝ දෙනා තමන්ගේ කාරයක්, මෝටර් බයිසිකලයක් හෝ ත්රීරෝද රථයක් මිළට ගෙන පදවා ගෙන යන්නට පෙළඹෙනවා. එසේ කරන බොහෝ දෙනා මෝටර් කාර්මික තාක්ෂණය ගැඹුරින් දන්නේ නැහැ. වාහනයේ ඉන්ධන, ලිහිස්සි තෙල් හා වතුර අවශ්ය පමණට යොදන්නටත්, හදිසියේ රෝදයක හුළං බැස්සොත් එය මාරු කර ගන්නටත් රියදුරන් වන අප බොහෝ දෙනාට හැකියි. එමෙන්ම මාර්ග නීතිවලට අනුව ආරක්ෂාකාරී ලෙස රිය පදවන සැටි අප දන්නවා. වඩාත් සංකීර්ණ නඩත්තු හෝ අලූත්වැඩියාවක් අවශ්ය වූ විට අප මෝටර් කාර්මික ගරාජයකට යනවා.
පරිගණක භාවිතය හරහා සයිබර් අවකාශයේ සැරිසරන අයටත් තිබිය යුතු මූලික දැනුමක්, කුසලතාවක් හා රීති මාලාවක් තිබෙනවා. මේවා නොදත් ඇතැම් විද්වතුන් හා වෘත්තිකයන්, ලෙහෙසියෙන් වළක්වා ගත හැකි තොරතුරු තාක්ෂණ වැරදි කරනවා. බැට කෑ විට තාක්ෂණයට දොස් පවරනවා. කුමන්ත්රණවාදී තර්ක කරනවා!
ස්වයංමුලාවට පත් සරසවි ඇදුරන්ගෙන් උගන්නා සිසුන් මෙන් ම ඔවුන්ගෙන් ගුරුහරුකම් ගන්නා රාජ්ය නිලධාරින්ට කුමක් සිදු වේද? තොරතුරු සමාජයේ ඉදිරි ගමන උපෙක්ෂා සහගතවත්, මැදහත් ලෙසිනුත් නිරික්සමින් විද්වත් අදහස් දැක්වීමේ වගකීම සරසවි ඇදුරන්ට තිබෙනවා. එය හරිහැටි ඉටු නොවන බව පැය කිහිපයක් ඔවුන් සමග ගත කිරිමෙන් මට පෙනී ගියා. http://tiny.cc/NMOM ද බලන්න.
New Media, Old Minds: A Bridge Too Far?
This was the title of a presentation I made at National Media Summit 2012, at University of Kelaniya, Sri Lanka, this morning. I was asked to talk about New Media and policies for Sri Lanka.
In my audience were academics and researchers on journalism and mass communication drawn from several universities of Sri Lanka. I was told the biennial event is to help frame new research frameworks and projects.
Now, I’m not a researcher in the conventional sense of that term, and am fond of saying I don’t have a single academic bone in my body. Despite this, occasionally, universities and research institutes invite me to join their events as speaker, panelist or moderator.
University of Kelaniya, a state university in Sri Lanka, has the island’s oldest mass communication department, started in the late 1960s.
Perhaps inertia and traditions weigh down such places — while I had a patient hearing, I found our ensuing discussion disappointing. The historical analogies, policy dilemmas and coping strategies I touched on in my presentation didn’t get much comment or questions.
Instead, rather predictably, the ill-moderated discussion meandered on about the adverse social and cultural impacts of Internet and mobile phones and the need to ‘control’ everything in the public interest (where have I heard that before?).
And much time was wasted on debating on what exactly was new media and how to define and categorise it (I’d argued: it all depends on who answers the question!).
Part of the confusion arose from many conflating private, closed communications online (e.g. Facebook) with the open, more public interest online content (e.g. news websites). Similarly, the critical need for common technical standards (to ensure inter-operability) was mistaken by some as the need for dull and dreary orthodoxy in content!
Concepts like Citizen Journalism, user-generated content, privacy, right to information were all bandied around — but without clarity, focus or depth. Admittedly we couldn’t cover everything under the Sun. But we didn’t even discuss what options and choices policy makers have when confronted with rapidly evolving new media types.
I was being a polite guest by not explicitly answering my own question (but as a helpful hint, I mentioned dinosaurs a few times!). In the end, my audience provided a clear (and sadly, negative) answer: far from being path-finders or thought-leaders, they are mostly laggards who don’t even realise how much they have to catch up!
And some of them are framing Lankan media policy and/or advising government on information society issues. HELP!
Don’t take my word for it. Just try to find ANY online mention of National Media Summit 2012 that just ended a few hour ago. Google indexes content pretty fast these days — but there is NONE that I can find on Google as May 25 draws to an end (except my own PPT on SlideShare!).
Or try accessing the Mass Communication Dept at University of Kelaniya. For the past few weeks and even now, it remains inaccessible while the rest of that university website works. | 2019-04-20T06:26:50Z | https://nalakagunawardene.com/tag/media-regulation/ |
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The 46th Meeting of the Executive Committee, which took place in Montreal from 4 to 8 July 2005, was attended by the representatives of the 14 Executive Committee member Parties and by participants from 18 other co-opted countries (see attached list). Mr. Paul Krajnik of Austria presided over the second meeting of his term as Chair of the Executive Committee for 2005. The President and Vice President of the Implementation Committee of the Montreal Protocol, representatives of the Ozone Secretariat and a representative of the Alliance for Responsible Atmospheric Policy, an industry NGO, also attended the meeting.
In 2005 Article 5 countries were also expected to achieve a number of Montreal Protocol targets, specifically reductions in consumption of 50 per cent below their respective CFC baselines and 85 per cent below their carbon tetrachloride (CTC) baselines, as well as a reduction of 30 per cent in the consumption of methyl chloroform (TCA) and 20 per cent in the consumption of methyl bromide. Therefore one of the objectives for 2005 was to fully utilize the remainder of the 2003-2005 triennial budget by the end of the year so that countries could comply with their Montreal Protocol commitments.
The Committee followed its established programme of work for the second meeting of the year which included consideration of the progress reports of the bilateral and implementing agencies for the preceding year, the accounts of the Multilateral Fund, the evaluation of the 2004 business plans and approval of investment projects. Furthermore the Committee also considered the final report on the evaluation of methyl bromide projects taking up a number of recommendations to improve the effectiveness of future activities in this sector, adopted criteria and modalities for chiller demonstration projects, endorsed the text of the draft agreements between the Treasurer and the implementing agencies and completed the documentation of the internal procedures and practices of the Treasurer, UNEP.
The Executive Committee took a total of 42 decisions; the most significant decisions and discussions are outlined below.
At the outset of the meeting, the Executive Committee examined the availability of financial resources. An estimated US $91,985,148, consisting of cash, promissory notes, and balances returned, was available. This amount was sufficient to fund the projects and activities that were under consideration at the 46th meeting.
In light of the request of the Fourteenth Meeting of the Parties to commit the whole of the Multilateral Fund budget for 2003-2005 by the end of 2005 (decision XIV/39), it was important that all projects and activities foreshadowed in the implementing agencies’ 2005 annual business plans would be submitted for approval in 2005. Submissions currently outstanding in the 2005 business plans included twelve new multi-year agreements and 205 other projects, plus activities for the global chiller programme totalling some US $133 million.
The Executive Committee urged bilateral and multilateral implementing agencies with projects in the 2005 business plans for countries subject to decisions of the Meeting of the Parties on compliance to submit those projects to the 47th Meeting of the Executive Committee as a matter of urgency.
The Committee also asked that that in future reports on the status of implementation of the annual business plans, more detailed explanations should be given for projects to be submitted for countries subject to compliance decisions, since implementation of such activities was a priority.
The Executive Committee considered the latest report on the status/prospects of Article 5 countries in achieving compliance with the initial and intermediate control measures of the Montreal Protocol. The report showed that projects and agreements for funding were already in place for the elimination of all but some 16,373 ODP tonnes of ozone depleting substances (ODS).
The Executive Committee asked the Secretariat to reformat future reports to focus on actual and potential compliance issues, to address the 85 per cent reduction for CFCs in 2007, and to include a report on all Article 5 countries, not just countries supported by the Multilateral Fund, in order to focus on countries at risk of non-compliance.
The Executive Committee also asked agencies to ensure that project proposals submitted to the 47th meeting would address a number specific compliance issues, namely, halons in Kyrgyzstan and Somalia and CTC in Nepal, Sierra Leone, and Uganda.
The Executive Committee urged agencies implementing institutional strengthening projects to inform National Ozone Units of their data reporting requirements vis-à-vis the two-year renewal of institutional strengthening projects. Only 66 Article 5 countries had submitted 2004 country programme implementation data for the status/prospects report presented to the 46th meeting.
The evaluation study on methyl bromide projects demonstrated that a major problem facing methyl bromide phase-out projects was that some users were not convinced that there was an economically competitive replacement for methyl bromide. Additionally, users’ reluctance to change their approach to production and process management appeared to be an equal or greater challenge to the adoption of methyl bromide alternatives. The Executive Committee took a detailed decision aimed at involving all stakeholders in a country in the preparation and implementation of methyl bromide projects, and strengthening cooperation and partnerships amongst key players.
The Executive Committee urged agencies and countries to examine the long-term sustainability and economical viability of alternatives to methyl bromide in more detail and that relevant government authorities should be assisted to develop policy measures from the onset of project implementation.
In order to promote dissemination of information, the Executive Committee requested UNEP and UNIDO to continue updating and maintaining their joint website on methyl bromide and asked other implementing agencies to supplement the site with their experiences in the implementation of methyl bromide projects. On another front, the Executive Committee requested relevant agencies to explore the feasibility of regional agreements between Article 5 countries facing similar methyl bromide phase-out issues in order to facilitate phase out, standardize regulations and minimize the risk of illegal trade.
The desk study on non-compliance with the freeze in consumption of CFCs, halons, methyl bromide and methyl chloroform stemmed from discussions of the Executive Committee at its 43rd meeting on the causes of implementation delays, and the Executive Committee’s concern that such delays could contribute to non-compliance in various countries. The Executive Committee requested that a full analysis and follow-up study be included in the monitoring and evaluation work programme for 2006, and that countries in non compliance be included in the sample of field visits in the follow-up study.
Progress reports presented by the implementing and bilateral agencies annually cover the agencies’ accomplishments in terms of financial disbursement rates, project completion and ODS phase-out achieved. The Executive Committee noted that the 2004 progress reports showed a slow rate of project completion and a lower level of phase-out than planned and therefore encouraged implementing agencies and Article 5 countries to expedite project implementation.
The Executive Committee also requested the Secretariat, in collaboration with the bilateral and implementing agencies to address the issue of how to account for progress in the implementation of projects with annual funding tranches and to prepare a discussion paper outlining new options for monitoring and assessing the progress of implementing agencies with regard to multi year agreements, with a view to reflecting more accurately the actual progress and phase-out achieved.
At the 46th meeting a number of ongoing projects were classified as having implementation delays, i.e. projects expected to be completed over 12 months late or where the first disbursement had not occurred 18 months or more after project approval. These projects were subject to the Executive Committee’s procedure for project cancellations and would continue to be monitored at subsequent Executive Committee meetings. Two projects in Argentina were cancelled with the agreement of the Government of Argentina.
The Executive Committee approved projects amounting to almost US $24 million, and associated support costs, to phase out 6,529 ODP tonnes of consumption and 16,171 ODP tonnes of production, including funding extensions to institutional strengthening projects in 12 countries. The Executive Committee also agreed on a total of US $3.1 million to finance a comprehensive plan to assist Egypt to completely phase-out the use of CFCs in the refrigeration sector by the 2010 Montreal Protocol deadline. Another US $2 million in Multilateral Fund support was approved for Brazil to fund a project that would lead to the total phase-out of the use of methyl bromide.
At its 45th Meeting, the Executive Committee established a funding window for 2005 for the chiller sub-sector, amounting to US $15.2 million, and decided to examine criteria and modalities for chiller demonstration projects. This included how different regional funds for this sector might come into operation so that chiller demonstration projects could be considered at the 47th meeting in November 2005 (decisions, 45/5 45/6, 45/7 and 45/8).
Based on discussions, in plenary and in a contact group established by the Committee, of a policy paper prepared by the Secretariat, it was decided to utilize the funding window of US $15.2 million for additional demonstration projects in the chiller sub-sector, on the understanding that no further funding for chiller replacement would be approved by the Executive Committee. A number of conditions for investment projects would be applied such as the relevant countries should have enacted enforced legislation to phase out ODS; the maximum grant to a country would be US $1,000,000; and, as the project would also have to use financial resources outside the Multilateral Fund (such as national programme or the Global Environment Facility), the credibility of those financial resources would have to be indicated when the project was submitted for approval by the Executive Committee.
The Executive Committee approved funding for project preparation by the multilateral implementing agencies. This funding would include the costs of participation in coordination meetings between the Secretariat and agencies, development of project methodologies and demonstration project proposals, to be prioritized according to a number of specific criteria in order to facilitate the decision-making process of the Executive Committee. The Executive Committee also asked UNEP to submit a global information project proposal covering relevant chiller information, including dissemination and awareness activities, which would have the objective of disseminating the experience gained in the demonstration projects globally.
At the 45th meeting the Executive Committee had asked for further work to be carried out to formalize the financial procedures of the Treasurer and implementing agencies since these were an important part of the Fund’s financial operating system. The Executive Committee endorsed the draft text of agreements between the Treasurer and the implementing agencies, which formalized the informal procedures that had been in practice for a considerable period of time.
At its 44th meeting the Executive Committee decided to look at the need to further elaborate existing guidelines for the funding of projects for the collection, recovery, recycling and destruction of ozone-depleting substances while ensuring economically feasible and environmentally appropriate management of ozone depleting substances (decision 44/63). Following a lengthy discussion on whether or not ODS destruction was related or not to compliance and the current and future level of ODS stockpiles, the Executive Committee asked the Secretariat to prepare a paper for the 47th meeting covering terms of reference, budget and modalities for a study regarding collection, recovery, recycling, reclamation, transportation and destruction of unwanted ODS, taking into account written proposals made by Austria and Japan at the 46th meeting.
Flexibility in the use of funds has been a key provision of the arrangements under which the Executive Committee supports sectoral or national phase-out plans in Article 5 countries. The Executive Committee decided to elaborate the conditions for the exercising of such flexibility in the use of funds by defining major and minor changes to endorsed annual implementation plans. Minor changes to an annual implementation plan could be incorporated, as implementation proceeded during the year, and reported on in the annual report on implementation of the annual implementation plan. Major changes should be deferred pending endorsement by the Executive Committee as part of the subsequent annual implementation plan.
Since 1999, multi-year agreements had increasingly become the predominant vehicle for disbursement of Multilateral Fund resources. Under these agreements, the responsible implementing agencies were required to submit a verification report on the achievement of the ODS reduction targets specified in the agreements as a prerequisite for the release of the next tranche of funds. Consequently it was vitally important that the requirements for verification of performance in multi-year agreements were clear to countries and implementing agencies.
Following its deliberations, the Executive Committee adopted new procedures for verifying national ODS reduction targets in these multi-year projects. These procedures would assist in confirming that agreed reduction targets had been met so that the Executive Committee could approve further disbursements of funds to the projects in a transparent process and with full accountability.
The Executive Committee also approved a revised reporting format for the implementation of country programmes. It was agreed that National Ozone Units would start to use it in 2006 to report the 2005 country programme implementation data and that the revised format would be reviewed at the last meeting of the Executive Committee in 2007.
The Executive Committee reconsidered proposals for the establishment of an inter sessional approval procedure in the event that the Executive Committee should hold fewer meetings per year however they agreed that current and foreseeable workload was too heavy to envisage reducing the number of meetings from three per year to two and that therefore there would be no advantage in creating an inter-sessional approval procedure at the present time. The matter would be re-examined at the 50th meeting.
The Executive Committee’s Sub group on the Production Sector for 2005, composed of representatives from Brazil, Canada (facilitator), Japan, Syria, Thailand, the United Kingdom, the United States of America and Zambia, reviewed the final report on the technical audit of the ODS production sector in Romania. Based on the outcome of the Subgroup’s discussions in the margins of the 46th meeting, the Executive Committee requested UNIDO to take into account the findings of the audit report when preparing an investment project for Romania.
The 47th Meeting of the Executive Committee would be held from 21 to 25 November 2005 in Montreal. The 48th Meeting would tentatively be held the first week of April 2006.
A complete record of all decisions made at the 46th meeting, including those discussed in this document, can be found in the ‘Report of the Forty-sixth Meeting of the Executive Committee of the Multilateral Fund for the Implementation of the Montreal Protocol’ (UNEP/OzL.Pro/ExCom/46/47 on the Multilateral Fund’s web site (www.multilateralfund.org). The report is available in Arabic, English, French, and Spanish. | 2019-04-22T04:04:05Z | http://multilateralfund.org/sites/46/default.aspx |
I hope that you have all enjoyed the festive celebrations and have welcomed in the new millennium.
The Coseelis Newsletter has finally changed it’s logo and I hope that you all find it acceptable. I have found that contributions to this Newsletter are hard to get hold of so I am asking you to think about what could be included in the next one.
If anyone has any contributions for the web page then please let either Annie or Tania know.
In celebration of her first Millennium and on the way to joining the European Union, this year Hungary, the first country from Eastern Europe was guest of honour at the 51st Frankfurt Book Fair. The Hungarian presence, placed Hungarian literature, culture in its widest sense, and knowledge of the country in the limelight for the duration of the Fair. It was a unique opportunity for Hungarian publishers and booksellers to display the state and quality of their book industry in one of the leading countries of the European Union.
Hall 3.housing the 300 sqm. Hungarian pavilion was the scene of numerous exhibitions of Hungarian history, literature, music, science, but, most importantly, provided over 60 Hungarian publishing houses access to the Fair. All this was accompanied by an extraordinary variety of cultural events presented simultaneously, at hourly intervals throughout the five days. Most of the round-table discussions took place in the ‘Café Pest-Buda’, an intimately lit and furnished mock café, reminiscent of traditional venues for literary gatherings. They included highly topical debates on Hungarian literature beyond the borders, featuring authors from Slovakia, Burgenland, Transylvania; émigré Hungarian literature around the world, printing houses at the turn of the century, Culture in Central Europe, to name but a few.
The best of the Hungarian literary events, however, took place at the prestigious Frankfurt Literaturhaus, outside the boundaries of the book fair. It offered a hearty welcome to Imre Kertész, Péter Nádas and Péter Esterházy – the trio of well- established fame, but also introduced leading authors: Lajos Parti Nagy, Imre Oravecz, Pál Závada whose works have only selectively been translated into major European languages. György Dalos, István Eörsi, György Konrád, László Krasznahorkai, recently joined by the highly acclaimed Ádám Bodor, Sándor Tar, Endre Kukorelli, needed no introduction to the German audience. Fortunate to have found themselves German publishers, they benefited from the advantages of western public relations and therefore had an easier journey towards international recognition.
To the librarian/book selector, of the numerous bibliographic tools offering a cross-section of the otherwise baffling output, three publications appeared very helpful.
Hungarian Publishing. Ungarisches Verlagswesen, 1999, by Dóra Károlyi (ed.), Frankfurt: Frankfurt ’99 Kft, 1999 -offers a bilingual survey of Hungarian publishing history, followed by a concise historical presentation of Hungarian publishing houses, in alphabetical order, their field of interest, with contact names, electronic and postal addresses. The most useful section of this listing without doubt is: Hungarian Publishers abroad, chiefly in neighbouring Romania, Slovakia, Yugoslavia and Ukraine. Until the early 90s most of these countries relied on no more than one publisher for their Hungarian language output. It is heartening to note that Romania now has six, in addition to the still largest Kriterion, previously the token publisher of national minorities. The volume concludes with a list of Foundations and Unions, Literary Agencies, aiming to sponsor publication of works by new authors, protect, represent writers’ interests, support publications of Hungarian literature abroad and advertise new titles.
Neuerscheinungen, New Titles, Nouveaux Titres – translated from Hungarian 1999, by Dóra Károlyi (ed.), Frankfurt: Frankfurt ‘99Kft, 1999. The order is predictable; the largest number of works were translated into German, the smallest into French, arranged in subject order of literature, art, history, cultural history, social sciences, other, with short summaries and bibliographic descriptions.
The third volume is the exhibition catalogue: Books on Hungary, compiled by Rosmarie Rauter, AuM, with the assistance of Simone Bühler, Frankfurt, 1999. It covers 1150 books presented by 395 publishing houses from thirty countries on the occasion of the focal theme ” Hungary without Boundaries” at the 51st Frankfurt Book Fair, 1999. For future reference the volume thoughtfully provides a list of publishers and their addresses.
All three publications will significantly broaden the selector’s horizon and offer a variety of possibilities for more comprehensive acquisition.
It was an impressive turnout. Some forty publishing houses offered a display of 12000 publications under the auspices of the Romanian Ministry of Culture. In view of the Hungarian focus, Hungarian books occupied a large section of the show. The catalogue: Books from Romania, October 13-18, 1999, compiled and published by the Ministry of Culture, introduces new publishing houses, lists foreign books in Romanian, and a small number of Romanian works in English translation. Of the independent exhibitors Humanitas still appears to be the most professionally accomplished Romanian publisher. The books on display: scholarly works and essays in the humanities and social sciences, reference works are listed in a clearly arranged and well executed catalogue with a subject index and a useful general index of publications between 1990-1998.
It was good to witness the animated debate of authors, publishers and enthusiastic bibliophiles, to meet and renew old acquaintances with fellow librarians or members of the book trade, in a colourful and stimulating atmosphere.
At the time of writing a draft programme was not yet available, but by the time you read this it should have been mounted at the same URL as above. Subject to confirmation, there will be UK participation in panels on collection development issues, Baltic collections outside the Baltic states, Slavic and East European librarianship journals and a roundtable on the COCOREES project. The conference will be held at the National Library of Estonia and there will be the opportunity to visit other Tallinn libraries. Transport will be arranged for those wishing to travel on to the ICCEES VI World Congress in Tampere, Finland which takes place immediately afterwards.
To give you an idea of likely costs, registration for Tallinn will cost ca. £35.00 before May 1 2000 and ca. £47.00 after May 1 2000. Hotel rooms in Tallinn per night cost between £37.00-£57.00 single and.£47.00- £67.00 double. Travel between Tallinn and Tampere will cost ca. £16.00. Registration for Tampere costs ca £100.00 before 31 March 2000 and ca. £120.00 after this date. Tampere hotel rooms cost between £35.00-£75.00 single and £48.00-£100.00 double.
If anyone would like to have more information, but does not have internet access, please contact me and I will be happy to forward information to you.
In connection with the panel I have organised for the Tallinn Library conference on Baltic Collections outside the Baltic region, with the subscription renewal notices, I have circulated to all institutional members a questionnaire on Estonian, Latvian and Lithuanian collections in UK libraries. It will also be going to a number of other libraries and community organisations which have collections of Baltic materials. If anyone can suggest any libraries which currently collect or have substantial holdings of material from Estonia, Latvia or Lithuania, and which are not COSEELIS members, I would be very grateful.
I know that we are all extremely busy and that a number of surveys are being conducted within a sort space of time, but I would be extremely grateful if you can find the time to complete this questionnaire. Not only will your responses contribute to the first comprehensive review of Baltic collections in UK libraries, but Gregory Walker has agreed that the data gathered can be used for the COCOREES project, so you will not be asked to duplicate the information. If you can only answer some of the questions, please just do as much as you can. If you have no collections relating to the Baltic in your institution I would appreciate notification by e-mail of a nil return.
I compared the Year 2000 subscription prices of 500 serials from the countries of the former Soviet Union for the British Library’s collection. Because of the balance of the BL’s collection, there were proportionally more scientific and medical titles than would appear in most collections in Britain but humanities titles were also costed as part of the excercise. There were very few newspapers. The list of titles is Russo-centric but titles from the other FSU republics were also included, with the largest proportion of those being Ukrainian items.
Seven suppliers were compared. These were in alphabetical order: East View Publications (EVP), Kubon + Sagner (K+S), Mezhdunarodnaia Kniga (MK), Panorama of Russia (POR), Rospechat’ (Rosp), Russian Press Services (RPS), Victor Kamkin (Kamkin).
Most of the prices were taken from their catalogues, with three firms providing advance copies by e-mail before the publication of the hard-copy version.
The situation of the early 1990s in which different suppliers provided cover from different geographical areas seems to have altered for the better. Most of the suppliers are now covering almost all of the FSU, although K+S are still the only one to cover all of Eastern and Central Europe as well. EVP lists a few Bulgarian titles. MK does not list any Georgian titles and Rosp does not list any from non-CIS countries (i.e. the Baltic States) or Armenia. RPS lists some titles about Russia, mostly literary journals, published in other countries.
Of the 500 titles, 3 ceased publication in the latter half of 1999 and so were not quoted by anybody. Any one of the firms was not able to supply all of the titles. The largest ‘cover’ was by EVP – which has always had the ‘largest title selection … over 5,000 periodicals’ as it says in the introduction to the 2000 Periodicals Catalog which only arrived in hardcopy in January. I was sent a tab delimited ASCII file of the draft version in September which was actually more helpful as it had subject descriptors which are not in the published version!
EVP listed 480 of the 497 remaining titles. The other suppliers listed 460 (Kamkin), 457 (K+S and MK), 444 (POR), 411 (RPS) and 243 (Rosp). The 457 listed by K+S and the 457 listed by MK were not quite the same 457.
The Rosp 243 (sic, not 423!) was a great surprise. Rosp lists quite a lot of titles which just are not listed by anybody else but has huge gaps even in the Russian Federation list. Unlike all of the others, Rosp actually says, “Subscriptions shall only be taken to periodicals included in this catalogue,” in the introduction to Russian Newspapers & Magazines 2000 the “Rospechat” Agency. The others either remain silent and will at least try to obtain unlisted items or, in the case of POR, actually state, “This catalog includes the most popular periodical titles.
If you do not find a publication you want, we can order it for you,” in Panorama of Russia 2000 Periodicals Catalog. EVP had issued a similar listing limited to the most popular titles in 1999, but the 2000 listing is a full one.
Average (arithmetic mean) prices per title before discount from the suppliers were as follows (all prices in US Dollars as per normal with FSU publications, K+S converted from Deutschmarks at the November 1999 rate of US $1.00 = DM 1.86). EVP $206.41, Kamkin $198.48, Rosp $188.69, POR $187.31, MK $181.14, K+S $176.51, RPS $151.96. The ‘average of the averages’ price was $184.36 per title.
Discounts are of course available from some firms, so that for instance EVP’s average price drops to $165.13 when one subtracts the 20% offered on the first page of its catalogue for any order of 20+ titles. Most firms are far less open about their discount rates and one needs to negotiate with them, often at great length, to obtain some measure of value for money.
EVP in 1993 had the lowest prices of any supplier of FSU publications, even before discount. It now has the highest average price. At its discounted prices it looks more competitive but most of its rivals also give discounts of course… EVP’s average undiscounted 2000 price was $18.39 more expensive than the 1999 average undiscounted price.
MK says that “Prices for most titles do not exceed prices of 1999 and in some cases we managed to reduce prices” in Catalogue of Periodicals 2000. They of course do not actually say that they also increased prices for some of the titles on the list but the 2000 average before discount for the 497 remaining titles was $4.40 cheaper than in 1999.
K+S froze their scientific list prices at the 1999 level, which was unfortunately still rather high. K+S do seem to be approaching the prices that their rivals offer, however, and seem to be shedding their past reputation of being ‘very expensive’.
Rosp had some titles at amazingly low prices and some at amazingly high ones. It all depended what you wanted!
Kamkins had raised their general price level for 2000 instead of keeping level with MK. In 1999 most Kamkins and MK Russian Federation titles had had exactly the same list price.
RPS had a good list with fairly low prices for most items. They are of course better known for monograph supply but good reports on their recent performance with serials from Peter Hellyer of the BL in London among others persuaded me to ask for their catalogue. I was glad that I did.
POR, another firm probably better known for monograph supply, offered very fair prices for its serials but unfortunately for them kept getting undercut by one of the others for nearly every title.
The maxim that there are lies, damned lies and statistics still holds true. Just because Company A is offering journal X at a lower price than Company B and at an even lower price than Company C, it certainly does not follow that journal Y will have the same price profile. Quoting at a median level means that Company C can get undercut for every title in succession by either Company A or Company B and the other can turn about and charge more than Company C for every item. Company C can maintain a much lower average price compared with both the others because Company C only just gets undercut on the under bids but the overbids are truly massive. Company C will not get the order, however, as the wise customer will just order the cheap ones from Company A and Company B in turn and reject Company C’s ‘second lowest each time’ prices as well as the overbid items. With seven companies it is not so simplistic but title by title costing proved not only useful but necessary.
Prices, as ever with FSU serials, are seemingly plucked at random from thin air on a title by title basis. Even the publications of the Nauka publishing house, which had had the same price from everybody for many years because of exclusivity arrangements, now have different prices from company to company. Exclusivity seems to have disappeared with products such as the Letopisi of the Rossiiskaia Knizhnaia Palata, now renamed for trading purposes only as Book Chamber International. Once exclusively distributed by EVP, with whom it shares its building, BCI’s specialized titles are now on everybody’s list.
As you have to look at all the prices to find the average, you can simultaneously look at the prices to find the best supplier for each title as outlined previously. Considerations of service, known performance in providing manageable invoicing, the granting of credit for ceased titles, supplying missing issues, the ability to provide backsets. speed of response to orders and queries, etc., also come into play of course.
Six titles were only available by direct purchase from the publishers. MK was able to offer the best price for most titles followed by RPS. EVP maintained probably the most cost effective service for Ukrainian periodicals – as it has had in previous years – and so picked up a substantial rather Ukrainian-heavy order. K+S gained a smallish order for FSU publications but we do use them for titles from the rest of Eastern Europe as well. Kamkin also gained a small part of the order.
If we had carried on using the same suppliers for 2000 as for 1999, we would have had to pay 18.32% more for the same titles. This is in spite of the fact that some of the firms were holding prices fairly level. By mixing and matching the order, we in fact had to pay ‘only’ 9.27% more which is much more in line with World serial price inflation.
20, Bld. 2, Usievicha Str.
It may well be that Russian serial publication has not only survived the economic crises but is getting back to its former level. Tirages are certainly down, but the number of titles is on the rise once more. We must, however, as always wait and see.
I was invited to the University of Illinois at Urbana-Champaign (UIUC), by the Mortenson Centre for International Librarianship and the American Bibliography for Slavic and East European Studies/Illinois Researcher Information Service(ABSEES/IRIS). The people in these departments will be known to many of you, by name if not in person: Marianna Tax Choldin is Director of the Mortenson Center and Aaron Trehub runs the ABSEES/IRIS office.
I was fortunate to visit at the same time as Mikhail Afanasev of the Russian State Historical Library of Russia and Ekaterina Geneva of the Foreign Literature Library in Moscow, President of the Soros Foundation, Russia. We all gave well-attended lectures and talks and there were several receptions constituting a very full `Slavic’ week. Katia Geneva gave the 10th Mortenson Distinguished Lecture entitled `Whither Russia: the role of libraries in the transformation of a society’. Misha Afanasev and I gave more informal talks, his entitled: `Kuda ischezaiut bibliotechnye knigi: `spisanie’, `iz’iatie’, `prodazha’ i `obmen’ v sovetskikh bibliotekakh’, full of interesting anecdotes from his own experiences, mine entitled `Into the 21st century: Slavonic studies and Slavonic librarianship in the UK’.
UIUC Library has the third largest Slavic and East European collection in North America. The head of the Library is Bob Burger. Larry Miller is in charge of acquisitions and Helen Sullivan runs the Slavic Reference Service. Such are the strengths of the collections and the expertise of the reference team that the Library receives additional federal funding for the Reference Service which serves more non-governmental researchers in the Slavic field than any other institution in the country, except for the Library of Congress. Helen and her team handle approximately 250 requests per month of which currently, approximately 50% are requests for technical help with websearching, using Cyrillic and other Slavic fonts etc. The service is available to anyone and Helen was keen that I should publicise it here in the UK. To find out more the URL is: http://www.library.uiuc.edu/spx/srs.htm. She would like to develop closer links with major Slavonic reference collections in the UK with a view to establishing cooperative projects.
The Slavic and East European Library has more than 638,000 printed volumes, 92,000 microforms, and subscriptions to approximately 4,000 current periodicals. It covers all parts of the former Soviet Union as well as Poland, the Czech Republic, the Slovak Republic, Bulgaria, the former Yugoslavia, Hungary, Romania, and Albania. The collection is particularly noted for its holdings in Russian and Ukrainian history and culture and includes the personal collection of Elias Czaykowsky on Ukrainian culture and the library of the Russian historian George Vernadsky.. The I. Perlstein Collection of Czechoslovak Book Design contains approximately 750 volumes of limited, signed bibliophile editions of Czech literature from the 1920s and 1930s..
Since 1973, the Slavic and East European Library has been the focal point of the University of Illinois’s Summer Research Laboratory on Russia and East Europe which draws participants from all over the world. A workshop for librarians is an integral part of the programme and any future participants from the UK would be warmly welcomed.
It was initially something of a culture shock, though also a tremendous thrill, for someone used to the altogether more modest and intimate BASEES/COSEELIS conferences to arrive in the grand lobby of the conference hotel thronged with hundreds of Slavists. AAASS has approximately 5000 members of which well over 1000 seemed to be in attendance. It was however quite easy to meet up with the other Slavic librarians at library-related panels and meetings, the largest of which were attended by ca. 50-75 people. Topics under discussion were largely familiar ones and included restitutions, new sources for Slavic reference, both printed and electronic, use of approval plans for collection development and émigré collections in US libraries. I also took the opportunity to attend a number of academic panels on Poland and Central and Eastern Europe. Subjects covered were history and historiography, regional identities, and the Jewish question in Poland. There was also the opportunity to meet a large number of commercial vendors and to peruse their wares in the exhibition hall.
I found it particularly useful to be able to see the output of both large and small North American university presses. I also attended the business meetings of the Bibliography and Documentation Committee which were very worthwhile for getting to know about the nuts and bolts issues facing our North American counterparts. I was given a short slot in which I gave an outline of COSEELIS activities and reported on developments in the COCOREES project.
I found it truly uplifting to feel part of the larger international community of librarians and information specialists. It was very useful for me to make new contacts and discuss common problems with a wider range of colleagues in the Polish field. Our American colleagues are very welcoming and keen to know about our problems, challenges, projects etc. I sensed a general concern on their part about the pressures to redefine the role of Slavic studies and Slavic librarianship in the post-Cold War environment in order to secure future funding.
Although the expense is clearly an inhibiting factor,(I was fortunate enough to have my attendance at AAASS largely funded by UIUC), I firmly believe that if we could manage to have COSEELIS representatives attending AAASS on a more regular basis, there could be many positive outcomes, particularly in terms of concrete cooperative projects. I would strongly urge anyone who can find the funding to make the trip – you are guaranteed a very warm welcome from our North American colleagues.
Renewal notices for the new subscription year, January to December 2000 were sent out in the first week of February to personal members and the named official contact for institutional members. If any named official contact or personal member has not received the notice, please contact me at the address below. At the AGM in March we agreed to the change of the subscription year to a calendar year. Once again I am making my usual plea that all members should endeavour to send me their cheque for subscription and the completed membership records form by the closing date of March 6, 2000.
Thereafter I will send only one reminder, after which anyone who still fails to pay the subscription will be removed from the mailing list and will no longer receive the Newsletter and other COSEELIS mailings. I’m sorry for the stern approach but each year I spend a considerable amount of time chasing a few non-payers. Please remember to make the cheque payable to COSEELIS not the British Library.
Please can you also let me know of any changes to entries in the Register of member’s interests1998-9. (If you sent in corrections at the time when I distributed the Register last year, you don’t need to repeat them). In the case of institutional members, please could the named official contact undertake to inform me of any changes to the details of individuals within the institution. Later in the year I will send out a revised version of the Register. | 2019-04-18T23:16:28Z | https://coseelis.wordpress.com/newsletter/newsletter-no-23-february-2000/ |
We had originally planned on several weeks exploring Bolivia’s fantastic landscapes, but the universe had intervened and we had been forced to reduce things to their basic essentials. Bolivia was not to be taken lightly though – it had loomed large in Megumi’s plans for most of the trip – two of her big travel “to do’s” were located here; accessible mountains above 6,000m and the salt lake’s of Uyuni – scenes from which had been haunting her desktop wallpaper for the last 2+ years, above all other locations, which says a lot.
Our entry to Bolivia from Peru, came via the stunning Lake Titicaca – one of the earth’s truly sacred place’s. The largest, high altitude lake in the world, some 4,000m, it is home to the creation myths of the Inca’s and several more great ancient civilizations, most notably the Tiwanaku dating back to almost 3,000 BC. Arriving in Copacabana we stayed the night and caught a boat to the Isle del Sol (Island of the Sun) the next morning. Getting dropped off at the Northern end – we visited the sacred Incan creation stone and ceremonial centre, then trekked the length of the island, down an old Incan trail for 3 hours staying at one of the many hostals at the other end, all of which are kitted with wonderful views across the lake. Titicaca itself is an incredibly tranquil place, oozing with silence and memories of times past. Becalmed on the surface and ringed by snow capped peaks on its distant shores, it is an easy place to idle away days of time. Peninsula’s and islands jut out in different directions, many of which are in the distinct shape of animals – most notably serpents and puma’s. You can easily see why the place is so revered in the Andean cultures, it is very special.
Boating back to Copacabana, we caught a bus the few hours to La Paz and settled ourselves into a hotel in the middle of the downtown tourist area, comfortably positioned amongst all the trekking companies, souvenir stands and fellow adventurers, whereupon Megumi began making enquiries about mountain climbing. Having picked up a bit of a cold already and remaining still scarred by my Killamanjaro efforts similarly encumbered, I had decided to sit this one out. Megumi, despite sniffling away herself was pretty unperturbed though – she sat through heart monitors, oxygen analysis tests and defied any of the “trying to be helpful” trekking companies or guides to tell her what she could or could not do.
The mountain she wanted to climb, Huayna Potosi is about 6,088m, located just outside the city and consequently one of the most accessible (and cheapest) 6+k mountains in the world to climb. Largely because La Paz is already located at 4,000m so the net gain in altitude and risks of serious altitude sickness are somewhat reduced. It is still a really tough climb though, 9 hours for the total ascent over 2 gruelling days with little oxygen, some parts of which requiring crampons and ice axes to get over the top of ice walls, plus at least a week at this kind of high altitude to acclimatize beforehand. Having spent almost 2 months in Peru at similar heights though – we were pretty used to this atmosphere level now and Megumi locked herself in with a good company, geared up and disappeared for three days. Leaving me weirdly alone to recover from the flu and wander the streets of La Paz solo.
La Paz is a strange city, as you enter from the flat high alto plains, you are completely nonplussed at the fuss – the outer suburbs are all flat, poor and made from tan, mud, adobe bricks, its all rather bleak looking and featureless, until that is, you round a bend and see the centre of the city plunging steeply down into a valley – the red-roofed houses clinging to the high valley walls in all directions, yet surrounded by snow capped mountains on one side and strange, cream moon like landscapes on the other. Its breath-taking, Quito in Ecuador and Cusco in Peru are somewhat similar in style to this I guess, but none have the some impact.
The other big notable thing about La Paz is that the place seems to constantly be in a state of social unrest. The socialist, reformist President has done some amazing things here I think, recently giving Nature the same legal rights and status as humans which I think is absolutely fantastic and a model for the rest of the world, but he still has a lot of work to do. Every day we were there, protests shut down large parts of the city – constant fireworks and bangers were going off in all directions among the marching masses at all times of the day and seemed permanently in the background. At night, these continued and were coupled with some huge explosions, that I later learnt where actually protesters dynamiting roads in and out of the city. The protests I was living in the middle of seemed to be all about pay rises for the rural education sector and had been going on for 2 weeks or so. Several times I walked out into the city for an explore and found myself in the middle of thousands of marching protestors waving red banners of identification and demands and blasting off fireworks, while heavily armed riot police looked on from side streets.
Somehow around all this though, the city just carries on heedless, this is all obviously normal. Later we took a day tour to the great archaeological site ruins of Tiwanaku, an hour or 2 out of La Paz, ancestors of the Incas and the longest running ancient civilization in South America. The site itself was largely decimated and buried, but still features some fantastic architecture. Getting there was the adventure though – despite the roads being dynamited and the city exits closed down, the tour bus still found its way along weird city, dirt back roads (many of which were dead ends), until it found a way through – pretending the whole way, as though nothing here was slightly unusual.
We had heard lots of stories about La Paz, travelers getting mugged, stranglers that choke you til you loose consciousness then take your possessions etc, but by day the place seems reasonably safe by South American standards, of all the places we went, Quito in Ecuador was probably the most intimidating. At night though, it’s a bit different – wandering around by myself I was constantly harangued by dodgy characters trying to flog cocaine and other darker entertainments. As a result, I didn’t tast the nightlife much and mostly stayed in, using the time to catch up on some long overdue blogging.
Street zebras help kids cross roads. Handy in riots?
I had originally intended to do a tour of a cocaine factory come jail, made famous by the book “Marching Powder”. The jail is located right on a major square in the middle of the city; inmates come and go largely as they please, wealthy inmates living like kings, while the poorer ones work the factory – its a full cocaine production facility, as corrupt as an institution gets, but one that is easy enough to get into to have a look at apparently. At least it sounded like a fascinating experience – then of course, I bumped into a Swede who having found a guide who would take him through the place, arrived at the jail just as a riot broke out and the police started bombing the place with tear gas, (Including the school next door). He said he had had to run 4 blocks following the kids in uniform, before he was able to escape the gas and stop himself crying. On the back of that information, no-one seemed to be offering tours and given the protest situation I decided to give it a miss.
La Paz is also very cheap and laden with authentic handicrafts from the regional populations and nearby Peru. Its probably the best place to pick up souvenirs in South America. The streets around Sagarnaga throng with traditional textiles, alpaca clothing, musical instruments and other souvenirs. There is also a witches market with hundreds of stalls lining either side of an adjacent street, stalls sell Llama fetuses (To be buried at your house for good luck), effigies, coca leaves and other customized preparations of despacho (Ritual offerings) items, (ie miniature food, money etc). The price of it all makes it an easy place to kill time and shop, including some great western restaurants – a welcome dive back into familiar foods at reasonable rates. For these reasons, I should also mention that it is a major hub for young Israeli travellers, (as was Cusco). They are camped out here everywhere here, all on extended world sabbaticals post military service.
When Megumi returned from her trek, she was jubilant but strangely silent. Totally exhausted, she had lost her voice, her face was windburn’t and she was burdened with a dreadful cough. Of the 7 in her team, only 3 had made it to the top, one of whom was a professional climber from Canada. Loving the experience though, she had somehow single mindedly forced herself up the ice to the top with her Japanese flag, despite her cold and general condition. She spent a day or two recovering, shopping a little ( Finally allowing ourselves to buy some souvenirs) and then started making plans to get down to Uyuni, the great Salt Lakes. Timings of which were kind of up in the air and subjective to the state of the protests and road blocks taking place, you should be ok to get out, we were nonchalantly informed. We stumped for the luxury bus, thinking that might improve our chances, and made ready.
At the summit of Huayna Potosi, above the clouds!
As luck would have it though, our “luxury bus” managed to get away no problems and we slept the night away cruising in the dark past more stunning mountains and dramatic countryside – Bolivia is really a stunning place nature wise. Waking up in the morning though, we found ourselves marooned in the middle of a high altitude desert plain and strangely immobile. The bus it seems had broken down sometime earlier in the morning, the optimistic guys running the service, thought they could probably fix it, as you do, and as it turned out had delayed calling for a replacement. So we were now stranded and needed to wait another 4 hours or so for a new bus to come. Somehow they egged another 15 km or so out of the smoking engine for about an hour and parked us in the middle of a small town, Huari, where a local market was happening.
This at least allowed us to eat and get some shade from the high altitude sun while we waited, plus gave us the chance to bond with lots of fellow travels over the adversity. Everyone was in various states of distress over the incident – levels of which mostly revealed the acute traits of their respective nationalities – many were now missing their pre-paid Uyuni tours, causing havoc with tight travel agendas and seemed somehow surprised & shocked by the nuances of Bolivian transport. We quickly found a fellow Aussie and a Brit of better humour than the many Germans and Latino’s, to trade tales and pass the time with. Early afternoon, an old replacement bus arrived and we shuffled on and renewed our trip – only to cross a semi-flooded river road and have this bus breakdown severely overheating. With little likelihood of a second replacement coming, the seriously teenage driver and crew got busy under the bus and somehow fixed the thing after an hour or so and got us going again (minus some radiator hose). We ultimately got into Uyuni at about 4pm, 9 hours late and 6 hours after most of the buses occupant’s tours had started. It felt all part of the Bolivian experience really, but we have had much worse. While the bus company decided to shout us all lunch as compensation, a small riot ensued as some enraged fellow passengers optimistically tried to demand more significant compensation for lost tours, an effort which resulted in the police being called by concerned locals on the side of the drivers. Bolivia is constantly entertaining.
Uyuni the town is really a nothing much place, simply a launching pad for the adjacent huge Salt Lake and surrounding tour companies – flat as a tack, the lake itself is famous on traveller circuits for its unique visual distortions and landscape, allowing for great photography both the serious and the fun. Normally people do a 3 day tour that takes in the salt lake during the day, then heads further South to explore other lakes, deserts and mountain formations, some even continuing onto San Pedro in Chile. While we had initially been keen on that too originally, the bus travails meant that we had already lost a day and in the interest of giving ourselves some downtime in Buenos Aires before departure we reduced scale – really we wanted to spend as much time on the lake as we could anyway. With a pretty firm idea of what we wanted, we tried to find away around the standard packages and get a 2 day tour that allowed us to spend the night on the lake itself and give us the chance to take in the sunset / night sky effects and reflections on the mirror like surface of the lake – thanks to the thin watery deposits of the rainy season, a unique time to be here.
After checking out maybe a dozen travel companies, many of which wouldn’t consider 2 day tours, given that the rain had actually cut-off many of the standard destinations (The volcano and fish island) and there were no other takers. We eventually found someone that would drop us off at a Salt Hotel in the middle of the lake, for the night and then pick us up the next day. Really it was a 1 day tour program, but spread over 2 days. Good enough for us really – Megumi’s priority was photography on the lake, the rest was mostly a distraction. She had been planning and researching this for years and really seemed to know what she was doing. I was just a co-pilot on this one, mostly there to pay the bills.
Next day, we climbed aboard a 4wd about 10.30am with 5 other folk and set out on our tour. This started with an old train cemetery out of town, full of old steam engines – dumped, rusting and pretty much covered in graffiti. It was probably once a great site, evoking memories of “Butch Cassidy & the Sundance Kid”, which was all shot out here. But the place is covered largely in rubbish now (plus tourists) and most of the other backpackers on the dozens of other tours stopping here as well, had probably never even seen the movie. Next stop was an equally underwhelming visit to a village on the fringe of the lake, which bases their entire living on mining salt from the lake itself. Each house had a pile of salt out the back and a souvenir stand out the front, they did seem to be much more focused on fleecing tourists than packing salt in my opinion – one 8 year old kid after giving us a 2 minute, “this is how we bag salt” demonstration, then blocked the door out of his workshop and demanded cash payments.
Finally we were on the salt plain – fresh from summer rains, the 4WD’s of all the tour companies had to drive across 10cm of surface water on the lake for about half an hour, working our respective ways across the white, blue expanse to the salt mines and centre of the lake itself. Salt is scraped out of the water here into innumerable pyramid shaped piles in order to dry out. The locals then load these salt stacks into antiquated trucks using shovels, hauling the loads back into town for further refining and bagging. It’s an amazing site watching the work in progress, the quantity of salt here is enough to keep the world going for centuries, no matter how generous Maca’s are on their fries you figure. The salt just chunks up in crystals everywhere you walk and must be several metres thick. The place has the feeling of the arctic, a flat expanse of snow everywhere were you not better informed, it constantly catches you out.
After that, the 4WD tours, all head to the Salt hotel, a somewhat dry oasis in the middle of the lake and the only toilet for an hours’ drive at least in most directions. There are a good 50 tour groups there when we arrived, all happily picnicking out of the back of the 4WD’s. Most are on 3 or 4 day tours, either private VIP’s or backpacker groups thrown together; from all corners of the world it makes great people watching. Everyone running around trying to take stunt photographs utilizing the visual distortions or just playing in the salt.
We checked into the hotel, then hung around for a while chatting to other people we knew and waiting for everyone to leave so that we could finally get a photo to ourselves. By about 4pm the place was vacant just a myriad of murky, 4WD trails leading off in every direction across the salt flats. As the only people actually staying at the hotel it was a surreal experience, given the several hundred people that had been milling around the place all day. We waited for the wind to die down, stilling the waters a bit and then wandered far out into the salt / water empty expanses that seemed to surround the hotel to the horizon, enabling us to capture reflections in beautiful isolation. We managed to immerse ourselves in the constantly changing light and reflections right through until the sunset, a staggering psychedelic display of mutating colours that painted the sky and the water below us in equal measure. Truly breathtaking. Later the almost full moon and stars created stunning reflections on the mirrored surface, it felt like walking on the very fabric of the universe itself.
Our hotel - really all made out of salt!
The traditional family that lived in the hotel, gave us a basic meal and their kids to entertain. Somehow along the way we managed to get to sleep with some element of comfort in the cold night and still get up to see the sunrise. Finding as we did that the water that lined the surface had all but disappeared, frozen solid perhaps in the nights chills, it had created a whole new landscape to explore.
By mid morning we had finally sated ourselves of all photographic possibilities and sat outside watching the flat expanse and awaiting the arrival of the innumerable fleets of 4WD’s arriving for the days’ tours. Appreciating anew the myriad tour forms, cars, people and perspectives that invaded the tranquillity that we had bonded so intensely with, we eventually found our tour company and were happy to leave all this behind as quickly as possible, before the invading hordes despoiled the memories.
Salt invading every orifice and fabric, we retreated to the town, showered off in a cheap hotel and got up at 3am to catch a train to the Argentinian border. Limited in scope, we had done Bolivia to Megumi’s complete satisfaction. There is much more to see of course, amazing Amazonian jungles to access, innumerable great mountains and trails to trek, remote lost villages and traditional cultures, but we left without regret. South America remains unfinished for us in many respects, Patagonia, Columbia and Brazil not least of all and I know we will come back sometime in the near future. For now, we had an intense bus ride and journey to cart ourselves across Argentina to Buenos Aires to look forward to; a return to style, Western comforts and civilization in comparison to our last 9 months of travels; our last stop on the continent and an important decompression. Megumi has ticked her boxes now and we are finally heading home! | 2019-04-22T10:08:51Z | http://meltingplots.com/author/scott/ |
Here in the UK, Autumn is gradually crowning us with leaves of gold as the light begins to fade and the temperatures slide. My energy is being spread very thinly at the moment but I’m conscious of a need to update this blog as the season changes and the new academic year gets under way.
My recent and unexpected foray into publishing an account of my research on “The ‘Secret’ Files on ME/CFS” (see August 2012 archives) was extremely rewarding but left me completely drained, both physically and emotionally (this was in addition to an exceptionally bad and prolonged phase of illness from May to September). My thanks to all of you who sent messages of support and requests for advice as a result of reading my article. I tried to respond to everyone but, if I missed anyone out, then I sincerely apologise and please contact me again, if you wish.
I’m now back at Queen Mary, University of London, School of Law auditing the LLM course (a Masters degree in Law) for the second year running. I’m studying at the Centre for Commercial Law Studies as an Associate Student, which means I get to turn up for a few lectures but don’t take any exams or write a dissertation. Much as I would love to, my health is nowhere near good enough to undertake the stress of an examining procedure. This saddens me, as I would like to able to achieve some kind of recognition for the amount of effort it takes for me just to show up and undertake a small amount of research. And I also need to avoid last years’s experience whereby I went at it too enthusiastically and made myself much more ill as result – a common dilemma for those who, like me, live with the illness ME/CFS.
The support I have received from both staff and students at QMUL has been extraordinary and deeply moving – although the same cannot be said of the campus admin system. “Computer says NO” has been the standard response to most of my enquiries regarding my enrolment, personal details and access to my academic email acount thus far!
The nature of my illness, ME/CFS , is that it is a varying and unpredictable condition. I have it at moderate to severe levels, with occasional periods when I can do virtually nothing. I have had the illness since 1981 (although not diagnosed until 1989) and have experienced some instances of the mild form when I have been able to move my life forward more rapidly; for example, when I qualified as a UK barrister in 1987. Acute ill-health for other reasons during the last decade has seriously exacerbated my overall condition and I have been unable to work at all since 1999.
The ME spectrum of illnesses (which includes – amongst many other names – Myalgic Encephalomyelitis, Chronic Fatigue Syndrome, Fibromyalgia, Post-Viral Fatigue Syndrome etc.) is deeply controversial. Even the name provokes great argument both within the patient group itself and amongst members of the international medical and scientific communities. Anything which contains the word “fatigue” is rightly condemned by those who have direct experience of the condition. Fatigue is a normal state which is experienced by everyone but it is often a relatively minor component of the ME spectrum. I am now using the word “weakness” rather than “fatigue”, in an effort to move away from the implication that my illness just makes me feel tired all the time.
I do believe that there is a condition which can be characterised by the term “Chronic Fatigue Syndrome” and it would be similar to “burn-out”. It can therefore quite properly be treated by the current PACE protocol – but that leaves the overwhelming majority of us with no recognition of the aetiology of the ME disease process nor of the urgent need for appropriate diagnosis and effective treatment. We are – in every sense of the word – invalidated.
There are countless blogs on this illness from patients all over the world. Some are excellent; some are rather less helpful. I am not seeking to provide comprehensive coverage of everything that is available. That can easily be done by anyone with a genuine interest via the usual search engines. I do recommend the blog of the courageous and indefatigable Kati Rituximabtourist in her quest to undertake a particular experimental treatment in the US (now beginning to bear fruit).
Some quick figures: there are an estimated 250,ooo ME/CFS patients in the UK (more than twice as many patients as those with, for example, HIV/AIDS or Multiple Sclerosis). There are an estimated 1.25+ million ME/CFS patients in the US and anything between 10-20 million worldwide. The numbers vary wildly depending on the source of the information. As there is no proper diagnostic procedure, some of those patients will have been incorrectly categorised. There will be others who should be included but who are missing from the figures, either because their illness is not being properly examined or they are frightened of the stigma of this disease and therefore not seeking any medical help at all.
The long-awaited report of Dr Ian Lipkin et al was released earlier this month and confirmed what many of us already suspected: that ME/CFS does not appear to be related to the XMRV virus . However, Dr Lipkin was careful to point out that, although this particular virus does not seem to be linked to the ME/CFS disease process, there are many other biomedical possibilities for the illness. He reiterated that he does not believe that ME/CFS is a psychosomatic disease and that the search for its cause(s) will continue. It seems that we simply aren’t looking in the right places yet.
Other excellent work continues in many countries including Australia, the USA and Sweden – although sadly Norway’s research into the chemotherapy drug Rituximab seems to have stalled through lack of funding. This follows the Norwegian Directorate of Health’s apology to its ME/CFS patient group last year. However, I am still puzzled by the fact that there isn’t a properly coordinated international effort to research this disease collaboratively; it seems to epitomise the divisive and undermining nature of the illness.
In August, the UK’s Advertising Standards Authority (ASA) upheld two out of four complaints against the Phil Parker Group regarding their claims about the efficacy of the Lightning Process in treating/curing patients with ME/CFS. A minor but significant victory for common sense, one might argue.
UK doctor, writer and journalist Max Pemberton also penned an article this week which attracted the wrath of many within the ME/CFS community. I had some contact with Max a few years ago and found him to be a conscientious journalist and a compassionate human being. Unfortunately, on this occasion there were some less-than-helpful elements within his piece on this but he explained the reason why: the ME/CFS patient group has become highly unpopular over the years, largely because of the widely-reported actions of a tiny minority of militant activists and so most reputable journalists are now reluctant to touch any story on the subject for fear of reprisals.
This is an appalling reflection on the public perception of ME/CFS patients and something I hope to address further in due course. However, is it really so surprising that a mostly invisible and disempowered group of vulnerable individuals, whose condition has been dismissed and vilified for over half a century, appear defensive and outraged at their disenfranchisement from appropriate healthcare, welfare/benefits and even, in many cases, the respect of their families and friends?
A recent decision from the European Court of Human Rights has given a very helpful judgment on harrassment of members of the disabled community . I do not think it can be specifically applied to the shameful treatment and neglect of European ME/CFS patients but it is very heartening to see the Court’s outright condemnation of Croatia’s refusal to acknowledge its duty of care towards a disabled citizen. The finding of a breach of both Article 8 (right to private and family life) and, even more significantly, Article 3 (no torture or inhuman/degrading treatment or punishment) of the European Convention on Human Rights is reassuring. The Court’s declaration that a state’s abdication of responsibility for protecting its citizens from persistent harassment can amount to “inhuman and degrading treatment” is a resounding victory for the founding humanitarian principles of the Convention.
One very interesting development has been a follow-up by President Obama on his visit to Reno, Nevada in April 2011 (see video). This has led to the President’s recent letter undertaking to increase research into ME/CFS and review funding. However, given the timing of this letter – at a crucial stage in an election year – I personally wouldn’t hold my breath on this one. Nevertheless, any recognition and consequent budget increase is to be welcomed. If I was to be really cynical, I might surmise that a member of his campaign team discovered that there is a disproportionately high number of ME/CFS patients in some swing states (of which Nevada is one) – but who am I to speculate 😉 It is also worth noting that the excellent Simmaron Institute, which specialises in treating neuroimmune diseases such as ME/CFS, is located in Nevada.
If this all sounds quite upbeat – well, actually, it isn’t. The anger amongst ME/CFS patients continues to rage – and rightly so. This illness has been clearly in evidence for probably at least 150 years (Charles Darwin and Florence Nightingale are believed by many to have suffered with it: their relatively affluent lifestyles enabled them to take to their beds and be cared for by their staff when necessary – thus maintaining the invisible nature of the illness). It has been well-documented in western countries since the 1930’s and in the UK since 1955 (the Royal Free Hospital outbreak).
So here we are, in 2012, with still no proper diagnostic procedure or appropriate treatment in place and with the psychosocial model of treatment still prevailing – this being the “it’s-all -in-your-head-get-out-and-take-some-exercise” approach to treating serious illness. As Nancy Klimas, a US doctor specialising in the care of ME/CFS and HIV/AIDS patients, has stated: “My H.I.V. patients for the most part are hale and hearty thanks to three decades of intense and excellent research and billions of dollars invested. Many of my ME/C.F.S. patients, on the other hand, are terribly ill and unable to work or participate in the care of their families. I split my clinical time between the two illnesses [HIV and ME/CFS], and I can tell you if I had to choose between the two illnesses (in 2009) I would rather have H.I.V.” Link here.
And as I do the final edit of this post, I notice a new article by the UK Telegraph blogger, Damian Thompson. It reinforces all the problems about the image of people who live with ME/CFS which I mentioned above. And – yet again – my heart sinks and I feel utterly hopeless, unheard, desperate and angry beyond belief. Like millions of others around the world. The need for a constructive media campaign is overwhelming and appallingly overdue. But such campaigns take time, money and a huge energy commitment. Most people living with this illness are unable to work so have few financial resources available and no one living with ME/CFS has the energy to instigate and manage such a campaign.
Nevertheless, I continue to work on ideas to move us forward with achieving recognition and treatment for this illness. It is a long and painful process. As I’ve said before – we in the ME/CFS community need to find a new way of talking about our illness; we need to bring about policy and culture change at the highest level; we need to eliminate the climate of fear and desperation in which so many of us currently reside. Above all, we should stop making ad hominem attacks on specific individuals and focus on the bigger picture.
This blog will not be nearly as regular and dynamic as I would like – because the very nature of my illness precludes it. My passions and concerns for the welfare of the human race and for the health of our planet extend far beyond the scope of what is discussed here. But it’s a starting-point and, as today is my birthday, it seems like a good time to pause and reflect on matters close to my heart.
I promise to update and add relevant links as and when I am able. My thanks to all of you who have read this far. I wish you well.
Thank you for sending it to me & thank you for writing it. I understand how much it will have taken out of you to do it.
Thank you for an excellent and informative post.
Interesting to see the study in Sweden will be looking into a number of co infections often linked to ME/CFS as indeed the Stanford study with Dr Montoya is doing http://www.youtube.com/watch?v=Riybtt6SChU ( I haven’t got a link to the study details).
I am one of the lucky subset of patients that was found to have Lyme disease and on long term antibiotics have made a good recovery. Sadly in the UK patients are rarely even tested for this although the NICE guidelines do say that it should be excluded before giving a diagnosis of ME/CFS. Actually the current tests done by the NHS according to the Test kit makers says a negative test does not rule out Lyme Disease. Some research says the tests can miss 50% of cases so effectively it should be a clinical diagnosis and as NHS doctors are not experienced with this disease it is difficult to find a doctor in UK who is. Some people have improved enormously from treatment through Breakspear clinic although I have no personal experience of their clinic and it can be expensive as are all private clinics for whatever the treatment.
On her Facebook page Sonia gives permission for this article to be published in other newspapers and more importantly she is currently looking into other ways she can write in support of patients.
It is well past time that the media voiced what was really going on.
Perhaps eventually all patients in UK will be tested for what underlying pathogens are driving their illness and like an onion perhaps appropriate treatment for each problem be it fungal, viral, bacterial and/or immune suppression , will peel back all the layers and allow improved health.
I would love to say something.
I would like to say that what I’ve seen here this week says that clearly XMRV at best what we originally set out to do 5 years ago was a systems biology approach. We use these genomic technologies with Mike Dean and Mary Carrington. We use the micro assay from the NCI to screen all the pathogens and what we saw was what we heard from Mary Scheitzer that a lot of active pathogens and things like shingles and things like enteroviruses things like EBV, CNV, HHV-6 they are all totally on in that micro- assay in NCI’s infinite wisdom it didn’t put XMRV on it but that’s how we ended up going back but we didn’t look with a hypothosis for retroviruses. We took the systems biological approach collected samples from well defined patients who had the infections characteristics that Tony Komaroff talked about and that were in the Lo study and Dan Peterson had done, all these patients had data on them for decades we took samples over 3 years so it wasn’t that we found the virus in every sample indicate like the Marquee study where it quickly went into tissue like the mouse study that came this week that said the antibodies responses were weak and transient.
We don’t know everything about this virus but HIV does not cause AIDS. The CDC definition is HIV and one of 25 co pathogens the Lyme and the EBV, the Enteroviruses, Martin Learners patients who don’t get better with ? This is a reasonable hypothesis because we see the same thing. We’ve developed a cytokine signature that is distinct from Nancy’s cytokine signature and Nadelson’s so this is a marker to follow on clinical trial improvement but there’s no doubt that these people who are infected with HTLVI- If you’re seropositive then you can get some kind of treatment. I am not saying anti- retrovirals. I’m saying immune modulators. So the patients that are found to be infected now and there are thousands of them need something now not three years time when Lipkin decides there’s an association.
Whatever their disease is they are infected and sick and I know John has patients that are —Chia has patients that are co-infected so they don’t treat the same way some can get together with the physicians who have co infected patients even Lyme Doctors who are working with us across the country and start doing something now take it out of CFS it’s not about CFS. It’s about a retrovirus we don’t understand very well.
As Frank said at a meeting a month ago if this were HIV it would be 1983.
The only place in the UK that I have heard tests patients with ME/CFS for any of these co infections is the Breakspear private clinic. And what do they get for their efforts ridicule and attack by the health departments who fail to do this investigative work themselves.
Thank you for all the great work and efforts.
While the attacks on patients continue here in the UK, I feel we are getting closer to the tipping point and I remain hopeful that the wheel will turn in the patients’ favour, eventually.
The more I read ignorant and outrageous articles from social commentators and co, the more I think the proponents of the psychosocial model are getting desperate. They are losing ground, slowly, and they know it.
Happy birthday and take good care of yourself.
Wonderfully written blog, Valerie. You’re an inspiration with all that you accomplish. Thank you for being the compassionate person you are, helping to get the proper information out there, and persisting in your journey to something better. I love you, my friend. | 2019-04-20T17:02:06Z | https://valerieeliotsmith.com/2012/09/29/update-legends-of-the-fall-and-some-other-stuff/ |
Don't you just hate those people who visit some hot-spot country on a three-day junket and when they come back, suddenly they're experts?
And I'm no more of an expert than I was before. In fact, in some ways I'm even more baffled. As often as not, I merely found confirmation of conclusions I had already reached through reading.
Can I help it if I was already right?
First, though, let me point out that visiting Israel right now is no more dangerous than visiting the District of Columbia -- probably less. The proportion of crime victims to accident victims is about the same as in the United States.
The difference is that one of the crimes is terrorism, and there is something more frightening about going to a place where someone might be deliberately looking for a chance to kill you.
But look at the facts. So far, at least, the Palestinian terrorists have been careful not to target tourists.
Why? Because a huge source of income for Palestinian Arabs is Christian tourism to the Holy Land. Already, because of the violence of the Intifada, tourism is down to a tiny fraction of what it used to be. It's absolutely crippling to Arab businessfolk in Jerusalem and other Christian pilgrimage sites.
If they started targeting pilgrims -- even American pilgrims -- that would be the absolute end of the Palestinian tourist economy. Not to mention the end of any serious chance of America making even the slightest gesture toward favoring the Palestinian side of the war.
They might blow up Jewish babies whenever they get a chance, but they have never lobbed a grenade into a bunch of American Baptists wading in the waters of Jordan at Yardinet.
If you visit Israel with a tourist group or travel with a reputable tour guide, and don't obviously mark yourself as Jewish, and don't insist on going into areas you are advised not to visit, you don't run an extraordinary risk. Life proceeds normally throughout Israel, except for heightened security precautions at public gatherings ... and, of course, the near-absence of tourists.
In fact, that's the surprise. We get the impression of Israel as a war zone. Certainly the Israelis feel themselves to be at war, and it's a war they didn't want and wish would go away. They are vigilant. But they are also going about their daily lives. Pretty much as we are in America, despite the fact that we, too, are at war and subject to the risk of terrorist attack.
Inside Israel, Muslims and Jews get along pretty well -- provided everybody stays in their own area. With the exception of a few self-consciously mixed communities, Jews pretty much stick to Jewish neighborhoods and Muslims to Muslim ones.
Just as Circassians tend to live together, as do settled Bedouins, and the Druze of Israel. And even though the Circassians and Bedouins are Muslim, and the Druze are not Jewish, they are loyal enough to Israel to serve in the military and help defend their nation.
Even the Muslim citizens of Israel who do not take part in the military have more freedom of speech, press, religion, and travel -- and, yes, even political freedom -- than the citizens of any of the nearby Muslim Arab states. They may not love living in a Jewish state, but they have proven that they can live together in peace ... most of the time.
What I never saw, not even a glimpse, was any sense that Israelis hate Muslims.
In fact, while I met many soldiers and many veterans, in circumstances where they could talk freely and individually, there was not even a hint that they hated the people who shot at them, or threw stones or bombs at them.
One tank commander during last year's Israeli incursion into the West Bank took me aside and told me about what he and his team did -- or rather, did not do -- in Nablus.
"There was a bottling plant, full of empty bottles, and we knew that those bottles would be filled with fuel and lighted on fire and thrown at us. We could have destroyed that factory and the bottles, and it would have made us safer.
"But we also knew that tank shells don't stop where you tell them to. If we blew up that plant, we would also destroy homes and probably kill civilians. We would not have been criticized for the decision to destroy that plant; but we talked it over and I gave the order to move on without destroying that building.
"It exposed us to more risk, but when the campaign was over, you know what we were proudest of? The building we did not destroy. Even the crew member who had spoken in favor of destroying it, we were all glad that we did not do it."
These soldiers are not the bloodthirsty monsters that the lies of Palestinian leaders claim they are. They avoid causing needless casualties -- even among the very people who openly rejoice when Israeli babies are murdered.
They are, in other words, precisely the kind of civilized warriors that we expect American soldiers to be -- reluctant to kill, but implacable against legitimate military objectives; not motivated by hatred of the enemy, but rather by love of and loyalty toward their own people.
There are probably Israelis who feel hatred for Muslims -- but I never met any. What I met were decent people who don't understand why so much of the world hates them for defending their homes and families against people who thirst for their blood.
If the Palestinians would let them alone in their own lands, most Israelis would sigh with relief and end the fighting without a breath of hatred, without a thirst for vengeance.
The tragedy of the Israeli-Arab conflict is that it has all been unnecessary from the start. If Arabs had not resisted Jewish land purchases and immigration, then when independence from the Ottomans and then the British eventually came, there could have been a nation of Palestine in which Jews and Muslims shared citizenship.
Too late to do anything about that now. Too late to unkill those who have died, or return to borders that once might have worked.
Israel is not going to return the Golan to Syria -- not when those buttes were dotted for so many years with Syrian artillery emplacements that regularly lobbed shells into the fertile farmland of the upper Jordan Valley.
Nor is Israel going to return the Old City of Jerusalem to Arab rule -- not when they know that they would once again be forbidden to visit the sacred Western Wall, the way they were from 1948 to 1967.
Isn't the record clear? Under Israeli rule, Muslims have had complete access to all their sacred sites; under Muslim rule, Jews were banned from their holy places. And under Muslim rule, Christians who had ever visited Israel were banned from entering the Arab-controlled portions of the Holy Land.
So who deserves to be given custody of land that is sacred to so many religions? The people who use it as a tool of punishment and exclusion, or the people who keep it open to everyone?
The borders will never return to where they were in 1967, because up till that year, Arabs showed that they would use those borders to wreak death and destruction inside Israel's borders. Israel has a right to borders they can defend.
But inside Israel, I didn't meet a single Israeli who believed that the West Bank (alias "Judea and Samaria") should be part of Israel. Not that there aren't such people -- I just didn't meet them. And there are fewer and fewer of them.
Most Israelis want desperately to have a two-state solution. The Palestinians could have a self-governing state in a very short time if they would (a) stop murdering Israelis and (b) provide plausible guarantees that they would not build up a military force designed to destroy Israel.
So now Israel is building a wall, like the Berlin Wall, except it's designed to keep people out instead of keeping them in.
The idea of building such a wall makes sense. If Palestinians continue to shelter and applaud terrorists instead of being ashamed of them and refusing to cooperate with them, then they don't deserve to have free access to Israel -- even if that's where all the jobs are.
The trouble with Ariel Sharon's wall is not that it's being built, but where he's building it.
You see, Sharon is politically dependent on (and personally sympathetic to) groups inside Israel who insist on building Jewish settlements in "Judea and Samaria," and he is gerrymandering the wall to include settlements far inside the 1967 borders of the West Bank.
The result is a border that is ridiculous in every way a border can be.
It is indefensible -- it snakes around worse than a meandering river, and there aren't enough troops in Israel to patrol it or defend it.
By its very shape, it guarantees that Israel will still have to enter Palestinian territory regularly, and that terrorists -- or an invasion force -- would be able to get through the wall when they want to, since an undefended wall is not a wall, it's cover.
Worse yet, it would be impossible, even in a completely free and democratic Palestine, for any leader ever to be elected without vowing to destroy that wall and restore the borders of 1967. Sharon's wall, if built where he's planning to build it, will be a continuing provocation -- and one that weakens, rather than strengthens, Israel's defensive position.
America should be ready to take any measure necessary -- including war -- to protect the existence of Israel.
But America should not spend one thin dime or risk one drop of American blood to defend Sharon's wall, if it is placed where he is placing it.
If Israel will not abandon the West Bank settlements, then why should the Muslims of Palestine abandon their land claims inside Israel?
Of course, I'm not a fool. If Israel backs away from the settlements and either builds the wall along the 1967 boundaries or goes further and dismantles the settlements (a hugely divisive course of action, but one which most Israelis would go along with), there is no chance that the current Palestinian leadership will accept the gesture as a reason to have peace.
Quite the contrary, the current terrorist-dominated Palestinian Authority would see it as a sign of weakness on Israel's part.
But so what? The settlements would not be abandoned or dismantled in order to make peace with terrorists.
The borders must be drawn, rather, with an eye to the legitimate government that will eventually succeed the terrorists of Arafat. The border must be drawn in a place that legitimate, civilized Palestinian leaders can acquiesce to. No matter how long it takes before they come to power.
Meanwhile, Israel is wise not to take any further moves against Arafat. It is impossible for any moderate Arab to oppose him when he is under Israeli pressure. Whenever the Israelis leave him alone, he, by his own fascism, his own thuggery, his own subversion of any attempt at democratic rule, turns Palestinians against himself and his cronies.
Palestinians are not stupid. The responsible adults among them know he's a terrible leader. They know he rules by terror inside Palestine as well as using terror against Israel. But there is also a large contingent of young, unemployed, angry Palestinians who do not see how Arafat's leadership has led to the impoverishment and virtual imprisonment of the Palestinian people.
The point of building a wall is to leave the Palestinians alone behind it, intervening on the Palestinian side of the wall only to prevent any sizable military buildup that might be used to invade Israel. Left to themselves, the Palestinians will soon hate Arafat the way the Iraqis hated Saddam -- fervently, if not universally.
And it's worth remembering that Arafat is very old and not particularly healthy. Israel can wait. Because Arafat has made very sure that there is no one ready to take his place. There will be a series of weak figurehead rulers after him, while in the shadows the various terrorist groups struggle (and kill) to achieve supremacy.
Whoever emerges will not be Arafat. There will be Palestinian blood on his hands, and many Palestinians who hate him. It will be an ugly, terrible time in Palestine. But it is just possible that the Palestinian people will take matters into their own hands and choose a decent leader, after they are fed up with the thugs.
Israel can't force the issue, however. All they can do is hide behind their well-drawn wall and watch intently.
That's really the whole Israeli strategy, the only hope for peace: To do whatever it takes to continue to exist, and then wait.
Wait for the Arab Muslim leader who has the courage to say, "Why do the Muslim people keep rejecting this gift of God? The Muslim people of the Middle East were trapped in the medieval Ottoman Empire. When it fell, Turkey took great strides to join the modern world while leaving the people free to practice the Muslim religion. But all the lands that Turkey ruled have remained backward, ignorant, and helpless before the military and cultural dominance of the non-Muslim West.
"Could this possibly be the will of Allah?" such a Muslim leader will say. "No! Allah did not abandon us. Allah sent our brothers and sisters, the Jews, back to Palestine. People who had learned all the secrets of the West, and yet who kept their own faith alive; people who could tolerate among them nonbelievers who were nevertheless Jews. They were sent to Palestine to show us how to match the West in every way that is good, while resisting the corruption that is eroding Western society.
"The Christian nations have lost their faith and their souls," such a leader will say, "but we can have their science and technology without adopting their contempt for civilized life. We can make wealth for ourselves as they have done, by choosing democracy and a limited free market. And Israel is the seed of that, which Allah has planted here, and if we accept the will of Allah, that seed will turn the whole garden into a flowering of Islam greater than has ever been seen before."
You notice that I'm not prophesying a pro-Western Muslim peacemaker. That's because much of what Islamicists oppose about the West is well worth opposing, and they would be fools to embrace our modern Western contempt for marriage, family, religion, courtesy, and decency.
All I'm suggesting is that peace will come in the Middle East on the day when Islamic leaders recognize that God has provided them with the key to recovering their strength: Israel, established in the heart of the Muslim world. With open borders and free trade and travel between Israel and its neighbors, with peace and democracy there, how long before Israel's neighbors also prospered and learned democracy and industry in the midst of faith?
Ay, there's the rub. For one of the reasons the leaders in the Muslim world fear Israel is that they fear democracy. There is no embracing Israel without the risk of Israeli democratic ideals spreading, and that would be the death knell for the groups that rule in almost every Arab nation.
What I saw in Israel is a people who are determined to stay where they are and survive.
They know they depend on the United States for that survival -- our financial aid and, more important, their enemies' sure knowledge that the U.S. will not stand by and let Israel be destroyed. They watch every twitch of government policy and public opinion in America.
But they also know that they must be prepared to do their own fighting, and to keep their own economy alive so they can be as self-sustaining as possible.
They also long for peace.
As do many Muslims. Like the Palestinian Arab in Galilee who joked with me that someday America would turn the whole world into more states in the United States.
I get a little prickly about ridiculous ideas like that. "America doesn't want to turn other countries into parts of America."
He put a hand on my shoulder and drew me close and whispered, "I wish you would. Life would be so much better here."
What he doesn't understand yet is that Palestinians will have the blessings of America when, instead of sacrificing their children in suicide attacks against Israelis, Palestinians who yearn for peace and freedom risk their own lives in the effort to overthrow the truly awful leaders who rule them now -- or at least refuse to obey them or believe their lies. | 2019-04-23T22:32:13Z | http://ornery.org/essays/warwatch/2003-10-19-1.html |
"I WILL not let Thee go; Thou Help in time of need!
E'en when it seems that Thou wouldst slay indeed!
I will not let Thee go."
"YOUR afflictions are not eternal, time will end them, and so shall ye at length see the Lord's salvation; His love sleepeth not, is still in working for you; His salvation will not tarry nor ; and suffering for Him is the noblest cross out of heaven. Your Lord hath the choice of ten thousand other crosses, beside this, to exercise you withal; but His wisdom and His love choosed out this for you, beside them all; and take it as a choice one, and make use of it. Let the Lord absolutely have the ordering of your evi'ls and troubles, and put them off you, by recommending your cross and your furnace to Him, who hath skill to melt His own metal, and knoweth well what to do with His furnace."
This encouraged me, so I hope it will you too. It is strengthening to remember that the afflictions will not last forever. Yesterday I was talking on a the phone with a friend, and I told her about something that had again come up that was bringing me heartache...part of the fire...and she reminded me in her most sweet way, of what lies beyond the fire. It helps so much to set our vision on what lies beyond. "For the joy set before him endured the cross..." (Heb 12) It seems that when I am not burdened by the current affliction and am rather focusing on the joy to follow, that it is only then that I can most affectivly make use of my cross and be sanctified by it.
Here is a quote from a book I am reading, The Discipline of Grace, by Jerry Bridges. "Our motive for obedience is just as important, probably more so, to God than the level of our performance. A person who struggles with some persistent sin but does so out of love for God is more pleasing to Him than the person who has no such struggle but is proud of his or her self-control. Of course, the person who obeys from a motive of love will be concerned about his or her peformance. There will be a sincere desire and an eranest effort to please God in every area of life."
This encouraged me a lot, because I feel that the sins I am battling most right now are those fiesty, persistent ones. This afternoon I was thinking about one area, feeling rather helpless, and recognizing my dependance on God to grow. I was crying out for grace, but also feeling a little bit discouraged that it was taking so much effort to overcome it. Then I rememberd the above quote that I read earlier this week. It is comforting to think that God is pleased with our desire to grow, even if the struggle is ongoing.
Click here to purchase The Discipline of Grace.
How easily we do this!!! I wonder sometimes how much lighter a heavy load would seem if we did not take it off our shoulders to examine it so often. Instead of dwelling on the burden and filling our arms with it, we should make the most of it.
I find myself doing this regularly. I know that it will not help matters, but only prevent me from joyfully walking out God's plan, and yet I "stretch it to the uttermost". Instead I could be trying to make the most of it, growing fruit from it, and seeking lost oppurtunties.
Than was needed to make it pure."
Oh Lord, help me to see beyond the present cross to your hand...to see what you see! Let not my tears blind me from viewing the end result. The dross is melting away, and your loving hand will not withold a single moment longer than needed.
Once upon a time, a little girl was given a prophecy. This girl always liked prophesies, because in the past they had often served to strengthen her. So she was glad when somebody started prophecying over her. But it did not take long before she realized this would not be like the previous ones.
Among other things, she was told of a tree. Green, beautiful leaves clothed it on the outside, but on the inside the wood was rotten and ugly. What could this mean?
"Do not be deceived: God cannot be mocked. A man reaps what he sows. The one who sows to please his sinful nature, from that nature will reap destruction; the one who sows to please the Spirit, from the Spirit will reap eternal life.
That could either be encouraging or frightening, depending on where one feels they are. It is easy to grow weary in doing good, especially when we cannot see a harvest yet. But we are *promised*, that at the *proper* time we *will* reap a harvest if we continue to sow to the Spirit. That gives much hope. All the seeds sown are not in vain. Though it might seem to take a while for them to sprout, if we do not grow weary, do not give up, we are promised that in the perfect timing, when the test of perserverance is learned, a harvest will be reaped. Yay!
That morn shalt tearless be.
This poem is so full it is hard to know where to start! Each line is dripping with meaning. As I re-read each line meditativly it lifts my heart. It has a theme of greater to be gained and of better to come. "May richer, fuller be...May brighter, fairer be...That morn shalt tearless be...And from the ground there blossoms red, Life that shall endless be." Praise the Lord that he has given us a future hope to lift our eyes up to!
"For my strength is made perfect in weakness."
"A primary qualification for serving God with any amount of success, and for doing God's work well and triumphantly, is a sense of our own weakness. When God's warrior marches forth to battle, strong in his own might, when he boasts, 'I know that I shall conquer, my own right arm and my conquering sword shall get unto me the victory,' defeat is not far distant. God will not go forth with that man who marches in his own strength. He who reckoneth on victory thus has reckoned wrongly, for 'it is not by might, nor by power, but by my Spirit, saith the Lord of hosts.' They who go forth to fight, boasting of their prowess, shall return with their gay banners trailed in the dust, and their armour stained with disgrace. Those who serve God must serve Him in His own way, and in His strength, or He will never accept their service.
This was from Morning & Evening (Nov 4th, morning) but I happened to read it this afternoon. It couldn't have been more on the mark for how this day has gone. My emotions have been trying to get the better of me today (its so fun being a female! :p ) and I have felt completely weak and helpless to rise above them. Its amazing how strong the rush of emotion can be. Even when our minds know unchanging truths we can be swept away by the tidal wave of emotions.
Weak could not be a better word to describe how I felt. Weak to stand up against the water rushing around me. Weak to fight the current and swim towards shore. Weak to climb upon that rock that is higher than I. But that is just it - I am so weak that on my own I cannot do it. I would drown swimming in my own strength. But when I am weak, then I am strong, for then I can CRY OUT for God's power to rescue me. HIS strength, HIS power takes over and carries me to shore. HE lifts me onto the rock that is above the rushing water. If I had tried to make it there on my own I would not have survived. But I have a powerful savour who delights to use my helplessness to reveal his power when I call out to him.
I cannot tell how it is that I should be able to receive into my being a power to do and to bear by communion with God, but I know It is a fact.
Are you in peril through some crushing, heavy trial? Seek this communion with Christ, and you will receive strength and be able to conquer. "I will strengthen thee."
May the rain that now pelts hard cause a more beautiful, stronger plant to grow up. "It held up its head, opened its petals, regained its glory, and seemed fairer than before. I wonder how it took place--this feeble thing coming into contact with the strong thing, and gaining strength!"
And nothing give in place?
"My child, I died for thee.
One pure and precious thing withhold?
My child, it cannot be."
happy is everyone who trusts in you."
Some plants die if they have too much sunshine. It may be that you are planted where you get but little, you are put there by the loving Husbandman, because only in that situation will you bring forth fruit unto perfection.
Aawww, that lifts my spirits so much to think about!!! There is nothing that is more helpful to dwell on (for me) than to consider the "joy set before me". That place I find myself in now - though not what I would wish for - is ideal for my growth. Praise the Lord!!!!!! "Only in that situation will you bring forth fruit unto perfection." If it is true that only in this situation a "harvest of righteousness and peace" will be reaped, then this is where I want to be. Did I just say that?! Hehe! But in my heart it is true. For the JOY set before him Christ endured the Cross. And it is for the joy set before me that I too will endure and endure with hope!
Click here to read the rest of Hebrews 12.
Click here to read the rest of the devotional from which I quoted Spurgeon.
for you have set my heart free."
Running in the path of God's commands sets my heart free! There is joy in having a clear conscience before God, and no sin hidden or held back. Surrending to his law is not a surrender to slavery, but a surrender to freedom.
or showed him the path of understanding?"
As I often tell my students, theology is for doxology and devotion-- that is, the praise of God and the practice of godliness. It should therefore be presented in a way that brings awareness of the divine presence. Theology is at its healthiest when it is consciously under the eye of the God of whom it speaks, and when it is singing to His glory.
Recently I have been studying Bible doctrine more than normal. Instead of it being dry and lifeless, I am finding it to be rich and awe-evoking! The more I study the theology that shapes my faith, the more I realize how much greater God is than we are, how much wiser his ways, how much higher his thoughts. It inspires devotion and praise. The combination of the intellect and the soul is an essential recipe! Glory to God!
but wisdom is found in those who take advice."
but with humility comes wisdom."
God reveals to me some area in my life that I need to grow in. I repent of it and renew my commitment to change. I begin to implement my efforts to turn a new leaf. Shortly thereafter, somebody corrects me for that area that I had just undertaken. They don't know I lately become aware of it, and present their rebuke quite sternly. In my pride I am resentful of it...for don't they know that I had already begun to change?! I view their input as a hindrance to my growth because it discourages me. Worse yet, something in me doesn't want them to credit any fruit to their correction.
YUCK!!!! How utterly disgusting! :( Last night as I went to bed I was thinking about this. God prompted me to consider that instead of these belated (or not so belated?) rebukes being a hindrance and discouragement, they are further encouragement - like a push to help me along. I think that I should view them as God helping me to see that sinful area better and to strengthen my resolve to fight the enemy within. He sends the criticism to help me. But my pride gets in the way and makes an ugly mess of things.
Oh for some humility, Lord!
and satisfy the desires of every living thing."
for he has been good to me."
"I will give you thanks, for you answered me."
God answered a little prayer of mine today, so I just wanted to write a small thanks to him!
