Saturday, August 31, 2019

Constitution of India Essay

Section 10(3)(c) of the Passport Act authorizes the Passport authority to impound a Passport if it deems it necessary to do so in the in the interest of the sovereignty and integrity of India, the security of India, friendly relations of India with any foreign country, or in the interest of the general public. Maneka’s passport was impounded by the central Government under the Passport Act in the interest of the general public. Maneka filed a writ petition challenging the order on the ground of violation of her Fundamental Rights under Article 21. One of the major grounds of challenge was that the order impounding the Passport was null and void as it had been made without affording her an opportunity to being heard in her defence. The court laid down a number of propositions seeking to make Article 21 much more meaningful than hitherto. ↠ The court reiterated the proposition that Article 14, 19 and 21 are not mutually exclusive. A law prescribing a procedure for depriving a person of ‘personal liberty’ has to meet the requirements of Article 19. Also the procedure established by law in Article 21 must answer the requirement of Article 14 as well. ↠ The expression ‘Personal liberty’ in Article 21 was given an expansive interpretation. The expression ‘Personal liberty’ ought not be read in a narrow and restricted sense so as to exclude those attributes of personal liberty which are specifically dealt with in Article 19. The right to travel abroad falls under Article 21. ↠ The most significant and creative aspect of Maneka case, is the re-interpretation by the Court of the expression ‘procedure established by law’ used in article 21. Article 21 would no longer mean that law could prescribe some semblance of procedure, however arbitrary or fanciful, to deprive a person of his personal liberty. It now means that the procedure must satisfy certain requisites in the sense of being fair and reasonable. The procedure cannot be arbitrary unfair or unreasonable. As the right to travel abroad falls under art 21, natural justice must be applied while exercising the power of impounding a Passport under the Passport Act. Although the Passport Act does not expressly provide for the requirement of hearing before a passport is impounded, yet the same has to be implied therein. Case 2 Sunil Batra vs. Delhi Administration (1980) The Court has given several directives to improve many aspects of prison administration and condition of prisoners. In this case, the Court has pointed out that its powers under Art. 32 are free from the rigid restraints of the traditional English writs. Prison torture is not beyond the reach of the Supreme Court under Article 32. For this purpose, the Court treats letters from prisoners as writ petitions. In this case, the judicial process was set in motion by a letter written by a prisoner to a Judge of the Supreme Court complaining of the brutal attack by the prison staff on a fellow prisoner. Forsaking all procedural formalities, â€Å"since freedom was at stake†, the letter was treated by the Court as a petition for the writ of Habeas Corpus. Case 3 Hussainara Khatoon vs. Home Secretary – State of Bihar (1979) Hussaainara Khatoon case of the Bihar undertrials started with an article written in Indian Express. An advocate then filed a petition under Article 32 in the Supreme Court to protect the personal liberty of the undertrials. The Supreme Court has laid great emphasis on speedy trial of criminal offences and has emphasized: â€Å"It is implicit in the broad sweep and content of Article 21†. A fair trial implies a speedy trial. No procedure can be ‘reasonable fair or just’ unless that procedure ensures a speedy trial for determination of the guilt of such person. The Supreme Court has directed release of all undertrials who have been in jail for periods longer than the maximum term of imprisonment for which they could be sentenced if convicted of the offence charged. The Court also directed that the undertrial prisoners, who are accused of multiple offences and who have already been in jail for the maximum term for which they could be sentenced on conviction, even if the sentences awarded to them were consecutive and not concurrent, should be released forthwith, since their continued detention clearly violates not only human dignity but also their Fundamental Right under Art.21 of the Constitution. The Supreme Court has taken a big innovative step forward in humanizing the administration of criminal justice by suggesting that free legal aid be provided by the State to poor prisoners facing a prison sentence. Case 4 Keshavananda Bharati vs. State of Kerala (1973) The State of Kerala passed the Kerala Land Reforms Act. 1963. This Act affected the interest of the petitioner, Keshavananda Bharati, Swamiji of a mutt. So he filed a writ petition before the Supreme Court under Article 32 of the constitution, contending that his fundamental rights under Article 14,19(1)(f),25,26 and 31 were violated by the Kerala Land Reforms Act. While the case was pending, the parliament passed three constitutional Amendments, viz., 24th, 25th & 29th Amendments. The constitution Twenty-fourth Amendment repealed article 19(1) (f) which read â€Å"to acquire, hold and dispose of property†. It also repealed Article 31, i.e., compulsory acquisition of property. It made several other changes. It also included the Kerala Land Reforms Act in the ninth schedule, thereby making them immune from attack on the ground of fundamental rights. As a result, the fundamental right to property was deleted from the constitution. The petitioner felt that, by these Amendments, he would lose the case in the court. So, he amended his writ petition before the Supreme Court, & challenged the validity of 24th, 25th & 29th Amendments. He contended that though the power of the parliament to amend was wide, it was not unlimited. The power to amend under Article 368 should not empower the parliament to destroy the basic features of the constitution. The Supreme Court’s judgment in this case is as follows: i) The constitution Twenty-fourth (Amendment) Act, 1971, section 2(a) (b) of the constitution Twenty-fifth (Amendment) Act, and the constitution Twenty-ninth (Amendment) Act are valid. ii) The decision of the majority in Golaknath’s case that the word ‘Law’ in Article 13(2) included Amendments to the constitution & the Article operated as a limitation upon the power to amend the constitution under Article 368 is erroneous, and so, is overruled. iii) The power of Amendment includes within itself the power to add, alter or repeal the various Articles of the constitution, including those relating to fundamental rights. iv) There is no power to amend or alter the basic structure of the constitution. v) The First part of the Article 31-C is valid, and the second part of the Article 31-C laying down â€Å"no law containing a declaration that if it is for giving effect to such policy shall be called in question in any court on the ground that it doesn’t give effect to such policy† is invalid. vi) There is no inherent or implied limitations on the power of Amendment under Article 368. Case 5 Air India vs. Nergesh Meerza (1981) A regulation made by Air India, a statutory corporation, fixed the normal age of retirement of air hostesses at 35 yrs but authorized the managing director to extend the same to 45 yrs at his option subject to other conditions being satisfied. The regulation was held bad as it armed the managing director with uncanalized and unguided discretion to extend the age of retirement of any air hostess. No guidelines, principles or norms were laid down subject to which the power was to be exercised. Nor was there any procedural safeguard available to an air hostess who was denied extension. A regulation providing for termination of service of an airhostess in Air India on her first pregnancy has been held to be arbitrary and abhorrent to the notions of a civilized society. Case 6 Visakha vs. State of Rajasthan (1997) The Supreme Court has declared sexual harassment of a working woman at her place of work as amounting to violation of rights of gender equality and right to life and liberty which is a clear violation of Article 14, 15 and 21 of the Constitution. Article 21 guarantees right to life with dignity. Accordingly the Court has observed in this connection: â€Å"the meaning and content of the Fundamental Rights guaranteed in the constitution of India are of sufficient amplitude to encompass all the facets of gender equality including prevention of sexual harassment or abuse† Sexual harassment also violates the victim’s fundamental right under Article 19(1)(g) â€Å"to practice any profession or to carry out any occupation, trade or business†. Thus Article 32 is attracted. In the absence of any domestic law relating to sexual harassment in India, the Supreme Court has itself laid down under Article 32 some directions for prevention of such harassment. These directions are binding and enforceable and are required to be strictly observed in all work places until suitable legislation is enacted to occupy the field. Case 7 M R Balaji vs. State of Mysore (1963) An order of the Mysore Government issued under Article 15(4) reserved seats for admission to the state Medical and Engineering colleges for Backward classes(28%) and ‘more’ Backward classes(22%). This was in addition to the reservation of seats for SCs (15%) and for STs (3%). Backward and more backward classes were designated on the basis of ‘castes’ and ‘communities’ The Supreme Court characterized Article 15(4) as an exception to Article 15(1) (as well as to Article 29(2)]. The court declared the order bad on several grounds in this case. ↠ The first defect in the Mysore order was that it was based solely on caste without regard to other relevant factors and this was not permissible under Article 15(4) ↠ Secondly, the test adopted by the state to measure educational backwardness was the basis of the average of student population in the last three high school classes of all high schools in the state in relation to a thousand citizens of that community. This average for the whole state was 6.9 per thousand. The vice of the Mysore order was that it included in the list of backward classes, castes or communities whose average was slightly above, or very near or just below the state average(e.g., Lingayats (7.1) were mentioned in BC list). ↠ Thirdly, the court declared that Article 15(4) does not envisage classification between backward and more backward classes as was made by the Mysore order. In Balaji case, the Supreme Court could sense the danger in treating ‘caste’ as the sole criterion for determining social and educational backwardness. The importance of the judgment lies in realistically appraising the situation when the court said that economic backwardness would provide a more reliable yardstick for determining social backwardness because more often educational backwardness is the outcome of social backwardness. The court drew distinction between ‘caste’ and ‘class’. An attempt at finding a new basis for ascertaining social and educational backwardness in place of caste is reflected in the Balaji decision. The court also ruled that reservation under Article 15(4) should be reasonable. It should not be such as to defeat or nullify the main rule of equality enshrined in Article 15(1). While it would not be possible to predicate the exact permissible percentage of reservation, it can be stated in a general and broad way that it ought to be less than 50%. Case 8 Indra Sawhney vs. Union of India (1992) (Mandal Commission Case) The Supreme Court has taken cognizance of many complex but very momentous questions having a bearing on the future welfare and stability of the Indian society. ↠ The overall reservation in a year is limited to a maximum of 50% ↠ Amongst the classes granted reservation, those who have been benefited from reservation and have thus improved their social status (called the ‘creamy layer’ by the court), should not be allowed to benefit from reservation over and over again. This means that the benefit of reservation should not be misappropriated by the upper crust but that the benefit of reservation should be allowed to filter down to the lowliest so that they may benefit from reservation to improve their position. The court has said that if a member of IAS, IPS or any other All India Service, his social status rises; he is no longer socially disadvantaged. This means that, in effect, a family can avail of the reservation only once. ↠ An element of merit has been introduced into the scheme of reservation. o Promotions are to be merit based and are to be excluded from the reservation rule. o Certain posts are to be excluded from the reservation rule and recruitment to such posts is to be merit based. Minimum standards have to be laid for recruitment to the reserved posts.

