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The French Ambassador joins the fight against the ban on the import of foie gras into the United Kingdom The French ambassador has joined forces with the foie gras trade organizations to fight against a proposed ban on imports into the United Kingdom. Restrictions on sales of foie gras were set as a target in the Queen’s Speech in May after years of campaigning by animal rights groups, who say force-feeding ducks and geese is barbaric. No parliamentary action has yet been taken, but the chairman of the foie gras trading body, Cifog, said the industry has received high-level support to ward off any future attempts to limit sales. Eric Dumas said The connection: âWe are working through the French ambassador and the trade representatives to try to put pressure on the government so that the measure is not introduced. “The foie gras is unfairly picked and we invite [UK Prime Minister] Boris Johnson and his advisers to come visit us to see for themselves what is going on. He said the industry, which was hit hard by restaurant closings during last year’s closures and bird flu outbreaks, wanted to send a message: “We’re back, producing delicious food.” The controversy in the production of fatty liver centers on a practice called force-feeding, where long tubes are pushed down the throats of birds to pump food through the digestive system. It swells the liver to several times its natural size. In a letter from a cross-party group of UK MPs, written to ministers in March and calling for a total ban on sales of foie gras in the UK, force-feeding was described as “torture treatment”. Producers claim that when the tube is inserted correctly, no harm is done and the birds do not suffer. UK farmers have been banned from producing foie gras under animal welfare legislation since 2006. However, the UK continues to import the product. Export sales from a major French producer of foie gras to the UK have quintupled to ⬠50,000 per year since the 2016 EU referendum. Gilles LeMoine, commercial director of the La Quercynoise cooperative, based in Gramat in the Lot, said: are no longer able to do so and so they are now buying in the UK. While Brexit has negatively impacted many other foodstuffs, Mr LeMoine said his business is doing well. âThere is certainly more paperwork, but we are used to doing the paperwork for our other major export markets in the Far East. “The UK has never been a big market for us – it’s very difficult to get stores to stock foie gras.” Globally, exports represent 10% of the cooperative’s turnover, or 80 million euros per year. French foie gras producers invite Johnson to visit, don’t limit sales
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Uwaga: Tłumaczenia dodatkowych przykładów nie były weryfikowane przez naszych lektorów - mogą zawierać błędy. What does it mean to be a man, a woman, a human being, a displaced person? Besides, at war's end he was a displaced person without a home state to go back to. She should by now have been in a hospital for displaced persons. By now she had the look of a refugee, a displaced person. He's just a displaced person trying desperately to find his place in the world. We will also continue to provide assistance to displaced persons. Refugees and displaced persons must be able to return home quickly. The purpose of the community is to provide support for displaced persons and others with social or abuse problems. In a way, Kulischer was himself an example of a displaced person. We all know that this is too late for the displaced persons of Bosnia.
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THE CLEAN WATER ACT "The Clean Water Act (CWA) establishes the basic structure for regulating discharges of pollutants [including sewage discharges] into the waters of the United States and regulating quality standards for surface waters.” (EPA.gov). Traditionally, the states have had regulatory jurisdiction over pollution discharged into groundwater, but that was changed by a 2020 decision from the United States Supreme Court (County of Maui v. Hawaii Wildlife Fund, 140 S. Ct. 1462 (2020)). The CWA now also regulates the discharge of sewage through the “functional equivalent of a point source”, such as pollution which is discharged to groundwater and then travels to surface waters via tunnels, fissures, and conduits – precisely the make-up of limestone geology which is typical of the Keys. FOLKS' CLEAN WATER ACT LAWSUIT After years of discussions and negotiations with the City of Marathon, which went nowhere, with Marathon’s coastal water quality continuing to deteriorate and to travel hydrologically to the rest of the Keys, FOLKS filed a Clean Water Act lawsuit against the City of Marathon in January 2022. FOLKS asserts that Marathon is in violation of the CWA by discharging partially treated sewage pollution through shallow wells into our porous limestone, which allows the pollution to migrate almost immediately to the surface waters of the United States. FOLKS and well-known scientists have collected evidence for the lawsuit showing that at least three of Marathon’s five sewage treatment plants have pollution upwellings in the nearby surface waters which, according to scientists, most likely come from the shallow sewage wells and are causing damage to both the seagrass meadows and coral reefs which support our fisheries and marine animals. Studies also show that shrimp, crabs and small prey fish are loaded with pharmaceuticals from sewage discharges, as are some higher-trophic predator fish. Human waste contains hormones, endocrine disrupters, anti-biotics as well as illegal drugs and many other pharmaceuticals. Sewage treatment plants do not eliminate them before discharging through shallow wells, which allow migration to the surface waters. Studies also show that the immune systems of marine mammals, such as turtles and dolphins, are harmed by their exposure to sewage discharge. (WLRN Article, October 14, 2021) Andy Newman / AP Most large disposers of partially treated sewage in the Keys (Key West, Key Largo, Islamorada, and Cudjoe Regional for the Lower Keys) all use deep wells to dispose of their sewage discharges. Marathon is the largest remaining sewage treatment plant that uses shallow wells, though there are others, too. There are grant monies available for conversion to a deep well. FOLKS hopes this lawsuit will result in a deep well for Marathon. And that two other large sewage disposers – Key West Resort Utilities in Stock Island and Florida Keys Aqueduct Authority’s Big Coppitt treatment plant – will follow suit without the need for further litigation. Shallow Wells vs. Deep Wells – How it Matters Let’s begin with a visual to see how very differently a shallow well, drilled to just 90-120 feet, compares to a deep well, drilled to 3,000 feet. You can see the deep injection well is encased in steel and cement and discharges its wastewater deep below two confining layers of rock into the boulder zone. Further, the limestone geology that makes up the Florida Keys is full of tunnels, conduits, and channels. Donald M. Maynard, a Florida-licensed geologist and a licensed engineer, stated, shallow sewage well injection is like pouring water through a colander. Dye tests performed at the shallow wells of Cudjoe Regional Wastewater Treatment Plant show almost immediate movement of the injected dye to nearby surface waters, and were instrumental in getting Cudjoe Regional WWTP to settle litigation and dig a deep well for its sewage disposal. Monroe County Sanitary Wastewater Master Plan, 2000 Studies show damage to marine life See the STUDIES page for links to and explanations of additional studies performed. Since this lawsuit was initiated, The Bonefish and Tarpon Trust (BTT) has released a major three-year study showing pharmaceuticals present in both bonefish as well as the small prey they and other fish consume (shrimp, crabs, etc.). As the BTT president and CEO, Jim McDuffie, stated upon release of the study, "Pharmaceutical contamination was detected at levels high enough to have biological effects on the fish, thus posing a risk or a threat to our fishery." And, that "The source of this contamination is human waste and a wastewater infrastructure that has been pressed beyond its technological capability and capacity." [BTT Study, February 2022] In another important study from March 2022, Dr. Brian Lapointe, a Research Professor at Florida Atlantic University – Harbor Branch Oceanographic Institute, with extensive experience in wastewater impacts on local marine ecology, conducted studies near the shallow coastal waters near the Area 3 and Area 4 sewage plants in Marathon. He found “extremely high” concentrations of sucralose in the water samples. Sucralose is an artificial sweetener, consumed by humans, and is a scientifically accepted indicator of the presence of human waste in the water. “There is a serious concern that partially-treated wastewater from shallow injection wells at a nearby wastewater treatment facility are likely the source of these unusually high concentrations of sucralose. The extremely high concentrations of sucralose make it unlikely that this sucralose is coming from smaller scaled human wastewater inputs such as the few remaining septic tanks or cesspits in the vicinity,” noted Lapointe in his ‘Marathon Wastewater’ study published on the website of the non-profit organization Coast. The Coast website also shows photographs of the sea bottom and macroalgal blooms that indicate heavy impact from human wastewater.
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There is nothing in this world that we can’t do on our own. Even all the women can do everything. It is a myth that women can’t do everything that men can do. It is a wrong perception. Women are doing very good and are successful in all the fields. They are no less than a man in any way. If we talk about the painting of a house, even that can do by women. There is no age restriction for it. But, yes, kids can’t do such tasks as they are not their work. So, women can easily paint a house. Painting a house is always a fun as playing with colour minimises the stress level as well. Essential Paint Supplies Needed Suppose, a person has to paint his room. Following are the essential paint supplies that he would be needing for the better and smooth results. A ladder is mandatory. We know that we are not going to paint only the lower area of the wall. But we have to paint a whole wall. The height of a room is huge so we need to use ladder in order to paint and cover all the space of a wall. We need different brushes that vary in sizes. Suppose, we have to make the texture or some drawing on a wall that has tiny detailing included in it then we need to use small brushes so that we can give small details to the drawing and also have the tidy and neat effect on the wall. - Painting Tools: There are many other tools like painting trays and rollers are also be needed if we have been using the boxes or drums of paints. A cloth is a must thing. It minimises and reduces the stress of after work. We know that how much colours paint can create a mess on the floor. We need to clean as soon as it drips on the floor. Otheries, it will get dried and then it will take forever to remove the stains from the floor. If we have a cloth or a sheet on the floor then there is less mess to clean after the painting. - Epoxy Primer: Epoxy primer gives the smooth and dewy texture to the walls. They also increase the life span of the paints. - Spray Paints: Paint brushes and rollers are hard to use. It is always a preferable idea to use spray paint as the user have a great control over them. It doesn’t mess on the wall even. So, if you have been looking for reliable supplier for paint supplies then get in touch with LACNAM, we have all the things available under one roof.
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Greek ceramic install out of a good Mycenaean traditions, borrowing from the bank one another container models and you may decoration Greek pottery, the brand new ceramic of your old Greeks, important both for the fresh built-in appeal of its models and ent out of Greek graphic artwork. Since fired clay pottery is highly sturdy-and couple if any Greek really works within the timber, textile, otherwise wall decorate possess endured-the newest painted decoration from the pottery is amongst the head source of information concerning the process where Greek performers slowly solved brand new of many problems from symbolizing around three-dimensional items and you may numbers on the a condo otherwise rounded body. The enormous level of surviving instances is additionally caused by a significantly broad reliance upon pottery boats in a time when most other materials was in fact costly otherwise not familiar. The fresh Greeks utilized pottery vessels mostly to save, transport, and take in such drinking water once the wine and you can liquid. Less containers were used due to the fact pots having perfumes and you may unguents. The earliest stylistic period is the Geometric, long-term from around 1000 to 700 bce . This period try after that divided towards the a Proto-Geometric change regarding Mycenaean variations. Within months top of the container is actually entirely shielded with a network of okay models where circles and you can arcs predominate. This abstract decorative code was later on enriched by such as for example devices since the the latest meander (trick development), examiner, triangle, herringbone, and you may swastika. This new thriving correct Geometric style is characterized by this type of variations and you may from the progressive appearance of creature and finally people rates. These as well had been geometrized, becoming given angular silhouettes and you may put up symmetrically, constantly into the strips in the pot. Numbers was basically inevitably illustrated on front side-we.elizabeth., inside reputation. The new pots made at this time had been the earliest into the Mixxxer discount code Greek ways to display narrative moments out of popular myths, instance those people regarding the Heracles. Greatly offered Greek exchange factors in later eighth and you will early seventh centuries bce resulted in an evergrowing Eastern impact on Greek ceramic musicians. This phase is earliest noticeable in works built in Corinth in the in the 700 bce . Immediately Far eastern motifs discovered its ways onto every produces away from Greek pots. Curvilinear models supplant this new more mature, rectilinear of them. Brand new sufferers are available, especially such as for instance giants while the sphinx, siren, griffin, gorgon, and you can chimaera, plus such as pets as the lion. The Corinthian musicians created a shape approach in which figures coated regarding the trait black glaze was basically incised with narrow traces in order to reveal outline. Athenian musicians then followed so it black-figure pottery style up to 630 bce however, emphasized individual numbers as an alternative than simply creature motifs since graphic templates. The fresh new top quality of the clay, pigment, and design easily permitted the newest Athenian designers so you can overtake the ones from Corinth. It actually was during this period the practice of finalizing from pots from the potters and designers earliest turned common. Athenian pottery of one’s 6th millennium bce have a tendency to possess narrative moments consisting of black numbers coated towards a white inset records panel, because the related vase skin was an intense shiny black colored. The method in which this special the color is hit, associated with a complex around three-stage procedure for capturing, might have been effortlessly reviewed and you may recreated about twentieth century. Red-shape pottery, invented in the Athens throughout the 530 bce , is simply the contrary of one’s black colored-figure layout in this the fresh new purple rates appear light against the black colored background of the pot surface. Specifics of this new rates such as eyes and you will interior contours was basically coated in black colored, the new clean allowing more subtle characterization than performed an enthusiastic incising unit. The new yellow-contour approach allowed a very naturalistic and you may visually enticing treatments for individual figures. New reddish shades mimicked the colour and build out-of sunrays-bronzed epidermis and considerably spotlighted the latest numbers from the ebony background. Doing 500 bce Greek painters abandoned the seminar of employing only character views and you may began to play with about three-quarter front poses plus foreshortening plus the cautiously depicted overlapping of a single shape into the several other. These improves ushered on the zenith away from Greek ceramic construction and you can and give some notion of contemporaneous end in the high-size painting. New attracting towards the Greek ware associated with period is sometimes off the highest quality, as well as the matter was an inexhaustible mine of information into the Greek life and you may imagine. Greek painters needed in order to endow its data which have feeling and reputation while the convenience of step. Monotony is actually precluded by the utilization of other presents, body gestures, and you will words to help you provide feelings and you can explain the newest story action. The new collection off victims try significantly increased, using moments out-of lifestyle and also the basic brave and you can mythological themes. Regarding 600 bce towards the, Athens much more turned the principal hub to own Greek pottery, eventually exporting its ware on the Mediterranean business The practice of paint Greek pottery began to decline following the mid-5th century bce . Because of the inherent constraints of your curving container body, ceramic artisans you may no more take on the fresh new fast strides for the naturalism taken because of the artists from large works such as for example wall structure paintings. Immediately following 430 bce ceramic try all the more packed with thick flowery ornamentation and big data labeled with her as opposed to narrative. Because of the fourth 100 years, the new decided decor of ceramic had become a demise ways, plus it got gone away regarding Athens of the 320 bce .
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Corn plantings expected to rise Mexico’s tortilla crisis, which has led to demonstrations in Mexico City, is encouraging U.S. farmers to plant more white corn this spring in hopes of selling it south of the border, traders and growers said. Growing U.S. demand for crop-based ethanol has pushed prices of yellow corn to a 10-year high, which in turn has lifted prices of white corn and the cost of tortilla flat bread that accompanies almost every Mexican meal. White corn is a specialty crop for food, and most yellow corn goes to livestock feed or ethanol production. U.S. farmers can make an extra 55 cents to 60 cents a bushel by growing white corn instead of yellow corn -- an additional $15,730 for a farmer with average yields and 200 acres. Usually, the difference in price is about 25 cents to 30 cents, traders and producers said. “This year there are higher premiums being paid for new-crop corn than what farmers have seen the last couple of years,” said Rod Schlatter, specialty corn and grains manager for Bartlett Grain Co. in Kansas City, Mo. Those higher prices may cause U.S. white corn plantings to rise 25% this year, said Chris Morley, who publishes the Orville Fisher white corn update, an industry newsletter. Farmers planted 620,000 acres last year, up from 604,000 acres in 2005. U.S. white corn plantings hit a high of 1.2 million acres in 1999, he said. Mexico set tariff-free quotas in January to import corn to try to bring down tortilla prices. Mexican tortilla prices skyrocketed in January, climbing 25% to about 10 pesos (91 cents) a kilogram in Mexico City. Tortillas used to sell for about 5 pesos a kilogram.
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Australian art might have been a little different today had a small boy not become fixated on the operations of a blacksmith's shop in Gundagai in 1925. The pile of old horseshoes thrown out at the back of the shop became, to Tom Bass, a totem - something more than its component parts. He became more entranced when he watched the blacksmith make a wheel, the hub, the spokes connecting it to the rim representing energy and binding. For a boy born in poverty in Lithgow - soon to be cast adrift in the Great Depression - the spark of a lifetime's artistic journey was lit. Thomas Dwyer Bass was born on June 6, 1916, the son of Charles Bass, a baker, and Emmeline, nee Bateman. When he was eight the family moved to Gundagai, and it was there that Bass showed his artistic aptitude by drawing anything and everything, including the activities of the scout troop. A local doctor saw his drawings and rebuked his mother for not fostering his talent. Bass also befriended a local artist, Frank Rusconi, the creator of the famous Dog on the Tuckerbox. Bass left school at the age of 15 and worked at a sports shop, shearing sheds and dairy farms, surviving often on rolled oats. In 1937, as a 21st birthday present, he received a copy of Herbert Read's The Meaning of Art, which, he said, ''opened the door to the history and principles of the development of art''. Bass enrolled at the Dattilo Rubbo Art School in Sydney. Rubbo instilled in Bass the idea of reaching inside the subject. He got his students to draw in charcoal, to get the pattern and rhythm of the subject. Bass's career was interrupted by war service. He served in administration in Australia. In 1941 he married an artist, Lenore Rays. His first child, Tim, was born in 1944. Demobilised in 1945, he studied sculpture at the National Art School under Lyndon Dadswell. Graduating in 1948, now with three children, he worked as Dadswell's assistant. That year Bass created his first major work. He worked for Dadswell until 1950, when he returned to the National Art School to teach. Bass became a foundation member of the Sculptors Society and decided his work should be in open spaces. ''Throughout the ages, sculpture has had a totemic function in society, and through sculpture, people, communities and societies have been reminded of the things that have been most important to them,'' he said. Bass became known and was commissioned to do works for schools, universities, government, companies and religious institutions. In 1955 the founding vice-chancellor at the University of NSW, Sir Philip Baxter, commissioned him to do a work for the Kensington campus to introduce something uplifting to the spirit in what could be a soulless place. Over 25 years Bass created 60 major sculptures, including Ethos, a six-metre winged figure in Canberra representing the spirit of the community, the Lintel Sculpture at the National Library, a 23-metre work expressing archival and intellectual values, The Student, at the main gates of the University of Sydney, The Arts and the Sciences, in the niches of its Great Hall, and the Votive Figure of the Sacred Heart at Sancta Sophia College in Sydney. One of his sculptures, a wave-like water feature at the P&O Building in Hunter Street, Sydney, attracted controversy in 1963 when the magazine Oz published a front-page photo depicting it as a urinal. At the subsequent obscenity trial, Bass defended Oz, saying it was ''fair comment''. Bass started his own art school in Sydney in 1974, and began instilling discipline and inspiration in what would become thousands of students. His works were internationally recognised. One stood at the Australian Chancery Building in Washington. Bass's first marriage ended in 1981, and in 1985 he married a doctor, Margo Hoekstra, with whom he had been working and studying for three years. In 1988 he was made a Member of the Order of Australia. Bass embraced Catholicism with intensity, but became disenchanted. It was ''like a love affair'', he said, but his intention had been to find God and God was now ''within me''. In 2003 Bass transferred the running of his sculpture school to a management committee. A major retrospective of Bass's work was held at the Opera House in 2006. The art critic John McDonald spoke of his ''indomitable spirit of perseverance'', adding: ''No artist has done more to shape the face of public art in Australia than Tom Bass.'' Bass is survived by his widow, Margo, his children Tim, Virginia, Anna, Belinda, Marco and Peter, 11 grandchildren and three great-grandchildren.
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When a vulnerable person cannot make decisions for themselves, most people would agree that decisions about care, living arrangements and finances should prioritise their best interests. That is the approach for the UK Court of Protection since the Mental Capacity Act 2005 made clear that the yard stick was best interests, not doing what the person in question would have done (called “substituted judgment”). Although the Supreme Court has made clear that substituted judgment is critical to best interests, I have my concerns about how this all works in practice. The concept of ‘best interests’ originates from the family law arena, where it works well. Society has certain norms as to what is acceptable for a child, for example that they must be kept physically safe, in education and so far as possible living with family. As a trusts lawyer I have acted for children in situations where we could really see the immediate and practical impact of taking a best interests approach. In one instance we were asked to help a disabled girl to access funds from her trust to pay for certain family holidays. We were able to argue that it was very much in her best interests to have those positive experiences. However, the concept can be far more nuanced and complicated in cases involving adults. This is partly because they have likely spent decades making decisions for themselves. For example, how do you properly handle medical decisions for someone who has been a Jehovah’s Witness for 70+ years? There are also difficulties around finances and property, not least because other parties are likely to have strong views on how these should be handled and what is ‘best’. We have even had rulings from the Court of Protection that it may not be in a vulnerable person’s best interests to save tax. It is not hard to see how the concept of ‘best interests’ starts to drift and becomes untethered from an objective anchor. So often what is in one family member’s eyes clearly in someone’s best interests is an anathema to another family member. We frequently see situations, for example, where families and carers disagree over how someone should be looked after. One dispute centred on whether a very vulnerable elderly person should be fed through their nose or mouth. Both adult children had their parent’s best interests at heart, but their opposing views were hard to separate from their sibling rivalry. We have been involved with cases where family members, or even members of staff argue about which country a vulnerable person should live in. Perhaps the most extreme example is where family members were arguing shortly before their parent’s death; worryingly some of the family were keen for their to be a move to a jurisdiction that had highly favourable (i.e. low) death duties. While there is a framework that the Court uses to analyse decisions, it is very much open to a subjective overlay. Experts will often be brought in to assess a situation but if they are new to the family’s situation it is often difficult for them to be able to properly assess or understand the relationships and dynamics within the family that may be having an impact on the situation in question. Practically who controls care staff on a day to day basis – either in terms of reporting lines or paying the bills – can have a significant impact both in the views they express but also what they are prepared to tell experts. Experience has taught us that, often people who have little to no contact with the person in question will present themselves as being very close. What it adds up to is a danger of an overly paternalistic process that is at risk of not taking individuals’ wishes and feelings into account nearly enough; or perhaps more accurately not taking sufficient time to establish what the person’s wishes and feelings are and what they may actually mean in practice. Often it is the latter process, of thinking practically and asking “what does this look like on the ground”, that gets overlooked. This is not to say that substituted judgment is free from problems. It cannot be possible to know for certain what someone would do, particularly where circumstances have changed for themselves, their family or their property. And of course the test itself is open to abuse. We have sadly seen many situations where a relative or carer has helped themselves to a vulnerable person’s money, and have sought to justify this to the police and the judiciary by asserting that the vulnerable person wished them to have it. In my experience, the best outcomes can occur when all parties go and see the individual in question. This may help to understand what they want, and also build a consensus as to the way ahead. Even in very litigious and contentious situations, if you get everyone in a room and point out that we all want what’s best for the vulnerable person, that can build bridges and focus minds. Not always but sometimes that common starting point can be enough to build consensus. With this approach there is far more room for discourse and nuance. It is not as streamlined as applying a blanket test and declaring that ‘best interests’ have been served. But in practice it will likely serve vulnerable people’s interests better. What I would like to see is more guidance from Government specifically on how the Court should navigate the interface between adults’ likely wishes and other people’s views on their ‘best interests’ building on the experience of those in the Court of Protection day-in-day-out. For further information, please contact: Stephen Richards, Partner, Withersworldwide
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Pink against Racism Already in 2020, the head association of all of Duisburg's sports clubs (Stadtsportbund Duisburg, Germany) managed to set a clear signal against racism with its clubs. With t-shirts the athletes made the topic a matter close to their hearts. With numerous actions they showed a clear edge against inhuman behavior and colored Duisburg's sports landscape pink. Since racism is an issue beyond national borders, other sports associations and organizations have joined the campaign. Together, a colorful and varied program for the International Weeks Against Racism (March 14, 2022 - March 27, 2022) is created for the sports clubs. The German Youth Fencing Association supports this and calls on the fencers to show pink! Project Website www.pinkgegenrassismus.de (with google translate) Program 2022: German website with google translate Thinking black-or-white? No, pink! Even if we like to think in black and white, when it comes to fencing, we are a colorful sport. Our fencing clubs show that we live in multiculturalism. International sports friends are always welcome - regardless of their cultural background - we are all the same. The German Youth Fencing Association supports the campaign and calls on all fencing clubs to show their colors. Show PINK from 14 to 27 March 2022 Our vision is to work with you to set a visible sign against inhuman behavior in sport. We would like to implement our vision together with as many member associations and cooperation partners as possible. Through the color pink, our message becomes visible on the web and all other communication channels. Already existing activities and installed programs of sport in North-Rhine-Westphalia are supported and made visible by our project and public attention. Our clear message: Color the sports landscape PINK and stand up against racism! Participate and send a message! We call on you to take part in the action with your members of the sports club. Be loud and put on pink shirts or other pink things when training, talk about the action, and encourage others to join in. Show that fencing is pink and that there is no place for racism. Use the following hashtags on social media: #PinkAgainstEacism #fencing #dfj #FIGHTracism Everyone can take part! We want as many athletes as possible to express their cosmopolitan opinion in the form of pink, hand-made hearts. Regardless of age, gender, origin, or religion - everyone can and should take part. Feel free to upload a photo of your hand-made heart on Insta / Facebook using the following hashtags: #pinkagainstracism #fencing #dfj #FIGHTracism This way, we can draw attention to the action on social media together. You can also send us your photo by email to email@example.com. We will create a collage from all the photos, which we will then publish on our homepage and our social media. And this is how it works: Step 1: Print out the HEART. Step 2: Cut out the HEART along the dotted line. Step 3: Post your heart on social media.
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A new survey has revealed the parts of our homes which are hardly ever cleaned - and it's shown some surprising statistics. The poll of 1,748 British homeowners and renters looked to identify the parts of the home they 'rarely' clean just once every three to six months as well as ‘never’ consider cleaning. It showed that 77 per cent of us rarely clean light fixtures, with 72 per cent only very occasionally wiping down shoe racks and 68 per cent infrequently washing curtains or dusting blinds. And despite the unpleasant odours and stains that can come from spilled food and drinks, six in ten people clean the inside and outside of their fridge just only once every three to six months. Forty-one per cent do not regularly vacuum underneath or behind heavy furniture ; and 44 per cent leave months between making the inside and outside of their microwave spotless. Ivan Ivanov, managing director of End of Tenancy Cleaning London, which commissioned the survey, said: “We all know cleaning is an integral part of the home owning and renting experience, yet, it seems to daunt many of us - particularly, due to the time and effort required. "Many of us end up putting it off or are occupied by a ton of other responsibilities. "This research carefully highlights the aspects of the home that Brits either rarely or never clean. Whilst some may come as no shock, others are highly surprising – given how frequently they are used every day. "Brits certainly need to take a more proactive approach towards cleaning all sections of the house rather than just the essentials. Doing so, will enhance the aesthetics of the home and facilitate a more organised living environment”. The places that are never cleaned... As well as those areas people rarely use a duster on, the survey also looked at which parts of our homes we never clean. Eighty-two per cent said they never bothered to clean their air vents; 75 per cent fail to ever give their grouting a good scrub; and 71 per cent don't ever wipe their remote controls. Door handles are another feature of the home we touch on daily basis, yet 67 per cent confess to never cleaning them. Moreover, bins see a lot of household waste each day and could create the perfect breeding ground for a whole host of bacteria. Despite this, 44 per cent shockingly never see bins as a household object they should consistently be washing with hot water and soap. And the reasons given for this lack of cleaning? Those surveyed said the biggest barriers were long/hectic working hours (30%), children taking-up spare time (26%), find cleaning tedious/unappealing (19%), too many social commitments (17%) and relying/hoping someone else will do the cleaning (8%).
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REVIEW BY PEGI EYERS For millennia, Indigenous societies have acted as the guardians of the web of life, and as keepers of the Original Instructions - ancient wisdom that holds all life on Earth as sacred and animated by spirit. As the environmental movement continues to link with First Nations resurgence, Indigenous people are emerging as today’s leaders. Professor Melissa Nelson (Turtle Mountain Chippewa), Director of The Cultural Conservancy, has edited this powerful collection gathered from the Bioneers Conference, a leading-edge forum of influential environmentalists and social visionaries. More than 30 contemporary Indigenous leaders such as Chief Oren Lyons, Winona LaDuke and John Trudell share their knowledge on topics as far-ranging yet intrinsically connected as community cooperation, resource management, and spiritual education. The root cause of environmental degradation seems to be humanity's disconnect with the natural world, as a sentient being and sacred place. The voices in this book focus on re-imagining the world, and restoring ourselves after the fragmentation of colonization. We have all been colonized, and we need to remember who we are and to experience the sacredness of all life. Whatever the ethnicity or religion, a set of Original Instructions can be found at the heart of all traditions. This book is a must-read for anyone interested in the creation of a new and more ecologically sound worldview, one that will sustain our society in an era of tumultuous change. The Cultural Conservancy Pegi Eyers is the author of Ancient Spirit Rising: Reclaiming Your Roots & Restoring Earth Community, an award-winning book that explores strategies for intercultural competency, healing our relationships with Turtle Island First Nations, uncolonization, recovering an ecocentric worldview, rewilding, creating a sustainable future and reclaiming peaceful co-existence in Earth Community. Stone Circle Press
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After I posted the amazing picture of the Shuttle launch and the F-15E fighter jet last week, I got a nice email from Peter Hugosson-Miller, an avid skydiver. He and some friends went jumping over Florida one day a few years back... in fact, it was on April 24, 1990. If that date sounds familiar, then maybe the picture he sent me will jog your memory: In the foreground are Peter and his jump-buddies, and in the background is the Space Shuttle Discovery launching the Hubble Space Telescope into orbit! How freaking cool is that? The picture was taken by Van Wideman, and just slays me. I remember what I was doing on that very day -- getting ready to start my PhD work using that telescope, an adventure that would last for ten years. At the time, though, it sure felt like jumping out of an airplane... The final launch of Discovery is scheduled for September 16, 2010. Picture credit: Van Wideman, scanned by Peter Hugosson-Miller, touched up a bit by me to clean up blemishes and adjust contrast. Used with permission.
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Sam Boyd Stadium is a football stadium located in Las Vegas, Nevada. The stadium is named after Sam Boyd. The stadium consists of an uncovered horseshoe-shaped single-decked bowl. Temporary seating is occasionally erected in the open north end zone as needed. The stadium is the home of the UNLV football team and was the former home of the CFL's Las Vegas Posse and the XFL's Las Vegas Outlaws. The Stadium is also used for High School football championship games, and at times regular-season high school games for Bishop Gorman High The stadium was completed in 1971 at a cost of $3.5 million. It was originally known as Las Vegas Stadium. The name was changed to the Las Vegas Silver Bowl in 1978 and than Sam Boyd Silver Bowl in 1984 and finally in April 1994 to Sam Boyd Stadium. The seating capacity was 15,000 from 1971 until 1977. The capacity was raised to 32,000 in 1978 and than to 36,800. Since December 18, 1992 the site of the annual Las Vegas Bowl. An $18 million renovation in 1999 raised the seating capacity to 36,800. It hosted the Las Vegas Posse of the CFL in 1994 and the Las Vegas Outlaws of the XFL in 2001. It was the site of all three Western Athletic Conference conference title football games (1996-1998). In 1999 it hosted the CONCACAF Champions Cup soccer tournament. Except from 1999 to 2002 the stadium has had an artificial turf surface.
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Yesterday I had the fortune to be present at two events featuring Elizabeth Johnson, CSJ, Distinguished Professor of Theology at Fordham University in NY and a prolific, challenging and inspiring author. In the afternoon I attended her visit to a small seminar of MAT at St. Catherine’s University, where I teach as an adjunct, and in the evening I attended the public talk co-sponsored by St. Kate’s Myser Initiative on Catholic Identity and Wisdom Ways Center for Spirituality. The afternoon session was informal. No presentation, just dialogue with Johnson, with questions ranging from her recent ecologically-focused work and some of her earlier writings. At one point, when the subject of women in the Church had been raised, someone asked her why she stays in the Church. She spoke about the need to stay in to help move the institution forward and about the value of community. More importantly though is the truth of our faith. In that context, Johnson relayed a story from the event at Fordham a couple of years ago that involved a dialogue between Steven Colbert and Archbishop Dolan of New York. At one point during that, someone asked Colbert why he stays in the Church. As relayed by Johnson, Colbert said, “because the story has a happy ending.” At which point he stood up and walked to the front of the stage and gesticulating, said excitedly, “The tomb was empty!” A good reminder during time when our discussion of various issues involving the Church – whatever they may be (and they vary for different people) – get us frustrated or angry or upset. We have a truth claim about death and resurrection, and above all, that is what matters. In the evening, Johnson focused on the environment, making a case for our concern for the whole of creation and for moving away from a human-centered locus of concern. She grounds her argument in both evolution and Christian claims about creation and Christ, connecting Christ not only to human beings but to all of creation and the world. (For a full exploration of her argument, see her newest book, Ask the Beasts: Darwin and the God of Love.) She ended her talk discussing the need for conversion to the earth, suggesting three aspects to that. First, intellectual conversion, that is, a turn from a human-centered to a God-centered view that has room for seeing all creation as meaningful. Second, emotional conversion, by which she means a need to feel compassion for all living creatures and all of nature. And finally a practical conversion that calls us to think about all of our choices in terms of their effect on the environment. It may be that Johnson overstates in saying that Pope Francis’ recent encyclical, Laudato si, is the most important encyclical ever written by a Pope. But no one can ignore the damage we are doing to our home and the importance of taking action to preserve it.