Ya know, sometimes it seems like there is more joy in the fact that God has answered a prayer of mine than in the answer itself. It seems odd, but the kindness and love he shows to bestow a ray of sunshine in my day is sweet indeed!
*The way that God has been so faithful to pour out his grace upon me lately...and truly through my whole life. He is teaching me so much by his patient, loving hand. He has stuck with me even when I drift.
*His Word that he has given us and the way that he graciously speaks to me through it. He has revealed himself to us and made a way for me to know him and to find hope and strength.
*For my family. I am trying to cherish this holiday season and th special times I have with them now. (Won't be here forever.) They have definetly been God's tools to guide and shape me. I shudder to think where I would be without my wise parents!!!!
*For my friends. What would life be like without them?! They bring so much encouragment to me and much joy! A lot could be said...but words don't suffice!
*For the beautiful, beautiful creation that God has made and enabled me to enjoy...for the lovely city I live in...for eyes to see the sky and trees, a nose to smell the fresh air, and skin to feel the refreshing breeze!
Praise the LORD, O my soul; all my inmost being, praise his holy name. Praise the LORD, O my soul, and forget not all his benefits-- who forgives all your sins and heals all your diseases, who redeems your life from the pit and crowns you with love and compassion, who satisfies your desires with good things so that your youth is renewed like the eagle's.
The LORD works righteousness and justice for all the oppressed. He made known his ways to Moses, his deeds to the people of Israel: The LORD is compassionate and gracious, slow to anger, abounding in love. He will not always accuse, nor will he harbor his anger forever; he does not treat us as our sins deserve or repay us according to our iniquities. For as high as the heavens are above the earth, so great is his love for those who fear him; as far as the east is from the west, so far has he removed our transgressions from us. As a father has compassion on his children, so the LORD has compassion on those who fear him; for he knows how we are formed,he remembers that we are dust. As for man, his days are like grass, he flourishes like a flower of the field; the wind blows over it and it is gone, and its place remembers it no more. But from everlasting to everlasting the LORD's love is with those who fear him, and his righteousness with their children's children - with those who keep his covenant and remember to obey his precepts.
The LORD has established his throne in heaven, and his kingdom rules over all. Praise the LORD, you his angels,you mighty ones who do his bidding,who obey his word. Praise the LORD, all his heavenly hosts, you his servants who do his will. Praise the LORD, all his works everywhere in his dominion.Praise the LORD, O my soul.
"From everyone who has been given much, much will be demanded; and from the one who has been entrusted with much, much more will be asked."
This being the day after Thanksgiving, it seemed fitting to think about the responsibility and challenges that accompany the abundant blessings I have received.
I can't count the times that I have been told how blessed I am to have the parents that I do. It is indeed very true. God could not have given me better parents to lead, guide, and instruct me! But this blessing is not without challenges. I still have to make all the choices for myself - my parents cannot change my heart. I feel an added pressure to "make the most" of this gift and to bear more fruit because of it.
People look at me an expect me to be an example because they see my parents. Does God also demand more from me? I think so. I am without excuse. I cannot blame my parents for not teaching me His decrees, his laws, and his ways. They have always brought me up with solid teaching about the doctrine of sin...how it starts in my heart and then manifests itself in my actions. They have tried to "protect" me from much of the pollution in the world.
To whom much has been given, much is expected. Its not very fun having so many eyes upon you to see "how you turn out". Its scary having little girls watching to see how you live out your life. But its an oppurtunity, too. The consequences of me falling away would be great, but the possibilities of me encouraging others is also great.
I pray that God will give me more vision to see it as less of a burden and more of an oppurtunity to promote his glory. Much is expected...help me, oh Lord!
The enemy of that grand central habit of interior patience is haste: haste of thought, haste of judgment, haste of manner, haste of speech. Even natural powers of every kind become true strength, when they work submissively and harmoniously under the direction of Divine light and the movement of Divine grace; and this disciplined subjection at every point under the dominion of Christ our Lord, ruling us by His grace, makes the soul the serene organ of the Holy Spirit, for the animating, controlling, and guiding of our souls.
And we pray this in order that you may live a life worthy of the Lord and may please him in every way: bearing fruit in every good work, growing in the knowledge of God, being strengthened with all power according to his glorious might so that you may have great endurance and patience, and joyfully giving thanks to the Father, who has qualified you to share in the inheritance of the saints in the kingdom of light.
Last night I spent a long while thinking about time and waiting and their effects. It seems we always think of waiting as having negative consequences on whatever we are waiting for (although we may admit it is good for our soul). I would submit that this waiting is often also good for that awaited thing. Time is an anchor and root. If something is true, time will not diminish it, but rather it will grow stronger. It will not fade away, but will be deepened. Is the passing of time really such a bad thing when we are waiting? Genuineness is prooved when page after page is turned on the calander, and it remains steadfast. One can always keep striving, keep pressing on to reach their end. The deferred desires will be ever-present, but they will only be purified. Time is not an eraser, it is a bonder.
On one hand I am looking forward to change. On the other hand I'm dreading it. Christmas break isn't too far off now, and I am beginning to think about it. It will be nice not having school to stress over (you know how stressful my math can be! ;)) and plenty of time to get a lot done around the house. Then why do I find myself almost dreading it? I love being busy!! I love keeping occupied!! The thought of time on my hands and not much to occupy my mind kinda scares me. I've enjoyed going from one thing to the next this semester, and having so much time to drown in my thoughts doesn't appeal. I'd rather think about how political parties are formed then face that. :/ Breaks always seem to fly though, so no doubt it won't be long before I am full-fledged into the next semester...and that one is sounding like I won't have to worry a bit about "not being occupied".
in the land of the living."
"If God is for us, who can be against us?"
"Faith is not always a champion which marches alone. Sometimes faith is accompanied by fear. Faith is not the absence of questioning; it is the presence of action in the midst of those questions. Faith does not provide all the answers; it provides a basis for confidence in the midst of unreasonable circumstances."
In the midst of my "unreasonable circumstances" I am still confident...by God's grace I have faith. Its not that I do not sometimes tremble, for there are moments when I grow fearful. Nor is it that I do not ask questions, for they are regularly upon my lips to God. But the fear, the questions, the circumstances do not change my faith. Because of that I can keep pressing on. God is a god of the impossible, after all. And if He is for me, who can be against me? It doesn't matter what the circumstances look like.
the son of man that you care for him?"
and calls them each by name."
gaze at the clouds so high above you."
There are few things I enjoy more than looking up at the heavens - be it night or day - and marvelling at the beauty of God's creation. The bright stars in the night, the whispy clouds in the day, the sun's radiance, the moon's glow, they all move me to stand in awe of the Creator. They have a mysterious beauty about them that always lifts my spirits. I see them as little expressions of God's love for us, sweet little gifts for us to enjoy.
"If I say, 'Surely the darkness will hide me and the light become night around me,' even the darkness will not be dark to you; the night will shine like the day, for darkness is as light to you."
"The LORD will fulfill his purpose for me; your love, O LORD, endures forever - do not abandon the works of your hands."
Earlier in the week I was feeling a little bit down about some things. I felt in the dark and disconnected from all that I wanted to know, and the silence was eery and unsettling. I was discouraged.
Then God spoke to me. He assured me that he was at work, though I could not see how. He told me that his hand was at work in ways I was not aware of. And, he told me that it was all for his glory.
Still I am dwelling in the night of uncertainty...but that's ok. God knows what is going on, even when I do not, for he is the one who is directing all that happens. He will reveal the work of his hands at the proper time. It is my responsibility to wait for the unveiling of all he has done. What praise I will be able to sing to him on that day!! Surely then I will realize that every little fear I had and every time I wished I could see what he was fashioning was a foolishness. | 2019-04-20T03:23:47Z | http://reflectionofgrace.tripod.com/reflections/id6.html |
April 6, 2019 - We were blessed to receive six new finned friends to our already burgeoning community. Lisa, a former guest, needed to find a new home for her ten year old koi, and we were more than eager to provide one for them. They arrived at mid-day, and we took our time moving them and introducing them to their new pond. Much care was taken not to unsettle them. Her children named them so we now have Horse, Spot, Carrot, Nemo, Shark, and Rainbow. . . wow. Every thing went swimmingly, and a beautiful family of visitors just happened to be on hand to witness the festivities.
March 24, 2019 - We're planting in the veggie shed again. This season we are incorporating the use of seed tape as well as loose seed. Below Andrea and Joshua are laying in the first of the tapes. Can't wait to see new life in those boxes!
March 15, 2019 - With the weather clearing it was a good time to finish up the remod of the mural patio. It had been opened up a couple of weeks previously, but there was still rerouting of electrical lines and a clearing out of brush obscuring part of the mural over to the right to be done. With those things completed the patio has a whole new look.
March 13, 2019 - The last storm wasn't fooling around. It created some havoc around here. An old handrail on the concrete stairs was torn off by the snow, ice, and wind. The landing at the top of the stairs and the railing now have to be repaired. Below, we see Joshua starting the process, and it starts with bracing the railing on the landing.
March 14, 2019 - Then Joshua and Chris got to work, first by cleaning the stairs and then glueing the concrete post and railing back in place. After that, they welded a new set of railings to the area that we're callng the "Widow's Walk".
March 8, 2019 - One of our guests, John Furman happens to have a great eye. He created a photo essay of the house and grounds (examples below). You can see more at John's Photos. Thanks John, those are some beautiful pix!
March 2-4, 2019 - The decision was made to open up the mural patio area by removing some lattice and two large redwood plant boxes. Joshua and Chris got to work and before you know it the patio is open to the larger yard.
February 25, 2019 - Over the weekend the latest storm took a toll on one of the larger trees. A very old and large limb snapped off of the trunk and fell to the ground in the upper yard. On the left is the pile of limbs and leaves. On the right we see the raw stub where it was ripped off and, in the foreground, the poor pear tree that got damaged in the process.
Joshua and Chris got to work with the chainsaw cutting the mess into manageable pieces so they could cart them away to the local burn pile. After everything was removed, Joshua pulled the injured pear tree back to a more erect position and braced it with a stake and rope. Now we have to wait and see if the tree survives. We have lost two or three large limbs from this tree over the last few years. We're hoping this is the last one.
February 19-20, 2019 - A group of students from the Cambridge Academy (Queen Creek campus) in the Phoenix area came up to visit on a field trip, accompanied by their teachers Ms. Julia Goucher and Mrs. Christmas Collins. They stayed with us but also toured various historic sites and artist studios. They also took time to have a painting session out on our front porch, and, later, were taken on a tour of the property by Joshua who introduced them to our finned friends on a first name basis. They were a delight to host and, after a pancake breakfast, they were on their way. Much fun . . .
February 8, 2019 - Joshua finished up recreating the flower bed that we had to dig up to replace some leaking and old water lines. Can''t wait for spring to watch the flowers sprout from the new bed.
February 4, 2019 - During a wild wind storm the previous night, a very large limb of the very large juniper tree above the north patio snapped off and came tumbling down into said patio.
So we called our friends Brian and Paul who specialize in tree work to come over and help us. Below left we see Joshua and Brian discussing how to stablize the limb from above so that Paul (below right) can ease it off of the flagstone patio.
After that was safely done, the rest was just cutting, stacking, and splitting - and suddenly we have beautiful juniper firewood.
December 13, 2018 - We have been stumped as to the source of a water leak coming out from the bottom of the north garden wall. We decided to dig a little deeper into the area around where the water meter supplies the house. We didn't find the leak, but we found pipe that needed to be replaced.
The decision was made to replace the old galvanized pipe with new copper lines. After a hiccup or two they were installed and the water to the house was turned back on.
December 16 - 21, 2018 - Unfortunately, the above project did not fix the leak. It was determined that the leak was under the concrete sidewalk, so Joshua had to break up the concrete and dig another hole until the leak was found at a spot where previous plumbers had installed two 90 degree junctions on top of each other.
We also discovered that the pipe that we thought was non-functional actually fed the water lines on the north side of the gardens. So, that line had to be reconnected to the system on the inflow side of the back flow protection unit. With that fixed, Joshua dug a new trench from the meter box to the old supply to the house and installed a new three quarter inch soft copper line.
December 26, 2018 - Finally, the problem was fixed. A new replacement section of sidewalk was poured, and, to celebrate, Andrea and Joshua decided to leave their footprints in the concrete for posterity.
November 22, 2018 - We always want to be vigilant and proactive concerning maintenance both inside and out, so we took a mighty step out there and replaced the pump and impeller on the lower pond. Although it had not yet failed, it was making disturbing noises, and we don�t like being caught in a lurch in bad weather when our finned folks are at stake so . . . Joshua was able to take the old unit apart and install the new equipment without much trouble. Top right - the vacant space after taking out the old equipment. Top left - Joshua installing the new motor. Bottom left - the new parts installed in the old casings. Bottom right � everything reinstalled and working perfectly. Yeah!
October 30, 2018 - We're getting our usual early start on the holiday season. This year everything is "bejewelled", so it might mean some extra detail work. Oh Joy! Below we see Andrea and Brittany starting to create dazzling wreaths and illuminated bricks.
November 14, 2018 - The preparations for the holiday season have continued.. Big thanks to Brittany, Donna, Anne, Deborah and Joshua for enduring the pain staking detail involved in the decorations this year.
November 15 And then - C'est fini! Joyeux Noel a tous!
October 12, 2018 - Through the years we have had various problems with water coming into the basement of the house - either from above or from the street side porch. Different patches, sealing solutions, or redirection of flow have been effective to one degree or another. Today, Joshua tackled the downspout gutter on the south side of the house. Below left we see the downspout on the north side which appears to be functioning properly. Below right we see the damaged scupper on the south side after the drain box and downspout have been removed.
He removed the drainage box and all of the old gutters and replaced everything with all with new materials. We're hoping that this will finally end the overhead leakage into the basement. Fingers crossed . . .
October 10, 2018 -The great granddaughter of Dr. Arthur Carlson (One of the first residents of the Surgeon's House) dropped by unexpectedly today to see the house. April Carlson Ramos was accompanied by her husband Andres and her step sons Alex and Andrew. Andrea gave them a tour of the house and grounds and let them peruse binders full of photos of the history of the house.
September 5, 2018 - It was time to harvest another batch of honey from our hives. Andrea and Joshua, having learned some hard lessons from the last extraction, acquired some new suits and equipment for this round. The first step is, of course, pulling the racks of honey from the hive. This is a delicate operation, because you don't want to get the bees excited.
Then comes the actual extraction. First the wooden racks upon which the bees build the honeycomb must be removed from the box. Then the face of the comb must be shaved to open up the cells. The prepared racks are then slipped into a centerfuge, and the honey is spun out of the comb. However, as Andrea and Joshua learned, things don't always go smoothly. Todays lessons (among many) were; don't let the bees find you in the garage while you are extracting their honey, and don't let your filtering cloth fall into the honey, forcing you to filter it all twice.
Lessons aside, the final result is a glorious super food - delicious, life giving, Jerome honey.
August 14, 2018 - For the first time in 26 years all of the oak hardwood floors are being restored throughout the house. The photos below are before pictures. It's easy to see the wear and tear that they have been through.
So, it was time to call in the professionals. We hired Paul Warren of "Paul Warren Hardwood Floors" out of Sedona. Below we see Paul's assistant, Francisco, putting up the plastic protective barriers. At bottom, it's Paul and his monster sander. The sander is a five horsepower American Standard that needed a double thirty amp breaker to power it properly.
Paul wasted no time and jumped right into sanding the floors of the master suite. After the hand operated edger sander(below) cleans up the perimeter, Paul trowels on the red oak filler. The filler and floor are then sanded down with finer and finer grit sandpaper until the floor is ready to be finished with coats of polyeurathane.
After the large areas are sanded there is still detail work to be done. We see Francisco sanding the stairs and applying a gel-like paint stripper to the areas between the spindles of the hand rail. Below are the raw sanded stairs before the finish is applied and Paul, at the top of the stairs, sanding with a fine 100 grit sand paper on a rotary floor unit.
Finally, after the last buffing, it's time for the sealer and finish to be applied.
And then, and then - voila! The brand new, clean, glistening, glorious floors are revealed!
But wait - there's more! Once we saw how beautiful the floors were, we realized that we needed to refurbish all the thresholds. So, Paul and Francisco got to work.
Finally, it was time to move everything back in. However, before that Brittany and Michelle had to do a final dusting and wiping.
Watch the frantic activity as we try moving everything back in before the guests arrive.
But with everyone's help all the rooms are put back together and everything is just beautiful.
July 26, 2018 - Is the 94th birthday of our very dear friend Miss Reba, one of the most delightful human beings ever! So, of course, we had to have a party.
Miss Reba has a little trouble getting around so Joshua and Gabriel volunteered to help her. When she arrived she was provided with her own special chair.
Then her new friends helped her into the house and into a more comfortable chair. Let the party begin!
- the party goers came outside to watch Andrea feed her finny friends.
It turned into a beautiful garden party on a beautiful summer day. From left to right we see Donna, Opal, Karen, Peggy, Andrea, and,of course, Miss Reba in the middle of it all.
The Orchestra delivered a beautiful concert of classics such as Oh, You Beautiful Gal, Take Me Home Country Roads, Happy Birthday and many more. When it was over they made Reba an honorary member of the Orchestra. She was tickled to say the least . . .
After dinner, Tommy Rocks presented the birthday girl with her own orchestral instrument - the ever popular tambourine.
Then it was time for Cake! It was a true celebration of the day when Miss Reba arrived on the planet.
But finally, it was time for the grand dame to go. There were hugs and tears all around and the promise of another party next year. We love you Reba!
A special thanks to Karen MacKenzie for helping with the photography. Some great shots, Karen.
July 3, 2018 - On the hillside above the house where the bees live, we installed a bird feeder in the limbs of a tree. Originally, we loaded it with the standard bird seed. Then we heard that if we wanted to attract Baltimore orioles we should put grape jelly in the feeder. When we did that we started having a problem with the feeder always being empty and sometimes ending up on the ground, so we placed a motion activated camera pointed toward the feeder and low and behold . . .
We have a young male and older female deer visiting in the morning.
During the day we have the squirrels, chipmunks, and birds as expected. It turns out that we also have birds of prey checking out the squirrels and chipmunks.
And, at night, other creatures appear such as racoons, gray foxes, and coyotes. We didn't know that it was quite that busy up on the old hillside. Stay tuned, there's bound to be more. These are pictures from only two days and nights.
The next night Mr. Racoon decides to bring along the missus. We see them approaching from below. Then Mister goes up to the feeder with the grape jelly in it and brings down a taste for his better half. She then decides that she had better check out the jelly for herself. It's a wonder that those little limbs hold the both of them.
June 20 - On the day before the official start of summer, Joshua installed some nice redwood lattice panels in the patio of the Chauffeur's Quarters.
May 24 - It seems that Joshua and Steven are becoming the dynamic duo. Here they are planting and watering a new wysteria plant at the base of the retaining wall of the north garden.
May 17 - There's an upside and a downside to having a family of deer visiting the property. The upside, of course, is their beauty. The downside is that they like to dine on certain flora. In this case, that includes many of the flowers in our gardens. In order to discourage this proclivity, Joshua and Steven, erected an even higher fence today. Hopefully, our dear friends will get the hint and we can continue to appreciate their beauty without having to deal with their appetite.
April 27 - It was finally time to pave the walkway into the north most garden. Here we see David and Joshua digging the holes and setting the paver stones. Nice . . .
Okay, I realize that this is nothing like adding a room to my home or stabilizing the foundation, but sometimes we gals simply need a little cosmetic �lift�! Also, in our compilation of info for This Is Your Life The Surgeon�s House, Glenda Farley came across some fun info suggesting that the Carlsons actually furnished my home from a really high end furniture place in Southern California in a traditional southwestern theme. God bless the Carlsons, but this chick has been given the vision that we are going an entirely different route . . .
We are shifting some pieces to different rooms/purposes/suites and the entire palate of the first floor is changing. My original wood floors and the 25+ year old black and white tile floors are sacrosanct. The magnificent and magical and incomparable painting on the walls by Dolores Ashkar will remain as will all my family pieces of course, and, actually, those aspects have figured in the vision of our new adventure. Joshua will be repainting some of the wicker and all of the wrought iron. The rest of the wicker will be revitalized, sealed and spruced up. Sinda of Desert Flower Interiors in Peoria will again work her brilliance with all new cushions, new fabrics, and creative accents. An absolutely HUGE change is that my beloved harpsichord will also change its color scheme with Joshua painting it under the tutelage of Henry Miller who maintains the beautiful instrument. . . Are you curious yet? I am so excited I can hardly stand myself, and this will all be accomplished before the third week in February so everyone can enjoy our facelift.
Keep checking in here for our progress.
Here is the first piece of furniture to return from Sinda - our old wingback chair. Joshua and Brittany haul it inside and unwrap it for the big reveal.
Before more furniture comes, Joshua dismantled and repainted the old harpsichord. You see the before and after with a little help from Andrea.
. . . And then the furniture starts arriving . . .
And like his lady, the man of the house picks his favorite sofa . . .
. . . And then more furniture and redone cushions start arriving . . .
. . . And then piece by piece, everything is put back together. . .
And let's not forget the atrium.
March 21. Even the upstairs suites are getting refreshed with new upholstery and cushions.
April 5 But it doesn't stop with just the interior. We're also sprucing up some outside areas. Here's Joshua taking down some old fencing in the Chauffeur's Quarters patio and replacing it with some new steel fencing.
April 9 I was told that Joshua was busy working his tail off in the patio. Here's what I found.
But later, lo and behold, we see the fountain installed, the fence finished, and the roses planted.
Long time Jerome couple, Katie Lee and Joey Van Leeuwen passed recently and Andrea graciously offered to provide the food for 100 people at the memorial celebration at Spook Hall. The last time this much food was cooked in the kitchen of the Surgeon's House at one time was when the Tamale Ladies cooked 300 of their legendary tamales. Below, we see; first, the makings of a huge salad; second, one of the trays of pork: third, Andrea and Joshua tranferring one of many salmon filets into a bin for transfer.
Drunken apricots with triple cr�me brie, smoked gouda, and maytag blue, rodney�s sugared spicey pecans and walnuts colossal grapes. poached salmon with homemade mustard, cornbread, butter. Fresh asparagus with lime aioli. Fake steak � mini portabellos marinated and cooked like red meat. Slow roasted pork and garlic, with chipotle copper sauce, fresh pullapart rolls and butter. Roasted dilled potatoes. �that salad� - napa cabbage, green onions, edamame, fresh peas, black olives, water chestnuts.
And some pics of the event which turned out to be a very beautiful and moving tribute to Katy and Joey.
"This Is Your Life - The Surgeon's House"
In conjunction with our celebration we have created a multi-volume document chronicling the house and its history. The longer I lived here, the more I wanted to know about my home. Finding the answers to all my questions tuned out to be a daunting and sometimes frustrating task. I also thought of the folks that might come after me and how they also might want to know more about this grand old gal, so I decided to document as much as I could for future generations of history buffs. Fortunately, I found and incredible helper by the name of Vicki Day. Her enthusiasm, drive, research and organizational abilities are beyond compare. Without her this project would not have been possible. Below you see us finalizing the project. There are eight volumes documenting everything from the house's history, to the renovations I have done, to the artists who have helped create this beautiful environment, to even the decorating of the house through the various winter holidays. These volumes will be available to our guests to peruse and eventually be passed down through the years to future owners. | 2019-04-23T18:55:32Z | http://www.surgeonshouse.com/project1.html |
Abstract: The use of unmanned aerial systems—commonly referred to as drones—over the past decade has revolutionized how the United States uses military force. As the technology has evolved from surveillance aircraft to an armed platform, drones have been used for a wide range of military missions: the United States has successfully and legitimately used armed drones to conduct hundreds of counterterrorism operations in battlefield zones, including Afghanistan, Iraq, and Libya. It has also used armed drones in non-battlefield settings, specifically in Pakistan, Yemen, Somalia, and the Philippines. Collectively, these strikes have eliminated a number of suspected terrorists and militants from Asia to Africa at no cost in terms of U.S. casualties, an advantage of drones over manned platforms that has made them attractive to many other states. However, non-battlefield strikes have drawn criticism, particularly those conducted under the assertion that they are acts of self-defense.
Abstract: An estimated one-third of girls around the globe become brides before the age of eighteen and one in nine do so before the age of fifteen. In recent decades, the issue of child marriage has grown in profile and priority for many policymakers. The Elders, a group of global leaders including former United Nations (UN) secretary-general Kofi Anna n and former U.S. president Jimmy Carter, have taken on the issue and opted to use their platform to speak out against the practice, as have other prominent international organizations. The UN estimated that in 2011, nearly seventy million women ages twenty to twenty-four had married before they turned eighteen. If current trends continue without pause, in the next ten years, more than 140 million girls will be married before their eighteenth birthdays. In order to design interventions that can scale to match the level of the challenge, it is critical to understand the drivers of child marriage and the factors that can curb it.
Abstract: The April 2014 kidnapping of more than 250 schoolgirls from Chibok in northern Nigeria by the militant Islamist group Boko Haram—and the lethargic response of Nigerian President Goodluck Jonathan's government— provoked outrage. But the kidnapping is only one of many challenges Nigeria faces. The splintering of political elites, Boko Haram's revolt in the north, persistent ethnic and religious conflict in the country's Middle Belt, the deterioration of the Nigerian army, a weak federal government, unprecedented corruption, and likely divisive national elections in February 2015 with a potential resumption of an insurrection in the oil patch together test Nigeria in ways unprecedented since the 1966–70 civil war.
Abstract: The practice of child marriage is a violation of human rights. Every day, girls around the world are forced to leave their families, marry against their will, endure sexual and physical abuse, and bear children while still in childhood themselves. This practice is driven by poverty, deeply embedded cultural traditions, and pervasive discrimination against girls. Yet in many parts of the world, this ancient practice still flourishes: estimates show that nearly five million girls are married under the age of fifteen every year, and some are as young as eight or nine years old.
Abstract: Afghanistan will undergo three major transitions in 2014: from a Hamid Karzai-led government to one presumably headed by another president following the 2014 election; from a U.S.-led to an Afghan-led counterinsurgency; and from an economy driven by foreign expenditures on military support and assistance to one more reliant on domestic sources of growth, as the United States and other countries reduce their presence. The United States and its allies will need to shape each of these transitions in ways that safeguard their interests.
Abstract: Mission Statement. The Council on Foreign Relations is an independent, nonpartisan membership organization, think tank, and publisher dedicated to being a resource for its members, government officials, business executives, journalists, educators and students, civic and religious leaders, and other interested citizens in order to help them better understand the world and the foreign policy choices facing the United States and other countries. Founded in 1921, the Council takes no institutional positions on matters of policy. The Council carries out its mission by: Maintaining a diverse membership, including special programs to promote interest and develop expertise in the next generation of foreign policy leaders; Convening meetings at its headquarters in New York and in Washington, DC, and other cities where senior government officials, members of Congress, global leaders, and prominent thinkers come together with Council members to discuss and debate major international issues; Supporting a Studies Program that fosters independent research, enabling Council scholars to produce articles, reports, and books and hold roundtables that analyze foreign policy issues and make concrete policy recommendations; Publishing Foreign Affairs, the preeminent journal of international affairs and U.S. foreign policy; Sponsoring Independent Task Forces that produce reports with both findings and policy prescriptions on the most important foreign policy topics; and Providing up-to-date information and analysis about world events and American foreign policy on its website, CFR.org.
Abstract: Fewer people are smoking in the United States, Europe, and most of the developing world. Excise taxes, bans on smoking in public places, and graphic health warnings are achieving such dramatic reductions in tobacco use in developed countries that a recent Citigroup Bank investment analysis speculated that smoking could virtually disappear in wealthy countries over the next thirty to fifty years.
Abstract: Economic development is a critical component of promoting stability and U.S. security interests, particularly in conflict and postconflict zones. Reviving institutions and rebuilding an economic base are among the first priorities after fighting ends and reconstruction begins. According to the U.S. Agency for International Development (USAID), negative economic shocks of just 5 percent can increase the risk of a civil war by as much as 50 percent in fragile environments. Additionally, donor assistance, which can account for 20 percent to as much as 97 percent of a country's GDP, is unsustainable in the long term. Building local business capacity and supporting homegrown entrepreneurs can help curb this risk. Research from Iraq has found that labor-generating reconstruction programs can reduce violence during insurgencies, with a 10 percent increase in labor-related spending associated with a 10 percent decrease in violence. And as Shari Berenbach, director of the Office of Microenterprise Development at USAID, argues, the development of “private enterprise is an important stabilizing force,” particularly for countries suffering from the political uncertainty and civil unrest that often characterizes the postconflict period.
Abstract: Over the past half-century—what is often called the “American century”—the United States enjoyed extraordinary success, growth, and influence. It was not only the pivotal “arsenal” in the defense of democracy but also the principal exemplar of democratic capitalism that held enormous appeal around the world. During this era, the United States was simultaneously locked in a geopolitical and ideological bipolar struggle with the Soviet Union and, within the free world community, acknowledged as the leader and defender of a broad community of democratic capitalist countries. Not surprisingly, therefore, the United States pursued a multifaceted grand strategy. It played the role of Cold War leader of a coalition in global great power rivalry. It was also the indispensable leader in building order and cooperation within the free world camp. At the same time, the United States often employed its immense influence to advance a universalistic program of human betterment centered on political democracy, market capitalism, free trade, human rights, national self-determination, and international law and organization.
Abstract: Mexico is in the midst of a worsening security crisis. Explosive clashes and territorial disputes among powerful drug trafficking organizations (DTOs) have killed more than thirty-five thousand people since President Felipe Calderón took office in December 2006. The geography of that violence is limited but continues to spread, and its targets include a growing number of government officials, police officers, journalists, and individuals unrelated to the drug trade. The Mexican government has made the war on drugs its top priority and has even called in the military to support the country's weak police and judicial institutions. Even so, few Mexican citizens feel safer today than they did ten years ago, and most believe that their government is losing the fight.
Abstract: This paper examines the evolving structure of the American economy, specifically, the trends in employment, value added, and value added per employee from 1990 to 2008. These trends are closely connected with complementary trends in the size and structure of the global economy, particularly in the major emerging economies. Employing historical time series data from the Bureau of Labor Statistics and the Bureau of Economic Analysis, U.S. industries are separated into internationally tradable and nontradable components, allowing for employment and value-added trends at both the industry and the aggregate level to be examined. Value added grew across the economy, but almost all of the incremental employment increase of 27.3 million jobs was on the nontradable side. On the nontradable side, government and health care are the largest employers and provided the largest increments (an additional 10.4 million jobs) over the past two decades. There are obvious questions about whether those trends can continue; without fast job creation in the nontradable sector, the United States would already have faced a major employment challenge.
Abstract: For nearly two decades, the United Nations has created international criminal tribunals to punish those responsible for war crimes, crimes against humanity, and genocide. Since the early 1990s the United States has strongly supported the UN tribunals for Rwanda and the former Yugoslavia and hybrid UN/national courts for Sierra Leone and Cambodia. The era of court-building culminated in the 1998 adoption, over U.S. objections, of a treaty to establish a permanent International Criminal Court (ICC) in The Hague. These international courts have brought dozens of perpetrators to justice, and the UN Security Council's requests that the ICC investigate the situations in Sudan (2005) and Libya (2011) show that policymakers across the spectrum, in the United States and abroad, believe that accountability-that is, bringing individuals to justice for committing atrocities-can be an important tool to combat war crimes, crimes against humanity, and genocide. Yet as important as these courts are, atrocities occur in places beyond their reach, and even where international courts investigate and prosecute, they lack the capacity to try all but a handful of the thousands of perpetrators of the worst international crimes.
Abstract: Global demographic and health trends affect a wide range of vital U.S. foreign policy interests. These interests include the desire to promote healthy, productive families and communities, more prosperous and stable societies, resource and food security, and environmental sustainability. International family planning is one intervention that can advance all these interests in a cost-effective manner. Investments in international family planning can significantly improve maternal, infant, and child health and avert unintended pregnancies and abortions. Studies have shown that meeting the unmet need for family planning could reduce maternal deaths by approximately 35 percent, reduce abortion in developing countries by 70 percent, and reduce infant mortality by 10 to 20 percent.
Abstract: The growth of global trade and investment has brought significant benefits to the United States and to the rest of the world. Freer trade and investment, facilitated by rules the United States led in negotiating and implementing, have alleviated poverty, raised average standards of living, and discouraged conflict.
Abstract: With the U.S. military overstretched after a decade of continuous combat operations and Washington facing acute fiscal pressures, the strategic logic of preventive action to reduce the number of foreign crises and conflicts that could embroil the United States in burdensome new commitments has never been more compelling.
Abstract: THE PRESIDENT: Madam Speaker, Vice President Biden, members of Congress, distinguished guests, and fellow Americans: Our Constitution declares that from time to time, the President shall give to Congress information about the state of our union. For 220 years, our leaders have fulfilled this duty. They've done so during periods of prosperity and tranquility. And they've done so in the midst of war and depression; at moments of great strife and great struggle.
Abstract: If the North Atlantic Treaty Organization (NATO) did not exist today, the United States would not seek to create it. In 1949, it made sense in the face of a potential Soviet invasion to forge a bond in the North Atlantic area among the United States, Canada, and the west European states. Today, if the United States were starting from scratch in a world of transnational threats, the debate would be over whether to follow liberal and neoconservative calls for an alliance of democracies without regard to geography or to develop a great power concert envisioned by the realists to uphold the current order.
Abstract: India faces the real prospect of another major terrorist attack by Pakistan-based terrorist organizations in the near future. Unlike the aftermath of the November 2008 attack on Mumbai, in which 166 people died, Indian military restraint cannot be taken for granted if terrorists strike again. An Indian retaliatory strike against terrorist targets on Pakistani soil would raise Indo-Pakistani tensions and could even set off a spiral of violent escalation between the nuclear-armed rivals. Given Washington's effort to intensify pressure on al-Qaeda, the Taliban, and associated militants operating from Pakistani territory, increased tensions between India and Pakistan would harm U.S. interests even if New Delhi and Islamabad stop well short of the nuclear threshold because it would distract Pakistan from counterterror and counterinsurgency operations, jeopardize the U.S. mission in Afghanistan, and place new, extreme stresses on Islamabad.
Abstract: Sudan faces the prospect of renewed violence between north and south over the next twelve to eighteen months. Under the terms of the 2005 Comprehensive Peace Agreement (CPA) that ended Sudan's bloody civil war, which claimed two million lives and displaced four million more, a referendum in southern Sudan must be held by January 2011 to determine whether it remains united with the north or secedes from it. Given that popular sentiment in the south overwhelmingly favors secession, two basic scenarios are conceivable: the south secedes peacefully through a credible referendum process, or the CPA collapses and the south fights for independence. There is no scenario in which the south remains peacefully united with the north beyond 2011. Further complicating prospects for averting renewed violence are the ongoing conflict in Darfur and potential conflicts in other marginalized areas of the north. The violent secession of the south would hinder efforts to resolve these conflicts, as well as increase the prospect for greater internecine fighting among historic rivals in the south. The resulting significant loss of life and widespread political unrest would threaten regional stability and challenge U.S. interests in Africa.
Abstract: Runs by prime-brokerage clients and derivatives counterparties were a central cause of the World Financial Crisis. Worried about potential losses, many hedge funds withdrew their assets from brokerage accounts at Bear Stearns and Lehman Brothers in the weeks before these banks failed. Although Morgan Stanley did not fail, it also suffered from the withdrawal of prime brokerage assets. These runs, together with runs by short-term creditors, precipitated Bear Stearns' and Lehman's demise. Even if these firms would have failed anyway, the runs made their failures much more sudden and chaotic, and made coherent policy responses much harder.
Abstract: For the foreseeable future the United States is unlikely to become a member of the International Criminal Court (ICC), the international tribunal in The Hague responsible for prosecuting human rights atrocities and war crimes. From the time the Rome Statute of the International Criminal Court (the “Rome Statute”)—the treaty that established the ICC—was negotiated in 1998, the United States has voiced strong concerns about the ICC exercising jurisdiction over nationals of nonparties and the ICC prosecutor's authority to investigate and prosecute suspects without the approval of the UN Security Council. Those concerns have not been alleviated, and the Obama administration has said that it will not seek U.S. Senate approval of the Rome Statute in the near future. Even if the treaty were submitted to the Senate, the Senate would not approve it in its current form. Moreover, U.S. concerns could be exacerbated by modifications to the Rome Statute ICC members may make in the coming months.
Abstract: The Korean peninsula simultaneously offers dramatically contrasting opportunities for and dangers to U.S. interests in Northeast Asia. On the one hand, a democratic and free market–oriented South Korea has developed enhanced military capacity and political clout and an expanded set of shared interests with the United States. This enables more active cooperation with the United States to respond to North Korea's nuclear challenge and promote regional and global stability and prosperity. On the other hand, a secretive and totalitarian North Korea has expanded its capacity to threaten regional and global stability through continued development of fissile materials and missile delivery capabilities, and has directly challenged the global nonproliferation regime and U.S. leadership.
Abstract: U.S. policymakers talk more today about energy security than they have at any time since the energy crises of the 1970s. Yet scholarly understanding of the challenges at the intersection of energy and national security, and of the various policy tools available to address them, is surprisingly weak. On April 12–13, 2010, the Council on Foreign Relations (CFR) convened a group of thirty-six scholars and practitioners to assess the current state of knowledge about oil, gas, and national security, and to identify those areas where research was most needed. Participants included experts from academia, industry, government, and international institutions, and brought backgrounds in economics, political science, international relations, science, engineering, and law to the discussion.
Abstract: The replacement for the Strategic Arms Reductions Treaty (START), which presidents Barack Obama and Dmitry Medvedev signed in April 2010, marks the first legally binding arms control agreement to be reached in nearly twenty years. At the Nuclear Nonproliferation Treaty (NPT) review conference in May 2010, where the topic of nu clear disarmament will be discussed, the elimination of nuclear weapons will be viewed as a practical possibility. While this prospect can be easily dismissed as an optimistic or flee ting trend, it should instead be harnessed as a means to bolster international security, or at least not to make matter s worse. This requires both sound insights into what is and is not possible, and in Washington, sensitivity to an increasing number of contentious political views regarding nuclear controls.
Abstract: President Barack Obama has made reductions in the United States' nuclear arsenal and a decreased reliance on nuclear weapons major foreign policy priorities for his administration. The New Strategic Arms Reduction Treaty (New START), signed in April 2010 by President Obama and Russia's president, Dmitry Medvedev, represents concrete movement toward these goals—goals that both presidents share. This follow-on accord to the 1991 START Treaty limits the United States and Russia to 1,550 deployed strategic nuclear and conventional war - heads, 800 strategic launchers, and 700 deployed strategic missiles and bombers. Yet while the New START Treaty represents a substantial decrease from Cold War levels, the United States will retain around 2,000 deployed strategic and tactical nuclear weapons and Russia will maintain approximately 3,500 deployed strategic and tactical nuclear weapons—which together will constitute over 90 percent of the world's nuclear weapons.
Abstract: Much has been written, blogged, and broadcast in the past several years about the dysfunction of the U.S. Congress. Filibusters, holds, and poison pill amendments have become hot topics, albeit intermittently, as lawmakers on both sides of the aisle have increasingly exploited these tactics in pursuit of partisan or personal ends. Meanwhile, such pressing national issues as deficit reduction, immigration reform, and climate change have gone unresolved. To be fair, the 111th Congress has addressed many significant issues, but those it has addressed, such as health-care reform and economic stimulus, exposed Americans to a flawed process of backroom deals that favors obstruction over deliberation, partisanship over statesmanship, and narrow interests over national concerns. Although partisan politics, deal making, and parliamentary maneuvering are nothing new to Congress, the extent to which they are being deployed today by lawmakers and the degree to which they obstruct the resolution of national problems are unprecedented. This may explain why Congress registered a confidence level of only 11 percent in July 2010, marking its lowest rating ever in the annual Gallup institutional confidence survey and ranking it last among sixteen major U.S. institutions.
Abstract: Advancing U.S. national interests in an era of global threats depends on effective multilateral action. Global institutions inherited from the past are struggling to adapt to the rise of new challenges and powers. “The international architecture of the 20th century is buckling,” declares the new U.S. National Security Strategy. President Barack Obama has committed his administration to renovating outdated institutions and integrating emerging powers as pillars of a rule-based international order. Renovation of the United Nations Security Council (UNSC) and its membership must be a core component of this agenda. President Obama's announcement in November 2010 of U.S. support for a permanent UNSC seat for India is a critical first step in this direction.
Abstract: For most of the 1990s, North Korea was under what can only be called a prolonged deathwatch, so common and confident were predictions of its demise. Despite suffering acute economic stress from the loss of its principal economic patron—the Soviet Union—in 1991, the sudden death of its founding father––Kim Il-Sung––in 1994, and then soon after a devastating famine that may have claimed as many as a million lives, North Korea managed to survive. By decade's end, North Korea's extraordinary resilience, combined with its defiant and at times belligerent attitude to the rest of the world, had convinced most experts that this was not a country about to pass either quickly or quietly into the history books. Since then, the conventional wisdom among most if not all North Korea watchers is that it will muddle through indefinitely even if its long-term future remains doubtful.
Abstract: Information about prices and quantities of assets lies at the heart of well-functioning capital markets. In the current financial crisis, it has become clear that many important actors-both firms and regulatory agencies-have not had sufficient information. Distributed by the Center for Geoeconomic Studies, this Working Paper proposes a new regulatory regime for gathering and disseminating financial market information. The authors argue that government regulators need a new infrastructure to collect and analyze adequate information from large (systemically important) financial institutions. This new information framework would bolster the government's ability to foresee, contain, and, ideally, prevent disruptions to the overall financial services industry.
Abstract: Though the United States of America faces its toughest budgetary and economic challenges since the Great Depression, it cannot afford to eliminate, or even reduce, its foreign assistance spending. For clear reasons of political influence, national security, global stability, and humanitarian concern the United States must, at a minimum, stay the course in its commitments to global health and development, as well as basic humanitarian relief. The Bush administration sought not only to increase some aspects of foreign assistance, targeting key countries (Iraq and Afghanistan) and specific health targets, such as the President's Emergency Plan for AIDS Relief and the President's Malaria Initiative, but also executed an array of programmatic and structural changes in U.S. aid efforts. By 2008, it was obvious to most participants and observers that too many agencies were engaged in foreign assistance, and that programs lacked coherence and strategy. Well before the financial crisis of fall 20 08, there was a strong bipartisan call for foreign assistance reform, allowing greater efficiency and credibility to U.S. efforts, enhancing engagement in multilateral institutions and programs, and improving institutional relations between U.S. agencies and their partners, including nongovernmental organizations (NGOs), recipient governments, corporate and business sector stakeholders, faith-based organizations (FBOs), academic-based implementers and researchers, foundations and private donors, United Nations (UN) agencies, and other donor nations.
Abstract: One of the most compelling—yet most unrealized—global development challenges is ensuring that all children can pursue their right to a quality basic education. Seventy-two million young children around the world will not attend primary school this year, and, if we include those adolescents who could be enrolled in secondary school, the number of out-of-school children rises to over 300 million. To some degree, global awareness of both the silent crisis of education in developing nations and the individual and societal benefits of moving toward a quality education for all children has grown over the last decade. In recent years, more policymakers and foundations have gained greater knowledge of the high economic, health, and social returns of educating girls, while foreign policy specialists increasingly recognize a connection between educational opportunities and encouraging young people to resist opting for more destructive or violent futures. A new global effort on education—the Education for All Fast Track Initiative (FTI)—has been started, and increased civil society advocacy for schooling opportunities for girls and boys, as well as those affected by HIV/AIDS, conflict, disability, and child labor, have all raised the profile of education among the broader public.
Abstract: Interview with Michael Chertoff, Former Homeland Security Secretary, on how immigration reforms are essential to normalize labor flows. The global economic crisis has triggered calls in some U.S. policy circles for tightening immigration rules to prevent non-Americans from competing for scarce jobs. Yet despite conditions, lawmakers should be preparing changes to immigration policy in anticipation of the country's economic revival, says former Homeland Security Secretary Michael Chertoff, who had jurisdiction over immigration issues. "We are going to need to have some workers coming from other parts of the world to do the jobs that Americans will not be willing to do," Chertoff said. In addition, he said, U.S. officials should increase contacts with Mexican authorities to work out a system for rationalizing the legal flow of migrant workers into the United States. He also stressed that tough enforcement of immigration laws, at the workplace and border, must be at the core of comprehensive reforms. | 2019-04-23T15:08:35Z | http://www.ciaonet.org/catalog?f%5Bcontent_type%5D%5B%5D=Working+Paper&f%5Binstitution%5D%5B%5D=Council+on+Foreign+Relations&f%5Blocation%5D%5B%5D=United+States&per_page=50&search_field=all_fields |
When Prime Minister Narendra Modi, during the 'Satyagraha Se Swachhagraha' event in Bihar's Motihari district on April 10, congratulated the state government for building 850,000 toilets in a week, he, perhaps, missed a point: presence of toilets is not the only yardstick to measure sanitation status. If we look at the Ministry of Drinking Water and Sanitation's data for Barh block (which has Barh town, Bihar Chief Minister Nitish Kumar’s constituency), it becomes evident that the mission of ensuring 100 per cent household toilet coverage will be completed by April 2020—as opposed to 2051 previously estimated—considering the rate of construction remains the same as that of 2017-18.
In Patna district, the rate of construction of toilets increased by three times, five times and 19 times in 2015-16, 2016-17 and 2017-18 respectively, in comparison to 2014-15 when Swachh Bharat Mission (SBM) was launched. At the current rate of construction, the mission of 100 per cent household toilet coverage will be achieved by October 2021. Similarly, in Varanasi district of Uttar Pradesh—where PM Modi’s constituency is located—the rate of construction increased by three times, 16 times and 44 times in 2015-16, 2016-17 and 2017-18 respectively, in comparison to 2014-15. At the current rate of construction, the mission of 100 per cent household toilet coverage will be completed by September 2018. The estimates in 2016 suggested that it would 100 per cent coverage can only be achieved by 2048.
Down To Earth recently travelled to Gonda district in Uttar Pradesh and found that there, too, constructing toilets is the goal, instead of ending open defecation.
About 100 kilometres east of Uttar Pradesh’s capital city of Lucknow, the district headquarter town of Gonda made it to national headlines in mid-2017 when it was named as the dirtiest city in India by the Swachh Survekshan rankings. Now with just one and a half years left to meet the Swachh Bharat Mission (SBM) target, the laggard districts are in competition to bring about 100 per cent toilet coverage, and Gonda district recently embarked on an ambitious drive.
Christened “Mission 32”, the district targeted to build 32,000 toilets in just 120 hours between March 26 and 30, 2018. “This scheme will not only help us remove the tag of one of the dirtiest districts in the country, but will also serve as an exceptional example of efficiency, commitment and community involvement,” says J B Singh, the district magistrate of Gonda.
“It is more like a dream for me,” says Khaimul Nisha, a 72-year-old villager from Virahmatpur gram panchayat of Wazirganj block. “My son who is a farmer has been trying to build a toilet for long. He registered for financial support last year in November. This year we were lucky enough to get our name in the list. Soon we will get rid of the shame of going out,” adds Nisha.
The district officials guaranteed to finish the toilet construction along with the twin pits for the management of black water coming out of the toilets by March 30. Saroja Devi, another beneficiary from the same village says that normally it takes around a month to complete toilet construction work in her village due to the unavailability of skilled labour and construction material. But since her toilet construction is taking place under the district government’s special toilet construction drive, she is optimistic about the completion of construction work in the scheduled time of five days. “My daughters will no longer go through daily discomfort. We will soon get rid of this daily shame of going out. We will get our own toilet in just four days. I have waited for this day since long,” says Siyapati, a 37-year-old woman from Chappia gram panchayat, whose toilet is under construction.
In most of the villages it is common to see residents engaged in digging pits, carrying bricks or cement or supervising toilet construction. As many as 230,000 individual household toilets have been constructed in the district so far since the initiation of SBM (rural). “In our village only half of the villagers have toilets in their household. People barely meet the essentialities of normal living. Building a toilet is a kind of luxury for most villagers. Toilet construction is only in their wishlist, which will not happen without external support. The local administration came forward with financial help and the response from the villagers is receptive,” says Fatima, sarpanch of Khorhansha gram panchayat of Jhanjhari block.
Prior to the massive drive, the household toilet coverage in Gonda was just below 40 per cent and it climbed to 46 per cent in just one week of the recent construction phase. Gonda district has always been a back bencher in terms of sanitation. According to the 2011 Census, the district showed that 91 per cent of the rural population, which contributes 70 per cent of the population in the district, opted for open defecation. After the launch of SBM in 2014-15, the rate of toilet construction in the district picked up and around three times more toilets were constructed. The rate peaked in 2017-18, where around 21 times more toilets were constructed compared to pre-SBM.
Brijesh Kumar Srivastava, the SBM (rural) coordinator of Gonda, explains that the poor progress in household coverage of toilets was basically due to poverty. “In the first phase of SBM, we mobilised the community and tried to sensitise them about the ill-effects of open defecation. It was not an easy task. We contacted each and every beneficiary and cajoled them to construct toilets by explaining the negative health impacts. The residents were finally convinced that the obnoxious practice contributed to bacterial infections and gastrointestinal disorders resulting in the loss of income for family members and huge expenditure on curing illnesses,” says Srivastava.
But the manner in which the money of Information, Education and Communication (IEC) was spent differed according to district officials and the Ministry of Drinking Water and Sanitation (MDWS). The district had spent over I1 crore on IEC in the last two financial years, according to MDWS data of March 2018. The district officials say they had spent it on wall writings, hoardings and banners. This does not tally with the MDWS data of March 2018. According to MDWS data, the money was spent in “others” category, which was not explained. “Luckily, the response received from residents was very positive due to IEC,” says Srivastava. People liked the idea of building toilets as there is barely any space available to defecate in the open.
People, especially women, suffer massively due to this. They need to wait for long hours to relieve themselves. This often leads to a situation of shame and disgrace for them. “We have seen an exponential increase in toilet demand and huge number of applications,” adds Srivastava. But what demotivated the residents in the early phase of SBM was the cash flow. Hence, Mission 32 was launched where cash flow was made easy.
This is not the first time such a rush for toilet construction has happened in India. A construction of 8,000 toilets in Udham Singh Nagar district in Uttarakhand in just 480 hours saw the district enter the Limca Book of Records in 2016. Peramnalur district in Tamil Nadu was not far behind. It had built over 4,666 household toilets in just 48 hours in February 2017. The most striking initiative was in Vizianagaram district in Andhra Pradesh where 10,500 household toilets were constructed in just 100 hours in March 2017. This inspired the district of Prakasam in the same state and 30,000 toilets were constructed in 700 gram panchayats in just 48 hours. Many districts in Chhattisgarh and Jharkhand also embarked on a toilet construction spree ( see ‘The construction rush’).
Deepak Sanan, former additional chief secretary, government of Himachal Pradesh, rejects the construction-focused model in favour of a strategy aimed at creating community demand for toilets. Ending open defecation rather than constructing toilets should be the goal. According to him, the presence and absence of toilets has now become the measurable tool for sanitation. There have been several examples which failed to trigger the communities to use toilets. Thus there is increase in toilets, but it is a very small step towards making a state open defecation free. The district of Gonda, according to MDWS, had over 25,000 dys-functional toilets as on March 26, 2018. The district officials lay the blame on previous programmes that could not motivate people to use toilets. Under SBM, only 1.7 per cent toilets were converted to functional ones. Therefore, the villages need to look into the remaining 24,000 dysfunctional toilets.
The district’s plan for solid liquid waste management is still awaited, according to district officials. Till date, nothing had been spent on it. The present construction involves a twin pit system, where the depth of the pit is 1 metre below the ground. Gonda district has no dearth of groundwater reserves. The groundwater brochure of the district by the Central Groundwater Board says that the groundwater at most of the blocks is shallow. The pre-monsoon depth of the groundwater varies between 3 to 5 m below the ground level and in the post-monsoon, the groundwater level rises to 1 to 3 m below the ground level. Thus the pits may interfere in areas of shallow groundwater level. The Central Ground Water Board report also talks about waterlogged areas in the district. Hence blindly following twin pits will not be a solution for tackling black water.
Gonda district will have to build 20 toilets per hour to achieve its target by October 2019 of 100 per cent household coverage. Recent drives like the Mission 32 can make the target achievable, but will this bring about a true open defecation free status is a question that only time will tell.
Will the world miss SDG target because four states in India are underperforming?
Every monsoon, the toughest challenge for the residents of Rahimpur Uttari village in Bihar’s flood-prone Khagaria district is to attend to nature’s call. Everyone must wake up before the dawn breaks and find a raised area for oneself. “It is very difficult for women,” says Mohit Yadav who empathises with the problem of his wife and teenaged daughters.
It is not that Rahimpur Uttari does not have toilets. The village has many toilets built under the Swachh Bharat Mission (SBM), but they are of no use. Rahimpur Uttari is located on the banks of the Ganga. So, the contractors built the toilets four feet above the ground keeping in mind the regular floods here. But they made the mistake of making the soak pits at the flood level. “During monsoons the soak pits overflow rendering the toilets unusable,” says Yadav.
Prime Minister Narendra Modi wants to make India open defecation-free by October 2, 2019, the 150th birth anniversary of Mahatma Gandhi. As SBM moves towards its deadline, government officials are in a toilet-building spree. They want to quickly make toilets in all the houses in Khagaria and declare it open defecation-free. Whether the toilets are usable or not is not a concern.
Villages like Rahimpur Uttari will not only determine India’s tryst with total sanitation, but also decide whether the world can achieve Sustainable Development Goal 6. SDG aims to make the world open defecation-free by 2030. India needs to build one toilet each in 64 million households to at least cover all the households under SBM, and to officially declare the country open defecation-free.
According to a 2014 report of the United Nations, out of the world’s one billion people defecating in the open, 60 per cent live in four states of India—Bihar, Uttar Pradesh, Odisha and Jharkhand. Compared to other states, progress here is the least under SBM. In Bihar, about 70 per cent of the households do not have toilets, 59 per cent in Odisha, 54 per cent in Uttar Pradesh and 47 per cent in Jharkhand, shows the Ministry of Drinking Water and Sanitation website, accessed on June 19, 2017. So, of the total number of toilets the country needs, almost 57 per cent are in these four states.
The country’s situation is worse than what the ministry’s data shows. This is because toilets that exist are old and dysfunctional. The ministry correlates the number of households practising open defecation to the number of households that have toilets. It does not consider whether the toilets are functional or not. India has 7.9 million dysfunctional toilets. Of this, 0.82 million are in Bihar, 0.68 million in Jharkhand, 0.21 million in Odisha, and 1.6 lmillion in Uttar Pradesh. These toilets need total reconstruction, or massive repair work to make them usable. It’s not that the government is making no effort in this regard. But the work is slow, and it is slower in these four states. As many as 0.48 million dysfunctional toilets have been made functional in the past six years. But only one to two per cent of these are in Bihar, Uttar Pradesh, Odisha and Jharkhand.
So, will the world miss its SGD target because four states in India are underperforming? What is putting the brakes on the progress of the four states.
The Bihar government is in a tearing hurry to make toilets. Under SBM, 71 per cent of its 20.2 million households need toilets by October 2019. As many as 1.6 million toilets are ready; half of these were built last year. But has Bihar adopted total sanitation in letter and spirit? Ground reality shows the state may get the coveted open defecation-free tag, but people will remain without toilets.
Lallan Kumar Singh, sarpanch of Shihma gram panchayat in Begusarai district, says more than 80 per cent households in the village got toilets in the last six months. The panchayat constantly pushes people to change old habits and start using toilets, says Singh. But it has failed to convince people. Down To Earth reporters saw that open defecation continues as in the past. The number of households where toilets is used is minuscule. This is possibly a state-wide phenomenon. Many people hesitate to build toilets because of financial constraint. Bihar used up 99 per cent of the budget it received to make toilets. This is in sharp contrast to the 0.18 per cent of the budget it used on Information, Education and Communication. Yet, many villages remain deprived of SBM funds. Panchayats like Shihma are lucky as they are located close to the Ganga. Such villages are under the Ganga Mission, and get priority in building toilets.
The state government launched Lohia Swachh Bharat Mission (LSBM) in 2014 for villages located away from the Ganga. Under this scheme, people get funds to build toilets only when their entire ward becomes open defecation-free. In Begusarai, only 20 per cent of the beneficiaries got money to make toilets. Sada Devi, 45, of Ramdiri-II panchayat in Begusarai spent R18,000 to make a toilet in her house. “I have not received any help from the government. Officials say I will not get the money until all the households in my ward have a toilet,” she says. Begusarai-based non-profit Golden Human Right Organisation constructed a number of toilets in the district. But most beneficiaries were unable to return the money as they did not get anything under LSBM. Such reasons dissuade people from building toilets.
Even at places where toilets are being built on a war footing, there is little understanding on site-specific liquid waste management. This threatens to render the toilets unusable and lead to contamination. Maithani block in Begusarai district is located close to the Ganga. “Soak pits are built 5 to 6 metres below the ground, interfering with groundwater,” says Prem Sagar Mishra, block development officer of Maithani. Water for toilets is taken from shallow handpumps close to soak pits. When it rains, handpumps as well as soak pits get submerged. Faecal matter gets mixed with water and contaminates it. Rahimpur Uttari, Rahimpur Dakshin and Rahimpur Madhya in Khagaria are also on the Ganga floodplains. Every monsoon these villages get waterlogged for 10 to 20 days. The Ministry of Drinking Water and Sanitation has announced Khagaria an open defecation-free district. Every house here has a toilet. But the situation is no different from Begusarai. SBM officials do not use local knowledge on toilet location, and ways to avoid contamination. Instead, they hire contractors to build toilets, says Mishra. The objective of attaining total sanitation gets defeated.
Shailendra Kumar, district coordinator of Khagaria, is very strict about the specifications of soak pits in shallow groundwater areas. The soak pits contaminate groundwater, but Kumar does not want to change the design. He complains that if people get the chance they will use other designs for liquid waste management. Bihar’s Annual Implementation Plan 2017-18 shows that last year the state’s focus was on liquid waste management. It has initiated steps on solid-liquid waste management in Sitamarhi, Nawada, Gaya, Bhagalpur, Bhojpur and Nalanda districts. The pilot project will be launched in Bhui village in Nalanda. Following this, a detailed project will be chalked out. In 2016-17, Bihar received R14,868 lakh from Central fund and R9,882 lakh from state fund for sanitation programmes. From this huge amount, the state had not spent anything on solid-liquid waste management till June 2017.
As Bihar focuses only on making toilets, it fails miserably on several other sanitation fronts. The state barely has any public bathing space, resulting in several harassment cases. Women in rural areas are forced to take bath and even change sanitary napkins in public. Almost 55 per cent women take bath in the open, according to a report prepared by Ahmedabad-based non-profit Self Employed Women’s Association in 2014 on the challenges of maintaining hygiene in Bihar. About 38 per cent women do not have a private place to change sanitary napkins. School-going girls find this especially difficult, and more than 50 per cent of them miss schools due to this.
The most populous state of the country is a step ahead of Bihar in the race to build toilets. Chief Minister Yogi Adityanath has declared that Uttar Pradesh will meet the SBM target a year before Prime Minister Narendra Modi’s deadline. Obviously, there is a mad scramble to build toilets across the state. To meet the grand official target the pace of construction peaked in 2016-17, with around 1.74 million new toilets.
At present, 54 per cent of the 27.3 million rural households in the state do not have toilets. But there is a big mismatch between what people demand and how the government responds. Seventy-two-year-old Masoor Ali is a differently-abled resident of Jagdishpur village in Raebareli district. Eager to build a toilet at home, he gave an application to the government authorities and asked his sons to dig a 10-feet deep pit as per the official design. “Six months went by, but neither the SBM officials came nor did any funds,” says Ali. His family does not have money to complete the toilet. When his two-year-old grandson fell into the pit, he decided to close it though the child was rescued. Incidentally, Congress President Rahul Gandhi has adopted Jagdishpur.
Mahadevi, sarpanch of Jagdishpur, accuses people of using the funds meant to build toilets on other things. “We often call people for sensitisation programmes and organise awareness campaigns, but these have been of no use,” she says. On the flip side, Jitendra Singh, gram panchayat officer of Deeh block, claims there are instances where residents have been forced to give a part of the SBM fund to the sarpanch. He also says that people use the fund for other purposes. Many residents stop work on the toilet after they get the first instalment of R6,000. They dig the pit, necessary to get the first instalment, and then close it soon after money comes in their hands, he says.
Despite many hurdles, Hapur has managed to register an impressive progress. With 84 per cent toilet coverage, the district may soon be open defecation-free. “This is because the work done in last two years here is purely demand-driven,” says Renu Srivastava, Hapur SBM coordinator. The adoption rate is very high here. The reason for this is hassle-free fund transfer directly to the beneficiary’s bank account. Now, people come with the demand to build more than one toilet in their houses, claims Srivastava. SBM officials cannot refuse such a demand, but its acceptance can deprive other beneficiaries, she says.
In Uttar Pradesh, the clean Ganga project drives SBM. The mission’s officials are under pressure to build toilets near the Ganga. Like in Bihar, villages along the banks of the river get priority. The Ganga’s largest stretch runs through Uttar Pradesh and is also most polluted by raw sewage flows. But again, like in Bihar, solid-liquid waste management hardly gets any attention here.
Gouraha in Amethi district is an open defecation-free village. Sixty-two-year-old farmer Gaya Prasad says very few people in the village use toilets. The sarpanch controls the money allotted for toilets and constructs them without consulting people, he says. Other residents say the poor quality of construction can be seen everywhere.
Jhansi is keeping a steady pace to achieve the open defecation-free status. As many as 57 per cent households are covered by toilets. But the concern here is very different from the other districts. Jhansi is a water-deficit district. This minimises use of toilets during summers. During the recent consecutive droughts, people chose to defecate in the open instead of using the newly-built clean toilets in their houses, says Rajeev Hingwasia, SBM coordinator of Jhansi.
Bihar, Uttar Pradesh and Odisha compete with each other in displaying poor sanitation, says Kamal Kar, founder director of Kolkata-based non-profit CLTS Foundation. Out of 9 million rural households in Odisha, only 40 per cent have toilets. Like in Bihar and Uttar Pradesh, a toilet in an Odisha home does not ensure the house is open defecation-free. Khandahota in Puri district will soon be declared open defecation-free, but the toilets in the village are used mostly to store fodder.
Residents say the toilets are badly constructed and cannot be used. “There is no quality check. We cannot even decide the location of the toilet,” complain most residents. The reason why people do not use toilets is completely different, says sarpanch Dhable Sur Naik. “People get water from tankers. There is hardly any water to drink, why will people spare water for the toilet?” Odisha has spent all its funds under SBM, but has used only R30,000 on solid-liquid waste management. The state typifies the way SBM is being handled across the country. The focus of the programme is on building toilets; inherent requirements such as solid-liquid waste management have been relegated and people’s voice is left unheard.
People in the villages that Down To Earth visited said the programme had turned into a target-chasing exercise. There is no emphasis on changing people’s habits, or ensuring at least functional toilets. “People should have been made aware of the benefits of using toilets before building them, but the reverse happened here,” says Rama Panda, sarpanch, Harekrushnapur panchayat. “The programme is not demand-driven,” says Panda. The pace of toilet construction is too fast. It leaves us with no time to organise awareness campaigns, complains Tapaswani Chaudhary, SBM consultant in Cuttack.
Although staggering, Jharkhand is performing better than Bihar, Uttar Pradesh and Odisha. About 53 per cent of the households already have toilets. Till January 2017, awareness campaigns were organised in 73 per cent of 4,402 gram panchayats, shows Ministry of Drinking Water and Sanitation data. This is a big achievement considering awareness campaigns are non-existent in Bihar, Uttar Pradesh and Odisha. Compared to these three states, Jharkhand records higher rate of construction and toilet use. “The state will have 100 per cent toilet coverage before 2019,” claims Chandra Prakash Choudhary, Minister of State for Water Resources, Drinking Water and Sanitation.
But Jharkhand, too, also falters in spending money on solid-liquid waste management. Till January 2017, it did not spend anything on this. However, it has initiated steps in this regard. The state’s Annual Implementation Plan for 2017-18 shows it has developed seven Detailed Project Reports (DPRs) under Neer Nirmal Pariyojana. As many as 32 DPRs on solid-liquid waste management in gram panchayats have been developed under Namami Gange Programme. Neer Nirmal Pariyojna has been launched in Assam, Jharkhand, Uttar Pradesh and Bihar to provide drinking water and to maintain sanitation in rural areas. It is supported by the Ministry of Drinking Water and Sanitation, and the World Bank. To further boost solid-liquid waste management, Jharkhand is developing DPRs in gram panchayats that are open defecation-free and have piped water supply schemes.
Ramgarh is the first district in Jharkhand to be open defecation-free. It sets an example to show how community involvement and strategic thinking can make an impact. The district has a rocky terrain and is mineral-rich, but it also suffers from acute water scarcity. This makes toilet use a difficult proposition. This apart, most residents are poor and cannot afford construction and maintenance of toilets. Therefore, the district authorities took a conscious decision to use SBM funds only for the poor and the needy. It launched an extensive drive to identify the rich and rectify the base line survey of 2012. Names of the rich were removed from the beneficiaries’ list and replaced with those of the poor. The district authorities worked with the community on water security plans.
A strong administrative will and good coordination between people and SBM officials helped the district to not only construct toilets but also ensure its use in a sustainable manner. The district administration initiated programmes such as Ratri Choupal, Ratri Vishram, Prashasan Aapke Dwar, Lota Pani, Nukkad Sabha, and Sanitation Week to sensitise the community on sanitation problems. District collector Rajeshwari helped women take the lead in various village meetings.
“There were about 15,000 defunct individual household toilets in the district. These were covered by District Mineral Foundation (DMF) fund and the MLA fund,” says Prabhu Dayal Mandal, executive engineer, Public Health and Engineering Department, Ramgarh. In many villages, beneficiaries undertook labour work to ensure proper construction. To take the drive farther, the district is now making a DPR for solid-liquid waste management, says Ram Kumar, district SBM coordinator.
Statistics show the four states of the country are poor failures in sanitation. Lakhs of dysfunctional toilets here expose the sad state of affairs. To understand SBM’s progress, UNICEF and the Ministry of Drinking Water and Sanitation organised a meeting in May 2017. In this, former member secretary of the Planning Commission N C Saxena said that the condition of toilets in these states is such that one cannot differentiate between an unfinished toilet and a dysfunctional one. He also asked who was involved in the construction of toilets.
The quality of construction in Bihar and Odisha is poor at places where village heads do not involve beneficiaries. Mostly, the sarpanch who controls SBM hires contractors to construct toilets. Ramgarh shows the way as it builds toilets by involving the stakeholders. It uses DMF fund to make dysfunctional toilets functional.
Evidently, good coordination between stakeholders, village heads and SBM officials has resulted in high rate of toilet construction and its use, and easy flow of funds. Hapur has brought about changes as district and block level officials work hand-in-hand.
In Jhansi, people opt for open defecation because of scarce water during lean season. But Ramgarh, also a water-stressed area, has worked on its water distribution system to resolve sanitation problems. The district shows that alternatives worked out at the village level can help come out of crisis of resources such as water, land, or even funds. The poor economic condition of the people of Mehulia village in Odisha was stopping them from building toilets. The panchayat took the initiative to invite a non-profit to provide them with affordable toilets.
In Odisha, the administration failed to explain to the people the relation between sanitation and health. Although 99 per cent of the funds here has been used to construct toilets, women and children suffer because of waterborne diseases. In Jharkhand’s Kuru block, Mahila Mandals (women’s associations) explain to the people the connection between health, sanitation and women’s dignity. They motivate people to use toilets. Ganjam district in Odisha has gone a step ahead and built bathrooms along with toilets. This helps women take bath and gives them the space to change sanitary napkins.
There is little understanding on wastewater management among people. Whatever little work has been done is incorrect. Contractors stick to one design of the soak pit, irrespective of the area being dry or flood-prone. Saxena says the technology should not only be affordable but also according to the soil conditions. There is a tendency to build huge chambers where solid and liquid from the waste is collected, he says. This is because of the poor understanding of the beneficiaries. Contractors emerge the winner as they manage to extract extra money from them.
The four states show maximum progress on building toilets in 2016-17. So, monitoring it completely is difficult at present. However, SBM should not be monitored considering the number of toilets built; it should be outcome-based, states a 2016 research of the Delhi-based non-profit Centre for Science and Environment (CSE). There should be well-developed communication and education materials for advocacy. Trained Village Water Sanitation Committees should not only create awareness, but also ensure construction of toilets. The wastewater generated must be treated, reused and recycled, states the CSE research.
At present, the stark reality of sanitation in the country challenges the goal the world has set for itself. Given the progress in the past decades, the task seems tough. | 2019-04-21T02:39:33Z | http://stage.downtoearth.org.in/coverage/governance/why-msp-will-not-provide-even-minimum-support-to-farmers-60150 |
Indoor and outdoor air pollution are leading threats to human health (World Health Organization, 2006a, p. 87). Air pollution is produced by the natural or human-caused release of harmful contaminants into the atmosphere (World Health Organization, 2014). Air pollution is a global issue, affecting individuals across all countries and socioeconomic groups (World Health Organization, 2016a). The EPI uses three indicators to measure air quality: household solid fuel use, PM2.5 average exposure, and PM2.5 exceedance.
Particulate matter (PM) exposure is associated with significant adverse health effects (Kloog, Ridgway, Koutrakis, Coull, & Schwartz, 2013; World Health Organization, 2016a). These particulates can penetrate the human lung, leading to higher incidences of cardiovascular and respiratory disease (Goldberg, 2008). Recent research suggests that around five million people die prematurely every year due to air pollution, accounting for approximately one in every ten deaths annually (World Bank & Institute for Health Metrics and Evaluation, 2016). Reducing air pollution levels globally can therefore improve human health today and in future generations.
Household solid fuels. We measure household air pollution as the health risk posed by the incomplete combustion of solid fuels, using the number of age-standardized disability-adjusted life years (DALYs) lost per 100,000 persons due to this risk.
PM2.5 exposure. As a measure of chronic exposure, we use the population-weighted average ambient concentration of PM2.5 in each country.
PM2.5 exceedance. As a measure of acute exposure, we use the proportion of the population in each year that is exposed to ambient PM2.5 concentrations that exceed WHO thresholds of 10, 15, 25, and 35 micrograms per meter cubed (µg/m3) (World Health Organization, 2006a). These four proportions are averaged to produce a summary of the distribution of exposure levels in the country’s population.
Air pollution’s widespread and substantial effects on human and environmental health make it an issue of global concern. Exposure to airborne pollution is the fourth leading cause of premature death globally (World Bank & Institute for Health Metrics and Evaluation, 2016, p. 22). According to a recent study conducted by the World Bank and the Institute for Health Metrics and Evaluation (IHME), approximately 5.5 million people die prematurely from air pollution each year (World Bank & Institute for Health Metrics and Evaluation, 2016, p. 22). Most of these deaths stem from respiratory diseases; even in small amounts, air pollution may reduce the quality of one’s overall health (Goldemberg, United Nations Development Programme, United Nations, & World Energy Council, 2000; World Bank & Institute for Health Metrics and Evaluation, 2016; World Health Organization, 2006a).
While air pollution consists of a mix of different pollutants, particulate matter (PM) is among the deadliest (World Health Organization, 2016a). Fine PM is defined as 2.5 microns or less in diameter (PM2.5). PM2.5 is small enough to lodge into human lungs and has the potential to cause serious heart and lung disease (Goldberg, 2008). As seen in Figure 5–1, PM2.5 pollution affects all people. Young children, pregnant women, and the elderly are especially vulnerable. The World Health Organization (WHO) reports that acute respiratory infections are the second-largest cause of death in children under five (World Health Organization, 2017a).
Map 5–1. Disability-Adjusted Life Years lost due to PM2.5.
Household solid fuel use emits significant amounts of particulate matter. Household air pollution (HAP) occurs from the incomplete combustion of solid fuels, which is predominantly from biomass burning, such as wood, crop wastes, charcoal, coal, and dung, in households (Bonjour et al., 2013; World Health Organization, 2006b, 2016b). In poorly ventilated households, the incomplete combustion process produces a substantial amount of particulate emissions, which causes significant amounts of age-standardized disability-adjusted life years (DALYs) worldwide, as seen in Map 5–2 (Desai, Mehta, & Smith, 2004, pp. 8–10). The World Health Organization (WHO) estimates that incomplete combustion in these households can have fine particle concentrations up to 100 times higher than acceptable levels (World Health Organization, 2016a). Reducing air pollution in the home will bring substantial health and development benefits.
Map 5–2. Disability-Adjusted Life Years lost due to household air pollution.
Environmental: Air pollution harms the environment many ways. Pollutants can mix in the air or with rain and accumulate on plants, soils, and water. Examples of such impacts are discussed in Table 5–1.
Table 5–1. Environmental impacts from air pollution.
Source: Chislock, Doster, Zitomer, & Wilson, 2013; Environmental Protection Agency, 2017; Environmental Protection Agency, 2017b; Pope & Dockery, 2006.
Acid rain is precipitation that contains significant amounts of nitric and sulfuric acids. These acids are formed through nitrogen oxides and sulfur oxides that are released into the air (Environmental Protection Agency, 2017b).
Eutrophication is a process in which excess nutrients exacerbate blooms of algae in water. The increase in algae blooms have the potential to kill fish and cause a loss of plant life (Chislock, Doster, Zitomer, & Wilson, 2013).
Ground-level ozone can lead to decreases in crop and tree productivity, abridged growth of trees, and a greater susceptibility of plants to disease and pests (Pope & Dockery, 2006).
Haze is caused when sunlight comes into contact with pollution particles in the air, reducing our visibility (Environmental Protection Agency, 2017).
Social: Impacts from air pollution have serious consequences for public health and well-being. Adverse health effects occur from exposure to pollutants even at lower concentrations (World Health Organization, 2014, p. 1). In 2013, WHO’s International Agency for Research on Cancer established that outdoor air pollution is carcinogenic to humans (World Health Organization, 2013, p. 1). In combination, PM2.5, nitrous oxides (NOX), and volatile organic compounds (VOCs) interact to form ground-level ozone, which is a highly toxic and reactive pollutant (World Health Organization, 2017c). Sulfur dioxide (SO2) and NOx can transport far distances and react in the atmosphere to form very fine nitrate and sulfate particles (Lockwood, 2009). The burden of air pollution is thus a major challenge to sustainability.
Economic: Air pollution has significant costs for society by damaging people’s health. According a joint study conducted by the World Bank and the IHME, air pollution cost the global economy approximately US$225 billion in 2013 alone due to lost labor, and about US$5 trillion per year as a result of productivity losses and a degraded quality of life (World Bank and Institute for Health Metrics and Evaluation, 2016, pp. 50, 52).
The pervasive social and environmental impacts of air pollution make it an important marker for sustainable development across all levels of economic development. The drivers behind pollution differ by economic structure, however, and developing countries have different problems than developed countries. Air pollution is an important indicator for environmental quality and public health in developing regions, as economic expansion contributes to higher pollution levels (World Bank and Institute for Health Metrics and Evaluation, 2016). Differences in the sources and severity of air pollution across country income groups require different solutions. Some nations, for example, should prioritize access to clean fuels, while others should concentrate efforts on emissions abatement in key sectors.
In order to improve public health and well-being, access to clean and affordable energy is necessary, especially for women and children in developing regions (Desai, Mehta, & Smith, 2004). Globally, almost three billion people continue to depend on solid fuels for cooking and heating (World Health Organization, 2014), including 90% of the rural sub-Saharan African population and 75% of the rural population in China and India (Pachauri, Rao, Nagai, & Riahi, 2012). Women and children experience the highest exposure levels from HAP due to their customary household roles (Pachauri & Rao, 2013; World Health Organization, 2014, p. 1). Data further suggests that exposure to HAP during pregnancy increases the risk of still birth, early birth, lower birth weight, and stunting of children (World Health Organization, 2017c).
Air pollution is both directly and indirectly related to numerous Sustainable Development Goals and Targets.
Climate and Clean Air Coalition to Reduce Short-Lived Climate Pollutants (CCAC): The CCAC was launched by the United Nations Environment Programme along with six countries to raise awareness and reduce short-lived climate pollutants in order to protect health, agriculture, and the environment. http://ccacoalition.org/en.
Global Alliance for Clean Cookstoves (GACC): The GACC is a non-profit organization operating under the UN to improve indoor air quality. One of the groups key objectives is for 100 million homes adopt clean stoves and fuels by 2020. http://cleancookstoves.org/.
Sustainable Energy for All (SEforALL): SEforALL was launched by the UN and works to ensure universal access to modern energy services, double the global rate of improvement in energy efficiency, and double the share of renewable energy in the global energy mix by 2030 (Sustainable Energy for All, 2017). http://www.se4all.org/.
United Nations Environment Programme (UNEP): The UNEP is the agency within the UN to coordinate and implement environmental actions. As one of their many duties, the UNEP works to implement the SDGs. https://www.unenvironment.org/.
United Nations Children’s Fund (UNICEF): UNICEF’s environment team works in over 190 countries and territories to improve the lives of children globally. https://www.unicef.org/environment/.
World Health Organization (WHO): The WHO is a specialized agency of the UN working on international health initiatives. One of WHO’s health topics of focus is the public health impacts of air pollution. http://www.who.int/topics/air_pollution/en/.
Clean Cooking Forum 2017 (CCF): The UN Foundation’s Global Alliance for Clean Cookstoves held its forum in New Delhi, India in October 2017 (United Nations Foundation, 2016). http://www.cleancooking2017.org/.
Global Platform on Air Quality and Health (Global Platform): The Global Platform is WHO’s collaboration with organizations working to implement and monitor air pollution abatement strategies. The Global Platform convened in 2014 and 2015 to “systematically consolidate data on air quality and health by bringing together information on air pollution exposure from different sources” (World Health Organization, 2017b). The final reports of these consultations are expected to be released soon. http://www.who.int/phe/health_topics/outdoorair/global_platform/en/.
Global Strategy for Women’s, Children’s and Adolescents’ Health, 2016–2030 (The Global Strategy): The Global Strategy is a collaboration led by the WHO working to put women, children and adolescents at the center of the SDGs. The Global Strategy focuses on improving access to clean sources of household energy. http://www.who.int/life-course/partners/global-strategy/global-strategy-2016-2030/en/.
WHA68.8: Health and the environment: addressing the health impacts of air pollution: Delegates at the World Health Assembly adopted Resolution WHA68.8 to address the impacts of air pollution, identifying air pollution as the world’s largest single environmental risk. http://apps.who.int/gb/ebwha/pdf_files/WHA68/A68_R8-en.pdf.
The WHO and the United Nations Children’s Fund’s Global Action Plan for the Prevention and Control of Pneumonia and Diarrhea (GAPPD): The program’s goal is to achieve universal access to drinking water in both health care facilities and homes by 2025. A core focus of the initiative is on improving indoor air quality (World Health Organization, 2016b, p. 7). http://www.who.int/maternal_child_adolescent/documents/global_action_plan_pneumonia_diarrhoea/en/.
One of the salient characteristics of air pollution is its spatial distribution. Once emitted, air pollution is capable of travelling long distances. Pollution is often not confined to any one country. Harms to both people and nature, therefore, have the potential to occur far from where the pollutants are initially discharged (World Health Organization, 2016b). Since the impacts from air pollution are widespread and broad, it would be helpful to obtain data connecting emissions, ambient concentrations, and consequent harms to human health.
Estimates of air pollution exposure vary by data collection technique. Air quality is measured by both satellite and ground-based methods (Engel-Cox, Kim Oanh, van Donkelaar, Martin, & Zell, 2013). Ground-based measurements are generally taken where a higher number of populations are exposed to PM2.5, which provides accurate data for local planning purposes (Engel-Cox et al., 2013). Ground-level measurements, however, are not taken in much of the world, with especially few measurements in many low-income areas (Hsu, Reuben, Shindell, de Sherbinin, & Levy, 2013, p. 562; Institute for Health Metrics and Evaluation & Health Effects Institute, 2017, p. 5). Satellite-based measurements provide estimates in areas where no ground-based measurements are obtainable (Engel-Cox et al., 2013, p. 585). Satellite monitoring can therefore provide a more complete air pollution picture globally. Synthesizing these two methods may environmental and public health practitioners with a more comprehensive measurement of air quality globally.
We focus on three indicators of exposure to air pollution, measuring PM2.5 and HAP. These indicators capture a substantial portion of the global variation in health impacts due to air quality, either because of the direct threat posed by these pollutants or because they are correlated with threats posed by other pollutants (World Health Organization, 2016b).
Box 5–1. False data and reporting distorts pollution estimates.
Despite the significant advances made in air quality monitoring technologies over the past 50 years (Engel-Cox et al., 2013), unreliable data continue to pose serious concerns for quality analysis. Without reliable data and information, environmental protection agencies will not have an appropriate gauge of local circumstances, cannot undertake appropriate pollution (and emissions control) benchmarking, and thus will not be positioned to make informed policy decisions.
Data reliability issues – problems with false reporting – are particularly acute Russia and China. In June 2017, seven staffers of the Environmental Protection Department in China’s Shaanxi Province were accused of tampering with air quality monitors and changing readings to show decreased levels of PM2.5 and sentenced to over one year of prison (Connor, 2016; Shepherd, 2017). Major coal-dependent areas within China have admitted to falsifying data about their GDP, making trends about emissions intensity difficult to interpret. For example, Inner Mongolia inflated data for, “added value of industrial enterprises of a certain scale,” by 40% in 2016. Liaoning province revealed they faked data for five years, while Binhai included the commercial activities of companies only registered in the area for tax purposes in their GDP (Zhang, Pong, & Hornby, 2018). According to China’s latest environmental protection law, which entered into force in 2015, anyone found guilty of altering air quality data will be held as accountable for the damages of the pollution they permit to occur (Ministry of Environmental Protection, 2016; Reuters, 2016). China’s leadership on improving data accuracy as a foundation for improved air quality shows that progress can be made – and that public health gains can be quickly achieved by addressing pollution problems more forthrightly.
HAP use is a significant environmental risk factor. Incomplete combustion of solid fuels produces a substantial amount of particulate emissions worldwide (World Health Organization, 2006a, 2017a). Humans exposed to HAP at high concentrations often suffer significant, negative health effects (World Health Organization, 2006b, pp. 62–66). Because exposure to HAP is often higher than other forms of air pollution, reducing the use of household solid fuels may improve human health to a greater degree than other air pollution abatement efforts (Goldemberg et al., 2000). The household solid fuel indicator is measured in DALYs lost due to HAP per 100,000 persons.
The DALY rate from household solid fuel use comes from IHME’s Global Burden of Disease (GBD) study available at http://www.healthdata.org/gbd. Data are gathered through nationally reported household surveys that estimate the proportion of household solid fuel as the predominate fuel source in a country (Bonjour et al., 2013).
Despite the strong relationship between the use of household solid fuels and health outcomes, our metric has multiple limitations. The limited knowledge regarding the size of the population exposed to various sources of air pollution, as well as imperfect data for the burden of air pollution-related diseases, are two of the primary reasons why multiple assumptions are necessary. Furthermore, standardization and double-counting issues, which emerge from the differing quality of data across countries, further complicate efforts to construct a global inventory or comparison of air pollution data. Finally, the type of predominant air pollution varies by regions. In urban areas, outdoor air pollution is the primary concern. Conversely, in rural regions, HAP is the more predominant issue.
Box 5–2. India’s LPG connection scheme.
Over the last decade, approximately 800 million people have gained access to improved cookstoves, largely due to efforts in China and Brazil (Pachauri, Brew-Hammond, et al., 2012, p. 1419). These countries have been successful in transitioning to cleaner fuels because of strong government commitments to both the distribution and the improved affordability of stoves. The Chinese government, for example, has committed to providing all citizens with a basic standard for living, establishing local energy offices that provide training and installation support (Pachauri, Brew-Hammond, et al., 2012, p. 1437). Similarly, the Brazilian government has implemented policies that use targeted financial assistance to support access to liquefied petroleum gas (LPG) for low-income families (Lucon, Coelho, & Goldemberg, 2004).
Building on the efforts of China and Brazil’s historic gains in access, the Government of India has made a concerted effort to expand access to modern cooking fuels. India has the world’s largest population without access to modern energy services. Over 800 million people rely on traditional biomass for cooking (Bhojvaid et al., 2014). The Pradhan Mantra Uijwala Yojana (PMUY) is a welfare scheme launched by the Government of India to provide 50 million LPG connections and stoves to below-poverty line (BPL) women by the year 2019 (Jacob, 2017). The scheme, which entered the implementation stage in March 2016, operates through a direct benefits transfer. Eligible women can apply for a LPG connection by submitting an application along with proof of identity and a bank account. When an application is approved, the applicant receives a direct transfer of funds straight into her bank account, which she may then use to purchase her LPG connection (Government of India, 2016).
India is nearly half way to its 2019 target of 50 million stoves. As of May 2017, over 20 million families had signed up for LPG connections (Mishra, 2017). A survey undertaken in 12 districts in Uttar Pradesh after the program was implemented showed that PMUY has helped save women an average of one to two hours per day that was previously used to collect fuels for cooking and heating the household (Mishra, 2017). In implementing this policy, the Government of India has made a concerted attempt to address the needs of BPL households and women. If its goals are realized, PMUY has the potential to positively impact the lives of millions of BPL households by providing them with access to safe, affordable cooking technologies and fuels.
Both chronic and acute PM exposure are associated with significant adverse health effects (Kloog, Ridgway, Koutrakis, Coull, & Schwartz, 2013; World Health Organization, 2016a). While chronic exposure is the biggest danger to mortality, exposure to high concentrations of PM2.5 in short intervals can also aggravate both lung and heart conditions. These acute pollution events degrade human quality of life, increase hospital admissions, and cause premature death (World Health Organization, 2006a).
We use two indicators for PM2.5: exposure and exceedance. Exposure to ambient air pollution is represented by population-weighted annual average concentrations, which take into account the proportions of the population living with different levels of pollution.