Friday, August 30, 2019

Problem in Rising Price of Commodity in World Essay

India is faced today with one of the most critical economic situations. At no other time did Indians witness the horrible phenomenon of spiraling prices as they do today, prices are soaring like rackets and each day one finds a rise in prices of more or less all essential commodities. Inflationary pressures are doing plenty of mischief and the people of middle class families are finding it a Himalayan task to make both ends meet. In a developing economy, prices usually display an upward trend. But if prices keep rising persistently, they cause great hardship to the people. They spare neither the rich nor the poor, neither the producers nor the consumer. They make a economic activities uncertain and unstable, causing great unrest in the minds of the people. Prices are expressed in terms of money. When the rupee or any other currency buys much less than what it used to, and more is to be paid for practically every item, then the problem of rising prices comes into being. In economic terminology it is known as ‘Inflation’. Where the balance between money supply on the one hand and goods and services on the other is disturbed, a critical problem arises. If money supply increases more than goods and services available prices will rise. The fixed-income groups like salaried people, wage-earners and pensioners are the most helpless victims of inflation. As prices rise, their real income gets eroded. The additional dearness allowance which the government sanctions from time to time proves of no use to them, because their purchasing power actually goes down. Inflation induces businessmen to invest their money in nonproductive assets like gold and land whose real worth is not affected by rising-prices. High prices also adversely affect the exports of the country and distort the balance of foreign trade. In a developing economy a certain rise in prices in inevitable for at least three major reasons. First, the programmes of economic development generate larger employment and money incomes and these increase the demand for basic consumer goods and services. The new incomes are not proportionately reflected in saving because a majority of the beneficiaries have to spend most of the additional money they get on satisfying unfulfilled needs. Secondly, the same programmes of economic development as generate the new money incomes push-up the demand for certain goods wanted also by the consumer, such as agricultural products, fuel, housing materials and the like. A third reason, of which the first two may be looked upon as special cases, is the large increase in currency in emulation and the operation of the law of supply and demand. Unless the production of basic consumer goods keeps pace with the increase in currency that is rendered inevitable by large scale, long term planning, prices are bound to rise even of the production of consumer goods is maintained at the old level. Numerous factors can be cited to explain price rise in India First, our economic planning has suffered from serious drawback, right from the beginning. During the various Five-Year Plans, while the public expenditure persistently increased, the production targets were never realized. Secondly, this forced the Government to resort to deficit financing. The resulting imbalance inevitably led to inflation. The Third, major factor responsible for price rise is that due to great emphasis laid on heavy industries in our Five-Year-Plans, agriculture and consumer goods industries, which produce the items required by the people, have received insufficient attention. Consequently, agricultural production has not kept pace with consumption. Fourthly, in an underdeveloped economy like ours, the first increases in income always tend to be expended on food articles. In other words, the level of consumption tends to increase with increases in income. The cumulative effect is a growing pressure on prices. Fifthly, there is a tremendous increase in population. About ten million new mouths are to be fed every year. Sixthly, there are psychological factors that push up the prices. Continually rising prices give rise to rising expectations, with the result that farmers and stockiest tend to hoard more and more stocks, anticipating further increase in prices. Seventhly, there has been very heavy taxation on the public—both direct and indirect. In an underdeveloped country like ours, this adds to the inflationary pressure for number of reasons. Heavy taxes on industries are ultimately passed on to the consumers, thus increasing their cost of living. Heavy taxation also discourages greater production. Defective tax-structure has encouraged tax-evasion and accumulation of black money and smuggling. Eighthly, majority of Indians have no community consciousness. There is no organized consumer resistance to price rise. The Ninth factor is the faulty distribution and marketing system. Last, but not the least, was the international factor, increase of oil prices in the international market. In order to solve this difficult problem, some drastic steps must be taken. First, the entire strategy of planning should be changed. There should be equal attention on heavy industries and agriculture and consumer goods. Secondly, the mounting governmental administrative expenditure should be drastically curtailed as it is mostly wasteful and non-development expenditure. Thirdly, tax burdens on the public should be reduced. And finally, no hoarder, profiteer or black marketer should be left with impunity. Unless they are crushed with a heavy hand, the common man is bound to suffer. Our government is quite conscious of the magnitude and implications of the problem. It has already initiated a number of steps to check inflationary tendencies. What we now need is a strict enforcement of these steps. Apart from accelerating growth and imposing curbs on money supply, we need an effective distribution system. We also need the support of the social workers and other public minded citizens to keep a watch on the unethical practices of shopkeepers.. But nothing can mitigate the situation unless the growth of our population is checked.