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If you’ve got a structurally sound substrate and a short timetable, a self-leveling overlayment may be your best option for refurbishing an existing floor in either a home or a commercial establishment. From featheredging to multiple layering, today’s quick-curing products are mostly used to even out horizontal surfaces, raise floor levels to match new thresholds or breathe new life into old floors without the fuss and expense of tearing up or troweling over. Most resurfaced areas can be open to foot traffic within two to six hours and to electricians, plumbers and other “trade traffic” in a day. Some people say self-leveling concrete and self-leveling toppings are the same thing. Others contend self-leveling concrete is used full-depth while toppings are applied to an existing base. Many divide self-leveling concrete into two categories: underlayments that need some type of covering like carpet or tile, and overlayments that can be covered or decoratively finished as a wear surface. But all agree with this definition from Ray Kaligian, director of Levelrock business and product development for USG Corp.: “Self-leveling concrete by design is meant to be poured or pumped onto a surface, and the slurry seeks its own level or moves out on its own without a lot of labor on the contractor’s end. In contrast, regular concrete typically is designed to have body so it stays in the shape it’s poured in.” Just like regular concrete, self-leveling overlays can be integrally colored, stained, stenciled, saw-cut, sandblasted or polished. In rare instances, contractors have used dry-shake color and other hardeners with some success. You can use inlays before pouring and you can add glass or aggregate to some mixes. About the only thing you can’t do to self-leveling concrete is stamp it. The pattern would simply self-level because it’s so fluid. That makes taping designs out of the question, too. One company even makes a self-consolidating countertop mix – Quikrete. Others say that you could use their self-leveling products for countertops, but they acknowledge their mixes were not designed for it. A wide variety The ingredients in self-leveling products vary widely, says Scott Thome, director of product services for L.M. Scofield Co. Some are made with sand, cement and a binding polymer. Others feature blended cement, gypsum and special modifiers. Still others contain superplasticizers, which give concrete the flowability of a mixture with a much higher water content. “None are really the same,” Thome says. “They are designed for the same use, but they don’t share the same chemistry.” “Superplasticizers can give concrete 8 to 12 inches slump without your adding more water, and they are also used in many overlay products to increase flexibility and ease of spread,” says Rich Cofoid, national sales manager for Increte Systems Inc. Self-leveling overlayments are designed to be thinly applied over existing concrete yet provide a compressive strength of anywhere from 4,000 psi to 8,000 psi when completely cured. Manufacturers agree these products don’t behave the way typical concrete does, so there is a learning curve before an applicator is proficient in their use. “Self-leveling is something installers need to be trained for,” says Hendrick Goller, director of marketing for Ardex Engineered Cements. “Most installers can’t just do it out of the gate.” Ardex is among the companies that offer free training seminars to applicators, Goller adds. The company has training centers at its headquarters in Aliquippa, Pa., plus Dallas, Ga., Mansfield, Texas, Anaheim, Calif., Kent, Wash., and Portland, Ore. The Quikrete Cos. makes a fast-setting, self-leveling floor resurfacer that’s designed to be poured in strips and doesn’t require any mechanical finishing. “It’s self-mending,” says marketing vice president Frank Owens. “Just pour it in one-foot-wide strips adjacent to each other and it will all blend together.” You can use a gauge rake, he adds, but you don’t have to. Quikrete also offers a normal-set, self-leveling resurfacer and polymer-modified concrete resurfacer. Although most self-leveling products are designed for indoor use only, the Quikrete floor resurfacer can be used outdoors as well. However, cautions Owens, “It’s critical that you block the surface from the wind so it cures at a consistent rate. Otherwise you could get shrinkage cracks.” He said Quikrete Concrete Resurfacer is specifically designed for exterior applications. It can be applied with a squeegee. Other companies that make self-leveling products that can be used for interior and exterior applications include CTS Cement Manufacturing Corp. and Ardex. Mapei is currently considering adding one to its offerings. Prep and application Self-leveling overlayments are primarily designed to adhere to concrete substrates at least 28 days old, but some products are tailored to be used over other materials, including plywood, tile or terrazzo floors. Manufacturers that make the more versatile products recommend securing metal lath reinforcement to the floor first before pouring over wood, while others also suggest using a backer board along with a waterproofing product. Regardless, the surface needs to be clean – free of oil or other bond-breakers – before a self-leveler is poured. When applying a self-leveler over concrete, the existing concrete typically needs to be profiled by shotblasting, grinding or scarifying. It then should be primed for maximum adhesion and to ensure the leveler’s best performance. USG’s Levelrock line, however, needs minimal subfloor surface prep, and the base doesn’t have to be roughed up in any manner, says Kaligian. “And where most cementitious products shrink when they set up, ours has a minute amount of expansion. It will expand in nooks and crannies on existing floors and lock itself in place.” Most applicators use a gauge rake or a spreader to help maintain the consistency of the self-leveling pour, which typically ranges from 1/4 inch to about 1 1/2 inches. It can be deeper but it usually isn’t. “Most self-leveling applications are installed at less than an inch thick,” Goller says. When self-leveling concrete was in its infancy, it was dark gray or chocolate in color and was primarily used to level out a floor before tile or carpet was laid, says Paul Koury, president of Westcoat Specialty Coating Systems. Today, self-leveling products largely come in white or light gray – Westcoat introduced its white TC-25 Self-Leveling Cement at World of Concrete in February. Some companies, such as Ultratex Coatings Ltd. and Increte, also offer premixed integrally colored products. “If it’s a large job, we’ll preblend the color,” says Increte’s Cofoid. “If you want integrally colored concrete, we have that capability as well. Just add water.” According to Thome, Scofield discontinued its integrally colored product line because the product had to be altered for each new color. “It was a nightmare,” he says. He cautions contractors to be careful when integrally coloring a mix, because integral colors dehydrate the mix, some more than others. “Every pigment has a different water demand,” he says. “When you’re pouring 1/4 to 3/8 inches thick, it’s more critical to have fluidity than it is with normal concrete.” Also, while the ratio of integral-colored pigment to cement should be the same as with traditional concrete, you will be adding more pigment to self-leveling concrete because the cement content per bag is much higher. “Overlayments have twice the cement content of standard concrete,” says Quikrete’s Owens. “You may have to find out through trial and error how to make the color you want while getting the material to flow properly.” Cofoid says if you’re coloring a mix yourself, liquid is the way to go. “The consistency of the color mixed with machines is more accurate.” Todd Miller, business manager for Mapei’s concrete restoration systems, says his company’s high-flow, high-performance overlayment called Ultratop can be integrally colored with powder pigments or liquid colorant. “We have published guidelines to help you with that process,” he says, “though there is no replacement for performing a suitable-sized mock-up to ensure the desired results are achieved.” The more popular way to color self-leveling overlayments is to use a solvent-based dye or acid stain, Thome says. “Dyes are easy to use on self-leveling toppings because they absorb very well.” Increte’s self-leveling overlayment, New-Crete, accepts acid stains better than regular concrete, Cofoid says. Facing the challenges One of the biggest challenges associated with self-leveling products is that they cost more, says Koury. “And you have to take the time to understand the principals of preparation to get the job done right.” Self-leveling materials pose a particular challenge to applicators because they set quickly. “It takes a fast-moving crew to do the job right,” he says. “They have maybe only 5 to 10 minutes to tie in each mix before it starts to harden. That’s a bit of a challenge. We usually have two people mixing and two people putting down. You have to apply the product wet on wet.” Questions from Readers My concrete kitchen floor is a real mess and very rough because we previously had parquet tiles glued down to it. We know we will need to grind some of the adhesive off, but how smooth should the old concrete be before we pour a new layer? If it fills all the holes, does the old layer need to be super-smooth or just clean? Also, I see conflicting information about primer between the layers. Some sources say I have to use it and others say it is a waste of time. What do you think? Answer from Concrete Decor: Your kitchen floor must be clean and free of all contaminants, like adhesives or grease, etc. The floor does not need to be smooth. In fact, if you can create a surface that feels like 80-grit sandpaper you’ll be setting yourself up for success. It is recommended that you refer to the manufacturer’s guidelines when it comes to applying a bonding primer to your prepared surface before a topping is installed. Manufacturers won’t warranty their product if any single step of the preparation, application and finishing processes is skipped. Lastly, we don’t want to discourage you from doing this type of work yourself because we know nothing about you. However, these kinds of products are recommended for professional use only. That said, don’t be afraid to call on a professional contractor to help with your project. Please contact us if you need help finding a reputable professional in your area.
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|Courtesy of www.dalipaintings.com| Among the masterpieces Dali painted in his later period, Tuna Fishing occupies the most significant places. Dali was later quoted about this painting that he was trying to represent the notion of a finite rather than infinite universe, underscoring the idea "that all the cosmos and all the universe converge in one point, which, in the present case, is the Tuna-Fishing. This accounts for the terrifying energy in this picture! Because all these fish, all those tuna, all the human beings in the act of killing them, personify the limited universe." Dali spent two whole summers (1966 and 1967) to paint Tuna Fishing, a work full of dionysian figures. The picture was a kind of testament, the fruit of forty years of devoted searching for means of visual expression. In it, Dali combined all the styles he had worked in: Surrealism, "refined Pompierism", pointillism, action painting, tachism, geometrical abstraction, Pop art, and psychedelic art. The painting has proved as significant as his 1931 soft watch masterpieces The Persistence of Memory The extraordinary photographic quality of Tuna Fishing is a tribute to Dali's skill, and also to his modernity in using a projector to place directly on to the canvas the images he wished to copy. The images themselves range from Hellenistic sculpture to the cinema. The slaughter of the fish is shown as a bloodbath which might equally well be a gladiatorial scene. The straining muscles and violent postures of the men are like figures on Sistine Chapel Ceiling by Michelangelo, heroically intense and glorying in the kill; by contrast, the authentic fishermen in the background are (literally) less colorful, going about their business with professional detachment.
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So, today we are shaping a new generation of homes and buildings, which in turn will shape us. As we enter one of the most demanding periods in human history and see the reality of what it is, people realize that the question is not, “Can we afford to buy natural insulation materials?”. The real question is: can we afford not to? My name is Remi Loren and I’m the co-founder and CEO of Ekolution. Ekolution is an innovative BuildTech company with more that +25 years of experience from the construction industry in Sweden. Our focus is on the manufacturing and development of carbon negative building technology mainly with our renewable bio-composite materials – Ekolution® Hemp Fibre Insulation and Ekolution Hemp+Lime®. Ekolution is now challenging the construction industry with bio- composites such as building insulation of hemp fiber, acoustic panels and our prefabricated system of hemp-lime panels. Our mission is to provide society with sustainable, healthy, bio-based and energy efficient housing.Climate change is an emergency, and there is no Planet B! With Ekolution and our hemp building materials and building systems we can improve people’s health, buildings can be more cost-effective to run, create new green jobs, spur innovation, create sustainable zero-carbon communities and create the green buildings of the future. The hemp fiber insulation from Ekolution binds more carbon dioxide in the material than is emitted during the entire manufacturing process from seed to finished product. -44 kgCO2 / m3 bound carbon dioxide is present in the material. A really fantastic material! The fact that we have become EPD-certified makes it possible for us to report the environmental impact of our product in a verified, credible and transparent way worldwide. For us, this is also a major step into the commercial market, to make it easier for our customers to verify the information and their climate impact.
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At its core, I find the premise of this article engaging. The argument is made that approaches and philosophies regarding education are grounded in an ‘insider’ perspective, because any child of the West has significant experience with organized and institutionalized education. (p. 22) It is the duty of educators to adopt a ‘Philosophical Mindedness’ that embraces “an ethic of ambiguity, a willingness to question presuppositions, and a disposition of pragmatism.” (p. 22) As well, the article conducts a rapid but engaging survey of existing educational theory, calling on a huge variety of sources from ancient Greece and Rome, through to Christ (p. 19 footnote 25) and modern theorists. By casting a net so large, Christou and Bullock are able to construct a broad description of their term “Philosophical Mindedness.” Overall, we can break down their essay’s key points as such: - Educators should challenge their assumptions and not be complacent to teaching - All aspects of education and how it is provided are flexible, identify your prejudices and foundational beliefs towards education - All educationists – teachers, parents, students – are responsible for a “philosophical mindedness,” questioning the development and efficacy of currently held educational structures and looking towards avenues for improvement However, I did not find this article to be particularly engaging as a result of the linguistic championing of the authors’ perspectives. We can see this grandiose validation in the following quote: “Philosophical mindedness for educationists requires, at the very least, an understanding of the implications of our actions, discourse, and ideas within various and overlapping sphere of educational activity. At its best, it demands an ongoing heroic scrutinizing of our personal, institutional, and collective pedagogical beliefs.” (p. 17) The authors argue that their philosophy is actually ‘heroic’ in significance and anyone who follows it is a champion. Using terms like “philosophical mindedness” and comparisons to thinkers like Socrates and Christ help establish one’s theory at the pinnacle of western philosophical acclaim. One must wonder if describing this approach as a progress-based mindset towards education – where each individual is looking critically at where they are (as a teacher, am I always providing engaging material for the students that help grow their perspectives? Does my classwork always reflect my theory of what education should be?), and how they can continue to grow, is not a more humble and effective methodology. Rather than making a comparison between this and the idols of western theory, why don’t we compare this and the learning habits of a toddler. Toddlers are constantly re-evaluating and re-developing their conceptions of the world, based on new evidence. They explore everything they encounter carefully and develop their own new understandings of the world. Is it not easier to mimic the learning habits of a toddler than those of Socrates? There is an interesting article written about becoming a ‘good programmer.’ It claims that programmers must be dumb and lazy. http://blogoscoped.com/archive/2005-08-24-n14.html Lazy? Why lazy? “Because only a lazy programmer will avoid writing monotonous, repetitive code … [and consider] which software tools make his work easier, which approaches avoid redundancy, and how he can make his work be maintained and refactored easily.” A lazy educationist would be one who avoids strong ties to any philosophy. Rather than working hard to validate my theories by citing the pinnacles of western philosophy, I develop simple, working schemata that dictate my educational practice. On account of them being simple and grounded in day-to-day practice, I can then easily evaluate and change my philosophy when faced with contradictions and conflicts of practice. Dumb? Why dumb? “Because if he’s smart, and he knows he is smart, he will: - Stop learning - Stop being critical towards his own work “But there’s a more crucial point why a good programmer must be dumb. That’s because for him to find the best solutions to his problems, he must keep a fresh mindset and manage to think out of the box (or rather, know its actual shape). In a way this leads to the mindset of a child; incredibly creative because he never heard “no” for an answer.” This description of a dumb programmer is easily transferable to an educationist. By considering ourselves ‘dumb’ we will be constantly reevaluating our approach. This will be easier because we have no hierarchical authority with which to validate our ideas. In terms of a linguistic terminology, I find words dedicated to comical self-deprecation, that inspire humility, to be more effective than those that carry the speaker to lofty heights and pinnacles. To be able to occupy the ‘radical middle’ that Christou and Bullock champion, we need to be able to ‘kill our darlings’ so to speak. By substantiating our ideas on lofty and loaded terminology and thinkers, we inherently make them less flexible. However, by viewing ourselves through an eye of inferiority and humility, we will be inherently looking to advance our methodologies and habits. As a final warning, consider how the article reflects on Jane Roland Martin and her remarks that “this conversation has largely excluded women as subjects and as voices.” (p. 20) Going through the article, many of the direct quotations taken from female thinkers are actually summaries of their thoughts written by men. Feminist thinkers and ideas are discussed through the quotations of Johnson, Reed, Oakeshott and Turcotte. (p. 19-20) One must wonder if Christou and Bullock had been a bit lazier, and gone straight to source texts instead of marching through extensive philosophical criticisms, would they have found more female sources to support their argument that women should have a greater voice in the ‘conversation?’ - Christou, T. M., & Bullock, S. M. (2012). The case for philosophical mindedness. Paideusis, 20(1), 14–23.
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Brief Fact Summary. Defendant purchased a defective wheel, which was installed on an automobile ultimately purchased by the plaintiff through an intermediary. The wheel failed, causing injury to the plaintiff. Synopsis of Rule of Law. Manufacturers must exercise an amount of care commensurate with the reasonably anticipated use of its products beyond the direct purchaser. We have put its source in the law.View Full Point of Law Defendant purchased wheels from a third party, which it installed on its automobiles as part of the production process. The automobile was completed, sold to a dealer, then subsequently sold to the Plaintiff. During the Plaintiffs use of the car, one of the wheels suddenly broke, throwing Plaintiff from the car and causing him injuries. It was found that the wheel had defects which could have been discovered by Buick as part of the production process if the wheels had been inspected, but they were not inspected. The substantive issue is whether Buick (defendant), owed a duty of care to anyone but the dealer that purchased the car from them? Yes, the Defendant owes a duty of care to all who may use their automobiles. Justice Bartlett, CH. J. In his dissent, Justice Bartlett argues that there is no precedent to support this decision, and opines that the situation does not warrant this type of remedy. His analysis rests on the unequal results that would arise when comparing the instant case to an analogous situation involving a wagon, as opposed to a car, which would not result in liability under the majority’s rule. Subsequent resale of the automobiles do not absolve the Defendant of their relationship of privity to the user. As the manufacturer they are responsible for the finished product, which requires ordinary and reasonable testing and inspection of components as well as the whole. The obligation to test/inspect varies with the good; here it was plainly evident that people other than the purchaser would be using the automobile, and that the dealer sold automobiles such as this one. Consequently the Defendant has no defense in saying they were not in privity with the Plaintiff.
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100 years ago, 29-30 in October 1914, the Ottoman Empire launched a war against Russia. The German-Turkish fleet under the command of Rear Admiral Souchon, without declaring war, attacked the Russian Black Sea shores. The enemy attacked Sevastopol and the Russian fleet stationed there, shelled Novorossiysk, Feodosia and Odessa, mined the Kerch Strait. It was a provocation with the aim of calling the Russian government to war. 2 November 1914, the Russian Empire declared war on Turkey. The position of the Ottoman Empire on the eve of the First World War The “sick man” of Europe has long been in a severe crisis. It was especially difficult for Turkey at the beginning of the 20th century. It seemed that only one strong blow was needed to destroy the Ottoman Empire, rotten through and through. At the end of the 19th century, the process of turning the Ottoman Empire into a semi-colony of the great Western powers was completed. Turkey was one of the most backward agrarian countries, whose economy and finances were controlled by the West. Large land tenure was combined with small-scale land use. The peasantry bore almost the entire burden of the tax burden, giving borrowers and usurers up to 30-40% of the crop. In some places even primitive corvee remained. At the same time, agriculture was under the control of Western capital. Things reached the point that Istanbul and a number of other major coastal cities received grain and flour from abroad. Foreign capital had a monopoly on the production and export of Turkish tobacco, controlling entire rural areas. Foreign capital acted as an organizer and master of production, and was interested in the semi-feudal dependence of the peasantry, extremely cheap labor. The industry under the rule of the sultans Abdul-Hamid II (1876 - 1909) and Mehmed V (1909 - 1918), despite the immense natural wealth of the empire, was in a miserable condition. The mining industry was seized by foreign companies, mainly British and French, which received concessions for the development of mineral resources. Due to the privileges of the concessions and the extremely cheap labor force, foreign entrepreneurs received huge profits that did not fall into the Turkish treasury. There were almost no steel-making and engineering industries in Turkey. At the beginning of the century, 3 million pounds of ore were mined in the Ottoman Empire, but around 100 thousand pounds remained for local consumption. The rest was exported and processed at foreign enterprises. Metals returned in the form of finished goods. So, at the end of the 19th century there were only 5 foundry and iron workshops and the entire 6 sawmills throughout the entire Turkish Empire. In fact, Turkey was an agrarian, raw semi-colony of the West. In the empire there were several dozen small enterprises in the food, cloth, cotton, carpet, etc. industries. In addition, there were several military enterprises in Istanbul. Most of the enterprises were concentrated in the capital and several large coastal cities. The remaining areas of the empire actually had no industry, dispensing with medieval artisan workshops. At the same time, almost all of any significant enterprises were in the hands of foreign capital or the comprador bourgeoisie. At the beginning of the 20th century, only about 15% of industry was in the hands of the national bourgeoisie. There was also a significant share of the foreign bourgeoisie (Jews, Greeks, Armenians, etc.), which, to avoid corruption and national pressure, devastating taxes and duties, took the citizenship of a foreign power. As a result, most of the capital was not delayed in Turkey, the income derived from the country's natural wealth, the brutal exploitation of the working population went to the West, or into the pockets of a small group of comprador bourgeoisie. Back in 1881, the Ottoman Public Debt Administration was established, which, with the help of its own administrative apparatus, received government taxes and duties in various parts of the empire to service the Ottoman state debt. The "Administration" included representatives from Britain, France, Germany, Italy, Austria-Hungary, the Ottoman Bank and local major lenders Porta. In 1908, its number increased to 10 thousand people. The whole occupation administration, sucking all the juice out of the country. Moreover, this unit was listed in the Turkish service, the contents of the treasury. Later, foreigners received revenues from the tobacco and salt monopolies, the collection of alcohol and stamp duty, the right to collect state tax in a number of regions and cities, etc. In fact, foreigners began to fully control the finances of the empire. Foreign banks controlled the finances of Turkey. The case went to the establishment of a financial international institution that would replace the Ottoman financial institution. This process was stopped only by the war and the collapse of the empire. Western capital completely satisfied the internal disintegration of the Ottoman Empire, in which dignitaries, major feudal lords, and the highest Muslim clergy ruled. The dominance of the court camarilla, the corruption of bureaucrats, and the unrestrained arbitrariness of officials, including the clergy, determined the inner situation of the empire. A feature of the bureaucratic apparatus, including officers, was an extremely low level of education and culture. So, in the 1898 year, even among the ministers there was not a single person with a higher education. Everywhere there was a treasury, arbitrariness and corruption. All officials, from high dignitaries to small local managers used their position to enrich themselves. In educational institutions there was severe censorship and oppression of the clergy, who suppressed education, science and culture. At the same time, the stability of the empire undermined the national liberation struggle. The authorities responded with brutal terror, inciting national and religious hatred. The ideology was based on Pan-Islamism and Pan-Turkism. The uprisings literally drowned in blood. To maintain the integrity of the empire, an enormous intelligence, gendarmerie and police apparatus was formed. A thousand-strong army of scammers was formed. To suppress the uprisings, they used irregular cavalry (Hamidia - "owned by Hamid"), which attracted Kurds and Karapakhs. Wild horsemen were terrifying in many parts of the empire, especially in the east. So, in 1894-1896. a terrible massacre of Armenians was organized in Western Armenia. This slaughter shook the whole world. About 300 thousand people were brutally murdered. Hundreds of cities and villages were devastated by the Sultan's army, irregular formations, police and religious fanatics. Armenians made up a significant part of the empire's population and during the wars with Russia favored the Russians, especially in Western Armenia, where people hoped to join the Russian Empire. Since the 1880-s, Istanbul began to pursue a policy of genocide. If before the massacre occurred on a case by case basis, now the genocide has become a state policy. Sultan Abdul-Hamid II not only used the policy of "divide and rule", inciting religious fanatics to Christians, but also adopted the aggressive ideology of pan-Islamism. In the Ottoman Empire, ideologues multiplied, explaining the need to unite all Muslims and Turks under the auspices of the Caliph, who was the Ottoman sultan. This ideology has become one of the prerequisites for the participation of Turkey in the First World War. At the same time, the increasing influence of foreign powers on Turkey continued. Traditionally, a strong influence on Istanbul was in England and France. However, at the beginning of the 20th century, the German Empire began to supplant them, which gradually put control of the Turkish armed forces under its control. The Turkish government considered that the Germans represent the “lesser evil” and tried to use Germany to strengthen the army and economy, to weaken the influence of other foreigners. Germany needed the resources of the Ottoman Empire and an ally to put pressure on Britain and Russia. Through the Turkish territory it was possible to go to the Suez Canal and the Persian Gulf. The Armenian question, the struggle in Macedonia and Thrace, the uprising of the Cretan Greeks was a bargaining chip in a big game. These events were usually used by great powers to increase their influence on Porto. In essence, Ports policy was defined in European capitals. So, in the 1897, the Turkish-Greek war began, which arose because of the uprising of the Greeks in Crete. The Ottomans were able to defeat the Greeks, but the great powers forced Porto to sign such a treaty, which led to the loss of Crete. In Crete, autonomy was declared under the “patronage of Europe” and a “peacekeeping contingent” landed. Most of the Muslims were forced to leave the island. Crete joined Greece after the second Balkan war, at the end of the 1913 year. Sultan of the Ottoman Empire Abdul-Hamid II Sultan Mehmed V Young Turkish Revolution The loss of economic and political independence, the chain of defeats in foreign policy and the loss of territories, the cultural influence of the West on the educated part of Ottoman society led to the emergence of a wave of protest. Bourgeois-liberal ideas led to the emergence of the political movement of the Young Turks, who succeeded the “new Ottomans.” Despite the fact that the sultan and his henchmen brutally crushed any manifestation of free-thinking and resistance, having organized a real espionage mania in the country, when people were seized by the slightest manifestation of discontent, the political movement gradually matured into a revolution. The core of the movement was the officers, the most educated part of the population and having the opportunity to get acquainted with European culture and the achievements of advanced thought. The movement also included representatives of the multi-ethnic intelligentsia and students of military and civilian schools. So, back in 1889, the cadet of the military medical school Ibrahim Temo created a secret group whose goal was to save the homeland from tyranny. This cell has established contacts with like-minded people in other educational institutions in Istanbul. Emerged revolutionary cells and abroad. In France, such a group was led by the son of a prominent official, Ahmed Riza Bey. In 1892, a group in the military medical school was opened. But they didn’t take it seriously, the students even got the opportunity to continue their studies. In 1894, a leaflet was issued on behalf of the Ottoman Society for Unity and Progress. They called for a joint struggle of all the peoples of the empire with despotism. The movement increased its influence in the army and naval among officials and cadets of military schools. The authorities took this more seriously and responded with repression. Many were exiled, others fled abroad. However, the ittihadists' cells (from the word "ittihad" - "unity") continued their subversive work. A Central Committee was established. The charter of the movement aimed at ensuring justice, equality and freedom, the country's progress and liberation from foreign bondage. The most important task was to restore the constitutional order in the country. In Europe, pamphlets were printed and distributed around Turkey that branded the bloody regime of Abdul-Hamid II. Sultan was called "mean" and "insane" and even "follower of the devil." In emigration began to publish dozens of newspapers in Turkish, which cursed the regime of "snake and scorpion." The most significant newspapers were published in Paris, London, Geneva and Cairo. Brochures and leaflets that were secretly distributed throughout the Ottoman Empire were also admitted. Ittihadists believed that constitutional reforms would save the country from disintegration and division between the great powers. They hoped that through reforms it was possible to save the dying Ottoman Empire, to renew it. The movement was not united, it was torn apart by contradictions and disputes over the future of the country. The peculiarity of the movement was its multinational composition, among the revolutionaries were Turks, Albanians, Greeks, Armenians, Jews, Arabs, Kurds, etc. In general, revolutionaries were united only by hatred of the sultan. The first congress in Paris was held only in 1902 year. But he did not lead to unity. So, there were two main groups. The Society of Progress and Unity, Ahmed Riza, advocated the unity of the empire, the preservation of the Ottoman dynasty, the unity of all the peoples of Turkey and against interference in the affairs of foreign countries. The Society of Personal Initiatives and Decentralization, headed by Prince Sabaheddin, argued that foreign powers could intervene and advocated a significant decentralization of administrative control and the granting of greater powers to local authorities. Internal splits and unsuccessful conspiracies uncovered by the authorities, new waves of links led to a decline in the movement. A new rise occurred against the background of the revolution in Russia 1905-1907. The leaders of the Young Turks called for "taking an example from the magnificent ideas of the Russian revolution." Sultan, on the other hand, strengthened censorship in order to stop the appearance of reports about the actions of revolutionaries in Russia. Especially Abdul-Hamid feared rebellion in the navy. At this time, many officers joined the Young Turk movement. Authorities responded with mass arrests; more than 200 people were arrested, including 5 generals. In 1906-1907 in the army and navy there were several speeches against the authorities. Speeches against the authorities occurred in a number of major cities. The government even made concessions in a number of places. So, in Erzerum, some taxes were abolished. A revolutionary situation began to take shape in the country. The authorities were able to bring down the revolutionary wave in Anatolia, but in the capital the ranks of the revolutionaries only got stronger. In 1906, a new secret Ottoman Freedom Society was established in Thessaloniki, which gained significant influence among army officers. In 1907, it merged with the Society for Progress and Unity. The new movement was called the Ottoman society of progress and unity. It had two centers: the outer - in Paris and the inner - in Thessaloniki. The committee in Thessaloniki actively promoted and recruited new members in army units located in European Turkey. At the same time, a rapprochement with national parties and groups - the Armenian national-bourgeois parties and groups, the Macedonian liberation movement. In December 1907, the second Young Turks Congress took place in Paris. A general program was formed. Turkey was silent about the future state system of Turkey, but said about the establishment of the constitution and the convening of parliament. The revolution began with Macedonia. Landlessness and land shortages, a huge tax burden, the arbitrariness and corruption of the Turkish administration, religious and national contradictions made this area a constant focus of national and anti-feudal speeches. The port drowned them in blood, but it became increasingly difficult to do, and the pressure of the great powers kept growing. The inability of Istanbul to resolve the Macedonian issue forced Russia and England to decide on the introduction of troops into the region to “maintain order”. The Young Turks decided that this was an opportune time for an uprising to establish a constitution in the country and prevent foreign interference in the affairs of the country. The Paris Center recommended expanding recruitment among the military and youth, creating secret shock groups. The propaganda of the Young Turks in Thessaloniki, among the soldiers, junior and middle officers, was especially successful. Salary delays intensified general discontent in the military. In the spring of 1908, a wave of riots swept through the military units. In the summer, the Sultan made changes in the command of the troops stationed in Macedonia, and ordered the arrests to begin at the Salonik garrison. However, this only intensified discontent. The revolutionary movement embraced almost all the officers. The military did not hesitate to express their discontent, saying that the government leads the country to death and foreign occupation. Local officials also joined the officers. In early July, the 1908 began an uprising. The first was the squad Niyazi Bey. Soon he was joined by detachments from other garrisons. Niyazi-Bey sent a letter to the Sultan, demanding an end to the repressions, the restoration of the 1876 constitution of the year, and the convening of parliament. The Sultan tried to move the parts loyal to him against the center of the uprising, but their composition was propagated by the Young Turks. The head of the punitive expedition was killed. The non-Turkish population of Macedonia began to join the rebels. Macedonian and Albanian nationalist organizations supported the rebels. Army units one after another joined the rebels. The performance turned into a mass uprising. Sultan tried to throw against the rebels from Anatolia. However, all the battalions arriving in Thessaloniki refused to join against the European troops and the rebels. The rebels were supported by thousands of armed Albanians. The authorities were forced to show flexibility. An amnesty was announced to arrested young Turks. Urgent money was found for the payment of salaries to the soldiers. But it was impossible to stop the revolution. In many cities of Macedonia, the Young Turks proclaimed the restoration of the 1876 constitution of the year. On July 23, the Young Turks in Edirne (Adrianople) promised to move the 2 Army Corps to the capital. The Sultan and the government accepted the demands of the revolutionaries. July 24 issued a decree of the Sultan to restore the constitution. The decree promised to convene a parliament. Rallies in support of the constitution swept through the cities of the Ottoman Empire. Political prisoners were freed from prisons everywhere. In Thessaloniki, Istanbul and other cities for several days, there were huge demonstrations. Muslims fraternized with Christians. It seemed that the spring of freedom had come. July 25 Sultan issued a decree on the amnesty of all revolutionaries. About 80 thousand people were amnestied - prisoners and immigrants. However, the joy did not last long. It soon became clear that the Sultan was not going to give in, and the Young Turks were not democrats at all. Attempts by peasants in the Anatolia were suppressed by the local Young Turk committees with the help of gendarmerie. When the Albanians began to demand autonomy, the Young Turks threatened their former allies with artillery. The Young Turks, with the help of the army, suppressed the actions of workers and railway workers in Istanbul, Izmir, Izmit and other cities. It turned out that the Young Turks, in fact, continue the former imperial course. It was a top coup, not a radical revolution, radically changing the political and socio-economic image of the country. Proclamation of the restoration of the constitution at the rally To be continued ...