PM2.5 exposure. This indicator is a measure of the average amount of fine particulate matter in micrograms per cubic meter. PM2.5 average exposure serves as a measure of the amount a person would be exposed to on a typical day in their country (Engel-Cox et al., 2013).
PM2.5 exceedance. This indicator is a measure of the weighted average of the percentage of the population exposed to elevated levels of PM2.5, by measuring instances when PM2.5 concentrations exceeded 10, 15, 25, and 35 μg/m3, which are the WHO’s air quality guidelines and interim targets (World Health Organization, 2016a).
Table 5-2. WHO PM2.5 Guidelines.
WHO Air Quality Guidelines provide a basis for global limits on air pollutants that pose significant human health risks. Guidelines are available for particulate matter, ozone, nitrogen dioxide, and sulfur dioxide to help countries measure and monitor their progress over time. However, almost 90% of the world’s population currently live in areas that exceed WHO thresholds for air pollution (World Bank & Institute for Health Metrics and Evaluation, 2016).
Data for population-weighted exposure estimates of PM2.5 come from a synthesis of multiple datasets. The satellite-derived measurements were gathered by van Donkelaar et al. (van Donkelaar et al., 2016)and based on data obtained from the Tropospheric Emissions Monitoring Internet Service (TEMIS). Population data were obtained by the Earth Observing System Data and Information System, Gridded Population of the World, v4 at the NASA Socioeconomic Data and Applications Center (SEDAC) hosted by the Center for International Earth Science Information Network (CIESIN) at Columbia University’s Earth Institute (Center for International Earth Science Information Network - CIESN - Columbia University, 2016).
Data for these indicators are generated using satellite observations combined with ground-based measurements to correct for any potential bias. Using this method allows the PM2.5 indicators to be generated across countries and on a global scale (de Sherbinin, 2015). Population-weighting allows regions with higher air pollution and more individuals nearby to signify higher overall averages (de Sherbinin, 2015). Values are available from 2008–2015 for 228 countries and territories.
Ideally, monitoring data for PM2.5 would be collected throughout the year over numerous years. Most countries globally, however, do not operate robust systems of air quality monitoring stations, so other methods for measuring air quality are needed to provide a reliable view of pollution levels worldwide (Engel-Cox et al., 2013; Institute for Health Metrics and Evaluation & Health Effects Institute, 2017, p. 5). For these areas, satellite measurements are used to estimate exposures to PM2.5 (World Health Organization, 2016a).
Many factors make it hard to compare measurements of PM2.5 across multiple countries, including the locations of measurement stations, differences in measurement methods, and differences in the duration of air pollution measurement records. For example, if measurements were only taken for a portion of the year, the reported data may differ from the actual annual averages (van Donkelaar et al., 2016). Further, measurement issues could arise if monitors are disproportionately affected by one source of pollution (Brauer et al., 2016).
Box 5–3. Air pollution leads to as many premature deaths in India as in China.
Premature deaths from air pollution in China have begun to stabilize, while India has seen a steady rise in air pollution levels and PM2.5-related deaths – see Figure 5–1. Both trends are significant. China and India combined made up approximately 52% of the 4.2 million deaths globally in 2015 (Institute for Health Metrics and Evaluation & Health Effects Institute, 2017, p. 8).
Figure 5–1. Annual deaths attributable to PM2.5.
China has taken several steps over the past ten years to reduce the number of deaths related to air pollution. Among other policy initiatives, the country restricts traffic flow and construction activities during time periods with heavy pollution. One of the most heavily polluted cities in the world, Beijing, broadcasted a ‘red alert’ pollution warning level for the first time in 2015, which forced the government to implement policies to limit the human exposure to dangerous pollution levels (British Broadcasting Corporation News, 2016). Due in part to government regulation, China has made substantial progress implementing effective policies that target air pollution.
Meanwhile, India has made little progress reducing air pollution levels (Rowlatt, 2016). In November 2017, the government in Delhi declared a state of emergency. Particulate matter levels reached recorded highs of 969 ug/m3 (for real-time updates, the US embassy’s air quality index can be accessed at http://aqicn.org/city/delhi/r.k.-puram/). The WHO considers anything over 25 ug/m3 to be unsafe (World Health Organization, 2006a). To put this into perspective, news sites were reporting that breathing the air in Delhi was “equivalent to smoking 44 cigarettes a day” (Wu, 2017). Arvind Kejriwal, Delhi's chief minister, even described the city as “a gas chamber” (Kejriwal, 2017). Blaming farmers who clear fields by burning crops, Kejriwal went on to say, “[e]very year this happens during this part of the year. We have to find a [solution] to crop burning in adjoining states” (Kejriwal, 2017).
Like Beijing, the government in Delhi has started to implement policies targeting their air pollution levels. These strategies include shutting down schools and suspending construction projects (Institute for Health Metrics and Evaluation & Health Effects Institute, 2017; World Bank and Institute for Health Metrics and Evaluation, 2016). If appropriate measures are enacted, India can learn from the success of the actions taken in China to decrease the levels of air pollution.
Air quality remains a prominent risk to both public health and the environment. Countries can improve the overall health of their population by reducing exposure to air pollutants. Pollution is particularly severe in places such as India and China, where greater levels of economic development contribute to higher pollution levels (World Bank and Institute for Health Metrics and Evaluation, 2016).
Table 5–3. Global trends in Air Quality.
Note: Metrics are in units of age-standardized Disability Adjusted-Life Years lost due to each risk. Current refers to the most recently available data, and Baseline refers to historic data approximately ten years previous to Current.
At the global scale, DALYs lost due to air pollution have declined over the last decade. Global trends, however, hide regional inequalities. Air pollution in many low-income and developing countries, however, is higher due to a greater use of household solid fuels for cooking and heating homes (Desai, Mehta, & Smith, 2004). Conversely, most high-income and developed countries see small effects from household solid fuels. Countries with continued high scores, such as Australia and Barbados, show long-term commitments to reducing the levels of air pollution. Large populations, however, still experience severe impacts stemming from poor air quality, notably in India, China, and Pakistan – see Table 5–5.
Table 5–4. Leaders in Air Quality.
Changes in global air quality over the course of a decade reveal important regional trends. Our results find that most European, North American, and Latin American countries have comparably higher scores, that we may associate with lower pollution levels and lower DALY rates. Many Central and South American countries, for example, have implemented successful fuel switching campaigns aimed at reducing household air pollution. Smart subsidies and other forms of financial assistance are key components of policies on LPG access, including Brazil and Peru (Lucon et al., 2004).
Table 5–5. Laggards in Air Quality.
Nearly all countries at the lower end of the global ranking are African or Asian nations. The most significant decrease in air quality and global air quality ranking over the past ten years has occurred in Singapore. Singapore’s score dropped by almost 30 points, causing them to fall 111 spots in our ranking. While Singapore received high scores for household solid fuels both in 2016 and in 2005, their substantially lower scores for PM2.5 exposure and exceedance account for significantly decreased air quality scores. In 2015, fires swept through Indonesia causing the most significant reason for Singapore’s drop in ranking (Weisse & Goldman, 2017). The Ministry of the Environment and Water Resources has reported that, over the past two years, Singapore has not met its PM2.5 target, PM10 target, and ozone target, and is not are not on track to meet WHO’s air quality targets by 2020 (Othman, 2017). In speaking about Singapore’s current trajectory, Masagos Zulkifli, Singapore’s Minister of Environment and Water Resources, emphasized that Singapore is committed to findings ways to address air pollution. “Unfortunately if you look at our trajectory, we are not meeting our targets and therefore we need to do more to ensure that our air pollution issue is being addressed” (Othman, 2017).
While neither leaders, nor laggards, countries in the Middle East, such as Bahrain, Iraq, Kuwait, Oman, Saudia Arabia, and United Arab Emirates, experienced the most substantial increases in their scores over the past decade due to decreasing levels of air pollution-related DALYs. Bahrain and Iraq improved their air quality and thus increased their scores most significantly, jumping up in the rankings by 47 and 46 places, respectively. Our World in Data reports that one reason DALY rates have substantially improved are the effects of increased wealth and quality of life in the region (Ritchie & Roser, 2017).
Our findings illustrate the impacts of air pollution on human health globally. Increasing our knowledge on the links between air pollution and disease is fundamental to reduce the public health burden worldwide, and we can begin to lessen the effects of air pollution (Institute for Health Metrics and Evaluation & Health Effects Institute, 2017).
Desai, M. A., Mehta, S., & Smith, K. R. (2004). Indoor smoke from solid fuels: assessing the environmental burden of disease at national and local levels. Geneva [Switzerland: Protection of the Human Environment, World Health Organization.
Goldemberg, J., United Nations Development Programme, United Nations, & World Energy Council (Eds.). (2000). World energy assessment: energy and the challenge of sustainability. New York, NY: United Nations Development Programme.
World Health Organization (Ed.). (2006a). Air quality guidelines: global update 2005: particulate matter, ozone, nitrogen dioxide, and sulfur dioxide. Copenhagen, Denmark: World Health Organization.
World Health Organization (Ed.). (2006b). Fuel for life: household energy and health. Geneva: World Health Organization. | 2019-04-25T03:05:31Z | https://epi.envirocenter.yale.edu/2018-epi-report/air-quality |
Manchester United manager Sir Alex Ferguson is the only manager who remained in his job throughout the first twenty-one seasons of the Premier League.
The Premier League is a professional football league in England which is at the top of the English football league system. The league was formed in 1992 as a replacement for the original First Division.
At the time he retired in May 2013, Manchester United's chief Sir Alex Ferguson was the last remaining manager who had been in post continuously since the formation of the Premier League in 1992, a total of 21 seasons. Arsène Wenger has been in charge of Arsenal in the Premier League since 1996, while David Moyes was Everton's manager for eleven seasons from 2002 to 2013, before taking over Manchester United after Ferguson's retirement.
Harry Redknapp, Mark Hughes and Sam Allardyce have all managed five different clubs in the Premier League. Redknapp has managed West Ham United, Portsmouth, Southampton, Tottenham Hotspur and Queens Park Rangers. Hughes has managed Blackburn Rovers, Manchester City, Fulham, Queens Park Rangers and Stoke City. Allardyce has managed Bolton Wanderers, Newcastle United, Blackburn Rovers, West Ham United and Sunderland.
Five managers have managed four different clubs in the Premier League. Ron Atkinson managed Aston Villa, Coventry City, Sheffield Wednesday and, briefly, Nottingham Forest. Roy Hodgson has managed Blackburn Rovers, Fulham, Liverpool and West Bromwich Albion. Graeme Souness managed Liverpool, Southampton, Blackburn Rovers and Newcastle United. Steve Bruce has managed Birmingham City, Wigan Athletic, Sunderland and Hull City. Alan Pardew has managed West Ham United, Charlton Athletic, Newcastle United and Crystal Palace.
Some of the people have served spells as caretaker (temporary) managers in the period between a managerial departure and appointment. Several caretaker managers such as Paul Hart at Portsmouth and David Pleat at Tottenham Hotspur have gone on to secure a permanent managerial post.
Sam Allardyce has been in charge of Sunderland, West Ham United, Blackburn Rovers, Newcastle United and Bolton Wanderers in the Premier League.
Roberto Mancini took over as manager of Manchester City in 2009, his first role in English football.
Aidy Boothroyd was only 34 years old when managing Watford in the 2006–07 Premier League season.
The list of managers includes everyone who has managed clubs while they were in the Premier League, whether in a permanent or temporary role. Caretaker managers are listed only when they managed the team for at least one match in that period.
The dates of appointment and departure may fall outside the club's period in the Premier League, for example, Ron Atkinson was appointed as Aston Villa manager in 1991 (before the Premier League was formed in 1992) and remained in his position through the Premier League's establishment. Similarly, Wolverhampton Wanderers' first spell in the Premier League lasted for only one season (2003–04) but manager Dave Jones remained in his position until November 2004. Chris Coleman is the youngest manager in Premier League history, while Bob Bradley is the first American to manage a Premier League club.
A Brian Horton and Steve Ashton took charge of Hull for two days, however no fixtures were played in this time.
List of managers who have taken charge of over 300 Premier League matches.
Statistics correct at end of the 2015–16 season.
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↑ "Terry Connor named Wolves manager until end of season". BBC Sport. British Broadcasting Corporation. 24 February 2012. Retrieved 29 April 2012. | 2019-04-21T18:51:32Z | https://ipfs.io/ipfs/QmXoypizjW3WknFiJnKLwHCnL72vedxjQkDDP1mXWo6uco/wiki/List_of_Premier_League_managers.html |
I like AirBnB. It enables people to travel affordably and safely. As promised in my last post, here are some things I’ve learned about finding safe, affordable and comfortable lodging using AirBnB. Some of these suggestions also apply to other web sites that enable you to book directly with the owner of a vacation rental.
Begin by going to AirBnB.com. If it’s your first visit you may want to sign in and create an account. Doing so will allow you to bookmark on the site the places that you want to consider. I’ve never received any promotional emails or text messages from AirBnB so I think there’s no reason to avoid giving them my email address and mobile phone number.
At the top of the search screen enter the location where you want to stay and the dates you’ll be there. Many places are available for as short a rental period as one night so any time span can be searched. A new screen will open asking if you want an entire house or apartment, a private room in someone’s home, or a shared room; you can also specify the number of bedrooms and bathrooms you require. You will see a slider that allows you to narrow the options offered by price. It will show you the average price in that area. By moving it left or right you decrease or increase the number of properties to be offered.
A selection of places that meet your criteria will be shown next, with a photo submitted by the host and a thumbnail photo of the host. When you click on a place that interests you a new page will open that shows photographs of that rental and provides more detailed information about the rental. There will also be a moveable map showing the area of the search; clicking on a red balloon opens the property indicated.
Read each property description carefully and give some thought to the issues that are important to you. For example, I really like to have a clothes washer in places I rent so I always look for that. AirBnB provides a great amount of information but it’s likely that you will have questions for the host. On the right side you’ll find a red rectangle to click that provides almost-instant communication with the host. Ask as many questions as you can think of before committing to the booking.
One factor that I consider very carefully is the cancellation policy chosen by the host. Click here to see the various policies. You’ll find the policy in the “About this listing” section pertaining to each property. I always choose a property that allows me to cancel without penalty.
When you’ve found a property you want to rent, click the red “Request to Book” button. That will send a text message and email to the host. Usually you’ll have your reply very quickly. It is required that the rent be paid immediately after the owner accepts your reservation. A small amount for AirBnB’s fee is also charged at that time.
Following your stay you will be asked to give feedback regarding the property and the host. It’s AirBnB’s policy to rank the properties with the best reviews first so that they are the first ones you’ll see in that location. There are many more stacked up behind those on the first screen.
Fire escapes are rarely found in Europe. Buildings are built of stone and often they are centuries old. One tiny apartment I rented had no windows. Most places have only one stairway. Keep this in mind when considering properties.
If you want to stay in the center of a major city you may wish to consider the safety of the neighborhood, particularly if you plan to be stay out late in the evenings. Google has photographed many streets around the world. When you search for a particular street address on maps.google.com a photograph of the building is likely to appear in the upper left corner of the screen. Clicking that opens a street view that you can use to “tour” the neighborhood. If you know what that neighborhood is called you might also try googling that name in news.google.com.
By clicking on the photo of the host you’ll see all the comments past visitors have written. It’s important to read carefully the reviews of the host before renting. Choose hosts who have lots of good reviews and longer track records. Women traveling alone may want to consider only females or couples as “hosts.” Keep in mind that the host will have keys to the property you occupy.
Calling on AirBnB when things aren’t as they should be.
Here’s a link to the Help Center on the AirBnB website. It is a much better source of information about your safety that what I’ve written here. I particularly like the company’s policy of always being available by phone if something isn’t the way you expect or want it to be. I’ve never had to call them.
This is not a complete list of factors to consider when choosing a rental. It’s just advice based on my own experience. A google search will turn up many articles and blog posts with more information and other points to consider.
I have no connection with AirBnB other than as a satisfied user of their service.
Resources: Michael and Debbie Campbell have become the “poster children” for boomers traveling the world via AirBnB. Read their blog, Senior Nomads, by clicking here.
If you’ve considered renting your empty apartment, cottage or guest room, you may enjoy reading this article which recently ran in the New York Times about the financial benefits for retirees who rent their empty rooms.
The picture at the top shows the scene just around the corner from my Airbnb rental in Quimper, France.
AirBnB is a very popular new way to rent a place to stay almost anywhere in the world. Using the Internet, travelers can choose to rent an entire house or apartment, a room in someone’s home, or just a sofa to crash on. I’ve used vacation rentals many times. For my recent trip around Europe I rented 11 places, six of them via AirBnB.
I liked booking with AirBnB more than with the other companies offering similar services. Why? One reason is that all the places I rented were managed by their owners. The difference between the welcome I received from AirBnB hosts and professional managers was very noticeable. Most of the owners met me when I arrived. The three who couldn’t arranged for their mothers or a friend to greet me and make sure the place was ready for my arrival.
The website puts the owner and the tenant in touch with one another via text message or email very quickly and maintains that link indefinitely. This is really helpful when you have questions or need directions for finding the place you’ve rented. Although I never used it, I was glad to know that an AirBnB employee was just a phone call away if I had a problem.
One drawback of using AirBnB is that the company wants immediate payment of the full rent at the time of booking. That is held until 24 hours after your arrival as protection for you in case the rental is not available or you arrive to find that the rental is unacceptable. This was never the case with any of my AirBnB rentals.
Here’s a brief description of each of the places I stayed in that were arranged on AirBnB. Click the blue city name to see the apartment.
My AirBnB in Antwerp is located in the recently restored old port area of the city meaning I could easily walk to the center of the city. The apartment is owned by Astrid, a young mother who no longer lives in the city. Her friend Gloria manages the apartment and was very helpful to me. The apartment is large. It includes a commodious living room with kitchen on one end; and a bedroom that’s bigger than mine at home. Astrid has made a number of improvements such as installing a washing machine and a dishwasher. The apartment is located on the third floor (American) in a hundred-year-old building. Although I didn’t meet Astrid we communicated via email and phone several times. She was always pleasant and helpful.
My AirBnB in Collioure is a four-story, single family home with a very small footprint. Each floor contains one entire room and nothing more except the staircase. The building is old but has been totally rehabbed and has a new kitchen (pictured above) and bathroom. It’s just steps from the Mediterranean sea. It’s owned by Elise who lives in another part of France. Her mother met me at the train station and welcomed me to the rental with the next morning’s breakfast and lots of information. I was only here for three days in February but the weather was mild and the location allowed me to totally explore the small town. Communication with Elise was easy. Her English is excellent and so is her vacation rental.
My AirBnB in Nice is one of the very best of the entire journey. The owner, Beatrice, is a very charming French lady who speaks English well. She welcomed me warmly and spent an hour or more telling me about the apartment and the neighborhood. Her place is beautifully decorated and very comfortable. It’s in a high-rise apartment building in a middle-class neighborhood not far from the center of Nice. When I left Beatrice came to see me off. I felt like I’d made a new friend.
My AirBnB in Quimper is a nicely decorated, one-bedroom apartment located in the center of the city on a pedestrian-only street that was very quiet. As you’ll see if you click the link this apartment is stylishly furnished. The owner, Marion, is a young woman who has recently married and moved to another city; this was her apartment prior to her marriage. Marion refused to meet me upon arrival until I insisted that she do so – then she arranged for her very pleasant mother to clean the apartment and to meet me. This was the only time I had an AirBnB host who was anything other than professional.
My AirBnB rental in Totnes is a “mother-in-law” apartment attached to the home Denise has occupied for a number of years. The experience of sharing Denise’s home made my stay there very nice. I had been reluctant to rent a room in someone’s home until I decided to go to England where the cost of anything else is very high. Staying in my hosts’ home turned out to be one of the best discoveries of the trip! Denise and I went out to dinner on the evening of my arrival and then on to see a movie with her friends. The space I occupied included a fully equipped kitchen, but I often settled myself at Denise’s kitchen table to use my computer. Denise is a charming and helpful hostess. I enjoyed my days in her home.
My AirBnB rental in Hastings was a room in a six-bedroom home where Francesca has lived for many years and raised her family. There were women coming and going in this traditional rooming house almost any time at all and after nearly four months alone I really enjoyed their company. Francesca provided breakfast and I could use the kitchen to prepare my own dinner. A real bonus here was the sometime-presence of Francesca’s two-year-old grandson. He’s a darling and it was nice for me to spend a little time with a young child. Francesca and I have become friends on Facebook, and I look forward to seeing her again one day.
This has become a very long post so I’ll stop here but next time I’ll share with you some of what I learned about traveling the AirBnB way.
Warning: you may be at your computer for quite a while if you click on all the links here! I’ve used the excellent site called Planetware to show you what I’ll be seeing.
Soon I’ll be heading to Michigan for Christmas with my family. My son’s two youngest children are seven years old and almost five. This will be a perfect time for a grandmother to share the holiday with them. Then I’ll fly away to Europe. Here, in no particular order, are the places I’ll be visiting during my planned six-month journey.
At the end of this month I’m flying to Paris, my favorite city on earth. I’ve seen all the famous sites many times so this trip is going to be about discovering the neighborhoods where ordinary people live. I’m hoping for sunny weather though that’s unlikely in January. Some people have asked why I’m going to Europe in winter instead of summer. There are many reasons but two of the best are that the cost is lower and the hordes of tourists aren’t there. I look forward to experiencing Europe as Europeans do.
I’m going to Malta for its history (and because it’s a warm island in winter.) Home to the ancient “Knights of St. John” (and perhaps better known for the Maltese Falcon) Malta is a small island nation located between southern Europe and northern Africa.
I’m returning to Ireland in the springtime where I’ll enjoy its gardens once again. The weather in Ireland is nearly always mild so the gardens are fine all year. A friend will be joining me here and we’ll travel to Northern Ireland too.
I’ll be in Nice France for Mardi Gras (called Carnival there). Nice was part of Italy until 1860 and its old quarter is a pleasant combination of its French and Italian history. While there I’ll be day tripping to famous places on the French Riviera and perhaps for a day to Monaco.
I’m going to Sicily for Easter. This has been on my list for several years and I’m excited to be visiting chaotic Palermo, the Greek temples in the Valley of Temples near Agrigento, and a number of other places including Modica where I’ll be during Holy Week.
I’m going to Antwerp, Belgium for the art and will use my rental apartment there as a base for returning to Amsterdam, den Haag and Bruges, and for discovering new places such as Ghent and Rotterdam. The smaller cities in Belgium seem to be very appealing too.
I’ll make my first trip to Portugal with a stay in Lisbon’s Alfama district (an old town section overlooking the port). In addition to exploring the city I plan to take day trips by rail to other interesting old cities.
I’m taking a food tour of Morocco that will include (among other places) Marrakech, Casablanca, Fez and Essaouira. This is going to be fascinating! Read about it here.
I’ll return to Madrid for the Prado (one of the world’s greatest art museums) and to Barcelona to see the changes in the Sagrada Familia since we visited it 15 years ago. The nave is complete now and building the central tower has begun.
I plan to be in Croatia in early summer to explore the ancient island villages, traveling from one to the next via ferry.
I plan to return to England for the charm of the countryside and the excitement of London.
Follow me by reading this blog. I plan to write about my experiences here frequently and to share photos of the places I’m visiting.
I’ll send you a short note each time I post a new page. Couldn’t be easier. Your email address is safe with me – never shared and never shown online. Thanks!
As I’ve been planning my 2016 journey to Europe recently I’ve been telling my friends about my trip. While my best friends have been encouraging, many women have expressed fear for my safety and amazement that I would do such a thing at my age. Then, last Friday night, as the bad news from Paris began to be known, my son called to say “You’re not going there now, right?” At 6:00 Saturday morning I emailed the agent who arranged my Paris apartment to confirm my arrival plans.
It is not at all uncommon for women – even women with Medicare cards – to travel alone throughout the world. Yesterday I found a gift! On her blog called AdventurousKate.com, a young woman named Kate McCulley posted a listing of 16 women travel bloggers who are age 40+. These women write about their adventures as they explore the world. They are an inspiration for any woman who really wants to leave home for a while to expand her horizons.
You can see this list at http://www.adventurouskate.com/solo-female-travelers-over-40/. I hope you’ll take a few minutes to read this post which contains pictures, bio’s and links. It’s inspiring!
What do you think about these women travlelers? What’s been your experience as a solo traveler? Please share by posting a comment below. Thanks!
I found the photo at the top of this page when a friend posted it on Facebook. I know nothing about its source.
How Do the Big Vacation Rental Sites Differ?
Recently I’ve arranged several vacation rentals for my upcoming trip to Europe. I’ve used AirBnB, HomeAway and Trip Advisor. I’ve found that they are significantly different in a number of ways.
HomeAway (and its subsidiaries including V.R.B.O) is the older of these firms. It only rents entire apartments or houses, unlike AirBnB which offers shared space. People who book on that site are more mature and are often looking for upscale properties. Its inventory consists of about one million listings. AirBnB is the newer firm but it has grown exponentially and currently has about 1.2 million listings. AirBnB offers an entire place, a private room in someone’s home, or a shared room. Its target audience tends to be younger. TripAdvisor (and its subsidiary FlipKey) and Booking.com have begun offering vacation rental properties as an adjunct to their hotel booking businesses. There are a number of other similar companies.
Costs & Payments: Generally, AirBnB rentals are less expensive than those on HomeAway. This may be a result of the great increase in potential hosts that have been attracted by AirBnB’s success. AirBnB requires payment in full at the time of booking which can be unattractive for someone like me who is arranging several places over a period of months. I don’t want to pay my July rent in November. In addition, all the costs associated with the booking are paid by the tenant and take the form of a 6 to 12% fee added to the rental cost. Cleaning fees, security deposits etc. may also be added and charged in advance. AirBnB collects and retains the rent and fees until 24 hours after the start of the rental period providing some degree of protection to its travelers.
HomeAway/VRBO and TripAdvisor/FlipKey do not require full payment at the time of booking. They are essentially advertising companies acting as intermediaries, bringing together property owners and renters. Landlords working with them often require only an initial deposit with the balance of the rent due at a later date or upon arrival at the property. HomeAway offers its advertisers an option of paying an annual fee or 10% of the rental amount and that cost is included in the cost of rent. With both HomeAway and TripAdvisor rents are paid directly to the landlord.
Cancellation: AirBnB offers its property listers a choice of cancellation options which are in turn provided to bookers. They are Flexible (full refund up to one day prior to arrival, except fees); Moderate (full refund 5 days prior to arrival, except fees); and Strict (50% refund up until 1 week prior to arrival, except fees). The renter pays for none of these. It’s important to note the type of cancellation offered before choosing a rental.
On Arrival to Your Rental: Carefree Rental Guarantee (Provided by HomeAway) – Guarantees your payment if the vacation rental is not as advertised or you are unable to gain access.
During Your Stay: Damage Protection (Underwritten by Generali U.S. Branch) – Protects against expenses incurred if you or your traveling companions accidentally damage the vacation rental.
TripAdvisor/FlipKey has detailed information about its “peace of mind protection plan” online – click here to read about it.
Contracts: all these companies appear to leave the issue of rental contracts to the discretion of the property owner. AirBnB does offer to provide standard contract creation assistance to its owner-clients for a price.
Assistance: AirBnB has a 24-hour a day customer assistance line at 1-415-800-5959.
The photo at the top of this post is of the cottage we enjoyed in Catania Italy some years ago.
P.S. Here’s some bad news: earlier this month (November 2015) Expedia announced it’s acquiring HomeAway.
Our first trip to Europe was a low-budget, 11-month-long tour that covered the length and breadth of that continent. Without knowing it, we had become “slow travelers” by stretching our budget and keeping ourselves as relaxed as possible. We had never heard the term “slow travel” when we began our journey but we had discovered inexpensive short-term rentals and planned much of our trip around them.
Our journey included cruise ships, visiting all the major cities of Europe, a seven-cities-in-ten-days rail tour to places formerly behind the Iron Curtain, and putting more than 20,000 miles on rental cars but our pace was usually slow. Most of the time we stayed in “self-catering” cottages or apartments. We usually cooked our own breakfasts and dinners and had peanut butter and jelly picnics anytime we could find peanut butter. And truly, when we added all our expenses together after the trip, we discovered we had spent no more than we normally spend just staying home.
“Slow travel” means different things to different people. The term was coined not very long ago in conjunction with the “slow food movement” that began in Italy but the practice of traveling slowly has been around for a very long time. It’s today’s jet-age with its “if it’s Tuesday in must be Belgium” big-bus tours and cruise ships that have speeded up travel. Granted, these recent changes make travel less expensive and enable people to fit Europe into a two-week vacation. That travel style suits many people very well.
Slow travelers return to the pace of the horse and carriage days, taking time to discover the local culture, meet a few native people, sample the local cuisine. They make time for seeing the great art and ancient churches and temples of their destinations. They come home a bit wiser perhaps, less fatigued and with some money left in the bank.
I’m making plans now to return to Europe at the end of this year for an extended stay. I’ll begin my journey in Paris because it’s my favorite city. I’ll explore Antwerp and Lisbon for the first time. I plan to stay longest in the Mediterranean region in rented apartments, driving cheap rental cars along country roads and taking many pictures. I’ll share my itinerary and a little about the places I’m going to visit in the next few weeks. Then, as I travel, my plan is to share my experiences here. I hope you’ll come along.
An apology for the poor quality of the photograph shown on this entry. It was taken with my first digital camera about 14 years ago but I wanted you to see the house in Tuscany where we stayed in an apartment for three weeks. The view is from just outside the grocery market in the village of Montaione. Our place, called Piè di Costa, is the building just to the left of the tree trunk. It was wonderful!
While searching for short-term rentals mid-way through our first journey I discovered the website at SlowTrav.com and its forum at SlowTalk.com. They are still my favorite sites for reading the opinions of other slow travelers.
I read a lot of blogs: about travel, politics, home decorating how-to’s, photography, recipes and other topics. I read them via a blog-reader called Bloglovin.’ I can easily follow any blog on the ‘net by adding them to my Bloglovin’ list and scanning daily.
As you can probably guess, my favorite blogs are about travel. I’ve listed my “Top 10” in the margin on the lower right of this screen. Pay no attention to the numbers – I just haven’t learned how to make them disappear yet. When I’m not on the road, many of these writers are. They take me to places I haven’t yet explored and to places I’ve loved. Here’s a short description of my favorites.
Adventures in Wonderland Allison and Don sold everything when they retired so they could truly experience the world. Several years on they are still traveling, more often to fascinating natural places than to cities. The photography and writing on their blog is extraordinary.
EuroCheapo.com EuroCheapo sends me daily short suggestions for the best affordable hotels and restaurants in large European cities as well as tips for traveling cheaply and securely.
French Word-a-Day The blog I’ve followed longest, Kristin’s “diary” of life on a Provencal vineyard with her wine-maker husband and two young-adult children is enhanced by her excellent photography.
Hole in the Donut Barbara gave up the rat race several years ago to travel as far and as often as possible. She bravely goes to places far off the beaten path. (Sleeping on the Great Wall of China and climbing to the top of the world in Ecuador are two of her experiences I recall several years after reading about them.) She uploads excellent photos daily and frequently writes honest descriptions of the places she visits.
Living the Life in Saint Aignan Ken and his partner purchased a home in the Loire Valley about a decade ago. He blogs daily about his life there. Several times a year he describes and shares photos from his travels. Recently he posted a series of photographs of Paris taken from the top of the Montparnasse Tower that will interest any lover of the City of Light.
Mike’s Travel Guide I like Mike! That is, I like Mike’s posts about the places he’s visited. He takes the time to show in detail over a number of days the places he has enjoyed in the cities of Europe, and sometimes provides useful information about local sites.
Senior Nomads in Europe Michael and Debbie have begun the third year of non-stop travel around Europe. They have visited 45 countries, 125 cities and stayed in 80 different AirBnB rentals. I found them when they were the subject of a New York Times article several months ago. They write less frequently than others listed here but they always have an interesting story to tell.
Chasing the Donkey A young Australian expat writes this excellent blog about Croatia. Calling herself “SJ Begonja,” she writes a travelogue, often detailing lesser known places in Croatia and providing suggestions for enjoying them. She’s really writing a terrific guidebook, one page at a time. I can’t wait for a clever publisher to pull it into one package for publication.
Nomadic Matt’s Travel Site Matt Kepnes has been traveling the world since 2006. He’s the author of the best-selling book How to Travel the World on $50 a Day. His book has many innovative suggestions. Matt’s website supplements his book, helping others travel more while spending less. It also includes an on-blog book club.
Intelligent Travel National Geographic’s Intelligent Travel blog is produced with the professionalism you would expect from that fine organization. It covers the world in brief but informative essays, illustrated by fine photography. Occasionally, in a series entitled I Heart My City, they play 20 Questions with a resident of one of the world’s great cities.
Just a couple of other bits about blogs. You probably know that a blog is a site on the internet that anyone can create to express opinions, show photos, or share their experiences. They are often free. See Blogger.com or WordPress.com to learn about starting a blog of your own.
What are your favorite blogs? Please use the “Comments” area below to share your suggestions or to comment about some of the blogs I’ve listed.
P.S. I hope you’ll follow my blog!
The concept of “bed and breakfast” began as a way for middle-class homeowners in the UK to earn extra money by hosting travelers in their homes. Often called “guest houses,” these lodgings have evolved into a world-wide category of accommodation featuring small properties and very personalized service. Today the range of B&Bs runs from glorious digs in magnificent castles to a bedroom in someone’s home (think AirBnB). Prices vary accordingly.
Staying in a B&B often provides an opportunity to experience the home of a local family and to become acquainted with the owners. While you won’t find room service or a bar in the lobby, you will have an opportunity to learn where to find the best restaurant in town or a special but little-known local site that you might otherwise miss.
Here’s a brief overview of B&Bs in some countries in Europe. Be sure to follow the link to the SlowTrav.com article which provides more detailed information.
The UK (England, Wales, Scotland and Northern Ireland) is filled with charming hosts and charming homes. The easiest way to choose one is by googling “_____ B&B” (fill in the blank with the name of the area of interest). The local tourist office website will likely have listings as well.
France: The French term for a B&B is “chambres d’hotes” which translates to “hosted rooms.” I’ve had wonderful experiences in French B&Bs. Dinner may be offered if the owner is an excellent cook. One site to use for searching out places to stay in France is this government-run site, http://www.chambresdhotes.org/english/.
Italy: Homestays on farms (called agriturismo) were a mid-20th century successful government project in Italy. You can find rural places on the website http://www.agriturismo.it/en/. In Italian cities and towns a room in someone’s home is often advertised by small sign near the front door with the word “camera” which means “room” and of course a great many places are advertised online.
Croatia: Recently a young man from Croatia told me the best way to travel in Croatia is to rent a room from ladies waiting at the train station or ferry dock. I may give that a try soon. I’ve had luck finding some tourist office websites in towns I plan to visit offer links to guest houses but not every town provides this service. Nevertheless, a web search turns up many options for B&Bs in Croatia.
Turkey: On my trip to Istanbul last year I stayed in one of the many small hotels located in 3- or 4-story houses in the oldest part of town. (My room had a spectacular view of the Blue Mosque.) More like a B&B than a hotel, these places vary in cost and comfort but the location is the best. Breakfast is an interesting mix of East meets West: cucumbers and olives with your cereal and OJ!
They’re everywhere! Lonely Planet’s website includes guest houses as a separate category in their hotel search engine and lists many of them in lesser-known corners of the world.
Trip Advisor and Booking.com provide B&B referrals.
I’m beginning this blog because I want to tell travelers about some of the little-known places I’ve found and enjoyed. And it’s my plan to use it as I plan my own future adventures. Most importantly, I hope by offering suggestions about how to travel to special places on a reasonable budget I’ll encourage some would-be travelers to get up and go!
In the preceding post I mentioned the 11-month tour of Europe that my husband and I enjoyed once. We traveled from Ireland to Russia, from Norway to Italy. We traveled by cruise ship, train, ferry and we put 22,000 miles on a pair of rental cars. While we saw the major cities of Europe most of the time we stayed in rental cottages in small villages where we could (very briefly) feel that we were part of those ancient communities. We made new friends, encountered many helpful, welcoming people and enjoyed one another’s company more than we ever had. That trip changed my life in countless ways.
It is the very act of becoming – however briefly – a part of the fabric of the places you visit that inspires a traveler to keep going. I hope that by telling you about some of the places I’ve loved I will inspire you to find special, little-known places to explore. And I really hope you and others will use the comments section of this blog to share your memories and plans with us. I would love for this blog to become a place for asking questions while you plan your journeys and for answering questions about places you’ve enjoyed. | 2019-04-22T10:01:06Z | https://in-my-suitcase.com/category/tips-for-travelers/page/2/ |
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The number of cardiac arrests has been on the increase over the years, but there are methods that have been devised to solve this problem. There are different heartbeats that individuals have, and this is normally regulated by an internal electrical system. There are some problems which lead to having abnormal heart rhythms. Electrocution, coronary heart disease, choking and drowning are some of the possible causes of a cardiac arrest. When there is an irregular heart rhythm, this can cause the heart to stop pumping blood. There is need to have immediate attention to a person who is experiencing cardiac arrest and without that, then death is inevitable. When you have a loved one having a cardiac arrest, the best option for you would be to find an automated external defibrillator.
The automated external defibrillator has been designed to be effective and also user-friendly. One of these devices is known as lifepak 15, and this website provides more info. about it. It is important that you understand the criteria that you can use during picking of the right manufacturer of defibrillators. If you want to buy a defibrillator, then you can always consider Physio-Control LIFEPAK 15, and this website provides more about it. It will be easy for you to use some of the latest devices of external defibrillators because they have a screen together with all the instructions that you will need to follow. You should make sure that you are using an automated external defibrillator in the correct manner and you can hence resuscitate an individual who is experiencing a cardiac arrest and also perform rescue breathing.
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If you want to improve the attractiveness of your kitchen, and you should consider installing kitchen cabinets. For you to enjoy maximum benefits with your kitchen cabinets, it is advisable that you purchase them from a trusted company. In this article, you will learn more about some of the advantages of purchasing your kitchen cabinets from a trusted company.
One of the advantages of purchasing your kitchen cabinets from a trusted company is that youre going to be provided with products that are of high quality. A reputable company uses high-quality materials when manufacturing the kitchen cabinets. In addition, the process of manufacturing the kitchen cabinets is supervised by well-trained professionals so that to ensure the kitchen cabinets meets the required quality thresholds. It is important to ensure that you buy high-quality kitchen cabinets because this is going to enable you get value for your money and also boost your reputation. You should ensure that you buy high-quality kitchen cabinets because they are long-lasting and will therefore not provide any need for you to seek repair services. Ensure that you visit the sites to purchase high-quality kitchen cabinets.
The other top advantage of buying your kitchen cabinets from a trusted company is that youre going to enjoy a wide selection of products. A reputable company is going to provide you with kitchen cabinets that are of different colors, designs and sizes so that you get to choose the ones that are going to best suit your requirements. Youll also find that a reputable company is going to offer you tailor-made kitchen cabinets so that to blend well with your existing structures in the kitchen.
When you purchase your kitchen cabinets from a trusted company, youre are going to be guaranteed of the best prices in the market. You will realize that different companies are going to have varied prices for the kitchen cabinets that they have put up on sale. It is essential to ensure that you buy your kitchen cabinets from a company that is going to offer you the best prices in the market because this will enable you to save money due to the minimized costs that youre going to incur. The money that you save can be utilized to cater for other expenses in your life. Be sure to view here if you want to discover more about the other top reasons why you should purchase your espresso cabinets from a reputable company now.
Real estate investors are individuals who are in the business or buying houses and selling at a profit. The profitability of the real estate industry has led to the emergence of several real estate investors. Therefore, if you want to sell your house in atlanta, you should choose the real estate investors. The convenience of the process makes real estate investors the most suitable home buyers. You will complete the selling process quickly without experiencing any challenge. The reason why it is advisable to sell your home to a real estate investor is that you will be entitled to several advantages. You should see more here about the ways through which selling your home to a real estate investor is advantageous.
The first reason to sell your home to a real estate investor is the cash available. Bank financing is the means through a majority of buyers pay for the house, but the real estate investors do not depend on this program. You will be required to choose the closing date when the investor will make the payment of the house. You should click here to learn more about the real estate investors in the market. There will be no need to worry about foreclosures if you choose the real estate investors. You can then utilize the money to buy another house.
The next reason why you should sell your home to a real estate investor is to avoid delays. Therefore, if you want to avoid delays in the selling process, you should look for the real estate investors in the market. The fast selling is contributed by the fact that you will be directly involved in the sale. The inspection report will be followed by an offer from the real estate investors. Therefore, you should ensure that you sell my house fast atlanta ga by choosing the real estate investors.
The other benefit that is associated with selling to a real estate investor is that you will not have to worry about doing the repairs. You will spend a lot of resources and time to carry out the repairs. The home selling process will, therefore, be delayed until the necessary repairs are done. Therefore, you should choose the real estate investors as they will buy the house regardless of the condition. The amount of money that you will receive is usually determined by the condition of the house.
Lastly, you should choose to sell your house to a real estate investor to avoid some of the home selling expenses. As the homeowner, you will be required to take care of the home selling costs. If you choose to take care of the expenses, you will get less cash from the sale of your house. The use of real estate investors is recommended as they will help in taking care of some of the expenses. It is therefore evident that selling your home to a real estate investor is beneficial in several ways.
There are dangerous conditions that are found in women reproductive system only. When the doctors say that you have these conditions that are a bother to women then you need to find a gynecologist. You need to know that gynecologist are available in all hospitals. You need to pay some attention to several aspects to ensure that you hire the best gynecologist. Therefore, analyzed on this page are the things that you need to have on mind when hiring a gynecologist.
The professionalism of the gynecologist needs some contemplation. A gynecologist must go through some training and gather the vital information in this field. It is vital to work with a competent gynecologist. Only skilled people can generally deal with the female reproductive system. You need to ask for documents to be certain that this gynecologist is perfect in these roles. This can assure you that you can get the best treatment at the end of the day.
You need to consider the money you need to pay the gynecologist. To hire a gynecologist you need a lot of cash. You need to do some cash calculation and find the amount of money that you have to spend on this service. You need to create ample time to go to different clinics just to inquire about the salaries of the gynecologist. This is to ensure that you can hire the one you can afford to pay without any challenge. If all the gynecologists have huge wages on this service you need to negotiate for a reduction on their wages.
The repute of the gynecologist needs some deliberation. It is advisable to choose a gynecologist with a positive repute. It is possible to find a gynecologist with a negate reputation. You need to inquire about the reputation of the gynecologist. Here you can talk to the ladies who have hired the gynecologist in the past. You need to know that you can learn about the repute of the gynecologist from reading the comments of people on the online page. If you meet up with gynecologist with a high success rate you can get the best service and go back to your excellent health conditions.
You need to ponder if the gynecologist has respect for you. At all cost, you need to hire the OB/GYN Associates of Alabama who values respect, you need to work with a gynecologist who can treat you with the respect that you deserve. In this case, find the way they treat you for the first time. You need to know that if the value respect they can continue that way for the rest of time. You need to offer the same respect back to the gynecologist.
The global dynamics of the medical fraternity has an increasing number of professionals, and it, therefore, makes it very difficult to identify the right optometrist. This article looks into some of the factors to consider to get the right optometrist.
You need to have an optometrist who offers affordable prices for their services. You should look into an optometrist who can be able to give you quality optometric services at a reasonable cost. Saving money can be able to help you to get on with some additional responsibilities in life since you will also be required to bear some financial responsibilities after the optometry.
You should also go for an optometrist who has built an excellent reputation amongst the patients. Reputation goes to show the level of trust that a particular optometric to has from the market and this can assure you that they can be able to give you quality metrics services. One of the reasons why you will also need a prominent optometrist is due to the fact that you can be able to gain the economies of scale in your cost of services. The capital base of a reputable optometrist with them in a financial position to acquire assets that can make the profession to be much more efficient and this includes the equipment and technologies that are required for optometry give the customers quality services.
The qualifications of a particular optometrist should also be considered adequately. It is so that medical professionals proved to their customers that they are rightly qualified to handle them; it comes to medical healthcare so that they can be able to trust them. The level of professionalism a particular optometrist can be measured by how considerate the hour it comes to getting the proper licenses from the Ministry of health in your country according to the Constitution of the nation.
One other thing that you need to check is the experience of an optometrist before considering the services. Knowing the ways around the challenges and complexities that come with optometric services, an optometrist who has been in practice for an extended period can be able to guide the customer the right way when it comes to their optometric health.
It is important that you go to the optometrist that has excellent customer service. You will count on the relationship that you build a particular optometrist as can be able to go beyond that specific treatment that you have at that time. Beyond the professionalism that is important, comes the aspects of interpersonal skills and communication skills that are useful in knowing people from them and helping them to go through the process of treatment effectively.
In Houston, many people suffer from chronic problems especially in their necks and back pains. Even if such issues are related to an occupational hazard, you should find a reputable and a good houston chiropractor. Chiropractor Houston can also be found even if you moved to the area recently because online resources will help you search for them. Your needs should be fulfilled, feel comfortable and also reduce or eliminate the pain you might be experiencing by the best chiropractor in Houston. More info about the best Houston chiropractor will be found in this site if you need help.
If you would like to find the best west houston chiropractor, the first step that you should take is to look for a primary physician. If you ask your friends and neighbors for references, they will help you find the best chiropractor in your area. You should call the chiropractors in your area because it is one way of interviewing them when they suggest several chiropractors. You will harvest more info on the chiropractors treatment procedures and strength of adjustments when you call them. When you decide to talk to them, you will be able to know also whether they accept insurances from your insurance company.
When you call your Houston chiropractors, you can ask them about the X-rays and other procedures they use in their treatment procedures. The schools they attended before they graduated should be known by clients also. To know whether they are trained, the chiropractors should provide you with their academic certificates and licenses. Asking them about the schools they graduated from and also how many years they have been in the health industry will help you know whether they are experienced or not. The best chiropractors in Houston are known to be found in Elite Spine and Health Center Spring.
Your Houston chiropractor will recommend you first to get a long term treatment before completion of any test. When you find a chiropractor that suggest that you should not pick him because he is not interested in your particular treatment. A medical center like Elite Spine and Health Center Houston with shelves that have body tonics, cleansers or vitamins should be picked. Even if X-rays will have to be used, this chiropractor should explain to you the reason behind that. If they keep using X-rays without explanation, you should question them because even your bills will be rising.
Every person in this fantastic nation at all times dreams of owning a house; however, its as well a monumental task. According to many, the process of buying a home is tough as you have to clean up your credit report, apply for a funding, scrape the first payment jointly, and then move all your worldly assets in after you close on the agreement. Nonetheless, there are so many guidelines and tricks that possibly will help you out overcome all these monumental hassles; read more about these tips here. Consequently then why do millions of natives from the country go through this road full of difficulties might be your significant apprehension. It is because they are familiar with that whatever hassles and headaches they must tolerate are far and away overshadowed by the numerous advantages of buying a home according to Orange Line Condo investors. In any case if you necessitate some brainwave to establish the process of house hounding or plainly want to check you’re benefiting from all that homeownership has to proffer, look into this top advantages of acquiring a home.
Many people do buy homes for different reasons, but the main one is the ability and freedom to make modifications. Thus, see page for renovations information and the leading sales in the industry. By any chance you are living in a rental apartment, you cannot carry out any modifications works without the landlords approval. In addition to that, if you are consented to renovate your rented home, it’s the landholder who will in due course benefit. As per this homepage, homeowners, in contrast, dont need go-ahead. The homeowner could paint whichever room any color, restore the cabinets, adjoin a deck, or accomplish any other renovation works they desire. Once you own a home living life under your own tenets which Orange Line Condo financers also believe so. Living in a rental apartment you will not benefit from privacy since most of the people will be around most of the time. Provided that a number of rentals are erected utilizing inferior building fabrics that cannot give a greater sound barrier from next door family.
Orange Line Condo for example who offer rosslyn condos for sale to individuals usually take care of privacy by using the best building materials in the market. Retirement can destroy you financially or socially. In this page you can read more about adverse effects of retirement. Nonetheless, investing in condos in arlington va, will provide you with some sense of security after retirement. Essentially, purchasing arlington condos will be the most admirable for your retirements wants and that of your loved ones. Consequently, you could get yours now at an inexpensively. Last but certainly not least, buying an apartment will help out in building community understanding, and its lowly priced, mainly when transitioning with Orange Line Condo. For more info click here.
If you talk to different persons you can find that they have the companies which they visit when in need of any clothing. You dont have to face some challenges when selecting the clothing firm where you can always buy clothes. There are aspects that can help in the process. Therefore, this page gives the factors that you need to ponder when finding a clothing company.
First, you need to ponder the location of the fashion company. It is advisable to choose the clothing store in the areas where you can take a while to get to the company. This is to make sure that you can go out shopping at any time of the day. In this case, take your time to find the ideal clothing organization near your home.
Additionally, the repute of the clothing company needs some contemplation. You need to ensure that you choose the industry with an excellent repute. You need to know that people pay some attention to various things when narrating about the repute of the clothing firms. You need to know that there are persons who pay attention to the customer services of the representatives in the firm. You find some people paying attention to the quick services of the employees to the clients. This means that if the organization has an ideal repute then everything is credible. It is important to know that the people who have bought fashions in that company can tell you if the company has a positive repute.
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When finding a clothing company where you can buy clothes such as the bodybuilding clothing then you need to pay some attention to the worth of the clothes in the potential organization. It is important to know that not all people spend their cash on fashion. It is wise to go to the market and find the price of the clothes in various. This is an assurance that you cannot spend a lot of cash on clothes. This can make sure that you can go through any monetary problem at any time of the day.
If you are someone who is looking for a house for sale, whether you are a real estate investor or simply someone who wants to buy a new home for your family, then what better way to make the process easier than to seek the services of a reputable realtor. You benefit from making the process of finding the right home for sale in the area that you have chosen, fast and easy if you work with a reputable realtor when looking for a home. Here are some of the benefits of using the services of a reputable realtor in your area.
If you use the services of a reputable realtor in your area, then you take out all the inconveniences of the process. Just think about what will happen if you do it on your own. You might not even know where to start. You can waste your time visiting house to house in a particular area hoping that you could somehow find the right one in a very short tine. Doing it alone can make the process long and wearisome. A reputable realtor can help you find the right home for your needs easily and you dont have to look for it on your own. Realtors know the processes involved and they will definitely help your out from start to finish conveniently. They will help you find your ideal home from start to finish.
You can rely on a reputable realtor to know the real estate market in the area and they have the right amount of experience in the process to make it easy for you. In fact, they already have their own homes for sale listing in their website. All you need to do is to browse through all the possible homes that are available in the specific location that you wish to purchase a property. If the company has been in existence for years, then you can rely on their experience to make the process easy for you.
Your real estate transactions can then easily be managed with the help of a realtor. You get good advice from a realtor when it comes to transacting with home sellers. You might even get a good price when they help you negotiate for a good price for the property that you want to buy. Finding a reputable realtor is one sure way of having good negotiations with the property owner to achieve the best results.
If you are looking for a home for sale today then find a reputable realtor in the area and seek the services that they offer instead of doing it yourself. If you rely on a reputable realtor, then you are assured that they only have your best interest in their minds. | 2019-04-25T13:54:29Z | http://starlogic.biz/category/miscellaneous/page/11/ |
A ' DEW-POND is an impervious or watertight hollow artificially excavated on a hill-top, deriving its main supply of water from dew, fog, and mist. It is obvious that every pond must receive a greater or less amount of rainfall, but a real dew-pond does not depend chiefly on that source. Neither is it largely fed by surface drainage, least of all by springs.
The name dew-pond is in common use, and is favoured by writers on the subject ; nevertheless, it is partly a misnomer. Dew is an inadequate factor in keeping the ponds full, it is more or less universal throughout a given area, and it affects lowland ponds as well as those of the uplands. Correct notions on this point are desirable, especially if we accept the modern theory of the formation of dew.
Dr. John Aitken, in an address delivered before the Royal Society of Edinburgh in 1885, described a series of elaborate and careful experiments made by him in order to ascertain the origin and nature of dew. His conclusions were partially opposed, or at the least supplementary, to those of Wells, whose theory of dew,1 propounded in 1814, had been accepted by all subsequent writers. Dr. Aitken claimed, with some reason, to have demonstrated that the greater part of a deposit of dew is formed of night vapour that has just risen from the ground, and has been trapped and condensed by grass and other objects in its course up-wards.2 This theory, supported by many careful experiments, is, at any rate, worthy of careful consideration, for, if correct, it would imply that a portion of the water of a dew-pond is derived from the pond itself by previous evaporation. To this extent the popular idea of the source of supply of dew-ponds is plainly erroneous.
Dew, as we shall shortly see, adds its quota to the supply of the pond, but if this moisture first rises as vapour—a vapour which from accidental circumstances, such as the advent of a slight breeze, may not be laid down as dew—a more comprehensive name must be sought for the ponds. Dew is believed to be deposited without the aid of a cloudy intermediary, the vapour from which it is condensed existing in an invisible state. Again, dew and fog may occur together, and when there is fog hanging over the hills there is generally dew on the grass. The heaviest dew, however, would not deposit from one to two inches of water on the grass, an amount which has been recorded as the rise in level of a dew-pond in a single night.
Mr. G. Dines, as quoted by Mr. E. A. Martin, concluded, as the result of observations, that the average annual deposit of dew on the surface of the earth actually falls short of 1.5 inches (see footnote to Table of References, Chapter XIV). Moreover, high downs are much exposed to wind, and dew is with difficulty formed under windy conditions, because the moving air does not remain long enough in one place to allow condensation to take place.
In Wiltshire, I have observed that the peasants talk of a ' mist-pond '. An old labourer of eighty, who, until five or six years ago, lived near Worms Heath, Surrey, applied the same term to the pond there. ' Mist-pond ' is also reported from Kent.3 Mr. F. J. Bennett has suggested ' mist-and-rain-pond ', which has the merit of preciseness, but the demerit of length. Even then, ' mist ' must be held to include ' fog ' also. In any event, while we continue to use the name dew-pond, we should remember its draw-backs.
As to geographical distribution, the dew-ponds occur most generally on the Chalk Downs of the South and South-East of England. They abound in Sussex and Hants, and are not uncommon in Berks. and Wiltshire. The example illustrated (Fig. 27) is from Surrey. No dew-ponds seem to have been reported from Hertfordshire, but structures by some considered quite analogous, have been noticed on other geological formations in Warwick and Suffolk. Records have been also garnered from the South of Portugal.4 Marshall, in 1798, noticed Yorkshire ponds which had some likeness to our Southern ones.5 The Lincolnshire wold farmer of to-day secures reserves for a dry season by the construction of a huge tank of galvanized iron. Much further information and more extensive records concerning distribution are desirable, but meanwhile it is essential to remember, especially when we discuss the question of age, that absence of dew-ponds in one district and presence in another tells neither way. Other places, other modes ; and this diversity may be as true of water-supply as the variety of contemporary dwellings, customs, and occupations.
if a little poetical licence be allowed for unfed ' (not visibly fed). At first thought, the replenishing of a pond during a drought, and the actual diminution which sometimes occurs during a moderately rainy season, are startling and paradoxical facts.
The site having been selected, earth is scooped out, much in excess of the requirements. A coating of dry straw is laid over the bottom. Then follows a layer of well-chosen, finely-puddled clay, and over this, again, stones are closely strewn. Lastly, the margins are effectively protected by well-beaten clay.12 The writers lay stress upon the dry straw as an essential part of the structure. Independent inquiry, however, shows that the use of straw is far from being general. I have even heard its employment strenuously denied, but, as with other sweeping statements, some qualification must be made. Where straw is used—if it be still used, it doubtless assists the puddling process, by toughening the clayey floor, and by permitting of expansion and contraction without any cracking of the material. Unhappily for theories, the premiss is not always clear. Messrs. Hubbard make the straw to be the bottom layer ; other writers place it as a middle bed.
Much to our loss, White of Selborne gives no account of the making of a dew-pond, but Marshall, who wrote a little later (1798), speaks of the Drinking Ponds ' of the Surrey Downs and describes their construction. Each bason ', as he calls it, was lined with a coat of chalk, six or eight inches thick, beaten down with rammers. Next, a grout or batter, com-posed of pounded chalk and hot lime, was evenly spread over the hollow, to a thickness of half an inch. Two or three other coats were then usually applied, to ' glaze ' the bottom and prevent the ravages of worms. Marshall adds that these sheep ponds should be railed in so as to keep off cattle and horses.19 The method just described differs largely from that given by Messrs. Hubbard, but a survival, or recurrence, of this mode of construction is seen in the cemented or concrete-faced ponds now becoming common. Mr. C. J. Cornish records a dew-pond with a concrete bottom, situated on the Brightstone Downs in the Isle of Wight, which has never run dry for thirty years. Edward Lisle (d. 1722) recommends that artificial ponds should have four equal slopes, and should be ' covered with a gravel or a mortar earth, four or five inches on the tops, which, cattle treading in, will cement with the clay, and bind . . .' This idea of the results of treading is erroneous, but Lisle also advised that the pond should have ' shade ' to prevent the cracking of the clay.
Just noticing, as we pass, the allusion to straw, one may observe that the supply from rain-flow would be wash ', that is, mud and water, and this, in time, would tend to choke up the hollow. The best dew-ponds are said to be those of the Sussex Downs, near the sea ; these ponds get the full benefit of sea-fogs, and the first draught of the moist South-West winds.
Let us next see if there is unanimity concerning the source of the bulk of the water of these ponds. In other words, are they Mist-ponds or Rain-ponds ? Mr. Slade, in the little treatise before quoted, boldly avers that Rain is the main, if not the whole source of the pond's supply ' 24 And again, Heavy rains increase the value of the rainfall '—a safe statement, surely—' while minor neither increase nor diminish it.' He appends numerous tables of observations upon which his conclusions were based, as well as some graphic representations of the fluctuating supply. In view of more recent experiments, one is driven to believe that there must have been some serious error which vitiated most of Mr. Slade's experiments. Indeed, at the end of his tractate he seems to reveal a little misgiving on his own part, for in a footnote this remark occurs, The annual condensation [presumably by the water of the pond] will be found to bear but a small ratio to the annual rainfall.' 25 Such a statement cannot be accepted as axiomatic. It does admit the agency of fog, but depreciates, on inconclusive evidence, as will be shown, its total effect. It should also be added that Mr. Slade's experiments appear to have been concerned chiefly, if not entirely, with one pond.
Aitken's teaching about rising vapour seems here to get support.
That twinkle into green and gold."
Mr. Clutterbuck gives calculations for ascertaining the volume of the unseen supplies of water, but as he assumes an average daily amount to be consumed by each member of the flock, his conclusions are necessarily faulty, and of vagrant interest only.
It will, however, be worth while to step outside the strict limits of our investigation, and ask what explanations of the principle of dew-ponds have been put forward. This done, we must return to our real inquiry, the age and origin of the ponds.
Surely the straw must ultimately become wet under any conditions, be the clay rammed never so tightly. Springs may be neglected, as being unusual. Would it not be possible for the straw to get sodden by hydrostatic pressure from below ? We remember, too, that some authorities make the straw the middle layer, not the bottom, as in Messrs. Hubbard's plan. Moreover, as a fact, the tread of animals penetrates the clay crust, and the pond, though impaired in efficiency, yet continues to serve for years. What, too, of those ponds, evidently the majority, in which straw is not used ? Neither Marshall nor Jefferies mentions straw ; inquiry to-day traces it only doubtfully in most districts. Theories based on the non-conductivity of this material could therefore, at most, give only a partial solution ; where the straw is absent, they are worthless. Dry straw, indeed, as already noted, is said by Mr. Collett to be employed by the Berkshire craftsmen when lining the pond at the present day.33 Clutterbuck also mentions straw, though he describes its purpose differently. Speaking of the making of a pond, he remarks, ' As the portions are finished, they are protected from the action of the sun and atmosphere by a covering of straw.' 34 This seems to refer to a temporary loose bed of straw placed over the crust until nightfall arrives and the pond is to start its history.
Clutterbuck tells us that when all is finished water is introduced by artificial means. If obtainable, he advises piled-up snow as the readiest and least expensive method of securing a start ; wattled hurdles should be erected to encourage, during a snowstorm, the requisite drifting.35 A century ago, Davis recorded this filling with snow ; the after-supply, he asserted, is kept up by clouds and dew.
In the neighbourhood of Calcutta ice is obtained by placing porous earthenware pans of water in an earth cavity lined with rice straw. The straw seems here to have some value.
A third hypothesis, propounded in 1900 by Mr. A. Marshall, teaches that there is a difference of electric potential, and therefore an attraction is set up between the innumerable particles of fog-water and the summit of the hill on which the pond is situated. Mr. Marshall suspended two porcelain basins, alike in all respects, by silk threads over a spot on the South Downs. An upright sheet of copper was placed in each basin. One basin was allowed to remain insulated by the silk thread, but the other was earth-connected by wire. During the night of April 1, 1899, when a thick mist prevailed, the bathe the insulated ' screen ' received 155 c.c. of water, the other, with the earth-connected screen, collected 18.0 c.c. The insulated apparatus tended to get an electrical charge from the particles of moisture, therefore the attraction was less than in the apparatus earth-connected. The result was the more remarkable, as the silk soon became saturated, rendering the insulation imperfect.37 I quote Mr. Marshall's account, adding the simple comment that it seems to furnish a probable, though only partial, explanation of the phenomena.
To test the ' distilling ' power of trees, Mr. C. J. Cornish placed two vessels out of doors on a dewy evening. One was put under a cherry-tree in full leaf, and the other on stone flags away from trees. The latter vessel would be affected by dew and by the more limited condensation only, the former received the drippings from the cherry-tree. In the morning the vessel under the tree was found to contain twice as much water as the other.40 In the Indian jungle, amid dews and mists, water patters from the trees like rain. Briefly, the predilection of the flock-master for a co-operating tree seems to be justified by results, and we may conclude that trees enhance the efficacy of the pond.
A few additional considerations are worth submitting. Wells cites experiments performed by Six, showing that there is a fall in temperature of 1° F. for an ascent of 250-300 feet." Closely connected with this fact, no doubt, is the increase of rainfall in elevated regions, amounting to 3 or 4 per cent. for every 100 feet of rise 42 Again, as noted by Miall, the evaporation on high grounds, owing to the diminished temperature, is less than on low lands." There are times, too, as Baldwin Latham observes, when the water in a pond at great elevation seems to be in direct communication with the clouds, though the sky around is quite clear."
The theoretical aspect of dew-ponds has no* been treated with a fullness which may be pardoned in view of the scanty and little-known references to the subject in our scientific literature. We must now return to the high road of our mental journey.
We have seen that some of the dew-ponds are modern constructions. We now ask, Are all dew-ponds of recent date ? Mr. Slade, referring to examples in his own district of Wallingford, asserts that dew-ponds were not known there till about the year 1836.45 Thomas Davis notices them in Wiltshire thirty-five years earlier. Mr. Clutter-buck states that in one known instance the increase in the number of dew-ponds has been a matter of definite arrangement between landlord and tenant.46 This, of course, merely proves that dew-ponds are made at the present day.
Beyond the early eighteenth century, records do not seem to be available. Folk-memory is wanting, or is, at any rate, bemused by educated influence. If the dew-ponds actually existed at any period previous to the ' wool-growing ' centuries—the fifteenth and sixteenth—their introduction perhaps followed a disconnecting gap. Something of this kind, we have seen, appears to have occurred in connexion with linchets and chalk-wells. It is true that agricultural methods change slowly, and there is a possibility that a few of our extant dew-ponds are survivals from early times, and have been again and again repaired. Bearing in mind the shifting of the old population from the hills to the vales as the woodlands were cleared, I should nevertheless doubt whether the present ponds antedate the period of the Mediaeval sheep-masters. Valley pastures are usually well watered, but when the wolds and downs again came into use as sheep-walks, ponds would be essential accessories.
Yet there is a likelihood that dew-ponds of some kind were known to our ancestors of the Neolithic and the Bronze Ages. First, there is forced upon us an a priori probability, amounting almost to conviction, that excavations of this nature must have been known and utilized. Water was needed. Depressions are discoverable in the ground near old settlements, and are not always of the hut-circle type.
The primitive settlers of the hill-tops, who have bequeathed to us their camps, barrows, and cultivation terraces, had, above all things, an imperative need of a constant water-supply. To state an example : Within an area of 160 square miles on the South Downs, Mr. A. H. Ahicroft has counted sixteen prehistoric forts, belonging to the Neolithic and Bronze periods ; the number was doubtless once greater. In the absence of direct and positive evidence, we are justified in pursuing the exhaustive or eliminative method of inquiry.
Years ago, when General Pitt-Rivers was examining Winklebury, he was struck by the absence of any visible signs of a water-supply. The nearest place where water can be obtained in modern times is at the foot of the hill, 850 yards to the West of the camp.52 A spring on the plain below is traditionally said to have been used in the Middle Ages. Could such sources have been satisfactory in Neolithic times ?
We remark, first, that the interior division of the camp was considered by Pitt-Rivers to have been reserved for cattle. The theory that such forts as Winklebury were refuges for men and their herds in times of strife may be indeed taken as rightly well-trusted. But it must not be overlooked for an instant that ancient herdsmen would require water for their flock at all times, in peace or in war. Water must therefore have been found for oxen and sheep as well as for tribesmen.
Setting aside the need of adequate supplies for grazing animals, let us admit that a permanent investment of a refuge-fort was an unlikely event. We still have to meet the fact that neither man nor beast can live many days without water, much less could warriors so deprived keep up physical strength for defence. Nor would the quantity of water required be small.
Did the inhabitants carry into the camp a supply sufficient for two or three days ? This is doubtful ; first, a hostile inrush would permit little preparation, and secondly, primitive skin bottles and earthenware pans would hardly meet the demand. No ; rather is it a modern question which says, Whence shall we bring water? Primitive man went where the water existed, or could be readily obtained. We may be sure that not even under the severest stress would he live on the hill-tops unless he could easily satisfy this first necessity.
Did wells, yet undiscovered, exist within the entrenchments ? We know that Normans, Saxons, and Romans were in the habit of sinking wells. Yet few Roman examples have been discovered on the Chalk Downs. I think that the reason is obvious. The requisite depth of bore would be almost prohibitive of attempts at this kind of work.
In his long and painstaking explorations at Cranborne Chase, General Pitt-Rivers discovered no wells on the high ground near the crest of the hills at Rotherly (Wilts.). On the lower levels, at Woodcuts, over the Dorset border, the spade exposed two wells, one of which was proved to be of Roman date by the finding of the remains of a Roman bucket at the bottom. This well was 188 feet in depth.53 Holes or ' put-logs ', 12 inches apart, were cut into the sides of the shaft." The shallower well, driven to a depth of 136 feet only, showed no sign that water had been reached.
A modern Woodcuts well, sunk from a level 77 feet below the site of the ancient borings, yielded no water until the rock had been drilled to a depth of 211 feet. And to-day, the only sources of water in the Chase, wherever there are no wells, are dew-ponds and the roofs of buildings. General Pitt-Rivers thought it probable that at Winklebury there may exist wells hitherto unrevealed to the investigator, but, on the whole, he inclined to settle the matter by postulating a much higher water-level in ancient times.
Should wells ever be discovered at Winklebury, they will most likely be of Romano-British date. The question is not, however, Did the Romans and Romano-Britons bore wells ? but, Did the earlier folk, equipped with rough spades of bronze and flint and mattocks of deer-horn, essay such a task ? Until we conceive this probable, and can assume that the tribesmen knew that water existed at great depths—until, in short, some Neolithic wells are produced in evidence—we may well hesitate to speak affirmatively. If the dene-holes should be cited as parallel constructions, we would answer that the true dene-hole is seldom even conjecturally Neolithic, or even of Bronze Age. While dour compels one to admit that the tasks of sinking andour a dene-hole and a well respectively are somewhat fairly equated, yet so long as a simple solution offers itself, we need not search for a complex one.
Remembering that the water-level of the Chalk, especially in the neighbourhood of large towns, is sinking year by year, owing to both natural and artificial causes,56 the existence of a higher level in Roman times can scarcely be contested. Whether as great a difference as, say 40 feet, may be assumed, is debatable. Again, a conclusion based on the comparison of one modern well with one ancient well, without close knowledge of the dip of the Chalk, of possible faults, of the presence or absence of swallows' and large fissures, is not unassailable. But in the two cases given, it is not a difference in level of 40 feet, but of 100 feet, which has to be accounted for. (Woodcuts modern well, 211 feet + 77 feet 288 feet ; Roman well, 188 feet.) Taking the greater limit actually asked for by Pitt-Rivers, namely 50 feet, such a rise in the water-level would not materially affect camps constructed at such elevations at Winklebury and Maiden Castle. Fifty feet will scarcely meet the difficulty, for Mr. Clutterbuck states that the water-level of the Chalk varies from 100 to 400 feet beneath that of the ponds,57 whose elevation generally corresponds with that of the camps. In the present state of our knowledge, the well theory must be deemed untenable. On the other hand, if we consider that General Pitt-Rivers's reasoning is valid, it will, while removing the necessity for dew-ponds, lend one more testimony to the belief in the existence of ancient hill-top communities.
Once more ; a spring or bourne generally leaves some trace in the form of a gully or dry water-course, and this might actually be intensified after long sub-aerial denudation. Some traces of this kind should remain, because turfed ground is excellently adapted for the preservation of such features.
Not to lose sight of the chief question, it must be repeated that the camps are largely pre-Roman, and we have to inquire how the inmates secured one of the prime necessities of life. The query becomes more pertinent if we leave Winklebury, and consider a ' contour fort ', like that of Cissbury, where we know that there was a permanent settlement of men engaged in mining and working flint. Not only was Cissbury, with a periphery of 1 miles, a settled camp, but it was doubtless occupied continuously from day to day, for we cannot suppose that the inhabitants climbed up the hill every morning and down in the evening, and that they carried with them a daily supply of water. Yet this must be conceded, if we reject the presence of wells or springs, unless indeed there is some fourth explanation forthcoming.
There is such an explanation—the possibility that dew-ponds, or hollows of a kindred nature, were utilized. The evolution of the dew-pond, first suggested, I believe, by Mr. F. J. Bennett, is worth considering.58 The ditches of the earthwork camps would be constantly trodden down, first by the excavators, and afterwards by the members of the garrison and their impounded cattle. We have only to suppose a surface of Clay-with-flints, or any other retentive clay, and it is evident the fosses would soon contain water. Additional defence would thus be provided, and, during warfare, perhaps a supply of drinking water, in addition. Mists and dews would soon have free play, and the greater rainfall would keep up the reserve. In the course of time, the trenches might be closely rammed of set purpose. Finally, dew-ponds, imperfectly water-tight, no doubt, might be designed within or near the fort.
The accidental puddling of trenches came under the writer's notice in April 1905, when examining the series of round barrows on Povington Heath, Dorset. The weather had been dry for many days previously, and the thirsty heath, save for an occasional bog, was much parched. Where, however, the trenches encircling the barrows had a slightly clayey bottom, the water was held up. The trampling of moorland sheep and cattle may have helped in the puddling, though in the modern artificial dew-pond, where specially constructed layers or crusts are concerned, such action would have a reverse effect.
There have also probably always existed, here and there, a few natural dew-ponds, formed by depressions in the Clay-with-flints, or in Eocene clays.
It may be objected that prehistoric villagers could not have understood the principle of dew-ponds. The objection is sound, but we reply, ' Neither would they understand, except experimentally, why a clay-lined earth-cavity, or a crude pan, would retain the water in which primitive folk are accustomed to parboil their meat.' Puddling was resorted to in each case. Experience was the only light, as it is to the average flock-master of the twentieth century. One repeats, though it ought not to be necessary to say it at all, that practice does not always involve a knowledge of theory.
The theory of the development of dew-ponds above sketched may or may not be correct. But there is a coincident clue. Richard Jefferies, who shall be cited, not as possessing authority, but as one who had shrewd native insight in matters affecting agricultural economy, observed that two modern dew-ponds are situated near isolated camps in Wiltshire. He was led to infer that similar ponds could have furnished the only available supply to the ancient communities.59 It is necessary to state that in this and other counties modern ponds are sometimes found near old forts, but these instances of juxtaposition do not exhaust all the evidence.
We may now reasonably ask whether some of the depressions in the vicinity of ancient earthworks were not dew-ponds. The hollows may be dry, or they may be choked with rank vegetation. They may, again, still be subject to swampiness, as in the depression which I have elsewhere reported from Henley Wood, Chelsham (Surrey).60 An oval hollow, quite dry, occurs a little distance away. Mr. Bennett records a small dew-pond at Ladle Hill Camp, Berkshire, which is probably of recent construction, but he also mentions several hollows, seen by himself and Major Cooper King at Perborough Camp (Berks.), which may represent ancient ponds.61 A pond situated towards the South of Chanctonbury Ring, Sussex, in a direct line between that earthwork and Cissbury, is believed to be ancient, though it has probably been cleared more than once. Two modern ponds are to be seen in the neighbourhood. At the Eastern angle of the fort on Ditchling Beacon (800-50 feet) there is a dew-pond, probably of ancient date. There is also, at the North-west, what the historian calls a rain-water pond ', now dry, considered to be coeval with the earthwork, because the ramparts have been modified in order to induce supplies (Fig. 28).62 Another example may also be traced hard by. Other dew-ponds, of unknown age, lie to the West.
Further examples can be given. Visitors to Maiden Castle, near Dorchester, may see, within the actual fort, what was probably an ancient pond. Messrs. Hubbard have described a dried-up dew-pond in St. Martinsell Camp, near Marl-borough." They give other instances, some of which must be received under reserve, until we know whether or not they are of modern construction.
The only instance yet noted where the pond is within the camp is the already-cited case of the Dorsetshire Maiden Castle. It is suggested that, in the majority of cases, such a position would be shunned because of the trampling of cattle.
I have tried to present Messrs. Hubbard's theories with all possible fairness, though I think that the writers go much farther than the data warrant. Before these speculations can be heartily accepted, more must be known. Mean-while the ideas offered to us stimulate thought and encourage a search for further details.
Facts and opinions may now be gathered and allowed to converge. That many dew-ponds are of recent date admits of no question. Generally, the excavations have a recorded history of two centuries only. Probably, however, they existed from the fifteenth century onwards. They would not be needed in Norman and Saxon times. The old mound-builders required a good water-supply, and there is no available proof that the water-level of the Chalk was sufficiently high to feed the down-tops ; a definite verdict on this matter must nevertheless be suspended. Celtic farmers and their Neolithic predecessors cannot be proved on present testimony to have been well-sinkers. Lastly, hollows of the dew-pond kind would have served the purposes of the dwellers in the forts, though the ponds could not have been dug on scientific principles, being partially rain-fed, and occasionally failing of their purpose. And, indeed, all ponds situated at great heights must be to some extent fed by showers of rain and snow.
If we accept the prehistoric dew-pond, we need not rush to the extreme of thinking it the only possible mode of obtaining water. On a hill of moderate elevation, with a favourable concurrence of geological conditions, intermittent bournes or lavants ' might serve very well. Advantage might be taken of natural or artificial runnels whenever there was a downpour of rain, no unusual event. Temporary camps or earthworks constructed for special purposes might be intentionally planned near running streams. Thus, ancient pits, presumably for habitation, once existed near a constant spring at Coombe Hill, Croydon,68 though no trace of either huts or spring is now to be found. Another most important consideration is that away from the Chalk Downs there were often alternative sources of supply. Hence, as with dwellings and settlements, there may have been contemporaneous diversities.
The desertion of the upland camps and settlements led to new requirements and new systems. The Teutons who tilled the valleys needed the dew-ponds little, if at all. Springs and rivulets sufficed, otherwise wells were bored. When the down-tops were once more required as sheep-walks, dew-ponds would again be a necessity. Guided by experiment and observation, the Mediaeval husbandmen and shepherds trod safely the path along which the ancients, with more or less success, patiently groped. The folk-memory of ponds was, for the time, rejuvenated. Once more tradition failed, and once more it was taken up in the nineteenth century.
Actual continuity of dew-pond construction has not been proved, perhaps cannot be proved. The same may be said of the very antiquity of the ponds. The archaeologist would be pleased were the feat possible, but it is entertainment enough to give reasons showing that the ancient and modern methods of the husbandman and the shepherd probably approximate.
*1. For old theory, see W. C. Wells, ' Essay on Dew,' 1818 (preface dated 1814). Also good summary, T. H. Huxley, ' Physiography,' 1885, p. 54.
*2. Trans. Roy. Soc. Edinburgh, xxxiii (1886), pp. 9-64. * Summary in Chambers's Cyclopaedia, 1904, iii, p. 782.
3. Eng. Dial. Diet., under Mist-pond'.
*4. Rept. Brit. Assoc., 1900, pp. 585 et seqq. ; Nature, lxiii (1900), pp. 20-1.
*5. W. Marshall, Rural Econ. of the Southern Counties,' 1798, ii, p. 398. Wiltshire dew-ponds are noticed in Wilts. Archaeol. and Nat. Hist. Mag., xvii, 1878, pp. 299-300.
*6. Spectator, Nov. 16,1901 (lxxxvii, pp. 755-6).
7. Nature, lxii, 1900, p. 495.
*8. G. White, Selborne ' (Harting's edition, 1880), pp. 225-6. Gideon Mantell, in 'Geol. of S.E. of England,' 1833, p. 9, n., quotes White, and mentions the natural stocking of ponds with animal and vegetable life.
9. Spectator, lxxxvii, p. 990.
10. E. A. Martin, in Knowledge, N. S., iii, 1906, p. 481.
*11. A. J. and G. Hubbard, Neolithic Dew-Ponds and Cattle-Ways,' 1905, pp. 2-4 (speak of wandering band). Stationary workers referred to in S.E. Naturalist (1906), pp. xxxix, xl, 20.
12. Neolithic Dew-Ponds,' p. 3. *13. Nature, lxiii, 1900, pp. 20-1. 14. Knowledge, N. S., iii, 1906, p. 481.
*15. H. P. Slade, A Short Practical Treatise on Dew-Ponds,' 1877, p. 30. 16. Ibid., p. 12. 17. Ibid., p. 6.
*18. R. Jefferies, Wild Life in a Southern County' (new edition, 1889), pp. 25-8.
*19. Rural Econ. of S. Counties,' ii, p. 398. Cf. E. Lisle, ' Observa-tions in Husbandry' (ed. by T. Lisle, 1757), ii, p. 406.
*20. C. Reid, in Miall and Fowler's edition of White's Selborne,' 1901, p. 166, n.
21. Proc. Geol. Assoc., x, p. 377. Cf. Cobbett, Rural Rides,' i. p. 20.
*22. J. Clutterbuck, in Jour. Roy. Agric. Soc., i (2nd Ser., 1865), p. 273. Cf. T. Davis, Wiltshire Agric.,' 1811, p. 13.
*23. A. Collett, in Macmillan's Mag., N.S., i, 1906, p. 217.
24. Slade, Treatise on Dew-Ponds,' p. 20. 25. Ibid., p. 31. *26. C. J. Cornish, The Naturalist on the Thames,' 1902, pp. 129-30.
A capital summary given in the Spectator, lxxxvii, 1901, pp. 775-6. 27. In Memoriam,' c. xi, v. 2.
*28. White's Selborne ', Harting's edition, 1880, p. 226. The damp, foggy atmosphere of the Downs is well described in J. H. Shorthouse's John Inglesant ', 1887, p. 20.
*30. White's Selborne ', annotated by Miall and Fowler, 1901, p. 164. Rept. Brit. Assoc. (1900), pp. 585 et seqq.
*31. ' Neolithic Dew-Ponds,' pp. 2, 3. 32. Ibid., pp. 3-4. 33. Macmillan's Mag., N. S., i, 1906, p. 216.
*34. Jour. Roy. Agric. Soc., 2nd Ser., i (1865), pp. 281-7.
*36. Spectator, lxxxvii, 1901, p. 798.
*37. Nature, lxii, 1900, p. 495.
*38. White's Selborne ' (Miall and Fowler), pp. 165-6.
40. ' The Naturalist on the Thames,' pp. 130-1.
*41. W. C. Wells, ' Essay on Dew,' p. 225.
*42. Ganot, ' Physics' (12th edition, Atkinson, 1886), p. 961. 43. Ibid., p. 316 ; White's Selborne' (Miall and Fowler), p. 165. *44. Proc. Geol. Assoc., x, p. 377. 45. Slade, ' Treatise,' p. 6. 46. Jour. Roy. Agric. Soc., 2nd Ser., i, pp. 281-7.
*47. Macmillan's Mag., 1906, pp. 216-17.
*48. C. Vancouver, Agric. Survey of Hampshire,' 1813, i, pp. 47-8. * Cf. W. Cobbett, Rural Rides' (1886), i, p. 20.
*49. C. Packe, Philosophico-Chorographical Chart of East Kent,' 1743, pp. 87-8.
50. Murray, ' Handbook to Kent,' 5th edition, 1892, p. 37.
*51. C. F. Dowsett, Winklebury Camp,' 1904, pp. 4, 7 ; also Times, Nov. 26, 1900.
*52. ' Excavations in Cranborne Chase,' ii, p. 237.
*53. Ibid., i, pp. 10, 27-8. 54. Ibid., ii, p. 237. 55. Ibid., i, p. 28.
*56. ' Neolithic Man in N.-E. Surrey,' pp. 25-6.
*57. Jour. Roy. Agric. Soc., i, N. S., p. 273.
*58. Trans. Newbury Field Club, iii, pp. 257-8.
*59. R. Jefferies, ' Wild Life in a Southern County,' 1889, pp. 25-8.
*60. ' Neolithic Man in N.-E. Surrey,' pp. 83-4.
61. Trans. Newbury Field Club, iii, pp. 257-8.
*62. Vict. Hist. Sussex,' 1905, i, pp. 460-1. The Sussex ponds are dealt with in the abstract of a paper by A. H. Allcroft, Morley College Magazine (London), xvi, 1906, pp. 40-3.
*63. Jour. Anthrop. Inst., 1889, xviii, pp. 336, 338, &c.
64. Cornhill Mag., No. 119, N. S., 1906, p. 617.
*65. ' Neolithic Dew-Ponds,' p. 17.
66. Ibid., pp. 60-1. 67. Ibid., p. 59. 68. King, Munimenta Antigua,' i, pp. 150-1.
Note.-Since this chapter was written, I have seen Mr. E. A. Martin's excellent articles in Knowledge, iv, N.S., 1907, pp. 108-9, 126-8, 197. Some slight additions have been in consequence incorporated, but in the main Mr. Martin's authorities are the same as those here quoted. The reader may, however, do well to compare Mr. Martin's summary with that of the text. | 2019-04-25T14:18:08Z | http://dewponds.co.uk/biblio_folk_memory.htm |
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So I have decided that I have definately graduated college at the wrong time. There are hardly any jobs for Elementary Education and even subbing is really slow. I finally got a sub job for this last Wednesday. It was only half a day but I figured it was better than nothing. It was my first sub job and was at the school that I student taught at. It felt good but wierd to be back there. I miss those kids even though I was in a second grade classroom it still felt good to be back doing what I love. Like I mentioned I had 2nd graders, well it was the worst class, in my opinion and in a few others, at the school. There is not really any classroom management in the room but I told the kids that I was here for three months and know the rules so if they were to try anything on me I would know what to do. In the end they were pretty good. Really chatty but good. Then this morning I got a call at 8 from the same school, Oquirrh Hills, and they asked if I would be able to sub next Wednesday. I gladly accepted realizing it is going to be a crazy day with leaving to go home that afternoon as well as subbing all day in Kindergarten. It will be worth it though. I am excited to finally be kind of working.
On another note, Monday I get a call from this random 801 number and called it back after I listened to the message. It was a call from Canyons School District wanting to set up a screening interview. I called them back and said I was still interested and they asked when I could come in for an interview. I told them whenever and they said how about 11 today. It was 9 in the morning. I gladly accepted and rushed to get ready. The lady I met with was a sweet lady willing to help me anyway that she could. She also told me that they just filled a position but there should be a 3rd grade opening up soon. So yesterday I looked online and sure enough, there was a 3rd grade opening at Altara Elementary. So I emailed the principal and told him I was interested in the opening, had my screening interview and attached my resume. Now I am just waiting impatiently to hear back about the job.
Even though the times are rough with jobs and the economy I am still finding myself mostly at peace. It has given me ample time to study the scriptures and draw closer to my Heavenly Father. I am grateful for my education that I have recieved and am putting my faith and trust in the Lord at this time. For it is his will and not mine. A couple weeks ago for sacrament meeting we had a lot of talks/lessons about aligning our will with the Lord's and by doing so we will gain a greater understanding. After this topic and hearing the words that were prepared I have been trying to become better and do what He would want me to do. I have blessed by it already and have come at peace with things in life. So as for now I will just be sitting, waiting, wishing, and hoping as patiently as I can for a job to open and things to work out the best that they can for me.
In November I went to 3 Grizzlies games. It was a lot of fun. The first 2 games I went with friends and the last one I went with Ali, Jason, and the kids. All games were good but Grizzlies only won one of the 3, which happened to be the best game.
I have so much to be grateful for this year. I am grateful for mom and dad and for pushing me to stay in college when I was ready to give up multiple times. I am grateful for the opportunity that I had to attend and graduate from BYU-Idaho with a BS in Elementary Education. I am grateful for my students they became my kids and I learned a lot from them. I am grateful for my family and for the love and support that they have given me. I am grateful for my ward and for my bishop. He is amazing! I love that man. I am grateful for my friends that I have and for the ones that I have made down here in Utah. I am grateful for so many other things but I don't want to bore you so I will just thank my Heavenly Father for those. But the one thing I really want to mention is my gratitude for my Savior. Without Him I wouldn't be where I am today. I hope you all enjoy your Thanksgiving and are grateful for the things in your life. Love you all!