Thursday, August 29, 2019

Against Euthanasia Essay Example for Free

Against Euthanasia Essay ? â€Å"Freedom is defined as â€Å"the power to determine action without restraint† . Given this definition, is the practice of euthanasia morally justifiable or wrong? The debate of freedom arises. Euthanasia is acknowledged as a â€Å"mercy killing.† It is â€Å"the act of putting to death painlessly or allowing to die, as by withholding extreme medical measures, a person or animal suffering from an incurable, esp. a painful, disease or condition†. This begs the question: does an individual have the right to decide to take another individual’s life? Religious groups would ultimately argue euthanasia is a â€Å"crime against life. † (Citation?)The issue of morality and ethnics are proposed. Is it moral to kill someone to take them out of their pain, as opposed to letting them live suffering? This is when spirituality comes into opposition with human rights. Euthanasia is a controversial issue that compares one’s quality of life to ethics. It can be viewed as a form of suicide or a form of being merciful. Even so, does humanity have the right to determine if someone should die or not? Those who are governed by a faithful belief may see euthanasia as practiced against god’s will. However, others may believe mankind has the choice over their own lives (Remove comma) and that the belief of god is a theory. Economic costs and human resources are legitimate arguments as to why euthanasia may be an acceptable option. Yet, could financial problems cause one to consent under pressure? Euthanasia denotes â€Å"good death† in Greek. This begs the question: does a â€Å"good death† exist? Despite it being acknowledged as painless, arguably it is still murderous. Society is forbidden to commit murder, making euthanasia contradictive, since it is allowing one to take the life of another. (Perhaps it may be helpful here to define â€Å"murder.†) Medically, euthanasia is the â€Å"norm† and portrayed as a gracious practice. Morally, it is dissipated and seen as an immoral exercise. Even though euthanasia is a â€Å"merciful killing,† it does not change the fact that it is murder. This practice is unethical and unrighteous. It should be internationally forbidden and prohibited. In 1999, Dr. Jack Kevorkian was sentenced to a 10-25 year prison term for giving a lethal injection to Thomas Youk, a man who was in the final stages of amyotrophic . (Perhaps here you can explain a little bit about the disease, i.e. what it does, what this man’s life was like, what kind of pain he was in, what his future (if any) would hold.) Kevorkian saw his actions as a deed. Kevorkian stated that he has â€Å"helped more than 130 people since 1990†. The defense party focused on the issues surrounding euthanasia, while the prosecution concentrated on Dr.Kevorkian’s actions associated with Michigan’s laws. The prosecutor stated, â€Å"This case is about what Jack Kevorkian did, and what he did under the law under the state of Michigan is commit murder†. This trail did not touch base on the political aspect of euthanasia, but on the ethnical side. Thomas Youk videotaped himself consenting Dr. Kevokian to take his life, yet Dr. Kevokian was still c harged with committing a crime. This is proof euthanasia is wrongful. There is no difference between Dr. Kevorkian and a medical surgeon when it comes to taking a life; the practice is still murderous. The court found him guilty since his actions were unlawful; meaning in general euthanasia can arguably be found a crime. A similar case in Saskatchewan occurred when Robert Latimer murdered his severely disabled daughter, Tracy, on October 24th, 2008. The reasoning for Latimer’s immoral act was he could not bear to witness his daughter suffering from a severe form of cerebral palsy. He killed her by placing her in the back of his Chevy pickup, ran a hose from the exhaust to the cab, and watched her die. Latimer was convicted on November 4, 1993 of first-degree murder. The following year he was convicted of second-degree murder. This begs a question: what is the difference between Latimer’s actions, killing his daughter who suffers  from excruciating pain, and a doctor who was given permission from a loved one to kill an individual who is also suffering from a brutal pain? A doctor must receive authorization to kill a patient who is overly sick. Doesn’t Latimer have the right to take his own daughter’s life, since a doctor would have had to ask him anyways to have the right to â€Å"kill† Tracy? Latimer supposedly saved his daughter from being in pain, which is the same reason why many individuals chose to give permission for those who are not physically in good health to undergo euthanasia. His methods were the same as a person with a medical degree. He watched an innocent individual die. Latimer was punished since his act was seen as wrongful. So why it is that euthanasia is seen as â€Å"merciful killing?† Many thought Latimer’s behavior could be compared to the act of euthanasia, since it’s perceived as a â€Å"compassionate homicide†. How could a man who watches his daughter die is seen as a â€Å"merciful killing?† Obviously it was not, which is why he was sentenced for second degree murder. Are you suggesting that these decisions be taken out of the hands of qual ified medical personnel? You could make reference to the qualifications of doctors in these situations; it could contribute to your essay. John Pearson, born in June 1980 in Derby City Hospital, was diagnosed with Down’s syndrome (http:// http://news.bbc.co.uk/2/hi/health/2600923.stm.) and was left in the care of a specialized consulting pediatrician, Dr. Arthur. Three days later, Pearson was found dead. Dr. Arthur was later charged with the baby’s murder. He was allegedly asked by the parents to take the life of this child, whom he killed by starvation. In November 1981, Dr. Arthur was acquitted of murder (http://news.bbc.co.uk/2/hi/health/2600923. stm), due to him taking the life of a child with the parents’ consent. (If he was acquitted of murder, you cannot call him a murderer. You can refer to him as an alleged murderer, but because he was not convicted, anything else would be inappropriate.) This is proof that the practice of euthanasia is causing other individuals to believe they have the right to take the life of someone in their family whom is suffering from a disease or disability. (Are yo u suggesting this newborn was able to make their own decision as to whether or not they wanted to live with this disability? If so, why do we not allow children to make more decisions at a younger age? Why not let elementary students vote, for instance, or enter into their own legal contracts? Make sure your stances are logical and well thought out. The more times you allow an opposing view to poke holes in your statements the more difficult it will be for you to stay credible.) John Pearson may have not been as â€Å"privileged (Remove comma)† as others in society due to his disability, but he did not deserve to die. It can be argued that euthanasia is form of suicide. This outrages religious groups who see this practice as immoral (Remove comma) and against the word of god. Suicide denotes â€Å"the killing of one self.†(Citation?) Euthanasia, a majority of the time, occurs when individuals decide to medically kill someone who is undergoing crucial agony. This practice can be perceived rather as â€Å"murder.† Murder means to â€Å"cause to die; put to death, usually intentionally or knowingly (http://www.thefreedictionary.com/commit/suicide). (This statement and the one previous should be placed earlier on in the essay. You can then make reference to it here if necessary.) Either or, euthanasia is condemned by many religious laws. The Jewish perspective states that instances of euthanasia should be dealt with as such: â€Å"any form of active euthanasia is strictly prohibited and condemned as plain murder†(http://www.aisha.com/societywork/science /Doctor-Assisted_Suicide.a sp). Talmudic and Rabbinic sources state, â€Å"One who is in a dying condition is regarded as a living person in all respect (Talmud – Smachot 1:1).† The Jewish religion also believes: â€Å"One may not close the eyes of a dying person† (Talmud – Smachot 1:1). Rabbi Merri interprets this saying as, â€Å"It is to be compared to a sputtering candle which is extinguished as soon a person touches it – so too, whoever closes the eyes of a dying person is compared to have taken the soul† (http://www.aisha.com/societywork/ science /Doctor-Assisted_Suicide.asp). Islam also criticizes euthanasia. Muslims see life as being sacred, since Allah provided it to them. Allah decides how long each human being will live, not a doctor. It states in the Qu’ran 5:32, â€Å"If anyone kills a person – unless it be for murder or spreading mischief in the land – it would be as if he killed the whole people† (http://www.bbc.co.uk/religion/religions/islam/islamethnics/ euthanasia. shtml). The Qu’ran 3:145 clearly establishes, â€Å"And no person can ever die except by Allah’s leave and at an appointed term† (http://www.bbc.co.uk/religion/religions/islam/islamethnics/euthanasia. shtml). This rule also applies to Christianity. The Catechism of the Catholic Church (2003) states: â€Å"All forms of suicide and euthanasia remain strictly prohibited, but questions of moral culpability and eternal salvation are left open† (http://www.acu-cell.com/suicide.html). In the Orthodox Church decisively is in opposition of euthanasia and considers it as, â€Å"as form of suicide on the part of the individual, and a form of murder on a part of others who assist in this practice, both of which are seen as sins. The Church does not expect that excessive and heroic means must be used at all costs to prolong dying, as has now become possible through technical medical advances† (http://www.acu-cell.com/suicide.html). Depending on your citation style requirements, this quote should probably be in block format since it is longer than 40 words.) Internationally, there are over 3.3 billion Christians, Muslims, and Jews who are opposed to euthanasia (http://www.spaceandmotion.com/Theology-World-Religions.htm) . However, Secular/Nonreligious/Agnostic/Atheist groups make up 850 million of the world’s population (http://www.atheistempire.com/reference/stats/index.php). Atheists question the truth in religion; therefore they do not recognize euthanasia as a sin, or as a form of suicide. (Are you suggesting that all of these people believe euthanasia is a positive thing?) Even though theology is governed by powerful messages, it’s still not a reliable source. Religion is still seen as just a theory, since it is just a belief. Humanity has not yet seen or conversed with a higher power, so the religious information provided to mankind has not been proven. On January 11, 2003 Dr. David Jerrrey wrote a letter to the editor of the newspaper the Financial Times. In the letter he stated, â€Å"Terminally ill patients often fear being a burden to others and may feel they ought to request euthanasia to relieve their relatives from distress† (cite). Given economic situations, many patients and families of the patients feel pressured by medical figures to turn to euthanasia. Michael Prowse wrote in the newspaper the Financial Times, published January 4th 2003, â€Å"If euthanasia became socially acceptable, the sick would no longer be able to trust either doctors or their relatives: many of those earnestly counseling a painless, ‘dignified’ death would be doing so mainly on financial grounds. Euthanasia would become a euphemism for assisted murder† (Michael Prowse). Many feel psychologically pressured to consent to voluntary euthanasia because they maybe a financial burden to their loved ones. However, those who do personally require euthanasia without being forced will allow this practice to continue. Humanity has the choice of fundamental principles, being they believe they should be allowed to make the decision if they want to die, s ince it’s their own life. There is a shortage of hospital space, so those who have slim chances of living may feel that by them dying another who has a greater chance of life can have more attention by medical care (Michael Prowse). These arguments can be seen as a valid, which may overrule the fact that euthanasia is murderous. Individuals may sympathize with those who are in great pain, and feel they cannot continue on with life. Despite these intellectual reasons, euthanasia is a form of murder, and a practice that should be banned. Euthanasia is a deliberate act of killing. Since the beginning of mankind our world has been exposed to laws that forbid murder. In the Ten Commandments, â€Å"thou shall not murder,† (Citation?) has influenced recent laws. This ethnical issue must be solved, but with the help of communities (Remove comma) and countries. There are two forms of euthanasia that must be focussed on: active euthanasia, or â€Å"inducing or assisting in the death of a person, who is undergoing intense suffering and who has no practical hope of recovery† (cite), and passive euthanasia, which is â€Å"withholding life-saving equipment or treatment, by medical equipment I mean surgeries, chemotherapy and other treatments beyond basic food, water, warmth, care and personal attention† (cite). Each form must be individually looked at. Passive euthanasia is what society must accept. Active euthanasia contradicts the law (Remove comma) and commandments. The money that is being put into cloning and other scientific practices should be put towards cures that can stop the diseases which cause individuals to turn euthanasia. The truth is mankind continues to play the role of god. Our world is presently exposed to cloning; organ transplants, etc. (If this is a strictly formal essay, refrain from using â€Å"etc.† Rewrite your sentence to something like â€Å"Our world is presently exposed to such morally compromising issues such as cloning and organ transplants.†) This allows one to think that euthanasia will become a dominant practice internationally. More will rely on it (Remove comma) and see it as a consideration in their decision whether or not they want to live or die. Religion does contain truth. Only nature should have the power to decide when it is our time to go, but as technology continues to advance it provides mankind with the choice to determine one’s life or death. Illnesses do cause families grief and to suffering, but if humanity started to believe in â€Å"faith† again, maybe euthanasia would have to significance, (This is not a logical sentence; please clarify.) since we just lack hope. A doctor diagnoses a patient with cancer and automatically the patient senses death. What happened to believing in miracles and fate? Maybe mankind no longer believes in miracles simply because our world continues to destruct by war, poverty, and violence. We now turn to an easy way out, since the fight seems too long. Euthanasia is just a way to control our population and economy. It is a homicidal act that should be immediately stopped internationally. Dr. Jack Kevorkian, Robert Latimer, and Dr. Arthur (Remove comma) were all charged with murder because they chose to practice euthanasia without medical consent. These three men were charged with murder, which proves this operation is murderous (Remove semi colon) despite it having the word â€Å"med ical† behind it. If a doctor performs euthanasia on a normal individual it should be equally weighed because it is a deliberate act of murder. Theology condemns euthanasia simply due to it being considered a form of suicide or murder. Individuals are pressured into euthanasia because they are sick and their life becomes less important than one that is healthy. Against Euthanasia. (2016, Mar 13).