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The project ‘LoRaWan’ was a project that was something else than we normally would do on my education. This was also the reason I felt like a had to do this when I had the chance. The project had one simple task: “Show the people the air quality in this classroom”. We chose this particular goal because we already complained about this a lot, but no one really did something to make it better. And the fact that we spend almost 6 hours a day in this room with 50+ people made me even more motivated. Especially on the Friday when I felt that the air inside the room was at his worst. So we started, we already had all the hardware we needed, except for the sensor. We did a lot of research to get the best we could get, for the right price. First we looked at what we needed to ‘measure’ the indoor air quality (IAQ). The IAQ can be affected by gasses (including carbon monoxide, radon, volatile organic compounds), particulates, microbial contaminants (mold, bacteria), or any mass or energy stressor that can induce adverse health conditions. We bought a sensor that measures some of these gasses, and made a dashboard for it. This way people inside the classroom could see how ‘good’ the air quality was. Juni 2019 update: We now have around 10 plants in the room to improve the air quality. 🙂
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Many will have a dental emergency at some point in their lives, whether as a result of underlying oral health conditions or injuries. Our Toronto dentists (from our Brookfield Place Dental, Bay Adelaide Dental, King-York Dental, College Park Dental and Richmond-Adelaide Dental locations) provide advice about how to tell if your dental issue is an emergency, and what to do if it is. What is a dental emergency? Any problem with your gums, teeth or mouth that requires immediate dental treatment is a dental emergency. This can specifically include: A Tooth Being Broken, Chipped, or Knocked Out A a chipped or broken tooth is usually repairable, but will need urgent dental care. The dentist may be able to use a filling to repair a fracture or chip, while they may need to use a crown or root canal to address more serious breakage. For teeth that have been knocked out, a dentist may be able to place the tooth back into your mouth if they are contacted and able to provide dental care promptly (within an hour or so of the occurrence). A tooth that has been knocked out has a better chance of taking root again within this time. After approximately two hours, the chances of a tooth taking root again decreases drastically, and you and your dentist may have to consider alternatives. If you experience a toothache you cannot manage with over-the-counter pain medication, first apply ice to the area and contact your dentist as soon as possible, as this is considered a dental emergency. Toothaches should be taken seriously, as they can indicate a number of major dental issues which require urgent care. A lost filling is also serious as it exposes your tooth's interior, weakening its structure. It’s imperative that you see a dentist to have the filling replaced promptly. You can protect the exposed area until you get to the dentist by temporarily replacing the lost filling with a softened piece of sugarless gum. Object Lodged Between Teeth Objects getting lodged between the teeth can be very hazardous and warrant urgent dental care. If you cannot use dental floss to remove the object, do not use anything sharp to dislodge it yourself as this could lodge it even further between your teeth - or injure your gums. Bitten Tongue or Lip If experience bleeding that can’t be slowed after biting your tongue or lip, you need to visit an emergency dental clinic. In the intervening time, apply a clean cloth to the part of the mouth that’s bleeding and apply pressure. Use an ice pack to reduce swelling in the area, and seek urgent dental care. This very painful infection is usually found at the tooth's root and is typically caused by cavities that have been left untreated, severe gum disease or even a chipped tooth. Symptoms can include anything from a bad taste to pain, swollen glands, pus or a fever. An abscessed tooth will usually need to drain the infection and treat it properly through surgery.
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Africa Day Message – Youths urged to seize opportunities to forge for themselves a positive future This comes in a message from the Minister for Youth, Sports and Culture Idith Alexander on the occasion of Africa Day being celebrated today. The full text of Minister Alexander’s message reads: “May 25 marks the Africa Day for all African Nations. On this occasion, Seychelles joins the rest of the world to celebrate this very special day for the African continent. “This year’s theme ‘Harnessing the Demographic Dividend through Investment in Youth’, comes at an opportune time when Seychelles has embarked on a process to double its effort to creating more opportunities and programmes to empower its youth. This will ensure that they live their dreams, achieve their goals and become productive future citizens of tomorrow. “To ensure the success of this theme, all ministries join forces with the Ministry of Youth, Sports and Culture and other relevant stakeholders to work on effective solutions. Special focus could be on investment in the youth engagement, inclusive of socio-cultural and economic development and growth. “Finger pointing would not achieve much, but on the other hand, pulling our resources together as a Nation, through concerted effort, we could find solutions at a time when our youth are vulnerable and being exposed to the ills of society. “I take this opportunity to urge the youth of Seychelles, to make the most of opportunities being offered to them, to envision and forge for themselves a positive and prosperous future, in which they are empowered and to be what they aspire to be. “The future of a sustainable and prosperous Seychelles relies on healthy, socially stable and educated young Seychellois. They are the ones who will determine the future of this country. “We take this occasion, to urge the African Union to commit to Agenda 2063, to make the aspiration of the African People a reality, particularly Aspiration 6 of the Agenda 2063, which places emphasis on: “an Africa whose development is people-driven, relying on the potential of the African people, especially its women, children and the Youth”. “FetAfrik is not only a day of celebration, but also a day of reflection upon our African heritage, our history and how it has contributed to transform us into the prosperous and thriving Seychellois nation that we are today. “I wish you all a ‘Bonne FetAfrik’”. Source: Seychelles Nation
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Rosalie Rendu (1786-1856) Jeanne Marie Rendu was born 9 September 1786 at Confort, a district of Gex in the Jura Mountains. She was the eldest of four girls. Her parents, simple living mountain people and small property owners, enjoyed a certain affluence and true respect throughout the area. Jeanne Marie was baptized the day she was born in the parish church of Lancrans. Her Godfather by proxy was Jacques Emery, a family friend and future Superior General of the Sulpicians in Paris. Jeanne Marie Rendu was three years old when the Revolution broke out in France. From 1790 it was compulsory for the clergy to take an oath of support for the civil Constitution. Numerous priests, faithful to the Church, refused to take this oath. They were chased from their parishes, some were put to death and others had to hide to escape their pursuers. The Rendu family home became a refuge for these priests. The Bishop of Annecy found asylum under the assumed name of Pierre. Jeanne Marie was fascinated by this hired hand who was treated better than the others. One night, she discovered that he was celebrating Mass. She was offended that she had not been told the truth. Later, in a discussion with her mother, she blurted out: Be careful or I will tell that Pierre is not really Pierre. In order to avoid any indiscretion on the part of her daughter, Madame Rendu told her the truth of the situation. It was in this atmosphere of solid faith, always exposed to the dangers of denunciation, that Jeanne Marie was educated. She would make her first communion one night by candlelight in the basement of her home. This exceptional environment forged her character. The death of her father, 12 May 1796, and that of her youngest sister, at four months of age, on 19 July of the same year, shook the entire family. Jeanne Marie, aware of her responsibility as the eldest, helped her mother, especially in caring for her younger sisters. In the days following the Terror, people calmed down little by little and life resumed its normality. Madame Rendu, concerned about the education of her eldest daughter, sent her to the Ursuline Sisters in Gex. Jeanne Marie stayed two years in this boarding school. During her walks in town, she discovered the hospital where the Daughters of Charity cared for the sick. She had only one desire, to go and join them. Her mother gave her consent that Jeanne Marie, in spite of her young age, might spend some time at this hospital. God's call, which she had sensed for many years, made itself clear: she would become a Daughter of Charity. In 1802, Armande Jacquinot, from the village of Lancrans, confided to her friend that she was preparing to leave for Paris to enter the Company of the Daughters of Charity of St. Vincent de Paul. Jeanne Marie leaped at the opportunity and begged her mother to allow her to leave. Having consulted with Fr. de Varicourt, the senior priest at Gex, Madame Rendu, happy, but very emotional at her daughter's vocation, consented to her request. On 25 May 1802, Jeanne Marie arrived at the Motherhouse of the Daughters of Charity, rue du Vieux Colombier in Paris. She was nearly 17 years old! The reopening of the Seminary, (novitiate suppressed by the Revolutionaries) took place in December 1800. On their arrival, the travelers were welcomed by 50 young women in formation. Jeanne Marie was very anxious to give her very best in this new life. Her health was weakened by the sustained mental effort this demanded and by a lack of physical exercise. On the advice of her physician and that of her Godfather, Fr. Emery, Jeanne Marie was sent to the house of the Daughters of Charity in the Mouffetard District for the service of the poor. She would remain there 54 years! The thirst for action, devotion and service that burned within Jeanne Marie could not have found a better place to be quenched than this district of Paris. At the time, it was the most impoverished district of the quickly expanding capital: poverty in all its forms, psychological and spiritual. There disease, unhealthy slums, and destitution were the daily lot of the people who were trying to survive. Jeanne Marie, who received the name Sr. Rosalie, made her apprenticeship accompanying Sisters visiting the sick and the poor. Between times, she taught catechism and reading to little girls accepted at the free school. In 1807, Sr. Rosalie, surrounded by the Sisters of her Community, made vows for the first time to serve God and the poor. She made these vows with great emotion and joy. In 1815 Sr. Rosalie became Superior of the Community at rue des Francs Bourgeois. Two years later the Community would move to rue de l'Epée de Bois for reasons of space and convenience. All her qualities of devotedness, natural authority, humility, compassion and her organizational abilities would be revealed. Her poor, as she would call them, became more and more numerous during this troubled time. The ravages of a triumphant economic liberalism accentuated the destitution of those most rejected. She sent her Sisters into all the hidden recesses of St. Médard Parish in order to bring supplies, clothing, care and a comforting word. To assist all the suffering, Sr. Rosalie opened a free clinic, a pharmacy, a school, an orphanage, a child‑care center, a youth club for young workers and a home for the elderly without resources. Soon a whole network of charitable services would be established to counter poverty. Her example encouraged her Sisters. She often told them: Be a milestone where all those who are tired have the right to lay down their load. She was so simple, and lived so poorly, as to let the presence of God shine through her. Her faith, solid as a rock and clear as a spring, revealed Jesus Christ in all circumstances. She daily experienced this conviction of St. Vincent: You will go and visit the poor ten times a day, and ten times a day you will find God there ... you go into their poor homes, but you find God there. Her prayer life was intense, as a Sister affirmed, ... she continually lived in the presence of God. Even if she had a difficult mission to fulfill, we were always assured of seeing her go to the chapel or finding her on her knees in her office. She was attentive to assuring that her companions had time for prayer, but sometimes there was a need to leave God for God as Vincent de Paul taught his Daughters. Once, while accompanying a Sister on a charitable visit, she said to her: Sister, let's begin our meditation! She suggested the plan, the outline, in a few simple, clear words and entered into prayer. Like a monk in the cloister, Sr. Rosalie walked with her God. She would speak to God of this family in distress as the father no longer had any work, of this elderly person who risked dying alone in an attic: Never have I prayed so well as in the streets, she would say. One of her companions remarked that, the poor themselves noted her way of praying and acting. Humble in her authority, Sr. Rosalie would correct us with great sensitivity and had the gift of consoling. Her advice, spoken justly and given with all her affection, penetrated souls. She was very attentive to the manner of receiving the poor. Her spirit of faith saw in them our lords and masters. The poor will insult you. The ruder they are; the more dignified you must be, she said. Remember, Our Lord hides behind those rags. Superiors sent her postulants and young Sisters to be formed. They put in her house, for a period of time, Sisters who were somewhat difficult or fragile. To one of her Sisters in crisis, she gave this advice one day, which is the secret of her life: If you want someone to love you, you must be the first to love; and if you have nothing to give, give yourself. As the number of Sisters increased, the charity office became a house of charity, with a clinic and a school. She saw in that the Providence of God. Her reputation quickly grew in all the districts of the capital and also beyond to the towns in the region. Sr. Rosalie knew how to surround herself with many efficient and dedicated collaborators. The donations flowed in quickly as the rich were unable to resist this persuasive woman. Even the former royalty did not forget her in their generosity: The Ladies of Charity helped in the home visits. Bishops, priests, the Ambassador of Spain (Donoso Cortéz), Carlo X, General Cavaignac, and the most distinguished men of state and culture, even the Emperor Napoleon III with his wife, were often seen in her parlor. Students of law, medicine, science, technology, engineering, teacher‑training, and all the other important schools came seeking from Sr. Rosalie information and recommendations. Or, before performing a good work, they asked her at which door they should knock. Among these, Blessed Frederick Ozanam, co‑founder of the Conferences of St. Vincent de Paul, and the Venerable Jean Léon Le Prevost, future founder of the Religious of St. Vincent de Paul, knew well the road to her office. They came, with their other friends, to Sr. Rosalie seeking advice for undertaking their projects. She was the center of a charitable movement that characterized Paris and France in the first half of the 19th century. Sr. Rosalie's experience was priceless for these young people. She directed their apostolate, guided their coming and going in the suburbs, and gave them addresses of families in need, choosing them with care. She also formed a relationship with the Superioress of Bon Saveur in Caen and requested that she too welcome those in need. She was particularly attentive to priests and religious suffering from psychiatric difficulties. Her correspondence is short but touching, considerate, patient and respectful towards all. Hardships were not lacking in the Mouffetard District. Epidemics of cholera followed one after another. Lack of hygiene and poverty fostered its virulence. Most particularly in 1832 and 1846, the dedication shown and risks taken by Sr. Rosalie and her Sisters were beyond imagination. She herself was seen picking up dead bodies in the streets. During the uprisings of July 1830 and February 1848, barricades and bloody battles were the marks of the opposition of the working class stirred up against the powerful. Archbishop Affre, Archbishop of Paris, was killed trying to intervene between the fighting factions. Sr. Rosalie was deeply grieved. She herself climbed the barricades to try and help the wounded fighters irrespective of the side they were fighting on. Without any fear, she risked her life in these confrontations. Her courage and sense of freedom commanded the admiration of all. When order was reestablished, she tried to save a number of these people she knew and who were victims of fierce repression. She was helped a great deal by the mayor of the district, Dr. Ulysse Trélat, a true republican, who was also very popular. In 1852, Napoleon III decided to give her the Cross of the Legion of Honor. She was ready to refuse this individual honor but Fr. Etienne, Superior General of the Priests of the Mission and the Daughters of Charity, made her accept it. Always in fragile health, Sr. Rosalie never took a moment of rest, always managing to overcome fatigue and fevers. However, age, increasing infirmity, and the amount of work needing to be done eventually broke her strong resistance and equally strong will. During the last two years of her life she became progressively blind. She died on 7 February 1856 after a brief acute illness. Emotions ran high in the district and at all levels of society in both Paris and the countryside. After the funeral rite at St. Médard Church, her parish, a large and emotional crowd followed her remains to the Montparnasse Cemetery. They came to show their respect for the works she had accomplished and show their affection for this out of the ordinary Sister. Numerous newspaper articles witnessed to the admiration and even veneration that Sr. Rosalie received. Newspapers from all sides echoed the sentiments of the people. L'Univers,the principal Catholic newspaper of the time, edited by Louis Veuillot, wrote as early as 8 February: Our readers understand the significance of the sadness that has come upon the poor of Paris. They join their sufferings with the tears and prayers of the unfortunate. Il Consitutionnel,the newspaper of the anticlerical left, did not hesitate to announce the death of this Daughter of Charity: The unfortunate people of the 12th district have just experienced a regrettable loss. Sr. Rosalie, Superior of the Community at rue de l'Epée de Bois died yesterday after a long illness. For many years this respectable woman was the salvation of the numerous needy in this district. The official newspaper of the Empire, le Moniteur, praised the kindly actions of this Sister: Funeral honors were given to Sr. Rosalie with unusual splendor. For more than fifty years this holy woman was a friend to others in a district where there are many unfortunate people to care for and all these grateful people accompanied her remains to the church and to the cemetery. A guard of honor was part of the cortege. Numerous visitors flocked to the Montparnasse Cemetery. They went to meditate at the tomb of the one who was their salvation. But it was difficult to find the gravesite reserved for the Daughters of Charity. The body was then moved to a more accessible site, close to the entrance of the cemetery. On the simple tomb surmounted by a large Cross are engraved these words: To Sister Rosalie, from her grateful friends, the rich and the poor. Anonymous hands brought flowers and continue to bring flowers to this gravesite: a lasting yet discreet homage to this humble Daughter of St. Vincent de Paul.
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Once upon a time, there was a Princess much beloved by the people, one who bemoaned the persistence of press intrusion until she wanted to showcase an exclusive couture outfit at a movie premiere or plug a charity she was sponsoring. The press responded by reporting what she wanted them to report, but also what she didnât. When she suddenly died before her time the press changed tack and bestowed secular sainthood upon Englandâs Rose, in synch with the readership they were terrified of losing. However, whilst some who had once formed part of the Princessâs inner sanctum outwardly exhibited the same fawning posthumous worship of her immortal memory, their actions behind the scenes were not necessarily compatible with the signals they were sending out to the bereaved nation. Unlike the emotional blackmail that can govern relationships within a family, friendships are the result of choice and often offer mutual dependency of a kind that enables us to survive our worst life experiences; and the beauty of friendship is that the roles swing back and forth. There are times when that one friend has been the lighthouse discerned through the fog and although modesty prevents us from admitting to having been their very own lighthouse-keeper, they assure us thatâs exactly what we were when that was exactly what they needed. Family can do everything to you that Larkin attributed solely to parents and still expect you to love them regardless, whereas there is a deep understanding between friends that gives friendship its purity, an unspoken contract that specifies how you treat each other. If you shit on your family, theyâre still your family; if you shit on your friends, the friendship is over. For those afflicted by fame, friendships must be less secure in terms of judging the other personâs motivations. Is the friendship founded on the fact youâre famous? Would the other person still be interested in you were you not a household name? Even if their intentions are genuine, should a split occur, there is the undoubtedly tempting lure of the Bank of Murdoch cheque book. Non-famous folk fall out with a friend and the only comeback is badmouthing within a small circle or even (as is more commonly the case today) on social media; famous folk do it and the prospect of dirty linen being washed in public with a far wider audience available than Facebook can boast is a distinct possibility. The Princess who starred in paragraph one was perhaps the most famous person on the planet for the last sixteen or seventeen years of her life; and she had a particular employee whose opinion of his own importance to her became something of a nauseating industry in the aftermath of her death. Letâs just call him âRockâ (as in Hudson), yeah? That was, after all â according to him, anyway â his role in her household. If, however, he performed that role for the Princess, one we have already established as the true backbone of friendship, he didnât really honour that role once she was gone, did he? Less than a couple of years after her demise, he published a best-seller chronicling his Rock status, and just three years later he was in court, charged with theft of her possessions. Fortunately for Rock, he evaded a sentence by virtue of Brendaâs accidental (?) intervention and the consequent issuing of a Public Interest Immunity certificate by the CPS, something that officially labelled any further revelations as being harmful to the public interest. Eleven years (and three more memoirs) on from the Princessâs death, Rock was back in the headlines when he appeared at the inquest into that death. The coroner at the inquest, Lord Justice Scott Baker, surmised he must be a rather porous rock, given what had seeped from him since 1997, and the bad publicity Rock received as a result of his part in the inquest led him to question the wisdom of approaching a chap called Max to handle his public image, someone who had a long track record of managing media parasites. Mad Max was not necessarily the most trustworthy person to hire for the purposes of minimising negative press coverage. Rock was persuaded to impart secrets to his new publicist in order that Max might prevent them from leaking to the tabloids, ones that surprisingly didnât make the final edit of his honourable memoirs. Yet, this is precisely what happened, particularly with regards to that late bastion of virtuous probity, the News of the World. During that brief period when open war was declared on the Murdoch Empire and the public optimistically harboured naive hopes that the guilty parties would pay for their crimes, faxes were uncovered from Max, ones that apparently revealed some of the secrets Rock had offloaded onto his PR guru at the time of their initial union, sent directly to the dark heart of Wapping. Since the heady frenzy of 2011, a lot has changed. Friends of Dave, Coulson and Pre-Raphaelite innocent Brooks have been exonerated, King Rupert remains the most powerful media magnate in the world, and poor old Max is currently slopping out with the worst of them at Her Majestyâs pleasure. Fearful of the damage that could be done to a career that has encompassed such indisputable high points as âIâm a Celebrity…Get Me out of Hereâ, âCelebrity Stars in their Eyesâ, and not forgetting the landmark âAustralian Princessâ, Rock has decided to kick Max while heâs down and is suing his ex-publicist for alleged breach of confidentiality. Last week, the High Court ruled in favour of Rock in his bid to stop Max from revealing any more of the information he passed on over a decade ago, presumably so he can save it for his next memoir. Max, of course, is at something of a disadvantage at the moment; he proclaims the actions of Rock would damage his career, though itâs hard to think of anything more damaging than doing time for indecent assaults on underage girl in the 60s, 70s and 80s. Nevertheless, Max is protesting his innocence, regardless of the High Court decision. Rock, sensing he has the unlikely possession of the moral high ground for once, will no doubt pursue the case and probably win it. Such are the financial rewards for exposing the clandestine foundations of friendship these days. Attempting to decide which party is more despicable than the other in this unedifying case is akin to deciding whether or not youâd hire Myra Hindley or King Herod to babysit. We are witness to the ghastly spectacle of two scruples-free cockroaches grappling in a pit of excrement, dragging the beautiful concept of friendship down to their own immoral level, one in which there are no winners, just losers in that great marathon we call the human race.
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Photo By lightwavemedia at Shutterstock Living in Katy, TX, you need your air conditioning system to function smoothly without running into any sort of issues. To ensure that the AC unit operates efficiently, you need to make sure that you call in air conditioner repair service regularly for maintenance. Like all other electrical appliances, it’s expected that the air conditioning system would go through a little wear and tear with regular usage and a few technical issues might come up later on as time passes. You need to pay proper attention to the maintenance and service requirements of the unit, for it to stay in working condition and function properly. You’d save more money if you scheduled maintenance visits from your air conditioner repair serviceat least once to twice a year. That way it’s less likely that your AC unit would have an unexpected breakdown. We’ll cover everything that will help you keep your air conditioning unit in perfect condition. You’ll also be able to figure out when you need to call in air conditioner repair service. Understanding the Workings of an Air Conditioner If you have only used fans or window ACs in the past, it’s possible that you have never dealt with a central air unit before. But now you’re looking for air conditioner installation so you can get a central AC system for your place as well. It’s a good idea to gain some knowledge about it before you move ahead. It operates in a similar manner to that of a refrigerator but on a bigger scale. Basically, the air conditioning unit changes gas to liquid and once again to gas, making use of chemicals that remove the heat from the air, letting it out of the room. Do You Really Need AC Maintenance? You need to give the same sort of care to your AC unit that you give to your car for it to function efficiently. If you’re regular with its maintenance you’d be able to prolong the lifespan of your AC unit. Owning a well-maintained system would help you save a significant sum of money spent on getting it fixed or replaced. If you hire an air conditioner repair service in to even just replace the air filters, you’d notice the difference in air quality and it will eventually boost its performance. Remember to Turn off the Power Supply to the AC In case you’re getting a heating and ac system repaired or installed, the first thing you need to do is to shut off the power supply to the unit. Turning off the power supply to the AC unit is necessary because you don’t want yourself or the person you’ve hired for the job to get electrocuted. It also protects the equipment and the system itself. Be sure to check if the system is shut, by trying to turn it on from the thermostat. Learn to Clean the AC Condenser Unit In order to preserve the investment you’ve made in the air conditioner and ensure its efficiency, you must clean the outdoor condenser unit every year. You’re free to do the cleaning of your unit in your backyard on your own. But if you’re struggling to find the time or space, it’s better to hire an air conditioner repair service to do the cleaning. It’s becomes more important that you clean the condenser, if you’ve placed your unit where leaves or weeds are likely to get stuck in it. Ensure That the Condenser Unit Is Leveled Although it’s much of a challenge to move your air conditioning unit, but in case the unit is not kept leveled, it would be unable to work well and result in leakage of the refrigerant. We advise you to check at least one time each year, if your unit is leveled. Learn to Clean the Evaporator Coil Evaporator coils in the AC unit are vital to keep your place cool. They’re job is much more than just cooling things up, they’re responsible to eliminate moisture from the air that creates humidity. As the coils become damp from the condensation, the dirt and dust gets collected making them dirty. The AC unit struggles to work efficiently once the coils become dirty, but you can clean them easily. What to Do in Case of a Clogged Condensate Drain Line? The moisture from the unit is removed with the help of the condensate drain line. It stops the moisture to buildup in the coil keeping it away from the unit. As the drain line remains wet the whole time, its serves as a breeding ground for mildew and mold, that can make the drain to get clogged. In case this happens, you should hire a good air conditioner repair service in the Katy, TX area to fix things up. Learn to Change the Blower Filter The air filter in the air conditioning unit can get covered with dust over time. It’s surprising the amount of dust that gets deposited on the filters in a short amount of time. If you don’t clean the air filters of your AC unit, it might not function as well as you expect it to. So, you should change the filters on a regular basis. It’s an easy job that you can do by yourself, this would make the unit more efficient and improve the air quality. Programmable Thermostats for Adjusting Home Temperature We advise you to call an air conditioner repair service in the Katy, TX area to get a programmable thermostat installed at your place as well. If it’s arranged in a proper manner, it’ll help to keep the home comfortable by adjusting the temperature automatically all day. This investment would help you to save money and manage the cooling of your place. Time to Let the Professionals Handle the Situation Like we’ve mentioned before, you need to give regular maintenance and service to the AC unit for it to function without any having any sort of glitches. Although you can fix many of the issues on your own, it is not recommended as you may cause more harm than good. For proper maintenance, you should contact Cypress Heating and Air. They are a highly recommended air conditioner repair service in the Katy, TX area.
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Chain grocery retailing was a phenomenon that took off around the beginning of the twentieth century in the United States, with the Great Atlantic and Pacific Tea Company (1859) and other small, regional players. Grocery stores of this era tended to be small (generally less than a thousand square feet) and also focused on only one aspect of food retailing. Grocers (and most of the chains fell into this camp) sold what is known as “dry grocery” items, or canned goods and other non-perishable staples. Butchers and greengrocers (produce vendors) were completely separate entities, although they tended to cluster together for convenience’s sake. Clarence Saunders’ Piggly Wiggly stores, established in Memphis in 1916, are widely credited with introducing America to self-service shopping, although other stores (notably Alpha Beta in Southern California) around the country were experimenting with the idea at about the same time. Self-service stores came to be known as “groceterias” due to the fact that they were reminiscent of the cafeteria-style eateries that were gaining popularity at the time. In Canada, Loblaw Groceterias, established in Toronto in 1919, also became a major player in the self-service field. The Chain Store Explosion (1920s): It was not until the 1920s that chain stores started to become a really dominant force in American food (and other) retailing. Small regional chains such as Kroger, American Stores, National Tea, Loblaws, and Dominion Stores, and others began covering more and more territory, and A&P began moving toward a more national profile, operating over 10,000 of its “economy stores” by the end of the decade. Most of these stores remained small, counter service stores, often staffed by only two or three employees, with no meat nor produce departments. Some still offered delivery and charge accounts, although most chain stores had abandoned these practices. In 1926, Charles Merrill, of Merrill Lynch set in motion a series of transactions that led to the creation of Safeway Stores, when he arranged the merger of Skaggs Cash Stores, a chain with operations in Northern California and the northwestern United States, with Los Angeles-based Sam Seelig Stores. In 1928, the new chain bought most of the west coast’s Piggly Wiggly stores, and later acquired Sanitary Stores in the Washington DC area as well as MacMarr Stores, another chain that Charles Merrill had assembled. Growth by merger became common in the late 1920s and 1930s, and led to numerous antitrust actions and attempts to tax the chain stores out of existence. The Supermarket (1930s and 1940s): As early at the 1920s, some chain grocers were experimenting with consolidated (albeit still rather small) stores that featured at least a small selection of fresh meats and produce along with the dry grocery items. In Southern California, Ralphs Grocery Company was expanding into much larger stores than had been seen before in most of the country. Los Angeles was also seeing the beginning of the “drive-in market” phenomenon, where several complimentary food retailers (a butcher, a baker, a grocer, and a produce vendor, for example) would locate within the same small shopping center surrounding a parking lot. These centers were often perceived by customers as a single entity, despite being under separate ownership. In 1930, Michael Cullen, a former executive of both Kroger and A&P, opened his first King Kullen store, widely cited as America’s first supermarket, although others have some legitimate claim to that title as well. King Kullen was located in a warehouse on the fringes of New York City, and offered ample free parking and additional concessions in a bazaar-like atmosphere. Merchandise was sold out of packing cartons and little attention was paid to décor. The emphasis was on volume, with this one store projected to do the volume of up to one hundred conventional chain stores. The volume and the no frills approach resulted in considerably lower prices. The supermarket, as it came to be known, was initially a phenomenon of independents and small, regional chains. Eventually, the large chains caught on as well, and they refined the concept, adding a level of sophistication that had been lacking from the spartan stores of the early 1930s. In the late 1930s, A&P began consolidating its thousands of small service stores into larger supermarkets, often replacing as many as five or six stores with one large, new one. By 1940, A&P’s store count had been reduced by half, but its sales were up. Similar transformations occurred among all the “majors”; in fact, most national chains of the time saw their store counts peak around 1935 and then decline sharply through consolidation. Most chains operated both supermarkets and some old-style stores simultaneously for the next decade or so, either under the same name (like Safeway, A&P, and Kroger) , or under different banners (such as the Big Star stores operated by the David Pender Grocery Company in the southeast). A&P and Safeway also entered Canada in the late 1920s and joined Loblaws and Dominion Stores as the major players at mid-century. Suburbs and Shopping Centers (1950s and 1960s): By the 1950s, the transition to supermarkets was largely complete, and the migration to suburban locations was beginning. Some chains were more aggressive with this move than others. A&P, for example, was very hesitant to expend the necessary capital and move outward, retaining smaller, outdated, urban locations for perhaps longer than was prudent. While the company tried to catch up in the 1960s, its momentum had vanished, and the once dominant chain eventually became something of an “also-ran.” The 1950s and 1960s were seen my many as the golden age of the supermarket, with bright new stores opening on a regular basis, generating excited and glowing newspaper reports, and serving a marketplace that was increasingly affluent. Standardized designs, in use since the 1930s and 1940s, were refined and modernized, creating instantly recognizable and iconic buildings such as A&P’s colonial-themed stores; the glass arch-shaped designs of Safeway, Penn Fruit, and others; and the towering pylon signs of Food Fair and Lucky Stores. The modernist stores opened by Steinberg in Ontario and Québec are still striking today, despite their conversion to other brands like Provigo, Food Basics, and Metro. Discounters and Warehouse Stores (1970s): As changing tastes and zoning boards forced exteriors to become more “subdued” in the late 1960s, interiors began to compensate, with colorful designs evoking New Orleans or the “Gay 90s” or old farmhouses replacing the stark whites common to many stores of the 1950s. Other new touches included carpeting, specialty departments, and more. Kroger’s new “superstore” prototype, introduced in 1972, was perhaps the peak of this trend, with its specialty departments and its orange, gold, and green color palette. Many shoppers, however, wondered what the costs of these amenities might be, and something of a backlash developed. This backlash was answered in the late 1960s with a new trend known as “discounting.” Numerous stores around the country embarked on discounting programs at about the same time, most of which centered around the elimination of trading stamps, reduction in operating hours, and an emphasis on cost-cutting. Lucky Stores of California simply re-imaged their current stores and kept using the same name, while others opted for a hybrid format, with some stores operating traditionally and others (such as Colonial’s Big Star stores and Harris Teeter’s More Value in the southeast) open as discounters under different names. A&P, as was its custom at the time, arrived somewhat late and unprepared for this party. It attempt at discounting, WEO (Warehouse Economy Outlet) was something of a disaster, plagued by distribution issues and by the fact that its numerous smaller and older stores were not capable of producing the volume required to make discounting work (but were converted anyway). This was one of several factors that preceded A&P’s major meltdown of the mid-1970s. Upscale Stores, Warehouses, and Mergers (1980s and 1990s): The market segmentation we see today grew out of the discounting movement as amplified in the 1980s. The middle range began to disappear, albeit slowly, as mainline stores went more “upscale” and low end stores moved more toward a warehouse model, evocative of the early supermarkets of the 1930s. Many chains operated at both ends of the spectrum, often under different names (Edwards and Finast was an example, as were the many A&P brands, from Futurestore to Sav-a-Center to Food Basics). In Canada, Loblaws pioneered with its No Frills franchises, often housed in former Loblaws locations, and the Oshawa Group opened Price Chopper warehouse stores in many of the Safeway locations it had recently purchased in Ontario. Others eliminated one end of the market completely, like Harris Teeter in North Carolina, which abandoned discounting entirely. The re-emergence of superstores, featuring general merchandise and groceries under one roof accelerated this trend. Many such stores had opened in the early 1960s, some of them operated by chain grocers themselves. Only a few survived, Fred Meyer in Oregon being a noteworthy example, and “one stop shopping” seemed a relatively new and fresh idea when Kmart and Walmart tried it again, with considerably more success, starting around 1990. Loblaws opened Real Canadian Superstores, initially under a variety of locally varying names. The other big trend during this time was toward mergers and leveraged buyouts. This affected almost all the major chains. A&P was sold to German interests. Safeway took itself private in 1987 to avoid a hostile takeover, and lost half its geographical reach in the process. Kroger slimmed down somewhat in 1988 for the same reasons, while Lucky was acquired by American Stores the same year. Another round of mergers in the 1990s placed American Stores in the hands of Albertsons, reunited Safeway with much of its former territory, and greatly increased the west coast presence of Kroger, making these three chains the dominant players in the industry, along with Walmart. All of which brings us to the present, which is not what this site is about, so I’ll leave any further mention of big box retailers, new players like Whole Foods and Trader Joe’s, and subsequent mergers to future historians, and invite you to continue exploring the past at Groceteria.com.