I am officially done with college! Today was my last day of student teaching except there wasn't any students so I went to Amanda's class with my friend Kelsey and we didnt a project with them for a couple of hours. My last week of student teaching was good. The last 2 days were the longest ever. We had parent-teacher conferences so I was at the school until 8pm both of those nights. But in the end it was worth it. Now I am just awaiting my diploma and for BYUI to finish their end of the work so I can apply for my Utah Cert. As for now I am signed up to sub for the district I student taught in. Hopefully this will lead to a job! The time as flown and I am grateful for my education and for the joys that it has brought to my life already. Yesterday was an emotional day, the kids cried more than me but I love those kids, even the naughty ones.
I can't believe how fast time is flying by. It felt like it was just August and I moved to Utah, now it's the middle of November and I have a little more than a week left of student teaching! I am so excited to be done but at the same time I have no idea what I am going to do until I get a job. I am applying for a P.E. position at my friends school and am hoping I get that. I am also going to put my name on the sub list so that I can get my name out there. So either way I should be good. The only bad thing with subbing is that you never know when you are going to work. But it will all work out. Life is starting to fall into place and things feel right. I'll keep you updated on the job situation.
It was pretty hilarious! We all got a laugh out of it. Especially the ones in the back. The fans must have not been working in their suits because they had a lot of extra baggage! Not something you see everyday.. especially on bikes and on Halloween!
The night we carved pumpkins we had a dance party and the girls were goofing around. We had a fun night. (see post previous to this to get the full scoop). I know my pictures dont make any sense or aren't in any specific order but at least they are on.
Weekend of Halloween.... where to begin? Thursday night I took Kylie and Amanda to my school carnival for a little bit. They didnt' want to dress up but they had fun meeting my teacher and some of my students. They told me that they had fun so I am glad. Then Friday Missy and I went to WinCo with the girls and found a 25lb. pumpkin for $1.44! We weren't quite happy about it so I told the girls I would carve a pumpkin with them. Well Kelsey called me and said that our group of friends were wanting to carve pumpkins so we decided to meet at my house and then carve pumpkins and hang out. The rest of the group bailed out but Kelsey, the girls and I had fun dancing and carving our bat pumpkin. I didn't get pictures of our final product but it was really cute! The girls did a great job!
Kelsey trying to carve the pumpkin.
A couple weeks before for a friends birthday party we did a pumpkin carving contest and Kelsey and I were on a team. The rules were that it had to be scary. So we thought of making a pumpkin puking would do the trick. Well I guess not, the one with Michael Jackson carved into it won. I guess it definately is scarier! But we had fun.
Kelsey and I gutting out the pumpkin at the party.
The weekend before Halloween a girl in my ward threw a big Halloween Party. There was a lot of people there but we left the party just in time. After we left the party, within the hour, a group of U football players came to the party wasted and with alcohol. Needless to say they got kicked out in a hurry. But after we left the party we went to a restaurant called Village Inn and went in our costumes. We got some pretty interesting looks. Especially me. I was then in a pumpkin costume. After Village Inn we went to Brad and Jeff's house to watch a 'scary' movie called "The Shortcut". It was definately not that scary, more comedy than anything. But it was a pretty fun night!
The group of girls getting ready to go to a Halloween Party.
Kelsey and I in the car on the way to Village Inn, not sure what our faces are about.
Oh where oh where has it gone?
I have lost you. Where are you? I would really like to update my blog with pictures that are on my camera but I need you. You are not in the spot where I last put you. Would you please show up soon. You are wanted and needed. Please return quickly!
Yes, I lost my camera cord. I usually keep it in my computer bag but it's not there. I have no idea where it is. I hope I can find it soon to post some pictures of some recent events that have occurred. As soon as I find it, I will put pictures on. Until then, you will just have to read my blog without pictures.
All is well here. Just applied for a job in the school district I am student teaching in and hopefully I will get it. I am almost done with student teaching- 3 weeks- but i am not counting down or anything. In 2 weeks I have my presentation to do to a board and they determine if I pass or not. I hope all will be well. It should be, but you never know! Wish me luck!
This week has been a really long week. Tuesday after school I found out that two of my students had lied to me about attending the after school tutoring program and have been leaving school 5 minutes early. I was quite upset about that and let me tell you, they did not get away with it. Wednesday myself and the classroom teacher talked to them and then I kept them in for their 3 recesses. They weren't too happy but neither was I. I made them write me a letter telling me what they did and why it wasn't okay to do that. The letters were pretty hilarious! I am pretty sure they learned their lesson and to not mess with me. Then Thursday I had my supervisor come and observe me. I bribed my kids so that they would be better. It was the best they have behaved all week! So today I brought them some cookies.
So the Salt Lake Fire Department is our school sponsor and they came into the school to talk to the 3rd graders about emergencies, what to do and what the fire department does. Well, to say the least those firemen were quite attractive and most of them didn't have rings on which meant that I could look right? Well, of course I did! The first half of the presentation we were inside then they went out and showed the kids the ambulance and gerny (not sure how to spell it) and the hazmat truck. Well one of the cute ones was on the gerny and they were giving the kids a scenario. The scenario was this: the cute one wasn't breathing and they were doing chest compressions. They asked who would come and give mouth to mouth. All the kids covered their mouths and were yelling "eww!", "gross" and "no"! It was quite funny. Then here I am standing off to the side watching the kids and was jumping up and down inside yelling pick me in my head. Then one of my students walked over to me and was like: "Miss Dickson, you can give him mouth to mouth." I was laughing so hard and told her, why yes I could. It was pretty cute. But needless to say, there was no mouth to mouth but some good looking firement. Off to next month and seeing them.
I love that quote and it kind of goes with my life right now. I went to the doctor tonight and found out that I have laryngitis and I have to take it easy and try not to talk (that's going to be hard, good thing I have a lot of lesson plans to do and unlimited texting). Besides having laryngitis, life is pretty good. Dad just came down to Utah to visit. He helped Aunt Betty travel down here for her mission and was able to stay about a week. It worked out perfectly. I had no school Thursday, Friday or that Monday due to UEA (fall break) and a teacher professional development day.
Monday I went in for half a day and then Dad and I attempted to take a drive through the American Fork (Alpine loop) and end up in Provo. Well there was too much snow and ice over Alpine loop so we just drove around where we could. The drive was really pretty. On our way down we found about 6 deer. So we turned around and pulled over to get a picture. Dad got a really cool picture of 2 deer crossing the deer. I'll have to steal that from him sometime.
That Thursday, Dad and I took Kodie and Chandler with us up to Idaho to see Chris and her family. It was good to see the boys playing soccer and basketball, despite the cold. Kirk was trying to get Chandler to ride his motorcycle with him but Chandler wouldn't do it, so we convinced Kodie too. At first she was a little apprehensive but once they arrived at the High School she was grinning from ear to ear. While we were sitting at the game Kodie showed me her leg. I asked her what happened and she told me that she burned it on the bike. I showed Chris and Kirk and we got her taken care of. Luckily it wasn't too big and that it was cold enough that the burning sensation didn't stay long. It was good to see Chris. It has been a while.
Overall the whole weekend with Dad here was good. I am grateful Dad came and I was able to spend some time with him. We don't get the chance to do that very often. Thanks Dad! I love you!
Life has been soo good up until today. Life is still good except my voice is gone. I came down with a sore throat two days ago and then yesterday my voice was kinda going away and now today it is gone! It makes student teaching hard. Good thing I have a great teacher who stepped right in and picked up from where I left off yesterday. My students were telling me I had the swine flu or larengitis. It made me laugh. They are such good kids even though at times they are pills. But I still love them. So couple funny stories for today with my students. One of the girls was totally bugging me for my number and I was like no. I don't give out my number. (big no no for teachers that do- so my teachers at school told us not to do). Then one of the girls today, while at the student store, was like I got this for my boyfriend. I asked her who it was and she told me it was a boy in our class. I looked at her and started laughing in my head. These girls and their so called boyfriends. I really need to start taking tips!
So anyway.. back to the no voice... I am hopefully going to the doctors to see what's going on. I hope it's nothing. I'll keep you posted.
1. The temples! I have been to the Salt Lake temple a couple of times to do baptisms and love it! My friend Kelsey and I try to go at least twice a month. One Sunday we went for a drive out to the Draper and Oquirrh Mountain temple. The Draper Temple is one of my favorite ones. The view is gorgeous and the temple is gorgeous. One of these days I will go inside it to do baptisms.
2. Family. I love spending time with Ron's family and Jason's family. It has been a lot of fun getting to know them and hang out with them. I have gone to Chandler's lacrosse games, cut up peaches with Ali, done crafts with Ali, gone to the movies, and play volleyball with Ron and sometimes Jase. Last week I was over at Ron's before volleyball and we were watching America's Got Talent. There was a contestant whose name is Grandma Lee. Kylie asked me what she did and I told her that she told dirty, inappropriate jokes. Then Amanda goes, with a straight face, "ya, sometimes grandma's tell dirty joke." I was laughing so hard I just about started to cry.
3. The fair + Kelsey Hokanson = Good times at the Boys II Men concert for free. This last Friday Kelsey and I were going to go to the Boys II Men concert but it was sold out so we just went to the fair. We ended up heading over to the grandstand where the concert was and started watching the concert from outside the gate on out tiptoes. Then some people came up to us and told us they had 2 extra tickets and asked if we wanted them. Of course we did! So we went in and watched about an hour of the show. It was way good!
4. Student Teaching! I love my kids! Although at times I want to inflict some type of pain for not listening or being rude but I guess their kids who need a lot of help. It has been such a great learning experience for me and I wouldn't trade it for anything. My kids keep me laughing. I'll try to keep you updated on those things. Yesterday I had playground duty and some little 1st of Kindergartner's came up to me and was like "duty, duty...." it was funny!
5. My ward! I love my ward. It is one of the best wards I have been to! My bishop is President Monson's son and is hilarious and such a sweet guy. Members of my ward are just as awesome! I have gained a lot of new friends and only know about a 1/4 of them so far. Yes, it helps that there are some cute boys! :) Last night there was a stake FHE outside. By 9:00 we were freezing cold so 3 of us girls and about 7 guys went out to get Hot Chocolate at a nearby restaurant. It was good getting to know others in my ward.
There are so many reasons why I love it here and I am sure many more to gain! I look forward to the next little bit and seeing where my life takes me.
So being in 3rd grade has been a fun yet interesting experience thus far. I love the kids but sometimes, mainly when they are talking and not paying attention (most of the day, I just want to scream at them and tell them be quiet and just listen for once. But I don't I hold it in and try to not get frustrated.
I have officially completed week one of student teaching and so far have survived. My class of 3rd graders are really cute with some challenges. It will be interesting once I finally take over the class. As for now I am just being patient and wishing it was done with so I coudl have a job. I do love student teaching though. It has been a great experience so far. I have seen a lot of things that I was taught at school being put into the classrooms and being really effective. Some of the teachers at the school have even said that BYU-I students come 4 times more prepared than from any other school. So with that said the standard is high and hopefully my chances of getting a job are a lot higher as well. That's it for now... week 2 here I come!
You got it, IN-N-OUT! One of my favorite places to go in Cali (food wise). Since Ryan, Cara and the boys were still at football practice for a few more minutes we decided to stop and eat until they were done.
Our week until Sunday was pretty fun. That Thursday we went shopping for a little bit and I found a new swimsuit for cheap! Then the next day the boys took us to the pool one day and yes I got fried but no worries it is a tan now. It was pretty fun. Taylor wanted to ride the paddle boats but the lifeguards there were really odd and told us in 5 minutes someone would be back to help us. Well more than a half hour later and no one showed up so we just left. Taylor had to go get ready for football practice anyway and the girls had some serious shopping to do.
Saturday Colby had his last basketball game. Their team was undefeated, so it was a good game (competition wise) for the last game of the season. Needless to say, they hung in there and won by one point. The final score was 14-13. Yay Colbs!
After Colby's game Taylor had punt, pass, kick and then got his football pads. Taylor had beaten the record in punting, but only for a little bit. He was quite proud of himself. Good job bugs! The rest of the day we just hung out and enjoyed each others company.
Sunday we headed up to Greg's in Chico and stayed there until Friday. Sunday we went and saw their new house in Paradise. It is pretty cute. I can't wait to see it when they are all moved in and the yard is done. The rest of the week we watched the kiddos and had some fun. We went to Barnes & Noble and the pet store. Thursday a missionary that served in our area came up with his fiance and brought a date for me. It was pretty fun we went to Costco for dinner then In-n-out for shakes and then to the park and played a couple mean games of Sorry. It was fun and good to see Elder Barrow and meet his fiance. Kaelyn and I also had a dance party and she was laughing so hard I thought she was going to wet her pants. It was a fun time in Chico.
Greg and Melissa came back Friday and then we headed off to Elko, Nevada and stayed the night with Aunt Vicki. The drive to Elko is pretty boring but I got some cool pictures of the mountains.
We saw oranges construction cones for what felt like the entire stretch from Greg's to Elko.
Then Saturday morning we headed out early to get to Twin Falls, Idaho for one of my good friends Emily's wedding. She looked gorgeous and so happy! I love that girl and they guy she married, Jordan is perfect for her. I have gotten to know him over the last few months and he is everything that she deserves. We met up with them at the temple when they got out and then we went shopping in between the luncheon and the temple. After the yummy luncheon we took off and headed for Ron's. I felt kind of bad for leaving and not staying for the reception but it was another 4 1/2 hours after the luncheon until the reception and I didn't want to drive in the dark.
Saturday night we got into Ron's and took off again. Jason couldn't make it to the Salt Lake vs. Seattle soccer game and gave us the tickets. It was so much fun and we had some great seats! Thanks Jason! I cheered for the Sounders and was the only one in that section. Despite the loss to Real Salt Lake it was still a really good and I have discovered a pretty cute soccer player who plays for Seattle. Just a little infatuation.
That's my life for now. Student teaching orientation starts next week and then on the 24th student teaching officially starts. I am pretty excited and will keep you posted.
I love California! The weather down bt Sacramento is perfect, not too hot and not too cold. Not only is the weather perfect but with family down here it makes it a lot easier to want to move here. There is so much that I want to go see but there is never enough time when I come down. Being in Cali for the last week I have fallen in love with it more and more. If I could I would move down here in a heart beat. I guess for now it will just be my place to come and visit. Pictures of the trip will be coming soon!
I finally received my student teaching placement. I will be in Kearns, Utah teaching at Oquirrh Hills Elementary School in the 3rd grade. I am excited about it! I had a feeling all along I would be in 3rd or 4th and here I am. I am ready for the challenge and the fun that this experience will be.
Ron sent me this email about Jon Schmidt and his new song that is Taylor Swift's Love Story meets Coldplay's Viva la Vida. It is so cool! I love all of his music. He is very entertaining. I saw him in concert up here a few years ago and loved it! This song is very interesting and creative. You should check it out!
Last Saturday, July 11 I went to a Sounders game with the Singles branch here. It was interesting but fun. It was my first MLS game and a good one at that. The Sounders played Houston Dynamos and won 2-1. Houston scored in the first half and then Sounders scored one in the first and one in the second half. After half time I decided I should take a few pictures I took one of the game as a whole and then as I was taking my camera out one of the Sounders players went to go score a goal. I totally had it and when I went to look at it a girls head that was walking by was in the picture and I missed it! One of the Sounders players bicycle kicked it into the goal. Overall it was a good game and it was very crowded. The fans there are crazy and really into it! It was great. After the game I saw this older man who was wearing a bright green pimp suit! It was a highlight after the game! I took a picture on my phone.
After the game a big group of us went to Cheesecake Factory. It was delicious. Even the food and of course the cheesecakes. I split a meal with a friend and then ordered a lemon raspberry cheesecake. It was heavenly and I have been craving it since I have had it. I will definately have to go and get some when I move to Utah. It will be a lot closer. | 2019-04-22T08:58:07Z | http://kelciedickson.blogspot.com/2009/?widgetType=BlogArchive&widgetId=BlogArchive1&action=toggle&dir=open&toggle=MONTHLY-1235894400000&toggleopen=MONTHLY-1259654400000 |
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By order entered on June 1, 2010, the court stated, "Upon the foregoing papers, it is ordered that this motion to strike defendant's answer is denied."
"[I]t is well settled that the drastic remedy of striking a party's pleading pursuant to CPLR 3126 for failure to comply with a discovery order is appropriate only where the moving party conclusively demonstrates that the non-disclosure was willful, contumacious or due to bad faith" (McGilvery v New York City Tr. Auth., 213 AD2d 322, 324 ). Willful and contumacious behavior can be inferred by a failure to comply with court orders, in the absence of adequate excuses (see Johnson v City of New York, 188 AD2d 302 ; Nunez v City of New York, 37 AD3d 434 ). A party that permits discovery to "trickl[e] in . . [with a] cavalier attitude . . should not escape adverse consequence" (Figdor v City of New York, 33 AD3d 560, 561 ).
"As this Court has repeatedly emphasized, our court system is dependent on all parties engaged in litigation abiding by the rules of proper practice. The failure to comply with deadlines not only impairs the efficient functioning of the courts and the adjudication of claims, but it places jurists unnecessarily in the position of having to order enforcement remedies to respond to the delinquent conduct of members of the bar, often to the detriment of the litigants they represent. Chronic noncompliance with deadlines breeds disrespect for the dictates of the Civil Practice Law and Rules and a culture in which cases can linger for years without resolution. Furthermore, those lawyers who engage their best efforts to comply with practice rules are also effectively penalized because they must somehow explain to their clients why they cannot secure timely responses from recalcitrant adversaries, which leads to the erosion of their attorney-client relationships as well. For these reasons, it is important to adhere to the position we declared a decade ago that if the credibility of court orders and the integrity of our judicial system are to be maintained, a litigant cannot ignore court orders with impunity" (Gibbs v St. Barnabas Hosp., 16 NY3d 74, 81 [internal quotation marks, alteration, and citations omitted]).
Defendants' behavior in this matter clearly implicates the values articulated in Gibbs. Plaintiff was required to serve three discovery notices on defendants to determine the identities of the officers who executed the warrant, and to this day defendants have not complied. The information sought is simple and straightforward, and, most importantly, easily discoverable. The discovery demands were made in addition to a FOIL request and the furnishing of an authorization designed to lessen defendants' burden in searching for the appropriate names. Moreover, defendants were ordered by the court, on no fewer than three occasions, to produce documents containing the officers' names or to reveal the names outright. To the extent defendants made any effort to divulge the names of the officers who executed the search warrant, they made the effort only because plaintiff pressed the issue. It is not unreasonable to deduce from this record that had plaintiff not sought enforcement of unequivocal court orders requiring the production of the officers' names, defendants, to this day, would not have provided even the scant information that they eventually provided. Moreover, defendants failed to demonstrate that they even attempted to comply with their discovery obligations. An affidavit regarding the unavailability of documents that are the subject of a discovery order must document a thorough search conducted in good faith. It should include details such as "where the subject records were likely to be kept, what efforts, if any, were made to preserve them, whether such records were routinely destroyed, [and] whether a search [was] conducted in every location where the records were likely to be found" (Jackson v City of New York, 185 AD2d 768, 770 ).
Here, the affidavits submitted by defendants reveal that the efforts that defendants maintain they took to ascertain the names of the officers were so unimaginative and lacking in diligence that it is hard to characterize them as anything other than willfully designed to thwart plaintiff. Searching old desks and lockers is woefully insufficient. As demonstrated by the unchallenged affidavit by plaintiff's expert, the Police Department is a sophisticated bureaucracy with a system for collecting and storing information concerning arrests and prisoner processing that is not limited to the furniture and notebooks assigned to the officers involved. Indeed, defendants did not even attempt to explain why it would have been futile to search the areas and databases suggested by plaintiff's expert. They addressed the expert's opinion only to the extent of impugning his qualifications.
Defendants' argument that plaintiff's request for the documents containing the names of all 50 of the Gang Squad officers was overbroad reveals a disdain for the numerous court orders issued in this case. From the early stages of the litigation, defendants were directed, in absolute terms, to disclose the names of the officers involved in the execution of the warrant on plaintiff's apartment. Thus, the format of plaintiff's initial requests for the information is irrelevant. Defendants could have appealed from the orders, but they did not. That they continue to argue, even now, that plaintiff asked for the documents in an imprecise manner confirms their outright disdain for the court's authority to supervise discovery.
As to the substitution of Sergeant Van Orden, plaintiff demonstrated that she made a diligent inquiry to identify the names of the officers involved before commencing this action (see CPLR 1024; Goldberg v Boatmax://, Inc., 41 AD3d 255 ). She served the unidentified officers by an alternative means of service authorized by the court pursuant to CPLR 308(5) (see Harkness v Doe, 261 AD2d 846 ). Thus, she should have been permitted to substitute Van Orden as a defendant. We reject defendants' position that plaintiff waited too long to move to substitute Van Orden; the substitution was "deemed" effective when plaintiff learned of Van Orden's identity (CPLR § 1024; see Woodburn Ct. Assoc. I v Wingate Mgt. Co., 243 AD2d 1043, 1045 ).
In a June 9, 2010 order, the court directed the City "to respond to [plaintiff's] discovery notice dated 1/15/10 for the location of west side of Riverside Dr at Tiemann PL north to St Clair and south to W 122nd." On or about July 12, 2010, the City responded to the court's June 9, 2010 order. An appended DOT form letter dated July 6, 2010 again advised that a search regarding "Riverside Drive and Tiemann Place, Manhattan" "produced no records" for the two years prior to and including the day of the accident.
In August 2010, plaintiff again moved for an order striking the City's answer on the ground that the City had willfully failed to comply with numerous discovery orders. In opposition, the City, emphasizing the drastic nature of the relief sought, argued that its conduct was not "willful and contumacious" and that when such a showing has not been made, an appropriate sanction for dilatory conduct is to permit a defaulting party "one final opportunity to comply." Further, the City contended that, in its submissions dated July 12, 2010 and May 11, 2010, it had fully complied with the court's June 9, 2010 order and adequately responded to plaintiff's January 15, 2010 supplemental discovery notice.
In an order dated October 13, 2010, the court denied nine of plaintiff's demands, three of them on the ground that "City represents documents have been produced." But the court ordered the City to produce, within thirty days, "written complaints, and/or prior written notices, repair orders, [and] cut forms, for the sidewalk on the west side of Riverside Drive, at its intersection with Tiemann Place, for 2 years prior to the date of accident" and to provide an "affidavit if no documents exist" within 45 days. Finally, the court stated that "[f]ailure to comply with this order will result in the striking of the City's answer (emphasis in original)."
In sum, although over three years had passed since plaintiff had first sought this discovery which is central to the prosecution of his action, and despite the nine court orders directing defendant to comply with outstanding discovery, the motion court acceded to defendant's request to be given one more opportunity to provide the discovery. Defendant has offered no excuse for its failure to produce the documents. Apparently, the imposition by this Court of a significant sanction was not sufficient to deter defendant from continuing its cavalier noncompliance with court-ordered discovery. In our view, the history of defendant's untimely, unresponsive and lax approach to complying with the court's previous orders warrants the striking of defendant's answer (see Byam v City of New York, 68 AD3d 798 ).
As a sanction against a party who "refuses to obey an order for disclosure or willfully fails to disclose information which the court finds ought to have been disclosed," a court may issue an order, inter alia, "prohibiting the disobedient party . . . from producing in evidence designated things or items of testimony," or "striking out pleadings" (CPLR 3126, ). Here, the plaintiff's willful and contumacious conduct can be inferred from the plaintiff's repeated failure to comply with orders directing that her deposition be commenced or completed by a date certain, the plaintiff's adjournments of her deposition, and the inadequate excuses offered to explain her noncompliance (see Commisso v Orshan, 85 AD3d 845; Rawlings v Gillert, 78 AD3d 806, 807; Caccioppoli v Long Is. Jewish Med. Ctr., 271 AD2d 565, 566). Although the plaintiff's conduct was willful and contumacious, contrary to the contention of the defendant Mount Vernon Hospital, under the circumstances of this case, the sanction of striking the complaint would have been too harsh. Accordingly, the Supreme Court providently exercised its discretion in granting its motion pursuant to CPLR 3126 to the extent of precluding the plaintiff from testifying at trial.
The Supreme Court properly denied that branch of the plaintiff's motion which was for leave to renew. The additional facts submitted upon renewal were personally known to the plaintiff when the original motion was made, and she did not proffer a reasonable excuse for her failure to present those facts at that time (see Saunds v Estate of Johnson, 29 AD3d 670, 671; Caramoor Capital Group v Blauner, 302 AD2d 550; Caffee v Arnold, 104 AD2d 352).
Plaintiff's motion to strike should have been granted to the extent of prohibiting defendants from offering evidence in support of the contention that plaintiff was fully paid the Miscellaneous commission of $47,731.47, and awarding plaintiff that amount. The record establishes that defendants' counsel actively interfered with discovery by intercepting documents under subpoena to a third party. Defendants also admittedly altered a commission report pertaining to the Miscellaneous account and produced it in the course of discovery as if it were the original business record. These acts, together, evidence a sanctionable pattern of behavior (see 317 W. 87 Assoc. v Dannenberg, 159 AD2d 245, 245-246 ; see also Garnett v Hudson Rent A Car, 258 AD2d 559 ) requiring preclusion.
As a sanction against a party who "refuses to obey an order for disclosure or wilfully fails to disclose information which the court finds ought to have been disclosed," a court may issue an order, inter alia, "prohibiting the disobedient party . . . from producing in evidence designated things or items of testimony" or "striking out pleadings" (CPLR 3126 , ). A court may invoke the drastic remedy of striking a pleading, however, only upon a clear showing that the failure to comply with court-ordered discovery was willful and contumacious (see Argo v Queens Surface Corp., 58 AD3d 656 ; Paca v City of New York, 51 AD3d 991, 993 ). Here, the record does not support a finding that the appellants willfully and contumaciously failed to produce the defendant Mohammad Akbar for a deposition. Under the circumstances, the appropriate remedy was an order precluding the appellants from calling Akbar as a witness at trial (cf. Patel v DeLeon, 43 AD3d 432, 433 ; Williams v Ryder TRS, Inc., 29 AD3d 784, 785 ).
The Uniform Rules addressing the discovery of ESI are fairly recent. They took effect in 2009. However, the Commercial Division Rules have addressed discovery of ESI for some time. Rule 8(b) of the rules contains requirements similar to those in the Uniform Rules. The Commercial Division for Supreme Court, Nassau County has built on Commercial Division rule 8(b) to develop the most sophisticated rules concerning discovery of ESI in the State of New York. That court also publishes in depth guidelines for the discovery of ESI (the Nassau Guidelines). While aimed at parties, the Nassau Guidelines are appropriate in cases, such as this, where a nonparty's data is at issue.
ESI is difficult to destroy permanently. Deletion usually only makes the data more difficult to access. Accordingly, discovery rules contemplate data recovery. For instance, the Uniform Rules include the "anticipated cost of data recovery and proposed initial allocation of such cost" in the scope of electronic discovery (Uniform Rules for Trial Courts [22 NYCRR] § 202.12[c]).
"identification, in reasonable detail, of ESI that is or is not reasonably accessible, without undue burden or cost, the methods of storing and retrieving ESI that is not reasonably accessible, and the anticipated costs and efforts involved in retrieving such ESI."
(New York State Supreme Court, Commercial Division, Nassau County, Guidelines for Discovery of Electronically Stored Information [ESI]), effective June 1, 2009, II[c]).
The Federal Rules of Civil Procedure take a similar, although slightly more restrictive, approach. Rule 45 provides specific protections to non-parties. A person responding to a subpoena "need not provide discovery of electronically stored information from sources that the person identifies as not reasonably accessible because of undue burden or cost" (Fed Rules Civ Pro rule 45[d][D]). Moreover, "non-party status is a significant factor in determining whether the burden imposed by a subpoena is undue" (Whitlow v Martin, 263 FRD 507, 512 [CD Ill 2009]). Nevertheless, a federal court may still "order discovery from such sources if the requesting party shows good cause, considering the limitations of Rule 26(b)(2)(C)" (Fed Rules Civ Pro rule 45[d][D]). Rule 26(b)(2)(C)(i)-(iii) requires a court to limit any discovery: (1) "that is unreasonably cumulative or duplicative," (2) "can be obtained from some other source that is more convenient, less burdensome or less expensive," (3) "where the party has already had ample opportunity to obtain the information by discovery in the action" or (4) when "the burden or expense of the proposed discovery outweighs its likely benefit, considering the needs of the case, the amount in controversy, the parties' resources, the importance of the issues at stake in the action, and the importance of discovery in resolving the issues." The Advisory Committee Notes explain that the costs of retrieving the information are properly part of this analysis.
1 "Deleted," slack," fragmented," or "unallocated" data on hard drives; 2 Random access memory (RAM) or other ephemeral data; 3 On-line access data such as temporary internet files, history, cache, cookies etc; 4 Data in metadata fields that are frequently updated automatically, such as last-opened dates; 5 Backup data that is substantially duplicative of data that is more accessible elsewhere; and 6 Other forms of ESI whose preservation requires extraordinary affirmative measures that are not utilized in the ordinary course of business (id.). However, the federal courts may still order the discovery of data from these sources in an appropriate case (see Victor Stanley, Inc. v. Creative Pipe, Inc. 269 FRD 497, 524 [D Md. 2010]["[t]he general duty to preserve may also include deleted data, data in slack spaces, backup tapes, legacy systems, and metadata."]); Columbia Pictures, Inc. v. Bunnell, 245 FRD 443 [CD Cal. 2007] [ordering production of server log data]). We also note Judge Scheindlin's groundbreaking decision in Zubulake v UBS Warburg, LLC, 217 FRD 309, 316 [SDNY 2003] [in developing framework for cost/benefit analysis, court noted that discovery obligations apply not only to "electronic documents that are currently in use, but also [to] documents that may have been deleted and now reside only on backup disks."]).
Based on the specific facts of this case, we find that the Nassau Guidelines provide a practical approach. To exempt inaccessible data presumptively from discovery might encourage quick deletion as a matter of corporate policy, well before the spectre of litigation is on the horizon and the duty to preserve it attaches. A cost/benefit analysis, as the Nassau Guidelines provide, does not encourage data destruction because discovery could take place regardless. Moreover, similar to rule 26(b)(2)(C)(iii), the approach of the Nassau Guidelines, has the benefit of giving the court flexibility to determine literally whether the discovery is worth the cost and effort of retrieval.
Here, plaintiff has variously described the information it seeks as stored in a "cache" file, as "unallocated" data or somewhere in backup data. Data from these sources is difficult to access. But, plaintiff's only chance to confirm the identity of the person who allegedly defamed her may lie with NYU. Thus, plaintiff has demonstrated "good cause" (see Fed Rules Civ Pro rule 45[d][D]) necessitating a cost/benefit analysis to determine whether the needs of the case warrant retrieval of the data.
However, the record is insufficient to permit this court to undertake a cost/benefit analysis. Accordingly, we remand to Supreme Court for a hearing to determine at least: (1) whether the identifying information was written over, as NYU maintains, or whether it is somewhere else, such as in unallocated space as a text file; (2) whether the retrieval software plaintiff suggested can actually obtain the data; (3) whether the data will identify actual persons who used the internet on April 12, 2009 via the IP address plaintiff identified; (4) which of those persons accessed Vitals.com and (5) a budget for the cost of the data retrieval, including line item(s) correlating the cost to NYU for the disruption [FN5]. Some of these questions (particularly and ) may involve credibility determinations. Until the court has this minimum information, it cannot assess "the burden and expense of recovering and producing the ESI and the relative need for the data" (Nassau Guidelines) and concomitantly whether the data is so "inaccessible" that NYU does not have the ability to comply with the subpoena. That NYU is a nonparty should also figure into the equation (see Whitlow 263 FRD at 512). Of course in the event the data is retrievable without undue burden or cost, the court should give NYU a reasonable time to comply with the subpoena.
Further, it is worth mentioning that CPLR 3111 and 3122(d) require the requesting party to defray the "reasonable production expenses" of a nonparty. Accordingly, if the court finds after the hearing that NYU has the ability to produce the data, the court should allocate the costs of this production to plaintiff and should consider whether to include in that allocation the cost of disruption to NYU's normal business operations. In this latter consideration, the court should also take into account that plaintiff waited one year before sending the subpoena and preservation letter.
The court also erred in transferring the case to Civil Court. Although the complaint seeks damages, it also seeks equitable relief that is not within the jurisdiction of Civil Court (see CPLR 325[d]; W.H.P. 20 v Oktagon Corp., 251 AD2d 58, 59 ).
Accordingly the order of the Supreme Court, New York County (Doris Ling-Cohan, J.), entered September 14, 2010, that denied plaintiff's motion to hold nonparty NYU in contempt for failing to comply with a judicial subpoena, should be reversed, on the law, without costs, and the matter remanded to Supreme Court for a hearing on whether the information plaintiff seeks is "inaccessible" and hence whether NYU has the ability to comply with the subpoena. The order of the same court and Justice, entered September 24, 2010, that sua sponte transferred the action to the Civil Court pursuant to CPLR 325(d), should be reversed, on the law, without costs, and the order of transfer vacated.
The Supreme Court improvidently exercised its discretion in granting the plaintiffs' motion pursuant to CPLR 3126 to strike the appellants' answer. A court may strike an answer as a sanction if a defendant "refuses to obey an order for disclosure or wilfully fails to disclose information which the court finds ought to have been disclosed" (CPLR 3126; see Thompson v Dallas BBQ, 84 AD3d 1221; Mazza v Seneca, 72 AD3d 754). However, the drastic remedy of striking an answer is inappropriate absent a clear showing that the defendant's failure to comply with discovery demands was willful or contumacious (see Polsky v Tuckman, 85 AD3d 750; Moray v City of Yonkers, 76 AD3d 618; Pirro Group, LLC v One Point St., Inc., 71 AD3d 654; Dank v Sears Holding Mgt. Corp., 69 AD3d 557). Here, the plaintiffs failed to make such a showing. At the time the plaintiffs moved to strike the appellants' answer, the action had been pending for less than five months, the appellants had not missed any court-ordered deadlines, and, in fact, the appellants had already served a response to the plaintiffs' notice to produce (see Palomba v Schindler El. Corp., 74 AD3d 1037, 1038). In addition, the motion was not supported by an affirmation of good faith, as required by 22 NYCRR 202.7 (see Quiroz v Beitia, 68 AD3d 957, 960; Dennis v City of New York, 304 AD2d 611, 613).
Supreme Court providently exercised its discretion in vacating plaintiff's default and restoring the action to the calendar. The action has merit, plaintiff has substantially complied with discovery and retained new counsel, and there is a strong public policy favoring resolution of cases on the merits (Chevalier v 368 E. 148th St. Assoc., LLC, 80 AD3d 411, 413-414 ). In view of the foregoing, we need not reach defendants' argument regarding plaintiff's motion to renew. | 2019-04-24T04:17:46Z | https://bruteforcelawyer.com/category/e-discovery/ |
The wholesale marketplace of China has advanced a lot during the last many years. As this usa has turn out to be a worldwide manufacturing hub, it needed an in-residence market that can well fulfill the want of the shoppers from all over the international. Starting from the digital goods to furniture, sports system to apparels, numerous corporations all over China are producing these gadgets every and every day.
Chinese wholesale providers purchase those objects instantly from the producers in a bulk, and promote them to the neighborhood Chinese shops and to the international customers. A wholesaler is capable of having a higher price from the manufacturer because it purchases big quantities of goods compared to an man or woman retailer.
The current repute of the Chinese wholesale marketplace- Despite getting difficult competition from its neighboring usa India in phrases of producing and business, the Chinese wholesale market has nevertheless controlled to keep its superiority. Government has taken greater measures to revitalize the wholesale industry and introduces new legal guidelines to make sourcing items from right here even greater cozy. Everywhere you pass in China, you can discover wholesale shopping vacation spot, sparkling new department shops, brilliantly illuminated shopping department stores, high-give up boutique shops, and buyers. The wholesale markets in China have heavily updated themselves and in preference to focusing on a single product, they have accommodated almost all varieties of goods and objects so one can properly satisfy the requirements of each buyer.
China is one of the most technologically advanced international locations within the international. Along with their bodily presence, all the stores over there have their presence at the virtual platform. A character from any corner of the sector could make a purchase from these shops. Chinese entrepreneurs have taken the whole commercial enterprise on-line. Alibaba, DHgate, Alipay are a number of the instances of digitization of Chinese production and the wholesale marketplace.
Chinese corporations have fully found out the significance of having a digital store to procedure an order so they can without problems skip the intervention of middlemen and be a long way extra handy to their capability clients at the countrywide in addition to international platform. Those web sites deliver copious amounts of fixtures, domestic décor products, electronic goods, heavy machines, pharmaceutical products, networking tools and almost each imaginable items. The merchandise sourced from right here are a long way extra low cost and inexpensive than the identical objects purchased in the U.S. And Europe.
This entry was posted in Business Service and tagged architecture and interior design, business accounting, business travel, career advice, careers employment, change management, construction industry, continuity disaster recovery, customer service, furnishings and supplies, industrial mechanical, international business, job search techniques, restaurant industry, resumes cover letters, risk management, sales management, sales teleselling, sales training, small business, strategic planning on June 20, 2018 by blue.
Digitization system is making its mark in each field with using Electronic or plastic cards. The modern merchandising machines are providing virtual and cellular price alternatives to the customers through pairing with Near Field Communication via Google Wallet, and Apple Pay.
With a modernization of the vending machines hooked up via the businesses, the most important focus is on saving the strength too. This is accomplished the usage of vacuum-insulated materials and hermetic doors that continues their temperature. This will lead to lesser intake of strength thereby saving the bills. It may also help in maintaining the snacks, beverages and other perishable products. On the opposite hand, it’ll boom productiveness and earnings.
The clever merchandising machines use a hint display screen that enables the clients to get complete statistics approximately the products. These machines provide an easy get entry to to the dietary as well as associated product information. Moreover, the Smart Service idea allows consumers to select the precise products, particular quantity, improves accuracy and speed of customer service.
The futuristic or custom designed merchandising machines synthetic these days provide seamless Smartphone and Artificial Intelligence interplay in a great way. They make purchasing experience real-time using the mobile app powered with AI. It offers real-time and designated stock options on the purchaser’s Smartphones. Moreover, they help in understanding client choices and similarly help the agencies of their market advertising.
The sensible vending machines alter a vast quantity of information along side inventory inventory. They are clever machines that assist in looking over the inventory of snacks, liquids or another commodity. They also are able to make inventory choices on their own and update merchants approximately the prevailing inventory. This enables the owners to refill the required products. These clever machines also keep a test at the internal technology of the machinery.
This entry was posted in Business Service and tagged architecture and interior design, business accounting, business travel, career advice, careers employment, change management, construction industry, continuity disaster recovery, customer service, furnishings and supplies, industrial mechanical, international business, job search techniques, restaurant industry, resumes cover letters, risk management, sales management, sales teleselling, sales training, small business, strategic planning on June 13, 2018 by blue.
Every keep or outlet wants to create an impact where clients are definitely hypnotized with the presentation and show, itself. Glass cloth for any store may be an brought bonus. Having toughened glass shop fronts hooked up guarantees visibility and gives any space an accentuated and ambitious announcement within the first location itself.
These glass save fronts may be clubbed with fabric like timber or aluminium to deliver out a robust yet tempting outcome.
When painted with colours and exuberant designs, it may make any storefront to appearance top notch.
Now, questioning and questioning how to continue with out understanding the benefits that those fronts offer?
Worry now not. Here are all the possible advantages you’ll be able to enjoy effortlessly without a whole lot ado.
Glass shop fronts provide customised design and fashion to any character. These doorways can come in sliding or with electrical control. Also, they can be established with the aluminium or wooden material, to offer it the sound sturdiness. The design or structure is absolutely based totally on person’s preference or desire. When introduced with awning canopies, they may be a great duo.
No one would want to spend the entire day scrubbing the fronts and not focusing on the opposite sports which are essential or important. Glass save fronts are a very feasible choice whilst cleansing takes a toll, as they’re easy to keep and clean.
Most of the instances, humans create demand for the product once they see it for real, despite the fact that they have not notion of buying it earlier than. Glass save fronts are very helpful for clients to provide powerful show or point of income service, leading to undetermined call for or wishes.
Having glass shop fronts, it is easy to make certain more of herbal mild to enter with much less use of lighting appliances at some stage in day time. A secure choice for those in which activities are not needed to be hid from the general public. If the sunlight getting into the premise may be very strong, then awning canopies of huge range may be a savvier.
You love your out of doors activities or the cute climate and need to revel in them inner. Use of glass fronts ensures sheer visibility and monitoring of outside activities without any problem.
This entry was posted in Business Service and tagged architecture and interior design, business accounting, business travel, career advice, careers employment, change management, construction industry, continuity disaster recovery, customer service, furnishings and supplies, industrial mechanical, international business, job search techniques, restaurant industry, resumes cover letters, risk management, sales management, sales teleselling, sales training, small business, strategic planning on May 24, 2018 by blue.
The digital printed packaging is hastily growing. It will provide more versatility in boxes to the clients. The packaging of the goods will be more treasured than the products. Everyone will focus on the precise and spectacular virtual packaging. The importance of packaging will growth continuously in the future. Here the importance of virtual printing is mentioned for the destiny time period.
The brands rely upon the packaging to sell their merchandise. Now brands are focusing extra on improving the great of packaging. The virtual printing has replaced the traditional strategies. The packaging enterprise is adopting the cutting-edge digital container printing strategies. The ink, coloration, textures, text, and images all are published with advanced strategies. The brands which might be adopting these strategies dominating the marketplace. The images at the packaging outline everything about your products. There is no want to print element about the products. The enacting pix will entice the clients.
The clients always call for remarkable merchandise along with packaging. The fabric of the packaging bins need to be of incredible. The virtual printing will provide this advantage each time. These printing strategies supply constant first-rate and value of packaging bins. The containers will continue to be in their unique situations for a long term period. The printing of containers will not damage. The photos and outlines imprinted on the packaging will sustain. The customers will always prefer to shop for your virtual revealed packaging with self belief and happiness. This will increase the demand for the bins distinctly.
These strategies will allow versions in designs of printing. The advanced and appealing packaging will hold close the eye of the clients. It will deliver extraordinary possibilities in focused on the markets. The clients may be captured without problems. The buyers will feel easiness in choosing first-class-published packing containers for themselves. The packing containers could be appealing and stunning. The print strategies could be extra superior and various inside the destiny. The virtual printing will use the 4D stage approach to print the containers. The customers constantly like versions inside the designs of the containers. The packaging of merchandise may be different consistent with the nature of the goods.
The buyers look for custom packaging of their very own desire. The custom printing gives this opportunity to them to get the virtual printing of the packaging in keeping with the demands of the customers. The modified custom packaging is attracting the consumers quite. The customers have more advanced alternatives and methods to layout and print the packaging. The buyers can get the gift packing containers as nicely. This will growth your packaging deliver in very brief time. Besides those, you may additionally provide custom container at numerous festivals to the clients. The customers gets the packaging bins in line with the celebrations. Then the clients will always run towards your packaging bins. You can build accept as true with with your customers. Once you will attain the self assurance of your customers, you will run your commercial enterprise with achievement in the destiny for the long time period.
This entry was posted in Business Service and tagged architecture and interior design, business accounting, business travel, career advice, careers employment, change management, construction industry, continuity disaster recovery, customer service, furnishings and supplies, industrial mechanical, international business, job search techniques, restaurant industry, resumes cover letters, risk management, sales management, sales teleselling, sales training, small business, strategic planning on May 17, 2018 by blue.
The other track for doctors includes quality detailing: Merit-Based Payment Systems (MIPS). MIPS will be founded on four measures-quality, effectiveness, significant utilization of EHR’s and clinical practice change exercises. The cosmetics of MIPS will be dictated by May 1, 2016 too.
CMS is by all account not the only payer compensating doctors for giving quality administrations. Numerous private payers additionally give motivating forces. I locate that numerous payers are compensating doctors for getting to be noticeably affirmed as PCMH’s. The Medical Group Management Association has as of late given a few insights to contrasting repayment for PCMH’s with gatherings that are not; the increments are from an assortment of payers, however not CMS right now. The information demonstrates that in spite of the fact that the aggregate general working expenses of a therapeutic home are more prominent than non-medicinal home practices- – $126.54 versus $83.98 per quiet the aggregate restorative income subsequent to working expenses are considerably higher- – $143.97 for the therapeutic home versus $78.43 for the non-therapeutic home per persistent. Blue Cross Blue Shield of Michigan has a program-PGIP-that prizes doctors for PCMH affirmation. Doctors can be remunerated abundantly for their E/M coding (assessment and administration administrations). Dr. Greg Stefanek’s gathering gets 25% for each one of its Michigan BC/BS patients, as per an internet posting of Medical Economics “ACO or PCMH: Making a critical choice for your practice”.
The prizes for getting to be noticeably confirmed as a PCMH or contracting as an ACO can be very critical. Give us a chance to look somewhat more profound into what each is.
This entry was posted in Uncategorized and tagged architecture and interior design, business accounting, business travel, career advice, careers employment, change management, construction industry, continuity disaster recovery, customer service, furnishings and supplies, industrial mechanical, international business, job search techniques, restaurant industry, resumes cover letters, risk management, sales management, sales teleselling, sales training, small business, strategic planning on October 9, 2017 by blue.
It is vital to our health to receive the nutrients our body needs. Most of these important vitamins and minerals are available in food, but not everyone gets the right amount from the food they eat. To prevent serious health care problems it is wise to make sure you supply your body with the right amount of these nutrients.
Multivitamins provide essential ingredients needed to maintain good health. They come in different forms, including tablets, capsules, and liquid. This is the convenient way to get the daily doses of important nutrients. Along with a healthy diet, a multivitamin will help support good men’s health and women’s health.
Although most people do not suffer from serious malnutrition, their bodies might be slightly deficient in some nutrients. Even a slight deficiency can pose an increased risk of numerous diseases. Even what is considered minor problems can cause a person much suffering and loss of production. Sleep disorders, loss of memory, and lack of energy are common complaints. To support good health care, a multivitamin is very helpful.
Everyone has different needs due to lifestyles, genetics and age. There are different formulas that supply a wide range of nutrients at general nutritional levels.
People of all ages can benefit from a multivitamin. Children are growing and need nourishment for their organs and healthy bones. Pregnant women have special needs to help their child to be born healthy. As people age they develop different requirements for good health. Many young women have an iron deficiency and require an extra boost of iron. There are formulas for all ages and different needs to promote good health care.
Some deficiencies are hard to pinpoint, but a multivitamin could help prevent serious problems in the future. Healthy skin, good cholesterol levels, diabetes, enzyme absorption and digestion are often improved with a combination of vitamins and minerals in a multivitamin. Some doctors use vitamins as therapy for specific conditions but it is not recommended to take mega doses without consulting your doctor. The recommended dose is the safest way to take the multivitamin.
Instead of taking a handful of supplements, a multivitamin can give you the recommended minimum daily requirements at one time. It will keep the dosages in balance to help insure the absorption of key ingredients. Doctors report that everyone would benefit from a daily multivitamin, and you will too!
This entry was posted in Uncategorized and tagged architecture and interior design, business accounting, business travel, career advice, careers employment, change management, construction industry, continuity disaster recovery, customer service, furnishings and supplies, industrial mechanical, international business, job search techniques, restaurant industry, resumes cover letters, risk management, sales management, sales teleselling, sales training, small business, strategic planning on September 12, 2017 by blue. | 2019-04-20T04:57:32Z | http://www.revlisting.gq/tag/construction-industry |
Well, been meaning to celebrate Tonks's Huffleness with a story, and if I don't start writing again soon, my brain will explode, so... just something short and fluffy. And 'Puffy. It's entirely pointless and has no deeper significance than just goofing around with Tonks, Sanjiv, Maddie, and Daffy.
The cushion of the sofa suddenly tipped upward, and she was rolled unceremoniously onto the floor. Her hand landed in the popcorn bowl, sending a buttery blizzard into Maddie's hair.
The boys laughed and dropped back down. "You were getting a bit uppity there," Sanjiv said. "When they finish with the dryer, those shorts come back."
"Shhh," Maddie hissed, "I'm trying to hear the little green bloke."
"He keeps saying the same thing," Sanjiv said, then dropped into a crouch and spoke from some high, pinched place in his throat. "'Anger, fear, aggression... the Dark Side are they...'"
"I think Hufflepuffs are immune to the Dark Side," Daffy said. "I mean, Gryffindors, they're all about aggression, so they're in trouble. Ravenclaws are pretty twitchy, so I'd say they've got fear covered. Slytherins seem to be awfully angry. But no one goes to the Dark Side for being modest and kind and generous and--"
"And dumping their friends off the sofa..." Tonks said.
Maddie crawled closer to the television. "I think there's a special express route for people who don't let you watch a whole story in peace."
"I can't believe you've never seen this," Sanjiv marveled. "Aren't you a half-blood?"
"My grandmother's a Muggle," Maddie said. "And she adores the theater. She thinks films are... oh, goodness, is that the bad guy? Why's he in the tree?"
Maddie threw a slipper at Sanjiv. "Don't answer me when I ask about the plot, you idiot."
"I think thinking that we can't be turned would be a bad sign," Tonks said. "And I think a Hufflepuff Jedi on the bad side would be bad, bad news. Imagine the twisted up loyalty."
"What would they do to turn a Hufflepuff bad?" Daffy asked.
Maddie made a choked sound and leaned forward, hitting the button on the machine that stopped the film. She turned around with her teeth clenched. "They'd probably just keep interrupting her bloody film," she said. "That'd do it nicely."
Daffy rubbed his hands together gleefully. "Evil Maddie! Whatever will she make us do?"
"Oh, go pound sand," Maddie sniffed.
"An evil plan indeed, which just proves that even if you could turn a Hufflepuff evil, we'd be terrible at it."
Maddie sighed, giving in to the conversation. "We make excellent minions, though."
"That's my life goal," Sanjiv said. "To be a minion of evil. Is there any popcorn left?"
"You can pick it out of Maddie's hair," Tonks suggested, and Sanjiv set to it, deliberately bouncing around to look like a gorilla in the zoo. Tonks shook her head, and got back up onto the sofa, smoothing her sophisticated pajamas down. "I think we'd be easy to turn," she said.
She nodded. "Question: Someone grabs Sanjiv off the street and tells you that he'll be tortured to death if you don't turn to the Dark Side."
"Why me?" Sanjiv asked, yanking some of Maddie's hair and causing her to mutter, "Purely revenge."
"I guess I'd, well, I..." Daffy thought about this. "Well, why would someone take Sanjiv?"
Maddie rolled her eyes at Tonks. "Boys," she said, then looked at Daffy. "That's the whole point. Gryffindors would make some great rescue attempt. Slytherins would try to get around it. Ravenclaws would probably try to come up with some equation about one person versus lots of people. But us? We don't rush in, except for Tonks, we don't lie very much, and we don't look at some Ravenclaw accounting book. We'd just do what we need to if it gets one of our own back." Sanjiv tugged at a stubborn piece of popcorn in her hair and she shoved him away. "Though I'm having second thoughts."
"Right," Tonks said. "Except of course, that what we'd actually need to do is rush in and grab him away from whoever's got him."
"The Hat tried to put you in Gryffindor, didn't it?" Daffy asked.
"That's between me and my millinery," Tonks said.
"It did talk to you for a long time," Sanjiv said. "I remember. I was waiting for you after the train, and I thought it was going to send you somewhere else for a minute."
"It wanted Mum's recipe for plum pudding." Tonks shrugged, wanting to get off the subject for reasons she couldn't entirely pin down. Nothing ominous had been said at her Sorting, but the Hat had commented on her Black family heritage, and that wasn't something she cared to talk about, even with her friends. They knew about it, but they didn't really know.
Sanjiv shrugged this off, unconcerned. "What about you, Daff? You went first, so everyone saw it take forever."
"My dad was a Ravenclaw," he said. "There was some talk about that, but it didn't think I would really fit in there. Same as Mads."
"And everyone else," Maddie said. "I think it likes to tease people with Ravenclaw. What about you, McPherson?"
"It barely talked to me," Sanjiv grumped. "The first magical thing I got to use, and it barely said 'boo.' Just 'Hufflepuff,' and there I was." He grinned. "I guess that means that I'm purely good and can't be brought over to the Dark Side."
"Guess I need to rethink that theory," Daffy said.
"Really?" Maddie said, her eyes wide with fake innocence. "You think it's possible that we aren't purely incorruptible?"
"Practically perfect in every way?" Tonks added.
Daffy flashed an obscene gesture at them.
"Sanj," Maddie said, "I think you should re-draw Daffy's picture in the common room, so it does that to everyone who happens to walk by. Just for realism."
"There's a Sealant Spell," Sanjiv told her with palpable regret. "I tried to change yours around to look sour and scold everyone who happened by, and it wouldn't let me."
Maddie stuck out her tongue and made a wet sound in his general direction, then reached over to start the film again. She lay on her stomach, head propped up on her hands, watching raptly as the handsome hero bounced by in a tight, sweaty sort of shirt.
They watched quietly for a while, then Daffy said, "Now, this guy"--he pointed to the hero, who was currently insisting that he had to go save his friends--"is a Hufflepuff."
Sanjiv snorted. "Oh, yeah. Wait until you see his mad loyalty bit in the next film."
"What does he--?" Daffy started, then noticed Maddie glaring. "Er, I suppose we'll just play that one next."
"Too right we will," Maddie said, cupping her hands over her ears, only open toward the television, blocking them out.
"Of course," Sanjiv said, "the real 'Puff turns out to be--"
This time, he was shushed by both Maddie and Daffy. Tonks, who knew who turned out to be the most madly loyal of all, rolled her eyes at him, then slithered down to the floor to lie down beside Maddie and enjoy the view. A moment later, the boys joined them, one on either side, and they watched the rest of the movie in relative peace (interrupted only by Sanjiv getting up to madly yell, "Noooooooooo!" in a melodramatic impersonation of the hero, for which he was pelted with popcorn seeds).
While Sanjiv was rewinding the tape and getting the next one ready, Tonks nipped upstairs to the bathroom. She made serious, sophisticated faces at the mirror for a few minutes (the dryer was long done, but she didn't replace the pajamas with her own shorts), then headed back downstairs. She paused a few risers up, watching the others. The boys were tickling Maddie, who was red-faced from trying not to laugh.
"Do you all plan to sleep soon?"
Tonks turned. Sanjiv's mother, a beautiful woman whose looks had mixed badly with her husband's to produce the boy that some of the crueler children in school called Frankenstein, was standing behind her, smiling faintly. "Er... We'll try to be quiet."
Mrs. McPherson shook her head. "I remember thirteen," she said. "Enjoy yourselves. I work in the afternoon tomorrow."
Tonks smiled, but shushed the others when she got back to them anyway. Mrs. McPherson was a Muggle Healer, and Tonks had grown up with a pair of Healers... she knew their idea of a late morning was getting up after the sun was already completely over the horizon.
They talked about Quidditch, assignments they hadn't got properly started on yet (tomorrow, they had every intention of going to the library for their Muggle Studies project), and the irritations of all other Houses. Daffy again tried to categorize which Houses would perform well in various film occupations they'd seen together over the past few years. It was decided that Hufflepuff would make fine Jedi, archaeologists, and alien finders, while Gryffindors could perhaps do well fighting against things that had knives on their fingertips. Ravenclaws were only for the serious sorts of films, and Slytherins were gaily relegated to serving as magical nannies for the children of stuffy bankers, to be blown about by umbrellas in the wind.
"I think we could fight Freddy Krueger," Sanjiv said. "Why should that go to Gryffindors?"
"Well, they have to do something," Maddie said. "And I didn't like that film." She yawned extravagantly. "I'm really tired. Maybe we should watch the other film in the morning."
"But there's a gold bikini!" Sanjiv protested. "And don't you want to get to the part where--"
Maddie made a cutting-off gesture. "Tease me tomorrow. I want to sleep."
Sanjiv sighed. "Well, the sofa bed's made up, though Mum said I should tell you girls you can have my room instead if you'd like, and Daffy and I can stay down here."
"Your room smells like moldy curry," Tonks said. "Why would we want to stay there instead of here?"
Sanjiv and Daffy exchanged a glance, and Daffy pointed vaguely at Tonks's midsection.
"He has bad aim," Maddie stage-whispered, pointing at Tonks's practically non-existent bosoms to clarify. "And apparently I'm in no danger."
Daffy nodded at Maddie's more significant endowment. "We're afraid we'd suffocate in there."
"Personally," Sanjiv said, "I'm more worried about them coming after us, you know."
"Oh, right," Tonks said. "I always meant to jump all over you while wearing your mother's pajamas."
Sanjiv wrinkled his nose. "All right, I think you've just scarred me for life. You can stay."
In the end, they collapsed into a companionable pile on the thin mattress, falling asleep to the familiar sound of one another's snores.
But, awww, HuffleTonks! I have a pretty big weakness for any kind of wizarding geekery over Muggle stuff, so I think Tonks and her friends watching Star Wars is hilariously adorable, or adorably hilarious, or something. Whatever it is, it's really cute. Especially since they're having the same kinds of conversations I tend to have with my friends, except my conversations go under the banner of fancrack instead of...something else.
Yeah, I'd put Luke in Gryffindor, too--maybe with the Hat mentioning, "Hmm, you might fit in Hufflepuff, but..." He's a Gryffindor raised well by two Hufflepuffs. But I figure that the kids were mostly just putting everyone they liked in Hufflepuff with them.
This is totally the kind of party my friends and I would have had. All that was missing was Daffy, instead of Tonks, borrowing Mrs. McPherson's nightie and waking up in the middle of the night, growling in a tenor, "My nightie's riding up on me!"
Ah, come on! They finish The Empire Strikes Back for the first time and could WAIT to see Return of the Jedi? All right, I'm the kind of person who all but breaks out into a hive waiting for the next bit in a two parter, and that's now that I'm an adult and can usually spot the ending coming. At thirteen, I'd have been screaming "WHAAAAAAT!!!!!????"
Come to think of it, that is about what I did at the end of The Empire Strikes Back.
OK, my movie viewing memories are getting in the way. I really liked this as a framing device for the comaraderie and memories. I also loved that, instead of sending the Slytherins to the Dark Side, they considered what would drive them to the Dark Side and then gave them the job of being Mary Poppins (Mary Poppins as a Slytherin, I love it).
But I did want to see their reaction when, after declaring how hard it is to get Hufflepuffs on the Dark Side (and then giving reasons that match Luke's later dive in that direction), seeing him get downright tempted.
And who has been letting the thirteen year olds watch Freddy Krueger? That's an R rated film (of course, I'm considerably past thirteen and still get nightmares when I read King, who's one of your favorites, so I realize we're coming at this from different angles [I've also spent my share of time with little kids who freaked out over things I had considered anxiety proof. Then they try to convince me they won't get scared if I let them watch something I KNOW has freaky stuff. It so doesn't work]).
Actually, I think my exact words at the credits to Empire Strikes Back were "YOU'VE GOT TO BE KIDDING!!!!" as I contemplated waiting years to find out what happened next.
I loved the fluffy story, Fern. But tell me, how did you place Tonks as a Hufflepuff. Good guess or based on JKR's descriptions?
Mostly lucky guess, honestly--there's a one in four chance! I originally vacillated between Hufflepuff and Ravenclaw, but picked 'Puff because I thought it would be neat if Cedric's death was part of what pushed her into the order. Then I started justifying based on the way she seemed to treat everyone exactly the same (she made a great bridge in the "Advance Guard" chapter because she treats Harry exactly the same way she treats Moody), but that came after deciding it was what I wanted to do.
I'm not a big fan of the slasher flicks, either. King's not as gratuitous as Freddy, and if I want to be creeped out by a dream monster, I'll rent Dreamscape, with Kate Capshaw. Much creepier.
Perhaps my friends were more aware of my horror movie gutless wonderness than I'd realized at the time . . . . Either that or Freddy wasn't quite as big in my neighborhood. Or I'm the wrong age to have noticed. Or a little clueless about anything popular I'm not actually interested in (if I weren't a Harry Potter fan, might I be going around saying, "Harry Who?" or even, "Come on, they're not THAT popular."
Didn't mean to compare Jason or Freddy with anything by King beyond the (for me) common denominator of needing the hall light on for the next six months. What can I say? Horror works a little too well for me. I come out of even very poorly written, highly predictable ones with at least a dash of post traumatic stress syndrome.
Personally, if I were sorting Mary Poppins, I would without hesitation put her in Slytherin. Have you read the books? Then again, the kids are going by the movie, so I dunno. I don't have very clear memories of it.
Fern, this story is everything I could wish for! Friendship + sober conversation evaluating one's own capacity for evil all wrapped up in marvelous geekery.
Definitely Slytherin. Even if you go by the movies, sure she's cheerful and sings a lot But even her songs are geared toward manipulating others into doing things her way. Remember how she deftly gets Michael to go to sleep by pretending she doesn't want him to?
She would get along wonderfully with Snape, BTW. As I recall, she was as wonderfully snarky as he was.
Cheers, Fern! Another fun little ficlet.
Cheers, Fern! Another fun little ficlet. I really can't understand how you can throw stories out of your sleeves like that, but I'm certainly grateful for it!
And as a side note, I agree with the above - could you possibly show them reacting to Return of the Jedi the next morning? I'm all curious now.
That was a wonderful piece of 'Puff Fluff. And it was, as it is so often, the little things that struck me the most.
It's nice to see that the drawing of first years has continued (I liked your "Imago Virei" story very much). Do students take their pictures home when they graduate? Otherwise, the 'Puff common room would have run out of wall space by now.
Glad to see you writing again.
Hee, I loved this. Glad to see you writing again.
Great fic! I read a fanfic where Harry, Ron, and Hermione watched Star Wars and it made me laugh as well. I liked the bit where they discussed whether or not Hufflepuff could be tempted by the Dark Side, especially since in Quidditch Club one of our Hufflepuffs is the head of the Death Eaters.
Tonks is already thinking like an Auror! | 2019-04-19T22:43:44Z | https://fernwithy.livejournal.com/597260.html |
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Sunday, March 27, I had the joy of worshiping with Pastor Jason Tash and the team at Columbia City New Hope Wesleyan Church in both of their morning services. I brought the message in each service and then met briefly with the LBA following the second service. New Hope generously engages ministry outside its walls with a backpack/meals program with a nearby school, an ongoing prison ministry, and a global missions support including the Gallants (one of our Crossroads missionary couples) serving in Cambodia. The church is preparing to celebrate their 25th anniversary next month.
They are ramping up for a new season of ministry with a new discipleship and leadership development strategy and will be unveiling their new website as part of their anniversary celebration. Each Easter they offer a dramatic presentation of the life of Christ and typically welcome more than 1200 people for this outreach event.
I am grateful for the way that Pastor Jason Tash invests in other churches and leaders. He serves on our District Board of Administration as an Assistant DS / Regional Director for Region 1 which includes our churches in northeast Indiana. He also completed training in the StratOp church planning process with the UnStuck Group and is available to lead consultations for churches who are looking to take their ministry to the next level.
Westfield Paradox Church took another big step yesterday as they launched their weekly Sunday morning gatherings after several months of preparation and community engagement. Pastor Jordan and Karen Gardner and the Paradox team were praying and working hard to prepare their ministries and the facilities for this next phase of their launch strategy.
We celebrate with them as more than 90 adults and 30 children gathered for the first time as a worshiping congregation. I was only partly joking when I asked Pastor Jordan if they were planning for double services on Easter weekend. One of the needs they have to address is additional parking. Pray as they build with this initial launching group toward their “grand opening” in September.
Our pastoral family grew this past weekend with the blessed addition of Emery Ann, born to Pastor Logan and Shaina Patriquin (Lafayette Schuyler Avenue). Emery arrived on Saturday morning weighing in at 7 lbs and 6 oz. Mother and daughter are both doing well.
Last week began with meetings on Monday that concluded with our Hispanic pastors monthly leadership connection at HQ in Fishers. Tuesday, I was on the road for coaching conversations with Pastor John Freed and Pastor Jon Wiest. Tuesday afternoon I had the privilege of debriefing with Rev. Travis and Melody Croft who completed their church planter assessment in Michigan earlier in the month. Even if you’re not planning to plant for a few years, the church planter assessment is an exceptional opportunity to consider how God has designed and gifted you for Great Commission ministry. If you’d like to know more about steps toward church planting, call or text me and let’s have a conversation.
Wednesday morning, I sat in on a planning meeting for our first Crossroads District Church Planter Training event on May 12-13. This will be for people who are eager to understand more about what it takes to successfully launch and sustain a new church. We are pleased to announce that Rev. Chris Conrad, West Michigan DS and former Director of Church Multiplication for The Wesleyan Church, will be one of our keynote presenters.
Wednesday afternoon, I was in New Castle to meet with Pastor Paul Kirk (Memorial Drive Wesleyan) for our annual coaching conversation and then in Muncie to meet with Pastor Paul Walden (18th Street Wesleyan) for the same.
Thursday, I taught the Congregational Leadership class at Wesley Seminary and welcomed Sherry Gorveatte as a guest presenter on congregational finances and tax issues. Thursday evening, Sherry and I had supper with a pastor and his wife who are exploring transferring to The Wesleyan Church from the United Methodist Church. These are days of uncertainty for many evangelicals in the UMC. While we are always open to welcoming like-minded and warm-hearted Wesleyan Arminians to join our leadership corps in the Crossroads District, do pray for these brothers and sisters who are faced with difficult decisions.
Friday morning, I was in Monon to meet with Pastor Steve Sparks for our annual coaching conversation. I met Sister Kay Dickerson (lay supply pastor serving at Kirklin) for lunch in Frankfort. She and her husband Bill are standing in the gap at Kirklin and seeing wonderful answers to prayer. Attendance has doubled, giving is up, people have been saved and they’ve seen God move in healing. I wrapped up the day meeting with Pastor Dan Eckart (Warren Park Wesleyan).
Easter is just 3 weeks away. I’m encouraged by the reports from churches that are making preparations to invite and welcome guests on Easter weekend. Let’s also make this a point of focused prayer that people will clearly hear and respond to the Gospel. Let’s also be as intentional about following up on guests and discipling new converts as we are getting ready for Easter.
Just a gentle reminder that we close our books on another conference year on April 30. Thank you in advance for your strong support of the United Stewardship Fund and your timely filing of statistical reports. Together, we are making a difference!
P.S. – Sherry and I will be away on vacation (with limited communication access) leaving this Wednesday and returning home next Tuesday evening. Rev. Chris Williams, Assistant District Superintendent, will be available to answer questions or assist in other ways.
Sherry and I had the joy of bringing greetings from the Crossroads District to the 10th anniversary celebration at Level 13 Church in Fort Wayne. Pastor Rob and Melinda Tippey left the security of a staff position at Lifeway Church in New Haven to step out in faith with a small launch team, including a teenage band, to plant a new church.
The group began meeting in Tippey’s basement before moving to rented facilities and finally to their current location. They’ve baptized more than 80 new believers in the past 10 years, sponsored missions teams to Central America, and launched their first daughter church (New Haven Impact) with Kory Christensen as campus pastor. Jordan Gardner, church planter at Paradox Church in Westfield, sent greetings and the Level 13 team received an offering to bless this new mission. To finish off the day, Pastor Rob baptized three new believers and cast vision for the next chapter in the exciting story of Level 13!
I was in the Marion office for a district staff meeting and then out to sign documents for two of our congregations on Monday afternoon. One of the signings was in Anderson with Rev. Carol Schenck, our District Secretary, as Pastor Jerry Alexander and the Central Wesleyan team make preparation to open a new childcare center under the direction of Ms. Brittani Day. This is a much needed ministry in their community and the facility improvements will also be a blessing for their growing congregation.
Tuesday morning, I met with a prospective church planter in Fishers, then met with Pastor Richard Cole in Lapel for lunch and our annual coaching conversation. I also enjoyed touring the recently remodeled facilities. They suffered significant water damage from a sprinkler system breakdown and had to vacate the property for several months. The renovations are complete and first class. They’re planning for an open house and dedication on May 7. Even more exciting than the updated facilities are the changed lives with 4 baptisms last month and 8 in their new members class.
Later Tuesday afternoon, I met with Rev. Clifton Ashlock in Anderson for our annual coaching dialogue. Some of you have been following the amazing story of Memorial Circle Wesleyan Church relocating to a facility offered by a nearby Friends congregation. It’s always exciting to hear the testimonies of life change (including 7 recent professions of faith) from this unique congregation that offers ministry in two languages. They are also selecting a new name for their church to capture the new work that God is doing here.
Tuesday evening, I was back at Muncie Memorial Drive to meet with their LBA under the leadership of Dr. Dale Wheeler. It was good to sit in and hear the steps they’re taking to reach their community for Christ. They are taking in 3 new members and getting ready for their next baptism service.
Wednesday morning, I met with Pastor Allen Laws in Warren for our CC (coaching conversation). This was my first visit to Warren and it was good to see the work that’s been completed under Pastor Allen’s leadership.
Sonlight Wesleyan Church in Bluffton was my next stop on Wednesday as I met with Pastor Lyle Breeding for our CC. This was another first-time visit for me so I appreciated learning about the history of the ministry. Pat Breeding has stepped up to lead the children’s ministry and Lane Sander, assistant pastor, is leading a growing counseling program that is having a real impact in their community. The leadership team is working on their self-study in preparation for the upcoming Maximizing Impact consultation.
Wednesday evening, I met with Pastor Calimerio Rodriguez and the leadership team at Frankfort Templo de Poder, our Hispanic congregation that worships with Pastor Alan Downing and the Frankfort First Wesleyan congregation. They have been experiencing attendance growth and this was a helpful conversation about future possibilities.
Thursday, I was off to teach the Congregational Leadership class at Wesley Seminary. For this session, we had the special privilege of hearing from the perspective of a committed lay leader in the person of Dr. Ed Hoover, a gifted and committed Christ-follower in the Crossroads District who has served The Wesleyan Church on local, district, denominational and university boards. The students really appreciated Ed’s wise insights and passion for the Church.
Friday was another highlight as I had the joy of meeting with Pastor Rob Tippey and the Fort Wayne zone pastors to take a significant step toward a new church plant. Our church planting process in the Crossroads District begins with our local pastors identifying church planting opportunities around them and then prioritizing those opportunities to focus their zone partnership. The next step is to interview prospective planters for their projects. If they agree that this planter is a good fit for one of their priority projects, they vote to recommend the planter and project to the DBA. With the zone’s recommendations, an assessment report and a strategic plan (with budgets and timelines) for the project, the DBA has authority to approve the project and appoint the planter.
The Fort Wayne Zone pastors agreed that planting a Hispanic church in Fort Wayne was a priority project. Latest census data recorded approximately 12,000 Hispanics in the city but market analysis estimates that the number may be closer to 20,000. We were also able to interview prospective planters for this new work. It was inspiring to hear how God has been working ahead of us to bring this family to Fort Wayne after years of effective ministry with The Wesleyan Church in Costa Rica. There are still logistical questions of immigration, funding and strategic planning to work through, but this is a big step forward for the Fort Wayne Zone and the Crossroads District.
On Friday evening, Sherry and I hosted the Hispanic Zone pastors and spouses at our home in Upland. It was a heartwarming evening of fellowship, worship and prayer. Dr. Norm and Kim Wilson have played a key role in encouraging the development of this team of leaders. Raleigh and Luis Pedro also helped us host and translated through the evening. We are praying and working together toward the day when we have as many as 25 Hispanic congregations in our district.
Please join me in praying for Pastor Lloyd Moore (Cicero United). He was admitted to the hospital in very serious condition on Thursday but has responded well to treatment and, pending doctor’s orders today, may be released on Tuesday to recover at home.
We’re also praying for Rev. E.R. Mitchell and his family. Rev. Mitchell suffered a serious heart attack over the weekend and is not doing well. He is one of our district’s heroes who has faithfully served the Lord and proclaimed the Gospel for more than 70 years.
Exponential Conference in Orlando (April 24-28). There are still a few $500 scholarships remaining for Crossroads District pastors.
Sunday morning, March 12, Sherry and I worshipped with Dr. Dale Wheeler and the growing congregation at Muncie Memorial Avenue Wesleyan Church. Dr. and Mrs. Wheeler are providing exceptional leadership, not just to the church family but to their own grandchildren who are part of the congregation. It was a joy to see Dr. Wheeler serving on the same worship team with two of his grandchildren.
Last week’s highlights included meeting with Pastor Rob Tippey (Fort Wayne Zone leader and pastor of Level 13 Church) to connect with prospective church planters. We were honored to welcome Rev. Roilyn and Dylana Angulo for an exploratory visit. Pray for the Fort Wayne Zone pastors as they meet with the Angulo family this Friday to consider the next step toward launching a new Hispanic ministry in this zone.
Through the day on Wednesday and Friday, I participated with 20 other leaders from across our denomination in a “Strategic Dialogue” hosted by Dr. Wayne Schmidt, our General Superintendent. Dr. Schmidt invited these leaders to dialogue with him about ways The Wesleyan Church might be reimagined to better release and empower our catalytic multiplication leaders to unleash the apostolic impulse that marked the Wesleyan revival. No one believes that structure can intentionally create a movement, but we have seen structure unintentionally constrain a movement. Dr. Schmidt is making this a matter of focused prayer and welcomes your partnership in seeking God’s direction.
Wednesday evening, I met with the Finance Team from Sheridan Six Points as they look at creative solutions for funding their ministry and implementing the prescriptions from the Maximizing Impact consultation.
I taught the Congregational Leadership class at Wesley Seminary during the day on Thursday. On Thursday evening, I joined the LBA (Local Board of Administration) at Sims Wesleyan Church for the 4-year review of Rev. Brian Williams extended call. The board unanimously affirmed Pastor Brian’s extended call with expressions of appreciation for his pastoral care and preaching ministry. The church has also completed interior remodeling and recently added a new sign.
After the Friday session of the Strategic Dialogue at HQ, I joined Randall Hudson, our Crossroads District Director for SAM (Senior Adult Ministries), for their spring banquet at Sheridan Six Points Church. I brought greetings from our district team and expressed our appreciation for the impact of their faithful service in our churches across the decades. There was a great turnout, a delicious meal and delightful entertainment for the evening. Randall announced the 2017 fall tour for SAM. This year’s bus excursion will travel to Branson, MO, October 2-6. The tour will include the musical “Moses” (produced by Sights and Sounds) and a day at Silver Dollar City. And we’re pleased to announce that Dr. Charlie Harris returns to drive again this year! Seats are going fast. For more information, you can call Randall Hudson: 765-675-9045.
The prayers and sympathies of our district family are extended to Rev. Chris Williams, on the passing of his grandmother. Chris preached the message at her funeral on Saturday. Also on Saturday, the family of Mrs. Roberta MacCallum (mother of Chuck MacCallum, grandmother of Teresa Batman and Chad MacCallum) gathered for her memorial service in Kansas. Both of these godly women have made significant impact on the Kingdom and have a legacy of faith that extends to multiple generations.
I received an exciting report last week from Pastor Jerry Alexander at Anderson Central Wesleyan. For the second year now, they’ve hosted the awards program for their basketball outreach on Sunday morning. Last year there were more than 150. This year there were 217 in attendance with many first-time guests.
I’m pleases to report that Rev. Clifton Ashlock (Anderson Memorial Circle) and Rev. Don Bayne (New Carlisle) both received unanimous pastoral votes to continue their service for 4 more years. Our district is blessed with many faithful and effective long-term pastoral appointments as exemplified by these two leaders.
This coming Sunday, I’ll be in Fort Wayne with Pastor Rob Tippey to celebrate Level 13 Church’s 10th Anniversary.
And, there are still a few $500 scholarships remaining for Crossroads District pastors to attend the Exponential Conference in Orlando (April 24-28). | 2019-04-21T06:16:07Z | http://www.crossroadsdistrict.org/team-updates/archives/03-2017 |
As its matronymic subtitle suggests, Trickster, My Beloved is a collection of devotional poems for Loki, written by Elizabeth Vongvisith and published by Asphodel Press. In her introduction, Vongvisith describes the book as the fulfilment of an oath, identifying works of heart, mind and hands as some of the best offerings that can be made to the gods. It is a physically slim offering at only 60 pages, but a profound one nonetheless.
Published in 2006, a lot has since changed for the public view of Loki, with his profile rising dramatically, as any Marvel-tainted search results on Google, Tumblr or DeviantArt will testify. More pertinently, the Troth this month rescinded their ban on the hailing of Loki at Troth-sponsored events, suggesting a certain degree of rehabilitation for the troublesome god. The Loki in these pages doesn’t necessarily seek the kind of respectability offered by the Troth, or the fame, fanfiction and silly helmet that comes courtesy of Tom Hiddleston (had to Google to check the correct name, naturally), being instead more mercurial and capricious.
As a godwife of Loki, there’s a certain degree of intimacy in Vongvisith’s writing, which helps that air of devotional fervour. Loki is presented as a lover and constant companion, a presence whose spirit can sometimes seem almost all consuming, creating words that are redolent of the fervid depths evident in some Hindu religious devotional material. Vongvisith doesn’t shy away from Loki’s other wives, though, and has poems for both Angrboda and Sigyn. In Victory, she addresses Sigyn as her Lady of Endurance, an underappreciated figure with hidden strength and significance. Meanwhile, in Angrboda’s Lament, Vongvisith has Angrboda relate key moments of her and Loki’s interactions with the Æsir, ending each verse with a plaintive folksong-like refrain of They will take away my love, and bury him, until it concludes with the bittersweet variation They have taken my love, and buried me with him.
The sense of personal loss in Angrboda’s Lament and Victory is something of a trademark of the poems included in Trickster, My Beloved, and occurs again, in its most striking and effective manner, in The Price. Here, Vongvisith addresses Loki, describing as a seer how his children were taken from him and how the intestines of his own son were used to bind him, all drawn in heart wrenching detail that disintegrates into paroxysms of apoplectic rage.
The ties familial that are hinted at in the poems for Angrboda and Sigyn are also found elsewhere, with Vongvisith addressing other members of Loki’s family. In For the Lady of the Leafy Isle, she speaks to Loki’s mother Laufey as any daughter-in-law might, testifying to her strength and thanking her for the welcome into her house and family. Similarly, For Surt is a paean to the fire giant who here, and in other books from Asphodel Press, is identified as the foster-father of Loki. And finally, In the Dark, one of the longest poems here, describes an underworld encounter with Loki’s daughter, Hela, in language so vivid that it practically acts as a guided visualisation.
Although they are not necessarily intended as such, the clear imagery of In the Dark, or the invocatory tone of For Surt and some of the poems addressed directly to Loki, all reveal a potential for ritual or liturgical use. Words written in devotion, rather than supplication or as a wand-wielding threat, seem so much more numinous and valuable to personal practice.
Trickster, My Beloved is presented purely as text with not a single accompanying illustration, which is a slight shame, as the evocative imagery could easily have sparked a few images from any talented illustrator. One such illustrator, Milwaukee-based Grace D. Palmer, does provide the cover image, a painted image of a naked Loki, single lit match in hand, presumably about to be, in the words of the song, burning down the house. The layout follows Asphodel’s familiar style, with nothing exceptional but a still solid and functional look.
If you didn’t already know, your humble reviewer is quite the fan of Marjorie Cameron, with the Apsinthion collaboration between Gydja and Emme Ya giving aural form to much of her work and magickal cosmology. Songs for the Witch Woman is a collection of poetry by Jack Parsons, dedicated to Cameron, and illustrated throughout with her evocative imagery. Previously, as far as I’m aware, only publically and partially available in the September 1974 issue of the English Thelemic journal Sothis: A Magazine of the New Aeon, the thought of a release like this was very much a fevered Babalonian dream.
This version of Songs for the Witch Woman represents a typically exhaustive edition by Fulgur, with the poems, drawings and diary entries published together for the first time, along with a complete facsimile of the original 1950s notebooks, and contextual commentaries from William Breeze, George Pendle and Margaret Haines.
Parsons and Cameron’s currency has risen a lot of late, no doubt partially due to the two biographies on Parsons and Spencer Kansa’s one on Cameron. No longer quite that heretical fool that Crowleyan orthodoxy consciously or unconsciously attempted to paint him as, the father of American rocketry has now even had his life recently immortalised in the golden age of on-demand video; you can rest assured we won’t be watching that, of course.
The poems that comprise Songs for the Witch Woman were written by Parsons between 1946 and his death in 1952, and act as both a paean to Cameron, and an explication of the magickal cosmology they developed, the Witchcraft. Babalonian and sabbatic imagery abounds, with goats, horned moons, and voluptuousness up the wazoo. Parsons writes with a clear, evocative poetic style, with little baroque ornamentation and a pace and structure that means many of these poems could act as effective ritual accompaniments.
Against some of the poems, are twenty pen and ink images by Cameron, exhibiting a staggering control over line and form. Her style is entirely her own, all evocative economy of line and space, though there are obvious touchstones including Aubrey Beardsley’s stately royal figures, Egon Schiele’s jagged bodies, and somewhat prochronistically, Peter Chung’s aberrantly sensuous elongated flesh. Austin Spare could also be mentioned as a de rigueur comparison, with both artists sharing an interest in magickal bodies, though there’s a more angular and visceral quality to Cameron’s hand, rather than Spare’s ephemeral phantasmagorical forms.
Cameron’s minimalist skill is particularly evident in the images accompanying Aradia and Aztec where the amount of strokes needed to construct them can be counted on two hands. In others, Cameron, plays with the space on the page, in Autumn placing an obvious simulacrum of herself in the lower half of the page, with her hair rising up like flames into the space above her head. Something similar occurs in Passion Flowers, where the hair of a supine figure flows down and across the page, cascading from upper right to lower left.
Amongst the elongated female forms, of which there is an abundance, are images of Parsons, rendered unmistakable with Cameron’s economy and her evident ability as a caricaturist, able to distill someone’s essence into a few lines. Handsome and heavy-browed, he appears regal in the finely and confidently crafted images accompanying The Fool and Merlin, while his shock of dark hair is rendered matted in ink spatter amongst leaves and spider web in the qliphothic Neurosis. He can also be glimpsed in the ithyphallic eponym that accompanies Pan, or as the Sorcerer whose body seems to disintegrate amongst the stars he wields.
The digitised pages of the notebook are reproduced at 90% of their original size and include full page illustrations against some of the entries. In the case of some poems, such as Pan, this provides an additional image to illustrate the text, while others are the companions to previously unaccompanied poems. The style of these is less refined than Cameron’s black ink images, replacing the stark contrast of line and space with thicker strokes and washes of colour against the ecru background of the paper.
The images and words of Songs for the Witch Woman are bookended with excerpts from Cameron’s diary, presented as both transcribed text and as the original handbook scans. Written a few months after the death of Parsons, the words were received as part of magickal workings, so for those inclined to adherancy and devotion, they have the status of holy writ (guilty). This is especially so when the digitised originals allow one to see Cameron’s hand, her script becoming larger and more emotive as pages past.
Songs for the Witch Woman is an invaluable resource, whether it be as simply a documentation of the work of Cameron and Parsons, or as a record useful for further research. Both the songs themselves and the entries from Cameron’s diary are rich in information and imagery ready for analysis, extraction or elaboration. Fulgur are to be commended for the thoroughness of their approach, with the large format and extensive scans of the original pages doing the work immense justice.
Songs for the Witch Woman is available in a limited edition hardback with 176 30.5cm x 24cm pages on 135gsm Italian paper, bound in blue cloth bearing the image used for Danse on the cover in black and a debossed silver moon on the back. It is completed with a dust-jacket bearing the first image from the original release on the front, and a reproduction of the words to Witch Woman on the reverse. The edition is limited to a fitting run of 1560 copies, 1390 of which are the regular edition, 156 of which are bound in quarter morocco leather, and fourteen of which are bound in full morocco.
The popularity of Lucifer seems to be surging of late with the recent compendium The Luminous Stone: Lucifer in Western Esotericism from Three Hand Press, a similar anthological work on its way from Anathema Publishing, and, of course, Peter Grey’s significant 2015 opus Lucifer: Princeps; not to mention the surfeit of Lulu and Createspace generated tomes that fill your Amazon recommendations with their appalling cover art, clunky sigils and poor typeface choices. Black Moon Publishing’s foray into this tumescent Luciferian field brings together a vast array of contributors, sixteen in all, variously presenting essays, poems and a smattering of images.
The first section, Awakenings, compiles a multitude of contributions within a relatively slight space, mostly short, personal anecdotes outlining people’s occult journey’s within which Lucifer, in some form, has played a role. There are nine of these in all, and at the beginning they are largely interchangeable, with similar writing styles depicting similar journeys. There’s often an estrangement from organised religion, which is followed by an encounter with an, at first, ambiguous supernatural figure whose identity is later confirmed to be Lucifer.
Speaking, erm, personally, the personal anecdote has never done much for me as a contribution to devotionals like this. While I realise that this approach is, in some ways, the very definition of a devotional, it seems to lack something when that experience isn’t expanded upon, and given context within a greater anthropological or mythological framework. Otherwise, it remains just a personal testimony, the equivalent of a fireside ghost story, which the reader has to either accept or dismiss; and as a somewhat pragmatic reviewer of books about magickal shenanigans, my default setting is the latter.
The contributions in Awakenings are often short and it isn’t until the second section, Love, Light and Laughter, that one realises why this is, with many of the stories now picking up from where they left off. Proof, mayhaps, that I didn’t read the introduction too carefully. This is not an entirely satisfactory device, given that the somewhat interchangeable nature of the contributions makes it hard to keep track of where the narrative is up to. And then there’s the additional wrinkle of perhaps not really wanting to hear anything further from a particular contributor after the introduction they’ve made in Awakenings. Because of how integral this multiple section structure is, it is worth mentioning the names of the nine contributors who reappear in this capacity: Dianne Narraway, Geraldine Lambert, Laurie Pneumatikos, Sean Witt, Eirwen Morgan, Richard K. Page, Jaclyn Cherie, Rachel Summers and Teach Carter.