Wednesday, August 28, 2019

Cabeza de Vaca and his Encounter with the Indian Tribes Research Paper

Cabeza de Vaca and his Encounter with the Indian Tribes - Research Paper Example This research will begin with the statement that the journey and expedition of Governor Pamfilo de Narvaez, followed by around 600 men and five ships along with the officers including Cabeza de Vaca , the Treasurer and alguacil mayor, Alonso Enriquez, the Comptroller, Alonso de Solis, Quartermaster to Your Majesty and Inspector, Juan Suarez, a Franciscan Friar, Commissary and four more friars for capturing and ruling over the provinces beginning from the River of Palms to the cape of Florida is amazing. The incidents that were encountered during this harrowing expedition have been presented by Cabeza de Vaca in this book called The Journey and Ordeal of Cabeza de Vaca. His account of this terrible journey of the southwest part of America certainly leaves us with a feeling trepidation on the one hand and astonishment on the other. The lifestyles of the Indians clearly reflected their ability to survive against the odds and tame their environment.  During their first phase of the jou rney, from Spain through Cuba to Tampa Bay, the Governor, decided to move further, into inland areas despite the opposition of Cabeza de Vaca that segregated them from their supporting vessels and left them in miserable conditions without sufficient food and water. However, this is the first time that the fleet confronted the attack of the Indian tribes. During their second voyage that took them to the coast of Texas, the inhabitants in this area were primarily Karankawa Indians. In fact, the survivors and Cabeza de Vaca were the first non-Indians known to hit this coast. The hostile attitude of these Indian tribes towards the foreigners and enslaving Cabeza shows their struggle for survival. Broadly speaking, the Indians were in a constant state of warfare with their environment and knew little about life on the other part of the globe. The only thing that characterized the Indian tribes included their aggression and toughness which can be accounted to the antagonistic environment in which they lived. In one of the instances, Cabeza has stated that â€Å"they were bidding us go†, (31).