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Ellen Miller, executive director for the Center for Aging & Community, discussed former Supreme Court Justice Sandra Day O’Connor’s dementia diagnosis on WIBC. Excerpt: “When someone is first diagnosed they can function as a part of society for many years in the early stages of any kind of dementia,” said Miller. “It’s kind of a sad thing, I think, that people feel like they need to remove themselves just because they have a disease process.” Miller said she believes the stigma surrounding Alzheimer’s is damaging.
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NHS, EWMS hold Veterans Day programs Published 12:00 am Wednesday, November 13, 2019 As President Ronald Reagan’s motivational speech, A Soldier’s Pledge, played over the loud speakers during Northview High School’s Veterans Day program Nov. 7, all sat up in their seats a little straighter. This was one of many area events held to honor those who are serving and have served in the United States military, including the Navy, Marine Corps, Air Force and Coast Guard. The event at NHS, which was led by the school’s Navy Junior Reserve Officers Training Corps (NJROTC), recognized the meaning of the United States Flag and more. Speaker Tyler Reeves, who graduated from Crestview High School, received his bachelor’s degree from Huntingdon College in 2011, and served as a 13F Fire Support Specialist in the Army from 2012-2015, according to the school’s website. He is a former college football player, and teaches world history and coaches football as the offensive line coach. Reeves spoke about honoring true heroes, and referred to those who served in World War I. He also spoke about how veterans deal with another foe, post traumatic stress disorder, and the origins of Veterans Day, which was known as Armistice Day. Reeves said the cycle of war and peace never stops after speaking on World War II. He said veterans are owed a lot. “Every freedom we possess, our thanks for them are owed to veterans,” he said. During Ernest Ward Middle’s annual Veterans Day program Nov. 8, the school choir sang a couple of patriotic selections. Additionally, the United States Navy Choir, represented by Corry Station and Pensacola Naval Air Station sang a couple of songs. The middle school drama club presented “Dear Soldier,” a letter read by approximately six students. Guest Speaker Escambia County School District Superintendent Malcolm Thomas, also a veteran, noted the students’ assemblage of a multi-sided mural in honor of veterans. “We get to celebrate freedom like no other,” Thomas said. “There’s no better country on the planet.” Thomas said when he thinks of veterans, they are the real superheroes. “These are real mean and women who put aside all desire to put on a uniform,” he said.
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An Orbital ATK‘s Cygnus spacecraft has departed the NASA‘s International Space Station after a 72-day stay there for astronauts to collect cargo and supplies for science experiments on the ISS. Cygnus unloaded 7,700 pounds of cargo for the OA-4 mission under a Commercial Resupply Services contract position Orbital ATK holds with NASA, the company said Monday. Cygnus left the ISS Friday, then re-entered Earth's atmosphere and burned upon arrival east of New Zealand and above the Pacific Ocean on Feb. 20 with 3,000 pounds of items the space station crew loaded onto the spacecraft for disposal. “We now turn our efforts toward final preparations for the next Cygnus cargo mission in March with a continued focus on supporting the needs of the crew members aboard the ISS,” said Frank Culbertson, president of Orbital ATK's space systems group president. Orbital ATK has begun preparations for the next resupply mission called OA-6, which is awaiting approval from the Eastern Range for a March 22 launch aboard an Atlas V rocket from Cape Canaveral Air Force Station, Florida. The company aims to complete 10 CRS missions to deliver 59,000 pounds of cargo to the ISS by 2018.
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61% of people who get a job offer and try to negotiate a higher salary fail. Why do you want to know? It’s not because the economy is bad, the employer is being unreasonable, or they don’t have any other offers to use as leverage. When most of those people decided not to even try to negotiate for a higher salary, they lost right away. Most candidates don’t want to negotiate salary because they don’t think they have any negotiating power. A recent graduated may believe that because this is their first job, they have little negotiating leverage because they lack experience. Even seasoned professionals may believe that they have no negotiating power if they have no alternative offers, but you must realise something important. The other side of the hiring process also has to deal with stress and costs. Employers look through hundreds or even thousands of resumes and spend a lot of time analysing and picking applicants before deciding to hire only a few. The employer cares about these applicants. So even recent college graduates have some power in a negotiation. If you don’t negotiate your salary after getting a job offer, here are three very real things that could happen. 3 Practical Consequences Foremost, when you use compounding, you lose a lot of money. Think about two people whose starting salaries are $50k and $55k, which is a 10% difference. Let’s say that both of their salaries go up by 6% every year for the next 30 years. By the 10th year, the difference in their total pay will be about $75,000, and by the 20th year, it will be $200,000. And by year 30, a whopping $424,000, which is almost enough to buy that new iPhone. Now, this overly simple example doesn’t even consider how the person might change jobs in the future. If you switch jobs, that nice 20% raise they’re offering is tied to what you’re making now. This $424,000 gap is usually much bigger than this. Second, if you don’t negotiate, you miss out on things the employer could have easily agreed to. More time off, money to pay for school, and a later start date. Third, you miss out on the chance to make a good first impression on your boss. Negotiation is a skill that will help you in both your personal and professional life. Your boss knows this, and that you even tried to negotiate might make you look even better in their eyes. If you’ve ever tried to negotiate salary before, hopefully you’re more comfortable with the idea of doing so after getting a job offer. But what do you do? Here are my top five ways to do something. Negotiating deals for a friend Imagine you’re trying to get a good deal for a close friend or someone you care about. We found that a small change in how you think makes you more confident and assertive right away. Think about how hard your close friend worked to get this offer. He or she probably spent hours preparing for the interview, changed their resume 20 times, and gave up Prime for a month. Shouldn’t he or she be paid for what they’re worth? You think so? This anger at being treated unfairly is called indignation. That can help you get over your fear of negotiating. Give an exact salary amount Instead of a nice round number, give a specific salary amount. So, this means that if you say $47,650 instead of $47,000, you are much more likely to get a final number closer to what you were expecting from the start. According to a study done by Columbia Business School, your employer is more likely to think that you did a lot of research into your market value to come up with that number. It also makes sense from anecdotal evidence, because if you have a friend who works in the role you’re applying for and has a similar background and experience, and that friend tells you how much they make, you can be pretty sure that this is a number you can also negotiate for. Have an exit point Have a worst-case scenario or a point where you can quit. Yes, you should do research and come up with a target number. You should look at salary ranges on sites like glassdoor.com and monster.com and pick a number between 80% and 85%. Having a worst-case scenario in mind helps you get ready to walk away if the final offer is so low that you can’t accept it. You don’t want to agree to something that you can’t afford or will make you feel bad about later. Use facts, not how you feel Bring facts to the table, not just how you feel. If you explain why you want a higher salary, your employer is much more likely to consider your offer. Because this helps them see why you should get what you want. Saying that you deserve a 15% raise because you’ve been working for two more years than the average team member is a much stronger argument than just throwing out the 15% number. Of course, it’s easy to come off as haughty when you’re trying to explain something. Ethically negotiate your pay offer. Only negotiate with an employer whose offer you intend to accept if the negotiation is successful. It’s not fair to negotiate with an employer if you don’t plan to take the job offer, even if your terms are met. It is assumed that if you reach a good compromise, you will accept the position. Once you’ve said yes to a job offer, you shouldn’t really keep interviewing with other companies. If you are interviewing with other companies, you should contact them directly to inform them that you have accepted an offer and are withdrawing from consideration. Be careful not to burn any bridges at this point. Some of these organisations may need to hire you in the future, or you may want to get in touch with them again about work. Show that you care Last but not least, during the salary negotiation process, show how thankful you are to have been offered the job. This will not only make you seem more likeable, but it will also make the other person think you have good intentions. If you’re nervous about negotiating the salary after getting a job offer, we hope that the three real consequences we mentioned and the five practical tips we gave have made you feel better about the idea.
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These sketches are the works of Kyoto-based illustrator, Takeuma. We are focusing today on his sketchbooks but the artist is generally known for his cartoon-style editorial and his upbeat look on life. We found a few of his ideas regarding illustration and the tools he uses on an interview with Designboom: “To create a successful illustration it is necessary to focus on the one central idea you want to express. consequently, I try remove everything that may cause confusion – it’s always an editing process, seeing how much to take out and how much you need to keep to get the right balance.†“Most of the time (I use) just pencils and a sketch book, then computer. sometimes pens, paints and craft knives. I do not have any preference on what materials I use it all depends on the piece I’m working on and what I’m hoping to achieve.†Images: Courtesy of Studio Takeuma.
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Pope Francis visits Latvia on September 24. The day has been declared a public holiday by the Latvian parliament. So here's a quiz about our visitor, the history of the Catholic church in this part of the world and some other Popetastic facts. NOTE: The Latvian government has approved spending approximately 145,000 euros from the state "Fund for Unforeseen Events" on ensuring coverage of the Pope's 10-hour visit on public media. 105,000 euros is to go to Latvian TV and 40,000 euros to Latvian radio. 1,000 euros of the allocation to LTV has been earmarked for coverage on LSM, of which LSM's English language service forms a part. Details of the spending plans can be seen at the official government website. Seen a mistake? Select text and press Ctrl+Enter to send a suggested correction to the editor Select text and press Report a mistake to send a suggested correction to the editor
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If you want to do business in Europe, then the first thing is to select the right country to start with. Europe consists of around 30 countries, with various sizes, economic development and languages. The Netherlands might be an interesting option to you to start your European activities. Here are the five reasons why. 1. You’ll get around with English everywhere No matter where you are, people speak at least basic English and if you try to utter some words in Dutch as a foreigner, you mostly will get a response in English. This common knowledge of English has many advantages: - Product packaging or manuals hardly need to be adapted; - You can keep your marketing slogans in English, it’s only useful to translate the rest of the advertisements; - If you work with local staff or vendors, communication difficulties will be limited. It’s also very well accepted to have agreements in English and there is no need to translate them in Dutch to make these legally binding. 2. Short travel distances The major cities like Amsterdam, Rotterdam, Utrecht and The Hague are at maximum on hour by car or train apart from each other. This ‘Randstad’ area already captures 7 of the 15 million people who live in The Netherlands. Even for the most remote cities or regions you’ll travel at maximum 3 hours by car. This ensures that you service the whole country from one location. 3. A lot of spending power The Dutch GDP per capita is one of the highest in the world. And in contrast to other high-ranking countries the income distribution is rather even. This means that a large part of the population has quite some money to spend. 4. Good chances through the internet The internet broadband penetration is one of the highest in the world, thanks to the phone and coax networks that are all around the country. The Dutch are also very much open to online sales and it is easy and cheap to arrange payment for the goods and services you sell though the internet. There is no specific preference for Dutch products, if you have a good deal, you’ll be able to sell it. 5. Easy to set up a business The Netherlands ranks number 27 on the Ease of Doing Business Index. This is quite o.k., and setting up a company can be done through a public notary in just a few days. For small businesses there are limited requirements, there is no local director or accountant needed. Company tax is 20%, you’ll only pay an additional 15% withholding tax that can be settled with dividend taxes that you’ll pay elsewhere.
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This is the University Neighbourhoods Association — connecting residents of five communities that share the University Endowment Lands in Vancouver, British Columbia. The UNA approached me requesting a brief animated explainer video to help explain who they are and what they do for residents of their communities. They found that many people were confused about whether or not they were affiliated with the University of British Columbia (they’re not really), and what services they provide. A short video seemed the right solution. The UNA provided a script and voiceover, and the rest was up to me. After discussing the creative approach, I went about illustrating the buildings, scenery, and characters, importing them to After Effects and plopping them into the scene as I went. I used Duik, an After Effects plugin, to rig the characters and animate their walk/run cycles. The project was a success, and a masterclass in character animation. University Neighbourhoods Association Scenery & asset illustration Character design & animation Adobe After Effects Adobe Premiere Pro Duik (character rigging) This quickly became a complicated project. Here is a peek at the master composition:
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Those tiny cotton balls we use for removing our nail polish, make up or cleaning up small cuts and bruises have a lot of tricks in store when it comes to dealing with some sort of unexpected health issue. Even though it may appear unusual, cotton balls are extremely efficient in terms of stopping a heavy nosebleed just by placing a few of them between your teeth and your upper lip. Pulling teeth from your kids or after a procedure, you can bite down on a cotton ball to reduce the bleeding. Based on Dr. Oz, by applying pressure on an artery that runs under the lip to the nose, the blood will begin to clot and the nosebleed will end! No More Awful Cramps Relieve menstrual cramps and muscle pain with this cotton ball trick! This folk remedy has been known to help relieve cramps associated with that time of the month. All you need to do is soak a cotton ball in rubbing alcohol, squeeze out the excess, and place it over your belly button. Use a piece of tape or a large band-aid to keep it in place. It may seem weird at first, but just lie down and let the stress float away! Simple Remedy For Warts And Skin Tags Warts and skin tags can be a painful or embarrassing to live with. But there’s a natural remedy that can slowly dissolve it over time! According to Livestrong, white vinegar can be used to help remove it. You can also try apple cider vinegar for this trick. Step 1: Thoroughly wash the skin tag or wart with mild soap and let it dry. Step 2: Grab a cotton ball and soak it in the vinegar. Step 3: Squeeze out the excess vinegar, and gently apply it to the wart or skin tag. Swab the area a few times a day for a short period of time, and eventually the skin tag will fall off! Bye Bye Earaches! Cure an earache with Vicks VapoRub and a cotton ball! The camphor, eucalyptus and menthol in the VapoRub can act as a topical analgesic to numb the pain. It may get a little bit messy, but rub some of the gooey stuff onto a cotton ball, and place it in your ear. According to WebMD, if the earache is due to an infection rather than a symptom of the common cold, it will likely get better on its own. In the meantime, this cotton ball trick will help relieve a bit of pain until the your body recovers from whatever was causing the earache in the first place. Face it, most of us probably have a few callouses and crusty buildup on the soles of our feet. It’s only natural, given that we use it to walk on every day! Over time, the skin can start to toughen and leave unsightly cracks in its wake. But, here’s an easy way to smooth away the patchy, dry skin! Step 1: Crush 10 non-coated aspirin tablets into a fine powder, and add 8 ounces of 70% rubbing alcohol. Step 2: Let the solution sit for 2 days. Step 3: Soak a cotton ball in the solution, and apply it to the bottom of your feet. You may need several cotton balls to cover the affected areas. Use plastic cling wrap to keep the cotton balls in place, and leave it on overnight. Step 4: Repeat the process for 10 days, and you will see a difference in the smoothness of your feet! Watch this video to learn how to use cotton balls as a compress for itchy eyes!
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The global health crises have limited us to our homes and it's good if we wish to end the pandemic and limit the spread of the virus. The ongoing pandemic has also forced production houses to rely on iPhone and improvised rigs as a solution to shoot videos. We have previously seen how popular TV shows made use of the iPhone to shoot entire episodes on the handset which includes the reunion episode of the "Parks and Recreation". American Idol has also joined the list as the production team has shifted to shooting the episodes remotely with an iPhone. This makes us question if Apple could use the iPhone to stream its WWDC 2020 this year? Production Houses Adapt to iPhone For Video Recording Purposes, Could Apple Do the Same for WWDC 2020? There's no denying that video on the iPhone is unmatched for in the smartphone industry. Whether it's highlights, color accuracy, stabilization, and other aspects, the iPhone can produce better video than any other smartphone on the market. Moreover, Apple has been consistently adding more features to the mix which bolsters enhanced video recording capabilities. Apple's statement regarding the iPhone's video quality makes sense and opens up doors to what we can expect from the hardware. Bloomberg's Mark Gurman states that Apple could potentially use the iPhone to record parts of this year's WWDC 2020 event. We know that people are relying on their favorite shows while staying at home, and we are happy to be a part of that process with the team at American Idol. iPhone offers a unique solution to deliver broadcast quality video, in the palm of your hand, while keeping production staff and on-air talent safe and in their homes. As we have previously covered, Apple will be hosting the WWDC 2020 event from June 22 to 24 this year. the event will be broadcasted virtually due to the COVID-19 pandemic. The company did emphasize that it will be hosting the event in an "entirely new online format". So could we expect the company to make use of the iPhone and stream the WWDC 2020 event? Now you know how (parts of) WWDC is going to look https://t.co/DHBtliORnE — Mark Gurman (@markgurman) May 12, 2020 It is highly possible that Apple will use the iPhone to stream the WWDC event this year as part of its new online format. Moreover, since several production houses are moving towards using the iPhone as their video recording equipment, Apple could do the same. The move will also encourage others to do the same and it would be a neat way to promote the video recording capabilities of the iPhone. Apple's move to an online format is to main social distance between the employees and the attendees. At this point, we are merely speculating and the final move rests with the Cupertino-giant. What do you think?
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There are two avenues of use for horses donated to the The Ohio State University Equine Program. They can become part of the breeding herd or they can go into the Behavior & Training class where they will be trained and prepared for auction in the Buckeye Bonanza Benefit Horse Sale. Breeding stock must obviously be stallions or mares, and they must be of high enough quality to replace an animal that is already in our breeding herd. If they meet these criteria, they may be kept for several years or replaced in just a few years. We currently have several mares with world-class bloodlines, conformation, color, and disposition. To replace one of these mares would take a very nice mare indeed. All other horses accepted into the program are handled and trained by students in the Behavior & Training class before being sold at our Buckeye Bonanza Horse Sale. We take all breeds, ages, and types. When we receive well-trained horses, we simply start them on something new so students learn to train. However, we try not to take a horse that will be difficult to place in a new home because of a major physical problem. For liability reasons, we also avoid horses with major behavioral problems. Donated horses may be used as a tax deduction at their fair market value. We strongly encourage donors to confer with their CPA on details about using horses as tax deductions. There are many rules that vary based on the individual donor’s personal situation.
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Behcet's disease is a classic example of the trade-offs involved in treating any inflammatory or autoimmune disease with the new class of drugs called TNF blockers. These drugs are FDA approved to treat rheumatoid arthritis, plaque psoriasis, psoriatic arthritis, ankylosing spondylitis, juvenile idiopathic arthritis, Crohn's disease, and ulcerative colitis. (Not all of the drugs have been approved for each condition.) The medical literature reports that these drugs have been tried for similar conditions, including Behcet's disease, with varying degrees of success. Behcet's disease was described by Hippocrates 2500 years ago, according to a British research team. It can affect many parts of the body, including the eyes, mouth, skin, genitals, nervous system, heart, and joints. Inflammatory lesions and ulcers cause tissue damage and pain. Blindness is the result for up to 25% of the cases involving eye inflammation. Dr. Leonard Calabrese of the Cleveland Clinic reported TNF inhibitors have revolutionized the treatment of autoimmune diseases. Unfortunately, they do not always work as expected, and sometimes have serious side effects. In August 2009, the FDA issued updated warnings for the following drugs in this class: 1. Enbrel (etanercept) 2. Remicade (infliximab) 3. Humira (adalimumab) 4. Cimzia (certolizumab pegol) 5. Simponi (golimumab) The manufacturers of these drugs have provided detailed information, including the FDA warnings, on their web sites. I think enbrel.com provides one of the best lists of these adverse effects, which include: 1. Tuberculosis and other serious infections; 2. Multiple sclerosis and other nervous system problems, such as seizures and inflammation of the nerves of the eyes; 3. Rare reports of serious blood problems (some fatal); 4. Heart failure, including new heart failure or worsening of heart failure you already have; 5. Allergic reactions; 6. Immune reactions, including a lupus-like syndrome and lymphoma (a type of cancer). Of course, not everyone will experience these adverse effects. You may want to consider these drugs if you have an autoimmune disease that puts you at risk for blindness or other disability. Doctors are supposed to evaluate the risks and benefits of drugs before prescribing them, but in many cases the decision is a value judgment. We need to educate ourselves to make sure our medical care fits our own values. Calabrese L, “The yin and yang of tumor necrosis factor inhibitors”, Cleveland Clinic Journal of Medicine 2006 March; 73(3):251-256. Verity DH et al, “Behcet's disease: from Hippocrates to the third millennium”, Br J Opthalmol 2003;87:1175-1183. Enbrel web site: Remicade web site: Humira web site: Cimzia web site: Simponi web site: Linda Fugate is a scientist and writer in Austin, Texas. She has a Ph.D. in Physics and an M.S. in Macromolecular Science and Engineering. Her background includes academic and industrial research in materials science. She currently writes song lyrics and health articles.
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API (in terms of engine oil) is an abbreviation of the American Petroleum Institute – this is where the API system was created back in 1947. There are 3 main types of API classification: - For powertrain parts. - For gasoline engines. - For engines that run on diesel fuel. API Engine Oil Grade Meaning of letters Engine oil standards by API are indicated by a two-letter marking: - 1st letter: engine type designation – S – gasoline engine, C – diesel engine. - 2nd letter: quality standard – the further the letter is from the beginning of the alphabet, the higher the quality. The modern standard for gasoline engines is L, for diesel engines it is F. - Oils of the latest generation can also have a double slash, for example, API SG/CE – it means it is designed for both gasoline and diesel engines. API classification is a system used by oil companies to rate the quality of their products. The API classification system has three main categories: - Service Category (SC) - Resource Category (RC) - Product Category (PC) The Service Category is the highest category and is reserved for oils that meet the most stringent requirements. The Resource Category is for oils that meet less stringent requirements, and the Product Category is for oils that meet the least stringent requirements. API classification is not a measure of an oil’s performance, but rather a way to help companies ensure that their products meet the minimum standards set by the industry. API classification is voluntary, and not all oil companies participate in the system. However, most major oil companies do participate, and the API classification system is widely recognized as the standard for quality in the industry. What is engine oil API classification Engine oil API classification is a system used to classify motor oils according to their performance levels. The API system has two parts: the Service Classification System and the Engine Oil Licensing System. The Service Classification System is a voluntary licensing program that certifies engine oils for use in passenger cars, light-duty trucks, and sport utility vehicles. The program is administered by the American Petroleum Institute (API). The Engine Oil Licensing System is a mandatory licensing program that certifies engine oils for use in all passenger cars and light-duty trucks. The program is administered by the International Lubricants Standardization and Approval Committee (ILSAC). Both the Service Classification System and the Engine Oil Licensing System use a set of performance standards to classify motor oils. The standards are designed to measure an oil’s ability to protect engine parts from wear, deposit formation, and oil degradation. Oils that meet or exceed the performance standards of either the Service Classification System or the Engine Oil Licensing System are said to be “licensed” or “certified.” The API service symbol (the “donut”) and the ILSAC starburst are two examples of certification marks that appear on motor oil labels. The API service symbol indicates that an oil meets the performance standards of the Service Classification System. The ILSAC starburst indicates that an oil meets the performance standards of the Engine Oil Licensing System. Not all motor oils are licensed or certified by the API or ILSAC. Some motor oils are not designed to meet the performance standards of either program. These oils are typically referred to as “unlicensed” or “non-certified” oils. Unlicensed and non-certified oils are not necessarily inferior to licensed and certified oils. They may simply be designed for use in engines that do not require the high level of protection provided by the API or ILSAC standards. If you are unsure about which oil is right for your engine, consult your owner’s manual or ask a qualified automotive technician. To learn more, watch the video below about API Classification meaning
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Finally the 2016 Nobel Prize in Physics are announced and it is awarded to three British scientists for their research and eventual discoveries. The eight million Swedish Kronor (Rs 6.18 crore) prize will be shared among David Thouless, Duncan Haldane and Michael Kosterlitz for their extraordinary contribution to physics and science. The Nobel committee said these three scientists have “opened the door on an unknown world” into a world “where matter can assume strange states.” These three scientists have used advanced mathematical methods, topological concepts that have ultimately helped them in their path breaking discoveries. Their works can have future application in science and electronics. There has been “frontline research in condensed matter physics” due to original work from these three Laureates. Their work is hoping that in future topological materials could be used in new generations of electronics and superconductors, or in future quantum computers. As per their research goes it revealed something unusual. The three geniuses saw an unusual behaviour from the atoms when the matter is very cold or extremely flat. These phenomena complement the more familiar phases of matter when things change from solid to liquid to gas. Their path breaking work has discovered a new way that will help the scientists in designing new materials in future. Acting chairman of the Nobel committee, Prof Nils Mårtensson, commented that Today’s advanced technology like computers relies on our ability to understand and control the properties of the materials involved. And there lies the importance of the work of three of the scientists. “And this year’s Nobel laureates in their theoretical work discovered a set of totally unexpected regularities in the behaviour of matter, which can be described in terms of an established mathematical concept – namely, that of topology. “This has paved the way for designing new materials with novel properties and there is great hope that this will be important for many future technologies.” David Thouless was born in 1934 in Bearsden and is an emeritus professor at the University of Washington. Michael Kosterlitz was born in 1942 in Aberdeen and is currently affiliated to Brown University. Duncan Haldane was born in 1951 in London and is a professor of physics at Princeton University. He commented after the news: “I was very surprised and very gratified.” “The work was a long time ago but it’s only now that a lot of tremendous new discoveries are based on this original work, and have extended it.”
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Why does the Qur’an intercede for mankind on the day of resurrection? Why does the Qur’an appear as a pale man on the day of resurrection? These are the questions Hatun and Daniel asked at Speakers’ Corner on 18th Feb as they demonstrated to Muslims that the Qur’an is another god besides Allah. Thus, Allah and Muhammad to commit shirk which leads them to hell fire. Can Allah be suffering from schizophrenia when he commands his believers to commit one of the worst possible sins in Islam – SHIRK? Watch the video to find out!!!
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The energy industry has accused ministers of underestimating the impact on households of its Energy Company Obligation (ECO) rules. They will force companies to provide energy efficiency technology and home improvements to low-income households and others considered to be at risk of fuel poverty. The scheme, due to start next year, will oblige firms to fund expensive modifications including cavity wall insulation. Energy firms say ministers have understated the costs of the work, which will be recouped from other customers. Energy UK, which represents the industry, is expected to publish a report by independent economic consultants suggesting the scheme will add as much as £50 to the average household bill. That contradicts assurances from the Department for Energy and Climate Change, which is insisting that the changes will not mean additional costs for consumers. Fairly obvious really. Insist that someone pays for something, that\’s going to have an effect on bills to the consumer, isn\’t it? For there isn\’t that free money tree. The costs of something have to come from somewhere.
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As presented at API Conference DE 2017 on September 20, 2017 Documentation generated from source code is very popular. Solutions such as Swagger are available for many different languages and frameworks. However, limitations of annotation based tools are becoming apparent. An overwhelming number of documentation annotations make for great docs but muddy the source code. Then, something changes and the docs are out of date again. That is where test-driven approaches come in. Test-driven documentation solutions, such as Spring REST Docs, generate example snippets for requests and responses from tests ensuring both code coverage and accurate documentation. It can even fail the build when documentation becomes out of date. This session will walk through how to implement test-driven documentation solutions. Attendees should have a basic understanding of a markdown like documentation tool such as AsciiDoc and how to construct RESTful APIs in a JVM ecosystem technology such as Spring Boot. Examples will be in Spring Boot and Groovy, but the concepts are applicable to other ecosystems too.
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The realities of today's marketplace are putting increasing demand on organizations to build data systems that will accelerate data delivery to developers and consumers. As digital and analytics capabilities become more pervasive, organizations need to rethink their data management strategies and modernizing your backups should be one of your first stops. There has never been a better time to leverage your backup data and drive impact. In addition, as attackers become more relentless in their pursuit of data, it's important to modernize your backups to ensure you don't just have a last line of defense, but the best line of defense. Many organizations are not fully prepared, focusing only on network and endpoint security. Today's businesses need the ability to systematically identify, understand, and mitigate cyber risks and the only answer is leveraging a data protection platform that follows a Zero Trust Data Management architecture. Organizations with the best data systems and capabilities will race ahead by an increasing margin. Join this session, as we discuss the data management trends and cybersecurity risks that are influencing the need for modern backup and recovery. Attendees will learn about: - The Shift in Data Management Architecture - General Data Management Challenges - Rubrik Zero Trust Data Management - Operationalizing Backups to Power Data-as-a-Service Don't miss this live event on Thursday, September 16th, 11:00 AM PT / 2:00 PM ET. Register Now to attend the webinar Drive Digital & Analytics Transformation with Modern Backup and Recovery.