This format ultimately makes Lucifer: The Light of the Aeon something of a struggle to get through. Personal reflections of people’s experience with organised religion, and their all too similar awakening to their inner rebel, are just not engaging. On top of that, the rebellion feels rather entry level and earnest, with nothing truly transgressive or adversarial, and just an all too obvious kicking against the pricks of an equally dull brand of Christianity.
It is only when this personal formula is abandoned that things begin to pick up and there’s more of a sense of focus. In Angels and Daemons, the cast of authors take a more exegetical approach with various, less-anecdotal explanations of Lucifer. These do largely cover the same ground because there’s only so much ground to cover when it comes to exploring Lucifer’s source material. These contributions still suffer, though, from the book’s structural device, feeling piecemeal in some instances, while in others they’re cast adrift from the anecdotal context of the previous two sections.
The other issue that arises here is that the less than stellar quality of some of the writing, which may have been protected by the personal nature of the previous entries, is laid bare when broader ideas have to be presented. In one piece, non sequiturs abound, conclusions are questionable, and facts are fuzzy: there’s a nonsensical reference to “biblical gnostics,” whoever they’re supposed to be, and a lazy, or at least poorly articulated, claim that ‘gnostic’ means ‘knowledge,’ when obviously it’s ‘gnosis’ that means ‘knowledge,’ not the adjective form.
The remaining four sections continue this same formula of slices from various contributors, focusing successively on blood and fire (identified as two of Lucifer’s more famous associations), magick (with a variety of broad accounts of people’s personal approach to ritual praxis, followed in some instances with specific exercises), questions concerning Lucifer’s consort (straw poll suggesting most contributors don’t see him as having one), and what could be described as concluding thoughts and miscellany. Naturally, these various shards range in quality, with some of the writing coming across as if they were written as an obligatory assignment simply predicated by the theme of that section. This is particularly noticeable in the discussion over whether Lucifer has a consort, with many of the authors writing as if it’s the first time they’ve pondered the question, and therefore spending the length of their contribution thinking out loud in print, as they try to work it out.
In all, the writing in Lucifer: The Light of the Aeon appears to come from a very personal place. There are no half-hearted adherents here, with a sense of a great deal of affection and devotion being paid to Lucifer. Your mileage may vary as to what weight such sincerity carries for you, but based on the effusive reviews on Amazon, it certainly works for some people.
As with the previously reviewed Women of Babalon: A Howling of Women’s Voices, I have reservations about the trademark Black Moon Publishing style with its 8×10 dimensions and use of wide decorative borders on every page. The dimensions make the book unwieldy, cumbersome to hold, and not conducive to being read, especially with the additional weight that comes from being over 300 pages long. This length is, no doubt, exacerbated by said border, which, whilst appealing in an over-the-top gothic aesthetic sense, does limit the amount of words that can appear on the page. It also overwhelms the occasional graphic contributions, which could all benefit from being reproduced larger and free of the competing rococo.
Lucifer: The Light of the Aeon has a companion volume, Songs of the Black Flame, also published by Black Moon Publishing, with many of the authors featured here returning for what is largely a compilation of Lucifer-themed poetry and artwork.
It’s full disclosure time yet again: I created the cover art for this devotional from Asphodel Press, and also contributed some internal illustrations. So, as ever, proceed with due caution as we venture into the world of potential bias and nepotism. With its eyes turned towards Mesopotamia, Into the Great Below is a change of theme for Asphodel Press and its usual, albeit by no means exclusive, focus on the Northern Tradition; although the names of many of the contributors, including that of editor Galina Krasskova, will be familiar from other Asphodel works. This is addressed in Krasskova’s foreword in which she identifies herself as Heathen but details her early magical history in the Fellowship of Isis where a mentor’s devotion to Inanna had a lasting influence on her ritual and devotional practice. This book, then, is considered by Krasskova to be the beginning of a repayment to Inanna, and to her sister, Ereshkigal.
Into the Great Below is divided into three sections: devotions to Inanna and Ereshkigal, a collection of rituals for both goddesses, and prayers to other Sumerian deities. Rebecca Buchanan provides the lion share of the prayers to Inanna and Ereshkigal, with short little vignettes addressing various aspects of both goddesses. Her work is joined by contributions from Elizabeth Vongvisith, Raven Kaldera, and others. Perhaps the strongest piece from this section is provided by the enigmatically anonymous J.D. with Katabasis, in which they detail an initiatory journey into the underworld, mirroring Inanna’s descent through seven dismembering tiers, before being remade and reborn by Ereshkigal. These themes of initiation and dismemberment naturally feature strongly in much of the material here, with devotees addressing Ereshkigal in particular as an initiatrix and spirit of transformation. Janet Munin, for example, takes the phrase “naked and bowed low” from The Descent of Inanna and slightly tweaks the interpretation of it, making it indicative of an act of humility and grace, rather than the result of being tortured and broken by the process of the underworld descent.
The second selection of prayers addresses deities from across the Sumerian pantheon, with the chance for the attention to shift in several cases to the male of the species. Lee Harrington has a poem to each of Ereshkigal’s husbands: first with a call to Gugulanna, the bull of heaven, and then with a song addressed to Ereshkigal but sung by her second husband, Nergal. A similar approach is taken by Raven Kaldera in Neti, where the poem is directed towards Ereshkigal in the voice of her titular servant and gatekeeper. Amongst the goddesses, Kaldera celebrates the warrior Ninshubur, while Elizabeth Vongvisith and Anya Kless both explore the intersection of Sumerian and Judaism with paeans to Lilith. Tiamat also receives some attention with poems from Dee Bellwether, Kira R. and an anonymous invocation previously published in Asphodel’s Pagan Book of Hours. Bellwether’s For Tiamatu is particular striking with its stark iteration of occasionally alliterative words celebrating Tiamat as an almost anti-cosmic Queen of Unmaking.
The final section of Into the Great Below features a relatively weighty five rituals for Inanna and Ereshkigal. Krasskova’s Dark Moon Rite of Ereshkigal is a lengthy, invocatory-heavy ritual that begins with quaternary calls, a call to the centre, and then an invocation to Ereshkigal herself. This is followed by an oracular portion and sequences involving a construction of a ritual box. Krasskova’s liturgy is well written, picturesque and evocative in its use of language; a quality that occurs in another of her rituals included here, The Sharing of the Me – a Ritual to the Goddess Inanna. Another lengthy rite is Kaldera’s The Descent of Inanna, which is exactly that, a ritual staging of the descent from the Enuma Elish in a mystery play read by two narrators.
Unlike some devotionals from Asphodel, in which essays are combined with rituals and poetry, the content of Into the Great Below has a focus on the poetic, with nothing in the way of lengthy articles. This is, perhaps, to be expected given the dearth of existing written material on these subjects without wandering into territories of unverified personal gnosis or academic minutiae. Despite the range of contributors, there is a certain similarity of tone and themes, with a feeling that everyone is coming from a similar place in the interpretation of Inanna and Ereshkigal, and the descent narrative in particular. Into the Great Below runs to 125 perfect bound paperback pages, with type set in the usual clean and functional standard of Asphodel publications. Space seems to be the enemy as all empty areas are filled with my illustrations, or an assortment of various, inconsistently rendered, archaeological images. | 2019-04-21T14:25:09Z | http://scriptus.gydja.com/category/devotional/ |
Housing may be the single most crucial element in survival and possible improvement for someone with MCS. Yet it is almost impossible for people with MCS to find places to live that are truly safe for them. Housing may be their most difficult challenge, a challenge greater even than for people with other disabilities. Toxic chemicals such as formaldehyde, and those found in glues, paints, new carpet, and pesticides are commonplace in construction of all types. In addition, it is impossible to control what occurs beyond one's property lines. City dwellers are subject to industrial emissions, vehicle exhausts, toxics used by neighbors such as lawn chemicals, and a myriad of other poisons. Rural dwellers are exposed to farm chemicals that include pesticides, herbicides and chemical fertilizers. All traditional pesticides and herbicides are extremely toxic. In fact, some insecticides were first mass-produced as chemical warfare agents for World War II. The use of pesticides is now so widespread it is almost impossible to avoid exposure to them. We use these chemicals on our pets, our food, our land, and ourselves. Between the widespread occurrence of toxic building contaminants and the tremendous cost of home cleanup, few with MCS actually live in truly safe conditions. Those who do may have spent their life savings to redo their homes, or may be living beyond their means to afford a home that is isolated enough to avoid neighbors' toxins.
It is imperative for the person with MCS to create the cleanest possible living space. This cleanup requires learning about everyday toxics and safer alternatives, and demands at least some financial investment. Respondents in my treatment study had spent an average of $57,000 to replace toxic carpeting and furniture, buy water and air purifiers, or move if their home could not be cleaned up. A few with enough money built homes out of safer materials, but this requires considerable investment of time, money, and energy. Those who have built their own homes report that it is necessary to supervise every aspect of the project, including inspecting every item that arrives for use. One must be on guard for contractors substituting less safe items and materials not being as represented. If someone has the resources to be able to build a safe home, there are a number of good resources and consultants to help with the process.
Even though it is important for every person with MCS to try to create as safe and chemical free living space as possible, only about 40% of people in my life impact study said that they lived in safe homes. A slightly larger group (44%) said that their homes should be better. And 16% said that their homes were not safe. The Environmental Health Coalition of Western Massachusetts' housing committee found that three quarters of the 49 people with MCS in their housing study had had to stay in places that made them sick at some point. Almost half had spent more than they could afford to stay in safe housing. And over half had encountered landlords who were unwilling to accommodate their MCS.
I have slept outside summer and winter for about 12 years now - including 30 below - windows open - bundled up and using soapstone rocks to keep bed warm - unheated little building. Have slept under homemade mosquito netting under a pavilion - anchored around chairs for weeks - slept in borrowed tent, borrowed trailer - borrowed camper - have slept on relatives' and friends' porches outside for weeks when roadwork done at my house - have commuted for essentials.
I believe that MCS is an important and unrecognized contributor to homelessness. As people disappear from a visible lifestyle and adopt coping mechanisms such as living on porches and in RVs, they approach the divide between those with and without homes. When they slide over that divide there is no record of it and they disappear. Some go to live in tent communities in the Southwest, but for others it is even worse than that. One woman in my most current study sent me a drawing of her "home," which consists of a wire mesh cage to sleep in. Because she must sleep outdoors, she has constructed this cage to protect herself from dogs and wild animals. Her home is literally a five-foot cage. Gail McCormick, in her book, Multiple Chemical Sensitivity: Narratives of Coping, interviewed a young woman who must sleep outside under a tarp because of her inability to tolerate indoor environments. She lives a nomadic lifestyle moving from place to place in search of safe conditions. Her mother often travels and camps with her, but at times herself needs a break from the rugged lifestyle. Her daughter sleeps outside in the woods while she rents a hotel room. But if there is a wind that blows the tarp down, her mother must get up at night, drive to where her daughter is sleeping, and cover her up again with her tarp because her daughter is too weak from chronic fatigue to get up and retrieve her own tarp. Some would say that these are extreme living conditions even for the homeless. Yet these struggles are all too frequent among people with MCS and remain virtually invisible to the mainstream culture.
Ecology House is an eleven-unit MCS apartment complex in San Rafael, California that, although not perfect in terms of its urban location, is a controlled MCS living space. The arrangement allows people with MCS to actually live in community with others. People have different opinions as to whether funding for people with disabilities should be spent on segregated housing for people with the same disability. But Connie Barker, a resident of Ecology House, described the benefits of living there in preventing total isolation of the residents in the IL NET teleconference on MCS (2/20/02). Connie phoned in and described no longer being the "mad woman in her parents' attic," but rather being able to have some sense of community with people who understand her disability. People with MCS spend a lot of time explaining themselves to others and usually are still not understood. Living where other people understand your needs saves valuable energy and time that can be put into creative and constructive pursuits. Although there were a number of problems when Ecology House was built such as difficulty with materials that were supposed to be inert but actually outgassed significantly, it is now working well. Connie reports that there are three or four people there who have gotten substantially better as a result of living there. There is a long national waiting list of people interested in becoming residents.
Connie explained that building with safer materials for MCS housing is only half the battle. Property management is equally important. At Ecology House residents are notified by the building manager no matter what is done and what materials are used. They speak of "safer" materials rather than "safe" because every person's sensitivities are so different. When work is to be done at Ecology House, residents are given ten days notice and material safety data sheets (MSDS) for the products to be used are provided. A resident has ten days during which to suggest an alternative material if he or she is concerned about the proposed product's safety. Ecology House is described well on the Web site www.ecologyhouse.org.
HOW DOES ONE CREATE A SAFE LIVING SPACE?
By the time a person comes to you for help she or he may be in an almost impossible situation regarding housing. The person may be homeless, living in a car, or in housing that is making her or him sick. You may hear stories about past and ongoing housing problems. There may be a need for financial assistance to create even a marginally safe living space. The person needs somehow to create the cleanest living space possible within her or his means.
The person first needs to assess the outdoor environment of any potential living site to be sure that the area is not subject to fumes from industry, heavy traffic emissions, pesticide spraying by the city or by close neighbors, emissions from neighbors' gas appliances, laundry exhaust and laundry product fumes, or electromagnetic frequencies from cell phone towers or other sources.
Laundry product fumes such as those from scented fabric softeners can be difficult to detect on a single site visit because of their intermittent use. But their presence is important to determine because they can cause severe reactions in some people. Some suggest camping outside for a couple of days at a prospective home to find out if neighbors use such products. However, even if none are detected, people can still change their products and start using them in the future. This is just one example of the tremendous difficulty that people with MCS face in finding housing. Further investigation might involve calls to potential neighbors or to the municipality to inquire about the use of pesticides or other toxics, driving around a large perimeter looking for potential pollution sources, visiting the site at all hours to observe the conditions there, and other methods.
Mold exposures can also be a problem for a person with environmental sensitivities. The presence of molds in residences can be difficult and expensive to deal with. They typically occur in damp areas such as those with heavy rainfall, high humidity, or near oceans or other bodies of water and/or in houses with roof or plumbing leaks or after other flooding.
Cell phone towers, overhead power lines, or similar sources of electromagnetic radiation and electromagnetic fields need to be examined also. For example, it is probably not advisable to lease a second floor apartment with power lines right outside a window and/or a transformer box mounted on the pole in front of or behind the house. Also best avoided is an apartment, condo, or other multi-unit situation where the power panel for the whole complex is on the exterior wall of one of the bedrooms.
The person with MCS needs a home free of ALL petrochemical heat and cooking sources, pesticides, conventional cleaners, solvent-containing paints, formaldehyde-emitting furniture (foam and pressed board), perfumes and air fresheners, tobacco smoke, and other volatile chemicals. Some need the home to be free of animal allergens as well. The house should not be moldy; old homes and those with damp cellars are the most likely to have this problem.
Petrochemical heat is a sensitizer and dangerous for any person with MCS. Even if the heat is indirect (as in radiators where the fuel does not directly enter the living space), you still have the possibility of spills during delivery, leaking tanks, and other accidents that can render a home uninhabitable for someone with MCS. Heat sources need to be electric, solar, or at the very least, hot-water baseboard with the fuel tank outside of the building. Although I still don't endorse this option, some people with MCS live with petrochemical heat if the heat source is at a great enough distance from the living space and the fuel source is not a direct one.
The person should inquire about the pesticide history of a potential home by questioning the landlords, builders, or neighbors. Formaldehyde impregnated building materials such as particle board emit considerable formaldehyde particularly in their first year and continue to outgas for ten or more years. Better construction materials include exterior grade plywood, as it contains a lesser amount and a less toxic type of formaldehyde (phenol formaldehyde rather than urea formaldehyde). Interior grade plywood may outgas formaldehyde as much as the particleboard. Cupboards and other visible particleboard products can be sealed with less toxic products designed to prevent outgassing of fumes. However, people who have tried this suggest that it might be safer to simply replace particleboard or other composite board cupboards with old-fashioned metal or glass shelves and cupboards or to cover the particleboard with aluminum or steel foil, whatever is tolerated best.
Conventional carpet may emit dangerous volatile organic compounds (VOCs), dyes, formaldehyde, and worst of all, 4-phenyl cyclohexane (4-PC). In October of l987, the EPA began installing carpet in its Waterside Mall headquarters in Washington, D.C. The EPA received 1,141 health complaints from employees, but unfortunately took two years to remove the toxic carpet. Some employees became permanently sensitized from the experience; some are permanently unable to work in the building, and some are unable to work at all. It appears that the 4-PC may be the most dangerous element in carpeting. People with MCS do best in uncarpeted spaces, i.e., those with tile, brick, wood, or old linoleum floors. For some, older carpet (8 or more years old) may be ok, but for those with dust allergies, no carpet may be tolerable. If a space seems ok except for the carpet, it is sometimes possible to make it tolerable by covering the carpet with cotton sheets or area rugs and or getting permission to remove the carpet while living there.
Once the person has chosen a living spot he or she needs to be as strict as possible about the purity of anything that goes into the home. The more sensitive the person the more careful he or she must be. Making a clean home requires becoming knowledgeable about paints, fabrics, carpet (better not to have any), cleaners, natural bug control, and water and air filters. Although filters do not completely compensate for dirty air or unsafe water, many people with MCS use them to improve their air and water quality. There are a number of types of filters available. While it can be tedious at times, a person with MCS is best advised to learn about them and decide which ones might be useful.
One theme that has emerged in an inquiry by the Chemical Injury Information Network (CIIN) is that some people with MCS attempt to compensate for unsafe homes with filters, supplements, and treatments (Wilson, 2001). People should be discouraged from doing this, as it is rarely possible to make up for an unsafe environment by trying yet another treatment.
Provide any financial aid possible if needed for cleanup. The person may need air cleaners, water filters, replacement items for unsafe items in the home.
Berthold-Bond, A. 1999. Better Basics for the Home: Simple Solutions for Less Toxic Lifestyle. New York: Three Rivers Press.
Berthold-Bond, A. 1990. Clean & Green. Woodstock, NY: Ceres Press.
Bower, L. M. 1995. The Healthy Household.
Bower, J. 1997. The Healthy House: How to Buy One, How to Build One, How to Cure a Sick One.
Bower, J. 1997. Healthy House Building: A Design and Construction Guide.
Bower, J. Understanding Ventilation: How to Design, Select, and Install Residential Ventilation Systems.
Ingram, C. 1991. The Drinking Water Book: A Complete Guide to Safe Drinking Water. Berkeley, CA: Ten Speed Press.
Lawson, L. 1994. Staying Well in a Toxic World: Understanding Environmental Illness, Multiple Chemical Sensitivities, Chemical Injury, and Sick Building Syndrome. [email protected]'s book is an excellent overview of environmental hazards and has been referred to as "The Silent Spring of the 90s."
Lynn Dadd, D. L. 1990. Nontoxic, Natural, and Earthwise. New York: Putnam.
Marinelli, J., and P. Bierman-Lytle. 1995. Your Natural Home. New York: Little Brown.
Olkowski, W., S. Daar, and H. Olkowski. 1991. Common Sense Pest Control: Least Toxic Solutions for Your Home, Garden, Pets, & Community. Newtown, CT: Taunton Press.
Pearson, D. 1996. The Natural House Catalog. New York: Fireside. This book is a broad overview of environmentally friendly buildings, products, organizations, and resources. Extensive resource list, e.g., there are sixty-seven companies listed just for paint.
Rousseau, D. 1997. Healthy by Design: Building and Remodeling Solutions for Creating Healthy Homes. Point Roberts, WA: Hartley & Marks. Described as an "architect in a book" how-to manual for siting, heating, ventilating, water, materials, finishes, etc.
Rea, W. J., and J. Enwright. 1988. Your Home, Your Health, & Well-Being: You Can Design or Renovate Your House or Apartment to Be Free of Outdoor and Indoor Pollution. Berkeley, CA: Ten Speed Press.
Rousseau, D., and Wasley, J. 1997. Healthy by Design: Building and Remodeling Solutions for Creating Healthy Homes. Point Roberts, WA: Hartley & Marks.
Stein, D. 1994. Least Toxic Home Pest Control. Revised Edition. Summertown, TN: Book Publishing Co.
Wilson, C. 1993. Chemical Exposure and Human Health. Jefferson, NC: McFarland & Co., P.O. Box 611, Jefferson, NC 28640. Phone: 910-246-4460. Orders: 800-253-2187. An excellent reference to 314 chemicals. Information can be accessed by both symptom and chemical name. | 2019-04-22T18:18:13Z | http://www.ei-resource.org/articles/multiple-chemical-sensitivity-articles/the-housing-challenge-in-multiple-chemical-sensitivity/ |
I have to admit, that off all the products released to date this year, this is the product I was most eagerly anticipating- and it did not disappoint. The Masterpieces artists at Upper Deck managed to capture, in stunning, color detail, some of the games greatest moments in hockey history, and in so doing created miniature pieces of art, worthy of the Hall of Fame let alone every hockey fan’s collection.
I have been sick and then my daughter got sick, and then my other daughter got sick and now my wife is sick, so it has been a hectic week. Sorry for the lack of fresh content.
This is a dated post but in re-reading it, I realized it had just as much relevance today as when I wrote it 3 years ago. I was inspired to post this after reading a great post about the current and future status of card shops on BadWax.
By reading industry publications and talking to dealers you regularly hear a recurring complaint. Hobby storeowners whining and complaining that the “industry”, which typically means the manufactures, don’t do enough to help them promote the hobby. I always find it amazing then that when the manufactures do something to help promote the hobby that hobby storeowners routinely mess it up. Case in point with Topps Turn Back the Clock promotion. As a way of celebrating their 50th anniversary in the football card market, Topps produced a hobby store exclusive set and launched it this NFL opening weekend, where for a nickel, collectors could purchase the first 5 cards of a 22 card set with the purchase of any 2005 Topps football product. In the 17 subsequent weeks of the season, collectors can return to their participating hobby shop and with another purchase of Topps ’05 football products, would be given that weeks card. This is a tremendous opportunity to drive traffic to local hobby shops and get the start of the NFL season off to a success for storeowners.
Friday evening I stopped by 3 card shops to get there feedback about the upcoming weekend and if they were expecting big traffic. Would you believe that one owner told me he had been out of the special 5¢ packs for a week. A week! I asked him knowingly, “Oh, I thought the promo started tomorrow to coordinate with the opening NFL weekend?” Would you believe the guy looked at me like I was from Mars and asked, “Where did you hear that?” Gee, I don’t know -- every hobby publication, website and pack insert of ’05 Topps Football. It was another case of a clueless storeowner blowing an opportunity to market his store, celebrate the hobby and take advantage of a manufacturer promotion.
Next came stop number #2. The owner of this store was already selling the nickel packs because he said the season actually started Thursday with the Patriots vs. Raiders game. Ok, I can buy that but he wasn’t even requiring a purchase of a Topps football product. Not only that, if you bought the nickel pack he was giving you the next week’s card of Tom Brady. My jaw dropped, but I said nothing because… well what can you say? Hope you enjoy counting your nickels and expect a slow weekend next week. I left shaking my head.
Store number 3. This guy got it right. While not actively promoting the event or the 5¢ packs on Friday, if asked and with a purchase of any ’05 Topps football product he would sell you a nickel pack and was sure to mention to stop in next week for the Tom Brady card. Finally somebody got it right.
I guess the old saying is true, “you can lead a horse to water, but”, well you know the rest.
On a more positive note, I had a garage sale this weekend. I know, big deal right? Well let me tell you something, I pulled out a 5000-count box of star, and minor star baseball cards and a 3200 count box of multi-sport star cards in addition to 5 boxes of 1991 over produced baseball product thinking this would be a good way to get rid of some doubles. While I was hoping to sell the boxes in bulk, instead the day turned into romper room with all the kids in my neighborhood. One 36ct box was missing a few packs so I put 25¢ on them per pack and marked the unopened boxes at $7 but sold them for $4. The day was spent sharing the hobby with young kids, some for the first time. By the end of the day I had groups of 3 and 4 kids each with $1.00 going in together and buying a $4 box of cards most collectors would rather burn than have to lug back in the house. You know what? They loved it.
Most of mine and the neighbors driveway was filled with kids ripping open packs of pre autograph, memorabilia, parallel, foil, short print, serial numbered cards -- and they were beaming.
It reminded me of when I first started collecting when I was 9 or 10 and being so excited to pull a Cubs or a White Sox player. Back then it wasn’t about “a hit card” or “big pull” it was about fun. It was nice to see that things haven’t changed much when it comes to kids and new collectors. The box of star cards while well sorted and looked at with plenty of “ooh’s and ahh’s it was the 5 boxes of 1991 wax that disappeared first because the kids loved opening the packs to see who was inside. So if the opportunity presents itself have a small garage sale and pull out those dust covered boxes of cards you just don’t know what to do with and watch the faces of the neighborhood kids light up like it was Christmas. You will be amazed at how you feel and the memories that the experience will conjure up.
If You Like Memorabilia/Relic Cards . . .
. . . you are probably going to like Upper Deck Ballpark Collection. Check out this review where my friend Russ pulled an 8 piece game-used memorabilia card.
Who doesn't like free stuff? If you are a rabid collector with more "jones" than money, you'll look for anyway to scrounge free stuff to "feed the need"
You know what they say about assumptions right? So if you guys already know this stuff don't shoot me.
Have you ever read the fine print on a wrapper? Part of the text reads, "No Purchase Necessary. For your chance to win these inserts, at the same odds. . yadda . . yadda"
Basically this is there way of getting around gambling and lottery laws.
No it's not out of the kindness of their heart.
Typically, you had to fill out a 3x5 card and mail it with a SASE.
Time consuming and not FREE.
Well Upper Deck now provides collectors the ability to utilize an online NPN system.
Both websites have a daily weepstakes for autographed photos, and mini-helmets.
I actually won a very cool Bob Feller B&W 8x10.
It takes just seconds, as you can populate the fields in the registration form via AutoFill.
For non-sportscard collectors, scifihobby.com offers FREE samples of pending and current releases.
This was posted by rosschrisman at SportsCardInfo last week, while I was out of town. I'm sure you have all seen it but just in case, this is too funny to pass up. I really love his blog and it is one of my "go to" sites everyday.
This is one of the best times of the year. When all the major sports start to converge in a cacophony of masculine testosterone. MLB Playoffs, NHL Preseason, NFL early season rust wearing off, and NBA hoops around the corner. It seems that there are a ton of products coming out in the next few weeks. I thought I'd provide a quick run down on products to keep an eye out for.
I had a chance to sample a mini-box of 2008 Topps Letterman Basketball and I was happy I did. In this box I got four cards and I was hopeful of getting at least one good hit - - instead I got two.
Talk about a humbling experience. Picture an 8x8 square MILE tract of real estate with block after block after block of abandoned homes. It always amazes me too that the people most effected by an occurance like this are the ones that can least afford it.
To say my life has been changed is an understatement. I am recovering from a major respitory infection brought on by working around all the mold. I'll have more details on the trip later but in the mean time here is a link to part 1 of a photo gallery.
I am going to be taking a couple of days off from posting as I will be in Cedar Rapids, Iowa. Even though the waters receeded several months ago, there are entire neighborhoods that continue to look like this. Once it left front-page news for some other main stream media, flavor of the day, relief aid in $'s and volunteers disappeared as well. Their are still hundreds of displaced families unable to occupy their homes living in shelters, out-of-state, or even in their cars. With winter fast approaching their is a desperate need for manpower. I wil be working with a volunteer group to begin demolition and rehab on 5 homes over a long weekend. It should be an interesting experience.
Top Ten Uses for '91 Donruss . . .
. . . and other garbage from the era of over-production.
10. After being inserted into a criss-cross shredder, they make excellent kitty litter.
9. After shredding can also be used as Oil-Dry.
8. While lacking the absorbency of newspaper, in a pinch, can be used for puppy potty training.
7. When stored in 800 count boxes, are the perfect width for wall insulation between the studs. Simply stack between the studs from floor to ceiling. 8ft ceilings will require approximately 25 boxes.
6. Keeps toddlers occupied while you blog, eBay, trade, or otherwise "work" on your collection.
4. BB or pellet gun target backing. This can be accomplished several ways. My preferred method is to make 2 rows of 800 count boxes, side by side, glue, stack and repeat to a height of 3ft (requires a total of about 18 boxes, 9 on each side, and spray adhesive works best.) Then glue or tape police silhouette to boxes. Easily moveable and can be used anywhere.
3. When used with the appropriate, corresponding box can be used as a prop or lift for anything. Wobbly, uneven table legs, furniture for carpet drying, my daughter thinks shes too big for a high chair so I sit her on 2 layers of 600 count boxes, be creative, use your imagination!!
2. Adds increased R-value when used in an attic as additional installation. Just shred and blow baby! Or save the shredding and increase the quantity by distributing a 2" layer for every square foot, or roughly 800 cards.
1. Makes excellent tinder for any bonfire, 800 count "logs" work best. Smaller quantities can be used for back packing (enough to fill a team bag) and 300 count boxes work excellent for car camping.
Labels: over-production, Top 10 List, uses for . .
Small-town rural America, with its throwback Main Streets, complete with diner, barbershop, newsstand, hardware store and antique-shop, provides a glimpse into the past. When times were slower, more simple. A time and place where you knew your neighbors, sipped lemonade on hot summer nights, swinging on an old porch swing and listened on the radio to ‘the boys of summer’. The events of a mid-summer baseball game, back in the golden age of baseball, was an “on the edge of your seat thriller” complete with heroes and villains. Willie, Mickey, the Duke and so many more of the game’s greatest players.
Recently on a road-trip to western Illinois, an area that boldly defines the heart of the Midwest, I frequented several small towns, exploring every antique store and garage sale I came across. Always on the lookout for baseball cards and memorabilia of yester year, the process becomes more like an extended treasure hunt. As in most rural communities, antique shops abound. Most are quaintly decorated boutique like stores filled to the ceiling with everything from furniture, china and glassware, vintage clothes and signage, books, tobacco paraphernalia, and occasionally, albeit rarely, sports memorabilia.
It was in a small town whose population sign, proudly displayed, 175, established 1845, that I came across the kind of find that one only dreams about or hears on the news or reads in the paper. An assortment of vintage cards that could hardly qualify as a collection in its entirety, but instead proved to be a sampling of memorabilia from the golden ages’ greatest hero.
An aged and yellow sign, affixed to the top of a dusty cigar box simply said, “Assorted baseball cards”. Blowing the dust of the top of the box and coughing as I created a cloud, and waiting for the dust to settle so as not to disturb the unknown contents inside, my pulse raced and my hands begin to perspire with anticipation as this box had clearly not been looked thru let alone opened in years. Raising the lid ever so carefully, my eye immediately was drawn to the striking white borders of some of the cards in comparison to the darker tones of the dusty box. And there it was, a pile of cards, at first glance maybe 5 or 6, Topps 1952 Mickey Mantle Rookie cards. As fresh as the day they came out of the pack they were wrapped in ordinary kitchen cellophane wrap. The corners were, sharp and unblemished. The edges displayed white as paper without a sign of any yellowing. The surfaces of the cards protected for years from contact with each other with a piece of tissue paper between each card, revealed, un-creased, unscratched surfaces that looked, quite frankly . . .new.
Holding in my hand the most valuable post-war baseball card ever produced I could hardly contain my excitement. I asked the elderly woman how much she wanted for the box of cards and she naively replied to me, “$100”, her voice filled with boredom.
Small town America, only in small town America can you find hidden treasures valued not for what they are worth, but for what they are worth to someone. I’ll never forget that trip and the sweet woman who made me feel like a kid again for $100.
Ok, this one I sort of understand. Sort of. Actually, I think it is just a classic example of CYA, sure laziness or a combination of the two.
A game used, autographed card, with a serial numbered print run of between 1 and 20 has very little difference in value REGARDLESS OF THE BRAND IT WAS PULLED FROM!
A few years ago Beckett actually tried something that I thought was a decent idea. Anybody remember the matrix called the C.H.A.R.T? It was a fancy acronymn for something that I don't remember now but the principle was simple in theory.
Example: A single game used jersey, 1-color swatch card of Alex Rodriguez numbered to 100 has a price range value of between $x and $y It doesn't matter if comes out of Topps Series One or Sterling. The range still applied and this pricing model was very simple to use and understand. It provided a quick snapshot of expected value.
The C.H.A.R.T. pricing model even made it possible to approximate a range for low numbered cards. Now Beckett provides us the useless information for a card serial numbered to 20 or less: No Pricing Due to Scarcity.
Really? Ok, well in the exact moment in time when I choose to sell a few cards of the aforementioned numbering I can tell you exactly what they were/are worth.
Hey Joe, you might want to print this out and put it in your Beckett Annual.
Speaking of "The Card" . . .
What we found: 192 total cards, including 135 cards from the base set for a completion rate of 67.5%, 14 parallels, 6 inserts, 3 memorabilia cards, 1 autographs, 33 doubles.
Quick Thoughts: Over-all, a good value despite too many unnecessary parallels, however, I really do miss this as a tin product with a retired only player checklist.
Looking for an inexpensive way to load up on RC’s from ’08 Draft class? Look no further than NFL Kickoff. With a price tag of only $.99 cents per pack, this is a truly cost effective way to acquire all the years key rookies including; Matt Ryan, Brian Brohm, Chad Henne, Joe Flacco, John David Booty, Colt Brennan, Darren McFadden, Rashard Mendenhall, Mike Hart, Kevin Smith, DeSean Jackson, Malcolm Kelly, Limas Sweed, Mario Manningham, Devin Thomas, Glenn Dorsey, Chris Long, Vernon Gholston, and many more.
Obviously this isn’t necessarily a product for the seasoned collector but it is an efficient, entry level product that delivers what so many collectors seem to ask for. An attainable base set, with only the best players from each team, and the year’s top rated rookies. Hold the bells and whistles. Kickoff comes close to delivering that with 220 cards consisting of 165 veterans and 55 RC’s.
Baseball Heroes has a long history in the Hobby and has always been one of my favorite inserts. I like the game specific theme to the cards that bring the history of the game to light. On a typical card back, with the detailed statistics, it’s easy to forget that these men, play, a game. 162 of them to be exact, and each one is different and unique from every other. It always amazes me that over the course of a full season of watching Baseball Tonight the number of times you hear seasoned, veteran reporters, with years of journalistic experience, quote the phrase, “Well, I’ve never seen that before.” So the detailed game synopsis on the back of Baseball Heroes cards, serves as a reminder that baseball is more than just stats, it’s about a game, the game of baseball.
Yeah, I know it's a bogus day to have a B'day after what happened 7-years ago but what are you gonna do?
I have been out of town (Baltimore) at a trade show and thought I was going to have time to go here, but my schedule just didn't allow it. My hotel was only a short distance from Camden Yards and I must say that if the inside of the park is as aesthetically pleasing as the facade this could be one of the most beautiful parks in baseball.
Next year's show I am definitely allowing for an extra day.
This book is a must read for every collector. It provides a thorough and detailed examination of several different aspects of the hobby by a proven investigative journalist in Michael O'Keeffe. A member of the New York Daily News sports investigative team, he brings over 20 years of credentials to this book that reads more like a mystery novel than a non-fiction book about the Hobby.
While the recurring theme in the book is about the legendary PSA8 T-206 Honus Wagner, often referred to as "the Gretzkey Wagner", having once been owned by the legendary skater, the drama that unfolds to reveal harsh accusations of gross impropriety on the part of some of the industry's established giants is quite chilling. Mastro Auctions and it's founder Bill Mastro and current President, as well as PSA and it's founder Joe Orlando and Sotheby's are all "taken to the wood shed" in this no-holds-barred, tell-all expose.The following excerpt captures the writing style and theme of the book perfectly.
"Over the decades, as The Card has changed hands, its value has skyrocketed. It was initially sold for $25,000 by a small card shop in a nondescript strip mall. Years later, hockey great Wayne Gretzky bought it at the venerable Sotheby's auction house for $451,000. Then, more recently, it sold for $1.27 million on eBay. Today worth over $2 million, it has transformed a sleepy hobby into a billion-dollar industry that is at times as lawless as the Wild West. The Card has made men wealthy, certainly, but it has also poisoned lifelong friendships and is fraught with controversy—from its uncertain origins and the persistent questions about its provenance to the possibility that it is not exactly as it seems. "
I encourage everyone who has even a vague interest in the Hobby, let alone die-hard collectors, to read this gripping tale of "collectors and con men."
I don't know what Michael Eisner is going to do with Bazooka Joe . . .
. . . but I bet it's not this.
Obviously as a bi-Soxual Cubs fan . . . . before I go any further I should probably explain what that means so there are no misunderstandings. I am a Chicago fan. Blackhawks, Bears, Bulls, Cubs, and Sox. Being from the western suburbs and not the city proper, I have the luxury of not having to claim an allegiance to only one team. But since your going to ask, if the Cubs were to play the Sox in the World Series who would I root for? Answer: the Cubs. They haven't won the whole thing in my lifetime. I cried in 2003 over the "Bartman" incident (truth be known, it was really the botched double play immediately following, that was the real down fall of that game coupled with Dusty Baker being out managed by Jim Leyland in the remaining game of the series) anyway, I digress, and I celebrated like crazy when the Sox won it all in 2005. Call me wishy-washy, or tell me to pick a lane, I don't care. I'm a Chicago fan who has a simple rule; No New York team should win anything, ever.
So as a Cubs fan, you can imagine my excitement of pulling this sweet patch card, numbered to just 25 of Japanese import Kosuke Fukudome. He needs time to adjust to the fact that pitchers have figured out that he has a hard time with pitches in on the hands. Despite that he still has a respectable on-base percentage as he is a very patient hitter.
What makes a good, acceptable and bad insert?
Obviously there are several schools of thought on this topic and opinions vary. However, recently opening a box of the new Upper Deck Baseball Heroes provided me an opportunity to display specific examples of each. (In my opinion) While "technically" not inserts, as they are part of the numbered base set, for purpose of illustration they work just fine.
*Note* Complete box break and review to come.
Good- One card features retired greats from a storied franchise. The other depicts a team's hero from yesterday and today. Ideal for a team or player collector.
Acceptable- It does have a theme (Japanese imports, both outfielders), personally however as a team and player collector, I don't want this.
Bad- This just doesn't work for me. Weak theme (Same position), who wants these types of cards?!? Not me.
Sorry for the terrible crop jobs. I'm tired.
I was attending our annual 3 day sales conference for work and have been unable to post. I should be back in the saddle this weekend.
If anyone wants a sample of Topps attempt to compete with FatHead, send me an email with your mailing address. Random player picked, 1 per person.
I can't believe MLB is trying to sell these things in their Online Shop at almost $10 bucks a pack.
When is a "10" Not a "10" . . . .
. . . when it's a BCCG 10 of course.
In late 2001 or early 2002. Beckett Grading Services entered into a deal with one, or more, of the home-shopping television channels, i.e. QVC, Home Shopping Network, and Shop at HomeTV to provide a new "brand" of grading service. This new "brand" would allow their now defunct sports memorabilia shows' pitchmen to, loudly and obnoxiously, hail the attributes of "Mint 10's" for the likes of Barry Bonds, Sammy Sosa, Mark McGwire, and Ken Griffey Jr. to name a few.
Never mind that the majority of these cards were from the era of over production, but instead note the new brand that was created. BCCG or Beckett Collectors Club Grading, whose slogan might have well been, "It's a 10 because we say it is!". With a clearly designated description of "Mint or Better", under the grades numerical value, what many novice and even veteran collectors didn't initially realize, was that the cards slabbed with a BCCG label, were graded under a different set of criteria than the company's two other "brands" of grading services, BGS and BVG.
Now some of you might be saying, "Dude, get over it. That was like 8-years ago." I'm aware of that, thank you. The problem is, this garbage still exists on the secondary market today and serves as yet another example of how Beckett is no longer looking out for the best interests of the collector. The self-created confusion regarding the grading card process had an adverse effect on collectors and was created for one reason and one reason only, increased revenues.The bigger argument I have is that they still offer this as one of their grading card "services", there by continuing to litter the marketplace with cards of questionable grade.
If a card is a 10, then it's a 10. Period end of story.
If it's not, and its actually an 8 or 9, you don't "dumb-down" your grading criteria so that someone can pay you to call it a 10.
This is in essence what they did by creating the BCCG brand.
With the seemingly ever increasing cost of sports cards and the continuing compulsion I feel in my late 30’s to “bust wax” looking for those ever so sweet autographs, I have found a more reliable, fulfilling and cost-effective alternative- signature requests through the mail. Over the last couple of years I have become heavily involved in one of the least discussed yet most rewarding aspects of the hobby. With a tradition as storied and as long, if not longer, than sports card collecting, the, often, elusive quest for an athlete’s signature remains a corner store of the hobby. Some simple guidelines and resources make this avenue of collecting a true joy as each new day brings the potential of a mailbox surprise.
While it might seem like common sense to some, others will gain greatly from these simple suggestions.Send a legible, hand written request. It personalizes the request. Keep it brief but cordial. Give a reason for your request. i.e. “I’ve always admired the way you play the game.”, “Your pass in the 1997Playoff game to win it in OT was awesome!” Say please, thank you, and be sure to “ask” for the autograph.
Do not use address labels for the recipient's address. It looks like you are doing a mass mailing. Standard 1st class postage for each envelope is sufficient for trading cards.
There are few hard rules when it comes to what to send but keep in mind that not all autograph requests are returned, signed or not. Don’t send items whose 2-way shipping value exceeds the value of the autograph itself. That’s just dumb. Don’t send an item that you would regret not having returned. It happens. Personally, when applicable I prefer to send cards from the era of mass over production, 1986-1995. It makes me feel better to have the opportunity to get some value out of these cards if they do come back signed. Nobody likes licking envelopes. Be sure the SASE is the self-adhesive kind. What if you don’t have an item? You can request the athlete send you a photograph but typically these will be auto-penned or perhaps even secretarial/clubhouse signatures signed by someone other than the athlete. Whenever possible send your own items.
There are an abundant number of resources at your disposal for address information from books, to websites, lists, and magazines. Obviously you may have your own preferences and/or favorite means but I’ll share with you my personal favorites.A website called http://www.startiger.com/ I have found to be an immense help. For only $4.99 a month Startiger allows you access to their daily updated online database of celebrity and athlete addresses. This has been one of the most effective resources I have found for finding current home addresses. The shear volume of request that most athletes receive at their team stadium often prohibits the athlete from responding to requests. However, when it comes to home addresses, not all but many, athletes seem to think you’ve gone the extra mile and there is far less competition relative to volume.Another inexpensive resource is a publication simply titled Autograph Collector. It is monthly publication that provides editorial content relative to the hobby, and more importantly provides a monthly listing of over 300 addresses. They are not all of athletes but we obviously all have interests outside of sports so you may even decide to expand your collecting niche by sending out requests to your favorite actor, actress, musician, etc.
I currently have an overall return success rate of close to 70%. This number is deceiving because it encompasses a wide range of mostly sports, including Olympians, boxing, woman’s softball and other small ‘market” segments. What I find very interesting however is the individual sport return numbers and you might be surprised to find out that HOF football players in my sampling over the last 2 years have the highest return rate of any sport or sport segment with a return rate of over 80% and include such famous players as Dan Fouts, Terry Bradshaw, Barry Sanders, Steve Young, and John Elway.. What might not be surprising is that active baseball players are the worst signers with a few exceptions most notably Jim Thome. Former Olympians is another segment with a very high success rate, as well as former Indy car drivers. Successes from theses categories include Mary Lou Retton, Bart Conner, Greg Louganis, Carl Lewis and Michael Andretti, Mario Andretti, and Emerson Fittipaldi respectively.
If you are a fan of some of the less mainstream sports as I am, you maybe wondering how to locate inexpensive pieces to send out for autographs. If you are not already aware, you will be happy to learn that most sports at some time or another have had sports card releases. Boxing aficionados can find dirt cheap unopened boxes of Kayo Boxing cards from the 90’s on eBay for just a few dollars a box. In those boxes you will find cards of such legendary fighters and personalities as Sugar Ray Leonard, Thomas Hearns, Marvin Haggler, Ray “Boom Boom” Mancicni, George Foreman and even Mr. “Let’s Get Ready to Rumble” himself, Michael Buffer. (He recently returned a request signed!) In addition their have been a few Olympic releases by Impel and contain many names from yesteryear. These are just a few examples of the forgotten material out there of sports outside the Big 4.
In addition, as you may or may not have seen on other blogs, a company can be found on the web at www.theautographcard.com that provides sport specific generic cards perfect for signing. The cards require no rubbing and sharpie signatures look great. Available sports currently include baseball, football, hockey, golf, basketball, wrestling, and boxing. The company even has prospect cards and cards for dual and triple signatures. A pack of 25 costs only ten dollars and they even make a multi-sport sample pack. | 2019-04-23T16:43:23Z | http://www.voiceofthecollector.com/2008/09/ |
The recently exposed Ponzi scheme by Bernard Madoff is named after Charles Ponzi, an immigrant to the United States, who ran his swindle in 1920, based supposedly on profits from postal reply coupons. He took in a great deal of money for those days that was partly spent on high living. After less than a year he was exposed by a newspaper, and spent many years in jail before being deported back to Italy. In a Ponzi scheme, investors in a fund typically receive good rates of return on their investments for a while because they are paid with new monies that are invested in the fund. Even when such funds do not make bad investments, or when managers do not spend a lot on themselves and their families, Ponzi funds must attract new investors at a rapid rate in order to pay good returns to prior investors. With wasted spending and bad investments, the required growth rate in new monies is even higher. Since high growth rates of new investments are hard to maintain over time, eventually Ponzi funds collapse. Then comes the day of reckoning as investors are shocked to discover that they have been duped, and have lost most or all of what they invested. Ponzi-type swindles probably go back to Greek and Roman times Over 50 years ago I had a wealthy uncle who invested with an individual who seemed to be doing remarkably well with a secretive investment strategy: he paid high returns in the form of monthly dividends, and allowed people to withdraw their investments. My uncle not only increased his investment, but advised other family members and friends to do the same (my father was either smart or lucky enough not to do so). After a couple of years the manager vanished, and investors lost all they had given him. It turned out that he was paying these good dividends not from returns on his investments, but from the new funds he was raising- a typical Ponzi scheme. While he did not lose most of his considerable wealth, my uncle went into a year-long depression after he found out he had been "taken". What was unusual about Madoff's swindle is that it continued for over two decades, and was the largest Ponzi scheme ever uncovered, with perhaps $50 billion lost or missing. It was also the first fully international Ponzi scheme, with investors from Europe, the Middle East, and China, as well as mainly from the US. One hedge fund, the Fairfield Greenwich Group, put over $7 billion into Madoff's fund, and encouraged others to invest in it as well. Bernard Madoff is a 70 year old apparently affable but retiring, person who did not live especially lavishly. He was very active in Jewish circles, so that, many of his investors were wealthy Jews, such as Jeffrey Katzenberg, Steven Spielberg, and Mortimer Zuckerman, and Jewish organizations, including the Eli Weisel Foundation and Yeshiva University. The enormous scope of Madoff's swindle raises two obvious questions 1) how could this scheme go on for so long without being exposed, and 2) how could so many sophisticated individuals be taken in by a fund that provided almost no information on how it was able to achieve consistent returns of from 8-13 per cent for many years during both good and bad times? In regard to the first question, various hedge fund managers were puzzled by how Madoff could make such consistently high returns with the information provided about what he did. Apparently, one claim was that he placed both put and call options on say the S&P 100 index. That might make money when stocks are falling rapidly, but the fund should have lost money on average during the mainly good years of the scheme's existence. One former hedge fund manager, Harry Markopolos, reported him for a decade to the SEC and also to state regulatory bodies. The SEC conducted some rather superficial investigations, but nothing much came of them-the SEC is now looking into why the swindle was not discovered much earlier. I believe this is another illustration of what has happened frequently, namely, that regulators too get caught in the hype surrounding an investor, or the economic viability of different banks. Of course, it is well documented that after a catastrophic event, many "obvious" signs are discovered that if taken seriously could have prevented the event. For example, after 9/11 it was revealed that the FBI did not investigate carefully warnings that some major terrorist act was being planned. This was also the case with the Japanese attack on Pearl Harbor. Roberta Wohlstetter in her outstanding book, Pearl Harbor: Warning and Decision, explains why the Japanese plan to attack Pearl Harbor was not discovered despite the considerable prior intelligence about their plans for an attack. This is also the case with the Madoff swindle, which makes it more puzzling. Why did many sophisticated individuals, funds, and other organizations entrust so much money to his management, and to management by various intermediaries, without doing any significant amount of due diligence? Part of the answer is that these individuals are not sophisticated in financial matters, and each successive set of investors assumed that previous investors had done some investigation. This led to an example of "information cascades", where private information is revealed sequentially over time to different individuals. Later participants can be badly misled if the information of earlier participants is far from accurate. Moreover, Madoff had developed an outstanding reputation. He was a respected member of the financial community and exclusive social circles, and a former president of the Nasdaq Stock Market. He helped pioneer electronic trading of stocks, and continued this profitable stock trading business while independently building up his asset management business. He did not let everyone invest with him, so that those who were accepted felt privileged. His activities went on for so long without exposure that newer and older investors alike considered his investments to be legitimate, even if secretive. He bolstered his clients' confidence by quickly refunding investments to anyone who asked. Stock markets are not fully efficient, and a small number of investors, such as Warren Buffet, can consistently do better than the major indices over very long time periods. However, markets are sufficiently efficient that such a record is extremely difficult to maintain. It takes very many years to establish a good investment track record that is due to skill instead of a good record due to plain luck. The numerous investors not well versed in financial matters have great difficulty appreciating that there are no magical or secretive ways to consistently beat the market. This is why when anyone asks me for advice, I recommend buying a diversified portfolio of stocks and other assets that controls risk while providing decent returns. Some money managers may be able to beat that in the long run, but it is extremely difficult to discover who they are. As a result, most investors looking for exceptional returns are likely to be taken for a ride either by charlatans, or by lucky fund managers whose luck eventually runs out.
A ``person who did not live especially lavishly''? A $7M apartment in NY, a $9M mansion in Palm Beach, a $3M beach house in Montauk, a 55 foot fishing boat, a yacht moored in the south of France, and half ownership of a $28M private plane?
I agree with diversification in general, with the addition of not letting diversification becoming substitute for spending some time and effort trying to understand each investment.
Dear Gary, if it turns out to be true, that on November 7th, 2005 the SEC has received a very detailed complaint about what is going on I think the SEC is liable for the scam. I do not expect investors to continue to have any faith in US capital markets and their regulators if us government turns away investors with their claims by saying it is your fold. Not acting on such a detailed complaint is a crime.
An innate proclivity to commit the "denial of the antecedent" fallacy on a regular basis pragmatically requires education to tame.
The media, an instrument of education for the masses, unfortunately isn't interested in spreading the wisdom of efficient market theory. "Mad Money" and trading tool infomercials spouting technical analysis nonsense are the ruling religion of the day.
Keep the good faith. Fight the good fight. Your blog is a step in the right direction.
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I think a lot of investors are willing to outsource their investment decisions and not ask questions so long as the returns are good. And even when the returns are good, investors will push their managers if they discover that their neighbor is somehow doing even better. The good news is that the current economic situation and the Madoff revelations will compel people to act more responsibly. Investors must always be active and involved in their own investments. And investors need to make sure that their own greed does not overpower their need for security.
As for Madoff, what interests me is not that he ran a Ponzi scheme, but rather how he ended up running a Ponzi scheme. Coming from his background, I have a hard time believing that he decided from the start to create a massive Ponzi scheme that he knew would eventually blow up and ruin his good name. I think he started off doing a typical hedge fund. When times weren't so good, he sold some of the invested assets to fund overinflated returns to his investors, expecting that to attract new investors whose money he could use to reconstitute the sold assets. In other words, he may have been borrowing a page from Keynes -- when times are tough, sell assets and pay out good returns; when times are good, pay out lower returns and use the remainder to repurchase the assets.
Looks good on paper, except we all know that it just doesn't work. Selling assets when times are bad and buying assets when times are good is generally a losing "sell low, buy high" strategy to begin with. And investors don't stop demanding high returns just because the market improves.
Of course, it may be that Madoff intended to start a Ponzi scheme from the start, thinking that he had found a way to create one that would not crash and burn like all those before it. But he just doesn't seem to fit that profile to me. We shall see.
This will undoubtedly prompt a new outcry for heavier regulation of Wall Street. Maybe some of that is necessary. But as I see it, what’s mainly needed is a heavy dose of caveat emptor. As Dr. Becker points out, the warning signs were there. I think that there’s a limit on how far government can go in preventing people from doing stupid things (or making stupid omissions).
Media reports indicate that the auditing of the fund was inadequate. Adequate auditing seems to me to be the best way to ensure that funds are going to investments, rather than to a Ponzi scheme. I’m not sure what regulations are in place to see to it that an auditor is up to the job on the scale required, but perhaps they need to be augmented (or put in place, if they don’t already exist).
The knee-jerk reaction to this scandal along with all the others will be to add layer upon layer of new regulation.
While the new regulation may do an adequate job of correcting prior problems there will always be guys just a little smarter (maybe) and a little more dishonest (always) than the next guy.
The fact that wealthy individuals lost money is not a shock. Making money and keeping money are two different skills.
Did Madoff really think he would get away with that? I mean, he must have known that one day, sooner or later, or even very later, people would find out and send him to jail. If I devised a Ponzi scheme, I would try to get as much money as possible in a short period and then travel to a sunny country without extraditon to the US or elsewhere. But living in New York for years, knowing that every minute someone could find out, that you would go to jail for the rest of your life and lose all what you have?
I admit, that is psychology, not economics; but for me this remains the real enigma.
The market IS NOT efficient. Example: well published results (see, most recently, Andrew Lo's book 'Hedge Funds') show the very simple technical strategy of longing each day's biggest positive movers and shorting the biggest decliners would have delivered SPECTACULAR returns in the 80's and 90's accounting for transaction costs and risk. And that the opportunity declined to zero in the late 90's and 00's. This is one of many technical strategies with similar return behavior in recent decades. There was an inefficiency in the market, and investors gradually discovered it and exploited it away. But over decades, not the much shorter timescales needed to justify idiotic and poorly informed 'the market is efficient!' statements that regularly spout from academic mouths. Is any of this ever acknowledged? What about strong return performance of funds like Renaissance and Goldman's Global Alpha (which, even including recent terrible performance, still destroys the market even on a risk-adjusted basis)? The market is in a state of some inefficiency, enough so that a number of investors (not just Buffet) can regularly beat it, but not enough that the average investor can. Agreed that it takes years of investment performance (and details beyond just yearly return) to tell the difference between luck and skill in investment success - this central fact is the reason swindlers can succeed, and that is what should be emphasized to investors if one wants to capture the real truth of the situation. Saying 'the market is efficient!' as well just spreads poor understanding and suggests those who work at generating returns in the market are all swindlers. They're not.
I agree with James Markels above. Although it's just a hunch, I'm guessing that Madoff probably ran an ordinary business for quite some time, and then only needed to start scheming when things went bad. I wouldn't be surprised if he told himself that when he turned things around, he'd make up the money he lost. Typical gambler mentality - need more money to win back what you lost already.
Diversification wouldn't have protected an investor from grievous declines this year. The only strategy that would have done that (other than staying in cash) is hedging. John Hussman, Ph.D., of Hussman funds hedged his Strategic Growth Fund, and so shielded his investors from the worst of the market declines.
Under your theory that anybody who consistently beats the market must be a scam artist, how do you know that Warren Buffet or any other money manager with consistent good results is not scamming?
Madoff was in business for almost 50 years and for most of it he was managing other people's money and providing good but not spectacular returns. For a great many investors, those facts alone would have provided a great deal of comfort.The huge amount of 20-20 hindsight being exhibited now by many is totally unconvincing.
It is also not clear what exactly would have been discovered by an SEC investigation. He clearly had money under management. The question is whether he had sufficient funds to cover all the amounts reported in the statements he issued to his investors. If he had enough funds to cover the amounts he reported he was managing, how would the SEC or nay other investigator have discovered that he was telling his investors (collectively) that he was managing a much larger amount than the amount he was reporting?
"Ponzi Schemes", in the heart of the legitimate financial world? Looks like someone has taken a page from the "American Gospel of Success" - "There's a sucker born every minute" and why do you think it's called "SPECULATION".
The problem is clearly a lack of transparency that the SEC was supposed to provide.
And now the Financial Investment Banks that have taken money from the Nationally sponsored Bailout do not wish to report how that money is being used.
When are we going to learn and force these guys to toe the line and operate in the National Interest?
Aaah yes......... "transparency". And to think I used to read CPA generated 10Q and K's.......... what are those worth today????????? In an "efficient market?"
Anon., Guilt and Innocence has nothing to do with it. A few need to be tarred and feathered and run out of town on a rail as a warning to others. Justice works in strange ways at times.
This is not the largest Ponzi scheme. That title would have to go to Social Security.
On a separate note, for smaller than Madoff investors I recommend Bernstein's book, "The Intelligent Asset Allocator". Pretty much agrees with Prof Becker.
Not to excuse Madoff but it is interesting to consider what constitutes a Ponzi scheme; is it intent?
Consider Amazon operated at a loss for years, ostensibly plowing all of its revenue into buying market share and striving to preempt competition while its stock rose on expectations of profits certain to come as its founder indicated would be the case. But suppose his model was flawed and Amazon went down as did so many other dot coms?
Then with the dot com frenzy in full swing, WERE there hucksters who had no intent of ever being profitable and intentionally just sold a story, churned some dollars for a while (as was, apparently, part of AOL's "business plan" for a while) go public and "diversify" the capital raised.
Or, more topically, did very savvy investment bankers REALLY think that they HAD invented something that made the "old" 5 : 1 lending ratio obsolete and that going out to 30 : 1 was a viable business practice?
Or? By offering returns far above the historical norm to their investors for selling what MANY insiders MUST have KNOWN was junk also guilty of running illegal Ponzi schemes? Or where they just frisky young capitalists willing to take just a bit more risk in order to maximize returns for their stockholders? Did they think they could reduce their exposure to risk, IF, or before asset prices flattened or fell?
By comparison, did Madoff, think, or hope that after "buying customers" with high returns and getting his fund to some size that he could catch up by lowering returns while maintaining most of his client base? Probably not, and I assume there are some rules against running funds in a manner that returns more than was earned in a given year.
But what of those lending at 30 : 1? That would make 5% loans yield something like 150% on equity. Would a CPA using generally accepted principles endorse such returns as "earnings?" or denounce them as lucky winnings from wild-azzed gambling? or outright fraud?
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Color vision deficiency or, as it is more commonly known, color blindness, occurs when you are unable to perceive a wide spectrum of colors that the eye should be able to see. Color blindness can affect people at a variety of different levels, some may just only be unable to discern shades of red and green while others might see the world only in shades of grey. The most common color blindness affliction is the inability to discern shades of red and green, but a small percentage of people who suffer from color blindness will only see the world in black and white.
In most cases color blindness is inherited and passed down through the generations, but there are some instances where color blindness can be caused by injury or disease or other possible circumstances. Unfortunately, those who inherited their color blindness from a relative will most likely have to deal with the symptoms of color blindness their entire life.
If the optic nerve or retina is damaged in some way, it could cause you to develop some level of color blindness. Diseases such as diabetes, glaucoma, Alzheimer’s disease, Parkinson’s disease, age-related macular degeneration and multiple sclerosis have been known to cause symptoms of color blindness. If you have injured your eye or have one of the aforementioned diseases, it is important that you consult your eye doctor about your vision to ensure everything is working properly.
Some prescription medications have been known in rare cases to cause symptoms of color blindness as well. Medications used to treat heart disease, high blood pressure, depression and other psychological problems have been known to occasionally cause issues with color blindness.
Genetically speaking those who are at the highest risk of developing color blindness are white males. In fact, 8 percent of all white males will struggle with color deficiency at some point in their lifetime, while only 0.5 percent of women will have to deal with color blindness.
If you believe you are having difficulty discerning different tints and shades of color, then it is recommending that you call your eye doctor and set up a regular comprehensive eye exam.
Digital eye strain is a rapidly growing issue in today's computer reliant world. If you work in an office, chances are you will be spending quite some time in front of a computer screen which can cause your eyes to strain. In fact, 70 percent of Americans who work with computers on a daily basis deal with symptoms of digital eye strain. Luckily, there are some precautions you can take to help prevent digital eye strain and protect your vision.
1. Don't forget to blink: This may seem like a no brainer, but studies have shown that when we use computers we tend to blink a lot less, which causes your eyes to become dry and irritated. Blinking helps to keep your eyes lubricated and also helps to spread necessary nutrients across the eye.
2. Using proper levels of Lighting: One of the biggest causes of digital eye straight is poor lighting and glare on computer screens. If the overhead lights are too bright then you should position your computer screen in a way that doesn't reflect the lights and create glare. Light coming in through the windows can be difficult as well, depending on the time of day, so you might want to consider closing the blinds if necessary.
3. Step away from your computer occasionally: There is a technique that can help you avoid digital eye strain called the 20/20/20 rule. This is an easy enough system to work into your daily routine. You just need to look away from your computer every 20 minutes at an object that is at least 20 feet away for 20 seconds or more. This technique is said to reset your eyes and keep them from getting strained.
Taking these necessary steps to help avoid digital eye strain is not only great for you, but also your productivity in the workplace, so why not give it a try? If your eyes continue to be strained, then it is recommended that you see an eye doctor for a routine eye exam.
Studies show that using the GlassesOff App does help to improve your eyes crowded and uncrowded visual acuity.
Age-Related Macular Degeneration (AMD) is a very common eye condition among senior citizens. AMD damages your central vision, which makes it difficult to recognize faces, write, read, paint, and do really anything that involves making out the small details. This makes it a real problem for the older crowd.
1. Know your family’s medical history: If you discover that a close relative has AMD, then your risks of developing this eye condition increase drastically to a 50% chance. Knowing this information allows for you to schedule eye exams accordingly. Catching AMD early is essential in regards to protecting your vision. We aren't able to cure AMD yet, but catching it early allows for us to potentially slow down the vision loss.
2. Put down those cigarettes: A large amount of studies suggest that smoking increases your risk of developing AMD. Smoking has also been known to speed up your rate of vision loss should you be diagnosed with it. Smokers are considered to be twice as likely to develop AMD, then those who do not smoke.
3. Get into fitness: There are plenty of studies out there that suggest that exercising regularly helps to improve your eye health. Some studies even suggest that exercising three times a week can reduced your risks of developing more serious forms of AMD by as much as 70 percent.
4. Eat a balanced, nutrient rich diet: Eating a diet that is high in omega-3 fatty acids, but low in saturated fat and cholesterol is ideal for your eyes. Studies have shown that people who eat diets rich in omega-3 fatty acids have reduced risks of developing AMD. Little tip—fish is a great source of omega-3 fatty acids.
5. Schedule regular eye exams: In the early stages of AMD, most people aren't going to see obvious symptoms with their vision. Having regular eye exams with your eye doctor is essential in catching AMD early, as only an eye doctor can detect symptoms in the early stages.
Cataracts are the number one causes of blindness in the world. The first thing you probably think of when you hear the word “cataracts” is the elderly. It is understandable why that would be the case, because cataracts are most commonly seen in the elderly, but you don't need to be elderly to develop them—in fact, babies can be born with cataracts.
While rare, cataracts have been seen in newborns—it is estimated that between 3 and 4 children per every 10,000 are born with or will develop congenital cataracts. There are multiple causes for this, but the most common include: trauma, metabolic dysfunction, and infections developed while in utero.
In a healthy eye, light enters the eye through the cornea and passes through the lens, which then focuses the light onto the retina, which finally relays the information through your optic nerve into your brain. A cataract is the clouding of your eyes natural lens. The cataract blocks light coming into the eye thus not allowing the eyes lens to focus the light properly, which in turn causes blindness.
There are a multitude of reasons why you might develop cataracts before the age of 45. The most common reasons people develop cataracts at a younger age are: diet, medication usage, other health issues, physical trauma, and over exposure to UV rays. It is important to protect your vision, because it can be damaged easier than you think.
Detecting cataracts early in those who begin to develop them early is essential in protecting their vision for the future. If left untreated, your eyes will not develop correctly and you will have vision problems the rest of your life. Make sure to schedule regular eye exams with your eye doctor to ensure your eyes are in good health.
Yes, maybe it is a little early to be talking about summer, but it is a good idea to plan things out beforehand so you can maximize the beautiful summer weather.
Studies show that fewer people choose to undergo laser eye surgery during the summer than during any other season. The reason behind this is that people’s schedules get busy with vacations, beach days, gardening, and other outdoor activities with friends and family. Before you make those summer plans you should plan a step further and consider getting LASIK now so that your summer can remain nice and open for you to enjoy.
1. The Freedom of Clear Vision Without Corrective Lenses: During the summer you are going to want to be active and outdoors enjoying that gorgeous weather. From traveling to playing Frisbee in your back yard you aren't going to want to have to deal with the frustration of losing your glasses or having your contact lenses pop out. Feel free with LASIK.
2. Feel Safer When You Travel: Being able to see the world around you clearly with your own two eyes does a lot to help you feel safer, particularly if you are in a new place you have never been before. If you are virtually blind without your corrective lenses, you might want to seriously consider LASIK for your own personal safety while you travel.
3. Be In Style: While there is such a thing as prescription sun glasses, it limits your options quite a bit! If you undergo LASIK surgery, then you will be able to pick up any pair of shares you want. Who doesn't enjoy having their sunglasses complimented?
1. You can actually wake up to clear vision in the morning, instead of fumbling around trying to find your glasses or get your contact lenses in. For many, this reason alone is enough to convince them to go through with the quick procedure.
2. For all the fashion conscious people out there you will no longer need to worry about which outfit matches your eye wear! You are free to wear whatever you please!
3. Hassle free travel! Well sure, you still have to deal with security scans and all of that, but you no longer have to worry about bringing along a backup pair of glasses or contact lenses in case something was to happen to your current set.
4. You have better vision than ever before. In many cases, people who undergo LASIK come out of it with better vision than they have ever had with corrective lenses! This is due to your eye doctor being able to make tiny adjustments to your eye that are just not possible with a prescription lens.
5. A nice self-esteem boost! Yes, you will no longer have to worry about what people might think about you because you wear glasses. A common phrase that gets thrown around a lot is “four eyes” and nobody enjoys being called that.
Vision is a beautiful thing, thanks to your eyes you are able to see colors and perceive depth. You can focus your vision up close or looks far off into the horizon. All of these functions of the eye happen automatically when you open up your eyes similarly to how your camera can autofocus on your phone.
Your eyes work in conjunction with your brain to process the images you see into one picture. The point of seeing your eye doctor for an eye exam is so that they can be sure each of the individual parts of your eyes are working properly and are healthy.
Sclera – What is normally called the “white of the eye” consists of a tough membrane that helps protect the sensitive parts of the eye. It is composed of collagen and elastic fibers.
Cornea – The surface at the front of the eye that acts as a protective layer for the pupil and iris. Aside from protecting parts of your eye, it focuses incoming light into other areas of the eye. You could certainly draw a comparison between the cornea and a camera lens as it has a similar function. The cornea does not require blood for it to operate properly, and is kept healthy by tears and aqueous humor (a type of eye fluid).
Pupil – The big dark spot that is Located in the center of your eye that lets all the light into the inner parts of your eye.
Iris – This is the pretty colored portion of your eye that surrounds your pupil. The iris changes its shape around the pupil to let in as much light as is necessary.
Anterior chamber – Located behind the cornea, the anterior chamber is a cushioned area filled with aqueous humor. Glaucoma is caused by blockage that is formed in the anterior chamber that prevents fluid from flowing in and out of the eye which creates pressure that can lead to blindness.
Lens – Positioned deep inside your eye is the lens! Light that comes through the cornea then enters the pupil and hits the curved surface of your lens where it is then focused on the retina in the back of your eye. What happens when someone is suffering from having cataracts is that this inner lens has become clouded. This can be corrected with cataract surgery by removing the clouded lens and replacing it with a clear lens implant.
Vitreous chamber – Behind the first layer of the human eye is layers of vitreous humor—a gel-like organic compound which gives the eye its shape.
Retina – This part of your eye translates all the visual information it receives from your eyes into electrical impulses so that your brain can digest them.
The optic nerve – The optic nerve takes the information from the retina and transmits it to the brain. You would think that there would be some input lag, and you aren’t necessarily wrong, but it is nearly instantaneous.
The eye is an impressive piece of biological engineering with many different moving parts. With such an intricate design, it is easy for something to go wrong, which is why it is important for you to continue scheduling routine eye exams with your doctor. If you haven’t had a routine eye exam yet, be sure to schedule an appointment with us today!
In my practice, I see patients of all ages who would like to be free from glasses or contact lenses. For individuals who are free from eye disease and have good overall eye health, that result can often be achieved. In my full article I discuss vision corrections options for every phase of life and give my suggestions on what might be the best option for you.
Please click here to read my full article on Blink.
Ophthalmologist perform Laser Vision Correction surgeries every day on a multitude of different patients, but how often do the ophthalmologists undergo the procedure themselves, and would they recommend the procedure to family members and loved ones? A survey was recently conducted by Surgivision Consultants, Inc. to determine just that.
In this survey, 250 ophthalmologists were selected at random from a database of 2,441 ophthalmologists known to have performed Laser Vision Correction (LVC) at some point in the past decade. Of the 250 selected, 248 (99.2%) responded, of which 232 (92.8%) met the criteria for the study and were sent a series of 22 LVC related questions.
It was determined that 161 of the participating ophthalmologists suffered from refractive errors potentially treatable via LVC application, not including presbyopia. Of the 161 (69.4%) ophthalmologists with potential treatable refractive errors, 54 (33.5%) reported as being ineligible for LVC for a variety of reasons, while 107 (66.5%) reported as being eligible candidates for LVC. 62.6% of the eligible LVC candidates reported undergoing laser eye surgery. Overall, out of the 232 ophthalmologists that took part in the survey, 90% would recommend LVC to a family member or loved one.
That is a lot of information to absorb, but one of the most interesting statistics uncovered in the study is that 62.6% of the laser vision correction surgeons, that were eligible candidates for LVC, had it done on their own eyes. This is a striking statistic because only 13.1% of the general population, that are candidates for LVC, choose to go through with it. If you are considering LASIK or another LVC procedure, it should be comforting to know that ophthalmologists not only recommend it to their loved ones, but also undergo the procedure themselves.
If you are interested in reading the full report on the results of the survey, click here.
According to a survey conducted by Ronald R. Krueger, MD, MSE, at Cleveland Clinic, physicians see the benefits of Laser Vision Correction as much as the general public. Not only do most physicians see a boost in their quality of life after having laser vision correction, or refractive surgery, they also see an improvement in their work thanks to the increased visual clarity.
Approximately 28 percent of survey respondents indicated that they perform surgery as part of their work, 43 percent said they perform procedures that require precision, but aren’t considered surgery, and the remaining 29 percent of respondents perform neither procedures or surgery. 84.8 percent of the total respondents claim they experienced an improvement in their vision compared to their prior method of vision correction. This level of satisfaction is in line with what has been seen among the general public.
39 percent of the total respondents claim their ability to perform precise procedures and surgeries had improved. These are encouraging results, check out the full article here.
Preventative Medicine: Myth, or Legend?
Just because modern medicine is becoming increasingly fantastic, doesn't mean you should stop taking care of yourself. In fact, despite the constant advances in medical research, more and more doctors are looking at preventative medicine as a means of decreasing medical risk. Although preventative medical techniques won't be able to stop health complications caused by genetics, age, or uncontrollable environmental factors—it can help to slow the affects.
So, what are some of these preventative medicinal techniques?
First of all, you should consider eating a healthy diet. Your eyes, much like the rest of your body, requires nutrients such as vitamins, minerals and antioxidants to function properly. Not all foods provide the right nutritional value for your eyes, so it is best to keep that in mind when going grocery shopping. Coincidentally, the best foods for your eyes tend to be ones that are brightly colored and easily noticeable from a distance such as berries, broccoli, grapefruit, carrots, and salmon. Make sure to keep a steady supply of food that has the following nutritional properties: Lutein, Zeaxanthin, Vitamin C (absorbic acid), Vitamin E, Vitamin A, Beta Carotene, Essential Fatty Acids, and Zinc.
You won't get this nutritional value from your average processed foods, and eating an excessive amount of processed food can increase your risk of developing detrimental health conditions like diabetes, which can open up a whole new can of worms in regards to eye disease.
Wait, so I just have to eat right, and then I'm all good?
Make sure to stay hydrated – This sort of go along with eating healthy. Like a large percentage of the human body, the eyes are made up of liquid. This means that if you are suffering from dehydration, your eyes can be negatively affected. Try your best to stay on top of hydration and drink your recommended daily intake of water, and no—Soda doesn't count.
Wear your glasses – Don't forget to wear your glasses! If you have a prescription, then chances are there is a reason for that. Failing to consistently wear your glasses can cause eye strain and uncomfortable headaches. Another pair of glasses that is important that you don't need a prescription for are sunglasses. If you find yourself spending a lot of time outdoors, make sure to be wearing the proper UV protective lenses, so you don't suffer damage due to over-exposure from the sun.
Exercise – A big part of living healthy is maintaining a stead exercise plan helps to improve your bodies blood flow—an essential piece of the healthy vision puzzle. Strength training and cardio exercises boost your metabolism which helps prevent diabetes. You can actually exercise your eyes much like the rest of your body using proper techniques such as: Focusing on a small object and bringing it toward your nose to help boost your ability to change focus—particularly useful if you spend a lot of time in an office working in front of a computer. You can also combat eye fatigue by using a warm compress on your eyes at night before you sleep.
Catch some Z's – Eye strain can come from more than just staring at screens all day long, in fact, stress can cause eye discomfort and even hurt your eye health over time. If you find you are under a lot of stress, it can help your eyes and temperament to take short breaks to rest your eyes. Don't forget to get the proper amount of sleep at night and most importantly, if you wear them, remove your contacts before going to sleep!
Living a healthy lifestyle is difficult, especially with all the delicious unhealthy foods that are so accessible on a daily basis, but is one of the best methods of protecting your eyes from eye disease and helping to ensure your vision stays healthy and clear. If you feel your eyes condition is continuing to get worse at an accelerated rate, it is best to see your eye doctor to ensure medical attention isn't necessary.
Over 9% of Americans suffer from diabetes, and approximately 1 out of 3 diabetic adults are affected by diabetic retinopathy. There are quite a few ocular complications caused by diabetes, but diabetic retinopathy is considered to be the most severe.
Diabetic Macular Edema – Diabetes has been known to potentially cause edema, or “swelling,” of the macula. The macula is responsible for the central part of your vision, without which we be unable to make out a lot of detail. If left undiagnosed and/or untreated, diabetic macular edema could cause scarring to your macula and permanent vision loss.
Sudden Changes in Vision – Blood glucose level fluctuations can often cause the lens inside of your eye to change, which can make your vision change exponentially. This might make you believe you need to update your eye prescription, but in all actuality it is the diabetes preventing your eyes from working properly. Having a sudden dramatic change in your vision is never good, but it can serve as the first detectable sign that you might have diabetes.
Diabetic Retinopathy – As mentioned above, this condition is considered to be the most severe of all the diabetes related ocular complications. It affects the small blood vessels in the retina, which can lead to potential blindness or, at the very least, major vision complications if left untreated. The risk of developing diabetic retinopathy unfortunately increases the longer someone has diabetes. This risk is only worsened if the person with diabetes exercises poor blood glucose level control.
Glaucoma and Cataracts – Diabetes raises the risk of developing glaucoma by approximately 40% and cataracts by about 60%. It is possible that diabetes might accelerate the progression of each of these conditions as well making them even more damaging for your eyes.
It is important to schedule regular eye health examinations even if eye symptoms aren't manifesting themselves, especially if you knowingly have diabetes because of the increased risk of eye disease. It is best to catch ocular complications caused by diabetes early to halt damages to your vision as much as possible, but diabetes related ocular complications don't always produce symptoms that are visible to you right away, making the need to be have routine eye exams with your eye doctor all the more important.
After becoming the world’s youngest doctor at 17, Bala Ambati found his calling in service to the world’s blind—a staggering number which currently stands at 42 million people. Dr. Ambati came to the pivotal conclusion that “the way we deliver medicines to the eye has to be better” and began developing an implantable disc to enable cataract surgery patients to heal without eye drops.
INKtalks are personal narratives that get straight to the heart of issues in 18 minutes or less. Watch Dr. Ambati's INK presentation from earlier this year to learn more about his fight to cure blindness.
What is a Pterygium? And What are my Treatment Options?
People generally describe a pterygium as a “whiteish-yellowish, wing-shaped growth” that grows over a part of your cornea, but what is it exactly? Medically speaking, a pterygium is an overgrowth of fibrovascular tissue and conjunctiva on the surface of the cornea.
In most cases, a pterygium begins as a pingueculae (try saying that ten times fast)—An elevated “whitish-yellowish growth” on the white of the eye. Pingueculae are most commonly located nasally, or temporally, on the interpalbebral fissure—located in the area between your upper and lower eyelid. A pingueculae becomes known as a pterygium when it starts to grow in a wing-like shape more centrally over the cornea.
By themselves, pterygium aren’t harmful and most commonly are caused by an over exposure to the sun, dust, or high winds. It is important to wear protective eyewear, like sunglasses, to protect your eyes when you are outside. An interesting fact—Cases involving pterygium become more common as you get closer to the equator.
Never fear though, there is medical treatments for pterygium. In fact, most commonly pterygium can be treated with lubricating eye drops or anti-inflammatory eye drops. In some cases, removing pterygium can require surgery, but this is far less common than the aforementioned removal using medical eye drops. Surgery only becomes necessary if the growth: starts inhibiting the visual axis, is unresponsive to medical eye drop treatment and becomes excessively irritating, or you begin to develop a serious astigmatism (caused by corneal surface irregularity).
Should a pterygium or pingueculea be removed using surgical methods, it should be sent to a pathologist to analyze. In rare cases, precancerous lesions can masquerade themselves as pterygium.
If you find that you are developing, or have developed, a pingueculae or pterygium make sure to have it checked out by your eye doctor so that future treatment can be planned!
A little known fact about your glasses is that they can harbor bacteria which can irritate your eyes. This is due to bacteria and other eye-irritants making the transition from the environment to your hands and from your hands to your glasses and from your glasses to yo…—well you get the idea! Using your breath to clean your lenses can also expose your eyes to potentially irritating bacteria.
Blepharitis: A common condition that causes inflammation of the eyelids.
Bacterial Keratitis: An infection of the cornea that causes pain, reduced vision, light sensitivity, and discharge from the eye.
Sty: A painful red lump near the edge of your eyelid that looks like a pimple.
Conjunctivitis: Commonly known as “pinkeye,” Conjunctivitis is often caused by infection from bacteria. It is seen mostly with children.
Your best approach to limiting your eyes exposure to potentially irritating bacteria is to make sure you are keeping your glasses clean. Use warm water and a little dish soap when you clean your lenses and frames, and make sure to use a soft towel to dry them off so you don't scratch your lenses. Rubbing alcohol can be used to clean your glasses as well, but make sure that there isn't a conflict with a special coating on your lenses first.
I was deeply saddened when I received news of former president A.P.J. Abdul Kalam’s passing earlier this summer. He was an inspiration for me and many other young Indians due to his pioneering in space science, aeronautical engineering, and nuclear missile technology. A little known fact about Kalam’s legacy was his fight against blindness, this is something that resonates especially closely with me.
Please read my tribute to A.P.J. Abdul Kalam, I have shared on The Week.
Creating any type of medicine takes a lot of time and labor, but there is an assumption that all drug development follows a linear path of trials before it can see a public release, this is not necessarily the case. Thousands of scientists, from thousands of different locations, conduct research over the course of many years before a drug can be considered safe enough to be on the open market. Studies have shown that the journey to getting approved by the Food and Drug Administration (FDA) is always a bit different.
A recent publication on the Washington Post provides some added insight into the labor-intensive process of developing life-saving treatments.
There are certain types of genetic and non-genetic diseases that can cause damage to photoreceptors and retinal ganglion cells. When these get damaged they begin to function improperly and eventually die, at that point we lose our ability to see.
In developed countries around the world, Age-Related Macular Degeneration (AMD) is the leading cause of damage and death to the photoreceptors in the human eye. The human body has limited abilities to repair damage to nerve cells, and unfortunately lacks the ability to grow new ones. Without these photoreceptors, the eye has trouble converting light to electrical signals for the brain, causing your vision to grow darker.
Cataracts are another major issue, and are the leading cause of blindness around the world. If you are over the age of 40 and are having issues with vision loss, then there is a good chance you are beginning to develop cataracts. The damage done by cataracts is at the front of the eye, and can be corrected fairly easily with LASIK surgery.
Issues with dying cones, rods, and photoreceptors are located at the back of the eye, so they are unreachable by current LASIK technology.
Is there a cure for blindness?
The ganglion cells in your eyes remain intact despite damages to your photoreceptors. The issues is that without those photoreceptors, your ganglion cells are just sitting there with nothing to do. Photoswitch takes these dysfunctional ganglion cells and infuses them with photoswitch molecules.
These molecules are designed to change shape in response to light. This gives the ganglion cells the ability to sense light on their own. This essentially makes your ganglion cells self-sufficient vision producing machines!
The animal testing of the photoswitch molecule has thus far given off positive results, but we won’t know for sure if this technology is a viable option for humans until more tests have been completed. If results are positive after human testing then photoswitch can improve vision for those suffering blindness beyond anything that the current bionic eye technology offers.
Most people over the age of 40 that suffer vision loss are developing cataracts. Cataracts are the leading cause of blindness throughout the entire world. The number of cases of cataracts far eclipse the amount of glaucoma, macular degeneration and diabetic retinopathy cases combined!
Subcapsular Cataracts: Occurring at the back of the lens. These are most common in people who have diabetes or are regularly taking high doses of steroid medications.
Nuclear Cataracts: Formed deep in the nucleus of the lens. This type of cataract is generally associated with aging.
Cortical Cataracts: These tend to occur in the lens cortex—a part of the lens that encompasses the central nucleus. This type of cataract is generally known for its opaque wedge shapes that begin forming in the periphery of the lens and gradually move in towards the center.
According to Prevent Blindness America (PBA) as it stands right now, more than 22 million Americans age 40 and older are suffering from cataracts of some form. By the year 2020, this number is expected to rise to as many as 30 million!
Depending on the type of cataract you have started to develop you might not experience any symptoms or in some rare cases your near vision can actually improve temporarily. It is important to remember that cataracts generally develop slowly and won’t dramatically affect your vision early on.
If you believe you are beginning to develop a cataract, make sure to set up an appointment immediately so we can be sure, and begin planning your treatment. | 2019-04-24T08:42:07Z | https://www.doctorambati.com/blog/latest-articles.html |
SHALOM ALEICHEM (Sholem Aleykhem ; narrative persona and subsequent pseudonym of Sholem Rabinovitsh (Rabinovitz ); 1859–1916), Yiddish prose writer and humorist born on February 18, 1859 (old style; March 2, new style), in Pereyaslav (today: Pereyaslav-Khmelnitski) on the left bank of the Dnieper (Dnipro), downstream from Kiev, as the third child of Menakhem-Nokhem Rabinovitsh, a wealthy timber and grain merchant and Khave-Ester, née Zeldin. Together with Sholem Yankev *Abramovitsh (often misidentified as his fictional narrator, Mendele Moykher Sforim) and I.L. *Peretz, Shalom Aleichem is regarded as one of the three major classical writers of Yiddish literature. He rapidly achieved widespread popularity with the reading public, though it took him longer to achieve lasting critical acclaim. By canonizing Abramovitsh as the "grandfather" of Yiddish literature and castigating the facile and highly popular pulp-fiction of *Shomer, he brought aesthetic criteria to bear on Yiddish literature and became the first to see himself as occupying a position within a Yiddish literary tradition. In fact, he was barely 24 years younger than Abramovitsh, but this difference was crucial, since the political turmoil and the pogroms of the 1880s had discredited the *Haskalah or Jewish Enlightenment movement, making for an altogether more resigned, milder, and less didactic tone in Shalom Aleichem's work. He was distrustful of all ideology and could offer only aesthetic solutions to the problems of Jewish existence. It is true that he manifested considerable enthusiasm for the Zionist cause, but he does not seem to have been very sanguine about its chances of success. He promoted his vision of Yiddish writing capable of standing comparison with other literatures in the two volumes of his lavishly produced Di Yidishe Folksbibliotek ("The Jewish Popular Library," 1888–89) in which inter alia he published works by Abramovitsh, Peretz, and Isaac Joel *Linetsky as well as early versions of his own novels, Stempenyu (1889; Stempenyu, 1948) and Yosele Solovey (1890; "The Nightingale: Or the Saga of Yosele Solovey the Cantor," 1913). These novels are both restrained, tragic love stories in which self-fulfillment is sacrificed to traditional concepts of modesty; the author was not entirely successful in reconciling form and content. The Folksbibliotek-project was abandoned in 1890 when Shalom Aleichem lost his fortune on the stock exchange. However, his reputation owes less to his novels than to his epistolary satire,Menakhem-Mendl (begun in 1892; "Menakhem Mendel and Sheyne Sheyndl," 1948) and his loosely structured series of monologues, Tevye der Milkhiker (begun in 1895; Tevye the Dairyman, 1987). It was in these series that Shalom Aleichem found the style most suited to his genius, and he continued working on them almost up to the time of his death, creating personae whose voices enabled him to express his ironic view of a traditional society in crisis.