Tuesday, August 27, 2019

Ecological footprint Essay Example | Topics and Well Written Essays - 1000 words

Ecological footprint - Essay Example 2. Very briefly, what were the results of the two different tests and what did you find surprising or noteworthy? In the first test that I took, with me answering it honestly, I actually found out that when everyone on the planet lived like me, it needs 3.9 earths to support humanity’s lifestyle; in addition, I need 17.3 global acres for me to be able to support my lifestyle (myfootprint.org, 2011). However, when I took the test the second time, wherein I assumed that I was the richest man on earth having a very extravagant lifestyle, I actually found out that when everybody else on earth lived like I do, it actually needs 12.4 earths to support humanity’s lifestyle, and I actually need 55.4 global acres in order for me to support my personal lifestyle (myfootprint.org, 2011). What I found in the tests that I took is the fact that as one’s lifestyle becomes more extravagant, wherein one consumes more meat and more commercial food than others, or when one owns a l arger home and has lots of cars or even a private plane, it takes much of the world’s resources to support that lifestyle. ... d natural foods, recycling my trash more often, living in a green, sustainable shelter, using less non-renewable sources and going more for renewable energy, and most of all, having a simpler lifestyle. In this case, I must be able to be more aware of my environment, and that I must be able to consume only what I need. By having a simpler and more sustainable lifestyle, I can significantly reduce my ecological footprint. 4. If everyone lived like you, how many earths would we need to sustain this population and what does that mean? (Why can't we continue consuming resources at the current rate? What would happen if nothing was done?) As I have indicated, if everyone lived like me, it would actually take 3.9 earths to sustain this population (myfootprint.org, 2011); it actually means that the current word’s population actually needs 3x the earth’s current resources. Personally, I think that we cannot continue consuming the earth’s resources at the current rate bec ause time will come when the earth cannot support humanity’s needs anymore. If nothing is done about this matter, the earth’s resources would be depleted fast, and humanity may suffer from famines and natural disasters, or even extinction. 5. What would you suggest, if anything, that should be done to reduce the footprint of everyone else? Given such kind of scenario, I personally think that there must be a renewed awareness campaign regarding the importance of having a sustainable lifestyle, in order for the rest of the world to appreciate and understand why it is important to change our lifestyles. I think that it is important for everyone else to know that the earth has only limited resources and that it can only support so much, and by spreading awareness, I think people will follow and change

Monday, August 26, 2019

Patterns for Interpersonal conflict Essay Example | Topics and Well Written Essays - 1000 words

Patterns for Interpersonal conflict - Essay Example The second aspect is a behavioral component, which occurs when one individuals directly interferes with the objectives of another. The third aspect is the affective component, which refers to the negative emotions between individuals in conflict. Among these components, there are for common characteristics of interpersonal conflict that will be discussed in the paper. In addition, the paper will illustrate the negative factors that may result from lack of conflict resolution. The first common characteristic is that the conflicting parties are interdependent. The above mentioned illustrations of conflict show that the parties involved have contrasting opinions. Hence, regardless of the opposing views each of the parties is necessary for conflict to occur. Kelly and Braiker state that an individual who is not dependent on another and does not possess an interest in him or her cannot have a conflict with this person. Hence, since the choice of each person in the conflict affects the oth er, it is necessary to resolve all conflict in an environment that requires interaction. In such situations, the two individuals must find common ground as they will be unable to work together in a state of conflict. In most situations, individuals will sabotage their colleague to attain their own interests if there is no conflict resolution. The situation will be escalated to a point whereby the two parties are no longer willing or able to find common ground. Another characteristic is that the two parties often have the perception.

Sunday, August 25, 2019

Sustainable hospital and the healing process Annotated Bibliography

Sustainable hospital and the healing process - Annotated Bibliography Example One of the strength of the motivating programs is that its’ automation makes it easier to identify individual merits and reward them accordingly. Compliments and other recognitions should be posted there to motivate them. Communication with employees from wherever they are makes them feel part of the company as they feel more appreciated and derive a sense of belongingness. This should continue being exploited at all times. Some weaknesses have also been noted in the discussion section. One of these entails shortcomings in communication. Employees should be made part of the decision-making team to ensure they feel obligated to work for a hospital. A hospital should also outsource some required services especially in recruitment programs to allow them cope with the challenges fostered by motivation programs. Abstract - The study recognizes that the concept of design has an effect on a patient's healing process. In the study, substantial evidence presents that the design of medical institutes influence the health outcomes of patients, as well as recruitment and retention of the hospital staff. In addition, the concept of design also affects the efficiency of how care is being provisioned. In United Kingdom, primary health and social care is being prioritized due to the ageing population of the country. Summary - The purpose of the study is to incorporate an environment that would deliver safety, efficiency and quality that is flexible to changing delivery patterns in the provision of care. Strengths - The journal article is concise, thorough and properly formatted. It began with the topic in which it aimed to discuss, which was followed by the issues and challenges that cause the need for such a topic to be tackled. The author elaborated on the existing condition of modern health care, as well as the current trends' impact on the environment and the peoples' well being. With that, the author introduced the concept of sustainability. Empirical studies that would support the information presented were included through the incorporation of best practices that are present in health care buildings, neighborhoods and cities. A succinct analysis had been applied in regards to assessing what needs to be modified, along with a proposed action plan that could help resolve existing issues in healthcare. Weaknesses - The researcher believes that the journal article has no notable weaknesses. Dyson, F. (2007.) Many colored glass: Reflections on the place of life in the universe. F reeman University of Virgina Press. Abstract - Among the several factors that can be attributed to the degradation of the environment, global warming, or the gradual increase in the earth’s temperature is one of the single most important drivers of this change. Global warming is a phenomenon perpetrated by the increase in emission of greenhouse gases. These gases are most significantly released during the burning of fossil fuels, and human beings as a group are the greatest emitters of greenhouse gases. Summary – an organization will maintain the efforts of improving its eco-friendly in all the departments by allocating more resources toward improving the sustainability. Additionally, the organization will strive to explore better

Pragmatics Essay Example | Topics and Well Written Essays - 1000 words

Pragmatics - Essay Example Characterization of polite language includes careful selection of words as well as the reconstruction of the speaker’s communicative intentions through the use of logic practical reasoning (Brown 8). The use of honorifics due to the presence of complex strata within societies in order to impersonalize people as well to further elaborate politeness is another feature seen in polite forms of languages. Also, the concept of face, or the public image of the speaker as he or she perceives it and how everyone else recognizes it, becomes a motivation to be polite at all times, as seen through the eyes of other cultures (Grebe 6). By projecting a positive image of their selves, people are able to communicate effectively in such a way that they get what they want and at the same time are able to maintain their good public images by their careful selection of words and actions. Strong motivation to do as such is a key point in the use of polite forms of language, which is a reason why it still persists up to the present (Brown 23). Depending on the quality as well as the type of social relationship between the speaker and the listener, the style of speech would also be adjusted accordingly (Carter 170). Politeness with regards to speech stems from the different hierarchies within a culture, and by not using respectful language towards different classes of people, speakers would become the target of stigmatization and persecution by the community (Watts 44). The lack of politeness in speech could also mean life or death in ancient cultures as well which suggests the evolution of polite speech patterns in most languages. Most output suggests that politeness in linguistics also originated from the use of indirections in speech, as well as hints, and by not being outright or the avoidance of blatant speech gives the speaker a more amiable or positive image (Carter 169). This also saves a person’s face, or the clean public image of a

Saturday, August 24, 2019

Introduction to Networking Essay Example | Topics and Well Written Essays - 250 words

Introduction to Networking - Essay Example Token Ring describes a Local Area Network (LAN) technology in which stations are organized in a ring topology. In Token Ring, data transmission occurs sequentially from a ring station to the next; initialization of a ring is achieved through circulating a token. When using Token Ring, a station has to capture the token in order to gain the right to transmit data onto the ring. Initial Token Ring products operated at 4 Mbps. However, the 802.5 standard has advanced and supports an operation of 16 Mbps (Carlo, 1998). The Fiber Distributed Data Interface (FDDI) refers to a 100 mbps technology, which uses the LAN network and is usually linked through a fiber optic cable. This technology is used in situations where networks require a high speed bandwidth, and require covering vast distances compared to those covered by the copper wires. There are two networks under this category; fiber optic wire based and copper distributed data interface (Gallo & Hancock, 2002). The information I have learnt is useful in the future since I can teach others, who do not have this knowledge. I struggled with trying to understand the differences between the networks architectures presented in this assignment. I discovered that a person can use network bridge devices in extending Ethernet networks. What I can share with fellow students is that diagrams help to understand networking concepts in a superior