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Please rotate your device in order to view this website properly. In most cases, the natural colour of teeth is within a range of light greyish-yellow shades. Teeth naturally darken with age and their appearance can be affected by the accumulation of surface stains acquired from the use of tobacco products and the consumption of certain foods or drinks. In addition, the perception of the colour of teeth is severely affected by skin tone and make-up. Independent of the real colour of their teeth, people with darker skin or who use dark makeup will look like they have brighter teeth. Although teeth are not naturally meant to be completely white, many Canadians want a brighter smile. Responding to this desire, a wide range of “whitening” options has become available to consumers. These products fall into two main categories: surface whiteners and bleaches. It should be noted that claims related to tooth whitening are seen as cosmetic in nature by Health Canada. These claims must be accurate, so as not to mislead the public. However, the regulator tolerates some puffery or exaggeration. As a consequence, the results of whitening treatment may not be as convincing as consumers originally expected. These products use special abrasives to improve the product’s ability to remove surface stains. Most products in this category are either toothpastes or chewing gums. Because the special abrasives in these whitening products are often only finer versions of what is used in regular toothpastes, they are unlikely to cause excessive tooth wear. However, the effectiveness of these products is limited to surface stains and should not be used as a substitute for professional cleaning. The awkward irony of halitosis is that many people aren’t aware that they have it. This is because the cells in the nose that are responsible for the sense of smell actually become unresponsive to the continuous stream of bad odour. If you have bad breath, you may need to be told, or you may notice the negative reaction of other people when you’re just too close! It’s easy to self-diagnose bad breath. You can lick your wrist, let it dry for a few seconds and smell the area, or cup your hands over your mouth and sniff your own breath. If you need a second opinion, ask a friend, family member, or your physician or dentist. Treating and Preventing Halitosis The manufacturers of mints and mouthwashes have made an industry out of the public’s desire for fresh breath. These products promise that your breath can be made sweet-smelling and “minty fresh.” However, they’re only temporarily helpful at best in controlling breath odours. In fact, many often contain sugar and alcohol, which may lead to tooth decay and may aggravate certain mouth conditions. Proper care of the mouth and teeth and regular visits to the dentist are important, and are the most effective way to control bad breath. Regular brushing, flossing, rinsing, and tongue scraping can help prevent problems. Sometimes, halitosis may be caused by illnesses such as lung disease, impaired emptying of the stomach, liver failure, or kidney failure. In this case, treating the underlying condition can improve the halitosis as well. Here are some tips for getting rid of bad breath:
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A new generation of architects is on the march. Leaving their rulers and compasses behind, these builders are trading in their blueprints for algorithms and putting the finer details of design in the hands of robots. This December, two Swiss architects and an Italian robotics engineer will, for the first time, build a tower solely by flying robots. The demonstration, called “Flight Assembled Architecture“, will take place at the FRAC Centre in Orléans, France. Fifty quadcopters will take to the air simultaneously and work together to position all of the 1,500 prefabricated foam blocks. When it is completed the tower will stand 6 meters tall (19.7 feet) and 3.5 meters wide (11.5 feet). That’s a significant chunk of the 10 x 10 x 10 meter airspace that the 50 quadcopters get to work in. Custom built electronics and onboard sensors enable the precise control needed to dance together so dangerously close. The robots can be pre-programmed for flight paths that might include arcs and spirals, and a fleet management program takes over when the vehicles fly too close to avoid collisions. The program also automates take-offs and landings. A state-of-the-art motion capture system will track the robots simultaneously at a rate of 370 frames per second with millimeter accuracy. The tracking computer will send flight commands wirelessly from a control room nearby. The coordination and precision required to build the tower with 50 quadcopters accident free will be challenging. But watch them in action, dancing beautifully through the air in the following video and I think you’ll agree that they’re up to the task. The tower was conceived by Swiss architects Fabio Gramazio and Matthias Kohler at ETH Zurich and robotics engineer Raffaello D’Andrea from Italy. Gramazio and Kohler’s research at the university explores the new area of additive digital fabrication. You can think of their robots as large scale 3D printers, building layer by layer. To harness the power of digital tools in architecture design and construction, the team is formulating algorithms that intertwines both structural logic and aesthetics. They call it “informed” architecture. The tower is just the latest of Gramazio and Kohler’s digital constructions. In 2008, R-O-B, their large, one-armed robot built a 100-meter, meandering wall at the “Explorations” architectural exhibit in Venice. Building the sculpture, called “Structural Oscillations,” is not as simple as it might seem. Being placed in the exhibition’s pavilion, the wall – essentially a stack of unmortared bricks – had to not topple over and crush attendees as they walked past it. A straight wall would have been dangerously unstable, and the oscillating curvatures added structural support. But the robot had to decide just how curved each segment would be. Segments varied both in amount of curvature and brick rotation. Places where the wall straightened would lean, but the swing of the entire wall would pull taut and compensate with increased stability. I mention these architectural elements only to highlight the complexity of the robot’s task. And it accomplished its task, in the end, placing 14,961 individually rotated bricks with its algorithms. The quadcopters will work the same way, but in addition to adjusting to the placement of the blocks, they’ll have to adjust to each other as well. D’Andrea, a professor of Dynamic Systems and Control at ETH Zurich, brings expertise in autonomous systems to the team. With an emphasis on adaptation and learning, he hopes to change our perception of architecture from a standardized process to a dynamic one. He developed the Flying Machine Arena, the “controlled sandbox” for mobile robots that the quadcopters performed in in the video. D’Andrea is also the co-founder of Kiva Systems, the warehouse robots that fetch merchandise instead of people. If you happen to be in the Orléans area and want to check out the exhibition, it will begin December 2nd and run to February 19 of 2012. Although the team strives to push the boundaries of automated architecture, at the moment their creations are more like works of art. No doubt it will be quite some time before humans begin handing over their mortar shovels and bandsaws to the robots. Right now the emphasis on algorithm-driven materialization is more philosophical than practical. But letting computers take over the creative process can yield some truly stunning creations. Who knows what robots might build in the future by following their structurally sound yet unpredictable algorithms? It could be said that Gaudi followed a similar rule.
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Parents who are working and earning a specified minimum amount can apply for an additional 570 hours of free childcare each year for children who are age 3 to 4 years old. This may also apply if a parent is on maternity, paternity or adoption leave, or is unable to work due to a disability or caring responsibilities. The parent who applies will need to meet a residence requirement. The residence requirement will be met when a parent has one of the following: A parent who has leave to remain that is subject to the 'No Recourse to Public Funds' (NRPF) condition will not meet the residence requirement. Therefore,when a single parent or both parents in a household have leave to remain with NRPF, the family will be unable to access 30 hours childcare. In two-parent households, both parents must meet the requirements relating to employment and earnings but only one parent needs to meet the residence requirement. For example, if one parent is a British citizen and the other parent has leave to remain with NRPF, the British parent can make the application. As government funded early education and childcare is not a 'public fund' for immigration purposes, a parent who has no recourse to public funds can be included in an application. See the government information for the full eligibility requirements that the parent(s) must meet.
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Signs that a “Genetic Disorder” is Neither “Genetic” Nor a “Disorder” There are a few serious disconnects between the science of genetics and the application of that science to medicine, and it’s putting millions of people at risk of exposure to unnecessary medical interventions, includng life-long exposure to psychotropic medicines. These exposures are starting at an increasingly young age. First, I will outline the signs that a “genetic disorder” is not genetic: (1) The variation in the human genome involves “common variants”. Common genetic variation, whether it be in the form SNPs, or mitochondrial variation, non-synonmous substitutions or, or insertion/deletions, are ancient, pre-dating not only the development of psychiatry, but pre-dating the development of Western Medicine – and Western Civilization itself. These genetic variants nearly all pre-date the invention of the airplane, cars, houses, roads. Examples include common variations in the MTHFR gene, and the 12 SNP loci identified in a study of ADHD that reports the “first” evidence of genetic variation linked to that condition. While the traits associated with the “disorder” are “heritable”, that is only because those traits are heritable in the human population. It is important to note that it is the specific genetic variation that is associated with the “condition” that is ancient – not just the highly conserved functionally important parts of the genome, and some coverage of that study has confused these two entitities. (2) No grandparents have the condition – and many parents of people with the condition do not have it. Autism is found in a startling 1 in 56 Americans – with rates as high as 1 in 25 boys. These childrens’ grandparents certainly do not have the tell-tale signs of not talking, hand-flapping, toe-walking, lack of eye-contact, and difficulty in navigating socially. In the 1980’s and 1990’s, parents of the newly diagnosed children not only never heard of “autism” – many did not even ever hear of any child with the same set of symptoms that their children were exhibited. Most autism-related genetic variation also involves common variation, although much of the variation is de novo – i.e., unique to the child – representing mutations, perhaps from environmental toxins that the parents – or, in the cases of mothers’ DNA – the grandmother – was exposed to. (3) The genetic variation explains too little of the traits in question. A “genetic” trait – such as eye color, even when influenced by multiple loci, show very specific reproducibility from generation to generation in the occurence of the traits they encode. This high-fidelity transmission can occur in discrete traits that occur in categories, or in traits that are continuous traits with variations on a theme, within narrow bounds. At the population level, eye color is determined by numerous loci – giving variations within categories, but the inheritance is very clearly discrete. Heritability studies in autism only explain around 50% of the inteheritance of the phenotypes (traits) that lead to autism. This estimate is done at the population level, not at the individual level – a parent of a child with autism is not 50% autistic. The 12 new loci discovered in ADHD only explain 74% of the trait – meaning that environmental have a large influence in determines if occurrence of the traits occurs in an individual or not. In autism, the largest studies point to a lot of room for environmental factors. The right types of studies that look at both genetics and environmental exposures in the same individuals have not been conducted in ASD nor in ADHD. If they did, we would know the significance of the interaction term between environmental exposures and genetics. So there are times when a “genetic” condition cannot be labeled “genetic”. Here are some reasons why a “genetic condition” migth not even be the right “condition” to be concerned with. Source %G %E %missing Hallmayer 38(h2) 58 4 Sandin 46 54 0 Colvert 56 30 8 Table from “The Environmental and Genetic Causes of Autism” reviewing %Genetic, %Environment(%E) and %Unexplained (missing) from genetic studies of autism. (1) The “condition” itself is a sequala of one or more true underlying condition. If a person has no problem with specific environmental exposure, but then develops a condition as a result of another condition, they may be confused with having a condition they would not otherwise have. This is a type of co-morbidity, and if the symptoms of the actual underlying, sometimes hidden condition are lessened, the indirect resulting condition may become alleviated. An example is encephalopathy leading to autism involving the exposure of the brain to toxins from food and gut bacteria due to conditions with lesions in the intestine. The intestinal epithelium layer in the largest surface area by which we interact with our environment. Dignoses of ASD can result with neither the parents – nor the doctors – aware that the issue is chronic exposures to toxins leading to brain inflammation. (2) The risk of the outcome of an environmental exposure is heritable, not the condition, and the severity of the condition is driven by environment. If a condition comes and goes with changes to exposures to specific environmental triggers, the sensitivity is the primary condition, not the symptoms. Food allergies that lead to altered mental states, or to simple rashes resulting from food or chemical exposures. These sensitivities are often not genetic – the parents may or may not have certain similar sensitivities – and they often involve immunological responses with a component of autoimmunity. Another example would be seasonable allergies and asthma. Remove the trigger, the sensitivity remains, but the root cause is an autoimmunological response made possible by prior exposure to allantigens in the presence of a substance that over-activated the immune system, such as aluminum hydroxide in vaccines. (3) The”genetic condition” can be modified by changes in diet, restrictions to food triggers, removal of toxins, or other seemingly unrelated improvements. Studies have now shown long-term benefits from correcting the gut microbiota in autism, leading to a 50% reduction in the severity of ASD symptoms via fecal matter transfer. Not only are the improvements apparently permanent, they also appear to help every child. As the moms have been saying for years: Heal the Gut, Heal the Mind. The risk of psychosis from ADHD psychotropic medicines is estimated to be 1 in 660. In my book, “Cures vs. Profits”, I have a chapter on ADHD entitled “Overdiagnosis of ADHD: It’s their mind, not yours” and also a chapter on FMT. Clearly the improvements made by FMT are historic, and every parent of a child with ASD would do well to read as much you can about FMT. I’ll end this article with a list of links to articles on the ASD studies as a start toward what will hopefully be a better future for kids with ASD and their families. I wonder if FMT might have permanent benefit for ADHD as well?
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The launch of WikiBusiness.org in association with Wikipedia on January 7 this year, gave a completely new dimension to the digital information available for businesses, professionals and companies. Using the Wiki framework of crowd sourced aggregated and verified information, this is by far the most credible encyclopaedia for businesses all over the world. Its association with Wikipedia brings it the credibility as the world’s biggest and most reputable knowledge source for businesses. According to a November 13, 2008 article from the Wall Street Journal, survey of 358 senior executives and directors at 53 publicly traded companies revealed at least seven instances of false claims that individuals had received academic degrees that they, in fact, did not. One of the most popular cases in 2013 was that of Yahoo! CEO Scott Thompson who resigned in the wake of row over ‘fake’ degree as the board gave into a raft of complaints which included a discrepancy in the internet boss’s CV. In a recent article by PricewaterhouseCoopers entitled “Trust but verify: From transparency to competitive advantage,” the authors describe the importance of transparency for companies in gaining a competitive advantage in today’s business environment. The article states that verification by a well-regarded independent third party is key to increasing transparency and thus gaining trust from customers. Another article by the Harvard Business Review from May-June 2012 also mentions the fact that transparency and trust in a company or professional have become increasingly difficult to achieve in the era of services, where customers lack sources to verify the quality of the services they are buying. By offering an independent third party platform where information provided by companies and professionals is verified, WikiBusiness fills the gap and helps businesses, professionals and customers to make the most out of their purchasing decision. WikiBusiness has opened a new horizon for creating and verifying business and professional profiles online by using the crowd sourced edit function (Wiki style) and using unique auto-fill functionality from existing web presence. Learn more: http://www.wikibusiness.org
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What does it mean, “For all this his anger is not turned away, but his hand is stretched out still”? Why is it repeated so many times and always seems contradictory? Thanks for the question, Beatrice. This particular phrase is one of the most commonly misunderstood in Isaiah (and in the Book of Mormon, where this Isaiah phrase is quoted numerous times). Let’s look at it in context. This phrase is first encountered in the fifth chapter of Isaiah (corresponding to the fifteenth chapter of 2 Nephi). After telling of the destruction that will come upon the unfaithful and hypocritical among Israel, verse 25 reads: Therefore is the anger of the Lord kindled against his people, and he hath stretched forth his hand against them, and hath smitten them: and the hills did tremble, and their carcases were torn in the midst of the streets. For all this his anger is not turned away, but his hand is stretched out still. Did you see what was meant by the stretching forth of God’s hand? It is “stretched forth…against them,” where them means “his [God’s] people”—Israel. And that stretched-forth hand, the hand of destruction unto Israel, remains stretched forth. Again and again this is emphasized, pounded home like a hammer driving a nail into a board: “For all this his anger is not turned away, but his hand is stretched out still.” The meaning here is stark, even terrifying: The Lord will utterly destroy the wicked among his people. Even after all the horrific evils which will come upon them, the Lord’s hand of destruction is still stretched out. The symbolism is clear. The Lord will not stop the complete destruction of the wicked among his people. On the contrary, he will hasten it. This phrase is then repeated numerous times in Isaiah’s following prophecies. Every time we read “his hand is stretched out still”, we should understand that as a divine warning of utter destruction to the wicked of the house of Israel. However, many Saints naively interpret this as meaning that the Lord’s helping hand of generosity and love is always extended toward his children. And therein lies the problem. This is a true doctrine—repentance is always available to those who will avail themselves of it, and the Lord’s hand of love is indeed always extended toward the repentant. But regardless of the truthfulness of that doctrine, that is not what this phrase means in Isaiah. No, Isaiah speaks with crystal clarity of God’s terrifying hand of condemnation that will visit the inevitable destructive consequences of evil on the heads of the wicked, rebellious, and unrepentant. But wait! Didn’t Nephi himself say, “And now I write some of the words of Isaiah, that whoso of my people shall see these words may lift up their hearts and rejoice for all men“? These Isaiah passages were included by Nephi explicitly so those of his people who saw them could rejoice! How is the woeful retelling of the utter destruction among Israel cause for rejoicing? It is worthy of rejoicing because it means that Zion and all of her faithful inhabitants will be redeemed. The wicked in Zion, those who pollute her and make her unworthy of her King, will be purged. Righteousness, purity, and peace will finally triumph. As Nephi’s last quotation of Isaiah reads: Rejoice not thou, whole Palestina, because the rod of him that smote thee is broken; for out of the serpent’s root shall come forth a cockatrice, and his fruit shall be a fiery flying serpent. And the firstborn of the poor shall feed, and the needy shall lie down in safety; and I will kill thy root with famine, and he shall slay thy remnant. Howl, O gate; cry, O city; thou, whole Palestina, art dissolved; for there shall come from the north a smoke, and none shall be alone in his appointed times. What shall then answer the messengers of the nations? That the Lord hath founded Zion, and the poor of his people shall trust in it. Or to translate this into 21st-century Gramps-speak: Don’t be smug, wicked Israel, just because the whip of your slavemaster has been broken; because out of the butt of that whip will come a monster whose offspring will be a fire-breathing dragon that will consume you. And of the poor of Israel (both in money and in spirit) whom you mock, their children will eat well and their sick and afflicted will enjoy comfort and safety, while you and your offspring will be destroyed. Weep for your devastation and cry for your loss, proud Israel! Your utter destruction comes as an army from the realms of the false gods you worship, and their soldiers will overpower you. And then, at that time, what will the messengers of all the nations say of those who remain in Israel? That the Lord has established his Zion, and all of his sheep, those who are poor in heart, will dwell there and enjoy its protections forever. What could be more joyful and hopeful than this, the redemption of Zion? Along with our faithful brother Nephi, let us rejoice in the rise of Zion and the blessed state of those who will live therein, and seek inclusion in Zion for ourselves, our loved ones, and all men and women who will come unto God and be saved.
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Practical Insights into Atopic Dermatitis (Original PDF from Publisher) By Kwang Hoon Lee, Eung Ho Choi, Chang Ook Park This book is a comprehensive, practical guide to the latest developments in the understanding and management of atopic dermatitis. Detailed information is provided on age-specific clinical symptoms, features, and diagnostic methods. Current theories on the pathogenesis of atopic dermatitis are closely examined, with attention to the roles played by genetic, allergic, immunologic, and skin barrier dysfunctions. In the second half of the book, the scientific background to and the practical use of the full range of treatment methods are described, covering topical agents, systemic agents, phototherapy, allergen-specific immunotherapy, and the most recently developed biologics and small molecules. This textbook will be an excellent guide to diagnosis and treatment for not only dermatologists but also practitioners in allergy and general medicine, including pediatricians, allergists, and primary care physicians. In addition, it will be of value for all scientists interested in developing new drugs for atopic dermatitis. - Publisher : Springer; 1st ed. 2021 edition (May 1, 2021) - Language : English - Hardcover : 256 pages - ISBN-10 : 9811581584 - ISBN-13 : 978-9811581588
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In order to study polymorphisms of the DNA insertion sequence 6110 (IS6110) in Mycobacterium tuberculosis strains isolated from Colombian patients, together with resistance to antituberculous medications in the Department of Quindío, Colombia, a prospective study was conducted using a consecutive sample of 59 patients with symptomatic pulmonary tuberculosis whose cases had been confirmed by bacilloscopy, both with and without a history of treatment. The patients, who were participating in the Tuberculosis Control Program of the Regional Health Institute of Quindío in Armenia, included all individuals attending local health centers and hospitals between March and July 1993 who were referred to the regional institute. Sputum specimens from each patient were cultured and subjected to drug sensitivity tests. Subsequently, restriction fragment length polymorphisms (RFLP) of IS6110 from 27 patients were analyzed. The patients' treatment histories were used to classify their cases according to WHO criteria. Forty-five cultures were found positive, 44 for M. tuberculosis and 1 for M. africanum. Initial drug resistance was observed in 4 of 42 new cases, or 9.5% (95% CI: 0.6, 18), 2 showing resistance to isoniazid (INH) and 2 to isoniazid plus streptomycin (INH-SM). Acquired resistance was observed in 2 of the 3 chronic cases and relapses, the bacteria being resistant to isoniazid, rifampicin, and streptomycin (INH-RM-SM) in one case and to isoniazid, ethambutol, rifampicin, and streptomycin (INH-EMB-RM-SM) in the other. In those 27 strains subjected to RFLP analysis, the number of copies of IS6110 ranged from 6 to 17. Similarity coefficients revealed five distinct groups of strains. Overall, the RFLP analysis permitted most of the strains to be distinguished from one another, implying that the polymorphisms involved are sufficient to permit effective employment of this technique, which appears to have considerable potential for use in epidemiologic studies and in work designed to provide a basis for tuberculosis control program decision-making.
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A Virtual Personal Network (VPN) is a type of network service that secures all of your information on the net. While the huge majority of searching on the Internet happens over encrypted connections, your individual information can still be intercepted. Consider your Internet link as a tunnel. The encrypted layer safeguards your individual information, and enables others to see your task only if they have the exact same security secret as you. This is a crucial protection attribute for safeguarding your online personal privacy. In order to ensure personal privacy and also safety and security when you use a VPN, you’ll require to be aware of how it works. Usually, VPNs utilize protected encryption strategies and also tunneling protocols to shield your information. Attackers can not review your raw information, so even smelling the network web traffic can not get at it. Various other protection actions in a VPN consist of sender authentication and also message stability. Both of these measures aid safeguard your data from tampering and also guarantee that just authorized customers have accessibility to your network. v2ray 机场 试用 Making use of a VPN has several benefits. It secures your privacy, which is important for online tasks. Without a VPN, web sites and also ISPs can see your IP address and log the packets you make use of on their site. Because of this, these web sites can customize advertisements to your place and also passions. It can also conserve you money when getting an airline company ticket or online. The Net likewise consists of details about your IP address, which can be utilized for identity theft, mass phishing campaigns, or other objectives. As internet dangers became extra common, encryption requirements ended up being more powerful, as well as brand-new tunneling procedures were developed. Consequently, VPN make use of infected specific home customers. WikiLeaks as well as Edward Snowden injected a little bit of modern-day zeitgeist right into the discussion. In 2017 users learnt that their ISPs had actually been marketing their browsing background to 3rd parties, making the principle of net neutrality a political battle. While the Senate obstructed the bill, numerous states have considering that passed comparable legislations securing customers. A VPN can safeguard you from price discrimination by ISPs. By utilizing a VPN, you can select an IP address in a various region and prevent being tracked by your ISP. This prevents your ISP from snooping via your net background. Making use of a VPN will certainly also safeguard you from rate discrimination, which is where online sellers establish various costs for various customers. This is commonplace in several countries, consisting of the united state. The Net is becoming a worldwide industry, and also information is kept for no good reason. The Virtual Private Network has developed from its initial use in the business globe, as a way to permit remote staff members to attach to the internal network of the main office without the danger of cyberpunks invading the network. Created in 1996 by Microsoft, it has ended up being a standard service tool. The concept came to be so successful that the term “Virtual Private Network” has actually come to be synonymous with on-line personal privacy in the consumer market. Its widespread usage has actually made it a crucial item of the on-line privacy puzzle. best vps 2020 What is a Virtual personal network (VPN)? A VPN aids you protect your privacy while surfing the Net. Without a VPN, websites and also Internet service providers can see and also log packets you send out over the Internet. This info could be made use of to send out ads, or track your activity on websites. This is a huge personal privacy danger, and there are billions of people who have their personal privacy broken by firms. A VPN prevents this from taking place. While public Wi-Fi is convenient, it can be dangerous. One hacker attached to a public Wi-Fi network can spy on all your online activities. A VPN works like an invisibility cloak, covering all your activities from your ISP, advertisers, or government. Another advantage of a VPN is its ability to bypass censorship. It can also protect against geo-blocking of media. Regardless of your location, a VPN can help you surf the Internet safely. The very first variation of a VPN was developed by Microsoft in 1996 as a way to allow remote staff members to access the firm’s network. Consequently, efficiency at business increased. Today, Virtual Private Networks (VPNs) are an important part of the consumer net personal privacy market. So what is a Digital Private Network? A digital personal network is a protected passage created by file encryption. Various prominent VPN procedures are Layer 2 Tunneling Method (L2TP), IPsec, OpenVPN, Secure Outlet Tunneling Method (SSL), as well as Internet Trick Exchange version 2. One significant drawback of a VPN is that it can not avoid all tracking cookies. The very best method to protect on your own is to make use of a VPN whenever you are using public Wi-Fi. Coffeehouse and various other public hotspots commonly offer cost-free Wi-Fi. In many cases, there’s weak cell signal, and also the resulting weak signal can trigger people to visit to their totally free Wi-Fi. Yet public Wi-Fi hotspots aren’t protect and do not need a password. Hackers can still take your information. As time passed, security criteria boosted and also brand-new tunneling protocols were established. VPN usage infect individual house customers. The development of social media sites and also Edward Snowden’s launch of information from Facebook and also the current discovery of ISPs’ capacity to offer searching background put net neutrality in the limelight. Consequently, people had to defend this concept. While the expense to secure net neutrality was blocked by the Senate, web nonpartisanship regulations were come on various states. VPNs are beneficial for all tools that connect to the net. One VPN provider, Avast SecureLine, provides service for up to 5 devices with a single account. It even deals with wise Televisions that run Android television. Besides computer systems as well as wise TVs, VPNs can secure your router from leaking individual information. Some routers also come with built-in VPN software program. There are other VPN applications that serve for individual safety and security. best vps provider reddit PE (Supplier Side) is a gadget located at the edge of the service provider’s network. It attaches to customer networks with CE devices. It offers the carrier’s sight of the customer website. Moreover, PE knows the VPNs attached through it as well as maintains them in their current state. A VPN carrier can likewise supply numerous synchronised links. For more information, visit the VPN web site of your provider. If you are not exactly sure whether a VPN is the most effective one for your needs, it is feasible to check it on your own.
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They might not be giants The author is the chief editor of the JoongAng Ilbo. More than 20 contestants are at the starting line for a race to the presidential election on March 9, 2012. The contest is a unique celebration of a democracy and its power to breathe fresh life into a society. The preliminary league has been disappointing. The rivalling frontrunners — Gyeonggi Governor Lee Jae-myung and former Prosecutor General Yoon Seok-youl — and others fail to show strength to tower over sitting president Moon Jae-in. The two frontrunners scored poorly in their test on respective scandals involving an actress and his wife and mother-in-law, respectively. “Should I let down my pants again?” said Gov. Lee in a parody of a past remark by a veteran singer about his sex scandal, vulgarizing the primary debate. When his mother-in-law got sentenced to three years for fraud for illegally pocketing state medical subsidies, former chief prosecutor Yoon stoically said, “Everyone is subject to fair investigation and trial according to the law and principle.” Other contenders also fail to present a positive impression. At this pace, the race could turn into a mediocre event. Perhaps we could witness an absurd play featuring a tragic doom of an unprepared president. There had been strongmen among earlier presidents. Syngman Rhee, Park Chung Hee and Kim Dae-jung each had been condemned to death. Rhee, a republican from a falling dynasty, was accused of treason, General Park for joining in a rebellion against the Rhee regime, and dissident Kim Dae-jung was on death row on charges of conspiracy and sedition by the Chun Doo Hwan military regime. In his memoir, Kim wrote how he had shaken at the sound of footsteps outside. Another dissident-turned-president Kim Young-sam stood up against the Chun regime with a 23-day hunger strike. They had not wavered against brutal challenges. Rhee founded South Korea, Park achieved industrialization, and the two Kims helped democratize the nation with the support of the people. President Roh Tae-woo also came from the military, but he set aside his hostility towards Communism and normalized diplomatic relationships with China and the Soviet Union. He signed the 1991 Inter-Korean Basic Treaty and drew a bipartisan unification proposal. Roh broadened the frontiers by overcoming the conservative mindset during the Cold War era. The five presidents all had follies, but their achievements were greater still. Since the two-Kims era, South Korea could not produce a president befitting the larger economic power and maturing level of its citizenship. Unprepared yet mighty presidents often foundered in addressing domestic and external challenges, hardening the lives of the people. We cannot expect a savior on a white horse. Without the best, voters will have to make do with lesser choices. Candidates must honestly bare their true character and political skills. The leading duo — Lee and Yoon — must inevitably face the toughest test. When asked thorny questions, they must not be evasive. But none of the contestants has come up with a clear vision about a country they want to build. Asked about how to tame the overheated real estate market, prime ministers-turned contestants Lee Nak-yon and Chung Sye-kyun vowed stronger regulations. Gyeonggi Gov. Lee said, “All the answers lie in what the president had said.” They all lack the courage and conviction to confront Moon. Semiconductor companies like Samsung Electronics and SK Hynix are the country’s last resort on the economic and security fronts. But none of the presidential candidates promises radical deregulation to help them effectively compete against their U.S., Chinese, Taiwanese and Japanese rivals. All the candidates merely wish to please their traditional base. The opposition front is no exception. Except repeating anti-Moon chants, its presidential hopefuls have not manifested an alternative path. Even if they wish to do away with the policy flops of the Moon government, none of them speak about succeeding the work to establish a lasting peace in the Korean Peninsula. Park Chung Hee had announced the July 4 South-North Joint Statement for sovereignty, peaceful unification and national union with North Korean leader Kim Il Sung. Roh Tae-woo was ahead of liberal presidents Kim Dae-jung, Roh Moo-hyun and Moon in improving inter-Korean relationship. Yet the conservative contemporaries have forgotten the legacy. Lacking any rigorous thought about the nation’s problems, they merely hope for a windfall in the next presidential election. There cannot be a promising future in this way. The ruling and opposition camps, the left and the right, must build a cooperative model together during the presidential race. When Park Chung Hee faced a backlash for trying to normalize diplomatic ties with Japan in 1962, then-opposition leader Kim Dae-jung publicly approved of the idea. He argued the country needed to capitalize on Japan’s economic ascension. If the conservatives overcome their “red, or Communist” complex and take the initiative to improve ties with North Korea, the nation can become more united. Can we expect a candidate with such flexible and engaging approaches? If there is one, we may finally meet a hero who puts an end to the era of division.
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According to the Bureau of Labor Statistics, nonfarm payroll employment increased in 43 states and the District of Columbia, and decreased in seven states in May 2018 compared to April 2018. Over the month of April, nonfarm payroll employment increased in 26 states and the District of Columbia, was unchanged in two states, and decreased in 22 states compared to March 2018. Nationwide, total nonfarm payroll employment rose by 223,000 over the month of May, faster than the increase of 159,000 jobs in April. Over the past 12 months, total nonfarm employment in May increased by 2.36 million jobs which is a 1.6% increase compared to May 2017. During this time, total nonfarm employment in the Western region increased by 2.2% and the Southern region increased by 1.9%. In comparison, April added 2.30 million total nonfarm jobs, which is also 1.6% ahead of it level in April 2017. Year-over-year, 48 states and the District of Columbia increased in employment while two states, Alaska and North Dakota, lost payroll employment during the month of May. The same number of states increased and decreased (Alaska and North Dakota) in employment over the year ending in April. Stronger growth in jobs across the West and the South is broadly consistent with the faster growth in single-family and multifamily permits across these two regions. Meanwhile, the Northeast and Midwest have experienced year-over-year declines in both single-family and multifamily permits. Year-over-year, ending in May, 20 states recorded annualized growth above 1.6% in employment, which was the national growth rate. Seventeen states out of the 20 which recorded growth above the national growth rate were in the Western and the Southern (including South Atlantic) regions of the country. Utah posted the highest growth at 3.4%, adding 49,800 workers during this time. Twenty-seven states and the District of Columbia recorded annualized growth between 0.4%-1.5% while Alaska and North Dakota recorded declines in employment. A previous post suggested that the energy industry in these states is likely not responsible for the employment declines in these two states. In the construction sector specifically, which includes both residential and non-residential construction, across the 44 states which reported construction sector jobs data, 23 states had an increase in May, 16 states reported a decline, and five remained unchanged compared to April. Construction sector posted a net gain of 25,000 jobs which is 0.3 percentage points higher than in April. Between April and May 2018, North Dakota had the largest increase in construction job growth with 8.7% followed by Rhode Island (3.2%) and Maine (3.1%). The largest decline was in Wyoming where total construction employment fell by 2.0%. During this time, New Jersey declined by 1.9% and Kentucky declined by 1.5%. Year-over-year, The U.S added 286,000 construction sector jobs which is a 4.1% increase. West Virginia had the highest annual growth in construction sector by 11.1%. Arizona (8.8%) and Georgia (8.4%) round out the top three. Over this period, North Dakota reported the largest decline at 6.4%, followed by New Jersey (3.0%) and South Carolina (1.4%).
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Zourokuen is the estate of the owner of a 'kitamaesen', one of the largest ships trading in the Sea of Japan from the Edo to mid-Meiji period. Most of the owners of kitamaesen were Oumi merchants, but were also employed as captains. These merchants built and commanded the kitamaesen, playing an active part in trade with Ezo (today's Hokkaido). As trade flourished, the merchants left the boats to the mariners of Kaga, Echizen and Wakasa. The captains of the kitamaesen were able to prosper as accomplished merchants, having gained experience and business acumen. Zourokuen comprises the residence and garden of the Saketani family, who had prospered in business. Their wealth is apparent in the buildings, its contents and the garden. The total area of the residence is about 1,000 tsubo (3,300m3). The total floor space of the lacquered mansion alone is about 300 tsubo (991.7m3). Exhibits in the warehouse include ancient documents, pottery (such as Kutani porcelain), yoshidaya, the miyamotoya-hachiro-akae, and the Matsuyama kiln. Approximately 500 kinds of Yamano grass grow wild in the garden of Enshuryu, and meiseki (ancient stones) from all over the country are positioned around the garden, creating a beautiful view.
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A complete fractionation of P (i.e. total phosphorus, orthophosphate, dissolved phosphorus and insoluble phosphorus) in pore-water (i.e. solution residing in container substrate pores) of amended and non-amended soilless substrate has not yet been performed; furthermore, the determined fraction of total leachate P that’s in the form of orthophosphate has been inconsistent between studies (Million et al. 2007; Ristvey et al., 2004). Fractioning pore water P will provide insight on short-term quantity of plant available P in pore-water, as well as the immediate bioavailability of P leached from soilless media. We hypothesize that not all pore-water P is immediately plant available (orthophosphate). Thus, our results would allow us to make fertilization recommendations based on plant available P rather than total P in pore-water. Additionally, determining the proportion of dissolved and insoluble P in leachate would aid in our understanding of the container nursery’s environmental impact due to phosphorus runoff. Establishing a minimum P concentration in pore-water that will maintain maximal growth of woody ornamental plants has major implications for the nursery industry. Reducing fertilizer application rates and increasing uptake efficiency would reduce nursery production costs. Increasing uptake efficiency by minimizing necessary pore-water P concentration would increase crop phosphorus use efficiency, subsequently decreasing P leachate and runoff contributing to P loads in waterways. This will aid in improving water quality for aquatic ecosystems, and nurseries will be better able to meet state requirements for maximum nutrient runoff loads.