Most of his fiction, which also included the stories he wrote for Jewish holidays and his many children's stories, appeared in the first instance as feuilletons in various newspapers, being collected in book-form usually at a much later date. The ability that Shalom Aleichem had shown in these tales to capture scenes from a child's perspective found its most virtuoso expression in Motl Peyse dem Khazns (serialized between 1907 and 1916; The Adventures of Mottel, the Cantor's Son, 1953). In this cycle of stories he created a brilliantly ironic account of the misfortunes of a widow and her children and their later peregrinations from the Ukrainian market town to New York, as seen through the eyes of the youngest carefree son, Motl. Shalom Aleichem also wrote critical reviews and poems and tried writing for the stage, but without great success. In the theatre, it was dramatizations of his stories by other hands that achieved lasting fame, most notably the Tevye stories which eventually became the well-known musical drama, Fiddler on the Roof (1964). Shalom Aleichem was still at work on his lightly fictionalized autobiography, Funem Yarid (1916–17; From the Fair: The Autobiography of Sholom Aleichem, 1985) and the continuation of Motl Peyse at the time of his death. His multifarious oeuvre constitutes a Jewish comédie humaine, portraying the transition from the old order of traditional life to modern times. Through it runs the recurrent theme of unrealizable aspiration, followed by catastrophe and renewed hope, epitomizing courage in adversity and survival against all odds both in the Old World and the New. The tragic is constantly interwoven with the comic, while his characters and perspectives embody powers of regeneration in the face of adversity.
In 1861 his family had moved to Voronkov (Voronka), somewhat closer to Kiev, where he attended ḥeder. Voronkov was later to be satirized in his works as the archetypal shtetl, Kasrilevke. However, 10 years later Menakhem-Nokhem Rabinovitsh was defrauded and the family returned to Pereyaslav where the 12-year-old boy helped his father run a modest inn. The following year his mother died of cholera, and his father remarried. The death of his mother had a particularly traumatic effect on the young Rabinovitsh which is indirectly, almost unconsciously, reflected in a number of his works. In 1873–36, he attended the Russian secondary school (gymnasium) in Pereyaslav on a scholarship. It was during these years that he composed his first literary creation in the form of a glossary of his stepmother's curses (unpublished), thus early revealing his ability to face adversity with humor. He also began writing Hebrew biblical romances in the manner of Abraham *Mapu, his father's favorite author. After graduating with distinction from the gymnasium Rabinovitsh became a private tutor in Russian, Hebrew, and other subjects in and around Pereyaslav. The following year, as the result of a stroke of good fortune, he was offered the position of private tutor to the daughter of the wealthy merchant, Elimelech Loyev. Rabinovitsh and his teenage pupil, Olga/Hodl read Hebrew and European literature together and fell in love. Some two to three years later, becoming aware of the tender feelings between tutor and pupil, Loyev dismissed Rabinovitsh. It was at about this time that his earliest Hebrew pieces were published in the popular maskilic Warsaw newspaper, Ha-Ẓefirah.
Rabinovitsh now secured the office of obshchestvenny ravvin or government rabbi in Lubny. During the years in Lubny he contributed further pieces in Hebrew not only to Ha-Ẓefirah but also to Ha-Meliẓ on social and educational issues. In 1883 Olga came across an article by Rabinovitsh and was able to locate him through the publisher. On May 12 (old style; Lag ba-Omer) of the same year, their marriage took place in Kiev against her father's wishes. However, Loyev was soon reconciled, insisted that Rabinovitsh give up the post of ravvin, and invited him back to the estate at Sofiyevka, where he was able to pursue his literary activities free from financial worries.
With the appearance from 1881 onwards of Alexander *Zederbaum's (Tsederboym) St. Petersburg weekly Dos Yidishe Folksblat, at that time still the only Yiddish periodical, Rabinovitsh felt encouraged to pursue his enthusiasm for Yiddish literature and wrote his first Yiddish story, "Tsvey Shteyner" ("Two Stones," 1883) which was serialized in this periodical. This piece was dedicated to O[lga]-E[limelekhovna Loyeva]. The action is a tragic version of the romance between himself and Olga/Hodl in which the heroine commits suicide and the hero becomes deranged (thus anticipating the underlying themes of Yosele Solovey). Rabinovitsh later became dissatisfied with this story, hence its omission from collected volumes throughout his lifetime.
A further story, "Di Vibores" (1883; "The Election," 1994) was published in Dos Yidishe Folksblat and was signed for the first time "Shalom Aleichem." Rabinovitsh resorted to a pseudonym since this satire attacks the affluent leaders of a Jewish community, named in the story as Fintsternish ("darkness"), though clearly Lubny was meant. The nom de plume, initially intended as a temporary stratagem, became a narrative persona. Feeling that his talents lay primarily in the realm of Yiddish humor, he adopted the name permanently, and, indeed, it was eventually destined to become the appellation by which he was universally known. In Funem Yarid he also explains that the pseudonym was in part adopted for the sake of his family who shared the prejudices against Yiddish at that time prevalent in intellectual circles. Like "Tsvey Shteyner," this story was never reprinted in Shalom Aleichem's lifetime.
In November 1883 the young couple moved to Belaya Tserkov (Bila Tserkva), south of Kiev, where Shalom Aleichem at first worked as inspector of sugar estates for the Kiev Jewish millionaire, Israel *Brodsky, whose name together with that of *Rothschild was to become emblematic of fabulous wealth in Shalom Aleichem's fiction. After leaving Brodski's employ, Shalom Aleichem and Olga remained in Belaya Tserkov, financially supported by Loyev. In the early 1880s Shalom Aleichem published a number of further slight sketches, epistolary skits, and stories in Dos Yidishe Folksblat. Whereas in these years Shalom Aleichem's aspirations lay in the direction of the novel and he attached little importance to his feuilletonistic work, it was in these short pieces that he developed his abilities as a writer of monologues and epistolary sketches, and it was these skills that were later to avail him in the masterpieces, Menakhem-Mendl, Tevye, and Motl Peyse. As time went by, he further honed the feuilleton style which he learnt inter alia from Gogol and which became his real forte. It was precisely these monologues and sketches that earned him his popularity and in which he was able to give free rein to his ironic fantasies.
During these years in Belaya Tserkov, Shalom Aleichem and Olga began spending the summer months in a dacha in the village of Boyarka not far from Kiev, as they continued to do until he left Russia in 1905. This village later served as the model for the fictional village of Boyberik in the Tevye stories and other works. In 1884 their daughter Ernestine/Khaya-Ester was born, the first of six children (four daughters and two sons). In 1885 Loyev died. Shalom Aleichem inherited a very considerable fortune and ventured into business speculations in Kiev.
In 1886 the first of his stock exchange stories was published in Dos Yidishe Folksblat adumbrating the virtuosity of the Menakhem-Mendl letters. In this same year appeared Di Veltrayze ("Journey round the World," 1886), his first independent publication, while over the winter 1886–87 further feuilleton sketches were serialized in Dos Yidishe Folksblat anticipating the Kasrilevke stories.
A major landmark in Shalom Aleichem's literary career was the appearance in 1887 of "Dos Meserl" (1886; "The Pocket-Knife," 1920). This story attracted a particularly favorable review by Simon *Dubnow in the influential St. Petersburg Russian-Jewish journal Voskhod, which represented the beginning of critical acclaim for Shalom Aleichem, but it was not until considerably later that his genius was widely appreciated. The story relates the terror of a young boy unable to resist the temptation to steal a penknife from an amiable maskil or freethinker who lodges with his parents. The story concludes on an edifying note attributable to the waning influence of the Haskalah on Shalom Aleichem's early career. "Dos Meserl" epitomizes the style of Shalom Aleichem's many children's and holiday tales which revolve around minor domestic problems and their resolution seen through the eyes of child protagonists or deal with crises in the preparation for a Jewish festival that have a happy outcome. These stories were some of Shalom Aleichem's most popular works, appearing in the holiday issues of periodicals and widely enjoyed in the family circle, making Shalom Aleichem's name truly a household word. "Dos Meserl" and "Tsvey Shteyner" were translated into Russian and came to the favorable attention of Leo Tolstoy and Maxim Gorki.
That same year Shalom Aleichem wrote "Legboymer" ("Lag ba-Omer," 1887) in memory of that festival in 1883 when it fell on May 12, i.e., his wedding day. The story relates how a group of kheyder lads escape their rebbe's birch for a day and sally forth into the countryside on Lag ba-Omer only to be assailed by a gang of Ukrainian youths and so badly beaten that their leader, Zyame, altogether eludes any further flogging by the rebbe, since after three weeks in bed he dies. This was also the year in which Shalom Aleichem moved with his family to Kiev, the model for his fictional Yehupets, to deal on the stock exchange.
In 1888 Shalom Aleichem began his life-long campaign for higher standards in Yiddish literature with two publications. Shomers Mishpet ("The Trial of Shomer," 1888) constituted a savage attack on pulp-fiction, especially that of Nokhem-Meyer Shaykevitsh, known as Shomer, at the time by far the most popular of Yiddish authors, a prolific writer of sentimental pulp fiction whose plots were usually lifted from the works of Charles Paul de Kock, Alexandre Dumas père, or their like. Shalom Aleichem accuses Shomer of corrupting the Jewish people with escapist and morally dubious fantasies which bear no relation to the realities of Jewish life. In "Der Yidisher Dales in di Beste Verk fun Undzere Folks-Shriftshteler" ("Jewish Poverty in the Best Works of Our National Writers," 1888) he distinguished between such trashy romantic shund and realistic works such as Fishke der Krumer (1869; Fishke the Lame, 1920) by Abramovitsh, whom he dubs the zeyde ("grandfather") of Yiddish literature. A number of other writers are similarly singled out for praise on account of the realism of their works including Isaac Meir *Dik, Linetsky, Abraham *Goldfaden, and Mordecai *Spector. It is Shalom Aleichem's view that events portrayed in serious literature must be realistic and plausible within the framework of Jewish society. His novel, published the same year, Sender Blank un Zayn Gezindl ("Sender Blank and His Household," 1887) with its flights into the world of pure fantasy is a parody of the shund-novel, but at the same time it is severely critical of the vulgar insensitivities of the Jewish plutocracy, thus anticipating a theme which was to reappear frequently in his works.
However, by far his most significant achievement at this time was his editing of Di Yidishe Folksbibliotek. The publication of this annual or anthology of the best of earlier and contemporary writing in Yiddish was made possible by the considerable financial resources which Shalom Aleichem had inherited from his father-in-law. Before its collapse, Di Yidishe Folksbibliotek appeared in two volumes published in Kiev in 1888–89. The first volume comprised items by authors such as Linetsky and Abramovitsh, as well as pseudonymous pieces by himself, including "Lider funem Kheyder: Vinter" (1888; "Song of the Kheyder," 1994), signed Shlumiel. "Grandfather" Mendele (Abramovitsh) was encouraged to return to writing in Yiddish and was represented by the revised and expanded prologue and first part of his "Dos Vintshfingerl" (1888; TheWishing Ring, 2003). In addition, Shalom Aleichem had persuaded Peretz, who had previously published only in Hebrew and Polish, to contribute his extraordinary narrative poem "Monish" (1888; "Monish," 1939) for which Shalom Aleichem paid him the unprecedented fee of 300 rubles. It is interesting to observe that in the process of editing Peretz's text, Shalom Aleichem found it necessary to remove the author's frequent Polonisms in the interest of a wider readership. Peretz resented Shalom Aleichem's having done so without consultation, and for a number of years relations between the two men were soured. There were also contributions from David *Frishman and Simon Samuel *Frug, who had hitherto written exclusively in Hebrew and Russian respectively and who had both had their Yiddish literary debuts only a few months earlier in Dos Yidishe Folksblat. The first volume concludes with a short essay, "Etlekhe Verter vegn Zhargon Oysleyg" ("A Few Words concerning Yiddish Spelling," 1888) in which Shalom Aleichem calls for a standard orthography and a grammar of the Yiddish language, while advocating that homophones should be differentiated by their spelling and that the orthography of words from the Germanic component should be approximated to the German spelling. In the baylage ("supplement") appeared Shalom Aleichem's novel Stem-penyu. Though in some ways resembling Sender Blank, this was Shalom Aleichem's first consciously Jewish romance, and it appeared with a prefatory letter to zeyde Mendele whose counsels had inspired it.
When his father died in that same year, Shalom Aleichem gave literary expression to his mourning in A Bintl Blumen ("A Bouquet of Flowers," 1888), a literary bouquet laid on his father's grave, subsequently shortened and revised as "Blumen" ("Flowers," 1903). This pamphlet comprised 18 stories, including "Koysl Marovi" ("The Western Wall"). His father had been a lover of Hebrew literature and had nurtured ambitions for his son in this direction. The death of his father did have the incidental effect of relieving Shalom Aleichem from the pretense of not being a Yiddish writer.
The second volume of Di Yidishe Folksbibliotek comprised Shalom Aleichem's comedy "Di Asife" ("The Assembly," 1889), signed Shulamis, whose protagonist is a ravvin, as until recently he had been himself, and "A Briv tsu a Gutn Fraynd" ("A Letter to a Good Friend," 1889) in which he replies to criticism that had been made of "Stempenyu": "It is necessary to observe," he writes, "that a young Jewish woman is unlike other women in the world." Gentile heroism may well consist in giving free reign to the passions; Jewish heroism consists in controlling one's feelings. Furthermore, fictional characters must be figures with whom the common people can identify. Formerly authors had protagonists who were either angels or demons, but modern readers demand characters whom are closer to psychological reality. This volume contains the second part of Abramovitsh's "Dos Vintshfingerl," further items by Peretz and Linetsky as well as contributions by Frug, Abraham Ber *Gottlober, Goldfaden, *Ben-Ami and Mikhl *Gordon.
In a supplement to the second volume of Di Yidishe Folks-bibliotek, the novel Yosele Solovey appeared. As in the case of Stempenyu, this is a restrained, unconsummated Jewish love story in which self-fulfillment is sacrificed to customary concepts of modesty, and the traditional Jewish woman pines for her outsider hero, in this case a highly talented itinerant cantor. It ends with the death of the heroine and the madness of the hero. There are some thematic similarities with his "Tsvey Shteyner." At the same time a host of caricatured figures provide comic relief. The judicious fusion of comedy and pathos is in some ways reminiscent of Dickens. It is instructive to compare Shalom Aleichem's delicacy and apprehensions concerning the credibility of a Jewish love story with the uninhibited sexuality of the play Yankl der Shmid ("Yankl the Blacksmith," performed 1906) written less than 20 years later by David *Pinski.
The consistently high quality of the Folksbibliotek aroused considerable interest, and it was recognized by many as representing a turning point in the development of Yiddish literature. But the reactions were far from universally favorable. In 1889 Judah Leib *Gordon wrote in Russian to Shalom Aleichem, sharply censoring his intention to raise the status of zhargon-literature. At most, Gordon claimed, Yiddish might be tolerated as means of enlightening the ignorant masses, but otherwise he regarded it as the curse of the Diaspora.
In October of 1890 Shalom Aleichem was preparing to edit a third volume of Di Yidishe Folksbibliotek when the stock market crashed and he lost his entire fortune. He moved his family to Odessa and traveled to Czernowitz, Vienna, and Paris to escape his creditors, while his mother-in-law attempted to pay off his debts. In 1891 he returned to Russia and, with help from his mother-in-law, once again began trading on the stock exchange. The collapse of the Folksbibliotek in the same year as that in which Dos Yidishe Folksblat ceased publication deprived Shalom Aleichem of publishing outlets for Yiddish works, and in consequence he wrote nothing in Yiddish throughout 1891 and returned for a while to writing in Russian. It was during this period, inspired very largely by Nikolai Gogol's oral-style or skaz-monologues (as they are called by Bakhtin and the Russian Formalists), that Shalom Aleichem found the style most suited to his genius.
In 1892 Shalom Aleichem made further preparations for a third volume of the Folksbibliotek but lacked the financial means to bring this project to fruition. Instead he contented himself by putting everything he published in Yiddish that year into his Kol Mevaser tsu der Yidisher Folksbibliotek ("Advertiser for the Jewish Popular Library"), this time without contributions by others, though in a number of cases he again signed his own pieces with pseudonyms (such as Shulamis and Dr. Solomonis Rabinus). Here he published "London," an earlier version of "London" (1909), the first series of his Menakhem-Mendl letters, concerning the comic vicissitudes of an archetypal luftmentsh and unsuccessful speculator. Shalom Aleichem continued to extend his epistolary Menakhem-Mendl series until 1913. Kol Mevaser… also included the "folksong" "Shlof, Mayn Kind" ("Sleep My Child"), which soon became so popular that when in 1901 the major Yiddish song collection by Saul *Ginzburg and Pesach [Piotr] *Marek appeared in St. Petersburg, "Shlof, Mayn Kind" was listed as being anonymous.
The mid 1890s were a period of comparative literary inactivity. In May 1893 Shalom Aleichem and his family moved to Kiev, where he continued to speculate on the stock exchange and attempted to act as a commodity broker. Meanwhile he and his family continued to spend their summers in the dacha at Boyarka, and in the summer of 1894 a chance encounter with a vivacious dairyman delivering butter and cheese to families vacationing in the vicinity became a formative experience, since this figure would serve as the model for the series of Tevye stories which he soon began to write and on which he continued working sporadically for most of the rest of his life. Later that year he wrote Yakneho"z, oder dos Groyse Berznshpil ("Hocus-Pocus: Or the Great Stock-Exchange Gamble"). This was his first complete play, a satire in the style of Pushkin on the life of the speculators and nouveaux riches of Kiev in which he had been so deeply involved.
In August 1897 Shalom Aleichem attended the First Zionist Congress in Basel recording his impressions in Der Yidisher Kongres in Bazl (1897; "The Jewish Congress in Basel," 1984). In fact, Shalom Aleichem's interest in the Zionist cause had already begun in 1888 when he had joined the Ḥovevei Zion movement and the following year he had invited one of their most prominent leaders, Abraham Menahem Mendel *Ussishkin, to report on the welfare of the colonists in Palestine in the second volume of the Folksbibliotek. He turned these interests to literary account in "Oyf Yishev Erts-Yisroel: Zelik Mekhanik" (1890; "Selig Mechanic," 1984), a story with a propagandistic Zionist message. Immediately after attending the Basel conference, he wrote the essay "Oyf Vos Badarfn Yidn a Land" (1898; "Why Do the Jews Need a Land of Their Own?" 1984). It is a popular but cogently argued statement of the Zionist case: antisemitism will only be overcome when Jews have a state in Palestine. The same year, while living in Berdichev, he incorporated some of these ideas into Meshiekhs Tsaytn: A Tsienistisher Roman ("Messianic Times: A Zionist Novel," 1890).
In 1900 Shalom Aleichem wrote "Der Zeyger" (1900; "The Clock That Struck Thirteen," 1900), one of his "stories for Jewish children," a slight monologue told by an anonymous narrator and inhabitant of Kasrilevke about his grandfather's pendulum clock that had been in the family for generations and was his pride and joy. It served the whole town as its time-piece, despite the maskil's hair-splitting attempts to prove it a minute or two fast, until, that is, the day it struck thirteen. More and more hopeless attempts are made to repair the clock, but finally, just in the middle of an exciting story, it collapses under the weight of the heavy objects that have been attached to the pendulum to try and keep it going. Everybody was understandably distressed, and the narrator, still a child, had nightmares about the clock. The prevailing atmosphere is one of melancholy recognition of the obsolescence of tradition. It has even been asserted that the story embodies a subliminal reference to the death of his mother when the young Rabinovitsh was still only 13.
That same year Shalom Aleichem wrote his famous satire Der Farkishefter Shnayder (1900; "The Haunted Tailor," 1979). This, the most Gogolian of Shalom Aleichem's stories is typical of his genre of fantastic tales. The narration is in the macaronic style of an old pinkes or chronicle and tells the story of a henpecked yet opinionated and self-important tailor, Shimen-Elye Shma Koleynu, who is persuaded by his wife to go to the neighboring shtetl to buy a goat so that his numerous hungry children may have an ample supply of milk. Halfway between the two villages he stops at an inn belonging to his cousin Dodi to whose lack of learning he tactlessly alludes. Returning with the goat he has purchased he spends the night at the inn. When he arrives home the next day, the goat is unmilkable. Yet, when he attempts to return the goat, the melamed's wife, from whom he bought it, milks it in front of the rabbi's court. Back at home the story repeats itself and the tailor is taken ill, accepting the innkeeper's story that the goat is bewitched. It is left to the reader to draw the conclusion that the innkeeper took his revenge by switching the female goat with a male goat (and vice versa) each time the tailor passed through. The characterization is largely achieved through the formulaic words of the characters. In addition to the humor that arises from Shimen-Elye's solecisms and his conflations of Aramaic and Ukrainian, an element of irony is introduced in that the theme of duplicitous substitution is suggested to the mind of the reader by the references to Rachel and Laban.
In the early years of the new century Shalom Aleichem was already supporting himself and his large family almost entirely by writing, especially for the St. Petersburg and Warsaw daily papers. By 1903, in fact, he felt able to abandon business activities altogether. It was during this period that he wrote many of the stories in his Kasrilevke series, including among others "Kasrilevker Tramvay," "Kasrilevker Hoteln," "Kasrilevker Restoranen," "Kasrilevker Vayn un Kasrilevker Shikirim," "Kasrilevker Teater," "Kasrilevker Sreyfes," and "Kasrilevker Banditn" (1901; "Transportation," "Hotels," "Restaurants," "Liquor," "Theater," "Fires," "Bandits," collected in English as A Guide to Kasrilevke, 1973). Most of the Kasrilevke stories satirize shetl life in Voronkov and Berdichev. Over the years, while revising his works, Shalom Aleichem gradually brought more stories into this cycle by inserting the name Kasrilevke where previously he had written Berditshev, Mazepevke, or some other toponym. The ethos of these stories may be exemplified by "Dreyfus in Kasrilevke" (1902; "Dreyfus in Kasrilevke," 1979). Zeydl is the only person in Kasrilevke who subscribes to a newspaper, and it is through him that the inhabitants of Kasrilevke anxiously follow the second Dreyfus trial, which took place in 1899. When once more a guilty verdict is pronounced, they simply cannot believe it. "Se kon nit zayn!" ("It is impossible") shout the outraged inhabitants of Kasrilevke, and it is not the judges or false witnesses in Paris whom they blame but Zeydl. "Idiots," replies Zeydl and thrusts the newspaper into their faces, but they just refuse to understand. "Who was right?" asks the narrator in conclusion. The well-known story "Ven Ikh Bin Roytshild" (1902; "If I Were Rothschild," 1979) was also written in 1902 and also belongs to the same cycle. This is the monologue of a Kasrilevke melamed whose wife is pestering him for money for the coming Sabbath. If he were rich, he muses, not only would he make sure that his wife had enough so that he could pursue his teaching in peace, he would not only provide for the sick and the poor in Kasrilevke, but he would endow yeshivot and ensure that even the Gentiles had no need to go to war. In fact, he might even abolish money altogether which is surely the root of every evil inclination, but then how would he provide for the Sabbath right now? The story combines realistic observation of the crushing poverty of the shtetl with a touching portrayal of the unworldly aspirations of many of its inhabitants. A further Kasrilevke story written at this time was "Oysgetreyselt" (1902; "A Yom Kippur Scandal," 1979) which was subsequently included in the "Kleyne Mentshelekh mit Kleyne Hasoges" series. This famous tale takes the form of an anonymous narration of the scandal that was reported to have arisen when a Litvak visitor was apparently robbed of 1,800 rubles in the Kasrilevke synagogue during the Yom Kippur service. The rabbi immediately ordered the doors to be locked and for everyone's pockets to be turned out. All comply with the exception of Leyzer-Yosl, the much-lauded son-in-law of the local magnate, who makes all manner of excuses to avoid being searched. When finally his pockets are examined, gnawed chicken bones are found, to his own shame and to the mortification of the rabbi, but to the huge amusement of the townsfolk. "'Well,' we all asked with one voice, 'and what about the money?' – 'What money?' asked the man innocently, watching the smoke he had exhaled. – 'What do you mean – what money? The 1,800 rubles!' – 'Oh,' he drawled. 'The 1,800. They were gone.' – 'Gone?' – 'Gone for ever.'" There is masterly irony in the laconic pacing of this dénouement.
At this time Shalom Aleichem also revised four volumes of his works which the Folksbildung publishing house in Warsaw issued as Ale Verk fun Shalom Aleichem ("The Complete Works of Shalom Aleichem," 1903). This was the first of several collected works published during his lifetime and subsequently, and was an important milestone in his literary career. This title was, however, a misnomer. Neither this collected works edition nor any of its successors was ever even remotely comprehensive. Then in August 1904, Shalom Aleichem edited Hilf: a Zaml-Bukh fir Literatur un Kunst ("Help: An Anthology for Literature and Art") and himself translated three stories submitted by Tolstoy as well as contributions by other prominent Russian writers in aid of the victims of the Kishinev pogrom.
In 1904 Shalom Aleichem was still living with his family in Kiev in a degree of comfort and tranquility that he had seldom experienced before and was at work on feuilletons, monologues, Kasrilevke and Tevye stories for Der Fraynd (St. Petersburg), Der Veg (Warsaw) and other papers, but this comparative calm was soon to be shattered by political events. An adumbration of the turmoil to come is to be found in Shalom Aleichem's story "Yoysef" (1905; "Joseph," 2004) which appeared in Der Veg. This is the monologue of a conceited but not altogether despicable young fop who confesses "in confidence" to the writer how he is besotted by a girl who waits at table in her mother's restaurant. She, however, adores Yoysef, a Bundist conspirator, so the narrator ingratiates himself with the Bundists, talks about Karl Marx and August Bebel and attends a clandestine meeting in the forest at which Yoysef speaks. He observes that the earnest young men at the meeting are dressed in Gorki-style black blouses (a style that Shalom Aleichem himself affected from time to time). When the dzhentlmen, as the conspirators call him, finally asks Yoysef for his advice, he simply recommends speaking to the girl directly, since he has no time for such trifles. The conspiracy is discovered and Yoysef is arrested. Returning from a business trip the dzhentlmen finds that the restaurant has disappeared.
Literary reflections of political ferment were soon followed by all too real historical events. In October Shalom Aleichem and his family lived through the three days of the Kiev pogrom associated with the failed 1905 revolution. As angry mobs surged through the streets, the family sought refuge in the Hotel Imperial. After these experiences Shalom Aleichem resolved to leave and moved via Radziłłow and Brody to Lemberg (today: Lvov) in Austrian Galicia. Whereas others had lost faith in Russian liberalism two years earlier in the aftermath of the Kishinev pogrom, for Shalom Aleichem 1905 was the turning point. A further motive for leaving Russia may have been his apprehension that his political satires could have unpleasant consequences. What little financial security there had been in the Kiev years disappeared and, although he was by now the most famous of Yiddish writers, whose works were enjoyed by a vast readership, he was now cut off from his publishers. He began a reading tour that took him to many points in Galicia and Romania. Leaving his family in Geneva, where Abramovitsh was at the time, he continued his reading tour to Paris and London. From this time on Shalom Aleichem became increasingly dependent financially on enervating but hugely successful lecture tours, and it was only on such tours that he ever again returned to Russia.
In 1906 Shalom Aleichem made his first visit to the United States, arriving on October 20 in New York, where he was given an exhilarating welcome in both the Yiddish and English-language press. Two plays were commissioned from him, and the Hearst Press offered him a lucrative contract. Shalom Aleichem remained in the Bronx for some months and on February 8, 1907, a dramatization of Stempenyu, produced by Boris Tomashevski, was staged at the People's Theater, while on the same night "Der Oysvorf: oder Shmuel Pasternak" ("The Outcast: Or Shmuel Pasternak"), a version of Yakneho"z which Shalom Aleichem had specially adapted for Jacob Adler, was performed at the Grand Theater. Both plays were excessively sentimentalized for the New York theater audience, and both were box-office disasters. Meanwhile Hearst's Jewish American collapsed and Shalom Aleichem was unable to interest the Yiddish press in his Motl. In the early summer he returned to Geneva via The Hague, a disappointed man.
In August Shalom Aleichem attended the 8th Zionist Congress in The Hague as the delegate of New York Federation of American Zionists. It was here that he met Ḥayyim-Naḥman *Bialik for the first time and formed a close friendship with him. His impressions of this event are recorded in "Ayndrukn fun Tsionistishn Kongres" (1907; "Impressions from a Zionist Congress," 1984). In the early autumn he went on holiday in the Alps near Geneva and invited Bialik to visit him there. They were joined by Abramovitsh and Ben-Ami as well. It was at this time that the four of them posed in a photographer's studio for the famous comic portrait showing them in a boat with Shalom Aleichem standing behind holding an upright oar. He describes this meeting in "Fir Zenen Mir Gezesn" (1908; "Once There Were Four," 1979). It was at this time that Shalom Aleichem was diagnosed with tuberculosis.
Shalom Aleichem's continued preoccupation with the Kiev pogroms of 1905 and their aftermath were reflected in his novel Der Mabl ("The Flood") which was serialized 1907–8 in Vorhayt. In 1918 the novel appeared in book-form under the title In Shturem (In the Storm, 1984). This novel reflects the reactions of progressive Jewish youth to the pogroms to which Shalom Aleichem and his family had come all too close. Embodied in the lives of the protagonists, we see the tensions that existed between universal and national solutions to Jewish social problems. The original title implied that a "flood" would sweep away cruelty and violence. The change in title indicates a subsequently less sanguine view of social progress.
In 1908 Shalom Aleichem was once again compelled by financial constraints to undertake a reading tour in Russia. He had by now become famous for his recitations, and the tour went well until in early August in Baranovichi, some distance north of Pinsk, he suffered a severe recurrence of tuberculosis and was diagnosed as having open pulmonary tuberculosis. After two months of rest in Baranovichi itself, he moved to the resort of Nervi on the Ligurian coast for further recuperation. This setback was to some extent offset by the celebration of his 50th birthday and 25 years of literary creativity in 1909. A committee of authors secured the rights to his works and returned them to him, thus ensuring him a permanent income. During this period some of Shalom Aleichem's works began to appear in Russian translation and met with much critical acclaim.
In Nervi, perhaps realizing that his health prognosis was not very favorable, Shalom Aleichem made a first start on his autobiography Funem Yarid. However, he soon set it aside in order to work on other projects including his Ayznban-Geshikhtn (Railroad Stories, Engl. 1987), which were written and published over a period stretching from 1902 to 1911, although of the 20 stories that eventually constituted this series, as many as nine were written in various sanatoria during this period of convalescence in 1909. In these stories Shalom Aleichem skillfully exploits a situational framework of fleeting encounters, such as he must often have experienced when traveling between venues on his frequent and grueling reading tours and paints a picaresque composite picture of the precarious economic circumstances of Jews living in those western parts of the Russian Empire in which they were permitted to reside. Dan Miron shrewdly observes that it is a token of the increasing modernity of Shalom Aleichem's work that his narrators become progressively less severe in their critique of social reality. The traveling salesman is a "caricature of the maskilic 'watchman' or the Mendelean sarcastic commentator" [Image, p. 334].
Two of these Railroad Stories, both written in 1909, may serve to characterize this important cycle in Shalom Aleichem's oeuvre. "Stantsye Baranovitsh" (1909; "Station Baranovich," 1979) is named after the very station at which Shalom Aleichem himself had almost died the year before. The narrator heard the story from his father who had it from his own father. It happened in the days of Nikolai I. Kive, a Jew who had permitted himself a number of injudicious remarks, was condemned to run the gauntlet. Reb Nisl, the narrator's grandfather arranges a simulated funeral and then slips Kive over the border into Austrian Galicia. From then on Kive sends begging letters, threatening to return and confess. Finally he threatens to send Reb Nisl's letters to the police. At that point the train arrives in Baranovichi. The narrator hurriedly alights and the story is never finished. "May Station Baranovichi burn to the ground!" This is almost a shaggy-dog story in which much of the ironic humor lies in the ploys with which the narrator plays his audience much as Shalom Aleichem does his. What, after all, would the devoted readers of Shalom Aleichem's Ayznban-Geshikhtn have done had Shalom Aleichem really died? "A Khasene on Klezmer" (1909; "The Wedding That Came without Its Band," 1979) is a story told to the narrator one hot afternoon in a railway compartment by a merchant with a penchant for euphemistic irony who relates the humorous side of the 1905 pogroms. On this occasion the arrival of the drunken pogromists was delayed just long enough by the blessed inefficiency of the railway for the Cossacks summoned by the police superintendent to arrive and establish order. That salvation should take the form of a regiment of mounted Cossacks is in itself highly ironic.
Shalom Aleichem's unhappy experiences with the New York Yiddish theater found expression in the serialization between 1909 and 1911 of Blondzhende Shtern (Wandering Star (sic), 1952). The themes bear comparison with those of Stem-penyu and Yosele Solovey, and the novel takes the form of a complex and picaresque story in which two Jewish artists make their way from the shtetl to Second Avenue. The hero is a brilliant star on the Yiddish stage who degenerates both as artist and human being in the New World, unlike the heroine, a singer, who ventures outside the narrowly Jewish world and preserves her integrity. The affinity with Charles Dickens, who was much admired by Shalom Aleichem, is particularly clear in the Whitechapel scenes.
Between 1909 and 1913 Shalom Aleichem and his family moved between health resorts in Nervi and the French Riviera, in the winter, and Switzerland and St. Blasien in the Black Forest, in the summer. Despite ill health and feverish literary activity, this was once more a relatively tranquil and secure interlude in Shalom Aleichem's life. This was also the period in which the "Jubilee" edition of his works in 16 volumes Ale Verk: Yubileum Oysgabe ("Complete Works, Jubilee Edition," 1909–15) was prepared for publication. This edition, which was interrupted owing to difficulties during World War i, did much to establish Shalom Aleichem's literary reputation which had earlier been belittled in some quarters.
The fourth volume of the Yubileum Oysgabe (1910) comprises Menakhem-Mendl (1910; The Letters of Menakhem-Mendl and Sheyne-Sheyndl, 2002). This is the so-called "canonized version" of the Menakhem-Mendl letters that were further, but somewhat unsatisfactorily, expanded as Menakhem-Mendl: Nyu-York-Varshe-Vin-Yehupets (1913; The Further Adventures of Menachem-Mendl: New York – Warsaw – Vienna – Yehupetz, 2001). Taken together these series of letters somewhat loosely constitute an epistolary novel, in part inspired by Abramovitsh's Kitser Masoes Binyomin Hashlishi (1878; The Travels and Adventures of Benjamin the Third, 1949). The textual history is somewhat complex, but the 1910 version is the most artistically cohesive. To some extent a self-portrait, though Shalom Aleichem sought to minimize this perception in his introduction to this second edition, Menakhem-Mendl travels from place to place naïvely confident in the imminence of prosperity, meanwhile corresponding with his down-to-earth and skeptical wife, Sheyne-Sheyndl. She urges him to forget his harebrained schemes and hurry home. Her attitude, which is initially somewhat credulous, becomes increasingly skeptical and eventually downright contemptuous, though in the revised versions her tone becomes less abrasive and her common sense is more sympathetically portrayed. Menakhem-Mendl is the quintessence of the luftmentsh trying his hand at all manner of activities, including the stock exchange and the commodity market. He acts as insurance agent, marriage broker, and journalist and eventually goes to New York, though this last episode was dropped in the final version. In the interaction between husband and wife, as Ruth Wisse has shrewdly observed, we see transferred into two characters Tevye's ironic alternation between optimism and tragic resignation. Miron refers to Menakhem-Mendl and Sheyne-Sheyndl as Don Quixote and Sancho Panza-like archetypes. Marxist critics such as Max Erik have sought to stress Shalom Aleichem's presentation of the hopelessness of Menakhem-Mendl's schemes as an implied critique of capitalism. It would be more accurate to say that Menakhem-Mendl's misfortunes are symptomatic of the arbitrary restrictions placed by the czarist regime on Jewish enterprise, but this is too narrow a perspective. Menakhem-Mendl's willingness to believe that at any moment he will make his fortune and finally free himself and his family from material worries is an ironic reflection of the theme of utopian and eschatological hope that runs through much of Jewish literature.
The fifth volume of the Yubileum Oysgabe comprises Motl Peyse dem Khazns (1911; The Adventures of Mottel, the Cantor's Son, 1953). Shalom Aleichem was at work on Motl Peyse from 1907 right up to a few days before his death. It is a fragmentary novel whose first-person narrator is initially almost nine years-old and may be about 11 by the end of the second part, though his putative age has been the subject of some controversy. After the death of his father and the forced sale of the family's household goods, Motl immigrates with his mother to the U.S. in what Seth Wolitz perceptively describes as a carnivalesque Exodus or secular burlesque of the Haggadah, with the flight from the slavery under the czar across the European wilderness and the Atlantic to the promised city. The critical irony results from the discrepancy between Motl's carefree perception of what are for him wonderful adventures and the perils endured by his mother and indeed the whole community of Russian Jews constantly threatened by pogroms. Meanwhile Motl, rather like Huckleberry Finn, is preoccupied with his blithe pranks or with helping his elder brother in comically vain efforts to make money by selling ink or kvas. The omission of chapters 5 and 16 from volume 5 was occasioned by the publisher's wish to promote the volume as being suitable for children. For the complete text see either vols. 18 & 19 of the Folksfond edition of Ale Verk fun Shalom Aleichem ("Complete Works of Shalom Aleichem," 1920) or Khone Shmeruk's exemplary edition which follows the 1913 Progres text.
The seventh volume of the Yubileum Oysgabe (1911) comprises the Tevye der Milkhiker cycle which by this point was almost complete. The full cycle consists of the following episodes: 1. "Kotoynti" (1903; "I Am Not Worthy," 1994), which had been included in 1895, is omitted from the Yubileum Oysgabe and was advisedly not reprinted until after the author's death. In this prefatory letter, the reader is introduced to the eponymous hero for the first time. Tevye is overawed by Shalom Aleichem's condescending to put him "in a book" and is ashamed of his supposed lack of learning. However, "Kotoynti" and "Vakhalaklakoys" (1918; "Tevye Reads the Psalms," 1969), far from adding anything, detract somewhat from the poignancy of the stories concerning Tevye's daughters; 2. "Dos Groyse Gevins" (1903; the revised version of the story originally entitled "Tevye der Milkhiker," 1895; "Tevye Strikes It Rich," 1979) and relates how Tevye, a country Jew, who struggles to improve his knowledge of scripture, became a dairyman as a result of the generosity of two Yehupets ladies to whom he had given a lift after they had lost their way in the forest; 3. The sequel is "A Boydem" (1899; "The Bubble Bursts," 1949) which relates how Tevye entrusts his savings to his distant relative, Menakhem-Mendl, who loses everything on the Yehupets stock-exchange; 4. In "Hayntike Kinder" (1899; "Modern Children," 1949) it is related how Tevye's eldest daughter, Tseytl, chooses to marry the sickly young tailor, Motl Kamzoyl, rather than the rich elderly butcher, Leyzer-Volf; 5. "Hodl" (1904; "Hodel," 1946) was written just one year before the outbreak of the 1905 revolution. Tevye is offered a financially attractive match for Hodl, his second daughter, but it transpires that she is secretly betrothed to Pertshik, a revolutionary whom Tevye had invited to tutor his daughters, an ironic allusion perhaps to Shalom Aleichem's own romance with Olga/Hodl some quarter of a century earlier. After a hasty wedding, Pertshik departs on a secret mission, is arrested and exiled. As Hodl leaves to join her husband in Siberia, Tevye, who prides himself on his manly stoicism, weeps bitter tears; 6. "Khave" (1906: "Chaveh," 1948) is the story of Tevye's third daughter who elopes with an autodidact Ukrainian clerk whom she regards as a "second Gorki." Tevye attempts to intervene with the village priest but is rebuffed. In accordance with halakhic requirement and despite the promptings of his heart, Tevye performs ritual mourning for his daughter as though she were dead and rejects her when she accosts him in the forest. There is considerable irony in the fact that the threat of assimilation is associated with the name of Gorki, a writer much admired by Shalom Aleichem; 7. "Shprintse" (1907; "Shprintze," 1995) relates how, after the political upheavals of 1905, many wealthy Jews fled from the cities to the countryside, and Tevye had good business delivering diary products to their dachas. The feckless son of a rich widow woos Shprintse, Tevye's fourth daughter. At first Tevye is apprehensive but gradually warms to the idea, beginning once again to dream of the acts of charity he would be able to perform as the father of a millionairess. Suddenly, however, Tevye is summoned by the widow's brother who treats Tevye as a wily schemer and offers him money as compensation for breach of promise. Tevye is so shocked that he simply turns on his heels. Shprintse drowns herself; 8. In "Tevye Fort keyn Erts-Yisroel" (1909; "Tevye Goes to Palestine," 1995), Shalom Aleichem meets a well-dressed Tevye traveling on a train. In the meantime his wife, Golde, has died and his youngest daughter, Beylke, in order to ease her father's misfortunes, has married the proverbially rich Pedahtsur, a parvenu who had made a fortune during the Russo-Japanese war. By now Tevye realizes that even Hodl had done better with her exiled revolutionary idealist. In Pedahtsur's ostentatious mansion, Tevye is a silent witness to his daughter's misery. Embarrassed by Tevye's humble profession, Pedahtsur is ready to pay for him to go to Palestine. Tevye, who has always dreamed of visiting Rachel's tomb and the Western Wall, accepts the offer, expecting never to see his children again. In 1911 Shalom Aleichem saw Tevye's departure for Palestine as the culmination of the cycle. However, three years later, he added one more story together with an epilogue; 9. In "Lekh-Lekho" (1914; "Get Thee Out," 1949) after an interval of many years Shalom Aleichem encounters Tevye once more. The planned journey to the Holy Land had been abandoned when Pedahtsur had gone bankrupt and Motl Kamzoyl had died leaving Tevye responsible for his daughter, Tseytl, and her children. In 1905 pogroms had begun in the large towns and became widespread. The peasants, with whom Tevye had lived in the village in peace for decades, come to his house explaining that, though they have nothing against him personally, they have no choice but at the very least to break a window or two. But this is nothing compared to what happens at the time of the trial of Menahem Nendel *Beilis, when he is driven out of his village. At the moment of departure, Khave returns to share her family's misfortunes. Tevye asks Shalom Aleichem whether he was right to be forgiving, but Tevye, whose grandchildren are waiting, has to leave before Shalom Aleichem has time to answer.
"Vakhalaklakoys" is the sequel to "Lekh-Lekho." It was first published posthumously at the time of the editing of the Folksfond edition. Shalom Aleichem once again meets Tevye on a train and Tevye takes the opportunity to elaborate further on how it was back in 1905, when the hromada or rural assembly had decreed that the Jews be made to feel the wrath of the general community. Tevye had quick-wittedly devised a test to determine whether God truly wanted him to suffer or not, in which the peasants had to attempt to repeat tongue-twisters such as "vakhalaklakoys" and "memaymakim." The choice of these words is, of course, not determined solely by their refractory phonetic qualities, but represents yet another level of Tevye's (and the author's) irony: "Let them be confounded and put to shame that seek after my soul: let them be turned back and brought to confusion that devise my hurt… Let their way be dark and slippery: and let the angel of the Lord persecute them" (Ps. 35:4–6); "Out of the depths have I cried unto thee, O Lord. Lord hear my voice: let thine ears be attentive to the voice of my supplications" (Ps.130:1–2). It is sometimes held that Tevye has a shaky grasp of scripture and that his supposedly clumsy misquotations are an element in Shalom Aleichem's humor. Roback for example speaks of "malapropisms" and much the same view is taken by Butwin. More accurate assessments are offered by Michael Stern, Hillel Halkin, and Joseph Sherman: the truth is that Tevye is always in control of his quotations, and whether he cites literally, in modified form or, as he occasionally does when addressing a Pedahtsur or a Leyzer-Volf, in deliberate doggerel, it is always to appropriate ironic effect. When considering Tevye and his quotations – which serve also to anchor the narrative within the context on Jewish literary tradition – it is well to bear in mind that they represent a kind of mythopoeia, a use of language to transcend an unsatisfactory environment, and as such Tevye is a correlative of Shalom Aleichem, and of the artist in general.
The peasants meanwhile not surprisingly fail Tevye's test and in recognition of the fact that Tevye has lived peaceably among them for so many decades and that he is "a Jew, certainly, but not a bad man," they allow him to break a couple of his own windows pro forma. Tevye concludes by bemoaning the insecurity of the Diaspora, but emphasizes by contrast the naturally superior intelligence of Jews which imposes upon them higher moral obligations. Tevye's final word is that should the Messiah not come in the meantime, then perhaps he and Shalom Aleichem may meet again in Yehupets, Odessa, Warsaw, or even America, but in the meantime Shalom Aleichem should give his greetings to the Jews he meets, tell them not to worry and say that "our ancient God lives." Although supposedly related, Menakhem-Mendl and Tevye are very different characters, but they have in common that each episode takes them to a new crisis or catastrophe from which they "bounce back," as Miron puts it, by the power of their fortitude.
The figure of Tevye was based in part on the real-life model encountered in Boyarka but was at the same time inspired by Abramovitsh's itinerant hero, Mendele, a fact to which Shalom Aleichem makes a veiled allusion, as Ken Frieden has noted, in "Hayntike Kinder." Tevye sees himself as a modern Job and alternates between restrained altercations with the inscrutable deity and total resignation. Though he loses his home, his wife, and his daughters, his outlook remains one of self-ironizing good humor. In the revised versions, the narration is entirely in Tevye's voice, enlivened by polyphonic embedding of the disparate voices that Tevye constantly cites. Indeed, it may be said that one of Shalom Aleichem's most characteristic strengths is his ear for distinctive, idiosyncratic discourse, as is also seen clearly in the monologues and the railroad stories.
Though Shalom Aleichem gently mocks would-be social reformers, social tensions nevertheless form an important part of the thematic structure of his Tevye-cycle and of his works in general. An important theme is the contrast between grinding rural penury and the affluence of Jewish urban bourgeoisie of Yehupets (i.e., Kiev). Inequalities of wealth, generational conflict and the contrast between the genders are seen as a microcosm of the strains in Jewish social life in late 19th-century Russia. The political disillusionment that sets in after the collapse of the 1905 revolution is echoed in the contrast between Hodl's idealism and Beylke's resigned pragmatism. Also much in evidence is the dichotomy between Tevye's frequently asserted faith that God will provide and the acerbic skepticism that he applies to the dilemmas of daily life.
The celebration of the beauty of nature in the Ukrainian landscape re-echoes similar passages in Abramovitsh, while the topic of animal welfare is reflected in the story "Tsar-Balekhayim" ("Pity for Living Creatures," 1968) and elsewhere.
In 1914 Shalom Aleichem wrote four film screenplays in Russian that were never produced or published, but which included an adaptation of Tevye which was utilized in part by Charles Davenport in 1919 when he directed his silent film Khave. In 1915 Shalom Aleichem also wrote a dramatized version of the Tevye stories "Khave" and "Lekh-lekho," entitled "Tevye der Milkhiker: A Familyen-Bild in Fir Aktn" ("Tevye the Dairyman: A Family Portrait in Four Acts," 1923), which the famous actor and director Maurice *Shwartz staged in Vienna in 1924. In 1939 Shwartz filmed Tevye der Milkhiker which became one of the most successful of all Yiddish movies. In 1925 Menakhem-Mendl was adapted for the cinema under the direction of Alexander *Granovsky as Yidishe Glikn ("Jewish Luck") with inter-titles by Isaak *Babel and with Solomon *Mikhoels in the role of Menakhem-Mendl. The most celebrated transformation of Shalom Aleichem's Tevye stories was the musical, Fiddler on the Roof (1964), with a score by Sheldon Harnick and Jerry Bock.
The 12th volume of the Yubileum-Oysgabe (1912) comprises "Marienbad" (1911; Marienbad, 1982), an epistolary novel. Shalom Aleichem returns here to social milieux comparable to those depicted in Yakneho"z, creating a comedy of manners in which the vain pretensions of the superficial nouveau-riche Jewish bourgeoisie of Warsaw is exposed to biting satire, tempered by Shalom Aleichem's compassionate understanding of the all-too-human folly which drives their actions. The work consists of a polyphony of epistolary voices exemplifying a wide range of Yiddish registers from the Galitsyaner to the Litvak, from the Russified speech of Odessa to the semi-illiterate writing of the lottery winner, or to the pretentious Hebrew of pompous fools. Equally interesting from the socio-linguistic point of view is the high status accorded to German, which various characters attempt to employ with varying degrees of accuracy. The complex plot of Marienbad involves numerous wealthy Jews and their wives mainly from Nalewki Street in Warsaw, but also from Kishinev, Bialystok, Odessa, etc., whose spouses are in Marienbad nominally in order to take the waters, but who are in reality more concerned with flirting, playing cards, or securing matches for their daughters. "The world has changed," as the main female protagonist, Beltshi Kurlender, writes to her husband in Warsaw, and these characters, whose ancestors had for centuries lived the traditional life of the shtetl, have seen their world transformed by wealth and are themselves often amazed at the changes their lives have undergone. Not so far, perhaps as to permit anything particularly reprehensible to occur, but through misunderstandings, gossip, and the malice born of blind jealousy, severe matrimonial strife and at least one divorce result. Bourgeois Jewish Warsaw and Tevye are, of course, worlds apart, but the Yamaytshikhe and Tevye have in common the problem of finding matches for numerous daughters. The action is datable to the summer of 1911 on account of the mention of the visit of the shadkhn, Svirski, to the 10th Zionist Conference, which Shalom Aleichem himself attended in Basel in August. Note also the irony with which Khayim Soroker, for example, laments his failings as a writer, while his wife, Ester, compares his letters to a feuilleton.
In 1911 Shalom Aleichem's works began to appear in the Hebrew translation of his son-in-law, the Yiddish and Hebrew writer Y.D. Berkovitz, Kitvei Shalom-Aleikhem ("Works of Shalom-Aleichem," 3 vols., Warsaw, 1911–13). In fact, Shalom Aleichem had been participating in the preparation of this edition from 1905 onwards. The relationship of Shalom Aleichem's Russian and Hebrew works to his Yiddish oeuvre has still to be adequately investigated, but it may be said that, in a manner which is similar to the gestation of many of Mendele's works and anticipates the relationship between the Yiddish and English versions of the works of Isaac *Bashevis Singer, Shalom Aleichem worked together with Berkovitsh and made changes to the text, especially the endings, during the process of translation, and these emendations were in turn adopted in subsequent Yiddish editions.
The 16th volume of the Yubileum-Oysgabe (1915) comprises an incomplete version of the novel Blutiker Shpas (the complete text is only to be found in the 1923 two-volume edition; The Bloody Hoax, 1991). This novel was later dramatized and popularized as Shver tsu Zayn a Yid ("It's Hard to Be a Jew," 1948). It explores the complexities of Jewish-gentile relations and narrates the romantic complications arising in the household of Dovid Shapiro as the result of the exchange of identities between the talented Jewish student, Hershl Shneyerson, who lacks a pravozhitelʹstvo or residency permit and is unable to secure a university place, and his friend, Ivan Ivanov, the privileged son of a Russian general.
In 1913 Shalom Aleichem commenced work on a truly comprehensive edition of his works that was planned to comprise 40 volumes. In fact, only 28 volumes appeared posthumously (1917–23).
In the spring of 1914 he set out on a reading tour of Russia which was to take him to 20 cities including Warsaw, where he visited Peretz (see: "A Vokh mit Y.L. Perets" ("A Week with I.L. Peretz," 1915). At the beginning of World War i, Shalom Aleichem was taking a holiday on the Baltic coast of Germany following the conclusion of his Russian tour. As an "enemy alien" he was obliged to leave Germany and managed to reach Copenhagen, where he remained for several months in ill health and without financial support until he was able to embark for the U.S., where he arrived with his family (except for his eldest son, Misha) in December. In New York he was once again given an enthusiastic welcome and a reception was organized for him in Carnegie Hall, but serious support was not forthcoming. Cut off from his income in Europe, he was obliged to undertake further reading tours and wrote for the New York Yiddish press. He was diagnosed as having incipient diabetes, but was not in a financial position to spend the winter in the south as his doctors advised.
In 1915 Shalom Aleichem's autobiography, Funem Yarid, was serialized in Der Tog. In the past he had made several attempts to begin this work, but it was not until 1913, while living in Switzerland, that he began writing Funem Yarid in earnest. He lived to write two and a half of the projected 10 parts. In its incomplete form, the story covers the author's childhood and his romance with Olga Loyeva up to the moment at which they are about to be parted. It is noticeable that the cyclical structure of this work is comparable to that of Tevye, Menakhem-Mendl and other works with their ever recurring peripeteiai of the stroke of luck followed by catastrophe.
On September 19, 1915, while living in Lenox Avenue in Harlem, Shalom Aleichem was deeply shocked to hear of the death of Misha, from tuberculosis in a sanatorium in Copenhagen. On receiving this shattering news, Shalom Aleichem decided to rewrite his "Tsavoe" (1923; "The Last Will and Testament of Shalom Aleichem," 1994).
Despite failing health, financial difficulties compelled him to undertake yet another reading tour in 1916. One of his last stories, "A Mayse mit a Grinhorn" (1916; "Business with a Greenhorn," 2004), was published in Di Vorhayt in January. This monologue is told directly to the reader, without the need for Shalom Aleichem to act as addressee, in the voice of Mr. Baraban, a Jewish-American businessman, full of complacent contempt for the "greenhorn," potentiated by ugly sexual jealousy. This is a portrait of sheer meanness in the ruthless commercial atmosphere of New York City and is further evidence of Shalom Aleichem's growing disillusionment with the purported advantages of the New World. The story is so interlarded with Anglicisms that Berkovitz found it necessary to append a glossary, and it is evidence of Shalom Aleichem's uncannily accurate ear for language that after a comparatively brief acquaintance with the U.S. he was able to make virtuoso, satirical use of this register. In this context it is interesting to note that in a high proportion of the surviving portraits of Shalom Aleichem, he is depicted with his pocket notebook in his hand and it was undoubtedly to his habit of constantly noting down the turns of phrase that he heard around him that much of the accuracy of his narrative voices may be attributed.
On May 13, 1916, shortly after moving to Kelly Street in the Bronx and while still at work on the last unfinished chapter of Motl Peyse dem Khazns, Shalom Aleichem died of tuberculosis. Vast crowds attended his funeral, and he was mourned throughout the Jewish world. He was buried in the "Honor Row" of the Arbeter Ring section of the Mount Carmel Cemetery in Queens, New York.
After his death his popularity continued to increase not only with the Yiddish readership, but also in translation, especially in Russian, English, and Hebrew. In the 1920s and 1930s Shalom Aleichem's reputation grew steadily as the result of positive evaluation by such critics as *Baal-Makhshoves, M. *Wiener, Maks *Erik, Elye Spivak and I.J. *Trunk.
The most complete edition of Shalom Aleichem's works to date is the Folksfond edition in 28 vols., 1917–25, reprinted several times. Valuable for its critical introductions is the 16–vol. edition of the Oysgeveylte Verk ("Selected Works," Moscow, 1935–41). In 1948 a critical edition of Shalom Aleichem's collected works was initiated in Moscow by N. Oyslender and A. Frumkin. Only the first three volumes (of a projected 20) appeared. These include the complete Yiddish belletristic writings of the years 1883–90, most of which are unavailable elsewhere. The editorial work of Oyslender and Frumkin together with Kh. Shmeruk's editing of Dos Meserl (1983) and Motl Peyse (1997) serve as models for a complete critical edition of Shalom Aleichem's works, which remains an as yet unrealized desideratum.
Much of Shalom Aleichem's correspondence remains unpublished. Selections are to be found in Y.D. Berkowitz (ed.), Dos Shalom Aleichem Bukh (1926, 1958); Oysgeveylte Verk 16 (1941); A. Lis (ed.), Briv fun Shalom Aleichem, 1879–1916 (1995). For a list of published letters to individuals see U. Weinreich, in: Field of Yiddish (1954), 280–1.
Stempenyu, tr. H. Berman (1913); Inside Kasrilevke, tr. I. Gold-stick (1945, 1973); The Old Country, tr. J. & F. Butwin (1946, 1973); Sholom Aleichem Panorama, ed. M.W. Grafstein, 1948; Tevye's Daughters, tr. F. Butwin (1949, 1999); Wandering Star, tr. F. Butwin (1952); The Adventures of Mottel, the Cantor's Son, tr. T. Kahana (1953, 1999); The Bewitched Tailor, tr. B. Isaacs (1956, 1999); Selected Stories, ed. A. Kazin (1956); Stories and Satires, tr. C. Leviant (1959, 1999); The Tevye Stories and Others, tr. J. & F. Butwin (1965); Old Country Tales, tr. C. Leviant (1966, 1999); Some Laughter, Some Tears, tr. C. Leviant (1968, 1979); The Adventures of Menahem Mendl, tr. T. Kahana (1969, 1999); Holiday Tales of Sholom Aleichem, tr. A. Shevrin (1979, 1985); The Best of Sholom Aleichem, ed. I. Howe & R. Wisse (1979, 1982); Marienbad, tr. A. Shevrin (1982); Why Do the Jews Need a Land of Their Own? tr. J. Leftwich & M. Chertoff (1984); In the Storm, tr. A Shevrin (1984); From the Fair: The Autobiography of Sholom Aleichem, tr. C. Leviant (1985, 1986); The Nightingale: Or the Saga of Yosele Solovey the Cantor, tr. A Shevrin (1985, 1987); Tevye the Dairyman and the Railroad Stories, tr. H. Halkin (1987); Tevye the Dairyman and Other Stories, tr. M. Katz (1988); The Jackpot, tr. K. Weitzner & B. Zumoff (1989); The Bloody Hoax, tr. A. Shevrin (1991); Selected Works of Shalom Aleichem, ed. M.S. Zuckerman & M. Herbst (1995); Song of Songs, tr. Curt Leviant (1996); A Treasury of Sholom Aleichem Children's Stories, tr. A. Shevrin (1996); Nineteen to the Dozen: Monologues and Bits and Bobs of Other Things, tr. T. Gorelick (1998); The Further Adventures of Menachem-Mendl, tr. A. Shevrin (2001); The Letters of Menakhem-Mendl & Sheyne-Sheyndl and Motl, the Cantor's Son, tr. H. Halkin (2002). Many further translations have been published in anthologies, journals and collections including Classic Yiddish Stories of S.Y. Abramovitsh, Sholem Aleichem, and I.L. Peretz, ed. K. Frieden (2004).
No critical biography of Shalom Aleichem has yet been written, but there is a rich memoir literature: Y.D. Berkovitsh, Ha-Rishonim ki-Vnei Adam: Sippurei Zikhronot al Shalom-Aleikhem uVnei-Doro (1938–43, 1959, 19763), tr. as Undzere Rishoynim (1966); Y.D. Berkovitsh, "Memories of Sholem Aleichem," tr. K. Frieden (from Dos Shalom Aleichem Bukh), in K. Frieden (ed.), Classic Yiddish Stories (2004), 207–40; V. Rabinovitsh, Mayn Bruder, Shalom Aleichem: Zikhroynes (1939); M. Waife-Goldberg, My Father, Sholom Aleichem (1968, 1971). Attempts at objective biography are to be found in U. Finkl, Shalom Aleichem, 1859–1939 (1939); U. Finkl, Shalom Aleichem: Monografye (1959).
B. Borokhov, "Di Bibliografye fun Shalom Aleichem," in: Shprakhforshung un Literatur-Geshikhte (1966), 218–67; L. Fridhandler, "Guide to English Translations of Sholom Aleichem," in: Jewish Book Annual, 45 (1987–88), 121–42; D.N. Miller, "Sholem-Aleichem in English: The Most Accessible Translations," in: Yiddish, 2/4 (1977), 61–70; U. Weinreich, "Principal Research Sources" and "Guide to English Translations of Sholom Aleichem," in: The Field of Yiddish (1954), 278–84, 285–91; Y. Yeshurin, in: Tevye der Milkhiker (1966), 256–84. research: Many thousands of articles and reviews have been written on Shalom Aleichem's works. The following selection is of necessity very limited: Z. Rejzen, in: Leksikon, 4 (1929), 673–736; Z. Zilbercweig, in: Leksikon fun Yidishn Teater, 4 (1963), 3309–578; lnyl, 8 (1981), 677–720; A. Aharoni, Shalom-Aleikhem be-Or Ḥadash (2002); Bal-Makhshoves, "Shalom Aleichem," in: Geklibene Shriftn, 1 (1929), 91–100; Y. Dobrushin, "Shalom Aleichems Dramaturgye," in: Tsaytshrift, 2–3 (Minsk, 1928), 405–24; I. Druker, Shalom Aleichem: Kritishe Shtudyen (1939); M. Erik, "Oyf di Shpurn fun Menakhem-Mendlen," in: Bikhervelt, 1 (1928), 3–10; 2 (1928), 13–17; K. Frieden, "Sholem Aleichem: Monologues of Mastery," in: Modern Language Studies, 19 (1989), 25–37; idem, Classic Yiddish Fiction, Abramovitsh, Sholem-Aleichem, and Peretz (1995), 95–224; Y. Glatshteyn, "Menakhem-Mendl," in: In Tokh Genumen (1947), 469–84; J. Hadda, Passionate Women, Passive Men (1988), 43–55; H. Halkin, introductions to Tevye the Dairyman and the Railroad Stories (1987), ix–xli, and The Letters of Menakhem-Mendl and Sheyne-Sheyndl and Motl, the Cantor's Son (2002), vii–xxix; R. Keenoy, "Sholem Aleichem," in: Jewish Writers of the Twentieth Century (2003), 530–3; S. Liptzin, The Flowering of Yiddish Literature (1963), 88–97; C.A. Madison, Yiddish Literature: Its Scope and Major Writers (19712), 61–98; D.B. Malkin, Ha-Universali be-Shalom-Aleikhem (1970); N. Mayzl, Undzer Shalom Aleichem (1959); D. Miron, The Image of the Shtetl and Other Studies (2000), 128–334; S. Niger, Shalom Aleichem: Zayne Vikhtikste Verk, Zayn Humor un Zayn Ort in der Yidisher Literatur (1928); A. Norich, "Portraits of the Artist in Three Novels by Sholem Aleichem," in: Prooftexts, 4:3 (1984), 237–51; N. Oyslender, "Der Yunger Shalom Aleichem un Zayn Roman Stempenyu," in: Shriftn fun der Katedre, 1 (1928), 5–72; L. Prager, "Shalom Aleichem's First Feuilleton Series," in: Jewish Book Annual, 44 (1986–7), 120–31; D.G. Roskies, Against the Apocalypse (1984), 163–95; D. Sadan, "Sar ha-Humor," in: Avnei Miftan 1, (1961), 26–56; M. Samuel, The World of Sholom Aleichem (1973); N. Sandrow, Vagabond Stars: A World History of Yiddish Theater (1996), 179–83; Kh. Shmeruk, Ayarot u-Khrakhim: Perakim bi-Yẓirato shel Shalom-Aleikhem (2000); E. Spivak, Sholem Aleykhems Shprakh un Stil (1940); Y.Y. Trunk, Shalom Aleichem, Zayn Vezn un Zayne Verk (1937); idem, Tevye un Menakhem-Mendl in Yidishn Velt-Goyrl (1944); S. Werses, "Shalom-Aleikhem: ha-Arakhot ve-Gilguleihen ba-Aspaklaryah shel Ḥamishim Shenot Bikoret," in: Molad, 133–34 (1959), 404–21; M. Viner, Tsu der Geshikhte fun der Yidisher Literatur in 19tn Yorhundert, 2 (19462), 235–378; M. Waxman, A History of Jewish Literature, 4:1 (19602), 507–21; J. Weitzner, Sholem Aleichem in the Theatre (1994); R.R. Wisse, The Schlemiel As Modern Hero (1971), 41–57; idem, The Modern Jewish Canon (2000), 31–64; idem, Sholem Aleichem and the Art of Communication (1980).
"Shalom Aleichem." Encyclopaedia Judaica. . Encyclopedia.com. 19 Apr. 2019 <https://www.encyclopedia.com>. | 2019-04-19T06:42:48Z | https://www.encyclopedia.com/religion/encyclopedias-almanacs-transcripts-and-maps/shalom-aleichem |
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Happy New Year! With each passing year we face change – various forms manifest over time, but nonetheless, it happens. Over the years, we have seen significant changes within our community: new development, new businesses, loss of favorite businesses and even people. This year, we welcome positive change and hope you do as well. In the past, our January issue featured a business directory, but this year we have modified our content to better serve you. Since technology advances enable us to conduct a prompt query by asking Siri for addresses, phone numbers and websites, we felt this year instead of the directory we would share valuable information on some of our local businesses. We have included stories in this issue on a few businesses: veteran, new, and some have who have left our community. Additionally, our content this month provides resources for nonprofit organizations and general tips if you own or are thinking about starting a small business. Let’s keep the 2018 celebrations going by recognizing the strength and diversity of the businesses our county offers. For some local entrepreneurs, 2017 provided milestone celebrations, which we would like to share. Congratulations to... Biotrek Adventure Travels – 25 years in business Fabric Emporium – 22 years in business (they will certainly be missed - enjoy retirement!) First Baptist Church – 150 years of worship in our town Framecraft – 10 years in business Piedmont Press & Graphics – 30 years in business We realize there are many more local organizations that may have celebrated anniversaries this past year, so if you know who they are, please let us know by emailing us or sharing the information on Facebook (make sure you tag us). We want to celebrate along with all of you who contribute to the economic vitality of our region on a daily basis. Thank you readers, for allowing us to serve you by providing enjoyable content each month. I wish everyone a safe, healthy and happy 2018.
H appy N ew y ear !
Charles Rose is a seasoned property expert. His diverse background and relaxed approach make for easy conversation, whether you’re interested in home-buying, selling or commercial property. Talk to Charlie today.
On this month’s cover, Lora Gookin from Gâteau Bakery Cafe & Tea Room. Photo by Kara Thorpe.
This year with all the amazing support, we were able to donate 706 holiday treat containers to Walter Reed!
contributed to make this possible. Plus F4F attended the MM Pierce Elementary School PTO meeting in December and kept the children busy with crafts and Christmas Slime! We also dropped off a large number of painted rocks on December 6 for our community garden at the WARF. A special thank you to the following for their support with our December projects: Earth, Glaze and Fire, Handyman Cans, Peak Roofing, Puroclean, Gainesville Pediatric Dentistry, Girl Scout Troop 1908, Anita SadlackState Farm, Jane S., Amy W., Amanda Y., and Edward JonesFinancial Advisor Matthew Fusaro. Our community is full of amazing, giving families. We look forward to offering more fun-filled, family events in 2018. Take a look at what is coming up.
Jog 5K/1 Mile Just Cause F4F Beneficiary Registrations at 8 a.m. Location: Vint Hill Community Center Families4Fauquier will receive 100 percent of your registration fee for those that registered under Families4Fauquier as your nonprofit of choice. Come out and celebrate 2018 and support our organization while you are having fun. FEBRUARY 10 Painted Rocks Club at 10 a.m. Location: Northern Fauquier Community Park This event is hosted by Northern Fauquier Community Park and the theme is "Keeping Fauquier Beautiful.� All rocks and supplies provide. Just bring your smile and join us for some fun.
Keep updated on all of our activities and events by visiting our Facebook events page.
Just Listed!! “Belle Haven Farm� Conveniently located at the corner of I-66 and Ramey Road in Marshall. Beautifully situated on roughly 50 acres. This property includes three rental houses. The main house features four bedrooms, a formal dining room and living room, large home office, first floor master, spacious laundry area, huge family room and two separate apartments and a finished basement. All showings must be scheduled and approved online, prior to showing.
Opposite page (clockwise from top, left): Argentina, Tanzania, Morocco, Galapagos, Chile, Guatemala. Above (background): India. Above: Reynolds at her Main Street studio. Photo by Kara Thorpe.
Sunny’s photography experience and talent is on display in her two published books as well on as her website (sunnyreynoldsphotography.com). The Random House publication Hardie Newton’s Celebration of Flowers, features exclusive photography from Sunny. Additionally, she published her own book Boats, in 2002.
artwork. “We were successful right away,” she says of their sold-out shows. The gallery even sponsored international artists who came to showcase their work. “Although it was successful, it became too much to maintain the gallery and corporate photography,” Sunny explains. When her partner moved on, Sunny relocated to 81 Main Street: “I quit the ad agency and gallery to start a travel company.” Sunny returned to Costa Rica and met with in-country ground operators. “At first, I did it all on my own. I remember personally renting a passenger van and driving people around the country,” she says. Those early trips were full of adventure. “We always had a flat tire, it was just something we could count on because of the quality of the roads. I made a game of it and would see how fast we could change the tire,” she says of making the most out of the situation. “One time, after a flat, in Monteverde, we ended up catching a ride with the local coffee pickers back to town. It’s a memory that will last forever for the guests on the trip,” she reminisces. It was Sunny’s friends and family who embarked on those first trips. “I called that group the ‘Dream Team’; they have travelled to many countries with me over the years,” she reminisces. Twenty-five years later, Sunny is still the Above, left: Galapagos. Above, right: Cuba.
It is recommended to book trips six months to one year out. Scheduled payments are available. For information on upcoming expeditions visit biotrekadventuretravels.com or call 540-349-0040.
About the AUTHOR Aimée O’Grady is a freelance writer who enjoys transforming stories told by Fauquier residents into articles for Lifestyle readers. She learns more and more about our rich county with every interview she conducts.
Thinking About the Future We get so caught up with day-to-day living that we often do not think about the future until it’s too late to do anything about it. Do not waitdo some estate planning, sign your will, prepare a trust, provide for your spouse and children.
At Morrison, Ross and Whelan, we can help guide you through the complexities of estate and trust creation and administration, set up guardianships and help in probate litigation. We are committed to providing knowledgeable, caring and personal counsel – whether you are handling the unexpected or planning for the future – your family deserves the best.
professional, compassionate I still believe the personal approach is necessary to distinguish small businesses in the cyber world.” based services. Depending on your business, you may want to invest in an attractive revenuedriven website. Presence on social media has become equally important. But if you don’t have time for posting new content on Facebook, Twitter, etc., you can outsource this chore for a monthly fee. To keep up with the speed of online sales and information, you also need the fastest provider and desktops, laptops, or tablets available. I was recently excited to learn Comcast is now delivering Gigabit speed in Fauquier. Fast internet will make remote logins into your office from the road or at home much more enjoyable. Also consider a Voice Over IP (VOIP) telephone system. It uses your internet to make and receive phone calls and can be arranged to handle multiple simultaneous calls through just one official phone number. You can even forward calls to your cell phone and make calls from your private cell phone without revealing your personal mobile number. Despite all of these technology opportunities, I still believe the personal approach is necessary to distinguish small businesses in the cyber world.
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Left: Wild-Caught Salmon on Orzo Pasta Salad with Spinach and Caramelized Onions (photo by Caitlin Scott of Great Scott Photography). Left, Center: Tomato, white bean, kale, and sausage stew. Left, Bottom: Chicken vegetable soup and turkey ginger meatballs.
COOKING CLASSES AND CAMPS A variety of monthly adult cooking classes and teen summer camps are available. For more information visit the website or stop in Warrenton Wellness Kitchen for an information sheet.
provides financial protection for your business in the event of claims, lawsuits or settlements. These may arise as the result of injuries or property damage connected with your business pursuits, or even non-physical acts like slander or libel. General liability is a vital component of business insurance.
The person you select needs to be available to assist you, protect your assets, understand what is available for your industry, and educate you on what is really necessary coverage to have in case a situation arises. OPT FOR EXCELLENT CUSTOMER SERVICE.
protects the insured (the business owner) in the event it fails to administer 401k, health insurance or any other employee benefit in a manner that causes a loss to the employee. UMBRELLA POLICY is additional liability coverage over all other insurance policies your organization may carry. This is good to have as your business grows and engages in larger projects. SELECTING AN AGENT CHOSE SOMEONE WITH A HIGH LEVEL OF EXPERIENCE.
An agent with experience will have the knowledge base to guide you on what you actually need to cover against loss.
Sierra Ball is the owner of Siquin Insurance Services located at 32 Waterloo Street #207. She has 20 years of insurance experience and has owned and operated her insurance business since April of 2016. She is an independent insurance agent specializing in small businesses. For more information regarding Siquin Insurance Services, please call (540-349-6775) or email ([email protected]).
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advertisements much more than twice a year, she relied mainly on word-of-mouth referrals. She also relied on attracting visitors to her retail location. One of her methods was utilizing her storefront windows. “The window displays were very important as they showed people who we were, before customers came into the store. It showed our style, products, and colors. The windows drew people into our business,” Maria shared. She did add that a combination of products and services periodically changed in the window displays definitely helped draw the attention of potential customers.
You can’t miss us. We’re the bright green railroad house nestled in the heart of You can’t miss us. We’re the bright green railroad housewith nestled in theand heart historic The Plains, Virginia. Our dining room is filled laughter theof historic The Plains, Our dining room on is filled withThere laughter the irresistible aroma of Virginia. something special sizzling the grill. areand typically irresistible aroma something on the grill. several happy folksofsitting on ourspecial front sizzling porch, enjoying a fineThere meal are andtypically a cocktail several happy folksinsitting on our frontpace porch, enjoying a finecountry meal and a cocktail or two and taking the slow, relaxing of our charming town. or two and taking in the slow, relaxing pace of our charming country town.
instilled a strong work ethic in Maria which have impacted her, even now. “My grandmother’s hard work especially stands out to me. She persevered; she wouldn’t give up. I wouldn’t be who I am today without her,” shared Maria. Twenty-two years after opening, Maria and Joe have now retired. As of midDecember, Fabric Emporium has permanently closed its doors. “Joe’s been ready [for retirement] for several years now. We have never taken the time to explore and just do things. Nothing in life is a guarantee, and while we are still able – now is the time to travel.
Come visit us one day soon and find out for Come why...life visit us one day soon and on findthe out for yourself is always better porch. Life is always on the yourself why...life isbetter always better on theporch. porch.
TECHNICAL ASSISTANCE: Organizations may access PATH Resource Center staff via email, phone or in-person.
LENDING LIBRARY: The Center offers a library, specifically with a nonprofit focus, for organizations to utilize.
FOUNDATION CENTER: A database of over 4 million grants worldwide is available for organizations to use for free during operating hours. GRANTS COACH: Organizations may have access to a volunteer grant coach to assist with identifying and completing grant applications. WORKSHOPS: Monthly workshops on topics such as governance, philanthropy, marketing, finance, human resources, volunteer management, and strategy. Upcoming events can be found here: pathforyou.org/ resource-center/.
ADVANCED TRAININGS: These trainings provide an opportunity for in-depth learning about a particular topic. In 2018, these include Board Academy in March and April and a Philanthropy Academy later in the year.
PATHWAY TO A HEALTHY ORGANIZATION: Nonprofits engage in a self-assessment instrument that helps identify strengths and challenges and establish capacity building goals.
ONSITE TRAINING: PATH Resource Center staff can come to your organization for onsite training to your board or staff.
provide clarity and guidance to move toward the objective.
EXECUTIVE LEADERSHIP CIRCLES: Once a month, facilitated circles provide peer to peer executive support and an opportunity to discuss current problems with local experience in a confidential setting.
POWER OF PARTNERSHIP (POP) TALKS: 90-minute meetings covering a topic with an opportunity to network with other organizations.
space any new information that needs to be sent to the nonprofit community.
MEETING SPACE: The PATH Resource Center has a meeting room with seating for eight, it also offers a screen and internet capability for web conferencing. The PATH Foundation’s conference room can hold up to 20 in a board meeting configuration. In 2018, the PATH Foundation and PATH Resource Center will be moving new space on Walker Drive in Warrenton. This new facility will have meeting space for up to 100 people.
Thank you for a terrific 2017; 50 transactions and +$20 million in Sales. I am looking forward to another great year for my clients in 2018. My goal is to place a SOLD sign in your front yard and/or help you find the home of your dreams.
All information provided in this advertisement is deemed reliable but is not guaranteed and should be verified by interested parties.
his month’s publication focuses on our small local businesses – how they benefit the community, how they may be successful, and how they are ingrained into our daily lives and the town itself. To answer some business-related questions which may be helpful, I turned to Joe Martin, President of the Fauquier Chamber of Commerce, who shared his five tips for local business owners.
THE CHAMBER HELPS BUSINESSES BY: • Connecting business to the key companies, departments and individuals that are essential to growth.
• Offering multiple chamber events throughout the month, plus five major events each year: Valor Awards, Annual Meeting and Awards Gala, Old Town Warrenton Spring Festival, Taste of Fauquier, and Fauquier Fall Festivities – a series of events in September and October focused on economic and workforce development.
• Legislative events to bring members information on legislative issue businesses face today.
• Women’s Business and Young Professionals Councils.
Happy New year & Thank You to our customers for your business Mention this ad and get $150.00 OFF a new Water Treatment System & $75.00 off any water Heater Replacement.
FOR MORE INFORMATION ON BECOMING A MEMBER OR FOR MORE DETAILED INFORMATION ABOUT SERVICES AVAILABLE TO EXISTING MEMBERS, CONTACT JOE MARTIN AT FAUQUIER CHAMBER VIA EMAIL [email protected].
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initially utilize the space they had for her newly formed business. After years of working in her home commercial space, Gookin knew it was time to make some changes. Around 2014, she hired help; prior to that she completed all her own work. One and a half years later, she hired more employees and still kept growing. For her, it became difficult to work and grow her business out of her existing space. About two years ago, Gookin was out for a walk on the Greenway with a friend and said, “Know what? I’m going to find a building.” And she did. After looking at the space at 12 Culpeper Street, as well as other potential sites, she felt the Culpeper Street offered an ideal location for her business, and it was large enough to accommodate her vision. “No building plans were on record for the property, so I took some measurements and sketched up some ideas,” explained Gookin. After her initial thoughts were solidified and incorporated into her sketch she reached out to David Norden, a local architect, to finesse her ideas. “He took my rendering and recommended some changes: a big one was to utilize the second floor of the building as the commercial kitchen. I had not thought that would have been a possibility,” Gookin shared. Once the architect made recommendations to create a more functional floorplan, she moved forward with 10 months of renovations to the interior and exterior of the building. The incredible transformation has now been completed. The building, which offered boxed-in rooms and a dark interior when Gookin purchased it now showcases a space with high ceilings, refinished original floors, large windows, and exposed brick walls. The interior space offers a charming atmosphere with a rustic elegance. Crystal chandeliers were hung which now provides a shimmering light – similar to glitter – during the early morning hours.
DA I LY OFFERINGS: • Custom, noncustom, and bakery cakes • Cupcakes • Cookies • Scones • Crêpes • Soups • Sandwiches • Salads • Breakfast sandwiches • Quiche OFFICIAL GRAND OPENING C E L E B R AT I O N : January 27, 2018 HOURS OF O P E R AT I O N (Beginning January 27) Monday through Saturday 9 am until 4 pm NOTE: Gâteau is open now but hours of operation will vary until the grand opening celebration. Follow them on social media or visit the website (1gateau.com) for more information.
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Simplified Employee Pension Plan (the IRS loves acronyms) – allows an employer to make tax deductible contributions directly to an IRA in the name of the employee. For 2017, the contribution limits are 25 percent of the employee’s compensation, or $54,000. These types of plans are often used by solo business owners such as real estate agents and consultants. The business owner and the employee are one and the same, but the SEP IRA structure allows for a much larger contribution to an IRA, while providing a significant tax deduction.
mall business owners have many challenges, and for them prioritizing what to address and when is probably the most difficult part. Many owners wear several different hats, but all too often the hat of “retirement plan administrator” goes unworn. It shouldn’t. Just because you are a small business does not mean there aren’t options for offering a retirement plan to both yourself and your employees (if you have any). Contributing to an IRA (Individual Retirement Account) on your own each year is certainly a good idea, but the current limit of $5,500 per year (for those under age 50) is probably not enough to satisfy a longterm retirement plan. The IRS provides several options for the small or solo business owner, but the two most popular and straightforward are the SEP IRA and the SIMPLE IRA. Both have much higher contribution limits than an IRA and have tax advantages. Most importantly, both have little to no startup or ongoing costs and are simple (no pun intended!) to set up.
About the AUTHOR Nathan Gilbert is an Investment Advisor and Managing Partner with Meridian Financial Partners in Warrenton, Virginia. Meridian is an independent, fee-only investment advisory firm providing financial planning and investment management. Mr. Gilbert was born and raised in the area and currently resides in Haymarket with his wife and three children.
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hen you’re a regular at Siggi’s Men’s Grooming Place, you know to expect not just a great haircut but also a warm greeting from bubbly shop owner Siggi Jamison and her team. “We’re just huggy people,” she says, laughing, of her crew of three barber-stylists, a nail technician, and a masseuse. “People always come in and ask, ‘Where’s my hug?’” Siggi’s Men’s Grooming Place has earned a solid reputation for its friendly staff and outstanding service. And in her new shop in Warrenton Plaza, Siggi has worked hard to create an appealing gathering place with guy-friendly décor, a coffee bar, and clever personal touches like barber stations fashioned from tool chests. “We have guys come in and sit and shoot the breeze with us,” she says, “and it’s fabulous. I just love it. Siggi’s Men’s Grooming Place offers haircuts, straight razor shaves, massage therapy, hand and foot care, and even facials. “Siggi’s is about the people who come in here, giving them a place to relax,” she says. “There are so many pampering services for women. I used to wonder, why is there not something here in our cozy little town of Warrenton? I wanted to create a place for men to be pampered.” “I want for my guys to feel like: ‘I just had an hour of vacation. This was one hour of my time where I forgot work, where I forgot responsibilities, where I got to relax.’” Siggi began studying cosmetology in 1980. “We had to study for three years, which is 6,000 hours,” she remembers. Siggi worked for some time in Germany, then came to the United States in 1988 with her Above: Siggi’s new location in the Warrenton Plaza features guy-friendly décor and clever personal touches like barber stations fashioned from tool chests.
Special Exhibition Opens Saturday, January 20 Reception with the Kevin H. Adams 4-7p Shenandoah National Park Artist in Residence Kevin H. Adams unveils the paintings he began on location during his residency in Summer 2017. Kevin will present one of the paintings to the Superintendent of Shenandoah National Park for the Park’s permanent collection. Beverages and refreshments will be served during the reception.
Please join us on Saturday, January 20 from 4-7pm!
The Gallery will donate 20% of the sales price to the Shenandoah National Park Trust for all of Kevin’s paintings sold on January 20. The Gallery will be open from 10a-7p on the 20th.
Katie Fuster lives in Warrenton with her husband, children, and rescue dogs.
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Serving Fauquier County and other surroundings counties.
f you own a small business or are starting a small business, you need to spend some time thinking about the finances and know what you need from your bank. Interview banks to make sure your specific needs will be met appropriately and consider not only accounts, but services and lending options as well. Here are some general tips business owners may find helpful.
determine what the financial institution’s business deposit account offers and what the cost of those accounts will be. Many banks offer free checking to small business – without requiring a minimum balance. Banks also offer several optional business services which may assist a company with efficiency.
Research how business friendly the financial institution is. Are there online banking options available? Are there options such as business bill pay or ACH (Automated Clearing House) available? Understand how deposits are made. Remote deposit systems allow owners to make deposits without having to go to the bank which allows individuals to spend more time on their business. Business banker’s provide valuable insight on all the various services available which may fit well with your specific needs. Keep in mind some additional services have fees, so verify the costs and conduct the interview with the financial institution prior to opening an account.
If you are a new business owner and seek financing for your venture the banks will require a business plan. This plan outlines how you will support your business and yourself during the launch of your venture. If you do not have or know how to create business plan you may turn to others for assistance. The Small Business Development Center at Lord Fairfax Community College and classes offered through People Inc. are just a few of the local entities which provide assistance in these matters.
There are many loan options for business. Banks can offer Lines of Credit, Term Loans, Commercial Mortgages and more. Also most banks offer loans that are supported by the Small Business Administration. When meeting with your banker, make sure that you are prepared to discuss your need not a specific product. The business banker will want to match the loan product to the purpose you have for the loan.
One thing to keep in mind, not all banks are the same, so make sure you find one to fit your needs. For more information regarding banking and lending solutions, contact your local bankers to see what solution will work for you. ❖ About the AUTHOR Margie Markahm has 35 years of experience in the banking industry and has served the Warrenton business community for the past 14 years. She is the vice president of commercial lending with Summit Community Bank. For more information visit Summit Community Bank’s website or call (540-347-7779).
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F RESOLUTION SOLUTION PROGRAM A Resolution Solution program will begin in February and will include changing six small actions that should help provide some big results. The six-week program introduces six healthy habits. All new healthy habits should be completed six of the seven days of the week. The six habits include: • 8 ounces more water a day • Add a fruit with lunch or a vegetable with dinner • Turn off electronics one hour before bedtime • Get 10 minutes more cardio exercise each day • No processed foods for one meal a day • Be more mindful for five minutes a day (journal, meditate, breath work) Each participant will scale these habits — easiest to hardest — and add one healthy habit each week. They will build a pyramid of big results by slowing building on small changes.
SPECIAL WINTER PROMOTIONS AT THE WELLNESS CENTER The Fauquier Health Wellness Center has a variety of seasonal promotions to help keep you healthy all winter long. For the month of January, new or current Wellness Center members who pay six months up front will receive: • 1/2 off of the joining fee, and • Either one hour of personal training or a free one-hour massage. The bonus can be split into a halfhour of training and a half-hour massage ($60/$56 total value).
Before applying for permits, business licenses, etc. it is strongly recommended you give careful thought to several issues, including, but not limited to: What is it you want your business to be? What is your value proposition; what do you have that people will pay for?
f you are opening a business in Fauquier County, the very first thing you should do is visit one of the county’s three business incubators; take advantage of the free counseling they offer. The Mason Enterprise Center - Fauquier, is located at 70 Main Street. Renee Younes, the director, will work with you and arrange appointments for you with counselors from the Small Business Development Center, George Mason University, and other helpful agencies. The other two centers are managed by Jennifer Goldman, who spends time at both the Vint Hill and Marshall locations; these are referred to as the Fauquier Enterprise Centers. Both offer free assistance to anyone who lives and/or has a business in Fauquier County. There is paperwork to complete, including business licenses from the County or Town, tax forms, permits and other forms, but the business centers referred to above, as well as the County and Town economic development staff, will help you sort your way through those steps. We may also help you make an informed decision about whether you really want to start a business, or if your concept is viable.
How are you financed: savings, family money, investors, loans, mortgages? Do you have a business plan? What is your budget? Have you accounted for all costs? Where do you need to be in order to reach customers and suppliers? What kinds of marketing techniques do you plan to use? How will your business be managed? How will you keep track of your finances? What kinds of insurance do you need and how much will it cost?