Friday, August 23, 2019

Florida v. Jardines, 11-564 from the Supreme Court in March 2013 Research Paper

Florida v. Jardines, 11-564 from the Supreme Court in March 2013 - Research Paper Example nt amount of marijuana and evidence that he was a drug trafficker too, Jardines contested the warrant saying that it is was breach of the fourth amendment. Hence, rendering the raid, and the consequence (charges for possessing marijuana), null and void. The Supreme Court of Florida approved the decision of the trial court, holding that the evidence be suppressed as the officers had committed Fourth Amendment breach. They did not have a probable cause to search Jardines’ property (Florida v. Jardines, 2013). 5. Rationale: why did the court decide the case this way? Was there a decent? A concurring opinion? How many Justices voted with the majority? What were the reasons that different judges felt differently about parts of the case? The court is not a law machine set out to operate under given set of command. The law and courts operate to contribute towards a better society. The law is made to protect the citizen and not to harass them. The notion that no one should be held above the law needs to be practiced in such a way as decided the Supreme Court of Florida. The Fourth amendment upholds that the people have a right to be secure in their homes (Jardines v. State, 2011). The Fourth Amendment does not allow police or anyone to search someone’s property without probable cause. The term ‘search’ has been highlighted in the Fourth Amendment as when governments physically intrudes someone’s property (person, papers, houses or effects) it is a ‘search’ (Florida v. Jardines, 2013).. The citizens should consider home as safe from unreasonable investigations. If this sense of security is not provided to the citizens then the society will always feel vulnerable and under pressure of the government. The officers that searched Jardines’ house did not ‘see’ anything with their own eyes before entering his premises. There was apparently no suspicious activity around or in his house. Had the officers seen something then it would have been a reasonable

Thursday, August 22, 2019

Automated Services Essay Example for Free

Automated Services Essay Guidance and Counseling System is the most critical discipline office in many institutions such as the education sectors. Schools, Colleges, and Universities are depending on the Guidance Office to guide students to secure their welfare mentally and academically. Students that are carefully guided by the office until they graduated are most likely to be successful in their professional careers. Guidance and Counseling System is composed of many services that help the student cope in their school life particularly in College life which is the transition of puberty and adolescence. Students find it hard during college to express themselves and make important decisions regarding their career. So the Guidance and Counseling Office will enable them to make wise decision by offering them Guidance Services essential functions. In UPH-DJGTMU, the Guidance and Counseling Office is using manual system, that’s why their services is not that efficient. The Automated Services of Guidance and Counseling Office will enable their services be more available to students. Project Context UPH-DJGTMU Guidance and Counseling Office has a hard time attending to their offered services because it doesn’t have an automated Guidance System. And because of that, student is not serve completely, its services is not implemented well because of manual system of doing task such as updating particular records, inventory of student records, scheduling student counseling, updating career information, proposing seminars and orientations, handling student complaints, issuing a parents meeting with the counselor, making contact with outside companies for the student tracing program after they graduate and other important services. Those tasks are sometimes not well handled because the office has limited personnel. Since the Guidance and Counseling Office is lacking of manpower, it is understood that all services and task of the Office cannot carry out smoothly. That’s why our group decided to propose an Automated Guidance System which we called Automated Services of UPH-DJGTMU Guidance and Counseling Office. Purpose and Description This system will enable the Guidance personnel’s to keep their student service systematic. The Inventory Service will keep records of the student basic information. The Information Service will orient the students particularly the freshmen’s on how to choose their career by showing the possible job opportunities of their offered courses. The Counseling Service will keep track of the students counseling record and to help them win mental and academic problems in college life. The Follow-up Service shall assist the students in situating themselves on finding the most appropriate job after they graduate. The Placement Service includes a Virtual Tour that shows the Dean’s Office of the Medical University and other important offices. Referral Service shall recommend students into a more specialized person regarding their mental case problem. The Seminar Inquiry will keep track of the seminars and orientations of the Guidance Office that has been executed on Medical University. It allows seminar evaluation to recognize the importance of a seminar. The Letter Information stores all the letters made to stored records and review for future use. The Student – Teacher Welfare Section will help the both party to express their complains and do further actions regarding the issue. All references and records are kept confidential because the system is password protected and can the password can be modified from time to time. Objectives a. General Objective: To develop a system for the automation of the Guidance Services that can help them serve students with the highest quality. b. Specific Objectives: * To automate Student Profile Records for faster indexing. * To update orientation and seminars simultaneously by the help of surveys. * To orient the students particularly the freshmen’s on how to choose their career by showing the possible job opportunities of their offered courses. * To keep track of the students counseling record. * To recommend students into a more specialized person regarding their mental case problem. * To record and evaluate seminars * To enable Virtual Tour on the Medical Building Dean’s Offices and other important Office. * To record student-teacher complains and make actions to solve conflicts between student and professors. * To allow the Graduate Students to register into the Graduate Tracer Study which will enable them to find suitable job according to their respective course. Scope and limitations The proposed system was designed and developed to provide UPH-DJGTMU the most effective tool to innovate their current Guidance System. This system is composing of the following features: * Inventory Service * Information Service * Counseling Service * Placement Service * Follow-up Service * Referral Service * Seminar Inquiry * Letter Information * Student-Teacher Welfare Section It limits the user only to Guidance Personnel’s and not made to be used by students. Benefits and Impacts The system was made to serve the students of UPH-DJGTMU by helping them thru the Guidance Services what will make huge change on the services done on manual system. To produce academically and mentally molded students is the goal of the automation. In this study, the target beneficiaries are students. The system will offer them systematic guidance services which will guide them throughout college life, they will be given the opportunity to enhance their abilities and talents by seminars, the system will also guide the student to the right path of choosing career the right course when they enroll. The system will also enhance the student-teacher relations in school, this will lessen the conflict issues between other faculties and students. The automated system will also refer students to outside institutions regarding mental issues to help them cope up with mental problems. The system also has company affiliation so when they graduate, the Guidance Office will also help them find a suitable job fit in their talents and capabilities. Definition of Terms Technical Terms 1. System – it is any collection of components elements that work together to perform a task and it is used in a variety of context. 2. Evaluation – act of considering or examining something on order to judge its condition 3. Hard disk – A permanently installed, continuously spinning magnetic storage medium made up of one or more rigid disk platters. 4. Memory – The memory area in which all programs and data must reside before programs can be executed or data manipulated. Non-Technical Terms 1. Field – The smallest logical unit of data. Ex: are employee number, first name and price. 2. Record – A collection of related fields (such as an employee record) describing an event or an item. 3. Password – A word or phrase known only to the end user. When entered, it permits the end user to gain access to the system. 4. Record – A collection of related fields (such as an employee record) describing an event or an item. Acronyms 1. RAD – Rapid Access Development 2. JAD – Joint Application Development Chapter II REVIEW OF RELATED CONCEPTUAL LITERATURE / SYSTEMS The concept of developmental guidance was born early in the 20th century. From its inception through the 1950s, the focal point of guidance in a school setting was vocational education and training. Heavily influenced by the industrial revolution and world war, the concern of counselors and teachers alike was to prepare students for life after high school. From a guidance perspective specifically, that meant steering students to careers that best fit their abilities and goals. By the 1950s, developmental guidance had grown to incorporate the molding of student attitudes and behaviors. More emphasis was placed on the mental health and emotional well being of children. (Muro Kottman, 1995) By the late 1960s, the role of the school counselor began to take its current shape. In its contemporary state, guidance has grown to include counseling, planning, placement, referral, and consultation Schmidt, 1993). At the same time, guidance at the elementary school was being developed and implemented. Along with the development of elementary guidance came the emphasis on prevention, intervention, and coordination (Muro Kottman, 1995). As the field of developmental guidance has grown, so have the emphasis educators have placed on coordination and cooperation. In a well functioning school environment, cooperation exists between all school staff members. For a comprehensive guidance program to flourish, cooperation between school counselors and teachers is paramount. According to Nugent (1990), next to counselors, teachers are the most important component in implementing a successful comprehensive guidance program. By and large, teachers are the key adult figure in the average pupil’s school day. They are the most influential figures, be it positive or negative, to the average student. This is particularly true at the elementary level, where children spend the majority of their day in one classroom. School counselors and teachers have co-existed in the school setting for quite some time. One would assume that over that period of time both professions would come to understand and accept one another. Some research suggests otherwise. According to Myrick (2003), some teachers hold misconceptions about the role and function of counselors. Counselors are sometimes reviewed as administrative assistants who have little time to counsel students. Fueling the misconception is the fact that some teachers distrust counselors, due to their apparent alignment with administration. These teachers are wary of counselors observing students in their classrooms. They worry that their teaching methods are being evaluated as if counselors work as the eyes and ears of the administration. Teachers who are uncooperative and unsupportive have criticized developmental guidance in general. These teachers believe that counselors have little, if any, impact on student behaviors or student performance. They do not like students from their classrooms working with counselors. They may even refuse to send their students to the guidance office. The refusal is based on the belief that counselors really do not help, and sending students to the guidance office during class time is a waste of time that only penalizes the student. Still other teachers will send their students to see the counselor, but only during student recess (Muro Kottman, 1995).