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Title IX is a federal law that protects people from discrimination based on sex in schools and universities that receive government funding. It states: “No person in the United States shall, on the basis of sex, be excluded from participation in, be denied the benefits of, or be subjected to discrimination under any education program or activity receiving federal financial assistance.” If you are accused of a Title IX violation, you could face investigation and sanctions. At these times, it would be best to hire a lawyer for Title IX defense in California to know more about what the law covers, the options you have, and what decision or outcome you can expect. Here are different types of Title IX violations: 1. Gender discrimination Under Title IX, a student or his/her parents can file a complaint against a school if they believe gender discrimination took place. Gender discrimination is a form of sex discrimination that happens when a person is treated differently because he or she is not of the same sex. This type of discrimination in school and university can include being disciplined more harshly or being terminated due to their gender identity or the fact that they are a sex stereotype. 2. Sexual harassment This type of violation in school occurs when a person is subjected to unwanted sexual behavior. Sexual harassment can include sexual remarks, touching another’s body, or inappropriate sexual jokes. While it is clear what constitutes sexual harassment, people often don’t know what conduct constitutes “unwelcome.” Whether the conduct is severe enough to constitute “unwelcome” will depend on the facts in each case. Title IX prohibits retaliation against students, faculty members, and employees who file complaints or participate in other investigations of Title IX violations. If a person suffers an adverse action, he or she can complain about retaliation. The complaint must be filed within 180 days of the adverse action. 4. Sexual violence Sexual violence includes rape, sexual assault, sexual battery, sexual coercion, and other forms of sexual abuse as determined by the school or university. This type of violation includes any physical sexual acts that are committed without consent or where one party is incapacitated from alcohol or drugs. Sexual violence may also include posting sexually explicit photographs or videos on websites without consent unless it is for an educational and not retaliatory purpose. 5. Hostile environment A hostile environment claim occurs when a student or employee is subjected to objectionable treatment based on sex. This means that the student or employee was subjected to situations in which the offensive behavior of unwelcome sexual nature. Related CTN News:
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UMOJA is a Black Heritage and Culture camp for families raising African American children through adoption, foster care, or kinship care. UMOJA camps will benefit parents of any race by providing an honest and transformational look at the resistance and resilience of Black people throughout history. We offer three camps each year with programming and education for all members of the family. Each camp has supportive education for parents related to race, racial identity, and racism; positive hair and skincare; interracial family dynamics; educational advocacy; and other topics related to the specific needs of adoptive, foster, and kinship care families. Each camp also has engaging education for youth focused on positive racial identity development through a celebration of African nations and discussions of the history of strength and resistance of Black people in African nations and the U.S.
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There are so many ways we can spend quality time together as a family, but each season lends itself to certain activities that help us bond and nurture our relationship with our children. Autumn is probably my favourite for seasonal family activity time, because it feels like it brings a natural slowing down and pulls focus in to our family circle. This feels particularly important in our busy, modern lives. As it’s half term for us in the UK (and a 2 week lockdown here in Wales), I’ve been thinking of ways we can enjoy our time together whilst we stay at home. With the nights drawing in and the cooler days, it's the perfect time to seize the season embrace 'hygge' and enjoy some Autumn themed activities! Here's our ideas for easy and realistic ways you can connect as a family through the season Autumn. Art and Craft We've created this lovely FREE Autumn Activity Checklist to help you ensure you spend quality time with your family at this beautiful time of year. Click here to download! Hey! I'm the founder, creator and voice of Ink and Scribbles. Sharing thoughts on child well-being and parenting that are based on my teaching and parenting experience, and NLP learning.
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When you save an ArcGIS map document (MXD) and then change the data source of a layer in the MXD, you can no longer see the layer in the MXD and you must redefine its data source. But suppose you need to discover the previous data source's feature class name. In ArcMap, you can find it under the layer's Properties -> Source Tab, but I want to access this information programmatically. I tried the code below but it doesn't work for this kind of layer. Can anyone suggest another method for retrieving the properties of a layer whose data source has been lost?
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Tonight Australia braces for its first super moon of 2021, also referred to as a 'pink' moon. The April 27 spectacle promises to be bigger and brighter than your typical full moon, and it will mark the first of two super moons due to happen in 2021. What is a pink super moon? Despite the pink reference, tonight's super moon will not be sporting a pastel pink hue (sorry, folks), but rather its regular, golden tone. So why the pink moniker? A pink moon is actually historically named for the pink spring flowers the bloom during its annual appearance in North America. When can we view the pink super moon? Although the moon reaches its full phase at 1.31pm in the afternoon, east-coast time, spectators are better off viewing the moon at 5.33pm AEST, as it will appear biggest at moonrise and moonset. This is due to a well-known optical illusion referred to as the moon illusion, in which the lunar rock appears to increase in size at its closest point to the Earth's horizon. Here's the kicker though — while it does at least seem bigger to our untrained gaze, its size doesn't actually increase at all. However, due to this month's full moon coinciding with its closest point in orbit to the Earth — what has come to be referred to as a "super moon" — the moon will appear 30 per cent brighter and up to 14.1 per cent bigger than it does at its furthest point of orbit. Some experts argue that this size difference is negligible to the casual observer but that hasn't stopped super moon mania from gripping the star-gazing community in recent years. The super moon has already visited our Northern Hemisphere friends, giving the rest of the world a preview of what's to come. And well, it looks pretty grand! Upcoming lunar events If you're missing tonight's sky show, don't fret — you'll get your chance to catch another super moon next month during the May flower moon. In fact, the May 26 super moon promises to be around 158km closer to Earth than tonight's pink moon. Of course, there's another reason why this moon is extra special — it will actually occur during a total lunar eclipse, making it a "super blood moon". The partial eclipse won't begin until around 7.45pm AEST, but for an additional spectacle keep your eyes peeled at 5.40pm to see the moon on the horizon where it will look enormous. When the eclipse reaches totality (when the Earth's shadow completely covers the moon) it will briefly appear an eerie reddish "blood" colour.
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Keeping time; 38 years as a master clockmaker Time is both a tyrant and a teacher. It can fly by or drag on. Time might be on your side, but it waits for no one, and though you can keep it, time will often get away from you. On Saturday night hundreds of millions of people will be watching their clocks waiting for the arrival of 2017. Beginning in Sydney, Australia and ending in Honolulu, Hawaii; celebration of the New Year’s arrival sweeps westward every Dec. 31st. Come Sunday morning, many people will reflect back upon having the time of their lives. Others may regret their bad timing. Few will be more familiar with counting the seconds, minutes and hours than Rick Enge. Enge’s shop, “World of Time” has been a must go destination for people who care about clocks since 1978. Stop in at the store at 405 Central Ave just before the top of the hour and you’re in for a show. “It gets pretty busy here on the hour,” Enge admits. It begins slowly, with the deep, resonating chimes of a prim grandfather clock. Soon a mocking cuckoo rings in, wagging its tongue at the solemn grandfather. One by one, hundreds of clocks join the rolling cacophony. It is a madness of bells and chimes; some stolid and reserved, others frenetic and boisterous. Mozart’s “Eine Kleine Nacht-Musik” competes with Beethoven’s “Moonlight Sonata.” The Magic Motion clocks twist and turn, while the Krazy-Kat clocks roll their irreverent eyes. In the corner, a saucy Betty Boop clock swings one gartered leg trying to draw attention. In seconds it is over. A new hour has begun. At his workbench, Enge sits unfazed. He’s heard it thousands of times. A repeat performance is scheduled for just 59 minutes later. “I’ve gotten so used to it that I don’t even notice,” he said. “Except when I’m talking on the telephone or trying to work with a customer.” Enge’s life of time began half a century ago. As a teenager, Enge was fascinated with the internal secrets of gears and levers, and all things mechanical. “I’ve always been intrigued by what makes something work; taking it apart and finding out,” he said. “When I was 13 or so, I had an Aunt and Uncle who collected clocks. I caught the bug from them.” While other kids were working on their cars, Enge was visiting resale shops looking for old clocks that he could tear apart and rebuild. By the time he was a senior at C.M. Russell High School, Enge was already certified as a clock repairman. After graduating high school in 1973, Enge enrolled in a watchmaking course at the Great Falls Vo-Tech Center (now Great Falls College – Montana State University). Two years later he successfully challenged the American Watchmakers-Clockmakers Institute’s exam to become a certified watchmaker. In 1978, at the age of 23, Enge opened his first timepiece repair shop. Time has changed since then. In the late 1970s, timekeeping was still dominated by mechanical clocks and watches. Driven by gears, springs and levers, the technology is a culmination of engineering going back 700 years. The earliest mechanical clocks were large structures, built to guide the cycles of prayer and the celestial observations of priests, astronomers and kings. These tower clocks were the technological wonders of their age. One of the oldest still in existence is the Orloj Clock of Prague, in the Czech Republic. Mounted on the southern wall of the Old Town Hall, the clock’s display includes an hourly “Walk of the Apostles,” and a figure of Death, represented by a skeleton, who strikes the hour in sequenced rotation. Completed around 1490, the Orloj Clock was considered so beautiful that the town councilors of Prague ordered its maker, Hanus, be blinded so that he could never duplicate his work. After his disfigurement, Hanus ascended the clock tower and sabotaged his own masterwork. No one was able to repair the Orloj Clock for another century. According to “The Old Clock Book” by N. Hudson Moore, mechanical clocks for domestic use began to appear in the 17th century. At first, only the nobility could afford such a wonder, and the mysteries of their creation were closely guarded by secretive craftsman’s guilds. By the 18th century clocks from Germany, France and England began to become more affordable. But they remained a luxury item beyond the reach of most people. For those families who could afford them, the household clock was frequently the most prized and most valuable personal item they possessed. “When Lewis and Clark came to Montana, the single most expensive item on their expedition was a chronometer,” Enge said. Chronometers were a specialized form of clocks specially designed to keep accurate time in spite of motion or variations in temperature, humidity, and air pressure. They were first developed for marine navigation in the 1730s being used in conjunction with astronomical observation to determine the position of ships at sea. “They needed a very accurate time piece to chart their courses,” Enge said, “and that chronometer was the single most expensive item that the Lewis and Clark expedition had.” Travel, and an accurate record of where you were and when you could expect to arrive were the driving forces of increasing timepiece accuracy. The railroads played a big part in this. The trains had to run on time. If you wanted to work for the railroad you had to have an accurate timepiece, but the railroads wouldn’t pay for it. “Back when their watches were mechanical, railroad workers had to have a pocket watch that was 21 or 23 jewels and it had to be inspected for its accuracy,” Enge said. Jewels are a mechanical component of clocks and watches that directly contribute to a timepiece’s precision. The more jewels a clock or watch has, the less friction between its moving metal parts, making it both more accurate and more durable. “That wasn’t an inexpensive item to buy,” Enge said of jeweled pocket watches of the 1800s. “Many of the railroad workers made monthly payments on their watches.” The price of time began to change in the 20th century. In 1927 scientists at Bell Telephone Laboratories developed the world’s first quartz clock. When stimulated by a small electric charge, a tuning fork shaped quartz crystal will vibrate precisely 32,768 times per second. This fixed rate of oscillation was transformed into a very precise timepiece. By the late 1960s, commercial manufacturers like Seiko and Bulova had adapted this technology to create quartz wristwatches accurate to within one minute a month. Add in the development of solid state electronics in the 1980s and highly accurate clocks and watches became evermore inexpensive to build and sell. When Enge opened his first store in 1978, mechanical clocks and watches were his biggest sellers. Today, quartz timepieces are far more popular, even when it comes to the more elegant mantle and wall clocks. “I think a big part of the reason for that is price,” Enge said. “Mechanicals are simply more expensive – and people don’t want to bother with winding a clock anymore, just like they don’t want to wind their watch.” If fact, time has become almost disposable. Go down to any hardware or big retail store and you can buy a perfectly serviceable quartz wall clock or wristwatch for under $40. If it stops working or you don’t like it anymore, simply throw it away. It isn’t even worth the price of what it would cost to fix it. Many people have dispensed with owning a clock or watch altogether. Why bother with a wristwatch when your smart phone is in your hand all the time anyway. However, something is being been lost in this onward rush toward convenience and disposablity. The age-old mantle clock or a grandfather’s pocket watch were once prized family heirlooms, handed down from one generation to the next and beloved for the very fact that they had been faithfully keeping time for so many years. Even the simple task of winding a wall clock or twisting the stem of a pocket watch takes on more meaning when you know that your ancestors performed the same task on the same timepiece years before you. Few other physical items in today’s fast-paced digital world carry a similar weight of nostalgia. “I still have tools that belonged to my grandfathers,” Enge reflected. “When I pick up one of those tools to do a project, I hope that some of the knowledge of my grandfather who used that tool is passed on to me.” And old clocks sometimes have secrets to reveal. It’s not uncommon for Enge to find intimate mementos hidden away inside the cases of heirloom clocks; silver dollars, handwritten notes, artifacts stashed away for safe keeping and long forgotten. On one occasion, Enge found a document inside a mantle clock that was both deeply personal and the solution to an age old mystery. “I pulled out the movement and there was some paper tucked into the corner inside,” he said. The paper was the birth certificate of a little girl, but it displayed a different last name than that of the customer who had brought in clock in for repair. When Enge called the customer to tell her what he had found she began to laugh. “She said, ‘That’s my birth certificate,’” he recalled. “’My father gave my mother that clock when I was born. He must have put the birth certificate in the clock then. I never knew it was there, and all this time I thought my original birth certificate had been lost.’” The story of the birth certificate hidden inside a clock reads like an allegory; of how a good clock can do more than simply track the passage of time, but help to reveal the lives of a family as well.
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My goals is to modify a 3DR X8+ octocopter to autonomously take off and land on a moving surface vehicle (a boat). The idea is to feed the drone with a certain GPS location. Then I´d like the drone to perform a 360° ROI flight around that positon, come back and land. This is what I´ve been thinking of so far: - for the first flight stage (including ROI) I could easily write an autopilot mission and upload it to the autopilot - then -when it comes to return to my boat- I´d like to fly in guided mode so that the drone follows a GPS signal transmitted by the surface vehicle - once the drone is hovering above the boat I´d like to have an optical tracking system improving the landing accuracy Unfortunately I haven´t worked with drones before! But I´m trying to catch up. So this are the questions I have: - once I´m in guided mode how can I feed my drone with new GPS positions? - how can I send control commands without a control? I´d really appreciate your help! Thank you :) Have a nice day.
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Environment and Climate Minister Maria Ohisalo (green) says that a law is being prepared according to which, for example, clearing of forests for fields should be paid for. The purpose is to prevent [email protected] 16.7.2022 at 13:17 - According to preliminary data, the carbon sink of forests collapsed last year. That is why, according to Ohisalo, the government has agreed on additional measures. - As one way, the ministries are starting to prepare a payment for forest clearing. - Finland may receive a billion bill from the EU if the sink targets are not met. Environment and Climate Minister Maria Ohisalo (green) says that additional measures have been decided in connection with the government's new climate plan as a result of the fact that the carbon sink of Finland's forests seems to have decreased significantly. A week ago, the government published the climate plan for the land use sector, nicknamed “misu”, which outlines climate measures for land use. The plan's means aim to increase Finland's carbon sink, i.e. the sequestration of carbon dioxide from the atmosphere, by three million tons. Ohisalo started as environment and climate minister in early June after returning from parental leave. Just before this, Statistics Finland had published preliminary data on emissions for 2021: according to calculations, the carbon sink of Finland's forests had collapsed. The growth of carbon sinks in forests is an essential part of Finland's climate goals. According to Ohisalo, in the final stages of the preparation of the climate plan for the land use sector, an even faster and broader goal than the draft version was added to his wish that a fee be set for the clearing of forests. – It is a concrete action. Every time a forest is cleared, either for construction or arable land, deforestation is caused. There will now be a fee for this, Ohisalo says. Iltalehti met Maria Ohisalo in Pori at the Suomi-arena this week. Photo: Henri Kärkkäinen Exploration of the collapse of the coal sink It was originally agreed in the government program that the clearing of forests for construction would be curbed by introducing a land use change fee. Now the clearing of forests for fields is also included in the scope of the payment. The law could enter into force in 2023. The Ministry of Agriculture and Forestry and the Ministry of the Environment are preparing a payment model, and the bill will be submitted to the opinion round next spring. So the sitting government does not yet have time to issue the actual bill, but it remains for the next government to decide. How much could the land use change fee increase expenses for those who clear the forest for fields or construction? Ohisalo does not estimate the amounts, but says that we will first see what is revealed in the report of the working group. In addition, the government agreed in connection with the “misu” that we will find out what the latest emission calculations are about: did the carbon sink of forests really collapse last year, or are the figures more accurate from quick advance data – and what is the cause of the possible collapse. – I like really worrying about the preliminary information we received. That's why during the fall I want to get more information about what's behind it, Ohisalo says. When the report is received by the end of the year, the government's working group will review the climate measures of the land use sector again. < p class="paragraph">In connection with the climate plan, the government also agreed that the goal of the future forest strategy will be to maintain and increase the carbon sink and to promote the climate act's sink and emission targets and the EU's land use sector obligations. The government also agreed that the appropriations for the management of forest nature will be more than doubled, to 17.5 million euros. The reason is the Forest Act? At the end of May, after the publication of the carbon sink statistics, the Natural Resources Center (Luke) reported preliminary estimates as to why the carbon sink of forests has decreased. Among other things, Luke presented that more and larger trees have been removed in the thinnings than before, wind and snow damage may have caused greater thinning needs, and the time of felling has come earlier, when younger trees are felled. Ohisalo points out , that the government has now also agreed that the forest law that entered into force in 2014 will be reviewed. – We don't have a very accurate picture of how the law currently guides logging. The law is now being evaluated from a climate perspective. – If it seems that the law is leading in the wrong way, even to too extensive logging at too early a stage, the next government will certainly have to open the law, says Ohisalo. When asked if felling should be limited in Finland, Ohisalo answers that the situation in the forests now needs to be clarified first. The chairperson of the Greens, Maria Ohisalo, returned from parental leave and took over the portfolio of the Minister of Environment and Climate at the beginning of June. Previously, he was the government's minister of the interior. Photo: Henri Kärkkäinen Billion dollar bill at risk The collapse of the carbon sink of Finland's forests was not a complete surprise to the experts closely following the situation. When Statistics Finland published the preliminary data at the end of May, the Ministry of the Environment told Iltalehti that there had been hints about the reduction of the carbon sink. Finland's goal of being carbon neutral in 2035 is no longer just the goal of the current government, but is written into the new climate act. Therefore, the next government must also commit to the goal. The climate panel quickly announced after the carbon sink figures came out that the entire Finnish carbon neutrality goal is in danger. Ohisalo says that the Climate Panel must be listened to, and he has discussed the situation with the government's climate and energy policy working group, the panel's chairman, professor Markku Ollikainenwith. Ohisalo points out that reducing the carbon sink is a broader issue than climate goals, even a national economic one. The climate panel has estimated that the EU could face a decline in the billions. According to the panel, in light of the emission figures and current measures, Finland will not reach the net sink target for the land use sector set by the EU for the 2020s. Costs arise if you have to buy a replacement amount of sink units from the EU's internal market or take more expensive emission reduction measures elsewhere. Last year, industrial wood was felled the second most in the history of measurement June 2, 2022 9:50 am Parliament approved the climate act – Finland aims to be carbon neutral by 2035 May 25, 2022 9:54 pm Analysis: A huge surprise from the forest statistics – the government cannot ignore this 5/6/2022 7:30 Ohisalo demands that all old and natural forests be protected: “We cannot settle for less” 7/6/2022 3:43 PM The carbon sink of forests collapsed in a year – this is what it means 27/5/2022 5:02
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In an undated manuscript, “History of Mount Denson”, held by the McDade Heritage Centre there is a paragraph or so about the summer resort at Aberdeen Beach. This History was sketched from some of the children of the Mount Denson school, Miss Cordelia Patterson and others. Some of this History is also of Falmouth as it explains some of the roads, trails, etc.. History in its proper sense is an account of facts and events as they occurred together with the old legends and observations of the writer “History Story” according to Webster and the same word differently written. The story of the ambitions, toil, suffering and progress of our ancestors should fill our hearts and minds with reverence for that courage and perseverance which has won for us the homes and comforts which we now enjoy. In this History I have tried to tell as fully as my own knowledge of the place, my study of old history and old documents, following the rivers, old roads, trails, old french cellars, and other markings has enabled me to do the story of this small village the best I can. For information on the early customs I wish to thank those who so kindly and patiently gave me this information. It is my hope that those who have never troubled themselves about the early history of their village may be profited by the reading of this history and thus be led to take a greater interest in their native place. - A. E. (Amos Enzley) Harvey was a son-in-law of Herbert Shaw, having married his daughter Lottie in 1922. Mr. Herbert Shaw opened up the beach, bordering his property, as a summer resort. He put up a restaurant where was sold candies, and Ice cream etc. during hot weather. He has also built quite a number of cottages, a large pavilion, tables for picnics, bathing houses and a neat little boat which is always at the disposal of the tourists. This is a favorite resort of many tourists as the bathing is good and the situation of the cottages being high a splendid view is obtained. To the beach was given the name “Aberdeen”. As to the situation in Mount Denson it is on the west side of the Avon River.
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The Stilbaai marine protected area provides protection to a variety of marine and estuarine habitats, including a large sandy bay to the east, smaller rocky bays to the west and the Goukou river mouth, which contributes to the recovery of depleted fish populations and other endemic threatened species. This MPA includes the entire Goukou estuary and is one of the few MPAs in South Africa that provides protection for both estuarine and marine habitats. The Stilbaai MPA prohibits fishing and bait collection in approximately 75% of the Goukou estuary and 20 square kilometres of ocean in the Skulpiesbaai restricted zone (No Take) in the west and the larger Geelkrans restricted zone in the east. The MPA also has stone fish traps (visvywers) that provide living evidence of how the early original coastal communities fished the area. Stilbaai’s proclaimed harbour is dependent on having access to the sea and estuary which is used by commercial and recreational boaters. Stilbaai was declared a marine protected area in 2008. It connects to the land-based Geelkrans Nature Reserve, which ensures that the coastal zone is well protected. The area, managed by CapeNature, is protected to rebuild overexploited marine life, particularly reef/line fish. It also protects marine habitats and preserves the stone fish traps, which are archaeologically and culturally important. Fishing is still allowed in the controlled areas of the MPA, but it is banned in Geelkrans, Skulpiesbaai and the Goukou estuary. Goukou was the first estuary to be included in marine protected area in the Western Cape. The Stilbaai MPA is a bio diverse area, with a variety of coastal habitats, including dunes, sandy beach, rocky shore, coastal fynbos, salt-marshes, reefs and estuarine reeds. These habitats are monitored through various projects by CapeNature who is the Management authority.
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This is very simple device for light painting on long exposure photos, inspired by pixelstick. The whole idea is to paint the picture row by row (or column by column). I had a RGB LED strip with HL1606 drivers laying around so decided to make this quick and dirty hack. The whole device consists of an arduino, LED strip and a power supply (batteries are recommended). DI, CI and LI pins from the strip are connected to arduino pins 5, 6 and 9 (it is also possible to connect it to SPI pins for faster communication) and Adafruit hl1606 library is used. Image is hardcoded in the arduino. To convert image to arduino code I created very simple web app located at http://f.hyperglitch.com/lightstick.html. It just resizes image to the height of 32px, saturates colors (arduino code does not use PWM so we have only few colors available) and creates arduino code that can be copied directly to arduino IDE (Adafruit HL1606 library needs to be installed). Current code is limited to 32 RGB leds (1m of LED strip). Best results can be obtained by using long exposure on DSLR camera. Another approach is to combine lot of short exposure photos. This approach is simpler and there are apps for mobile phones for that (haven't tested any of them). Using any approach should give better results than the following method :D. Since this is a quick and dirty hack I created an ad-hoc method for this using the following steps: Note that this is very lousy way of blending images. For every pixel in the final image script just takes the brightest pixel at that location from all the images. I need to rewrite this. Sometimes better results can be obtained by changing the FPS of the recorded video. Same can be achieved by changing the frame_skip variable in octave script.
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Explore the history of the Negro Baseball Leagues at this museum located in the 18th & Vine District. Through video... moreExplore the history of the Negro Baseball Leagues at this museum located in the 18th & Vine District. Through video presentations, film exhibits, interactive stations, a photo gallery and pieces of memorabilia, the museum offers insight into the lives and careers of the players who contributed so much to the game of baseball while helping to advance the Civil Rights movement. This museum adjoins the American Jazz Museum, so be sure to allow enough time to visit both. less We went with our college age son. The museum was wonderful, lots of great displays and things to see. My only complaint was that there is alot to read so as more people came, it got a little traffic...more We do not get the education that we deserve when it comes to black history. What an awesome place to learn about things you have never been told. A gem, and a treat. We took our 2 teen boys, and they...more
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Over the past several years, CBD's popularity exploded thanks in part to scientific research that has highlighted its medical benefits in addition to aggressive marketing. Some CBD companies went so far as to promote their products as beneficial for food-producing animals, which provoked the FDA to clamp down on them. One thing is certain, there are not nearly enough studies on the effects of CBD to have one final conclusion. A new study, “Evaluating cannabidiol (CBD) expectancy effects on acute stress and anxiety in healthy adults: a randomized crossover study“ looks at the question of placebo and CBD. The study was authored by Toni C. Spinella, Sherry H. Stewart, Julia Naugler, Igor Yakovenko and Sean P. Barrett, who examined the effect in a sample of 43 healthy Canadian adults. Participants had to have prior marijuana use to manage their expectations but could only have consumed marijuana twice in the month prior to the study. The research had three sessions – one orientation and two experimental. The experimental parts of the study gave participants hemp seed oil to use by themselves. In one session participants were told the oil had CBD, and in the other, they were told it did not, although in truth, neither time the oil had contained CBD. After using the oil, participants were measured for stress, anxiety, drug effect, and mood and had an ECG to examine heart rate. What were the results? The study revealed that people are susceptible to the expectancy effect of CBD. When told that the oil they are using contains CBD, sedation increased notably after the usage, and there were changes in the heart rate. On the other hand, in the CBD-free condition, sedation was lower after the use of the oil, and there were no changes in the heart rate. The results indicate that the suggestion of CBD consumption could be enough to reduce stress at some level. “Interestingly, the extent to which participants believed that CBD reduced anxiety interacted with expectancy condition to predict their subjective anxiety levels following oil administration,” the researchers noted. “That is, subjects who endorsed the strongest beliefs that CBD reduces anxiety tended to experience the lowest levels of anxiety when they expected CBD oil and the highest levels of anxiety when they expected CBD-free oil. On the other hand, when subjects endorsed low or moderate beliefs, there was very little difference in anxiety outcomes according to expectancy condition. Such findings emphasize the importance of individual expectancies and their role in moderating the placebo effect.” There were several limitations to this study, however. One was that the sample was mostly white, healthy adults, and gender difference was not examined. “Though previous reports suggest that CBD may be a promising medicine for psychiatric disorders like anxiety, our findings emphasize the need for more research evaluating the relative contributions of pharmacological and non-pharmacological factors for such conditions, which could be done through a full balanced placebo research design,” the researchers said. It is important to note that the research did not examine the benefits of CBD on physical and mental health, only that people can be vulnerable to expectations. While the study did not conclude that CBD does or does not help to curb anxiety, it did demonstrate that the placebo effect is real. © 2022 Benzinga.com. Benzinga does not provide investment advice. All rights reserved. Ad Disclosure: The rate information is obtained by Bankrate from the listed institutions. Bankrate cannot guaranty the accuracy or availability of any rates shown above. Institutions may have different rates on their own websites than those posted on Bankrate.com. The listings that appear on this page are from companies from which this website receives compensation, which may impact how, where, and in what order products appear. This table does not include all companies or all available products. All rates are subject to change without notice and may vary depending on location. These quotes are from banks, thrifts, and credit unions, some of whom have paid for a link to their own Web site where you can find additional information. Those with a paid link are our Advertisers. Those without a paid link are listings we obtain to improve the consumer shopping experience and are not Advertisers. To receive the Bankrate.com rate from an Advertiser, please identify yourself as a Bankrate customer. Bank and thrift deposits are insured by the Federal Deposit Insurance Corp. Credit union deposits are insured by the National Credit Union Administration. Consumer Satisfaction: Bankrate attempts to verify the accuracy and availability of its Advertisers' terms through its quality assurance process and requires Advertisers to agree to our Terms and Conditions and to adhere to our Quality Control Program. If you believe that you have received an inaccurate quote or are otherwise not satisfied with the services provided to you by the institution you choose, please click here. Rate collection and criteria: Click here for more information on rate collection and criteria.