About the AUTHOR Friedman has been the the Director of Economic Development for Fauquier County since 2013. He has a deep and diverse background in economic development, including consulting, teaching, lobbying and leading a national economic development group in Washington, DC. Friedman and his wife of 41 years, are the proud parents of two grown children, and Miles enjoys spending time with his two young grandsons and two granddaughters.
540.351.0922 or [email protected] Charming Old Town Home, Recent Upgrades Contact Rossor Real Estate Today! 540.351.0922 [email protected] Price Reduced to $375,000 Contact Ross Real Estate Today!
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4 BR, 2.5 bath, gas fireplace in FR, DR with vaulted ceiling, wood floors (wood floors also under carpet in bedrooms) granite counters, spacious rec room with entrance from back yard, fenced yard, 2 sheds, french doors open to covered rear porch, paved driveway with parking area, covered patio. Close to shopping, medical, and commuting routes.
Open Floor Plan spacious Family Room with Vaulted Ceiling and Gas Fireplace leads to Sun Room and Deck. Kitchen with Breakfast Room. Spacious Owners’ Suite with Walk-In Closets/Bath/Soaking Tub/Shower/Double Vanity, New Carpet, Freshly Painted Throughout, Driveway Sealed.
ichael Manfro grew up in Warrenton and attended Fauquier High School. He was an athlete and an excellent baseball player. Michael even played up and down the East Coast and competed in professional baseball tryouts. He always enjoyed being an athlete. Then he went away to college to pursue a career not related to sports, but along the way he found the path to his true vocation. Initially, Michael thought he wanted to be a teacher; by his sophomore year at Greensboro College he realized sitting in a classroom day in and day out was not the type of instruction he envisioned. With the assistance of mentor Dr. DeAnne Brooks, assistant professor of exercise science at Greensboro College, he soon realized that he would still be able to teach, and incorporate his love for performance training into a career – performance training and fitness. Michael was positively influenced by a few other mentors – Dr. Michelle Lesperance and Dr. Brenda Burgess.
Above: Manfro at his facility on Main Street. Next page: Manfro training in a small group setting.
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any times owners will ask me, “is my pet in pain? Does my dog or cat feel pain like we do?” The answer is a resounding “Yes.” Dogs and cats are very similar to us physiologically. How their muscles, bones, tendons, nerves, etc. respond to pain/stimuli is identical to how people respond. How our pets communicate pain to us is where we differ.
Should we treat our pet’s pain?
How do I know if my dog or cat is in pain?
vocalizing, shivering, shallow breathing, and pupils that appear larger than normal. Dogs in particular may lose their appetite when they are in pain. When dogs and cats are lame (favoring a leg) after running, jumping, rough play, or trauma—this is an indicator that the leg is painful and they are unwilling to use the leg normally.
What is the next step once we recognize that our dog or cat is in pain?
I recommend that you contact your regular veterinarian if you believe your pet is in pain. There are numerous causes of pain that may be a medical emergency. What ailments can make your dog or cat be in pain?
fractures (if your pet is struck by a car it should be seen immediately by a veterinarian), or trauma from chasing a squirrel in the backyard. Gastrointestinal problems can lead to abdominal pain. Ingestion of inappropriate items, liver disease, and pancreatitis can be agonizing, Urinary problems can be painful in dogs and cats. Blockages due to stones in the kidneys, urethra, and ureters can be very uncomfortable. Chronic arthritis is one of the most common types of pain we treat in veterinary medicine. As discussed earlier, our pet’s physiology is very similar to our own so when your dog or cat is diagnosed with arthritis their discomfort is similar to ours. Arthritis can be secondary to an old injury, such as an old fracture or from a ligament tear, hip dysplasia, or degeneration due to age.
Yes, we should always make an effort to treat our pet’s pain. The research is conclusive that pain, especially if it is experienced over a long period of time, can actually be hazardous to a dog’s or cat’s health. The reason is that pain is a stressor and the body begins to release a set of stress-related hormones in response to that stress. These affect virtually every system in the body. They alter the rate of metabolism, cause neurological responses, and cause the heart, thymus glands, adrenal glands and immune system to go into a high state of activity. If this situation continues long enough some organs may become dysfunctional. In addition, the tension that the state of pain-related stress induces can decrease the animal's appetite, cause muscle fatigue and tissue breakdown, and also rob the dog or cat of essential healing sleep. The stress that the pain causes can prevent our pets from healing. How do we treat our pet’s pain?
It is our goal to treat our pets appropriately for their specific diagnosed problem. With the known diagnosis, we can customize our pain management plan. Not all of the following pain medications may be beneficial for your pet, so please ask your veterinarian what is appropriate. All pain medication should be prescribed by your veterinarian—do not use your own pain medication to treat your dog or cat. It is important to treat the underlying cause of pain to help your pet improve.
Dr. Morris is the director of the Surgery Division of the Veterinary Referral Center of Northern Virginia in Manassas and the owner of the practice. His experiences while working at the Audubon Zoo as a student reinforced his enthusiasm for a career in veterinary medicine. He graduated from Tufts University School of Veterinary Medicine, and then completed a one-year Small Animal Surgery/Medicine/Emergency Internship at the Darien Animal Hospital in Darien Connecticut and a three-year surgical residency at the University of Minnesota Veterinary Teaching Hospital where he was trained in orthopedic, neurological, and soft tissue surgeries. He has special interests in cranial cruciate injuries, thoracic surgery, and juvenile hip dysplasia. Dr. Morris can be reached at 703.361.0710, ext. 3 or [email protected].
We would like to wish everyone a healthy and prosperous New Year! We can’t wait to see what this year holds. Whether buying a new home or selling your existing home we will be there to help you with every step of the process. Now is the time to start thinking about the Spring Market! Call us today for a free market analysis. We also will let you know what, if anything, needs to be done to have your house market ready.
hen you look at a men’s or women’s fitness magazine with ”the Rock” or Heidi Klum on the cover do you find yourself wishing and dreaming you could look like that too? What about your Facebook feed with the 25 year-old ripped fitness models doing chin-ups easier than you can get out of bed in the morning? I must confess that I wish I had that muscular, chiseled look that has made Dwayne Johnson a household name. But I also realize that although I can improve my current physique, it’s not possible for me to be built exactly like another human being. We all have DNA that is specific to us. I want you to see yourself as an individual and not compare yourself to models, media stars or your really fit friends. Let me be clear, it’s good, and necessary, to have goals. But often times, the goals we set are unobtainable, and when left unmet result in a sense of failure. The intent of this article is to encourage a mindset change towards setting goals.
S.M.A.R.T. One of the best tools that I have used when creating goals with new clients is the S.M.A.R.T. approach. The acronym stands for Specific, Measurable, Accountable, Realistic, and Timeframe specific. Let’s go through these one at a time and I’ll explain how they can relate to you, and specifically attaining your goals.
people come to us wanting to lose weight. I ask, what do you weigh now? “I don’t know,” they say; they’re afraid of the scale. Most people think they want to lose weight but what they are actually looking for is fat loss. Both weight loss and fat loss are specific goals, and they are measurable. The other specific way to set goals is around reductions in dress size or pant size.
Before we set goals we MUST measure! And what’s awesome about this is we now have an extremely accurate way to measure fat composition with a Bioelectrical Impedance Analysis (BIA) – a medical grade, non-invasive technology that measures body fat, lean muscle, and water in less than a minute. By using your BIA, we can set specific percent body fat loss as a goal. If you don’t know where you are trying to go, how will you know when you’ve reached your destination?
each workout, or simply announcing your goal to your friends, family, and co-workers. We always suggest that you take the time to not only write down your goals and put them up where you can see them several times per day, but to also write down your “why.” What are the reasons you want to lose weight? Those reasons serve as huge motivators when the going gets tough.
I mentioned previously, set goals that are realistic and achievable. Take into consideration your height and body type, your family history, and your past mentality towards training and eating correctly. Once a client said to me “I’ve never worked out, but I want to go six days per week starting January 1.” I replied, “Well, let’s get started with two times per week and work towards the six,” which is a more realistic goal.
Break your goals down into eight-week or twelve-week mini goals. If your goal is to lose 30 pounds by the end of the year, start with losing 10 pounds by March 30. Better yet, how about losing five percent of body fat by March 30?
Linda McGuire checks off her accountability chart at Next Level Fitness.
TIPS TO HELP YOU REACH YOUR 2018 FITNESS GOALS • Consistency is key. Whether it’s trips to the gym or nutritional habits, nothing beats consistency. • Find a coach. You’ll need accountability, exercise and injury recovery knowledge, food prep skills, and encouragement. Once you have the right coach everything starts to fall into place. • Attitude overcomes a lot of failures. Get up. Show up. Do your best. • Track your progress. Use a calendar, a Fitbit, check in with your coach, or even make a simple check mark on a spreadsheet on your desk at work. • Start now! There is no better time than the present. No one knows when that health scare is coming. Make a decision to do it and get started.
misunderstanding between you? There’s nothing new about the comments people make about “how kids these days” are different from previous generations. In fact, grown-ups have been saying this since ancient times. Plato is attributed with the following: “The children now love luxury; they have bad manners, contempt for authority; they show disrespect for elders and love chatter in place of exercise.” Still, today’s young adults seem unique in almost every aspect. Millennials are digital natives. They have grown up online and plugged in. A millennial would prefer to text or message someone whereas other generations would prefer face to face communication. While it’s clear to everyone technology has changed the way we connect and communicate, we must continue to make an effort to bridge those gaps. The first step is to understand each generation values different things – not better or worse.
As children, this generation was told they were to be “seen and not heard”, thus earning the title, the silent generation. They grew up during the Great Depression and World War II and many fought during the Korean War. They rarely focused on how to change the system, but rather how to work within the system and valued stability, safety and commitment.
Warrenton’s Best Kept Secret! ett! Warrenton’s Best Kept Secret! ett! John Barton Payne Bldg.
John Barton PayneWarrenton Bldg. 2 Courthouse Square, 210Courthouse am—5 pm, Square, Friday &Warrenton Saturday 10 am—5 pm, Friday & (540) 341-3447Saturday (540) We accept cash and 341-3447 checks; no credit cards. We accept cash and checks; no credit cards. All sale proceeds benefit the Fauquier County Public Library. All sale proceeds benefit the Fauquier County Public Library.
what’s Our weekly guide for FUN! | 2019-04-19T09:47:14Z | https://issuu.com/pamkamphuis/docs/wlm_jan_2018_web |
Umbilical Cord Stem Cells | Why are they called "the future for Mankind?"
Baby stem cells in general and umbilical cord stem cells in particular are cells with unique properties; they are able to divide and differentiate into any other kind of cell found in our body thus playing an important role in our growth and wellbeing, from the day of our inception. In adult life, they play a vital role in the regeneration of various organs and tissues. As we grow, some organs retain more capabilities to regenerate as compared to others, all due to stem cells.
Just take an example of red and white blood cells that are continually created in our body via maturation of specific stem cells in bone marrow. But now we know that almost all of our body organs retain the certain capability to grow and renew. Thus these stem cells play a very important role in the internal, automated repair system. Since our body is able to replenish the dying cell, we are able to live and survive.
During the very early stages of differentiation, each stem cell has the capability to either become another stem cell, or it can mature into the more specialized cell like that of muscles, blood, or brain.
Yes, stem cells have many similarities to the common understanding of word seed. Thus stem cells are not specialized cells; they can divide quickly, and sometimes even after an extended period of inactivity (quite like a seed). Further, if stimulated by certain chemical messengers, they may be induced to specialize into a particular tissue or organ cells.
Some organs are particularly rich in stem cells, specifically the organs that are continually involved in various growth and repair processes, like blood and gut. While other organs that are less prone to wear and tear, stem cells are fewer in numbers, and they are only activated under particular conditions, an example of such organs being heart or brain.
Two of the earliest stem cells known to science are embryonic stem cells and somatic or adult stem cells. Researchers first isolated the stem cells from the mouse embryo, and later they replicated their method with a human embryo to get human embryonic stem cells. By late 1990 to early 2000s, they were able to find the means to reproduce these stem cells in laboratory conditions.
Scientists were highly interested in stem cells due to their ability to convert into cells of any other tissues or organs. Once the method to replicate in the lab was found, the problem of quantity was also solved to some extent. Traditionally embryonic stem cells are considered to be more versatile, as they are omnipotent, meaning they can be converted to any tissue cells, while adult cells have limited such capabilities.
Embryonic stem cells were derived after fertilizing the donated ovum and spermatozoid in laboratory conditions. In 2006, researchers achieved another breakthrough when they were genetically able to reprogram the adult stem cell to create an induced pluripotent stem cell. It means that genetic engineering allowed to better the quality and versatility of adult stem cells, providing it the ability to grow into just any other tissue cells.
Importance of stem cells can be understood from the fact that they are the cells that divide and differentiate in the embryo to give rise to all the organs. As we grow, only limited capabilities are retained. Thus if the liver is damaged, it can still repair itself, though capabilities of such repair are insufficient in some cases. Therefore by better understanding the stem cells and learning to manipulate them, the researcher wants to gain the better abilities to repair and regrow damaged organs in humans. The science which studies the stem cells with the purpose of re-growing or regenerating organs is called regenerative medicine.
After isolating these stem cells from various resources, scientists are trying to find the factors that stimulate these cells to grow and differentiate into a particular tissue. Moreover, these laboratory-expanded organ tissues can be used in drug research and understanding various genetic diseases.
Branch of the study of stem cells is helping us to discover many secrets of our body; it is helping us to find out how the single cells are transformed into the wholly grown huge organisms. Thus no doubt the stem cell research can be called as most promising, fascinating area of medicine. Research into stem cells is generating new health solutions each year. It won’t be wrong to call it as one of the fastest growing areas of medicine.
Further, researchers are trying to identify the newer sources of these stem cells, resources with fewer ethical issues in comparison to the human embryo, or source that is less traumatic in contrast to bone marrow.
Umbilical cord blood, which is usually rejected and thrown away as medical waste, has emerged one such excellent source of stem cells, hence called umbilical cord stem cells.
Before we dive deep into the subject of umbilical cord stem cells, let us gain deeper insight into some of the unique properties of stem cells, the features that make all the stem cells, including umbilical cord stem cells, so unique.
All stem cells have three unique properties, which make them so versatile. Whatever be the source, embryo, umbilical cord blood, or bone marrow, Firstly, all the stem cells have the ability to divide and renew themselves. Secondly, they are not specialized. Thirdly, when required, they can differentiate to form the specialized cells.
Simply explained, one stem cell can divide and form several similar stem cells, and when required these cells can differentiate to form just any cell in our body whether neuron or muscles cells.
Stem cells can replicate for extended periods– just take an example of a neuron or muscular cells, though they can grow and repair themselves to some extent, but none of these cells can replicate (like a bacteria) to create another copy. However, stem cells have that ability to divide and create the replica of themselves. In fact, scientists can now develop millions of cells from the single cell.
Researchers know that the cells derived from an embryo can not only multiply but can also differentiate to form just any other tissue cells. Thus they are called pluripotent. Whereas, stem cell extracted from body parts of adults may differentiate into many different kinds, but not just to any other type. Thus they are called multipotent.
Though now the researchers know that almost every organ has the small population of stem cells, but what makes them grow and differentiate is still poorly understood. However, such understanding is vital if we want to grow various tissues in the lab conditions successfully. What researchers know that these stem cells need special chemical messengers and environment. As an example, muscle cells would repair itself better when the concentration of oxygen is high. However, stem cells generally love to grow in low oxygen (hypoxic) environment. These differences between the matured cells and stem cells, just underline the complexity of the subject.
Why embryonic stem cells can continue to replicate for long, while adult stem cells cannot do that without differentiating from their parent cells.
Under what conditions in healthy organs, these stem cells are activated to proliferate or perform other functions.
Thus understanding these differences between the normal tissue cells, adult stem cells, and pluripotent stem cells would help researchers to find treatment for diseases like cancer. It would also help them to grow pluripotent and multipotent stem cells in lab condition in more controlled fashion.
Understanding the conditions under which stem cells can grow without differentiating has been really challenging. It took researchers more than two decades to replicate the stem cells in laboratory conditions. However, researchers are still not able to replicate the adult stem cells in lab conditions. Until they learn to reproduce the adult stem cells in lab conditions, growing particular organ tissues in large quantities artificially, won’t be possible.
Stem cells do not specialize in performing specific functions– yes, they are merely like seeds, with not much in common with specialized cells of the grown-up plant. As seed cells lack the properties of leaves or bark, but they can still be grown and later specialized to form these specialized cells. Similarly, stem cell by itself cannot do the specialized work of adult cells. It cannot contract like muscular cells; it cannot conduct like nerve cells; it cannot produce certain hormones like a cell in glands. Yet, under specific conditions, it can give rise to any of them, it can get converted to the muscular cells, nerve cells, or glandular cells.
Stem cells may outgrow into just any specialized cell– yes they have the so-called ability to differentiate. That is, they are not only able to multiply a create the exact copies of each other, they can also “If and when required,” under specific conditions can convert themselves into specialized cells. Differentiation of stem cells is a very complicated process, involving many stages before they are fully matured to do a specific function. Researchers are just starting to understand how these stem cells differentiate into other cells.
Stem cells get information regarding differentiation from the DNA, but how and when they read the particular part of DNA and carry out the function of differentiation is controlled by the chemical messengers, other signals from neighboring cells, and microenvironment (like the presence of specific nutrients).
The signals from outside play particular role, as they suppress the certain parts or DNA while activating other parts. But what exactly is the nature of these external signals has still to be understood, if we want to grow the various body tissues in laboratory conditions.
Generally, adult stem cells would only give rise to the cells that are found in the particular organ from which they have been extracted, or at best to tissues that are somehow related to that organ. Thus the cell derived from bone marrow called hematopoietic stem cells would give rise to all the blood cells, but they may not give rise to the brain cells or neurons.
Can the adult stem cells be made to differentiate to just any other cells remain a subject of enormous debate among the scientific community. It seems that although it does not seem to happen in our body but under experimental conditions in the lab that may be entirely possible. Again this debate in scientific community just highlights the complexity of the subject.
When and where are the stem cells found?
Initially, researchers thought that stem cells are found only in some specific parts of the body, and quite probably they may not be present after the specified age. However, now the research has proven that stem cells are present in just any part of our body whether it is guts or nostrils or muscles. Further, these stem cells are present in any age group, since few days after the inception.
Thus stem cells can be extracted from the 3-5-days old embryo, from the umbilical cord, bone marrow to name the few. Techniques to isolate the adult stem cells from various body tissues are being developed.
Among various sources of stem cells, embryo stem cells have fallen into huge controversy for religious and ethical regions. They are extracted after artificial fertilization of a female ovum and male spermatozoid. Many in the society view it as an experiment on the very early form of life. Thus various countries went on to create laws are regulation, banning such experiments, and the United States is no exception. The United States still lacks clear legislation regarding the research into the subject of stem cells, which is hindering various research efforts, or some of the labs have gone on to create their research labs in offshore heavens. Discussing the ethical issues is not the subject of this article. However, it does show why the umbilical cord stem cells have gained such importance.
Although there is no doubt in the so-called superiority of embryonic cells, due to being pluripotent, but because of the lesser ethical issue, stem cells extracted after birth have been less criticized. Thus the multipotent cells derived from bone marrow or umbilical cord blood continue to enjoy wider acceptance, thus becoming a subject of more extensive clinical research. One of the reasons why adult stem cells have gained better approval and had lesser controversy is due to the proven benefit associated with them. First bone marrow transplantation was done in the 1960s, and since then it has saved thousands of lives. In fact, due to the benefits of bone marrow cells, the first national registry was established in 1986.
But there are several limitations of the adult stem cells derived from the bone marrow of the adults. The procedure of such extraction is highly invasive and painful. Moreover, the number of stem cells decline sharply with age. Further these cells have limited capability to differentiate, and finally, researchers have failed to divide them much in laboratory conditions. Thus mesenchymal stem cells derived from bone marrow cease to divide after 5-10 passages.
In the last couple of decades, along with the many innovations in the field of regenerative medicine, umbilical cord blood has received lots of attention as a source of various, therapeutically valuable stem cells. These cells from umbilical cord, called umbilical cord stem cells can be used to treat many diseases, and in many cases, it can replace the use of bone marrow.
Umbilical cord blood has many benefits over bone marrow, as these cells are less mature. Thus they demonstrate less antigenicity, meaning that there is no need for perfect HLA tissue matching. Hence they can be even given to the close relatives or unknown recipients, through donation, with the much lesser risk of rejection.
It can be easily extracted from the umbilical cord of the newborn and stored/frozen for later use.
Transplantation of so-called hematopoietic stem cell (derived from umbilical cord blood), can be used to treat various blood diseases, including several types of blood cancers.
Today there may be as many as million or more units of cord blood stored in various public and private cord blood banks, thus providing a vast pool of umbilical cord stem cells for research and treatment. Much of that treatment is funded by private companies., such as StemCyte, ViaCord, CBR, FamilyCord, Maze, LifeBankUSA, and others.
Hematopoietic cells are being studied to treat various autoimmune diseases, which are rising in the western world and the United States particularly, where the best cord blood banks are located.
Umbilical cord blood is rich in many adult stem cells with hematopoietic cells being just one of them. Another very important cells that are subject to intensive research are so-called mesenchymal stromal cells (MSCs). These cells can be used to repair bones, cartilages and other body tissues.
Mesenchymal stromal cells( MSCs) are found in large quantities in bone marrow, and in much lower amounts in the blood, adipose tissues. MSCs have been isolated from the umbilical cord blood, amniotic fluid, and other tissues that are discarded after the birth of the child. Extraction of mesenchymal stromal cells from these sources have been shown to be more economical in comparison to bone marrow, not to mention the complete lack of invasiveness of such method.
Collection of MSCs from umbilical cord stem cells does not cause any harm to the mother or a child. Theoretically, cells collected in this manner can be stored for decades and used later as per the needs. Cryogenic storage has demonstrated that these cells remain valid even after decades of storage, despite the high costs incurred in private cord blood banks.
Latest research into the MSCs (mesenchymal stromal cells) indicates that these cells can readily differentiate into bone cells (osteoblasts), fat tissues (adipocytes), and cartridge cells (chondroblasts), in vitro. Further investigation into their so-called surface markers indicated that MSCs whether extracted from umbilical blood, umbilical cord tissues, amniotic fluid, or placenta, all shared the similar characteristics. In practice, it means that MSCs can be obtained not only from the umbilical cord but from all the materials that are usually discarded after the birth of a child.
But perhaps the most prominent part of research in recent times has focused on so-called umbilical cord matrix (UCM) cells. These cells are found in large numbers in Wharton’s jelly of the umbilical cord. Though they are slightly different from MSCs, but they are still classified as MSCs like cells. UCMs have been successfully stored for long periods, expanded in culture to create more substantial quantities.
So what is interesting about these umbilical cord stem cells? Perhaps the most important of all has been the discovery of neural cell markers on the UCMs. In layman language it means that unlike MSCs, UCMs may also differentiate to form neurons, thus in future, they may have a role in the treatment of various neurodegenerative diseases like Alzheimer’s or Parkinson’s.
Whether UCMs are MSCs like cells or they are entirely different is still a matter of much debate, with the present understanding it won’t be possible to say for sure.
Till now we have discussed the general characteristics of the stem cells, their possible usage in the medicine, along with some of the types of cells that have been found in this material that is typically discarded after the childbirth.
At present two types of cell derived from umbilical cord have been extensively studied, and are already being used to treat many medical conditions. These two cells with enormous potential are hematopoietic stem cells (HSCs), and mesenchymal stromal cells (MSCs). HSCs are essential for the continual renewal of blood and immune cells. It is due to these HSCs that our red blood cells are wholly renewed within three months. Hence, HSCs can be used in cases when natural stores of these cells in bone marrow have eroded be it due to some disease, or toxicity of anticancer treatment.
Umbilical cord blood stem cells can be easily frozen-stored in private and public banks for decades, as we stated before. Whereas cord blood cell banking is commonly available in the US, there is still a deficit of such banks in the developing nations. Further, it has been seen that willingness to donate cord stem cells decrease after each delivery due to costs and other factors. Also, amniotic fluid is something that is entirely discarded, without even considering its value in stem cell therapy.
Umbilical cord stem cells are indeed an excellent option in a situation when there is lack of donors with fully matched HLA.
Some of the significant challenges with umbilical cord stem cells is their small quantity. This difficults the creation of many different samples. However, things may change in the future as technology to artificially replicate them in lab conditions matures. Another challenge with cord stem cells is the risk of propagation of certain types of infections.
Amniotic fluid stem cells have been successfully converted into supplements providing various factors necessary for the growth of tissues, and thus having a possible role in the production of biocompatible patches for various tissue defects like congenital heart defects of the newborn.
Amniotic fluid stem cells have already been converted to pluripotent stem cells; thus in future, these cells may be used to treat numerous diseases.
UCBs extracted from Wharton’s jelly have already been transdifferentiated into beta-cells (insulin-producing cells in the pancreas). Further, these beta cells have already with great success been transplanted into the animal model, thus raising the hope of finding a cure for diabetes, one of the many uses for cord blood.
Cells extracted from Wharton’s Jelly have demonstrated the excellent potential to differentiate into various types of cells. Thus they seem to be an ideal candidate for regenerative medicine in the future.
MSCs derived from Wharton’s jelly are showing promising results in the treatment of type 2 diabetes. In fact, these cells have already been tested in phase 1 and phase 2 trials in humans with excellent results. They were either injected intravenous or intrapancreatic in those who have diabetes.
Stem cells extracted from umbilical cord, already also described as umbilical cord stem cells, have intensively tested in diseases like lupus. Intravenous injection of MSCs has shown to significantly correct the immune system in lupus, reverse many of the effects of lupus. Further, they have been shown to protect patients from the relapse of the disease, thus opening the doors for continuing research or use of umbilical cord cells in autoimmune diseases.
If you still have doubts about the utility of collecction of the umbilical cord stem cells, we may say that all the evidence suggests that umbilical cord stems cell may have a role to play in brain injuries, caused by various neurodegenerative disorders like Alzheimer’s. At present most of the neurodegenerative diseases are untreatable, with therapy only helping a bit to slow down the course of illness. Umbilical cord stem cells are much more primitive when compared to bone marrow stem cells. Thus they are much easier to use in regenerative medicine, without the need of full donor-recipient matching in neurodegeneration or injury.
Brain injuries that cause the formation of cavities in the brain can also be treated with umbilical cord stem cells.
Umbilical cord stem cells are also showing excellent results in neuronal damage due to chemotherapy and radiation therapy of various types of cancers, more arguments that show the importance of cord blood banking.
In animal models, umbilical cord stem cells have been successfully tested to repair torn tendons. In the rabbit, these cells were injected at the site of the lacerated ligament, as within four weeks there was a complete recovery.
Transplantation of umbilical cord stem cells in the damaged joints resulted in regrowth of cartilage, thus indicating that these cells could be a candidate for treating joint-related conditions due to injuries of cartilage and ligaments.
Umbilical cord stem cells have also been tested to treat the rare but dangerous condition of pregnant women called preeclampsia. In the animal models, transplantation of these cells resulted in dramatically reduced toxicity and correction of hypertension.
Finally, not to mention that umbilical cord stem cells are already being used with great success to treat various blood cancers. They have also shown encouraging results in the treatment of lymphoma. In Hodgkin’s disease, they increase the chances of long-term survival by as much as 30%.
The mentioned above are just some of the uses of umbilical cord stem cells, but things are changing at a breakneck pace in the field of stem cell therapy. Hundreds of new applications are being found on a daily basis. Stem cell therapy is considered to be the future of modern medicine. It will help us to move from “One size fits all” towards the personalized health solutions.
The 20th century was the century of so-called small molecules, that is synthetic drugs that were created to treat diseases of masses, but at the same time 20th century saw the rise of so-called large molecules that were biological in nature, like vaccines, antibodies and so on. However, medicine in the 21st century would be transformed by a better understanding of cell science. It would move on from therapies based on chemicals or biological molecules to the cells, the cells that can cure any disease, regenerate the damaged organs. Umbilical cord stem cells would play a significant role in the progress of regenerative medicine, as they are derived from the material which has been discarded by humans for thousands of years. Thus it is clear that biological material collected after child’s birth would no more end up in biohazardous waste bags. Instead, it would become the life-saving material.
Stem cell therapy tries to bring organ into its healthy and normal state through regeneration. Stem cell therapy is fast emerging due to many benefits over the organ transplantation like the ability to grow and multiply cells in the laboratory, lower chances or rejection, and treatment is often less invasive. Thus, stem cell therapy has provided the new hope to treat a disease that has remained a challenge for modern medicine since long, like many types of cancers, Parkinson’s, Alzheimer’s, diabetes, various cardiovascular diseases, neurodegenerative disorders, and treatment of trauma. Stem cell therapy is now being extensively used to treat multiple hematological malignancies. Best of all, it is finding newer used with each passing year. It is one of the fastest growing branches of medicine, with many calling it the future of medicine.
It is now well recognized that stem cells have the capability of self-renewal and differentiation. Back in 1978, stem cells were initially discovered in the blood of the umbilical cord, and called umbilical cord stem cells afterwards.
Use of umbilical cord stem cells started in the late 1980s when it was found the umbilical cord which is a discarded material has many useful cells that can be used instead of painful and complicated bone marrow transplantation. Thus initially it was planned to be used to treat various diseases of the blood. However, with the early 21st century everything changed as stem cell therapy became a reality.
Since the early eighties, a lot of effort was made to understand the basic principles of stem cell differentiation processes with the milestone to improve and potentially cure conditions for which medical science has not yet produced effective therapeutic solutions. This led to the development of a relatively new field of medical science called regenerative medicine. Today, the research focused on stem cells has grown dramatically, which opened new pathways towards the engineering of healthy and functional tissues and organs by using only a few cells. Furthermore, regenerative medicine led to the rapid development of other medical disciplines such as transplantation medicine, where tissue-engineered skin is used in patients suffering from extensive burns; hematopoietic stem cells are used during bone marrow transplantation in patients suffering from hematologic malignancies; or tissue-engineered bladder that is grown outside the body can be replaced in patients who need bladder augmentation. The evolving role of stem cells is also developing along the line of pharmaceutical research. Differentiated engineered tissues are used for preclinical, in vitro studies of disease models during drug development.
Umbilical cord ѕtеm cells transplants have ѕuссеѕѕfullу trеаtеd mаnу diseases аnd debilitating conditions. Stem сеllѕ harvested frоm umbiliсаl соrd blооd оf a nеwbоrn bаbу can develop into аnу tуре оf оrgаn оr tiѕѕuе such аѕ liver, hеаrt and neural cells. Thеу саn аlѕо rераir tiѕѕuе and оrgаnѕ damaged bу strokes and hеаrt аttасkѕ.
Umbiliсаl соrd ѕtеm cells аrе commonly uѕеd to trеаt сhildhооd leukaemia for mаnу уеаrѕ. However, only in recent years thаt аdultѕ with lеukаеmiа have been successfully trеаtеd with trаnѕрlаntаtiоn оf umbilical соrd ѕtеm cells frоm unrеlаtеd dоnоrѕ. One саѕе iѕ thаt оf Stерhеn Sрrаguе whо wаѕ diаgnоѕеd with Chronic Myelogenous Leukemia (CML) in 1995. Chеmоthеrару only kерt саnсеr undеr соntrоl fоr 17 months. In Aрril 1997, hе wаѕ in thе finаl ѕtаgе of thе diѕеаѕе. Hе tооk раrt in a сliniсаl trial tо determine if adequate amount of соrd blооd ѕtеm cells соuld be harvested for a successful transplantation to аn аdult. In Nоvеmbеr 1997, hе undеrwеnt a cord blооd stem сеll trаnѕрlаnt аnd hаѕ bееn cancer frее fоr оvеr 20 уеаrѕ so far.
In Kоrеа, a tеаm оf rеѕеаrсhеrѕ сlаimеd tо hаvе successfully trаnѕрlаntеd umbiliсаl соrd ѕtеm сеllѕ intо the ѕрinе of a 37-уеаr оld wоmаn. The раtiеnt hаd bееn раrаlуzеd fоr 19 уеаrѕ duе to an accident. Dосtоrѕ injected them these umbilical cordѕtеm сеllѕ directly intо thе dаmаgеd роrtiоn оf hеr ѕрinе. Within only thrее wееkѕ, she bеgаn walking аѕѕiѕtеd with a wаlkеr, and tоdау she wаlkѕ wеll withоut аid.
Great promise has bееn ѕhоwn in thе trеаtmеnt оf Krаbbе Disease аnd оthеr rare lysosomal ѕtоrаgе diseases thrоugh the trаnѕрlаntаtiоn of umbilical соrd stem сеllѕ. Krabbe diѕеаѕе оссurѕ in infаntѕ, and if lеft untrеаtеd iѕ usually fаtаl within 2 уеаrѕ. Rеѕеаrсhеrѕ frоm Dukе Univеrѕitу аnd thе Univеrѕitу of Nоrth Cаrоlinа at Chapel Hill hаvе made groundbreaking progress in the trеаtmеnt оf thiѕ diѕеаѕе.
Thеir research shows that nеwbоrnѕ who receive umbiliсаl соrd stem cells trаnѕрlаntѕ while thеу are ѕtill аѕуmрtоmаtiс hаvе a muсh highеr сhаnсе of ѕurvivаl than children whо hаvе already ѕhоwn symptoms. The key iѕ tо саtсh the disease еаrlу enough tо рrеvеnt thе lоѕѕ оf сritiсаl brаin function.
Umbiliсаl cord ѕtеm сеlls transplant hаѕ bееn рrоvеn tо trеаt Lуmрhорrоlifеrаtivе diѕеаѕе. Thiѕ illness is a rаrе condition thаt affects the immunе ѕуѕtеm аnd mаkеѕ the раtiеnt unаblе to fight оff common gеrmѕ. Brоthеrѕ Blауkе and Garrett of Lоѕ Angеlеѕ, Cаlifоrniа wаѕ bоrn with this life-threatening disease. Thаnkѕ tо a соrd blооd trаnѕрlаnt, bоth bоуѕ are now living normal, hеаlthу lives.
Thаlаѕѕаеmiа iѕ a blооd diѕеаѕе in which thе bоdу produces dеfоrmеd rеd blооd сеllѕ. Frеԛuеnt blооd transfusions are nесеѕѕаrу аnd рrеviоuѕlу thе оnlу сurе wаѕ a bone mаrrоw trаnѕрlаnt. On 3 Julу 2001, a соrd blood stem сеll trаnѕрlаnt was carried out оn a 5-year оld Mаlауѕiаn Chinese boy with Thаlаѕѕаеmiа Major. Hе iѕ nоw able tо рrоduсе nоrmаl rеd blооd cells and is cured of Thаlаѕѕаеmiа Major. Bеѕidеѕ bone mаrrоw trаnѕрlаnt frоm a ѕibling, соrd blооd trаnѕрlаnt iѕ nоw a viаblе trеаtmеnt for Thаlаѕѕаеmiа.
Umbiliсаl соrd blооd from nеwbоrn babies саn be uѕеd tо рrоduсе еmbrуоniс-likе сеllѕ that саn potentially treat diseases аnd dеbilitаting соnditiоnѕ.
Rеѕеаrсhеrѕ аt thе University оf Minnеѕоtа have bееn аblе tо diffеrеntiаtе соrd blood сеllѕ intо a type of lung cell. These сеllѕ hеlр tо rераir thе аirwау in lungѕ after injurу. Thiѕ iѕ a ѕignifiсаnt diѕсоvеrу because until now the use оf brаin ѕtеm сеllѕ wаѕ thе оnlу wау to conduct viable rеѕеаrсh of this tуре. In the future, rеѕеаrсhеrѕ might bе аblе to еxаminе соrd blооd frоm bаbiеѕ with lung diѕеаѕеѕ ѕuсh as cystic fibrоѕiѕ and dеvеlор bеttеr treatments. Thеу will bе аblе tо work with umbilical соrd stem cells tо bеttеr understand lung development аnd to tеѕt nеw drugѕ.
Recent rеѕеаrсh indicates thаt mеѕеnсhуmаl ѕtеm cells оbtаinеd frоm full-term umbiliсаl соrd blood саn potentially be uѕеd to rераir tissue аnd dеvеlор bone аnd cartilage. Aѕ a result, раtiеntѕ саn rесоvеr fаѕtеr, thuѕ рrеvеnting kidney соmрliсаtiоnѕ аriѕing frоm tiѕѕuе dаmаgе. These findingѕ bring new hоре to thоѕе whо suffer frоm асutе kidney fаilurе, a lifе-thrеаtеning соnditiоn. Acute rеnаl fаilurе occurs whеn thе kidnеуѕ are unаblе to gеt rid of waste and urine. Rеѕеаrсhеrѕ in Italy trеаtеd mice with acute renal fаilurе uѕing cord blood mеѕеnсhуmаl stem cells аnd оbѕеrvеd imрrоvеd kidnеу functions. These рrеliminаrу findings ѕhоw thаt umbilical cord ѕtеm cells rеѕеаrсh оffеrѕ grеаt роtеntiаl for the treatment of асutе kidnеу failure. Hоwеvеr, mоrе rеѕеаrсh is rеԛuirеd to determine if humans would bеnеfit from mеѕеnсhуmаl stem сеllѕ.
Luрuѕ iѕ a diѕеаѕе thаt аffесtѕ mоrе thаn 1.5 milliоn Americans and half a million citizens in the European Union. It iѕ an inflammatory diѕеаѕе that аffесtѕ the ѕkin, joints аnd kidneys. Lupus can be lifе-thrеаtеning whеn it attacks major оrgаnѕ such as the kidneys. Stеm сеll trаnѕрlаnt is used tо treat раtiеntѕ with ѕеvеrе lupus. In a study оf 50 раtiеntѕ whо undеrwеnt ѕtеm сеll trаnѕрlаnt at Northwestern Hоѕрitаl in Chiсаgо, 50 percent were frее from the disease аftеr fivе years. Thе overall ѕurvivаl rate iѕ 84%. Stеm сеll trаnѕрlаntаtiоn offers a rау оf hоре tо luрuѕ ѕuffеrеrѕ whо hаvе fаilеd соnvеntiоnаl treatments.
Umbilical cord ѕtеm cells rеѕеаrсh overcomes most оf the problems аѕѕосiаtеd with еmbrуоniс ѕtеm сеll rеѕеаrсh. The latter comes undеr muсh ѕсrutinу and dеbаtе. It is hаrd to оbtаin ѕuffiсiеnt stem cells from еmbrуоѕ аnd the right tiѕѕuе tуре for a patient.
Cоrd blооd ѕtеm сеllѕ can bе produced аnd thеrе is mоrе likеlihооd оf finding the right tissue tуре givеn a birth rаtе of 100 milliоn bаbiеѕ a уеаr wоrldwidе. Umbilical cоrd ѕtеm cells science brеаkthrоughѕ will undоubtеdlу еѕсаlаtе furthеr rеѕеаrсh tо find сurе fоr whаt hаd рrеviоuѕlу bееn inсurаblе diѕеаѕеѕ оr dеbilitаting соnditiоnѕ.
With thе аdvаnсеmеnt оf stem сеll rеѕеаrсh, thе futurе of cord blооd trаnѕрlаnt lооkѕ рrоmiѕing as more оf itѕ роtеntiаl uѕеѕ are discovered. Mаnу people ѕuffеring frоm rаrе diѕеаѕеѕ аnd dеbilitаting injuries hаvе bееn аblе tо lead bеttеr quality livеѕ fоllоwing an umbilical соrd blооd ѕtеm сеll trаnѕрlаnt.
Hуdrосерhаluѕ iѕ a соnditiоn thаt causes fluid retention in thе brаin. For thiѕ rеаѕоn, thiѕ diѕеаѕе is аlѕо called “wаtеr оn thе brаin”. In Hydrocephalus, the fluid оf the brаin lеаdѕ to swelling, which iѕ mаinlу caused due tо a blосkаgе of the vеntriсlеѕ in thе brain, thе аrеа whеrе thе brain fluid drains. In оthеr words, whеn a сhild’ѕ brаin tеndѕ to ассumulаtе аn аbnоrmаl dеgrее оf сеrеbrоѕрinаl fluid, it leads tо аn immеnѕе рrеѕѕurе on thе brаin tissues. Eventually, it causes ѕwеlling of thе head in оrdеr to accommodate thе еxtrа brain fluid.
Pеdiаtriс Hydrocephalus in children iѕ thе leading fасtоr fоr реdiаtriс brаin surgeries in thе United States аnd the shocking раrt iѕ, the condition occurs in 1 in 500 kids. Thаt mаkеѕ Hуdrосерhаluѕ as соmmоn аѕ Downs ѕуndrоmе. There is no сurе fоr thе condition, аѕ оf nоw apart frоm drаining thе еxсеѕѕ fluidѕ tо rеliеvе рrеѕѕurе by surgical procedures. If remained untrеаtеd for a long timе, it mау саuѕе ѕеvеrе pain, mеntаl disabilities, brain dаmаgе and еvеn dеаth.
Grace, a baby girl wаѕ bоrn with thiѕ condition. Hеr раrеntѕ were alerted аbоut thе condition in their 20-wееk ultrasound ѕеѕѕiоn. However, doctors hаd аѕѕurеd thеm thаt thе ѕwеlling can be trеаtеd with ѕtеm сеllѕ. Seeing a rау оf hоре, Grace’s parents’ dесidеd to store аnd рrеѕеrvе the cord blood аt thе time оf Grасе’ѕ birth. Dr Jоаnnе Kurtzbеrg, the Dirесtоr оf Dukе’ѕ Pediatric Bоnе Mаrrоw аnd Transplant program lеd thе саѕе.
The FDA-approved ѕtudу invоlvеd рrеѕеrving the соrd blood at a frееzing tеmреrаturе оf -300F in a thermogenic liԛuid nitrogen frееzеr. Abоut 3-5 оz соrd blооd wаѕ tаkеn аwау frоm thе frееzеr after 90 minutеѕ. It wаѕ kерt for the infusion. In the 3-5 оz of соrd blооd, about 20 рrоgеnitоr cells, which was еxрlаinеd bу Dr Kurtzberg аѕ, “hаѕ a tеndеnсу tо diffеrеntiаtе into a ѕресifiс tуре оf cell, but iѕ аlrеаdу mоrе ѕресifiс than a ѕtеm сеll аnd iѕ рuѕhеd tо diffеrеntiаtе intо its “tаrgеt” cell.” “Sсiеnсе hаѕ уеt tо figure out hоw to separate thеѕе cells from thе other milliоnѕ оf сеllѕ”, Kurtzbеrg аddеd. The ѕurgеrу tооk 5 tо 7 minutеѕ and it wаѕ a success.
The Dukе Univеrѕitу rеѕеаrсhеrѕ have tаkеn mаnу саѕеѕ tо trеаt Hуdrосерhаluѕ. The mаin idеа iѕ to look intо the rеgеnеrаtivе imрасt оn thе brаin blооd vеѕѕеlѕ by uѕing a сhild’ѕ оwn соrd blооd ѕtеm сеllѕ, соllесtеd from thе umbiliсаl cord during birth.
The study demonstrated thаt thе nеurаl progenitor сеllѕ thаt реrfоrm a ѕресifiс function саn also repair аnу damaged tiѕѕuе.
Hypoxic-ischemic еnсерhаlораthу iѕ mаinlу саuѕеd bу oxygen deprivation, which leads to brаin dаmаgе in children. This diѕеаѕе iѕ often associated with several motor impairment and cognitive and dеvеlорmеntаl diѕruрtiоn during thе dеvеlорmеnt реriоd оf a child. However, a Dukе Univеrѕitу Mеdiсаl Center ѕtudу hаd shown thаt umbilical cord ѕtеm сеlls thеrару соuld bе bеnеfiсiаl fоr сhildrеn with hуроxiс-iѕсhеmiс еnсерhаlораthу.
Thе ѕtudу wаѕ lаunсhеd with 52 сhildrеn with ѕignѕ оf brаin dаmаgе in Jаnuаrу 2008. It tооk 9 years to соmрlеtе thе рhаѕе 1 оf the ѕtudу. Lеt’ѕ dig dеереr into thе rеѕеаrсh.
Thе infаntѕ, who were enrolled in thе ѕtudу, wеrе in thеir first 14 роѕtnаtаl dауѕ. And all оf them hаd diаgnоѕеd with mоdеrаtе tо ѕеvеrе hуроxiс-iѕсhеmiс encephalopathy. Mоrе imроrtаntlу, аll оf thеm hаvе their own umbilical соrd blооd ѕtоrеd during birth. Infаntѕ, whо met аll these сritеriа, received four infuѕiоnѕ of thеir оwn umbiliсаl cord blооd ѕtеm cells. The dоѕе wаѕ dеtеrminеd by thе quantity of соrd blood, аvаilаblе fоr thе babies. Hоwеvеr, thе dоѕе for еасh infuѕiоn wаѕ 5×10е7 cells/kg. The bаbiеѕ wеnt thrоugh fоllоw up сhесkuрѕ аftеr 4 tо 6 аnd 9 to 12 mоnthѕ. Their MRIѕ ѕhоwеd ѕignifiсаnt dеvеlорmеnt.
Anоthеr ѕtudу on thе ѕimilаr subject wаѕ рubliѕhеd in PubMed – NCBI. This ѕtudу wаѕ аlѕо bаѕеd оn аutоlоgоuѕ umbiliсаl соrd ѕtеm сеllѕ to treat hуроxiс-iѕсhеmiс еnсерhаlораthу. Children with ѕеvеrе to mоdеrаtе hуроxiс-iѕсhеmiс encephalopathy wеrе enrolled fоr thiѕ rеѕеаrсh. All оf them hаd rесеivеd on аutоlоgоuѕ umbilical cord ѕtеm сеllѕ. Thеу wеrе givеn 4 doses оf infusion. The team mоnitоrеd сеll infusion сhаrасtеriѕtiсѕ, UCB соllесtiоn, аnd pre and роѕt-infuѕiоn differences. Thеу also соmраrеd thе hоѕрitаl оutсоmеѕ with сhildrеn, whо did not hаvе available ѕtеm сеllѕ.
Aftеr 4 dоѕеѕ оf 4.3 mL infuѕiоnѕ, the сhildrеn wеrе еxаminеd in order tо mоnitоr vitаl ѕignѕ. One оf thе mаin ѕignѕ, oxygen dерrivаtiоn wаѕ nоtiсеd tо bе thе ѕаmе рrе and post-infusion in the first 48 hours. Hоwеvеr, thе оutсоmе showed ѕignifiсаnt imрrоvеmеntѕ with a ѕсоrе оf >85 later.
Sо, it’s ѕhоwn thаt сritiсаl diѕеаѕеѕ likе hypoxic-ischemic еnсерhаlораthу can bе trеаtеd with umbiliсаl соrd ѕtеm cells.
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Cras A, Farge D, Carmoi T, Lataillade J-J, Wang DD, Sun L. Update on mesenchymal umbilical cord stem cells -based therapy in lupus and scleroderma. Arthritis Res Ther. 2015;17. doi:10.1186/s13075-015-0819-7. | 2019-04-20T17:11:24Z | https://10storks.com/cord-blood/umbilical-cord-stem-cells/ |
In these 6 months, January - June 2014, most of the technological choices and many of the market choices facing the autonomous vehicle industry have been explored here.
See also: Driverless Cars 2013 for the full previous year.
2013 was a big year for driverless cars.
We hope that in 2014 at least one manufacturer will have the courage to launch its prototype driverless car without a steering wheel, perhaps substituting emergency navigational joysticks within reach of both front and rear passengers instead and creating a true driverless car.
We understand the main practical difficulty of this: highway authorities will not allow the cars on the road. (To overcome this we propose a particular village, town or city conducts a trial).
Our assessment is that there are two large future market segments in the demand for driverless cars: 1) those who want the car to take over driving tasks when they no longer wish to undertake them and to simplify them otherwise and 2) those who want the car to do all the driving. We believe that both could be of comparable size and the latter will comprise a very substantial component of new sales for auto manufacturers.
Where all occupants are passengers and not drivers it might be possible to also move to a no fault insurance system with passengers being compensated for injury and loss (as they would be when travelling on a railway) without being involved in the determination of fault.
This video of a GM driverless car estimates the additional costs of driverless technology at $5000 - $7000 per vehicle. Solely electric motive power might double this but at $10,000 - $15,000 per vehicle there will be many willing to opt for safer, cleaner, driverless cars from the outset.
We would also like to see the first cars for sale on what one might call a political timescale - three years - rather than subject to the over-cautious estimates of 2020. These technologies are ones where developed nations have first mover advantages.
It has always been possible to design a building just using two-dimensional information. In other words without ever doing a perspective or axonometric drawing, building a model or, in more recent times, a computer simulation of the volumes.
Plans, elevations and sections would suffice. This has been very much the predominant means of representing buildings for two millennia. In fact, I have the most admiration for those architects in history who achieved masterpieces using almost solely these, like Robert Adam, especially because in his case when you read from his drawings to what was built the correlation is very close whilst the correlation between perspective drawings and the reality tends to be loose.
Modern laser-assisted surveying can be either two or three dimensional. This, of course, applies to laser-assisted automated navigation, too.
Logically, architectural surfaces, principally elevations, should be much more important in position finding if you use two dimensional lidar for positional information than if you use three dimensional lidar and GPS for it. In that case, if you could build the town ab initio to accommodate driverless vehicles you could build in physical reference cues into elevations that could be used for very accurate position fixing and supplement them with street furniture that electronically fixed position too and provided supplementary navigational co-ordination data. In such a town you would not need GPS.
On the multi-lane highway, platooning commercial vehicles could be given dedicated lanes that minimised the necessity to stop or brake, to save fuel, and this might alter rules of priority. The outer lane, rather than the inner lane might be used for commercial vehicles, too.
As for bicycles, one idea currently in circulation is that each cycle would be fitted with GPS and a transmitter so that autonomous vehicles would be warned of its position, even in the dark. As cyclists might object to this, fitting autonomous vehicles with forward facing infrared sensors might be a better alternative, picking out pedestrians, cats, horses and cyclists - even in the dark.
If you make the choice that a driverless car is not going to use GPS and triangulation from mobile phone masts as navigational aids, perhaps to substantially reduce the possibility of external hacking of navigational systems, what are you left with? Prior knowledge, machine learning, inertial systems, the road and its boundaries, road markings, street furniture and the built environment.
Dealing mainly with the latter three, road markings are vital for navigation but do change from time to time for multiple reasons, or may be obscured or unreadable because it is dark, because of snow and ice, because of stationary public transport vehicles or turning articulated trucks, for instance.
Street furniture could be adapted to give very accurate positional fixes and secure information exchange, including a local cue map. This could potentially reduce the amount prior knowledge that had to be carried onboard as well as the amount of machine learning.
Buildings themselves could be designed to have physical cues, with very accurate positional coordinates, that could be read by a passing lidar and architecturally these could be designed so that they were always visible e.g. they glinted in the dark and were protected by architectural features that meant they were never obscured by snow. This would be particular useful if data exchange with street furniture was switched off.
(GPS is accurate but not quite accurate enough on its own for the continuous navigational position fixing required so the search is on for even more accurate means of getting positional fixes in everyday environments, which can work alongside GPS or not).
Why are the main road vehicles that are going to use autonomous driving technology likely to be cars at first? Why not delivery vehicles?
For many reasons but one of them is the Robocop dilemma.
You cannot programme in instructions for the robot to cut corners. The delivery van cannot mount the kerb.
(Having said that an all-electric driverless van made a very long trip indeed from Parma to Shanghai in 2010).
Driver assistance for commercial vehicles, like platooning, is a real medium term possibility but not full autonomy. The EU co-funded HAVEit programme, completed in 2011, trialled it as have Volvo for some time.
Once you quit road space and use pedestrian space or discreet lanes then shuttles and pods play a role.
This video of the Navia Cybergo shuttle explains the concept.
The best known pod system is at Heathrow Terminal 5 and is used for access to and from the business parking areas. The concept of the central control of pods probably only lends itself well to a restricted radius of operation at present. The next step for pods is fully autonomous operation. (The Heathrow pods system, engineered by British companies including Arup, uses autonomous guidance technology but is not fully autonomous because the pods are confined within delineated routes and centrally controlled).
If you want to assist a lot of pedestrians get to an historic monument without allowing a lot of taxis and other internal combustion engined vehicles to get close, with the risk that they might run into it or that their exhaust fumes will degrade the building fabric, then electric autonomous pods are an excellent if currently expensive solution. A British engineered pod system is currently being designed for Amritsar.
Mercedes-Benz appears to be very much in the school of having all the technology onboard and it is impressive. Much of it could autonomously drive the car now without waiting for 2020, the date so often touted as the start date for driverless cars going on sale. Despite the triumphal arches not looking correctly like triumphal arches I really like the graphics in these Mercedes simulation videos and isn't it good that most videos about autonomous vehicle technology appear first on independent channels and not on corporate websites? (The Draper Fisher Jurvetson model of viral communication is usually superior for new technologies).
This is in tune with what they will do for society - democratise mobility further and the way business can be conducted. After the internet and jet travel, they could constitute the most democratising technological development of a lifetime.
As you look outside and walk through parking lots and past multi-lane roads the transportation infrastructure dominates. Its a huge tax on the land.
Most cars are used only for an hour or two a day. The rest of the time, theyre parked on the street or in driveways and garages.
But if cars could drive themselves, there would be no need for most people to own them. A fleet of vehicles could operate as a personalized public transportation system, picking people up and dropping them off independently, waiting at parking lots between calls.
Theyd be cheaper and more efficient than taxi - by some calculations, theyd use half the fuel and a fifth the road space of ordinary cars and far more flexible than buses or subways.
Streets would clear, highways shrink, parking lots turn to parkland. Were not trying to fit into an existing business model. We are just on such a different planet.
Exploring potential business models has been one of the most interesting aspects of looking at driverless cars in 2013. Developing some of them further is part of the tasks and offering of our new consultancy. Their number will grow as vehicles become available.
Three strands are already clear.
First there is the approach of having the best mapping, prior knowledge, machine learning and software as exemplified by Google cars. These vehicles are developed by people recruited outside the automotive industry.
Second there is having the best automotive platform, technology supplied by component manufacturers, proving grounds and experience in automotive design as exemplified by more than one traditional car manufacturer. These vehicles are being developed by automotive engineers with long experience of bringing excellent vehicles to market.
Third there are fleet owners who see potential in replacing dial-a-ride, city centre to airport only services, taxis and even self-drive vehicles with new technology. They are the most willing to see purely electric vehicles, vehicles without steering wheels and to spread the cost of the technology across many users. They see the point of modifications to the built environment. It makes the roadspace more predictable and supportive of vehicles with no driver. (Underground railway trains can operate without drivers because the environment is so predictable). Less prior knowledge and data processing capacity need be carried onboard if street furniture and gantries exchange data with the vehicles and buildings provide positional information. These vehicles may not need to leave the urban environment. They could could be lighter and a little smaller. Fleet operators would find it easier to recharge electric vehicles than individual owners by rotating them to charging points and choosing times of the day when wholesale electricity was priced at its lowest.
Another role of the consultancy is to spot what others miss and to offer an alternative view.
This video, a little long and silent but informative, of VisLab's BRAiVE autonomous car, tested on the roads of Parma in July 2013, is notable for two things.
Firstly, right at the end, the driver gets out so no one is at the steering wheel as the car completes the final short section in front of the press cameras. This reinforces a point we make elsewhere: there is no necessity for a steering wheel or driver, at least for part of the potential market for autonomous cars.
Secondly, about 8 minutes in, the car passes a filling station. This raises ideas about why the potential market might segment and why driverless cars will require changes in the built environment.
How will an autonomous vehicle conduct itself in the difficult confines of a filling station? Can a lidar really read which is the right pump? Do not the pumps need to be modified to give visual cues to autonomous cars that use no external communication links?
If the car has an internal combustion engine someone will have to get out to fill it if the station has no attendants. The blind man or schoolchild as the sole occupant cannot be expected to do this.
So does this mean that the truly driverless car that fleet operators would be attracted to has to be electric? It would appear so.
Finally, we disagree with VisLab's contention that autonomous vehicles will mean less cars on the road. We envisage the emergence of many new two car households with perhaps an electric powered, steering wheel-less, driverless car that the children could use by themselves for the school run and an internal combustion (or hybrid) car equipped with driverless technology but also retaining all the trappings of a car used for driving pleasure.
The University of Singapore-MIT Alliance for Research and Technology (SMART) recently released this video of a Mitsuibishi car adapted to be driverless using two off the shelf lidars and a computer at a cost of $30,000 with the aim of reducing adaptation costs to $10,000 eventually.
It is good to see a small country like Singapore in the development stakes for driverless cars but is adaptation of small internal combustion engined vehicles the right route to take? The adaptation would about double the cost of the vehicle. A vehicle sharing scheme is mooted as the possible use so perhaps it could be.
For 2014 Nissan has a new proving ground entirely devoted to autonomous vehicles up and running. It has real buildings not stage set structures. Unlike Google, Nissan Autonomous Drive does not use 3D lidar, prior mapping or external connection. It does not rely on infrastructure. Currently using the all electric Leaf, it is zero emissions and was tested at up to 80kph on a Japanese highway in November. Nissan is committed to making autonomous vehicles commercially available by 2020 and introducing the autonomous technology across the range within two product cycles.
No other vehicle manufacturer is so far advanced with the combination of all electric and autonomous drive. The strapline is zero emissions, zero fatalities.
Here is a video of Japanese Prime Minister Shinzo Abe taking a ride in an Autonomous Drive car on 9 November 2013.
With robotics, academic publications can precede the reality on the road as one researcher builds on the achievements of another.
With business models for electric and autonomous vehicles something of the opposite is true. Academic studies follow the reality, they do not lead it, but this tends to be true for business models in most non-mature sectors.
If one 'buys in' a model, especially from a different industry, there is far too much that could disrupt it.
For example, the majority of the players in autonomous vehicle development are leaning towards having all navigational capabilities onboard and are leaving vehicle-to-vehicle (v-to-v) capabilities till later.
A week ago, though, the US Transportation Secretary, Anthony Foxx, said that v-to-v technology could soon be made mandatory and that it could help drivers avoid 70-80% of crashes. A model that inflexibly disregarded v-to-v might then have problems in a major market.
This DSRC v-to-v technology is very standards dependent. It works using GPS and wireless with dedicated spectrum with a range of 300-500m. Having nominally looked after the writing of about 2000 European standards (from a British point of view, in the construction sector) in the past I am well aware that open European standards usually take at least five years to write so unless Europe adopted any future American standards faster through the ISO/IEC route it would find itself behind on where it saw itself on v-to-v.
V-to-v does not deliver a driverless outcome - rather it supplies advanced driver aids. It might be extended to include all legacy vehicles, motorcycles, bicycles and pedestrians.
The point for now, though, is that most of the business models will have to be left to the practitioners and entrepreneurs as the only groups of people able to move swiftly enough. If regulations emerge they will work out how to accommodate them.
Those who have conceptualized the U.S. version of v-to-v technology have in practice also included c-to-v, p-to-v and s-to-v within the grand scheme of things. Potentially, cycles and pedestrians are to carry GPS locators and transmitters - but will they?
Toyota, who have one foot clearly in the v-to-v camp, include i-to-v in the mix and so put out a fine conceptual show in terms of intelligent transport systems.
Toyota add radar, lane guidance and road surface technology into the package, too, and these of course bring one close to technologies one might have on driverless cars.
Can v-to-v deliver everything, though?
As part of our research into sightlines for b-to-v we took these two photos at the same junction separated by about three seconds. In fact, a normal street scene with everyone behaving safely.
The dog is on a lead and the vehicle is progressing slowly.
Would a dog walker always carry a GPS device? Would a dog?
An articulated vehicle like this (pulling three carriages) cannot change lane or decelerate fast.
Will all legacy vehicles be retrofitted with v-to-v?
Here, b-to-v might be able to warn vehicles of a hazard but not outside a built up area.
No company is going to dominate in these technologies for the forseeable future because in the means of communication to vehicles alone there are a growing number of options.
[2 June 2014 An objection could be raised that building-to-vehicle communication using LiFi is easier than the reverse, vehicle-to-building, but that fact can also be used to enhance the security of data transfer. At its simplest, only when your car's headlights' LEDs are casting light at the garage door or the drive's gates, where there is a receiving sensor, does the command go out to open these and the other data packets you wish to get transfered to the building are sent (for instance, the latest version of the spreadsheet you have been working on). Because data transmission is limited geographically and in duration it is intrinsically more secure. There is no reason whilst when on the move transmission should not be limited to when a secure receiver, like a modified set of traffic lights, is in sight.
Only relatively few receivers will be found on or in each building which is why they must be designed to integrate architecturally].
In concentrating on driverless vehicles we should not overlook progress with purely electric vehicles (EVs).
Toyota is going to bring my favourite concept EV, the i-Road, to the City of Grenoble, en masse, at the end 2014 and together with EDF is likely to demonstrate a clever use of electricity and integration of EVs into an urban transport network.
Turning to the challengers, Tesla is to build a gigafactory that will built so many lithium ion battery packs that it will halve their cost and double worldwide production. Cells and batteries with capacity of 85GWh will be produced annually. The factory is likely to be somewhere hot like Arizona where the batteries can be charged initially by solar power and wind power, and presumably re-charged if returned to the factory. The number of batteries produced will also allow for storage of significant quantities of electricity by the solar power industry to which some will be sold.
Tesla also intends to progressively ramp up production of cars to half a million a year.
Given range anxiety is a brake on the sale of EVs, Tesla has already established a network of Supercharger stations where a Tesla vehicle can be recharged in 30 minutes. This permits transcontinental travel in the U.S.
The good thing about entrepreneurship is that it does not readily let those who say something cannot be done stand in the way.
With Toyota and Tesla making the running in the past few weeks, this week it was the turn of government in Britain, central and local, to show it was serious about the new technologies.
On Sunday evening the Prime Minister mentioned 5G at a consumer electronics show in Germany, a technology (LiFi) we have been analysing at the consultancy for use with autonomous vehicles (Mercedes has already used it in a limited fashion), especially in relation to building-to-vehicle communications.
On Wednesday came news that Transport for London would be getting a version of Paris' Autolib' electric car scheme (perhaps the scheme of its type with the best business model at present) and more electric charging points.
So unless technologies stay in their own silos (a bit of a risk) it looks like the new automotive technologies are rolling on a green light.
Straying a little from the main subject of driverless cars, I am now a little more confident that standardisation can respond to international incompatibilities in less than five years as the recent recasting of the Vienna Agreement, an agreement that governs, for instance, whether European standard body CEN or international standard body ISO takes the lead, modifies the ground rules.
There are already standards like ISO 17263:2012 (which relates to automatic vehicle and equipment identification e.g. automatically identifying the container on a vehicle) that are intended for use with DSRC interfaces, e.g. 5.9 GHz frequency, rather than cellular or satellite systems.
The ETSI telecommunications standards body also produces standards on a much more accelerated timescale and has produced some already. DSRC 5.9 GHz is known as ITS-G5 in Europe.
A road corridor between Rotterdam and Vienna using Cooperative Intelligent Transport Systems (C-ITS) based on V2X (or C2X or car2x - much the same thing) communications - meaning here communications between infrastructure and vehicles - will be using ETSI's ITS-G5 (WLANN standard IEEE802.11p) on the 5.9 GHz frequency (in effect local WiFi on a dedicated frequency) or cellular 3G and 4G from 2015.
So both new telematics infrastructure and vehicles equipped with the technology to relate to it will first appear in 2015 - but it will take some time before these technologies converge with onboard driverless cars technologies.
Very rapid data exchange is necessary if it is used for navigation on the highway. 3G has a latency problem, 4G can be low latency but requires cellular operators to give vehicle related traffic priority, 5.9 GHz is low latency.
The range of ITS-G5, up to 800m, would give vehicles a extended 'view' forward relative to lidar and radar and the ability to know what is round corners or otherwise unseen and communicate with infrastructure.
Nonetheless, all-onboard driverless navigation technology would appear to reduce road accidents more than ITS.
Toyota is working on collaborative measures and advanced driving support systems not dissimilar to the Cooperative Intelligent Transport Systems being developed in Europe.
They use front facing millimetre wave radar, onboard cameras and maps, cooperative cruise control through v-to-v, and are described in this video.
They do not replace the driver and there is no lidar but they do use automated technologies in many driving situations. Lane trace control, for instance, uses automated steering control based on current technologies.
These leave quite a lot of potential for later convergence with driverless technologies.
If the technology were available but more expensive where would you consider using LiFi now for position fixing and communications? In a deep mine for a start where you would not get a GPS signal and unreliable radio communications. The LEDs could provide light, too. Reflected light can carry the data signal so where a wall of rock might block a radio signal the slightest opening might let the light through. Automated vehicles using lasers will soon be doing mining and whilst we have been looking in awe at the half a million and more miles self-driving Google cars have driven, 2.3 million kilometres have been covered by driverless haul trucks in mining environments.
[How LiFi might be used in the more predictable context of an office: link to illustration].
The CAR 2 CAR Communications Consortium (C2C CC) is the principal organisation co-ordinating technical input for developing standards for co-operative intelligent transport systems (C-ITS) in Europe.
It aims to increase transport safety and efficiency by means of C-ITS.
This it will do by, amongst other things, developing open European standards in ETSI and CEN and charting a course for the deployment of C-ITS which uses V2V and V2I technologies.
For the past two weeks members of the European standards body CEN have been considering whether it should co-operate with American standards body ANSI on driverless technology standards. If V2V and V2I technologies become mandatory for all new vehicles then driverless vehicles will have to them too and there would be scope for how navigation is controlled to conflict as between C-ITS and driverless technologies.
In addition, standardisation can slow up the rate of innovation which developers of autonomous technologies would not want to see.
A mandate from the European Commission has been used to develop a set of standards in ETSI and CEN that give effect to C-ITS and the vehicle manufacturers within C2C CC have committed to introduce C-ITS from 2015.
It is a legitimate commercial decision for vehicle manufacturers to make as to whether in the first instance they prefer to go for V2V, driverless technologies or await whichever technologies can be bought off the shelf from component suppliers and some dislike the prospect of any legislative dictat as to what they adopt.
C2C CC sees C-ITS offering advanced driver assistance, increased traffic efficiency and communication and information services.
The infrastructure will communicate with vehicles using WLAN on the 5.9GHz band of frequencies so both the infrastructure and each vehicle will serve as a WLAN stations meaning that vehicles can pass forward information to other vehicles within range.
Driverless vehicles, by using lidar, optical cameras and, if desired, radar and infrared, too, would be able to identify most of the hazards identified by C-ITS on their own, add some more and also provide superior navigation and safety capabilities to human drivers.
What the large majority of driverless car videos do not usually show to date is the car driving itself without passengers.
This 2014 Audi A7 video is going to start a trend of cinematography which will be a boon to detective drama film-makers. Now as the good cop gets distracted by something in the car park and opens fire on it, it does not have to be something improbable like a door swinging in the wind but it can be a driverless car moving off to a rendezvous. Some have already called it 'ghost driving'. Much more scary for the viewer.
Here it is called 'piloted parking' when really there is no human pilot.
This parking takes place entirely on private land, though, so it could be a technology available soon in private car parks with the right sensor at the entrance.
This is because there is requirement for a driver to be at the wheel on the public highway in most U.S. states and in EU countries with the notable exception of the U.K. and Spain.
A car parking itself in a private car park is not on the public highway.
The requirement to have the driver at the wheel nowadays really only offers the type of assurance that having a man carrying a red flag in front of a motor vehicle did more than a century before.
Volvo also demonstrates autonomous parking and, more importantly, self-driving on the roads of Gothenberg in a video released today.
Google has now done 700,000 miles in its self-driving cars. This newly released video demonstrates some concepts relating to onboard prior knowledge, standardised responses and machine learning. How the cars address some well-known hazards - road works, railway crossings, lane obstructions, pedestrians at junctions and cyclists - in a safe manner is shown.
Getting a car to go round a circuit autonomously is not one of the most complex tasks that faces researchers as the machine learning involved can be kept within reasonable bounds and there is not too much that is unpredictable.
As Jeremy Clarkson has been so much in the news in the past few days, here is a clip of him being taken for a ride in a BMW 330i in 2011.
Europe: Mercedes, Volvo, VW Audi Group, BMW, Continental, Valeo.
The telecoms industry and the data processing industry will also be large players once the cars achieve volume sales.
The lists are not exhaustive and the technologies overlap in capabilities so considerable scope exists for market choice.
Will there be a losing form of road transport with the advent of driverless cars?
Not cars. There will be more of them but using less total roadspace.
Not buses or guided buses.
The answer would, at a guess, be trams. These are like trains on the roads but with next to no ability to change course and requiring constant driver vigilance.
Driverless cars, and larger vehicles moving together as roadtrains, reduce or remove the workload on drivers and have very much more inherent flexibility. They will be safer.
Google is probably the leader in developing digital maps for road navigation but European ITS will need maps too and there is a proposal before one of the European standards bodies to develop a Technical Specification for what is being called a spatial data exchange framework.
It builds on preliminary work undertaken by the EU funded ROSATTE project.
It is important that digital maps for ITS are highly up to date for attributes and geometry that are critical in terms of safety and efficiency. The map providers cannot easily keep their maps up to date for such attributes, while up-to-date maps are a key asset for a wide range of ITS applications in the areas of navigation, driver assistance, cooperative driving and automated driving.
The solution is to retrieve the information on changes from the road authorities. As they create the changes, they are the most efficient and immediate source for such information.
This imposes considerable duties on road authorities in a budget constrained period and driverless technologies that provide the same or greater levels of safety whilst keeping all navigational capabilities onboard, including updating their onboard prior knowledge, on the face of it have a competitive advantage, including in terms of time, though not necessarily in terms of capital cost. (A driverless car like the Nissan Autonomous Drive vehicle might cost more to buy but impose less costs on road authorities than ITS equipped vehicles).
Driverless technologies that leverage network connectivity, as might the Google cars, would be able to dynamically update each others maps.
3) Driverless technology with network assisted onboard navigational capability.
So at last Worldreviews is to get what it has been pushing for. Google is to build 200 two-seater driverless cars without steering wheels in Detroit for use near its HQ in Mountain View, California.
They will not have brake pedals or accelerator pedals either, only a stop-start button.
Were Google's intention with its latest car to displace traditional vehicle manufacturers it would be on a sticky wicket.
Rather we suspect that Google shares Worldreviews' view that there is a new car-travelling demographic to be reached.
Its video suggests as much: mothers with children that need attending to, the old, the blind, the disabled and those wanting to travel in a space saving vehicle.
Like a lot of disruptive technology, it does not initially exceed the capabilities of preceding technology but is good enough and with the potential to be quite a lot cheaper.
At Worldreviews, we do not think that the autonomous technologies will reach their full potential without modifications to the built environment.
The streets of Mountain View are not the ideal testing place for speed limited vehicles (maximum speed 25mph) with lesser crash resistance than some larger vehicles but it is probably the best available being close to Google HQ. As we said last year excess development money should go into crash resistance. F1 cockpits are tiny but have immense structural integrity.
Likewise the broad pedestrian pavements of Milton Keynes may not be the ideal testing place for autonomous technology pods but nonetheless probably the best available in the UK.
We would urge the UK authorities to press ahead with finding locations where other types of autonomous vehicles can be trialled with light modifications to the infrastructure and the built environment.
The shape of this market may well be defined by those who get the best visions trialled early.
The appearance soon of vehicles without steering wheels in Mountain View and Milton Keynes will be an immense step forward in gaining acceptance for driverless cars and will bring about a realisation that they are safe and could eliminate 90% of road accidents. To do this the physical environment in which they operate may need to be modified.
The Google cars in Mountain View will be dependant on Google maps supplemented by very precise information gathered by the lidars and other information gathering equipment of the previous generation of driverless cars and the further data that will come from this new generation of cars.
Google and a few others have a genuine head start in maps. Other manufacturers may lean towards advanced machine learning.
In the Volvo trial in Gothenberg updated maps are supplied by radio link from Volvo HQ.
At Worldreviews we are in favour of a concept of our own which we are calling local cue maps supplied by the infrastructure to passing driverless cars. It avoids the necessity of one organisation mapping the whole world or at least a whole country and third party providers could maps for different locations. It also avoids the necessity of having a great deal of onboard machine learning capability. | 2019-04-19T12:32:59Z | http://worldreviews.com/Driverless_Cars_2014.htm |
This post is brought to you by Pier 1. While this is a sponsored opportunity, all content and opinions expressed here are my own.
Back in October when we bought our house, we were not sure we liked the exterior color and planned on painting it.
Now that we have lived in the house for 5 months, we have come to embrace the exterior color. We have found that the teal green adds to the relaxing casual vibe of a lake house. It also camouflages a lot of the ickies…like mildew. :-) When I look around at the other lighter and more neutral color homes around the lake, I can see signs of mildew on them. With the teal, it is hidden, it is there…you just don’t see it. That is one big reason we decided to keep the color, less power washing, more time spent relaxing and having fun.
You know that I love the color turquoise, well, I have found that it goes very nicely with the teal green. I am now enjoying finding items to decorate the deck that will accent the teal exterior.
…planters that line the deck filled with pansies that have survived all winter long.
I like all of it, but what I needed to get and get them pronto… was doormats. 4 of them, one in front of each of the sliding glass doors where we enter from the lake side of the house. With our yard being framed on two sides with pine trees, a lot of dirt, leaves and pine straw comes in with us on our shoes or our bare feet. Not to mention, pollen. That was crazy awful for about 2 weeks. It left a thick yellow layer on everything and even after washing it off, it was back within hours.
Good doormats to wipe the soles of our shoes to lessen what we bring into the house were needed. I wanted nice doormats that were not $80 a piece, but that were stylish not just utilitarian, so I would not have to be sweeping the floors twice a day.
The doormats have become my inspiration for my outdoor decorating color scheme.
I don’t have Hunter boots that you see used on lots of blogs to stage a mudroom photo, but I now have this ceramic turquoise Rain Boot Planter right outside my studioffice door where I can see it all the time. Isn’t it cute? I planted white Diamond Delight (euphorbia graminea) in it. It likes full to partial sun.
I also added this set of easy-to-move-around side tables right outside my studioffice door. We have lots of outdoor seating, but were lacking in small tables on which to rest a drink or book. I planted Verbena in the Farmhouse Vase and Osteospermums in the ceramic planters that I already had. The tables have a label on them that says “inside/outside”. I placed them under the eave to protect them a bit when it rains. I plan to move them around as needed when we are entertaining or even set one by a chair on another part of the deck.
Another thing the deck was lacking was an exterior light by the door into my studioffice. Although it is beautiful on a starry night, it can also get rather dark at night and I don’t want big lights that will attract bugs.
I found the next best thing…A flat backed metal wall lantern and an LED Glass Flame Garden stake light that is powered by the sun. I put it in a planter.
….I filled the wall lantern with LED Candles that you can set on a timer or use a remote to turn them on and off.
I like the remote. I keep it on my desk so all I have to do is pick it up as I head outside.
A simple press of the ON button and the candles go on. Press OFF and like magic, they go off again. I don’t have to open the lantern door or even touch the candles to turn them on. You can also set them on timer mode. Ingenious!!! It even comes with a battery. :-) The light is very soft, but enough so I can see where I am going while not attracting bugs.
but I know I will be moving things around more as I see how we use the deck now that the warm weather is here.
What accent colors do you use around the exterior of your house? If you would like to add some, I have a $100 Pier 1 gift card to give away to one lucky reader.
This post is sponsored by Pier 1. Thank you so much for supporting the sponsors that make In My Own Style possible. All content and opinions are my own.
Diane – I wanted the same rain boot planter you have on your deck. I kept waiting for them to go on sale at Pier1, but failed to check weekly. Now I am bummed that I just didn’t purchase it because it looks so great on your deck. I was also thinking of using it as an umbrella stand.
Hi Lisa – I love that rain boot planter and so did my daughter. When she was home two weeks ago to load up all the hand-me-down furniture we had since she bought her first house. When she saw that I had not placed a new plant in it yet for summer, she asked if she could have it for her new house. I happily gave it to her and told her exactly what you said…in the winter she could make it into an umbrella stand. Have you done a search on Google to see if someone is selling one or maybe one like it? I bet you can find something similar. Thanks for reading my blog.
Diane, I think embracing your lake home’s color is exactly right. Love the addition of turquoise and the tables.
I especially love your LED lighting solutions. The carriage light, in particular, is so handsome. I love following along as you and Ed make your new home your own. Love everything you’ve done thus far. I voted for your fireplace makeover because it is truly striking and bears no resemblance at all to your starting point.
It took a little while for me to get used to the color scheme on the outside of our home, too. Painted nearly ten years ago, in shades of taupe, with accents of black & a swipe of mustard, my first impulse was, “Oh no, this has got to go.” But then there was a roof to repair & a toilet to replace & window coverings throughout that, well, let’s just say the word “nasty” wouldn’t cover it. Then winter set in & I decided we just HAD to have fireplace. Now it’s spring & the mocha-colored awnings are unfurled & our dusty-green Martha Stewart patio collection is artfully arranged under the lilacs. Not too far away in the distance is a magnificent backdrop of snowcapped violet peaks & rolling meadows of brilliant green, dotted with brilliant wild flower blossoms of periwinkle, magenta & gold. Suddenly, my somewhat lackluster exterior has become the perfect neutral foil to balance the riotous display surrounding it. And then there’s the fact that our little home is on wheels & next month our backdrop will change to the myriad shades of teal & aqua & silvery blue along the driftwood-strewn beaches of the northern Pacific & I’m thinking I’m going to be OK with our dully but timeless motorhome paint scheme.
Hi Kathleen – I love that your house is on wheels. :-) I would love to live on the road for a few years or more and travel all through the US and Canada. What an wonderful adventure. I hope your next stop…on the beaches of the NW Pacific is wonderful. Keep an eye out for glass fishing floats. I hear that is the best place to find them.
Ooops! Posted too soon! I wanted to mention how excited I was to see the battery candles used outdoors! What an awesome idea, and perfect for my back patio AND front porch (I already have five lanterns!) THANKS!
Our home is a multi-colored “old-look” brick: grey, white, black, “very pale/muted terra cotta” … Recently we had the small areas of wood trim and garage door painted a color I thought I had matched to the mortar ~ supposedly a grey concrete color, but it turned out too green for my husband’s taste! I was out of town when it was done, he called with worry, and I suggested he stop them, but he didn’t want to do that!
So, we are stuck with it for now: it is too expensive to repaint this quickly! I would love to have actual, corrected GREY wood/trim, and black on the four entry doors!
Love the inspiration you share!
Our home is a cream color with reddish shutters. We haven’t changed anything about it since moving in. I’d love a darker color!
Well, sadly I live in an apartment right now :) But if I had my choice, I’d love to have a variety of pops of cooler like maybe robin egg blue with some red. But that might be too ambitious!
Our house is a muted yellow that had weathered blue green shutters and a white door. The shutter colors made the house look greenish – yuck! So recently we had the house power washed, we painted the shutters black and the front door red and added a black metal wall mounted star on a blank wall along the front entry. What a difference and in our budget. Thanks for the inspiration to start making our home and re decorating “our own style”. Love following your blog.
Our house has natural redwood shingles with terracotta trim. Thank you for offering the Pier 1 gift card.
Our home is a boring tan with chocolate shutters that have been fading and now look like poop, plus they are bleeding down our house now. Powerwashing will be taking place SOON, plus we are going to paint our shutters navy blue. Would love some gorgeous planter boots at my back door! :) Love your blog, Diane!
Our house has tan colored siding. Would love to buy some accessories to jazz it up a bit!
I live in a patio apartment (one level). The exterior is a tannish color. I love your three grouped tables. Your outdoors is just gorgeous!
Our house is a dark taupe with oxford brown trim, enhanced by river rock and cedar shingles!
Our new to us house is a brownish/beige brick. I am trying to decide what colors to use on the outside near the screened porch and am hoping to use a bright yellow and sage green. We shall see how that looks.
My house is red brick with black shutters, white trim and green doors. Love your lake home.
Gorgeous! The colors are so vibrant! The tables are a beautiful backdrop for your pink potted plants! Those boots are adorable! Pier 1 has gorgeous colors and you’ve done an amazing job putting it all together! What a view! I have to do something with my back yard as it backs up into the woods, so I need color! Everything is green!
The color of my house is beige with white trim and black accents, its surrounded by lush green trees and a cedar sunrise warm toned fence. I need color! You did an amazing job with all the colors and things you got from Pier 1, just beautiful! ?
I love your turquoise accents and the info about the LED candles because I have a project in mind that they would be perfect for. My house is currently a pinkish tan with a burgundy front door and accents. However, I want to repaint soon (maybe in the fall) and want to paint the house taupe with the front door and accents in some sort of blue/green like aqua or turquoise. That door mat would be perfect except coir isn’t bare-foot friendly (but maybe just have to make sure to wear flip flops when stepping outside). Thanks for the opportunity to go shopping at Pier 1.
I love the LED lights – never thought of using them outside – duh! Thanks!
I live in a 1940 stone home with black shutters. Last year I painted my front door bright Spanish Olive after having it red for many years. I also use a lot of bright olive green for accents in my home.
Your outdoor living is beautiful. My color of my home is white. It could use some pop of color for sure.
color that is on your house. What is the color name of it?
Your pretty touches on your deck are perfect–I LOVE those tables! My outdoor decor colors are aquas, turquoise & chartreuse green. Pier-1 is a great source for those colors.
Hello! My house has light taupe siding. I decorate my deck and front porch with red, turquoise, and lime green. I fill them with plants and flowers. Love your new tables. Pier One is one of my favorite stores. Thanks for sponsoring this.
My house is grayish blue with white trim and navy blue shutters. My yard has a lot of rose bushes in various colors for my pops of color.
Our exterior is a neutral color, so we accent with annual and perennial flowers. Our back porch accent colors are turquoise and light brown.
My house is light grey with white shutters and a fuchsia front door. I also bring in lime green and turquoise as the other accent colors here and there. Love those tables from Pier 1.
Our house is a tiny, tan and dark brown ranch built in 1978. We love it, and love fixing it up on a small budget!
Our “new to us” home is all done with tan brick, and taupe aluminum window frames (obviously, we need some color accents). Rather bland right now, but with some pops of color it will be beautiful (and very low maintenance….NO painting, a wonderful thing as we get older!).
The front of my house is terra cotta colored brick with dark brown shutters.
Our house is red brick, and our door and shutters are a soft grayish-green. We like it because it’s muted and looks “nature-y.” I love the side tables you chose!
My house is light gray and I use turquoise as an accent color. It looks beautiful against all the green of the trees and lawn. I just bought 2 huge planters in turquoise to flank my front porch steps and can’t wait to put flowers In them but I have to wait for warmer weather.
Our house is a soft brown.
The exterior is a khaki color!
Our home is taupe with cream accents. A blank state actually. At the moment l use a lot of green accents on planters and such. My annuals are always a riot of every color( there are just so many to choose from!) thanks for the chance to win.
Where did you get the mirrored lantern box hanging outside from? Your led candles are inside it. I’m searching and can’t find it.
The exterior of my house is mainly sage green vinyl siding with a few red bricks on lower half in front. I truly adore your home.
My house is green with cream trim. Right now my accent color is in spring and summer flowers. I have deep pink rhododendron, sweet william, and hanging baskets of new guinea impatiens. I love Pier One!!!
Our home is a medium gray tone with white trim. I love to add pops of red – geraniums, roses, and bright pillows on my white bench – even our front door is painted bright red! Thank you for all the ways your blog inspires me to be more creative in my home!
Cream stucco with sage trim and a white door. I love the remote for the candles!
My house is pale yellow with a stone front.
Our exterior is light gray with bright teal or what you call Turqoise trim. We use the bright teal and some orange to accent with. Love those table!
Pale pink! It’s fun and playful here in sunny Florida!
My house is tan with black shutters and a bright red door! And I use every color to accent and LOVE it that way… I just love color! But your view of the lake… swoon!
Savannah wicker siding with black shutters and door.
Brown and gray brick with cream trim and copper accents.
Our house is a neutral beige with multicolor brick which means I have lots of color choices to use as accents on shutters and doors. As a native Columbian I’m so glad you chose the beautiful state of SC for your new home!
our house is cream w/a brown barrel tile roof that has streaks of black thru it and white windows frames. The patios and driveway are natural colored stone-look in creams and Browns. Our lagoon style swimming pool is black marcite and our waterway has deep water that appears black. I use white wicker furniture w/big blue mounted sailfish on the walls and pops of chartreuse green and cobalt blue.
Love the lake home..so tranquil. The color of my home is creamy white white pure white shutters and a deep green door…..it’s very pretty and I love it!
Our house is brick with tan siding and green shutters.
My home is brown outside.
Our house is part red brick and part tan colored siding.
My house is pale yellow with a green roof, white trim around windows and doors, I decorate my deck with greens and pale blues and a lot of pink and yellow and blue flowers.
My home is tan with white trim. For the pop of color, I usually stick with red.
The exterior color of my home is taupe and brown – not the colors I would have preferred, but I bought the house new and it wasn’t in my budget to change them! I accent with flower colors of blue, orange, and red.
Diane, we have a very neutral creamy tan exterior. I need to use planters and such to add pops of color!
Our lake house is tan with dark red trim. I love your deck and the wall lantern!
My house is new and has light brown siding that has still not been painted:( Hoping to get it painted this summer. We are thinking about a hunter green color.
The base color on my house is called “Lost Summit”. It is a dark taupe. The trim is off an off white called “Sandstone”. My accent color is red because I have beautiful red Knockout Roses growing in my flower beds.
We’re buying our first home after renting for the 19 years we’ve been married. The house is dark gray with white trim and a charcoal front door. I’m planning on painting the door red and adding some red and blue pots to the porch.
Our home is taupe with teal shutters. I love your color, I bet it stands out in a good way! Love the flat back lantern and candles, so clever!