Wednesday, August 21, 2019

Analyze The International Strategy Of Nestle Marketing Essay

Analyze The International Strategy Of Nestle Marketing Essay Introduction This report will analyze the international strategy of Nestlà © and one of its major competitors, Cadbury plc in the United States. Nestlà © is one of the oldest multinational businesses and focus in nutrition, health and wellness. It was founded by Henri Nestlà ©, a pharmacist, who established food for babies who were unable to breastfeed in Switzerland in 1866. The company merged with the Anglo Swiss Condensed Milk in 1905. Nestlà © expand their business through a series of acquisitions after World War II that included Maggi (1947), Cross Blackwell (1960), Findus (1962), Libbys (1970), Stouffers (1973), Carnation (1985), Rowntree (1988) and Perrier (1992), (Nestle Mangement Report, 2008). By the 1990s, Nestlà © had more than 500 factories in 76 countries and sold its products in 193 nations almost every country in the world. Roughly 28.2 percent of its sales were made in Europe, 33.1 percent in the Americas and 17.1 percent in Asia, Oceania and Africa (Nestlà © Management Re port, 2008). Nestlà © USA is a subsidiary of Nestlà © S.A in Vevey, Switzerland. Nestle has been present in the USA over than 110 years and now headquartered in Glendale, California. By the 2000s, Nestlà © become a larger company through several acquisitions that included Ralston Purina (2001), Chef America (2002), Power Bar (2006) and Gerber (2007). Nestlà © major products and services include milk based products, pet care, confectionery, beverages, cooking aids and prepared dishes, ice cream and pharmaceutical products. In US, Nestlà © markets confectionary and sweets products under Wonka, Perugina and After Eight brands. It also makes biscuits, toppings and mints. This consumer goods company practising a widen product marketing and offer many brands and product in most markets. Nestlà © recorded US$10 billion with America is the biggest geographic market, recorded for 30.2 percent of total revenues in 2008 and offer more than 50 brands (Nestlà © Management Report, 2008). Literature Review The issue of global integration with local responsiveness can be analyzed in a two dimensional matrix. Figure 1 provides an example. There are four type of classification of multinational companies, Global combining high integration with low responsiveness, Transnational combining high integration with high responsiveness, Multi-domestic combining low integration and high responsiveness and International combining low integration and low responsiveness. The International companies was not included in Bartletts classification because it is does not fit in this scheme. However, (Sundaram and Black, 1992) equate it with the Transnational company while (Ghoshal and Nohria, 1993; Welge, 1996) place it as a low integration with low responsiveness in the lower left corner. Figure 1: Global integration vs. national responsiveness (Bartlett and Goshal, 1998) The vertical axis in the figure shows the need for global integration and movement up the axis indicates in a large degree of economic integration. Global integration brings economies of scale and capitalizes on lowering unit costs as a company moves into global market for selling its products. The economies of scale are obtained because of the centralization of activities in the value-added chain. They also happen by reaping benefits of higher coordination and control of geographically dispersed activities. The horizontal axis indicates the need for MNCs to respond to differentiation or local responsiveness. This implies that MNCs must consider government regulations, local tastes and preferences. Maximizing value in such situations requires MNCs appointing strategic responsibilities and key operating rights to national subsidiaries. Each subsidiary has its own autonomous manufacturing facilities and marketing function. The products offered will vary between nations based on the tas tes and preferences of different consumer and competitive strategy. This indicates that in a multi-domestic strategy, a low degree of control is required for the subsidiary company. Organization that engages in multi-domestic strategy will favour low-control entry modes. In Global strategy, the need for awareness of differentiation is low while the need for integration is high. This situation causes to Global strategies based on price competition for perspective of economies of scale. According to Bartlett and Goshal (1989, 1992), the main strategic thrust of Multi-domestic company is to respond to national differences. In Global strategy, competition takes place at a global level while multi-domestic companies are geared towards domestic competition because national product market do not have the same criteria to make competition at a global level. In global companies, direction and pace would be expected to flow mostly from a headquarters to their subsidiaries while Multi-domestic companies would be characterized by a lower overall flow of products, people and information (Perlmutter, 1969). To be locally responsive, local production and local research and development (RD) are not essential for a company with local presence since direction and pace comes from a centre. Global companies are unlikely to locate these parts of the value chain close to the customer, since they will feel less need to access this type of market information. In International and Transnational strategy, it reflects more complex environmental situations. International strategies are characterized by increased international standardization of product and services. It can lead to lower needs for centralized quality control and strategic decision making while eliminating requirements to adapt activities to individual regions. In transnational strategy, there is a higher need for regional differentiation in marketing and a strong requirement in production. Transnational is the most challenging strategy where MNCs seek to operate (Jeannet, 2001). However, the problem for many MNCs is the cultural challenges integrated with localizing a global focus. Business Analysis of Nestlà © Nestlà © is characterized as a multi-domestic company by its pronounced local responsiveness and relatively weak global integration. Including its operating companies, such as Carnation, Rowntree and Buitoni among others, it has traditionally practiced a decentralized approach to management. Local operating managers thought to be much more in tune with local markets are given the freedom to develop marketing strategies that match local needs. Like many other companies pursuing a multi-domestic strategy Nestlà © has begun a move toward a more centralized management structure, which has resulted in a re-organization around major business lines. In order to reap the benefits of global leverage, companies realize that the multi-domestic business model leaves too many initiatives to local levels thus resulting in missed opportunities (Doole, 2004). In terms of entry mode and internalization, Johanson Widersheim-Paul/Vahlne (1975) claim that internationalization is the product of a series of incremental decisions or stages based on different foreign market entry modes. They introduce the Uppsala Internationalization model. In this model the firms engagement in the specific country market develops according to an establishment chain that has four stages. There is no regular export activities are performed in the market, export only takes place via independent representatives, sales subsidiary and manufacturing in the foreign market. The sequence of stages indicates an increasing commitment of resources to the market. In addition, business activities are differed with regard to the market experience gained. Nestlà © use direct exporting for entry mode, which is subsidiary and uses its own organization in the overseas market. Nestlà © focuses on internal growth and try to achieve greater volumes by innovating new products and renovating existing products. This strategy has given Nestlà © the ability to grow many products in the various fields of prepared foods, breakfast cereals, dairy products, baby foods, beverages, ice-cream, bottle water, chocolate confectionary and pet care. In addition, Nestlà © is a low cost operator. This allows them not only to edge ahead with low operating costs but also beat the competitors by producing low cost products. Nestlà © has ability to customize global products based on consumer choices in the local market. This is one of Nestlà ©s key strengths where its subsidiaries develop products that match consumer preference in the local market. Due to the nature of the markets psychological and cultural spread, Nestlà © believes that there are no global consumers in the market. Its ability to customize products to the local markets brings association in the mind of the c ustomer and brand loyalty by using local names. For example, its confectionery range sold in the US is called Rolo but in Russia, it is called Rossyia. In the US, brands like Kit-Kat chocolate and Maggi noodles have been priced at US$0.2 and some other chocolate and candy brand are priced