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Every student seeking admission to the college must obtain the college information handbook . It contains an admission form, which must be duly filled in legibly by the student. As admission is made strictly on merit, the form must be presented as soon as the admission starts. ADMISSION PROCESS AND REQUIREMENTS - Original certificate of the Last University/Board Examination passed and an two attested passport size photograph. - Character Certificate duly attested by the Head of the Institution last attended. - Certificates of Merit for meritorious performance in games and co-curricular activities - Two sets of self attested photocopies of all the original certificates Admission to various classes shall be done strictly on merit and first-come-first-served basis. Since the number of seats allotted to each class is restricted, admission will be closed as soon as the required number is completed. Late admission will be permitted only if seats are available. STUDENTS FROM OTHER UNIVERSITIES/BOARDS Must apply for eligibility certificate through office within a month for that they will have to submit - Original Migration Certificate - Photocopy of Certificate/DMC - Official Certificate of category and Domicile. In case a student is unable to produce eligibility certificate at the time of admission, she may take provisional admission at her own risk and responsibility. The decision of the University, in such cases, will be final and the candidate will have no claim whatsoever against the College/University if her provisional admission is cancelled by the University. (Students admitted provisionally should submit the required documents.) FOR SPECIAL ATTENTION OF PARENTS/GUARDIANS - Parents/guardians are requested to go through the college information handbook thoroughly and comply with the instructions given therein. - Continuous absence of the ward from college without genuine reason will be seriously dealt with. A written application for leave should reach the Principal from the parent of the ward. - Students are expected to strictly follow the code of conduct mentioned in the information handbook. - Students can leave the college only after their classes are over. For no reason will they be allowed to leave the college before the specified time. - It is compulsory for every student to attend 75% of the lectures delivered and to appear in the class test and submit the assignments to be eligible to sit for the final examinations. - Students who have been placed under compartment in 10+2 examination are eligible for admission provisionally, subject to their clearing the compartment by December of the same year, failing which their provisional admission shall stand cancelled automatically and no claim for refund will be entertained
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- A number of workers have used the freedom of working remotely during the pandemic to leave behind their sedentary housing and move full-time into vans. - These remote workers drive from location to location in their homes, working off of internet hotspots in their vans and spending their free time in nature and exploring new places. - As vaccines roll out and states start to open up, some workers are returning to their offices, but for many of those who've adopted the van life, there is no end in sight to their life on the road. When Erica Horn received a work email in May 2020 saying her company would be fully remote for the next year, she knew right away it was time to live out her long-held dream of living out of a van. "Nothing else made more sense than van life once that reality became true," said Horn, who lived in Oakland before moving into her van. "I had no reason, nothing, tying me to that specific location or that amount of rent." Horn is not alone. Many workers with jobs that let them work remotely during the pandemic left behind their sedentary housing situations and moved full-time into vans. These remote workers drive from location to location in their homes, working from internet hotspots in their vans and spending their free time in nature and exploring new places. As vaccines roll out and states start to open up, some workers are returning to their offices. But many workers who've adopted the van life don't want to give it up. "It's become a lifestyle," said Smriti Bhadauria, who lives in her van with her husband Kartik Vasan and their dog Everest. Bhadauria and Vasan have been traveling in their 1977 Dodge B200 Tradesman since leaving Toronto in August 2020. "We're extremely happy in this life and the freedom it gives," Bhadauria said. "There's no deadline in sight." Like overseas backpacking, van life appeals to those with a love for travel or the outdoors who have the privilege to work remotely and the budget to spend thousands of dollars buying and setting up their vans. They can shift the money from rent and car payments toward a lifestyle of endless travel. "I've always been somebody who loves to travel, but I'm definitely a homebody at the same time," said Cailey Dillon, who works remotely in customer service for Outdoorsy, a van and RV rental company. "I really like that with the van life you can always be traveling but your home is always with you." For some, working out of a van is less about travel and more of an alternative to leasing an office. Kenzo Fong, CEO of tech start-up Rock, began working out of his van in May 2020 after his children began doing their schoolwork at home during the pandemic. Fong still lives in his San Francisco home, but during the days, he gets into his van and picks a new location in the city. Fong spends his day working out of the desk he's set up in his van, and takes walking breaks to enjoy the variety of locations and gather his thoughts. Fong prefers this to having an hour-long commute each way from San Francisco to Mountain View, California, as he did for his previous job at Google. "I just can't imagine myself doing that again because there's so much flexibility working from anywhere," said Fong, whose company builds software for remote workers. Buying and setting up a van can be a quick process. But people who really get into it can spend months or years getting set up. Fong, for example, bought an already-converted van and financed it, and pays a couple hundred dollars each month. "Way less than getting office space in San Francisco," he said. In contrast, Horn spent months working on her van with her dad and a contractor, setting up the van to the specifications that she wanted. By the end of the project, she had spent about $60,000 -- $25,000 for a used van and another approximate $35,000 on the build. Van life vehicles need a few basics: A place to sleep, a desk or table space, kitchen equipment and some sort of bathroom setup. But perhaps most important is the computer and internet equipment. Some van lifers only need a laptop. Others have more elaborate set ups complete with multiple monitors. But most carry at least two hot spots from different network providers so they can catch signal from at least one of the services as they hit new locations. These internet requirements sometimes necessitate innovative solutions. Horn recounts finding a great campsite in Sedona, Arizona, but not finding a good signal. So every morning she drove 30 minutes to a nearby town and parked in front of a Staples store where she could finally get a strong connection. "It's not always glamorous," Horn said with a laugh. Working a nine-to-five job can also be a nuisance for van life workers. For full-timers like Horn, a typical work schedule means they might be parked somewhere gorgeous without being able to enjoy it until the weekend. This is why many in the van lifestyle are freelance workers, said Jess Shisler, the founder of Sekr, an app that helps people who live in vans find campsites or wi-fi locations. "A nine-to-five is hard but doable," said Shisler, who also lives in a van. "The type of remote careers that allow you more flexibility of your schedule are easier to do in this lifestyle." Bhadauria and Vasan, for example, do project-based work. Vasan works in information technology while Bhadauria has a digital marketing job. The two spend the early hours of their days outdoors and then get straight to work. In the afternoon, they'll take a break from work and explore their area or drive to their next location. No matter what, they prioritize catching the sunset every evening. Ironically, much of their actual work gets done on Saturday and Sunday. "We almost never do activities on the weekends because it's usually crowded, so weekends end up being work days for us," Vasan said. There's also a lot of work that goes into living out of a van. Dillon said she was surprised at how dirty her van gets. She spent the first four months of 2021 living on the road, and she is now home in Platte City, Missouri, working and preparing to purchase an upgraded van so she can return to her travels sometime this summer. While living in her van, she would clean and clean, but the van would get dirty again as soon as the wind blew. Eventually, Dillon said, you just learn to live a little bit dirtier. Another big challenge is dealing with the loneliness that comes with living on the road. Dillon said she felt very lonely during her first three weeks on the road, and it wasn't until she got her dog Koda that she began to overcome that. "I like to be a loner, but it does sometimes get a little too lonely," she said. "Getting my dog really helped a lot with that loneliness." Horn said she spends parts of her days doing van chores, such as cleaning and making her bed each day. She also has to empty the van's grey water tank and portable toilet and refill her fresh water and propane. "Most of the moments are not those epic sleeping in the most amazing place and waking up to the most amazing view, it's very little of that in the grand majority, especially if you're working," Horn said. "However, those moments make it worth it." Bhadauria, who travels with her husband and dog, says she doesn't get lonely, but there are times when she misses the friends that come with living in one location. For example, Bhadauria said, she would have wanted to throw a big party for her husband's 30th birthday, which happened during their time on the road. "Things like that you miss, when you want a big gathering or a sense of community," Bhadauria said. Although she and Vasan love life on the road and plan to continue it for the foreseeable future, they understand the lifestyle is not sustainable indefinitely. "With everything you get to a point where things start feeling boring or there's a burn out at some point," Bhadauria said. "If we get to that stage, we'll be happy to go back to a home base somewhere." Despite the challenges of life on the road, those who spoke with CNBC said they plan to continue their nomadic lifestyle until their companies stop allowing remote work or until they get burnt out. Horn said she originally planned to live on the road for at least a year, but that's now changed. "At six months, I still feel like I'm just learning this, just getting the hang of it and just getting started," she said. "I could actually see myself doing it for closer to two years, and who knows, maybe longer."
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MARION, Ky. (WEHT) – The City of Marion has made progress on several fronts that have helped to improve water supplies. The city has released an update on their work during the water crisis. The Kentucky Rural Water Association (KRWA) reported fixing seven additional leaks within the city this week. Since the leak detection mission started July 5, the city is down to 68 gallons per minute flow during the overnight hours from the 230 gallons per minute flow rate. City Administrator Adam Ledford says daily use by residents has gone down from 488,000 gallons a day to about 300,000. With the Reveal leak detection team working alongside, KRWA has repaired more than a dozen leaks within the city. So far, they have completed their leak survey efforts across about 75 percent of the Marion water system. Their work will continue until the entire city is covered. “The one yesterday that we found was significant. By significant, you’re talking about you have enough running on an hourly basis that would provide four to five households,” Ledford said, describing one leak that was recently found. The Department of Public Health ask residents to contact them on risks and laws of using well water or tanks with stored water. There is also some information on the City’s Facebook page for testing water tanks with stored drinking water in them. Crittenden-Livingston Water District (Critt-Liv) is back up and maintaining a 180,000 gallon per day flow to the city. This accounts for roughly 60 percent of daily usage. Bell Engineering continues to work on interconnection possibilities between Caldwell and Critt-Liv water districts. Rough drafts of plans are being reviewed as outstanding elements are resolved. Bottled water distribution continues at the armory in hopes residents will augment their daily use with water from the program. A permanent schedule was issued last week. It can be found on the City’s Facebook page and other news outlets. If residents have a health or transportation issue, they should contact City Hall to make delivery arrangements. Volunteers are need to assist with bottled water distribution. Danielle Duncan can be contacted at (270) 704-3523 for anyone interested in volunteering. BFW Engineering will be at Lake George next week to conduct further extensive geotechnical research. This work will determine the role Lake George might play in intermediate to long-term water needs. The City is working with C and C Pumps & Supply on plans to start pumping Lucile Mine. This will allow the City to determine if the recharge rate is sufficient for use as a partial or full drinking water source. If there is sufficient volume, there are still some water chemistry obstacles that will need to be considered. The City remains under Stage 3 water restrictions until further notice. A boiled water advisory and burn ban order remain in effect. For information on what stage 3 means and what do to during a boiled water advisory, please go to the City’s Facebook page for information. The City of Marion thank the residents of the city for their ongoing efforts to conserve water. With water conservation and the efforts of the leak detection teams, the city has reduced its daily average usage by 38.5 percent since May. Meanwhile, residents and business owners continue practicing conservation. Beth Stinnett, a manager at The 88 Dip in Marion, says they’re adjusting by using water tanks, and paper plates and containers to conserve city water. “We don’t run as many dishes to the sink. That’s why we use paper products. We do the best as we can to not use as much water,” she said. However, with little rainfall reported at the watershed, it is just as important now to remain committed to conservation practices. Residents that would like information on strategies to help conserve water can reach out to the Local Library or the Extension Office.
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New statistics from the Centers for Disease Control and Prevention (CDC) show Utah and Nevada (so close in proximity, so distant in life-style) at the top and bottom, respectively, of a ranking of states by smoking-related mortality (see table). The New statistics from the Centers for Disease Control and Prevention(CDC) show Utah and Nevada (so close in proximity, so distantin life-style) at the top and bottom, respectively, of a rankingof states by smoking-related mortality (see table). The Centerhopes that release of the statistics will spur tobacco controlefforts, including higher state excise taxes on cigarettes. In 1990, smoking accounted for more than 400,000 deaths nationwide,say David E. Nelson, md, mph, and colleagues from the CDC's Officeon Smoking and Health, National Center for Chronic Disease Preventionand Health Promotion. Yet state-specific data, which states canuse to document the magnitude of smoking-related health problems,had not been compiled since 1985. The new report provides state-specific cigarette smoking prevalence,smoking-attributable mortality (SAM), and years of potential lifelost (YPLL) for 1990. The figures were estimated by using a specialsoftware package--Smoking-Attributable Mortality, Morbidity, andEconomic Costs (SAMMEC)--developed by the Office on Smoking andHealth. The median SAM rate was 363.3 per 100,000 population, rangingfrom 218.0 in Utah to 478.1 in Nevada (see table). The medianpercentage of all deaths attributable to smoking was 19.2% (range,13.4% in Utah to 24.0% in Nevada). The median estimate for YPLL was 66,959, with a range of 6,720(Alaska) to 498,297 (California). (These two states also had thefewest and most smoking-attributable deaths--402 for Alaska and42,574 for California, a function of the size of each state'spopulation.) "SAM rates tended to be higher in the southeastern states,but all states continued to report substantial numbers of prematuredeaths caused by cigarettes use," the researchers say (MMWR43[SS-1]:1-8, 1994). The CDC researchers call for continued progress in reducing smokingprevalence. "Although smoking prevalence has declined substantiallysince the 1960s, about 20% of deaths in the United States canbe attributed to cigarette smoking," they say.
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In the current competitive context, it starts to emerge a new management paradigm. In such case, instead of the traditional view of competition among companies, the new competition place is the market channel. Changes in consumers’ habits and the new competitive structure, resulted from market channel concentration, have made retail companies and their suppliers (industry and wholesale) try to find alternative ways to supply market needs and increase their competitiveness. New relational standards, highlighting information exchange and mutual gains, are some of the strategies adopted by such companies. In that context, it is necessary to identify parameters able to be applied in the evaluation of results from those new relational standards. The importance of this work is due to the almost inexistence of researches defining parameters to evaluate results from new cooperative relations, especially for small and medium retailers. The specific focus on small and medium retail companies, as well as in their wholesaler suppliers, is due to their growth in terms of size and importance. Such retailers represent an alternative channel for wholesalers reduce their dependence from large retailers. Besides that, it is important to point out the growing importance of small and medium retailers for low-income consumers, since competitiveness increase can induce those companies to offer less expensive and higher-quality products to their clients. News published in Agência FAPESP Newsletter about the scholarship:
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There is no denying that quality matters. In everything that we do in life, we are always looking for quality. This is true whether it be with regards to our careers, our partners, our relationships, or a mobile phone. We like things that work well. Things that work well make us feel good. Let us be honest, who does not like to feel good? We search for this quality, and we can be quite upset when we do not find it. What is even worse than this is when we have an expectation that something will work well and then it does not. This is one of the reasons as to why people have refused to buy second-hand mobile phones. There is a fear that a second-hand phone, due to its’ nature, will be inherently worse than a new model. While there is no denying the fact that it is nice to own a new model, it does not automatically mean that a second-hand model will function worse. This is a stigma that has been around for a long time, however, today we are going to debunk it. Here are some of the myths surrounding second-hand phones, and here are also some reasons why these myths are merely myths. Second-Hand Phones are in Poor Condition This myth is founded in some truth. So, like anything, the person or provider that you get it off is important. The seller of a product will decide the quality of the good. Therefore, if you buy second-hand goods from a seller that does not care about their reputation, then there is a high chance that the product will be of poor quality. The same could also be said about the same seller selling a new product. If the seller does not care about the quality, then the product will be poor. However, if you choose to buy a second-hand product from a reputable dealer, then the quality will be much better. Such a provider may be that of Mobile Federation. The reason why the quality of their second-hand mobile phones is so good is because they care. They will examine each device before they decide to buy it. They will decide as to whether the device is in a condition fit for resale. If it is not, then it may be dismantled, and the parts sold. The second-hand device is not the problem, it is the person selling it. If you choose to buy a second-hand device from a well-respected dealer, you will not have a problem. You will be able to cut down on costs, save yourself stress, and help benefit the environment. By buying second-hand phones, you can also afford more lucrative models. Check out these options. One of the greatest myths surrounding the second-hand phone market is that the models are inherently defected. This article has shown that this is not the case. A model will only be defective if the business selling it does not care about their image. To read further on business and business ethics, you should visit this page.
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Arm transplant recipient says he can now hold fiancee's hand A former Marine sergeant who underwent a double arm transplant said Wednesday that the best part about having arms again is that he can hold his fiancee's hand and pursue his lifelong dream of becoming a chef. Retired Sgt. John Peck , who lost all four limbs as the result of an explosion of a homemade bomb in Afghanistan in May 2010, underwent 14 hours of surgery at Brigham and Women's Hospital in August. The procedure involved 60 doctors, nurses and other medical personnel. His arms are scarred and move awkwardly, but every day with the new limbs is better, he said at a news conference at the hospital. He is learning to dress himself, brush his teeth and feed himself all over again. The first time he held fiancee Jessica Paker's hand after the surgery, he couldn't even feel it, but it still meant the world. "That truly is a special gift," he said, adding later that he can now feel pressure when she squeezes. Peck, 31, will probably need nine to 12 months of rehabilitation before the nerves are fully functional again, said Dr. Simon Talbot, the lead surgeon. Peck, originally from Antioch, Illinois, now lives in Fredericksburg, Virginia. He said he's wanted to be a chef since he was 12. "As a result of surgery, I'll be able to pursue my dreams," he said. He's already started cooking but because he doesn't have full feeling in the new limbs, he has to be careful he doesn't cut or burn himself. He plans to visit France and Italy to hone his craft, he said. Peck also thanked the donor, whose family wishes to remain anonymous. "I will remember his selflessness and gift until the day I die," he said. According to Johns Hopkins Medicine, hand and arm transplants have been performed on more than 85 people around the world. This was the fourth double arm or hand transplant performed at Brigham and Women's.
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Paul says ‘hello’ to people at Rome 1 I want you to know that our Christian friend Phoebe is a good person. She is a servant of the church at Cenchrea. 2 Please be kind to her when she comes to you, because you belong to the Lord. Help her in the way that God's people ought to help one another. Give to her the things that she needs. She has worked to help me as well as many other people. 16:2We think that Phoebe took this letter to Rome for Paul. Cenchrea was a port in the south part of the country that we call Greece now. It was about 13 kilometres south and east from Corinth city. 3 Say ‘hello’ on my behalf to Priscilla and Aquila. They have worked together with me as servants of Christ Jesus. 4 They were even ready to die so that they could help me. So I have a good reason to thank them. All the groups of Gentile believers also have a good reason to thank them. 5 Also say ‘hello’ for me to the group of believers who meet in Priscilla and Aquila's house. Say ‘hello’ to my very good friend Epenetus. He was the first person in Asia region who believed in Christ. 6 Say ‘hello’ to Mary, who has worked very much on your behalf. 7 Say ‘hello’ to my relatives Andronicus and Junia. We were in a prison together at one time. The apostles know them well and respect them. They became believers in Christ before I did. 8 Say ‘hello’ to Ampliatus on my behalf. He is my very good friend in the Lord's family. 9 Say ‘hello’ to Urbanus, who works with us to serve Christ. Also say ‘hello’ to my good friend Stachys. 10 Say ‘hello’ to Apelles. He has shown that he trusts Christ very well. Say ‘hello’ to those people who belong to Aristobulus's family. 11 Say ‘hello’ to my relative Herodion. Say ‘hello’ to those people in Narcissus' family who belong to the Lord. 12 Say ‘hello’ to Tryphena and Tryphosa. They work hard to serve the Lord. Say ‘hello’ to my good friend Persis. She has worked very hard to serve the Lord. 13 Say ‘hello’ to Rufus. He is a special servant of the Lord. Say ‘hello’ also to his mother, who has been kind to me, like a mother. 14 Say ‘hello’ to Asyncritus, Phlegon, Hermes, Patrobas and Hermas. Say ‘hello’ also to all our Christian friends who are there with them. 15 Say ‘hello’ to Philologus and Julia, to Nereus and his sister, and to Olympas. Say ‘hello’ also to all God's people who are there with them. 16 When you meet, kiss each other as Christian brothers and sisters. The people of all the Christian churches here say ‘hello’ to you. Paul tells the Christians at Rome to be careful about false teachers 17 My Christian friends, I want to tell you something important. Be very careful about people who teach wrong things. They teach things that are different from God's true message that you learned. Those people cause you to quarrel with each other. They cause people to turn away from God. You must stay away from them. 18 People who are like that are not servants of our Lord Christ. Instead, they are doing the things which please themselves. They speak words that seem good and nice. But they deceive people who easily accept a false message. 19 Everyone knows that you obey God well. So, I am very happy because of you. But I want you to understand clearly what things are good. And I want you to stay away from the things that are bad. 20 God gives us peace in our minds. He will quickly help you to win against the power of Satan. I pray that our Lord Jesus will continue to be kind to you. Paul finishes his letter 21 Timothy, who is working together with me, says ‘hello’ to you. My relatives Lucius, Jason and Sosipater, also say ‘hello’ to you. 22 I am Tertius, and I have written down this letter for Paul. I also belong to the Lord and I say ‘hello’ to you. 16:22Tertius wrote this letter down on Paul's behalf. Paul told him what to write. 23 Gaius also says ‘hello’ to you. I, Paul, am staying in his house. The group of Christians here also meet together in his house. Erastus also says ‘hello’ to you. He is an officer who takes care of the city's money. Our Christian friend Quartus says ‘hello’ to you too. [ 24 I pray that our Lord Jesus Christ will continue to be very kind to all of you.] 16:24This verse is not included here in many copies of the Bible. 25 We praise God because he is great! He is able to make you strong in your spirits! That is the good news that I teach. That good news is the message about Jesus Christ that God has kept secret since long ago. But now he has shown this message to us. 26 God's prophets already wrote that this good news would come. God, who lives for ever, has told us to tell it to people. He wants people from all countries to know this message. Then they can believe God and they can obey him. 27 Yes, we praise God! Only he is completely wise. We praise him for ever, because of Jesus Christ! This is true. Amen.
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I am referring to this article: About Global Public Service Edges | Zscaler. My questions are: what is the global public ip(184.108.40.206) used for? I understand that it’s used in “no default” network environments but the documentation says that the public ip doesn’t listen to traffic. So as the traffic gets routed into the zscaler environment, I assume the destination ip is 220.127.116.11. What happens to the packet as it goes towards the 185.x.x.x network within the zscaler environment? how do you monitor these ip addresses? I cannot ping them from my laptop nor can I traceroute to it. Is there a public status page that shows whether these ip addresses are routable? When the user is in his corporate network, why can’t he still navigate to the ZEN cloud enforcement ranges (165.x.x.x for example) and disregard the 185.x.x.x network altogether?
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Dental cone beam computed tomography is a medical imaging technique that combines X-ray computed tomography with divergent X-rays. It is often used in situations where standard dental or facial X-rays are insufficient. CBCT is a radiographic imaging technique that provides precise three-dimensional imaging of hard tissues. During maxillofacial dose, the radiation exposure from this type of scanner is ten times lower than that of a CT scan. In a single scan, a CBCT scanner uses specialized technology to produce three-dimensional (3-D) images of dental structures, nerve pathways, soft tissues, and bones in the facial region. A cone-shaped X-ray beam is rotated around the patient to create a large number of images with CBCT. The dental cone beam CT scan was created to produce identical images at a lower cost. The term “basis” images refer to a single projection image. The scan produces accurate images of the bones and is primarily used to examine the dentition, teeth, bony structures of the face, nasal cavity, and sinuses. However, unlike traditional CT scans, CBCT scans do not provide complete diagnostic information, especially in the evaluation of soft tissue structures such as muscles, lymph nodes, glands, and nerves. With the increasing usability of this technology, the dental clinician now has an imaging modality that can be used to create a 3-D image of the maxillofacial structures while posing minimal radiation risks.
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Indian IT is getting anxious as Trump is getting closer to the White House. He is leading by a considerable margin leaving Hillary behind in the race. There is more possibility of him taking the hold of the presidency. But it has begun to trigger a sense of anxiety in certain quarters of the IT industry. Experts believe that Trump might bring in measures to curb the outsourcing of jobs to India – a measure source of revenue to India. It would be interesting to see how he behaves after emerges the President and lays out his presidency plans. Even in the past, the immigration and outsourcing of jobs has been the election rhetoric. Barack Obama had raised the similar issue during the elections. Obama administration even made it difficult to bring professionals to the US client sites. With Trump becoming the president, Indians might loose their jobs in the US. It will not only affect Indians working in the IT industry in the US or US companies in India but will equally hurt the US economy. The President will have take all aspects into consideration before taking any steps. A few days ago, Trump even criticized IBM for taking jobs away from the US and all the way to India. His comments did not go well with experts in the Indian and the US IT industry. These comments were totally opposed to what he said addressing Indians in the US.
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Journal of Intellectual Disability Research Background—Previous studies suggested that children diagnosed with Fragile X Syndrome (FXS) often meet criteria for autism or PDD. This study describes the fine motor abilities of children diagnosed with FXS with and without autism spectrum disorder, and compares the motor scores of those groups controlling for cognitive level. Method—Forty-eight children, ages 12-76 months (SD=16) diagnosed with FXS were assessed with the Mullen Scales of Early Learning, and the Autism Diagnostic Observation Schedule (ADOS). Their parents were interviewed with the Autism Diagnostic Interview-Revised (ADI-R). We used a one-way analysis of variance (ANOVA) to determine if the fine motor scale of the Mullen would show group differences based on autism classifications for the sample. In addition, we used Pearson correlation coefficient to examine the relationship between the cognitive level, the autism severity and the motor abilities. Lastly, we conducted a one-way analysis of covariance (ANCOVA) to determine the difference between the motor abilities of the ASD groups controlling for cognitive level Results—We found that 60% of the children with FXS met criteria for autism or PDD-NOS. Children with FXS with autism and PDD-NOS had lower fine motor scores than those without. However, there was no significant association between degree of motor impairment and communication and social impairments after controlling for cognitive level, indicating that cognitive level contributes to impaired motor abilities of children diagnosed with FXS and autism, more than the severity of autism symptoms. Conclusion—children with FXS and autism are at risk for impaired motor abilities. Implications for development and intervention are discussed. Zingerevich, C.; Hess, L. G.; Lemons Chitwood, K.; Harris, S. W.; Hessl, D.; Cook, K.; and Hagerman, R. J., "Motor Abilities of Children Diagnosed With Fragile X Syndrome With and Without Autism" (2009). Collected Faculty and Staff Scholarship. 105. Copyright © 2008 The Authors.
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Content is still working owing to the increasing number of internet users, individuals spending more time on social media, and businesses investing more to convert and beat the competition. The phrase “Content is King” originated back in 1996 when Bill Gates (the founder of Microsoft) wrote an essay of the same name. Since then, the expression has been used, reused, and used to justify why content has always worked to push websites up the SERPs ladder. However, not all content works. To make content work in favour of you, it has to be – High-quality content works, in the past. Now, you need content that is superior. Chances are whatever you are writing has been written, rewritten, and written again. So, simply sticking to that “high-quality” criterion is not enough. Your content has to have that charm that encourages your readers to share it online, not just on Facebook, but on the gazillion social media websites. When you have content, its best to ask – “Is this worth sharing?” There’s a high chance the answer will be “No”. So, it’s best to take a few steps back and restructure your content to make it shareable, likeable, commendable, etc. Planning your content is of utmost importance before executing it. Without a plan in place, execution will just render disappointment. Hence, you need to take into account your objectives, audience, promotion, and several other key areas to plan your content and execute it. Your content needs to reach your audience regularly. That does not mean every day. Even if you post good content every day, chances are, your audience will lose interest. Hence, timing your content correctly is the key. And, you have to maintain it by sticking to a particular schedule. That’s how you keep your readers avid and engaged. Now, if you abide by the above principals, your content will generate positive outcomes and convert your leads. But, does content marketing really work? These statistics-backed reasons say so – 1. People are spending more time on social media In 2019, around 45% of the world population spent 2 hours and 23 minutes on social media. Back in 2018, it was 1 hour and 30 minutes. The average time spent by individuals on social media – - Facebook – 58 minutes. - Instagram – 53 minutes. - YouTube – 40 minutes. Facebook is also the primary distribution channel of content for several companies. (The second is the company website). For instance, Icelandair increased its conversion rate by 51% and reached 39% more people through their Facebook ads. They also received 96% higher return on ad spent with dynamic creative, compared to standard. Facebook and Google also generate the most ROI for companies compared to other websites. With the emergence of apps like TikTok, social media has become one of the top sources of content marketing. 2. SEO content is the most effective marketing strategy for 67% of marketers A survey conducted in 39 countries and among 1200 marketers by SEMrush found that 67% of marketers say SEO content to be the most effective marketing strategy. 51% of the surveyed also said that repurposing content also worked effectively. 3. Google processes 40,000 searches every day Google sees more than 40,000 searches per day. The total number of searches per day, thus, becomes over 3.5 billion. The importance of Google as a search engine cannot be stressed enough. As these numbers increase, content becomes more and more crucial for you to invest in and reach your target audience. 4. 70% of marketers are investing in content marketing As per HubSpot, 70% of marketers are actively investing in content marketing. 60% also say that it is either “extremely important” or “very important” for them. 5. 74% of marketers are investing in social media marketing Globally, social media marketing is the top investment for 74% marketers as per HubSpot. The platforms they are investing in are chronologically listed below – After Facebook, Instagram has proved to be the best platform for content marketing, and that has been justified by flower delivery start-up Bloom & Wild. The company started posting video ads for its target audience. The result? 62% increase in bouquet orders and considerable growth in new customers commenting on their posts. Nicobar, a lifestyle brand that launched in 2016, used Instagram to market their products. They not only reported 5x return on ad spent but also 30% lower overall cost per purchase. 6. 96% of content marketers say their audiences have trust in them As per CMI, 96% of content marketers say that their audiences consider their company as a trusted one. (95% of such companies are committed to content marketing at some point). For instance, Blendtec, a commercial and household blender manufacturing company, increased its sales by 700% simply by creating engaging content on YouTube. The company started a web series – Will It Blend – that showcased its blenders destroying various objects like iPhones, cassettes, mouth guards, etc. As per the Content Marketing Institute, there has been a 69% increase in audio/visual content between 2018 and 2019 for B2C marketers. 7. 77% individuals read blogs regularly According to HubSpot, 3/4 or 77% of internet users read blogs regularly. Consider the example of Vero, a social media platform. The company created a blog post of 5,000+ words that detailed tips for email marketing. The blog included quotes from stalwarts and real-world examples. It was also easy to navigate, combined with a unique design, it caught the eye of many in the first glance. They simply used the following to do so – - Blogger outreach. - Keyword research. - Skyscraper technique. - Competitor analysis. The results were – - 250+ free trial signups. - 950+ email signups from that post. - Ranked 2nd with the keyword – “email marketing best practices”. - 5,000+ shares as of date. However, the problem with blogging is that the average time spent behind reading each blog is only 37% as per NewsCred, which contradicts the data found by Buffer that sates the average time is 7 minutes. Hence, just sticking to ye olde texts for crafting blogs is not enough. In 2020, the average blog contains the following – - Images – 93%. - Lists – 60%. - Statistics – 57%. - Video – 29%. Even though video is the last in the list, 41% of bloggers say that it generates the most result, according to Smart Insights. On the other hand, only 30% of bloggers say that images generate the strongest results for them. Here are some data related to videos – - 87% of individuals want more video content from brands as per HubSpot. - 75% of millenials watch videos daily, according to Animoto. Between 2018 and 2019, the use of video in content marketing has increased by 6% (81% to 87%) according to HubSpot. 8. Marketers prioritizing blogging are 13x more likely to achieve positive ROI HubSpot says that marketers who prioritize blogging are 13x more likely to achieve a positive return on investment. Take for example SnackNation, a healthy snack deliver company. It increased traffic to its website by 59% simply through blogging. They also used similar techniques like Vero. The website received 10,000 views every month from a single blog, which led to a monthly revenue of $100,000. 9. 78% of businesses say content marketing increases engagement As per Blue Corona, 78% of businesses say that content marketing has increased engagement, which can be backed by their metrics. One of the best examples of the above is TigerFitness, a vitamin supplements company. According to them, they saw a 60% increase in customer retention rate. The company created content for Facebook and YouTube before seeing the favourable results. 10. 72% of marketers said that good content is a major key for success According to B2B Content Marketing, 2018 by the Content Marketing Institute, 72% say that good content was the major key to success. 11. 86% businesses have created brand awareness through content As per the Content Marketing Institute, 86% of businesses have achieved the goal of creating brand awareness through content in 2020 compared to 81% in 2019. - 79% have educated audiences (73% in 2019). - 75% have built trust or credibility (68% in 2019). - 63% have built loyalty with their existing clients (54% in 2019). - 53% have generated sales or revenue (45% in 2019). Marketers are also focusing on creating content for multiple categories of audiences. At a time, they focus on 3 such categories. These were the only the few reasons why content has worked in the past and is still working in 2020. But, why is content so important? Well, the simple answer is because your audience is constantly online. There are around 4.5 billion interest users (50.3% in Asia, 15.9% in Europe, and 7.6% in North America), out of which, one quarter is believed to be “always online”. Also, according to the Content Marketing Institute, content is one of the most effective ways of for promoting your businesses. Websites with blogs have 434% more indexed pages on Google and 97% more indexed links. What does that mean? It means that there is a higher chance of your website ranking on the first page of Google, which is the primary factor to drive traffic. - The first search result in Google gets 31.7% of all clicks, while the second result receives only 0.78% clicks as per Backlinko. It has a 10% more chance of getting a click than one that is on the 10th position. - Impact says that the top 5 results get 67.60% of all clicks. - Most importantly, around 90% of users never click on the 2nd page of Google. So yeah, ranking in the 1st SERP of Google is crucial. And, for that, you need content. Superior, planned, and scheduled content.
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If one speaks of singers who are not afraid to talk about the evils in their society, then Ariel Camacho was one of them. His agile and unique singing style will forever win the hearts of his followers, not forgetting the special way he played the Requinto, a traditionally tuned guitar that is very popular among Latinos. Raised in a Mexican city plagued by drug dealers and smugglers, Ariel Camacho nevertheless found a voice through his songs. He constantly created an awareness of the dangers of drugs for society, following in the footsteps of some Mexican musical greats who stood up against such vices. Ariel Camacho’s Bio July 8, 1992, in Guamuchil, Sinaloa, marked the arrival of Ariel Camacho in the world. He was born José Ariel Camacho Barraza, son of Benito Camacho and Reynalda Barraza. Formally he is addressed by a combination of his mother’s last name and his father’s last name. However, to make it easier to address him, he is only referred to as Ariel Camacho. Not much is known about his upbringing and education. However, his journey into music can be traced back to his early days. He also mentioned attending a middle school where he met some of his crew members. The Life And Times Of Ariel Camacho Ariel Camacho’s music career began quite early, at the age of 12 years to be exact. He performed in shows in Guamuchil and in the neighboring cities of Mexico. He had the best time of his life when he did what he loved from a very young age. Since he understood the power of a team, he decided to form a band. César Iván Sánchez was the first to join the band. César was a friend he met in middle school and he did very well with the guitar and backup vocals. As Ariel Camacho’s musical ambitions grew, he took steps to bring more people into the band. The next new member of the band was Omar Burgos. Omar was a great tuba player who brought a whole new dimension to Ariel’s music. After putting together a three-piece band, he set about organizing a concert. The concert, which happened to be his first, took place in Tijuana and had more than 40,000 visitors. This was a great leap in his musical career. In addition to his growing personality, he was also known for his expressive playing of the Requinto. In fact, his grandfather gave him the nickname La Tuyia when he was a child. This was because he was much smaller than the guitar he played. In 2013, Ariel Camacho’s band developed and was named Ariel Camacho y Los Plebes del Rancho (this is a Spanish expression for Ariel Camacho and The Plebes del Rancho). However, there were no new members, only César Iván Sánchez, who played the rhythm guitar and provided the background vocals, and Omar Burgos, who played the tuba. Ariel Camacho was the lead singer and played next to his Requinto, which was the lead guitar. The band’s popularity grew as they became famous for their unusual blend of acoustic guitar, tuba, and the 12-string Requinto. As a band, they released very successful songs like Hablemos, Te Metiste, El-Karma, and Rey de Corazones. Rey de Corazones became their most popular song, which spread through social media and eventually became the nickname of Ariel Camacho. Following in the footsteps of famous songwriters before he was no easy task, but Ariel Camacho did well to preserve her legacy. In his short career, he had several collaborations with other corrido singers such as Regulo Caro, Marca Registrada, Los Traviesos De La Sierra, and Grupo Fernandez. Despite the fact that Ariel Camacho’s promising career ended too early, he will be remembered for his style and approach to music and his world-class musical talent. The Death of the Mexican Singer and Songwriter When Ariel Camacho bowed to the Carnaval de Mocorito, a music festival, on February 25, 2015, he was actually bowing to life itself. On his way home from the festival, he was involved with three other people in a car accident on the road from Angostura, Sinaloa. Although there was only one survivor of this accident, Ariel Camacho was not the lucky one. According to reports, Ariel Camacho, who was driving the car around 2 a.m., lost control of the car. There was speculation that he was under the influence of alcohol, but there was no evidence of this. However, it was confirmed that the singer was driving at high speed. This was not the first time he was involved in a car accident because of excessive speed. But after this particular incident, he did not get another chance. He was just 22 years old when he died. Both singers and fans paid tribute to him. His musical legacy is one that cannot be easily forgotten.