I just repainted my exterior and the base color is Coral Gables Biltmore which is a nice latte color. I love it!! The trim is Dark Walnut. Another beautiful color! Love the teal green!
My home is a 1925 Craftsman with newly painted dark gray wooden siding, trimmed in bright white with black screens and black doors. I am leaning towards aqua/teal/lilac accessories. Still deciding so that might change!
My home is brick with green shutters and beige siding. We replaced our green storm door with a black one and now I want to make more color changes. One thing leads to another…. We always seem to do everything piece meal mostly due to budget, but it drives me crazy sometimes trying to fit it all together! I am ready for some color changes on the exterior for sure.
I’m in South Florida and this year orange is my color to POP! I just got some new cushions for our patio furniture in a great tropical floral print and I think adding orange to the lanai will be just what we need this summer to keep cool! Thanks for sharing this giveaway with us!
My house is brick with dark green accents. I love to decorate with bright pinks!
Brick colonial with a black door and black shutters. Love your homes!
My home is beige with white trim and my favorite popping color is red. I love what you have done with your lakeside home and was just telling my husband about your move, your new mantel and your uplifting blog! Have you seen the pedal boats that look a lot like your kayak? Does anyone on your lake have that type of boat – that you’ve seen? I can hardly believe you are in your home 5 months already!
Hi Sue – Yes, I have seen the pedal kayaks and paddle boards. I want the pedal paddle board. It is made by Hobie. I have not seen either on the lake yet, but it is still early in the season. I am saving up for the pedal paddle board. What a great way to get leg exercise right on the water. It is a little pricey, $2,500+ Maybe by the time I save up, a less expensive version will be made.
My home is SW French Gray but I have a bright yellow door!
My stucco home is white with brown trim. I use terra cotta pottery as an accent color throughout the property. There are over 30 pots with roses, dalihas, and succulents adding to the color scheme. Love your lantern and candle idea for a porch light when needed.
We just painted ours a beautiful sage green! Added all new white windows and trim with a pumpkin colored door. Absolutely love it even though people still look at us funny when we tell them we painted the brick green! Love your house and all the updates you’re doing and boy what a view!!
I like to use pops of yellow and white in the back deck and garden. It really brightens up all that expanse of green!
My house is a light brick with cream siding, a mint green door and matching shutters.
The exterior of my house is natural white with rust colored stone.
I have been reading your mail for some time now.We are thinking of buying a house soon.People like you are really encouraging people like me out here. Thanks for keep coming with nice and practical ideas.
Our house is tan and black. It really needs pops of accent color like red or something.
Our house is all brick on the outside. I hope to do a white wash in the future, but for now I’m doing lots of greens and blues to offset all that red.
Diane, I LOVE your home!! The landscaping is beautiful! I love the picture with the pink flowers and the lake. I love that you have embraced your exterior color. My Lakehouse has a cedar cinnamon color which I also had to embrace. I use a lot of planters with Ferns which I am obsessed! No fuss no muss! Also I use planters on my railings! It is truly my happy place 2 1/2 weeks I will be heading North to Maine! Yippee!
I’m in the process of painting the red bricks. So far I have some of the primer down and it’s pistachio ice cream green (hoping my neighbors don’t freak out), but the final color will be a dark, almost grey, green with black doors and shutters. If it would ever stop raining we could finish.
We have a two story home with red brick on the lower and the upper is painted Ramie by Sherwin Williams. It’s a tan color. I would love to jazz it up more with pops of color when the flowers are not in bloom.
Our home has beautiful brick in soft shades of red/pink. Doesn’t sound pretty but it is! The back of the house is white siding that plays well with the pool water which is turquoise. I use light teal and green pillows and cushions to accent patio furniture.
Our home is white. Blah. But we had painted our front door a vibrant blue this fall and it really pops!
Love your turquoise! I have it in my rear porch with a a touch of royal blue and lime. Looks cool and and refreshing, goes with my unifying blue throughout the interior, and allowed me to use all of my blue pots from our previous home.
We have a red brick and soft gold siding Craftsman-style home with a nice front porch and a rich red front door (I painted it with a $4 sample can of exterior satin enamel from Home Depot!) – accessories to tie it all together. Lots of hand-me-down succulents in repurposed and repainted pots on the front porch. Ragged or painted them all with dark red-brownish paint (another sample) and used a copper metallic rub-on wax from the art store to make them look uniform though different sizes and shapes.
We have a California Bungalow built in 1918. It is painted in a very soft, light yellow. Windows have white trim with doors and screens in red. I love it! I use lots of red in outdoor furniture and flowers.
My house is light brown.
My home is orange, brown, red brick with light tan siding. I accent with dark bronze and pops of yellow.
Love your new home Diane and love reading your posts!
we live in a small cottage on an island, after leaving our old home of 26-years . the cottage is blue…the color of water and sky…with white trim. blue is about my least favorite color, but living here for the past five years, and now faced with the rather bleak prospects of having to find another rental…i must say that blue cottages with white trim are my favorite. i only hope we will be as lucky with the next house we rent…when we find it. i have loved my life in this little blue cottage and find myself already homesick for it. thank you for this generous giveaway.
I have a waterview of the Chesapeake Bay in MD, so I mostly decorate with seaglass colors. With my home’s gray exterior, I use aqua, cobalt and lime green the most. The view from your new home is lovely!
We have a waterview of the Chesapeake Bay in MD, so I decorate with all different blues and seaglass colors outside. With my home’s gray exterior, I mostly use aqua, cobalt and lime green. You have a lovely view at your new home!!
The exterior of our Florida home is tan with cream trim. Sounds a little mild but with palm trees & tropical landscaping, we love it. Love your colors & how cheerful they are!
Our home is gray brick with gray/moss trim. The front door is sanded and ready to be painted a dark aqua. Your lake house is so inviting. You will love it this summer!
My home is taupe with deep blue doors and shutters. My pop of color is yellow.
Our townhouse is red brick with a chocolate brown door. I am looking for a way to add color to my front stoop. My favorite colors to decorate with are orange and teal.
It is red brick with tan siding.
Our home is khaki tan with cream trim and a black door and roof. I use red as my pop of color.
My home has beige siding with light brown shingles and white trim around doors and windows. My front door and garden shed doors are painted a lovely raspberry red.
I really like the flat back lantern. A few of those would be perfect on my pergola.
I like my home. I find it very restful. The only thing that would make it better is a water view …or a meadow…..or woods…….ha! ha! I live in a subdivision, so the neighbors are close but they are quiet, friendly people.
The house we will be moving into is tree bark brown with lots of peeling going on. We will repaint it to be a charcoal color with a cherry red door.
My house is tan with green shutters. I really like to add reds and yellows for a pop of color!
My home is buff yellow with buff brick. I also have used various shades of turquoise as an accent, but it could use some more details. Love the mosaic tables and plants.
I have a white stucco house with teal trim – and turquoise and lime are my patio accent colors!
My house is more of the rustic colors of brown, terra cotta and tan. However, I am working on brightening up and wanting to use some beach colors such as blues, teals and whites. I am starting on the inside and will be working my way to the outside of the house….LOL….living in Oklahoma, turning my house into the “beach” may be as close as I get to it….LOL.
My house is barn red!
My house is cedar lap siding and it needed to be painted badly! We use a solid stain from Home Depot. We were going to change the color but chickened out. Then when we got to Home Depot, our color was discontinued. We went with Adobe Brown, a little darker than the original Chamois. Because we waited so long to paint, it took a lot more of the solid stain than the last time. Lesson learned, don’t wait so long! Love the new color!
My house is white with black and burgundy trim.
I would love to be your neighbor! How relaxing it looks to live where you live! Our home is red brick and some white stone accents and white painted trim. Love the spring things at pier one!
My home has natural cedar siding with soft gray trim and a teal blue front door. I love to use purple, hot pink, teal blue, and chartreuse flowers to accent the outdoor space.
The exterior of my townhouse is brick with a black front door and ivory trim. Since I rent I don’t have too much say in the matter, but at least the colors are fairly neutral and any color flowers of my choice work well.
Our home is medium brown (matches and brings out the mortar in the brick accents) with white trim and black door/shutters. Previously, it was pale gray/beige with medium blue accents. The brown really made it come to life and I’ve been so glad I chose it. I’m not very outdoorsy, so my outside decor is usually limited to seasonal decorations, but IF I plant anything, I like red and/or yellow. I think your exterior color is beautiful, especially in that setting. It reminds me of Callaway Gardens in Pine Mountain, GA. You’ll have to visit there now that you live closer ;) Thanks for a chance to win. I love Pier 1.
Our home is a light grey with white trim. We have an Iris Blue/purple front door. I use blues, violets, and white flowers in our (old) pots.
Our house is pale green, with black shutters and a purple front door. This year I’m painting the front door Sherwin Williams Mariner (medium turquoise). I bought a few turquoise pots and have planted some colorful flowers. I need to pull everything together with pillows for the front porch rockers and a new door mat.
My house is pale, pale gray with dark greige shutters, and turquoise/teal front door. I’m heading to Pier 1 to look for mats … l’ve been looking for ones with the colors you found, without luck. Thank you!
Hello! My house is white with black shutters. Exterior decking is stained weathered grey and I accent with cobalt blue!
Our house is tan with white trim and I love turquoise as well! I also use navy blue and lime green.
My house is painted a greenish gray.
Our house is a khaki color, with a red door and shutters. I like to accessorize outside with pops of yellow, it looks cheerful to me!
Love what you are doing with your new house, Diane, and your blog is my favorite! Our house is a farmhouse cape with yellow siding, black shutters and a barn red door. We have a big front porch which I love.
The exterior of my house is tan with pops of green, turquoise and red.
Our house is an 1885 craftsman that we had painted blue with white trim last summer. I painted a jute rug white with red stripes and plan to use red, white and blue this summer on the deck and porch. Your place looks lovely and relaxing!
The exterior of my house is a soft green/gray. It’s a Miller paint color called “Silverado Ranch”. The trim used to be cream but when we repainted we went a little too yellow so I need to repaint all the trim back to cream. I love accenting with any bright color, especially reds or orangey reds.
The exterior of my home (I actually think of it as being my little cottage since it only has about 1,100 square feet) is white aluminum siding with dark brown shutters. I recently had my door painted country blue. I just love it!!
My used brick home has white trim and black shutters. Accents come from shrubs and flowers.
My used brick exterior has white trim and black shutters. Accent colors come from shrubs and flowers!
Our home is the basic New England house, wood siding painted yellow, trim in white with black shutters and door. You are definitely living my dream. Hopefully in a few more years we will be doing the same thing.
I love oranges, reds and pinks. And I love your new home!!
My home is a neutral tan and acts as a perfect backdrop for my colorful planters!
My home is tan with a red/orange brick facade. We have a nice sized front porch that would look great with some of your Pier One suggestions.
My home is a light blue/gray with gray shutters and door, I have just started working on the exterior of our town-home and would love to add pops of yellow and turquoise. We have bushes to rip out and mulch to put down but hopefully it will become a relaxing place.
Our house is has a rocky brick along the bottom half so we painted our house a dark gray. We then opted to paint the garage white to give break up the look and added a white bench swing to the porch with turquoise accent pillows. As the seasons and holidays change I like to switch out the pillows to give it a fresh look.
My house is mauvey tan Hardy Plank with white trimed glass doors. I’ve been moving to turquoise accents and outdoor furniture.
The outdoor objects fade in the full on sun.
So we focus the pops of color to come from the flowers around the house.
We just had our house painted his past fall – Benjamin Moore Pebble Beach. It’s a light gray. The door color is Gunmetal. It’s a darker gray, from the same color strip.
My house is red brick but I’d love to add some decor so give it some bright colors!
We are in the middle of moving. Our new house is a cape cod cottage. It is white brick with black shutters. The shutters are too small for the windows. We want to add flower boxes, new shutters and clean up the small entry porch. Lots of ideas but need to execute it as we can afford to. I am painting a kelly green bench to add some color.
The exterior color of the house is an Olympic Acrylic Laytex pain stain, color Cedar. We live at 6000 feet in high desert mountains with very hot sun and wind. Our views are what we love.
My house is greige green with black shutters and white trim.
Congrats on your new home! It is beautiful! I added some new accents just last summer to my home’s paver patio in turquoise and yellow.
Our home is pale green with cream trim and purple-red door.
Our home is tan with lighter trim so it blends in with the mountains and trees that surround our property. I really like the color of your house so I’m glad it has grown on you, and I agree more time for relaxing and less for cleaning is always a good thing. :) Thanks for a great giveaway. I hope I win!
My house is tan with green shutters.
Front door is flanked by two windows that have a pale sage tint, so I painted the door a pale sage to make the whole door-window area pop, look larger and more inviting. Siding is warm beige-gray with white trim. I always accent with pots of purple, pink white and red flowers beside the door.
Looks great, Diane. I use hot pink and yellow. I never get tired of the combo and lime and orange always add just the right spice. Thanks!
My home is a pink-y brick and white trim; I love it! It is beautiful with any greens, pinks and whites…sorry, no yellow or red here! Thanks for the opportunity to win!
My house is white with black shutters and a black front door. I would love to add some blue accents.
I had my house re-painted early last summer and changed from a medium gray to a light grayish green (SW 6199)l. Trim is cream, shutters are a deep forest grayish-green, and I put a deep red on the door called Crabby Apple (SW 7592). I think it is my favorite color scheme in the 26 years we’ve been in this house. I’ve also been “meaning” to get to Pier One. Maybe I’ll actually get there now.
I love my house exterior – painted gray brick with a touch of the base brick color – coral – showing through. The door is a shrimpy color. The trim is cream. The green of the yard makes it pop. We are not ‘yard’ people – so we have low maintenance stuff, but we do have azaleas to bring color, and forsythia for a week or so. I would add blue hydrangeas. My favorite colors are any blue greens, so I love your teal and turquoise. I would add that to the outside b/c it is beautiful with gray brick. I love your boot planter! I think we have actual old boots that my hubs could plant some great plants in. Thank you for the great ideas and photos of your new home renovations.
Our home exterior is a pinkish brown and grey brick with grey trim and dark blue shutters. It sounds weird, but it is fairly neutral. I try to add pops of color with flowers, but could always use more. Thanks for the great tips!
Diane, Our house is a soft yellow , with soft green shutters. Red front door , soon to be turquoise.
You are living my dream and doing it well!
Our lake house is cream color with brown trim. Out back we used cream, white and teal. Looks perfect relaxing by the pool. I still pinch myself that it’s ours.
Hi Diane, You have done a really fine job of making your new home feel relaxing and warm. Love the colors and Pier 1 has helped you so much. I feel fortunate to have a Pier 1 close by our home too. The work both you and your husband have put into your new home is amazing. Just love it. I hope you manage to get in some down time and enjoy the water this coming summer. Thanks for your blog as you and your ideas are so appealing. I covered all my patio/deck furniture with pale blue denim last year and your idea of turquoise is just what I need at my home too. Thanks so much.
My front porch colors tourquiose and yellow. The house is grey and white. My back yard is the problem a mixture of colors. I like your idea of keeping everything uniformed in color. My need to highlight the tourquiose and get rid of the red,blue-keep the bulk. And beige strip cousins and go with tourquiose and yellow pillows and assesories. Need new door mats love the one you got.
Our house is cream colored base with dark green trim. I wasn’t home when the trim was painted and when I ran in to our neighbor he said “I love the turquoise trim”. I freaked out and called my husband because in my mind the color was dark green and turquoise was a more blue color. He assured me that the terminology our neighbor used was not accurate and the color was exactly as I had picked out. Dark Green. Whew!! Although, now that I have lived with dark green for 20 years, turquoise doesn’t sound bad at all!
My house is the classic red brick, white shutters, white trim and white window boxes with a red front door. I love to decorate my large front porch with pops of red and turquoise!
Cream with Green shutters and a red door.
Red and tan. I love it.
My house is light gray with a blue undertone. I LOVE and really like the pier 1 items you used.
Our new home is dark grey with white trim. I have used teal cushion on our outdoor porch.
My home’s exterior is terra cotta brick with beige siding. I accent it with pops of red and olive green via flowers, planters and garden flags.
We have a brick home with beige trim. I use mostly green accents but after seeing how great your turquoise items look, I definitely need to add way more pops of color on my back patio!
My home exterior is brick (formerly painted white). It is now a greenish grey with dark green (nearly black) shutters and doors. All of this highlights our Vermont slate roof so much better than the white. And like you, I find it helps to hide the mildew and pollen accumulation . I love it! Pier One is my ‘go to’ for home accents.
We have a tan house with cream brick. Love Pier 1 and love that lantern!
My house is light gray with charcoal trim. My front door is “cyber green”–I’m hooked on all things cyber green!
I too live on a lake. My house is tan with rust shutters and an aqua front door. I have a large covered deck with white railings. Don’t you just love the lake. I have lived on the lake for over 40 years in 4 different houses.
My concrete, block home is a pale yellow and needs repainting. I chose the brick red, metal roof to go with the real, brick trim that comprises the window sills and below each window. I also have white fascia and soffits and black, double paned windows. And to top all of that, my wood trim is painted Deepest Woodland Green (closest match found in 13 years.
I love your new house and especially all you both are doing to make it yours.
The main color is white,. We’ve just bought some really nice dark blue for all the shutters. We’re waiting for nicer weather to paint those.
We thought and thought and thought, back when we were picking out colors, and I haven’t regretted our choices for a moment! The siding is a ‘clay’ color, sort of khaki or tan, with black shutters, and white trim. I love it. We are surrounded by woods, and this color looks right at home with all the plantings and trees, all times of the year. I am however, considering trying a wow color on the front door, which could be almost anything! I love your colors, always, and the house has a good color; it’s distinctive and modern. I knew you could do something with it!
My house is beige and white. Teal is my favorite for accents inside and out.
Our home is alabaster with stacked stone, red door and taupe trim. I’m thinking turquoise accent pieces wiould be a nice compliment to the red door. Your home is beautiful.
My house is a light tan with white trim. Light teal is my favorite accent color to use outside and in.
Our 2 story, Florida Cracker style home is light tan siding up top and coffee brown on the stucco at the bottom.
The color of my home is a light canary yellow with white shudders and door.
everyday I embrace the color of my MN Cape Cod. The House is the original forest green color. I have painted the front door a beautiful sky blue – to make me happy every time I walk through it!!!
My house is grey with black shutters. Turquoise is my favorite go to color for every thing. Thanks for a chance to win.
Gray with white trim and I too accent with turquoise, so complamentary, thanks Diane!
Our home is a red brick dutch colonial with cream trim, green door and shutters. We live in the Midwest so the only color to our exterior now, is the AMERICAN FLAG!!! Our deck needs to be refinished, window boxes planted and new pillows. Love your chose of colors. Any blue is my favorite. LOVE, LOVE! The lantern with remote control candles. What a fantastic idea! Enjoy reading your blog!
My home is a traditional Colonial style and is painted brown with beige shutters. I am trying to choose an accent color that would update the look of the house.
My house is a red brick colonial with black shutters and white trim. Our front door is green. The front of the house could use some decorating.
We have a New Orleans cottage that is purple with lime green trim. After all, it’s New Orleans!
My house is mostly red brick with the wooden parts painted tan. Love the giveaway!
I have a traditional Colonial painted dark brown with white trim and black shutters. Last year I decided it needed something dramatic, so I painted the door pink! It looks crazy good and when giving directions, I just have to tell them to look for the pink door! I’m planting urns of pink geraniums with lavender colored filler and yellow spiller!
I am in love with the lantern, I have the same issue with lighting in the night. hopefully I will win the card to buy the lantern.
Our home is taupe with stacked stone accents. Our screened porch furniture is black wicker with black, khaki and red cushions and the porch swing is red. We’d love some of the wonderful side tables from Pier 1.
Our home is red brick with white trim and shutters. My hope is to paint the brick one day for more of a cottage look. Thank you for the giveaway opportunity!!!
Our home is a medium gray with black trim, gutters and shutters. In Oregon we get a lot of mold as well and the darker colors help to hide the uglies. My patio accent colors are yellow and orange with a little blue thrown in here and there.
My house is Carolina Blue with black shutters and a brick red door. I love your turquoise accents. I am thinking navy and red for this summer!
My house’s exterior is a soft pale green with white trim. The front entryway door is a custom color that resembles the cedar colored steps and pergola we built. With the color of the steps/pergola/door and the pale green siding, our house now blends in better with the other houses in the neighborhood, most of which are brick (ours is vinyl siding).
I like to use pinks and purple accents in flowers. They look very nice against the green siding.
We have a greenish/gray exterior with white washed brick. Its a 1960s ranch home with a concrete porch that currently has ZERO decorations. Definitely need to add some front porch charm!
Our home is beige brick with black shutters. Need a pop of color for the summer. Pier One would be a great place to find that!
My house is Colonial Cream with a green front door. I accent our outside deck with teal and lime.
Our home is warm red brick with charcoal trim and charcoal shingles.
The exterior color of our house in a non-descript grey/green, but, the roof is a fantastic bright red metal roof. We have added red patio furniture and some flower pots, but I sure think brining in one more pop of other color would be good. Just no idea which color?
My house is cream/brown brick trimmed in green. Our door is painted a terra cotta color. Love your home.
We have a brick house and will not change that. My husband would die! I did paint the front door yellow. On our patio the cushions are shades of blue with green. There is a little side table that is blue and some tables with mosaic tops in shades of blue.
My roof is burgundy/brown, shutters burgundy, trim almond!! Needing to decorate my front porch for the spring/summer!!! love pier one!!
Stucco beige is the exterior color. Thanks for the giveaway!
Our home’s exterior is light blue with white accents and cream colored brick. You are doing such a great job renovating your new home. I love decorating with turquoise. It makes me happy. I would love to win this and update with some new things.
Currently my house is yellow but I’m planning on switching some things up. It’s a Craftsman bungalow so I’m looking at all the earthy colors. Now I just need to decide….which is the most difficult part!
Your deck is looking so pretty… Aww that view! ❤️ I use the “classics” black and white with a few pops of red. It looks great with the woods behind us.
Living in the South my whole life, I have a love/hate relationship with pollen. It is a sure sign warm weather is close, but what a mess it makes! One thing you might not know is pollen is food for mold/mildew. Yes, so true. To make getting the deck ready each spring is gearing up in face mask, work shoes and work clothes to sweep the pollen off EVERYDAY. Then straight to the shower. It’s my morning chore. Not fun, but makes pressure washing the deck so much easier after pollen season.
I use black, tan, and burgundy …. Love how you can do some with them!
My house is light tan with pale gray trim, but we’re getting ready to paint it – Dark gray with crisp white trim. Exciting!! Just LOVE your new house!!
Our house is gray with white trim (actually being resided starting tomorrow!). We currently have burgundy shutters, although we MAY be considering replacing them with navy. My vote is for keeping the burgundy, but I will consider hubby’s idea too once we see the siding hanging on the house. We have navy seat cushions and a navy wind chime. I have not been to Pier 1 in YEARS, but seeing the fabulous items you buy there…I am going to need to make a trip!
Home sweet home is brownish/beige brick with black running through. Trim is clay beige. Outside accents are a sea of flowers in bright yellow and hot pink geraniums. Yummy!
The exterior of my lake house is a light tan color. I love your door mat…….those are my colors at the lake too! The colors mimic the water, sky, grass and leaves. Really needing to update my deck so keeping my fingers crossed I win the giveaway. Thanks for the chance.
My house is a taupe color with white accents. I use white and red as accent colors. Thank you for the opportunity to win a Pier 1 git card!
Ours is wine colored brick and I too use the teals and greens.
Our home is brick with almond trim. The back patio needs help and I am thinking turquoise may just be the answer!!!
I live in a condo. Everything is white and red brick. I am always looking for fun, colorful things to make my little deck area pop. Otherwise, it’s just too boring. BTW, I absolutely love the teal of your home.
We finally changed our paint color after 9 years, now a silvery grey with brick accents. I use turquoise and red to pop things up!
Our exterior is brick with greige trim and Charleston green door. I use either coral or plum accents that work great with color tones in brick. Coral azaleas make springtime my favorite season for exterior pics.
My home’s exterior is tan with blue/green shutters.
Olive green siding with tan trim. A craftsman vibe. I love everything you’ve done with your lake house!
Tan with black shutters. My outdoor go to colors are blues and turquoise.
our exterior is shades of beige.
My house is gray and I love to use lime green and white as accents.
Our home’s main exterior paint color is called “Baked Potato” with “Milk Mustache” as the trim! I love it!
My house has a light gray siding with a charcoal roof, white trim (that desperately needs repainted) and a field stone facade around the garage.
My home exterior is in transition. Several shades of gray as we renovate with stone and new siding. Need some color pop!
My home is brick with cream and black trim. This year though I am adding turquoise to the deck with a new patio umbrella and cushions. I can hardly wait.
Pale almond yellow with sage green trim and roof. Love my color and have re-painted twice with the same combo because…..it works!!
My house is brick with black shutters and white Windows. It needs a zap of color!? Thanks, Diane.
My home could use some jazzing up! It’s red brick with light tan sliding/accents. It has a small front porch that is screaming for some help.
My home is a light gray-blue color with white trim and brick red accents (the metal roof inspired the red accents!).
We’ve got brick with a bit of sage siding. Your place at the lake looks so serene. Good for you!
Our house is a light gray with white trim.
My home is beige with brown trim. I love turquoise as an accent color, it’s so calming and peaceful.
My home is brick exterior with cream colored paint accents. It is pretty basic and not too exciting! I need some Pier One updates!!
My home is khaki with white shutters and my accent colors are a beautiful Greek blue and yellow. | 2019-04-19T12:30:17Z | https://inmyownstyle.com/exterior-color-for-homes.html |
Do You Have All The Residence Security That You Want? Attempt These Ideas!
Your auto registration is greatest stored someplace other than your glove compartment. This will forestall anyone from understanding the place you reside. You ought to maintain them with you or store them in an alternate spot in the automobile. They’ll all the time need to be close by in the occasion you get pulled over. For those who personal a home, then you definitely perceive the significance of preserving it secure. There’s nothing worse than having your property severely broken. The house wherein you live is usually your most substantial investment, and it’s the place you conduct your life. Read on for advice to keep this most precious asset safe.
Do not go away notes on your door for relations or people which can be coming to service your private home. You might think nothing of it, but it’s letting everybody know that no one is inside. It is a good idea to offer folks a call ahead of time and provides them directions. Program your lights to turn on and off at random intervals with a timer. This makes it easier for you as you will not have to flip the switch, but it additionally ensures the lights proceed to go on and off, even when you’re not at home for a long time frame.
Should you’ve not too long ago bought a home, be sure you change the locks and alarm go codes. Many individuals just take this stuff as is and don’t give them one other thought, however take into account that almost anyone may have a replica of the key or the go code. That can embody neighbors who you do not really know. Be safe and change out both while you purchase. You might want to have your safety system checked yearly. A safety skilled ought to visit to assist with the testing process. There are many things that can reduce the standard of your system. Generally, it’s possible you’ll need a professional to find the problem.
Some folks believe the price of a home security system is prohibitive.
If you are in search of an excellent place to hide a spare key, think about taping one to the inside of your canine’s collar. This is significantly useful when you have a large canine that is not very friendly with strangers. You will have a spare key close , and you won’t have to worry about anybody getting access to it. You probably have a door in your storage that leads to the inside of your own home, just be sure you preserve your storage door down when no one is out there. Having an open door gives a burglar a place to enter, which suggests you and your loved ones may be in danger.
Don’t depart an extra key below your doormat or another place that a burglar would look for it. If you already know that you have an inclination to misplace your keys, it would be a good idea to leave an additional set with certainly one of your neighbors, or you’ll be able to go away them inside your car. As foolish as it might seem, stop having newspapers delivered in case you are happening vacation. Intruders will see the entire papers piling up and will realize that no one is house, making it more probably for them to interrupt in. Name the delivery firm and tell them when you’ll come again and once you need them to start delivering once more.
One comparatively inexpensive means to add an additional layer of protection to your house is to put in movement sensor lights for the outside of your own home. Within the evening hours, this lighting can provide further safety and a cheap way to gentle your entrance entrance means whenever you arrive. By rigorously inserting them across the exterior of your property, you create a perimeter that can not be breached.
Whether you’ve simply bought a home, constructed a home, or have been in your house for quite some time, you’ve thought about dwelling security. Have you taken any action?
If you want your home to be protected and secure, it is important to have a security analysis preformed by a good company. This will assess the weak factors of your property security and will assist you perceive what areas need extra protection and what areas have enough protection to keep you secure. You probably have jet skis, boats, or something similar, have them inside your garage or shed when not in use. Intruders see this stuff and assume you have some huge cash. This offers them ammunition to break into your own home and search for different invaluable gadgets. Additionally, never leave the keys to these things in the ignition.
Don’t leave notes on your door for relations or people which might be coming to service your house. You could think nothing of it, however it is letting everybody know that no one is inside. It is a good suggestion to offer people a name ahead of time and provides them instructions. Program your lights to activate and off at random intervals with a timer. This makes it easier for you as you will not need to flip the change, however it additionally ensures the lights proceed to go on and off, even should you’re not at house for an extended period of time.
Lock up your house, even if you’re round. Many individuals suppose that their neighborhood is the most secure out there. They will leave their doors unlocked all day (and night time long) with out a second thought! That is inviting hassle. Make it a behavior to lock those doors (and home windows) even in case you’re dwelling. It’s most likely a very powerful primary thing you are able to do for your loved ones’s overall safety.
Do not keep your spare key in a spot straightforward to seek out for intruders.
By no means reveal any personal data to someone who’s at the door or calling your home that you have no idea. Be sure that your youngsters comply with the identical policy as properly, as this could result in the wrong individuals getting personal data. This may make it harder for somebody to find and rob your house. Plant an indication that discourages folks from soliciting close to your house. This may forestall people from coming to your door that you just do not know. When you have this signal posted and there’s someone who desires to rob your house, they may feel uncomfortable coming up to your door as it should look suspicious.
When planning to go away for a holiday, you’ll want to turn off the ringers on your private home telephones. In case your cellphone rings and is not being answered, criminals will realize that you just’re away. Don’t open your door for strangers. These days, thieves are creative when thinking of the way to get homeowners to open a door and allow them to in. Therefore, solely enable people you know and predict to enter your property.
Ensure that to decide on an alarm firm that provides monitoring. An alarm that simply buzzes if an intruder tries to enter is statistically proven to be principally ineffective. Once you add the additional monitoring nonetheless, you might have a direct link to someone who can name the police and get you help. There may be an extra charge for a monitored alarm, however it’s properly worth the fee.
Ensure to decide on an alarm company that gives monitoring. You wouldn’t have to change the actual locks, a locksmith can re-key the locks to make them inaccessible with any of the previous keys.
Verify the road tackle on the finish of your block to guantee that it is noticeable in the event of an emergency. Should you see that it appears illegible, name your city heart to see if you can get a brand new sign for your avenue. That is essential as firefighters or police vehicles might want to get to your own home immediately in an emergency. When you will have little children, there’s all the time a concern that they are going to by some means get lost from the house. If you do not want to spend money on a whole dwelling security system, you should buy cheap single alarms. You possibly can place these alarms on doors and windows, and they will go off if one of many children opens them.
Safety of your private home begins with action. Take these tips and begin to make use of them each single day. When you get the grasp of them, learn extra articles like this one and continue to add to your routine and expertise. As you continue to learn, you will continue to higher your private home security, too. Minimize the bushes around your private home. If someone is excited about breaking in, the very first thing they’re going to do is search for a place the place they’ll cover as they attempt to discover their method inside. If you want your yard to look aesthetically beautiful, plant flowers as an alternative.
There is no such thing as a level in investing in an alarm system which doesn’t totally shield your home, of course. You’ll want to have sensors in place on each single window and door to be sure nobody can get inside. If you happen to don’t, you may be gambling with the truth that the burglar might not consider getting into in the identical manner you expect them to. Ensure you at all times do your analysis before hiring a company to put in your property security system. Discover firm reviews on the Web and ensure they are in good standing with the Chamber of Commerce and Higher Business Bureau. You’re hiring this firm to furnish your property with a security system, and you want to just be sure you can belief the company your coping with.
Always lock your home, irrespective of how briefly you anticipate to be gone.
Now that you’ve had a superb probability to study more about dwelling security, you can higher make a decision concerning which sort of system to get. It could actually appear difficult desirous about wi-fi choices vs wired choices and extra. Use what you’ve got learned so that you just’re ready and able to go. If you realize you’re going to be away from house for a while, turn the quantity in your telephone down as little as attainable. If a burglar is staking out your house, a ringing telephone might be just the confirmation she or he must know you aren’t there.
Don’t do any landscaping that can obscure the entrances of your property. Whilst you might imagine it is a good idea to plant a huge rosebush in entrance of your lounge home windows, this gives a thief a place to hide while they figure out a method to get into your property. A number of the advantages of a hard wired house security system is that it is extra reliable than a wireless system. There aren’t any batteries to switch, and the system doesn’t depend on radio frequency waves. This means fewer false alarms which might mean a superb if the police respond for no purpose.
Your auto registration is best stored someplace other than your glove compartment. This will stop anybody from knowing where you reside. You must preserve them with you or store them in an alternate spot in the automobile. They’ll at all times must be shut by in the event you get pulled over. Should you own a house, then you definately perceive the importance of holding it safe. There’s nothing worse than having your property severely damaged. The home by which you reside is usually your most substantial investment, and it is the place you conduct your life. Read on for recommendation to keep this most treasured asset safe.
If you are moving into a brand new house, the first thing you should do to make your home safer is to alter the locks. You do not need to alter the precise locks, a locksmith can re-key the locks to make them inaccessible with any of the previous keys. The place are your door’s hinges? If the hinges for your door are on the skin of your home, you need to move them to the within of your own home. Having exterior hinges is an easy method for burglars to grant access to your house. All they must do is knock the pin out of the hinge.
Thieves have put them up so as to see if people are house to take them down. Or invest in a set of curtains that may be drawn to prevent potential intruders from targeting your valuables.
You may have worked laborious to create your property right into a haven. Nevertheless, this may spoiled once you experience a home break-in. If this thought worries you, you need to do something about it. This text will discuss actions you can take to guard your home and your family from unwanted dwelling invaders. Set up a peep gap to be able to see who’s at your door earlier than you open it. Criminals will knock at a door so that they can push previous you if you open it. It’s best to by no means open a door without figuring out the person that is on the opposite facet of it.
Secure your garage. Intruders may simply break into your storage and access your property. A C clamp helps for storage doors on a monitor. The clamp actually keeps the door closed if tightened close to the observe roller. Test the batteries of your smoke detector every week to determine if they’re operating low. If your smoke detector isn’t on, it is not going to choose up the smoke of the fireplace, which can result in a catastrophe. Use quality batteries that final a very long time in your smoke and carbon monoxide detectors.
In case you have an hooked up storage, remember to secure it as effectively. Numerous persons are afraid that burglars will be able to break into their garage, which can result in them breaking into the home. Fortunately, you may prevent this. If your storage lifts up on a observe, strive using a C-clamp. This will forestall your door from opening up if the clamp is near its roller. If you wish to maintain certain rooms in your house personal, you don’t need to lock every door with a key. Use a code-entry lock for any door you don’t want others opening. You can set up them your self or you possibly can rent a home security firm.
Is there anything useful in view? To guard your family from harm?
You probably have valuables, and also you need a spot to store them, look no additional than the partitions of your private home. In between the studs is quite a lot of empty space, and you may simply store jewellery or anything you do not need a burglar to have access to. Simply install a fake electrical outlet, and use it to take things out and in of the wall. Ensure that your own home number are visible from the street. If there’s an emergency, it can take longer for the police to find your own home if the numbers are hid in any means or too small. Happily, it’s fast and straightforward to fix this drawback.
For those who stay in a snowy space, remember that a lack of footprints in your yard can signal to a burglar that you are out of town. In case you are planning to be away, then, ask certainly one of your neighbors to walk around your yard for you so that no one would be the wiser. When doing yard work or fixes on the skin of your private home, you’ll want to put ladders and tools away when you’re accomplished. When you preserve out ladders, thieves can easily climb them to get into your house. At the identical time, they might use tools, like hammers, to interrupt your home windows.
In term of solid advice, you’ve just learn a large amount of it. How are you going to make use of it in your house? Stay knowledgeable about this matter and hold protecting your property and your loved ones. Verify your native hardware or dwelling enchancment store to see if they promote alarm monitoring company signs. Quite often, you could find one that you just put in your yard. Even in case you don’t even have a house alarm system, only a signal saying you do deters would-be burglars from focusing on your property.
If you’re in search of an excellent place to cover a spare key, think about taping one to the inside of your dog’s collar. This is significantly useful when you have a large canine that isn’t very pleasant with strangers. You will have a spare key shut , and you won’t have to fret about anybody gaining access to it. When you’ve got a door in your garage that results in the within of your own home, just remember to maintain your storage door down when nobody is on the market. Having an open door gives a burglar a place to enter, which means you and your family may be at risk.
The most effective methods to keep your own home protected is to get to know your neighbors. This is a pretty cheap way to provide light and safety to your property.
You want to inquire about whether you can buy or lease the house security equipment. Buying equipment could be dear upfront, but it surely’s a single price versus a month-to-month cost. Leasing could seem cheaper however may require contractual agreements and charges. Evaluate each avenues to see which one is best suited to your needs. Now that you’ve got learn the information that have been discussed right here, it is best to really feel higher about transferring forward with home security. It is a very important resolution, and you could remember the recommendation you’ve learn. You want to be certain that you’ve offered your loved ones with a system and service that may help maintain everyone safe.
Ensure that your house has high quality locks on all of the windows and the doors. Home windows must have locks to keep burglars out, and they should have burglar-proof glass. Your doorways ought to both be manufactured from metal or solid wooden. They should have heavy-obligation, strengthened strike plates. The best locks to have for them are both knob-in-lock units with lifeless latches or deadbolts.
If you are happening trip, don’t cancel the delivery of your mail or your newspaper. While you do this, you by no means know who could stumble across the data that you are going to be away from dwelling. Instead, ask a friend or a family member to help you out. Refrain from using candles in your house until it is completely necessary. In case you do burn a candle, just remember to blow it out when you are completed. It is important that no burning flame is left unattended because one slip can destroy your home and potential damage your family members.
It would not take long for a thief to steal thousands of dollars value of stuff.
Do not ever place your spare key beneath your mat or next you a plant field. Although you might assume that you simply’re giving yourself one thing you could use to get into your own home whenever you’ve misplaced your keys, you’re really inviting intruders inside your home. Intruders know in regards to the traditional hiding spots. Ask a friend, neighbor or relative to maintain your extra keys for you. Keep away from being shy. Discuss to your neighbors and those on your block. Hold your eye on their homes, and ask for assist to maintain yours safe too. Don’t ignore the gossip. You could possibly be taught necessary security information, reminiscent of if strangers have been lurking around the neighborhood.
In time period of strong recommendation, you have got simply read a considerable amount of it. How are you going to use it to your residence? Keep informed about this subject and hold defending your home and your family. Verify your local hardware or residence enchancment store to see if they promote alarm monitoring company signs. Very often, you will discover one that you put in your yard. Even if you don’t even have a house alarm system, only a signal saying you do deters would-be burglars from concentrating on your property.
Movement sensitive lighting could be supplied by your security company. Most corporations offer this option which detects within a given distance of your house and alerts you that someone is approaching. This may make an intruder hesitant to break in, and it’ll offer you extra security everytime you arrive residence late at night time. When trying to find a home safety agency to imagine accountability for monitoring your property, make some extent to solicit recommendations from others in your neighborhood. Ask about previous experiences and response occasions in emergency situations. In this means, it is possible for you to to determine whether a potential company is value looking into additional.
Canines make an important safety system. They are protecting of their residence and proprietor and will alert you if someone is in your property. It would not even should be a big powerful canine. Small dogs are noisy and unpredictable and superb at deterring burglars. You probably have a house alarm system, ensure all of the wires are hid. If a burglar needs to break into your property, he may minimize any wires he sees earlier than following through along with his plan. Depending on the place the wires are, conceal them with crops, rocks or other natural trying items.
These will only open if one in every of your loved ones members is there, making certain that nobody can break in because of a key they’ve discovered, selecting the lock or foiling a lesser grade lock.
If you’re occurring vacation, do not change your answering machine telling everyone that you’re going to be away. Burglars will call this quantity and see that it’s open season on your home. Maintain your common message and advise family and friends members to name your cellular phone when you’re away. Get a family canine to assist guard the home when you are away. Canine not only signify that somebody in the house could also be dwelling, but also can put concern within the eyes of potential intruders. Don’t set up doggy doors, as intruders can use these to get into your house.
Make certain your home has high quality locks on all of the windows and the doorways. Home windows should have locks to keep burglars out, and they need to have burglar-proof glass. Your doors ought to either be manufactured from metallic or stable wood. They should have heavy-responsibility, bolstered strike plates. One of the best locks to have for them are both knob-in-lock sets with dead latches or deadbolts.
Don’t ever place your spare key underneath your mat or next you a plant box. Though you may assume that you simply’re giving your self one thing you may use to get into your own home whenever you’ve misplaced your keys, you are truly inviting intruders inside your house. Intruders know in regards to the usual hiding spots. Ask a pal, neighbor or relative to maintain your further keys for you. Keep away from being shy. Talk to your neighbors and those in your block. Maintain your eye on their houses, and ask for help to maintain yours protected too. Don’t ignore the gossip. You may learn necessary security info, such as if strangers have been lurking across the neighborhood.
You can be fined and charged as a result of your safety system labored.
With all the new expertise nowadays, you may ditch your outdated set of house keys. The latest in residence safety now lets you have the choice of key-much less entry into your home. A particular gadget reads predetermined fingerprints programmed by you, and the door will solely open with there’s a match. Before letting a house safety consultant inside, ask for identification. Many thieves use this tactic to enter a house. This could possibly be quite dangerous. Act cautiously to keep away from potential dangers.
Ask your alarm system if they supply separate entry codes for cleaning individuals or upkeep males. In the event that they do, reap the benefits of this characteristic. In many cases, you can arm the system to permit entry with that code solely at particular instances of day. This may help forestall potential thieves from coming into your house during the night hours or at other occasions after they know you may not be at house.
In case you have put in a wi-fi DIY house safety system, you possibly can set it to call you or as much as 10 other individuals in case of a break-in. Nevertheless, you can not set 911 as one of many numbers to name, and there is no police backup. The system is bought extra by apartment dwellers than house homeowners. If it’s essential make the surface of your property secure, you can obtain this comparatively inexpensively by installing lights with movement detectors. This can be a fairly cheap means to offer gentle and security to your property. When positioned appropriately, no one will be capable of break in unannounced.
The safety of your property relies on your actions exterior the house as properly. Don’t go away your garage door opener in plain view inside your car. Password defend your mobile phone and computers that you use outdoors the home as nicely. By no means maintain vital paperwork inside your automobile the place a thief can find out where you live and determine if you end up at dwelling and when you’re away.
It could possibly seem troublesome thinking about wireless options vs wired options and extra. Use what you might have discovered so that you simply’re prepared and ready to go.
Faux you are a burglar. By taking on the function of an intruder, you’ll be able to check for vulnerable areas around your property. Really suppose arduous about methods you’ll get into your house when you had been a felony. Test the storage in addition to sheds or other places you keep invaluable possessions. Dwelling security is a vital matter for any homeowner, however is also one that too many people fail to study with any sense of urgency. With a purpose to ensure the security of your private home, is helpful to spend some time learning about what is available to assist hold issues secure. Continue studying to realize a deeper understanding.
In the event you’ve recently purchased a house, make sure you change the locks and alarm go codes. Many individuals simply take these items as is and don’t give them another thought, but take into account that just about anyone could have a duplicate of the important thing or the go code. That can embody neighbors who you don’t actually know. Be protected and alter out both whenever you buy. It’s essential to have your safety system checked annually. A safety skilled ought to visit to assist with the testing course of. There are a lot of issues that may scale back the quality of your system. Sometimes, you might need knowledgeable to find the issue.
Use exterior lights that have motion sensors. They’ll flip on when individuals walk inside a certain distance of your house. You can be alerted to motion, however most importantly, it’ll deter burglars or no less than make you aware of their presence. Do not forget that the bulbs should be changed in order that the lights keep working. Maintain a flashlight with good batteries in each room of your private home, simply in case you lose power. Power outages are widespread to all kinds of emergency situations, so having flashlights handy will enable you to maneuver in the dark. This could come in handy if somebody has minimize your power and is attempting to interrupt in.
Get a household dog to assist guard the house if you find yourself away.
With the entire new technology nowadays, you may ditch your outdated set of house keys. The latest in dwelling safety now means that you can have the option of key-much less entry into your home. A particular system reads predetermined fingerprints programmed by you, and the door will solely open with there’s a match. Before letting a house safety representative inside, ask for identification. Many thieves use this tactic to enter a home. This might be quite dangerous. Act cautiously to keep away from potential risks.
If you wish to have a dog at residence to deter burglars, do not invest in a guard canines. These canines are educated to do their job and will not be intended to be loving pets. As a substitute, pick up a dog at your local shelter, get him obedience training and give him all the love you’ll be able to. Contemplate hiding a spare key in your dog. If you have canine who have free entry to the outdoors, try taping a key securely to the within of one among their collars. This can make your key accessible should you lock yourself out, whereas keeping your home secure. If in case you have a number of dogs, choose the canine who’s least pleasant with strangers.
Earlier than you fall asleep, lock your windows on the primary floor of your house. An unlocked window invitations undesirable visitors. Even in case you suppose you reside in a protected neighborhood, thieves know no boundaries. You should not assume that your open window will go unnoticed. Hold those windows locked so your house is not going to be a simple target. Don’t use price as the main factor in choosing an organization to offer security for your residence. Whereas it is always nice to search out something that is not very costly, this could have numerous drawbacks. Cheaper safety corporations are infamous for offering lower than attentive service, which means your home may be in danger.
Guantee that none of these block the home windows and doorways of your property. Burglars usually tend to burglarize properties that look like they’ve a variety of places for them to hide from nosy neighbors.
Have you ever taken a look at your options regarding residence safety programs? It’s very important that you already know what you are facing so that you just make a great determination. As a matter of truth, good shouldn’t be the best, so you want to have the ability to make the very best decision. Maintain reading to learn more about your private home security options. Now you already know your choices, and you can better make a decision concerning home security. Should you use the information and methods which have been given to you, then you’ll be nicely in your strategy to enjoying peace of mind. Put the safety of your family first.
The concept of dwelling safety sounds appealing to many people, however unfortunately, many haven’t adopted the idea. The primary barrier of entry for house safety is the value. Some can’t afford the installation charges and month-to-month costs wanted to use a house safety system. Luckily, you’ll find cheaper residence security alternate options on this article. Dwelling security methods provide different triggering options apart from having an alarm sound. Most methods can be set to sound an alert when anybody enters the house. This is helpful for folks who’ve small youngsters, because it helps maintain them from leaving the house.
Whether you’ve got simply purchased a home, constructed a house, or have been in your house for quite some time, you have thought about house safety. Have you taken any motion? It’s time to read about house security programs as a way to make the precise determination for you and your family. Do not base your private home safety resolution solely on price. While some systems are cheaper, they might not supply the extent of protection that your property wants. If your house has loads of windows, for instance, you want to make sure all of those home windows are armed with an alarm. Make sure that your security wants are truly being met earlier than deciding on your system.
Preserve the outside areas in your own home so they are properly lit.
The security of your private home relies on your actions exterior the house as well. Do not leave your storage door opener in plain view inside your automobile. Password protect your cellphone and computers that you just use exterior the home as effectively. Never maintain vital documents inside your automotive the place a thief can find out where you reside and determine if you find yourself at home and when you are away.
It is time to get a greater take a look at home security techniques. You need to make certain that you’re conscious of what it’s a must to choose from. What are you aware about residence security? Continue reading to search out out more about your choices so that you can decide what is finest. Make certain that your own home is always occupied. Buy timers for electronics, lights, radios and TVs so that they will activate and off at different intervals. This way, your house will at all times look occupied. This may hold individuals from breaking in.
Examine the street address at the end of your block to guantee that it is noticeable in the occasion of an emergency. In case you see that it looks illegible, name your town middle to see if you can get a new sign in your street. That is essential as firefighters or police vehicles will need to get to your house immediately in an emergency. When you have got little children, there’s all the time a concern that they will one way or the other get lost from the home. If you do not need to put money into an entire home security system, you can buy inexpensive single alarms. You possibly can place these alarms on doors and windows, and they’re going to go off if one of the children opens them.
Stroll exterior of your private home at night and see what is visible by way of your home windows. If you have a transparent view of your valuables, particularly easily stolen electronics, then so do potential thieves.
You have got worked hard to create your property into a haven. However, this can spoiled while you experience a house break-in. If this thought worries you, it is best to do one thing about it. This text will talk about actions that you can take to guard your own home and your loved ones from undesirable house invaders. Set up a peep hole so to see who’s at your door earlier than you open it. Criminals will knock at a door in order that they will push past you while you open it. You must never open a door without understanding the individual that is on the other facet of it.
By no means reveal any personal information to someone who is at the door or calling your own home that you just have no idea. Make sure that your youngsters observe the identical coverage as nicely, as this will lead to the flawed people getting personal info. This can make it harder for someone to find and rob your home. Plant a sign that daunts individuals from soliciting near your home. This will forestall folks from coming to your door that you just do not know. When you have this sign posted and there is somebody who desires to rob your house, they may really feel uncomfortable coming up to your door as it is going to look suspicious.
Don’t ever place your spare key beneath your mat or next you a plant box. Although you would possibly think that you just’re giving yourself one thing you might use to get into your home whenever you’ve misplaced your keys, you’re truly inviting intruders inside your home. Intruders know about the standard hiding spots. Ask a friend, neighbor or relative to maintain your additional keys for you. Keep away from being shy. Speak to your neighbors and people on your block. Preserve your eye on their homes, and ask for assist to maintain yours secure too. Do not ignore the gossip. You could study essential security data, reminiscent of if strangers have been lurking around the neighborhood.
Don’t go away notes in your door for relations or people that are coming to service your house. You may suppose nothing of it, however it is letting everybody know that nobody is inside. It is a good idea to give individuals a call forward of time and give them instructions. Program your lights to activate and off at random intervals with a timer. This makes it simpler for you as you won’t should flip the change, nevertheless it additionally ensures the lights proceed to go on and off, even in case you’re not at home for a protracted period of time.
Before letting a home safety consultant inside, ask for identification.
To make it hard for anyone to get into your private home undesirable, make your exterior doors ready. Each single considered one of them should have a good one-inch deadbolt installed as a minimum. This gadget makes the door significantly harder to break into than a simple knob-lock, providing you with more time to call police or probably just convincing an intruder to surrender and depart. It is very important activate your security system when you’ll be away or at evening. When you ought to fall asleep and neglect to set the system it’s useless. In case you are somebody who is commonly distracted or has an issue remembering issues, add activating your system to your guidelines of necessary things to recollect.
Make sure to decide on an alarm company that gives monitoring. An alarm that simply buzzes if an intruder tries to enter is statistically proven to be mostly ineffective. Once you add the extra monitoring nonetheless, you’ve gotten a direct hyperlink to somebody who can call the police and get you assist. There could also be an extra charge for a monitored alarm, but it’s well worth the cost.
Watch what you say on social media. Within the period of constant Twitter and Facebook updates, it’s straightforward to turn out to be too lax on what you share. Regardless of how excited you might be about your upcoming vacation, social media is not the place to broadcast your trip. It’s too easy for somebody who is just not a friend to learn of your plans, permitting them to interrupt in when they know you are away.
Irons, stoves and toasters ought to all be unplugged, as electricity can move at a really high charge if left plugged in. This may stop a hearth or electrocution in your house.
To make it onerous for anyone to get into your private home unwanted, make your exterior doors ready. Every single considered one of them should have a great one-inch deadbolt put in at the least. This device makes the door considerably harder to break into than a easy knob-lock, supplying you with more time to name police or presumably simply convincing an intruder to surrender and depart. It is important to activate your safety system when you will be away or at night. If you ought to fall asleep and overlook to set the system it is useless. If you’re someone who is often distracted or has a problem remembering things, add activating your system to your guidelines of vital things to remember.
Installing an alarm system in your house can vastly improve security. Potential burglars may be scared off by seeing that your private home has an alarm system. If a break-in does occur, a loud audible alert will usually send the intruder running, and the alarm system will rapidly and effortlessly alert authorities to the scenario. Ensure to rent a house safety firm with a very good status in your community. Verify references with your mates and neighbors, in addition to institutions just like the Higher Business Bureau. Discovering an organization with a great repute is essential because you need to ensure your company will stand behind their security plan and promises.
The supplies of your property needs to be hearth resistant. Your property will get added protection, particularly in case your setting is dry and has power traces. Stopping hearth hazards is a key precaution to take since the damage it causes could be appreciable. Be cautious of salespeople that come to your door. Make sure to ask for their credentials if they ask to come back into your own home. Ask them to slide their identification under your door. There are lots of skilled burglars that may use this tactic for checking out a house. If You are feeling uncertain about them, Strive checking with their workplace before allowing them in.
The primary thing you have to do when you’re transferring into a brand new place is have the locks changed. Even if the tenants turned their keys in, they might have made copies. Discover a reliable locksmith who can replace the locks or do it your self. In case you are a smoker, put out your cigarette in a cup of water to stop a fire hazard. This ought to be done earlier than you put it in the trash, as you run the chance of the bud not burning out while you rub it in your ashtray. Smoke exterior to cut back all risk of a fire occurring in your home.
This makes it much much less probably that your system will likely be compromised.
Secure your storage. Intruders may easily break into your garage and access your home. A C clamp helps for storage doors on a observe. The clamp truly keeps the door closed if tightened near the observe curler. Examine the batteries of your smoke detector every week to find out if they’re working low. In case your smoke detector will not be on, it will not choose up the smoke of the fire, which can lead to a disaster. Use quality batteries that final a really very long time in your smoke and carbon monoxide detectors.
You should never use your birthday because the password in your numeric keypad. Personal data, such as a birthday may be acquired on the Web. If you happen to use this as your password, chances are you’ll make it easy for a burglar to rob you. Suppose instead of a more artistic solution to keep monitor of your code. When going on vacation, depart your automobile in your driveway. If this is not attainable, ask your neighbor if she or he will park in your driveway. If intruders see a automobile in the driveway, they are going to assume somebody is house. This implies they will avoid breaking into your home.
Find out how lengthy an organization has been in operation earlier than signing a house security contract. Companies in business for many years engender nice confidence and belief. You will have much more confidence in your choice should you persist with a company that has a confirmed track document. Do you’ve sliding patio door in your home? In the event you do, make sure that you will have taken steps to make them more secure. One cheap approach you are able to do this is to buy a closet rod and lower it to suit tightly into the track behind the door which slides open and shut.
Crooks will almost by no means go from outlet to outlet on the lookout for valuables. Ask them to identify themselves, or test via a window, peephole or perhaps a video system. | 2019-04-21T18:20:57Z | http://www.homedesignorlando.tk/category/security-system/page/3 |
A M Martínez-Sala, J Monserrat-Gauchi, C Campillo Alhama (2017): “The relational paradigm in the strategies used by destination marketing organizations”. Revista Latina de Comunicación Social, 72, pp. 374 to 396.
Introduction and objectives. This articles presents the results of a study on the degree of interactivity of the official tourism websites of the main Spanish sun and beach destinations, given their importance in achieving a two-way communication. The study also evaluates key aspects related to social media and the social web, which are also necessary to achieve two-way communication and establish relationships with the public. Methods. The study is based on content and functional analysis of a series of indicators that provide descriptive information about the status of the official tourism websites and a score that allows for a comparative analysis among them. Results and conclusions. The results show significant shortcomings in the field of interactivity, but also an important development regarding social media and social web tools. The article ends with the proposal of a series of good practices that are necessary to implement to improve the relational aspects of tourism websites, which are essential tools in tourism marketing and communication.
1. Introduction. 2. The relational and collaborative approach to marketing and communication strategies. 3. Social web and interactivity. 4. Hypotheses, objectives and methods. 5. Results. 5.1. Results on interactivity. 5.2. Results on the social web and presence in social media. 6. Discussion and conclusions. 7. References.
One of the factors that has determined the evolution of tourism is the emergence of new media (Bonilla, 2013). Information and communication technologies [ICT] are increasingly used by people to plan trips and choose destinations due mainly to the large volume of information and opinions that are published on the Internet by other tourists (Prat, 2012: 240).
The Internet has become an indispensable tool in the planning and development of travelling, as well as one of the main channels for the marketing of a destination (Caro, Luque & Zayas, 2015). The Internet and online marketing and communication channels are evolving quickly and appropriately, and are identifying very quickly the needs of the tourist 2.0 and of tourism 2.0 (Domínguez Vila & Araújo Vila, 2014). The tourist 2.0 refers to an informed and participatory traveller who no longer makes his travelling-related decisions based exclusively on the advice given by a travel agency (Suau Jiménez, 2012: 144). Instead, the new tourist takes into account all the information he collects from the Internet. It is precisely the need for information which has made websites a key instrument for the communication of tourism destinations (Fernández Cavia, Díaz-Luque, Huertas, Rovira, Pedraza-Jiménez, Sicily, Gómez & Míguez, 2013; Fernández-Cavia & Huertas-Roig, 2009; Díaz-Luque, 2009). Hallet & Kaplan-Weinger (2010), Lee & Gretzel (2012), Luna-Nevarez & Hyman (2012) and Morrison (2013) consider tourism websites as the main tool in destination selection and trip planning.
In addition, in accordance with the new roles of the consumer as content producer and prescriber of products and services, recommendation systems, and the opinions and experiences of other travellers, etc., websites are, together with information, the determining elements when selecting a tourism destination, planning the trip itself and its components (Caro et al., 2015). Along this line, Huertas Roig (2008) points out that the information that comes from the experience of other travellers exerts a great influence on the decisions of other users.
The current consumer, which has been renamed adprosumer (Caro et al., 2015), like the tourist 2.0, requires two-way communication channels to receive information and interact. For this reason, the tourist 2.0 prefers to learn from wikis, forums, blogs, etc. (Schmallegger & Carson, 2008). The exchange of information and experience generates a high degree of satisfaction in users. This is the main reason for the use of these spaces (Chung & Buhalis, 2008) and the basis of their success as a promotion and marketing channel. Two-way communication channels enable organisations to establish links with users and to obtain feedback from users, and according to authors like Wright, this is the smartest decision organisations can take (2006: 4).
Along with the success and the massive use of the Internet and more specifically of the social web or Web 2.0, this channel has a lower influence in the selection of the destination and the vacation package in comparison to other tourist products and services such as accommodation and transport (Google Travel Spain, Institute for Tourism Studies, Exceltur, Allianz, the Tourism Department of the Spanish Ministry of Industry, Energy and Tourism & AddedValue, 2013). This reality has inspired this research study, which focuses on the implementation of the features and relational tools by official tourism websites. Their evaluation is based on an analytical model focused on measuring the interactivity and social function of the websites, as well as the presence of tourism destinations on social media. The objective is to determine whether the websites respond to the expectations of the tourist 2.0 and thus effectively fulfil their role as the main promotion and marketing channel.
In 2004, Philip Kotler argued that transactional marketing had evolved into relational marketing, in which the main purpose is to establish relations with consumers to retain them, and finally into collaborative marketing, which is based on a new individual that, through relations, helps the organisation to create value and to attract new consumers (Serrano Cobos, 2006).
Pérez & Massoni (2009) also allude to the need to reorient the approach to the relations of the organisation with their audiences in his New Strategic Theory (NST). The paradigm of the NST displaces the interest from the economic sphere to the complexity of the public and the individual, focusing on relations and the relational human being.
Technological development has been instrumental in the evolution of the consumer towards a new figure known as prosumer (Toffler, 1980) or adprosumer (Caro et al., 2015), who uses the Internet and digital channels to interact with mass audiences, apparently, out of the control of the organisation. Organisations also use them to interact with their consumers and that is why relational and collaborative marketing are closely related with marketing 2.0 (Gálvez Clavijo, 2010: 18).
Marketing 2.0 also advocates for a focus on individuals and on the dialogue between organisations and consumers, which requires a change in the traditional orientation of this discipline from the organisation towards consumers, who constitute a market consisting of conversations (Levine, Locke, Sears & Weinberger, 2008), connected spaces where customers become agents and collaborative, participatory and interactive social media (Cortés, 2009). As a result, organisations must provide them with the necessary channels so that they can participate and interact with their brands, products and services, thus promoting personalised relations that generate engagement (Campillo Alhama, Ramos Soler & Castelló Martínez, 2010).
The relational approach implies a new way to conceive and implement marketing and communication strategies. They must answer to an individual who, thanks to the massive implementation of the Internet and mobile devices (Asociación para la Investigación de Medios de Comunicación, 2015; Google Travel Spain et al., 2013), which can access universal content freely, from anywhere and at any time, and can even generate content. The development of ICT and relation, information and communication technologies [RICT] (Marfil-Carmona, Hergueta Covacho & Villalonga Gómez, 2015), and the consequent expectations of users, derive on the need of developing formats and models that are adapted to the new communication and consumption environments, which includes the object of study: the website. This channel, together with other representatives of the web 2.0, offer organisations many opportunities to interact with their consumers and achieve conversion, loyalty and recommendation thanks to the conversations they can establish (Castelló Martínez, Del Pino & Ramos Soler, 2014: 24).
In the field of tourism websites, in the heyday of the marketing 2.0, new marketing variables begin to be integrated: e-market research, online channels that allow the constant analysis of the audience and their behaviour; e-attention, web pages incorporate links and spaces in which users are served in relation to consultations; e-public relations, both through the web and newsletter that disseminate information that contributes to the creation and maintenance of the image of the tourist destination; and relational e-marketing or social media marketing, in relation to the creation of spaces on the web that promote the interaction of users: online chats, forums, etc., as well as social media, such as blogs, Facebook, Twitter, etc. (Martínez González, 2011).
The relational approach to the marketing and communication strategies of destination marketing organisations [DMO] is only possible through the implementation of channels and tools that enable organisations to interact and converse with their audiences, and allow the members of the audience to interact among them. The analytical model therefore focuses on the integration of some of the aforementioned marketing 2.0 variables: e-attention, e-public relations, and e-marketing. All of these variables depend on the interactivity and social functions of the websites and are key to fostering relations with the public.
The terms prosumer (Toffler, 1980) and adprosumer (Caro et al., 2015) allude to an individual who not only receives the information generated by the organisation, but also filters and assimilates information and then disseminates it again after he has reinterpreted it based on his own experiences and knowledge (Prahalad & Ramaswamy, 2000).
Interactivity and two-way communication are characteristic features of the social web, a space where information is not only provided, but also shared, complemented with hyperlinks to other websites, with comments from users, etc., generating content in a decentralised way (Caro et al., 2015).
Cho & Cheon (2005) break down the concept of interactivity of the websites into three levels of interaction: user-message, user-manager and user-user. This research focuses on user-manager and user-user interaction, since they are the less developed levels in the official tourism websites (Míguez-González & Fernández-Cavia, 2015; Huertas, Rovira & Fernández-Cavia, 2011). The study also takes into account the third level of interaction (user-user), due to the influence of the opinions of users in the evaluation of products, services and organisations by other users, and on their loyalty (Gruen, Osmonbekov & Czaplewski, 2005). This reality acquires special importance in sectors such as tourism, in which a large number of products and services refer to experiences and emotions (Senecal & Nantal, 2004; Buhalis, 2003). The current tourist wants to buy more of an experience than a product or service and the experiences of other users help him to plan and imagine his own (Camarero Rioja, 2002; Senecal & Nantal, 2004) and influence his final decision by bringing an element of objectivity that is used to contrast commercial information (Ricci & Wietsma, 2006).
The World Tourism Organisation & the European Travel Commission (2008) argue that interactivity is one of the most important aspects when it comes to developing and maintaining a quality tourism website. In this regard, authors such as Díaz-Luque, Guevara & Anton (2006), Huertas Roig & Fernández-Cavia (2006), Huertas Roig (2008), Huertas et al. (2011), Luna-Nevarez & Hyman (2012), Fernández-Cavia, Vinyals Mirabent & López Pérez (2013) and Fernández-Cavia et al. (2013), include interactivity as an indicator of the quality of the official websites of tourism destinations, concluding that those that encourage it have an increased chance of success.
Interactivity is measurable and gradual (Steuer, 1992) and, therefore, digital channels can be evaluated depending on their level of interactivity, and hence their quality.
Despite their relevance, the studies carried out to date have detected a limited implementation of interactive resources at the user-manager and user-user levels in the official tourism websites. Huertas Roig & Fernández-Cavia (2006) and Díaz-Luque et al. (2006) have showed that the interactive resources at both levels were virtually non-existent. Years later, and despite the technological development, Huertas Roig (2008) and Huertas et al. (2011) also confirmed the almost total absence of tools for communication between users, and recommended the use of tools such as online chatrooms, contact sections, among others, to enhance users’ interaction with website managers (Huertas et al., 2011). Luna-Nevarez & Hyman (2012), Fernández Cavia, Vinyals Mirabent et al. (2013) and Fernández-Cavia et al. (2014) conclude that interactivity is one of the areas that requires further development. The last two cited research works also show that the relational aspects of the websites, interactivity, social web and mobile communication, obtained the worst results, with the exception of the social web. This parameter is well valued because websites often provide the necessary mechanisms to users to share content on social networks and similar websites (Fernández Cavia, Vinyals Mirabent et al., 2013). However, and although most of the destinations are present in the major social networks, virtually none of their websites integrates these social networks within their structure as it is advised (Fernández-Cavia et al., 2013; Fernández Cavia, Vinyals Mirabent et al. 2013; Blackshaw & Nazzaro, 2004; Caro et al., 2015).
Míguez-González & Fernández-Cavia (2015) also carried out a research study in the field of interactivity and the social web and their results are not much different from those achieved in previous research.
The limited implementation of resources and tools that facilitate the participation of the user is due to the fact that their results on sales are mid-long term (Domínguez Vila & Araujo Vila, 2014), the fear of comments, as well as the lack of staff to respond properly (Chamorro Martín, 2006). However, the greater the participation of the user, the greater their loyalty and identification with the organisation and the more information that will be available.
In the context of relationship marketing and based on the online reality, the objective of this research, as mentioned, is to analyse the capacity of the main Spanish sun and beach tourism destinations to manage relationships with their public through their official websites and social media. This analysis will be used to determine whether, as Martínez González (2011) points out, DMO have adapted themselves to the requirements of today’s users and consumers.
The strong dynamism that characterises the online environment requires a constant review of websites through the use of analytical models that are updated based on the new roles of users and technological developments. Based on this reality we have formulated the main research hypothesis of this research study: official tourism websites incorporate tools and spaces that enhance user-manager as well as user-user interaction. The second hypothesis is that tourism destinations include in their official websites the tools and functions that are characteristic of the social web and are present in the main social media.
O1. Measure the degree of interactivity of websites at the user-manager and user-user levels.
O2. Assess the implementation of the tools and functionality of the social web.
O3. Identify the social media in which the tourist destinations are present.
The research is based on an empirical and analytical method and on the review of literature on the role of the Internet in the tourism sector, on the relational and collaborative trends in public and private organisations, and on web interactivity and the social web. An exploratory analysis is performed based on the case study of the official tourism websites of the Spanish sun and beach destinations, due to their relevance in the Spanish tourism industry. Data collection is based on observation, the use of websites, and the monitoring of the communications established as user with the websites’ managers. The period of analysis covers from 1 January to 29 February, 2016.
The sample is formed of the Spanish sun and beach destinations with the heaviest national and international tourism traffic. Catalonia, Canary Islands, Balearic Islands, Andalusia and Valencia are the autonomous communities that receive the largest volume of international tourism traffic (Instituto de Estudios Turísticos, Instituto de Turismo de España [Turespaña] & Ministerio de Industria, Energía y Turismo, 2014a). Andalusia, Catalonia and Valencia, in that order, lead the ranking of national tourism destinations. Canary Islands and the Balearic Islands are not in the top five destinations but received 4% and 2%, respectively, of the resident tourists (Instituto de Estudios Turísticos, Turespaña & Ministerio de Industria, Energía y Turismo, 2014b).
The final sample includes 20 different regional websites: 5 corresponding to autonomous communities and 15 to provinces and islands, as in the case of the Canary Islands. The latter types of websites have been included in order to work with a representative and convenience sample. The selection was based on the following criteria: they had to be official websites of Spanish sun and beach tourism destinations (autonomous communities and provinces/islands) that target the final tourist and offer full access and navigation (Table 1).
The analytical model proposed here (tables 2 and 3) updates the models proposed by Díaz-Luque et al. (2006), Huertas Roig (2008), Huertas et al. (2011), Fernández-Cavia, Vinyals Mirabent et al. (2013), Fernández-Cavia et al. (2013), Fernández-Cavia, Rovira, Díaz-Luque and Cavaller (2014), and Míguez-González and Fernández-Cavia (2015) with new indicators and based on the relational approach demanded by the current marketing and communication strategies. This review is required by the constant evolution that characterises the online environment.
The analysis of interactivity brings together a total of 12 indicators, distributed into two levels of interaction: user-manager and user-user (Table 2).
Internal channel for tourism-related consultations from users.
1: Yes, but they are not personalised, detailed and delivered quickly.
2: Yes, they are delivered quickly and personalised way.
Necessary data so that users can contact the web managers through other online (email) and offline (phone, mail, etc.) channels.
1: Yes, but they are inoperative or incomplete (links). They provide data of related organisms, but not of the web’s managers.
Evaluation mechanisms: surveys, forms, voting systems etc.
Periodic dissemination of subscription-based customised newsletters.
1: Yes, but it is not customised to subscribers’ language or interests.
1: Yes, but comments have to be reviewed by web managers before their publication.
1: Yes, but it is not operational or does not take advantage of the interaction with managers (customisation) or other users.
External users’ club or community accessible from the website (users’ blogs, etc.) and managed by DMO.
Spaces and tools for user-user interaction with respect to comments on content published by the DMO.
1: Yes, but contents have to be reviewed by web managers before their publication.
Spaces and tools for user-user interaction with respect to comments on contents published by users on website.
The websites’ use of tools and functions of the social web and their presence in social media is evaluated by means of 9 indicators (Table 3).
1: Yes, but it has limitations (to subscribe, channel, topic etc.) or is not operational.
0: No/Yes, but is not for tourists.
1: Yes, there are sections with blog format / Yes, but it is not operational.
Presence in microblogging networks, like Twitter.
1: Yes, but it is not integrated in the website.
Presence in specialised recommendation-based social networks, like TripAdvisor and Minube.
Presence in image-based social networks like Instagram, Flickr, Pinterest.
Presence in video-based social networks like YouTube and Vimeo.
Integration of contents published on social networks and social media.
Tools for sharing the website’s contents on social networks/social media.
Source: authors’ own creation based on Fernández-Cavia, Vinyals Mirabent et al. (2013); Fernández-Cavia et al. (2013); Fernández-Cavia et al. (2014) and Míguez-González & Fernández-Cavia (2015).
The indicators are evaluated through content and functional analysis. To this end, first, the indicators are subjected to a systematic and objective textual and visual observation. After the indicators are identified, their functionality is measured through real tests from the point of view of the expectations of the tourist 2.0. The interactivity and functionality of the social web are not manifest elements that can be assessed through content analysis, hence the need to evaluate them based on their use. This entails registering in the website as a user and observing what the website requires, what it provides; making queries, and evaluating the answers; testing the operativity of the links, posting comments, replying to other comments, etc.
In general terms, with regards to the functionality of the tourism websites in the field of interactivity and the social web, tourists require two-way communication channels to learn, share experiences and engage in defined and specific conditions (Tables 2 and 3).
The results of the content and functional analysis were subsequently quantified with the following scale: 0-2, unlike some of the aforementioned models (Fernández-Cavia, Vinyals Mirabent et al., 2013; Fernández-Cavia et al., 2013). However, in line with the aforementioned authors, the use of a binary scale was ruled out since some indicators may occur partially, not in optimal conditions (Tables 2 and 3).
The level of depth of analysis depends on each indicator and each website and has required the analysis of several levels, from the level 0 or home to the 5th, 6th or 7th level.
Based on the proposed model and the resulting average scores we established an index of interactivity, ranging from 0 to 2 points, where 2 indicates an optimal level of interactivity. Similarly, the presence in social media and the use of the tools and functions of the social web is measured with a 0-2 scale, where 2 is the maximum value. The average of both indices determines the relational capacity of the website based on the same scale (0-2). This scale describes the extent to what the websites satisfy the expectations of tourists 2.0 and thus provide two-way communication channels between the websites’ managers and users (Suau Jiménez, 2012) and allows us to collect useful information to make recommendations (Caro et al., 2015).
Globally, the websites of the autonomous communities of Spain offer better results. Although some of the websites promoting provinces, such as Barcelona, or islands, like Tenerife and Lanzarote, obtained surprisingly high scores (Table 4).
Despite the importance of interactivity, the results show a limited evolution in relation to previous research studies. Most websites fail in the implementation of the tools and functionality needed to establish a two-way communication channel between the website’s managers and users, and among users.
With regards to the level of user-manager interactivity (Table 5) the average (1) is exceed only in the presentation of data about the managers of the websites and the built-in channel to contact the websites’ managers. Some websites even limit the range of issues about which users can make questions. Catalonia, for example, only allows users to request publications and for other types of queries it redirects users to the website of the Catalan Agency for Tourism. Another common practice is the integration in the website of a channel to perform queries. Instead, websites rely on external tools such as Outlook Express email service, which limits the interaction abilities of users, who usually opt for platforms like gmail.com and hotmail.com. This occurs on the websites of the Canary Islands and Alicante. Andalusia only lists tourism information offices as well as other tourist agencies next to a search engine to locate them.
With regards to the analysis and monitoring of the queries, the study confirmed that most websites respond quickly and that the responses are personalised although, in general, the information they provide is partial. For their evaluation, we made a query about locations and conditions for water sports. And although the websites of most destinations answer questions about their locations, few of them provide information about the conditions.
Another type of frequent response is given by the websites of destinations such as Valencia, Alicante and Gran Canaria, which only provide data on specialised companies and ask users to contact these companies to solve their doubts. Finally, Catalonia, Barcelona, Tarragona, Valencia, Almeria and Huelva do not answer users’ questions.
The indicators in which the websites obtained the lowest scores, in general terms in the user-manager level, are those relating to the comments on their textual and audiovisual contents, their rating by users, and the dissemination of the newsletter. Finally, none of the websites incorporates an online chat room.
By regional typology, the results are similar between the regional websites, which reached an average rating of 0.74, and the provincial/island websites, which reached an average rating of 0.72. However, there are differences with respect to indicators such as the newsletter and the ability to comment, and rate content, which performed better among the regional websites.
Average for websites of autonomous communities.
When it comes to user-user interactivity (Table 6), there is a difference between the two types of websites under analysis. The websites of autonomous communities achieved a score of 1.08 while the provincial/island websites reached a rating of 0.32. The high score obtained by the websites of the autonomous communities is primarily due to the fact that the websites of Valencia and Andalusia achieved the maximum score. The rest of the websites reached different results. Canary Islands and Catalonia, with a score of 1 and 0.4, respectively, reached an above-average score in the field of user-manager interactivity, but the website of the Balearic Islands, which does not offer any of the tools considered at this level, affected the average global score for the field of interactivity.
Among the websites of the autonomous communities we can highlight the creation of users’ clubs or communities that are made accessible from the website, mainly blogs, and to a lesser extent built in the website. Only the Valencia Community, Andalusia and the Canary Islands have created an authentic user community that, after registration, allows users to publish their own content, and recommend, rate and comment the content posted on the website, by the operator or other users. Other websites that offer the user-registration option allow users to store information through applications such as Cuaderno de viaje (“Travel log”), in the case of Alicante; Mi Granada (“My Granada”), in the case of Granada, and Tu itinerario (“Your itinerary”), in the case of Malaga. However, this information cannot be published or shared, which makes it difficult to consider these websites as genuine communities. The worst scores were obtained with respect to the possibility given to users to comment on the contents published by other users and the contents created by the websites’ managers. Only Valencia and Andalusia provide the tools necessary to do so.
None of provincial/island websites exceeds the average score reached in the user-user interactivity indicators (1). The best rated indicators correspond to user clubs and communities accessible from the website, which obtained a score of 0.87 because the websites of Barcelona, Valencia, Alicante, Huelva, Tenerife and Lanzarote include hyperlinks to their respective blogs. In some cases, as in Tenerife, these clubs or communities are built into the website. In other cases, as in Lanzarote, the blog has been created in the free-to-use WordPress platform and is not associated with the domain of the website, contrary to the recommendations of Míguez-González and Fernández-Cavia (2015). In the rest of the indicators, the maximum average score is 0.33 and it corresponds to the least-used tools and features, as it occurs in the websites of the autonomous communities: the possibility to comment on the content and the comments of other users. In this area, the case of Almeria stands out as it reserves the right to publish users’ comments (a positive comment had not been published even three weeks after it had been posted).
In general terms, the results can be described as positive in this indicator. The average score (1.40) is higher than that obtained with regards to interactivity despite the latter is a feature that has been required since longer time ago. According to the regionality, the websites of the autonomous communities reached a higher score than the websites of the provinces/islands. The individual analysis indicates that only two websites do not reach the average score (1), precisely one from each category: Tarragona and the Balearic Islands. At the other end, the websites that obtained the highest scores are those of Barcelona and the Valencian Community, both with 1.78 (Table 4).
Presence in recommendation-based social networks like Facebook and Google+.
Presence in specialised recommendation-based sites like TripAdvisor.
Presence in image-based social networks, like Instagram and Pinterest.
The least used social media and tools are: RSS contents (25%), the inclusion of links to external recommendation-based social networks specialised in touristic products and services, such as TripAdvisor and Minube (35%), blogs (35%) and the website-integration of the contents generated on social networks (55%). The rest of the indicators obtained the maximum score, in most cases in over 90% of the websites. Recommendation-based social networks like Facebook and Google+ stand out as they are included in 100% of the analysed websites.
By regional typology, the websites of the autonomous communities have largely implemented this type of resource. All of these websites are present in external microblogging, recommendation-based, image-based and video-based social networks. However, some of the provinces are not yet present on essential social networks such as Twitter (Tarragona) and YouTube (Almería). Almeria, in particular, includes YouTube videos on its website, but does not have its own account on this platform. The most important social networks are Facebook (100%), Twitter and YouTube (95%), and Instagram (80%). The rest of the social networks are less important in the sample of websites. Pinterest is used by 50% of the websites, Google+ by 45%, and Flickr by 35%, while Vimeo is only used by Castellón.
Some destinations have yet to implement the option to share the contents of the website through social networks, as in the case of Tarragona and the Balearic Islands. There are also cases in which the resource is used partially: for example, the website of Lanzarote just allows users to share specific contents such as photographs.
Finally, with regards to the website’s integration of content generated on social networks, the situation is similar between the websites of the provinces/islands and the autonomous communities. Only 40% of the websites do not show the comments users post on their social network profiles. Catalonia, for example, does not integrate this type of content in its website (only on its blog) while Castellón’s website only shows the number of users and comments.
The low degree of interactivity detected with the analysis coincides with the results of previous research works, such as the one carried out by Huertas et al. (2011), which points out that while websites do encourage user-message interactivity, they do not encourage the other two interaction levels identified by Cho & Cheon (2005), despite these levels are a decisive factor in the visibility of the website and in achievement of the marketing and communication objectives of the tourism destinations. Despite the advantages offered by two-way communication (Chung & Buhalis, 2008) and the incorporation of the opinions and experiences of other users (Blackshaw & Nazzaro, 2004), the analysed websites have not improved their resources to enable users to interact with other users and the site managers. Broadly speaking, the analysed websites are not characterised by a high degree of interactivity in any of the analysed levels, which refutes the main hypothesis, except for the websites of Valencia and Andalusia, which do not achieve the maximum score but obtained 1.42 and 1.58 points, respectively.
Míguez-González and Fernández-Cavia (2015) also confirmed the limited interactivity at the user-user and user-manager levels. In the first level the authors allude to the need to generate spaces for users to publish their opinions, recommendations, etc., but also raise the possibility of replacing them with external social media to avoid unnecessary human and economic costs. The results confirm this trend, but we should also note the convenience of giving visibility to the contents published on these social media on the tourism websites. This is done by Gerona, Barcelona, The Valencian Community, Valencia, Alicante, Castellón, Andalusia, Granada, Malaga, Cadiz, Canary Islands and Lanzarote in specific sections known as “Social Room”, “Social Wall”, “Social Media Room”, or in the Home page. The integration of this type of content, which is updated with frequency, improves the credibility and acceptance of the website (Fernández-Cavia et al., 2013; Fernández Cavia, Vinyals Mirabent et al., 2013) due to the great value that users grant to the opinions and comments of other users (Blackshaw & Nazzaro, 2004; Caro et al., 2015).
On the second level, user-manager, the results are also consistent with those obtained by Míguez-González & Fernández-Cavia (2015), who allude to the deficient use of tools that enhance the interaction of users with the site managers and recommend the implementation of systems that allow users to vote, rate, etc. In this regard, the results show that the situation has improved slightly in the case of the websites of the autonomous communities, but in the case of the websites of the provinces/islands, and that tools such as online chats are still not implemented in any of the analysed websites. It is therefore concluded that the analysed websites, in general terms, do not meet the expectations of the tourist 2.0 with regards to information, the ability to share experiences and establish relations with other users (Suau Jiménez, 2012; Caro et al., 2015).
Among the indicators evaluated in relation to interactivity, it is advisable to recommend the tourism websites to enable spaces that allow users to publish their own contents, experiences, photos and videos, as well as to make comments on the textual and audiovisual contents published by the site manager and other users. The fear of negative comments and the loss of control over the information on the brand, the main obstacles for the full implementation of the web 2.0 model, must be overcome to favour a relational approach by the brands and the acceptance that the latter are owned and built by the consumer.
Similarly, tourism websites should integrate built-in channels for user to make queries and improve the responses of DMO. As it has been confirmed, in most cases, and despite replies are provided quickly, the information tourism websites provide is partial or only redirects the user to other websites or companies, and there are some websites that do not even reply.
With regards to the use of the tools and functions of the social web and social media presence the results allow us to partially verify the second hypothesis. Tourism destinations are all present in the major social networks but not all of them integrate in their websites the contents posted in these social networks nor enable user to share the textual and audiovisual contents of social networks through them. Therefore, it is concluded that DMO largely satisfy the new expectations of the tourist 2.0 with regards to the interaction with other users (Schmallegger & Carson, 2008), the ability to share experiences and obtain information (Caro et al., 2015), based on the experiences of other users and through wikis, forums, blogs, etc. (Schmallegger & Carson, 2008).
In general terms, the tourism destinations appear to have little interest in promoting relations with their users and between users through their websites, but they are interested in doing so through social media. Most of the analysed tourism destinations have included in their marketing and communication strategies the main social networks: Facebook, Twitter, YouTube and Instagram. Luna-Nevarez and Hyman (2012: 104) and Míguez-González and Fernández-Cavia (2015: 28) also identified Facebook and Twitter as the most used social networks, and YouTube also as a fairly-widespread platform. The research confirms the important evolution of YouTube, which is used by 95% of the tourism destinations, and the increasing prominence of Instagram, used by 80%. However, we should also note the possibility of improving the results of their strategies through the use of specialised recommendation-based external social networks in tourism products and services such as TripAdvisor and Minube, which are linked-to in only 35% of the analysed websites. With regards to blogs, and contrary to the belief of Martínez González (2011), who consider them a predominant tool of marketing 3.0, they are hardly used by the analysed destinations.
Morrison (2013: 73) affirms that the websites of DMO have become powerful tools for marketing and, in the suitable channels, to establish communication with current and potential tourists. However, the research proves that destinations are focusing all their efforts on social networks and are neglecting other tools and features which foster dialogue with their users through the website. Promoting the interactivity and social functions of the websites improves the user experience and allows DMO to attract new users through reviews and opinions. In addition, equipping websites with spaces and tools that allow users to interact with the site managers and other users makes them an invaluable source of information about current and potential consumers. In this regard, we agree with Míguez-González & Fernández-Cavia (27: 2015) and Li & Wang (2010: 545), as we have confirmed that the efforts made by public organisations to establish relationships with their consumers are focused outside the official websites. This confirms the description offered by Martínez González (2011) of marketing 3.0 as a stage characterised by greater use of social networks, blogs and clustersto the detriment of the use of the website.
The observed reality does not allow us to conclude that Spanish destinations are implementing the premises of relational and collaborative marketing (Serrano Cobos, 2006), nor that they have adopted the concept of RICT (Marfil-Carmona et al., 2015) as they are not enhancing the possibilities of the website to establish relationships with their users and achieve conversion, loyalty and recommendation (Castelló Martínez et al., 2014: 24). Tourism destinations need to implement a new approach to their commercial communication, which is known as public relations 2.0 (Aced, 2013: 65).
The research we have carried out, focused on the websites for national and regional (of autonomous communities, provinces and islands) sun and beach destinations, raises new issues that have to be addressed from a broader perspective that covers municipal websites and even international websites in order to gain insight into the extent to what the relationships established through digital media contribute to the success of the tourist destination. Similarly, this study highlights the need to complement the obtained results with an evaluation based on the point of view of the users, like the one carried out by Fernández-Cavia et al. (2013), in order to determine the extent to what the efforts made by the tourism destinations to establish relations with their users contribute to the improvement of brand perception and loyalty.
This work also proposes the development of a future research project about the use of social networks by DMO. The high number of social networks on which DMO are present questions their ability to properly manage them. Along this line, we consider it is appropriate to pursue this research about the implementation of relational and collaborative marketing in the tourism sector, in the field of social networks.
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Article received on 12 on December 2017. Accepted on 15 March.
Published on 17 March 2017. | 2019-04-20T06:16:36Z | http://www.revistalatinacs.org/072paper/1170/20en.html |
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