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The Bayonne Bridge project has won a major award from the American Society of Civil Engineers. The bridge redesign was given the organisation’s Outstanding Civil Engineering Achievement award, presented annually to the project that best illustrates superior civil engineering skills. The HDR-designed Bayonne Bridge Navigational Clearance project was extremely complex and presented many challenges. Using an innovative construction sequence, HDR’s team partnered with the Port Authority of New York and New Jersey to raise the new Bayonne Bridge deck 19.5m over the existing roadway and within the existing arch structure. Using this method, both vehicle traffic and shipping were able to continue during construction. The increased clearance allows larger vessels to travel beneath the bridge on their way to the ports of Newark and Elizabeth. As the lead design firm in a joint venture with WSP USA, HDR designed the new deck for the main bridge span, the strengthening of the arch for increased wind loading and the new segmental concrete approach superstructures. In September 2017, the old roadway was removed and the first larger cargo ship passed beneath the new bridge. All four lanes of the new bridge opened in February 2019. “Our team’s creativity and engineering acumen was on full display on this landmark project,” HDR Transportation president Brent Felker said. “We’re proud to deliver such a historic effort for the people of New York and New Jersey.” The project is also a 2018 winner of the Grand Conceptor award, given out by the American Council of Engineering Companies annually to the top engineering achievement in the country. A panel of nine judges picked the recipient of the OCEA award based on originality and innovation; resourcefulness in planning and solving design challenges; sustainability considerations; and project planning and delivery. In all, 10 projects from across the US were recognised by ASCE, including three in which HDR played a lead role. The other two projects in which HDR was involved were the Marc Basnight Bridge (Bonner Bridge Replacement) in North Carolina and the West Vancouver Freight Access project in Washington.
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Purchasing, manufacturing, distribution and sales - every sub-process of the internal supply chain has its own goals. The purchasing department, for example, wants to keep inventory low, while the production team strives to use its resources efficiently. At the same time, distribution attempts to optimally spread products across the network and the sales team is focused on a high level of service for its customers. If the overall view of the internal supply chain process is missing, conflicts are inevitable and an optimal performance cannot be achieved. A smooth and integrated supply chain planning process can only be achieved when all factors are integrated into a single, comprehensive plan stretching across all divisions.
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Turn any time into story time with LeapStoryƒ?›! Develop childrenƒ??s listening comprehension skills by letting them hear stories read to them, whenever they want. LeapStoryƒ?› is not just for bedtime! While a narrator reads the story, watch Scoutƒ??s reactions as images and animations are projected onto the wall or ceiling. Preloaded with 80+ stories, poems and songs. Listen to content from four categories: classic stories and poems; myths, legends and fables; sleepy-time stories; and songs. Download more songs, stories and poems for free using LeapFrog Connectƒ?›. Personalize your LeapStoryƒ?› by recording your own voice reading your childƒ??s favorite story for anytime listening. Spark their imagination with stories! Intended for ages 3-8 years. Requires 4 AA batteries or an AC adapter (included). Batteries included for demo purposes only. New batteries recommended for regular use.
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“Armenia bears responsibility for the destruction of material and cultural heritage, contradicting the norms and principles of international law, belonging to Azerbaijani people,” said Azerbaijan’s Minister of Culture at the presentation of the book “Our material and cultural heritage in the historical lands of Azerbaijan: "From Yerevan to Zangezur, APA reports. According to Anar Karimov, an agreement on sending missions by UNESCO, not only to Azerbaijan but also to Armenia was reached at the meeting in a video format, with the participation of Azerbaijani President Ilham Aliyev, French President Emanuel Macron, President of the European Union Charles Michelle and Armenian Prime Minister Nikol Pashinyan held on February 4 of this year: “According to the agreement reached, UNESCO did not give any reaction on implementation of mission to Armenia. The Azerbaijani side has repeatedly raised this issue at the level of UNESCO. Along with this, Azerbaijani civil societies, and numerous NGOs, have submitted numerous materials to the UNESCO commission on destruction of Azerbaijan’s cultural heritage in current Armenia. We hope that UNESCO will not keep silence about these numerous facts, and start implementing such a technical mission. Here, the Azerbaijani side, our society, and NGOs have a great responsibility.”
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Eyewitness News Channel 9, WFTV, recently interviewed Dr. Hao “Mimi” Tran, M.D., F.A.C.S., a board-certified otolaryngologist at The Ear, Nose, Throat and Plastic Surgery Associates. Her practice is seeing a rise in the number of patients troubled by a lack of smell after a bout with COVID-19. She stated, “Smell is one of those senses that we take for granted until we lose it.” Why Does COVID-19 Cause You to Lose Your Sense of Smell? It appears that COVID-19 disrupts the olfactory cells in the upper nasal cavity. While we don’t yet completely understand the relationship between the coronavirus and a loss of smell, more research is coming in and we’re beginning to understand the answer. Harvard Medical School worked with an international team of researchers to study the effects of COVID-19 on our sense of smell. They determined that the delicate support cells that carry a scent to the brain are a primary target of COVID-19. Researchers said there is more to study, but, a “SARS-CoV-2 infection is unlikely to permanently damage olfactory neural circuits.” That is good news for COVID patients, who, Dr. Tran says, “are very alarmed by their loss of smell.” At this point, we know that hyposmia, which is a decreased sense of smell, or anosmia, the complete loss of smell, is an early indicator that you have the COVID-19 virus. But there are all kinds of conditions that can cause the temporary or even permanent loss of smell, such as a sinus infection, a cold, or even Parkinson’s or Alzheimer’s. We know that respiratory viruses can cause a temporary or permanent loss of smell and dysgeusia, or distortions in how things taste. Early studies show COVID-19 affects up to 98% of afflicted patients in this way, whether it is just some loss of sensation or full anosmia. The data tells us one in five people over the age of 40 have at least some loss of smell. That means if you’re experiencing hyposmia or anosmia it doesn’t automatically mean you have COVID-19.
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Former President Barack Obama applauded abortion-rights protesters and called for more people to join in. His comments come on the heels of nationwide protests following the leaked Supreme Court draft. Obama's call for voter participation comes after the Senate failed to advance a bill that would enshrine abortion rights in federal law. Former President Barack Obama applauded abortion rights protesters on Saturday and called for more people to engage in activism. "Across the country, Americans are standing up for abortion rights—and I'm proud of everyone making their voices heard. Join a march near you," Obama tweeted on Saturday along with an organizing link. The former president continued: "If you can't join a march in person today, you can still get involved. Donate to a local abortion fund. Volunteer with activists who've been organizing on this issue for years. And vote on or before November 8 and in every election." His comments come on the heels of nationwide protests after a leaked Supreme Court draft showed the court is poised to overturn Roe v. Wade, reversing abortion rights. Obama blasted the court opinion after it was leaked, warning that the consequences of such a reversal would affect every American. "That's a result none of us should want. But it should serve as a powerful reminder of the central role the courts play in protecting our rights — and of the fact that elections have consequences," Obama and former first lady Michelle Obama said in a joint statement. On Wednesday, the Senate failed to advance a bill that would enshrine abortion rights in federal law and protect abortion access across the country. President Joe Biden, formerly Obama's Vice President, criticized Senate Republicans. "Republicans in Congress – not one of whom voted for this bill – have chosen to stand in the way of Americans' rights to make the most personal decisions about their own bodies, families, and lives," Biden said in a statement on Wednesday.
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The data support the specific reversal agent as a highly targeted treatment option if reversal of the anticoagulant effect is needed, eg. for urgent interventions. Idarucizumab was granted Breakthrough Therapy Designation by the US FDA and has recently been submitted for approval to the FDA, EMA and Health Canada. In the healthy volunteer study now published in The Lancet, participants first received dabigatran etexilate and then idarucizumab. The specific reversal agent was given two hours after the last dose of dabigatran etexilate, when dabigatran concentrations were at peak levels. After a five-minute infusion of idarucizumab, anticoagulation was immediately reversed back to baseline levels. The reversal effect was sustained for more than 24 hours for all doses of 2g and above. Idarucizumab was well tolerated by the study participants. Idarucizumab is the recommended International Nonproprietary Name (INN). Idarucizumab is an investigational drug, which has not been approved for clinical use, and further safety and efficacy testing will be required. “The data now published in The Lancet show in an impressive manner how effective idarucizumab was for reversing Pradaxa® in healthy volunteers”, said Professor Jörg Kreuzer, Vice President Medicine Therapeutic Area Cardiovascular, Boehringer Ingelheim. “Once approved, the availability of a specific reversal agent for a NOAC will be yet another landmark in anticoagulation care.” dabigatran etexilate, a direct thrombin inhibitor (DTI), was the first widely approved drug in a new generation of direct oral anticoagulants, available to target a high unmet medical need in the prevention and treatment of acute and chronic thromboembolic diseases. Potent antithrombotic effects are achieved with direct thrombin inhibitors by specifically blocking the activity of thrombin, the central enzyme in the process responsible for clot (thrombus) formation. In contrast to vitamin-K antagonists, which variably act via different coagulation factors.
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Silent Books: Final Destination Lampedusa (HWDSB) Date(s) - Apr 4, 2016, - Apr 8, 2016, In response to the waves of refugees from Africa and the Middle East arriving on the small Italian island of Lampedusa, the International Board on Books for Young People (through IBBY Italia) is working to establish the island’s first children’s library, to be used by young migrants and local children. To build the library’s collection, IBBY Italia gathered outstanding wordless picture books from 23 countries. To showcase the library, Silent Books: Final Destination Lampedusa, an exhibit of more than 100 renowned wordless picture books, has been touring around the world. Following stops in Italy, Mexico and Austria, in Canada the Silent Books exhibit has travelled to Edmonton (August 28-September 18, 2015), Vancouver (October 1-22, 2015), Toronto (November 2-December 11, 2015) and Winnipeg (February 9-March 12, 2016). It is now making its final Canadian stop at three Hamilton locations from March 21-April 14, 2016. These wordless picture books have a universal language of images and art, bypassing age, culture and language barriers, to offer readers a unique but shared reading experience.
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To provide a cavity for laying wiring and communication cables, as well as for air conditioning to office premises, computer centres, telephone exchanges. The structure for supporting the floor panels consists of hot-dip zinc-coated tubular steel supports which are bonded or bolted to the unfinished floor. Levelling is effected infinitaly variable. The floor panels are laid with their corners on the support provided with special locations. For higher load requirements, the supports can be joined with modular rods. For inspection or retrofitment, the floor panels and, if necessary, the modular rods can be removed and refitted. For discharge of electrostatic charges, the support head is fitted with a conductive sound insulation covering.
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Beautiful in all its seasons, this native tree is perfectly adapted to our summer dry climate. Broad headed, deciduous tree rapidly growing to 15 feet or more with smooth grey bark and a rounded shapely habit. Bright green palmate leaves unfurl in the spring. Striking, fragrant white to pink flowers in long spikes are followed by pear shaped fruits that split open to reveal large chestnut-brown shiny seeds dangling from branch tips. Buckeyes lose their leaves in summer to avoid the long dry season. Adaptable and tolerant of a wide range of conditions. Sun to light shade, little to no water once established. Flowers provide nectar for hummingbirds, butterflies and native bees. Call to confirm current supply. Availability as of August 11, 2022:
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Study yields 70% reduction in two departments’ CO2 emissions, the equivalent of saving more than 1,600 trees EXTON, Pa., Feb. 2, 2021 /PRNewswire/ — Ricoh USA, Inc. has extended its partnership with Columbia University and its onsite print shop, Columbia Print, to enhance the university’s environmental sustainability efforts. Experts from Columbia Print and Ricoh collaborated to help right-size technology use in Columbia’s Department of Obstetrics and Gynecology and School of Nursing to reduce CO2 emissions by nearly 34 tons, saving the equivalent of 1,617 trees. In addition to this, Columbia Print recently switched to 100% post-consumer waste (PCW) recycled paper for color prints and entirely tree-free paper for black-and-white applications. “At an institution where world-class research on, and education about, sustainability is being conducted daily, we have a responsibility to put that knowledge to practical use,” said Miguel Pagan, Executive Director, Administrative Services, Columbia University. “We owe that to the many communities we touch, and Ricoh understands that sense of responsibility and of pride. They have helped us make incredible strides, including this most recent step, incorporating environmentally friendly solutions while meeting our customers’ needs and maintaining costs. This has been the perfect intersection of Ricoh’s digital services, our needs, and the two organizations’ shared values.” As an information management company, Ricoh leverages its imaging technology innovations to make data accessible to people through print and digital media, to provide more insight than ever before. The company helped Columbia analyze data within its Irving Medical Center’s School of Nursing and Department of OBGYN that ultimately led to a 70% reduction in CO2 emissions due to more efficient device usage. This included configuring an action plan that would help reduce the use of electricity by triggering features such as a low-energy consumption sleep mode after a period of inactivity. Furthermore, many of Ricoh’s devices are ENERGY STAR®-certified and carry an EPEAT Gold rating, which offer additional sustainability benefits and further reinforce Ricoh’s support of the United Nations’ Sustainable Development Goals. Established in 1754, Columbia is the oldest institution of higher education in New York State and the fifth oldest in the country. A storied institution, Columbia has frequently been at the forefront of progress and prides itself on being an early adopter of many environmental sustainability strategies, some of which have become accepted as industry best practices. In its first campus-wide sustainability plan released in 2017, Columbia committed to reducing greenhouse gas (GHG) emissions by 30% before 2020, a goal the University has since surpassed. Still, the university is always looking to build on that progress. Columbia Print utilizes two RICOH Pro 8210s and RICOH Pro C7210sx Graphic Arts Edition platforms that handle sustainably sourced paper with ease, empowering operators to continue to offer high-quality, fast-turn, reliable print while living up to their ideals. The RICOH Pro 8210s platform’s ability to print quickly with high accuracy and reliability on a variety of media helped the university’s in-plant make the jump to tree-free paper on black-and-white jobs. Similarly, the RICOH Pro C7210sx Graphic Arts Edition’s media flexibility helped smooth the change to 100% recycled PCW paper for color jobs without sacrificing speed or color quality. The in-plant’s transition to sustainably sourced paper yields additional savings of 70 tons of CO2 annually. “It is an honor to play a role in the ongoing innovation of such a historic institution as Columbia University,” said Renaud Rodrigue, Partner Executive, Higher Education, Ricoh USA, Inc. “From the beginning of our working relationship, it was clear that we shared a passion for environmental sustainability and a sense of duty to use our expertise and resources to create a more sustainable world. It ties back to the bedrock founding principles of both organizations. We look forward to continuing to work with Columbia as we uncover new ways to focus on moving forward, sustainably.” | About Ricoh | Ricoh is empowering digital workplaces using innovative technologies and services enabling individuals to work smarter. For more than 80 years, Ricoh has been driving innovation and is a leading provider of document management solutions, IT services, communications services, commercial and industrial printing, digital cameras, and industrial systems. Headquartered in Tokyo, Ricoh Group operates in approximately 200 countries and regions. In the financial year ended March 2020, Ricoh Group had worldwide sales of 2,008 billion yen (approx. 18.5 billion USD). For further information, please visit www.ricoh.com © 2021 Ricoh USA, Inc. All rights reserved. All referenced product names are the trademarks of their respective companies. For further information: John Greco, Ricoh USA, Inc., (973) 882-2023, email@example.com; Tracey Sheehy, Breakaway Communications for Ricoh, (908) 705-4596, firstname.lastname@example.org SOURCE Ricoh USA, Inc.
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The freer flow of commodities and capital has been one of the features of the contemporary process of globalization. Unlike in the earlier phase of globalization in the 19th century, however, the freer flow of commodities and capital has not been accompanied by a freer movement of labor globally. The dynamic centers of the global economy, after all, have imposed ever tighter restrictions on migration from the poorer countries.Yet the demand for cheap labor in the richer parts of the world continues to grow, even as more and more people in developing countries seek to escape conditions of economic stagnation and poverty that are often the result of the same dynamics of a system of global capitalism that have created prosperity in the developed world. The number of migrants worldwide has grown from 36 million in 1991 to 191 million in 2005, according to Guy Arnold, author of Migration: Changing the World, one of the most exhaustive studies on the phenomenon. The aggregate numbers do not, however, begin to tell the critical role that migrant labor plays in the prosperous economies. For instance, the booming economies in the Persian Gulf and Saudi peninsula are relatively lightly populated in terms of their local Arab population, but they host a substantial number of foreign migrant workers, many of whom come from South Asia and Southeast Asia. Indeed, foreign migrant workers are a disproportionate part of the populations of the Persian Gulf states— ranging from 25 percent in Saudi Arabia to 66 percent in Kuwait, to over 90 percent in the United Arab Emirates and Qatar. This gap between increasing demand and restricted supply has created an explosive situation, one that has been filled by a global system of trafficking in human beings that can in many respects be compared to the slave trade of the 16th century. The dynamics of the current system of trade in repressed labor is illustrated in the case of the Philippines. This country is one of the great labor exporters of the world. Some 10 percent of its total population and 22 percent its working age population are now migrant workers in other countries. With remittances totaling some $20 billion a year, the Philippines places fourth as a recipient of remittances, after China, India, and Mexico. Labor Export and Structural Adjustment The role of the Philippines as a labor exporter cannot be divorced from the dynamics of neoliberal capitalism.The labor export program began in the mid-1970s as a temporary program under the Marcos dictatorship, with a relatively small number of workers involved– about 50,000. The ballooning of the program to encompass 9 million workers owes much to the devastation of the economy and jobs by the structural adjustment policies imposed by the World Bank and the International Monetary Fund beginning in 1980, trade liberalization under the World Trade Organization, and the prioritization of debt repayment by the post-Marcos governments in national economic policy since 1986. Structural adjustment resulted in deindustrialization and the loss of so many manufacturing jobs; trade liberalization pushed so many peasants out of agriculture, a great number directly to overseas employment; and prioritization of debt repayments robbed the government of resources for capital expenditures that could act as an engine of economic growth since 20-40 percent of the budget went every year to servicing the debt. In the role that structural adjustment and trade liberalization played in creating pressures for labor migration, the experience of the Philippines parallels that of Mexico, another key labor-exporting country. For the governments of the two countries as well, massive labor export has served another function: as a safety valve for the release of social pressures that would otherwise have been channeled into radical movements for political and social change internally. Those who migrate are often among the most intrepid, the most nimble, and the most acute people in the lower and middle classes, the kind of people who would make excellent cadres and members of progressive movements for change. Along with the crisis of socialization of children owing to the absence of the mother, this is one of the most damaging legacies of the massive labor migration in the Philippines: that it has allowed our elites to ignore overdue structural reforms. Unfree Labor: the Case of the Middle East Labor export is big business, having spawned a host of parasitic institutions that now have a vested interest in maintaining and expanding it. The transnational labor export network includes labor recruiters, government agencies and officials, labor smugglers, and big corporate service providers like the U.S. multinational service provider Aramark. Labor trafficking is expanding to become just as big and profitable as sex trafficking and the drug trade. The spread of free wage labor has often been associated with the expansion of capitalism. But what is currently occurring is the expansion and institutionalization of a system of unfree labor under contemporary neoliberal capitalism, a process not unlike the expansion of slave labor and repressed labor in the early phase of global capitalist expansion in the 16th century elaborated in the work of sociologists like Immanuel Wallerstein. This expansive system that creates, maintains, and expands unfree labor is best illustrated in the case of the Middle East. As Atiya Ahmad writes, “With the booming of the Gulf states’ petrodollar-driven economies from the early 1970s onwards, a vast and consolidated assemblage of government policies, social and political institutions, and public discourse developed to manage and police the region’s foreign resident population. Anchored by the kefala or sponsorship and guarantorship system, this assemblage both constructs and disciplines foreign residents into ‘temporary labor migrants.’” This elite-promoted construction of migrant identity promotes an internalization of the migrants’ role as social subordinates and an emasculation of their status as political agents. They are expected to remain and so far have largely behaved as non-participants in the politics of their so-called host societies, even these societies are swept by the winds of political change. In 2009, 64 percent of the more than one million Filipino workers that went abroad went to the Middle East. Most of these workers were women and the biggest occupational category was household service workers or maids. Here is how the labor trafficking system works in the states in the Arabian peninsula along the Persian Gulf. A recruiter from a Gulf statecontacts his man in the Philippines. The Filipino contact goes to the remote provinces to recruit a young woman promising a wage of $400 a month, which is the minimum amount set by the Philippine government. When she departs, the recruitment agency gives her another contract at the airport, one that is often written in Arabic, saying she will be paid only half or less that amount. On arrival at the destination, she receives from the Gulf recruiter a temporary residence permit or iqama, but this is taken from her along with her passport by the recruiter or by her employer. The migrant worker is then turned over to a family where she labors under slave-like conditions for 18 to 20 hours a day. She is isolated from other Filipino domestic workers, making her communication with the outside world dependent on her employer. She cannot leave the employer because her temporary residence certificate and passport are with him. If she runs away, however, and goes to the labor recruiter, she is “sold” to another family, sometimes at an even lower rate than that paid by the original employer. Unable to leave the country since she has no documents, the runaway most often ends up being sold from one family to another by the labor recruiter. If she is lucky, she might find her way to the Philippine embassy, which operates a shelter for runaways, but it will take months if not years for the Philippine embassy to obtain the necessary permits to enable her to return home. How Regulation is Subverted In its effort to curb this free market in virtual slavery or to prevent workers from going into countries where their physical security would be in great danger like Afghanistan or Iraq, the Philippine government requires government-issued permits for workers to be able to leave or it has imposed deployment bans to some countries. However, labor recruiters, who are often in cahoots not only with Middle East employers but also with the U.S. Defense Department and U.S. private contractors, have found ways of getting around these regulations. Clandestine networks have developed to smuggle workers from the southern Philippines to destinations in the Middle East. A number of women domestic interviewed in Damascus a few weeks ago told of being smuggled out in the southern Philippine city of Zamboanga by small boat to the Malaysian state of Sabah. From there they were transported in the hold of a bigger boat going to Singapore, where they were then offloaded and brought by land transport to a site near Kuala Lumpur. In Kuala Lumpur they were forced to work for their subsistence for six weeks. Only after two months were they finally transported by plane from Kuala Lumpur to Dubai, then to Damascus. With such illegal transnational human smuggling networks in operation, the Philippine embassy estimated that 90 percent of the 9,000 domestic workers in Syria were there illegally, that is they had no valid exit papers from the Philippines. Among other things, this has made locating them and contacting them very difficult after Manila issued orders to the embassy last January to evacuate all Filipino workers from Syria. The situation is similar in Afghanistan and Iraq. For much the same reason, we do not have an accurate figure of how many Filipinos have been illegally recruited to be service workers at the U.S. bases by the Pentagon and U.S. military contractors, but 10,000 is probably a conservative number. In the case of Afghanistan, the collusion between illegal labor traffickers, the U.S. government, and U.S. private contractors poses a gargantuan challenge to the weak Philippine state. Sexual Abuse: the Ever-present Menace The predominance of women among the workers being trafficked to the Middle East has created a situation rife with sexual abuse. In this system labor trafficking and sexual trafficking are increasingly intersecting. Here is an excerpt from a report of the House Committee on Overseas Workers of the Philippines following the visit of some members to Saudi Arabia in January 2011: Rape is the ever-present specter that haunts Filipino domestic workers in Saudi Arabia. …Rape and sexual abuse is more frequent than the raw Embassy statistics reveal, probably coming to 15 to 20 per cent of cases reported for domestics in distress. If one takes these indicators as roughly representative of unreported cases of abuse of domestic workers throughout the kingdom, then one cannot but come to the conclusion that rape and sexual abuse is common. One could go further and say that there is a strong element of sex trafficking in the trafficking of Filipino women into the Middle East given that many Gulf households expect that providing sex to the master of the household is part of the domestic worker’s tasks. What results is an unbearable situation, not only because refusal often brings a beating but also because this brings her into conflict with the wife. Indeed, in many instances, domestic workers are “lent” to relatives not only to have them clean up the latter’s homes but to serve as sexual playthings to male brothers or in-laws. Slavery is said to be a thing of the past. However, the dynamics of global capitalism have reproduced a system of repressive labor globally that is serviced and maintained by legal and illegal labor trafficking. Female domestic workers are at the bottom of the migrant social hierarchy in places like the Middle East. Their conditions of work, which often include rape and sexual abuse, constitute a condition virtually indistinguishable from slavery. As was the case of traditional slavery in the 18thand 19th centuries, abolition of this system of repressed, unfree labor must be high on the agenda of the 21st century.
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What age is this course designed for? I designed this course for 7th graders, but I believe anyone in 4th grade or older could use it productively. Older students will probably be able to memorize more content, but younger students can still find value in it. Adults will find it works just as well for them too! Are there any prerequisites for this course? No! You don't need any drawing experience or prior geographic knowledge. Of course, if you do have previous knowledge, it will be all the easier for you. What's your return policy? I offer a 30-day 100% money-back guarantee. While I would really appreciate hearing any feedback you can give me, you don't need to provide a reason for why you'd like a refund. Will this work for my CC Ch A student? Yes! (My youngest will be in Ch. A this fall as well!) The course is similar to the Ch A sequence. The main differences are: - We break Asia into two sections, while CC leaves it in one large section - We break Australia and Antarctica into separate sections while CC combines them I offer a schedule with a few more tweaks to it for students who are not in a Classical Conversations (CC) Challenge class, but students who are in a CC class will probably prefer to stick with what the guide/Director tells them to do.
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BY EMERY LAY FOR THE OPELIKA OBSERVER On July 13, at 8:30 a.m., EagleCast hosted an hour-long webinar addressing unconscious bias in the workplace. The webinar was free of charge and open to anyone currently employed. This particular webinar was part of a monthly series offered by Auburn University’s Office of Professional and Continuing Education. The series highlights experts from various sectors, including, but not limited to, education, business, public service, industry and finance. The goal of each webinar is to bring forward important information and skills that are “essential for navigating today’s ever-changing world,” as the website states. On Tuesday, EagleCast brought on Dr. Courtney Teague, Ed.D., a certified Executive Coach and Change Management Practitioner. Teague presented the webinar as an opportunity for participants to engage in the tougher conversations surrounding workplace bias. She wanted her listeners to examine their place of employment, as well as themselves, for any inherent bias. Teague then provided them with strategies to foster equity in their everyday lives. During the Webinar, Teague utilized wooclap, an online website where participants could submit anonymous answers to questions presented by the host: Teague. The first question posed was “Have you ever attended prior unconscious bias training, workshops or professional learning?” Results were 50/50. Other questions were presented for thought and response, all centered around the question: “What is a word you usually hear to describe … ?” The blank was filled with the words same-sex couples, Blacks, senior citizens, Asians, Vegana, the wealthy and the differently-abled. Answers were available for viewing, though still anonymous. “Often when we hear these things it influences our … unconscious bias,” Teague said. Teague’s purpose with this exercise was to get viewers to think about their own implicit or unconscious biases. Teague argued that we are not born with bias, but the information and dialogue we ingest births bias overtime. She also wanted to clearly draw a line between bias and racism; She said these two are not the same, though bias can feed into racism. Then, Teague presented an educational video to her audience, following the life of a young, black male. She had viewers record their feelings and responses in wooclap once again. After taking three deep breaths to relieve any tension, Teague walked the group through the 3-2-1 model. She encouraged viewers to take three seconds to recall a time when they prejudged someone, two seconds to think about how that made them feel and one second to think about why they prejudged that person. Teague encouraged people to look at their top five people that they called on their phones — their inner circle. She said diversifying an inner circle is a great place to begin. Teague also emphasized the importance of calling people in, versus calling people out. Instead of calling people out for their biases or behavior, she encouraged building a deeper and more intimate relationship with them by calling them in a private space and having a one-on-one conversation first. “You can’t prevent anything if you don’t take responsibility for it,” Teague said. With this, she went on to explain how acknowledging color, sexual orientation, pronouns, and such, is actually a healthier way to create a more inclusive environment. Finally, Teague noted that being is more important than doing. She said she often asks those in her life, “How are you being?” Oftentimes, people are so busy with doing that they neglect to simply be — kind, compassionate, understanding or a good listener. Sometimes deemed the “Coach’s Coach”, Teague has almost two decades of teaching, coaching and hands-on experience under her belt. Teague’s experience had led her to participate and work in the following places: Icarus Consulting, Auburn University, FarFetch, Cleco, Stadium Goods, National Black & Latino Council, City of Atlanta, Kennesaw State University and Thomas University. Teague has served as an administrator for McKinsey & Co. and the director of coaching for Verizon Innovative Learning Schools. In addition, she remains a certified executive transition coach and change management practitioner (ADKAR). In every aspect of her work, Teague seeks to educate her peers on diversity, equity and inclusion as she consults politicians, small business owners and many others. Currently, Teague lives in Atlanta with her dog, GoHan. To learn more about Teague and her mission, visit www.CourtneyLTeague.com. – Recording and PPT: www.auburncatalog.instructure.com/enroll/MLRKEJ .
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APPROACHES TO EMPLOYEE DEVELOPMENT IN CZECH ORGANISATIONS Keywords:Development, education, learning, organisations, concepts Education, development, knowledge management, career development and talent management are currently often discussed themes regarding strategic management of organisations. Those concepts are strategically important. Therefore the aim of the article is to evaluate possibilities of employee education and development and identify main approaches to employee development in Czech organizations. The results are based on a quantitative survey by questionnaire data collection. The results shows that 70% of respondents have possibility of development; 86% uses their skills and abilities and 63% stated that their employer support their development. On the contrary, 27% do not feel any possibility to grow and that may lead to disaffection, loss of production or even to employee turnover. Based on the results of the analysis, employees, who miss adequate level of development are usually key and knowledge employees; it is necessary to support their career plans and development to retain them in organisation. How to Cite Authors declare with this manuscript intended for publication to ERIES Journal that: - all co-authors agree with the publication of the manuscript even after amendments arising from peer review; - all co-authors agree with the posting of the full text of this work on the web page of ERIES Journal and to the inclusion of references in databases accessible on the internet; - no results of other researchers were used in the submitted manuscript without their consent, proper citation, or acknowledgement of their cooperation or material provided; - the results (or any part of them) used in the manuscript have not been sent for publication to any other journal nor have they already been published (or if so, that the relevant works are cited in this manuscript); - submission of the manuscript for publication was completed in accordance with the publishing regulations pertaining to place of work; - experiments performed comply with current laws and written consent of the Scientific Ethics Committee / National Animal Care Authority (as is mentioned in the manuscript submitted); - grant holders confirm that they have been informed of the submitted manuscript and they agree to its publication. Authors retain copyright and grant ERIES Journal right of first publication with the work simultaneously licensed under a Creative Commons Attribution License that allows others to share the published work with an acknowledgement of its initial publication in ERIES Journal. Moreover, authors are able to post the published work in an institutional repository with an acknowledgement of its initial publication in ERIES Journal. In addition, authors are permitted and encouraged to post the published work online (e.g. institutional repositories or on their website) as it can lead to productive exchanges, as well as earlier and greater citation of published work.
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