at US$0.05 per unit. These price help Nestlà © reach more customers not only in urban markets but also in rural markets. In the US, Nestlà © has two top products capable of becoming at least regional which are pet food and ice-cream, but both lag well behind the market leaders of Mars in pet food and Unilever in ice-cream. With the exception of a few products such as its famous tomato sauce, eaten everywhere with burgers and hot dogs, Heinz (US) applies effectively a multi-domestic strategy, making a small effort to force a global or even pan-regional strategy. For instance in 2001 it took over Honig (Holland) which makes very local traditional delicacies, such as chocolate sprinkles topping. Nestlà © has strong capabilities in research and development (RD). The group invest more than US$1390 million in RD annually and the Nestle Research Center in Switzerland is its major think-tank. It has more than 100 different professional areas including raw materials, nutritional science, ingredients, the life science and production processes. By doing RD, it allows Nestlà © renovate existing products and innovate new products continuously. It also allows Nestlà © to review its product at regular intervals while generating revenue growth. For instance, Nestlà © possess a product LC1, which is innovated and provides health benefits for the consumers and it was fairly new in the US. The LC1 product, probiotic cultures found that it had an innovation that offers a new avenue of profits for Nestlà © by introducing it into the US market. The LC1 powder was introduced into US market in 2000. This product focuses on customers who are concerned about their eating habits and health and it was made to be mixed into beverages and foods. Unfortunately, the product went largely unnoticed by the US customers and yielded only minimal results although Nestlà © used a smaller campaign targeted at health practitioners, print ads and internet advertising to introduce the product. In terms of confectionery segment, while taste of chocolate differs by country, the process in making products is the same. Nestlà © has a new Worldwide Chocolate Centre of Excellence in Broc, Switzerland and brings more than 130 years of expertise international chocolate making and professionals. Packaging designers who works on RD focus on developing the luxury products and the finest chocolate premiums. Nestlà © achieved overall chocolate growth 7.6 per cent per annum. With sales of CHF9.8 billion they are the fastest growing in number 1 dark chocolate manufacturer. Figure 2 illustrates that confectionery achieve 13.1 percent of sales during FY2008. Figure 2: Product group sales (Nestlà © Management Report, 2008) Nestlà © which was established in the nineteenth century, operates a policy of decentralisation and dispersion of activities. Nestlà ©s corporate management is responsible for giving strategic direction to the organisation. RD is also strongly centralised. Despite this centralized roles, the companys organisational structure and system continue to emphasise the importance of local interpretation and in many matters local managers have considerable discretion (Ellis, 1995). Within this structure personal relationship between the heads of the operating companies and the holding companys executives are central in binding the company together. Nestlà ©s organizational structure strongly fits the companys external context. For most of the companys products the key features of demand have been the diversity of consumer tastes and national regulations. These have been complemented by the absence of sufficient economies of scale to warrant centralised production on a global scale (Tayeb, 2000). Equally, while RD is important constantly to improve and update products, many of Nestlà ©s brands were introduced many years ago. Nescafe although a very different product today, for example was introduced in 1938. With the increasing convergence of tastes and national regulations in at least some areas of the world being standardised, the company recognises the need to co-ordinate some aspects of its operations across different markets. Nestlà © has also taken steps to strengthen its regional management and strategic business units have been created for various product groups with the emphasis on integrating marketing, research and production at the country level for related products (Hill, 2009). Nevertheless, despite these changes the company continues to emphasise the advantage of decentralisation in prompting and maintaining local responsiveness. Competitor Analysis (SWOT Analysis) 4.1 Strengths In the global confectionery sector, Cadbury has 10.5 percent market share (Annual Report, 2008). The worlds biggest confectionery market is in US, and Cadbury has the second largest market share of 34 percent in the gum product category. Cadbury is also a leading player in South America with core strengths in candy and gum with market share of nearly 20 percent (Annual Report, 2008). Strong market position provides the company better bargaining power and economies of scale. Cadbury has diversified its product by offering candy, gums and chocolate while each segment accounts for significant amount of sales. America generates the highest percentage of sales with 30.3 percent of the overall revenues compared to Europe and Asia Pacific regions. Cadbury also has a strong presence in emerging markets. Cadburys emerging markets confectionery grew on average by 12 percent per annum, making it the largest presence in emerging market business among all its peers. The strong presence in the eme rging markets provides result in higher revenue growth and would diversify the companys operation further. 4.2 Weaknesses Cadbury has presented a weak liquidity position in the previous year. The company current assets stood at US$2,635 million as compared to the current liabilities of US$3,388 million in FY2008. It describes the company has severe liquidity problems which could give negative impact on the companys operational efficiency and its growth initiatives. The companys employee efficiency is also low in Cadbury. It was measured by total revenues per employee. The revenue per employee stood at US$214,724 with 46,517 employees and total revenues of US$9,988.3 million in 2008. This figure is low compared to its other competitor like Hershey that has revenue per employee at US$410,000 in 2008. Opportunities The chocolate sales proved the most profitable for the US confectionery market, providing 50.6% of the markets overall value in 2008. It shows that Cadbury has a strong presence in the US confectionery market and it is well positioned to cope the confectionery demand in the region. Premium chocolate is growing fast in many parts of the world. The awareness for dark chocolate among consumers is increasing because of the benefits of dark chocolate to health. The dark chocolate industry grew 18% over the last year. It would favourably impact the sales if there is increasing customer preference for premium products. Threats The raw materials include cocoa products for instance cocoa butter, cocoa liquor and cocoa powder processed from cocoa beans. Cadbury purchases its cocoa products from third party suppliers in West African, Far Eastern and South American equatorial regions. The increasing raw material prices could give significant impact on companys profitability and cost structure. The tight labour market influenced the government to level up the minimum wage in the US. In 2008 the federal minimum wage rate remained at US$6.55 per hour and reached to US$7.25 per hour in 2009. Majority of Cadburys employee in US, so increased labour cost could give impact on overall cost and result in a decrease in its profitability. 5.0 Conclusion Globalization is changing the world economy. It is a challenge, nations need to accept the threats and opportunities, if not they could be left behind as a people or nation. Nestlà © pursuing a multi-domestic strategy when there is a high pressure for local responsiveness and low pressures for cost reductions. Changing offerings on a localized level increases a companys overall cost structure but increases the likelihood that its products and services will be responsive to local needs and therefore be successful. Nestlà © can strengthen its position as a well-being and nutrition company as consumers are becoming more health conscious. Nestlà © would be able to capitalize on health conscious trends by increasing focus on nutrition. In terms of confectionery segment, Nestlà © are able to leverage centralized research and strategies and apply them through renovation and innovation while respecting habit and local tastes. A global strategy is a low-cost strategy. Organization that experience high cost pressures should use a global strategy in an attempt to benefit from scale economies in production, distribution and marketing. By offering a standardized product worldwide, firms can leverage their experience and use aggressive pricing schemes (Hodgetts, 2006). This strategy makes most sense where there are high cost pressures and low demand for localized product offerings. A global company is able to achieve global-scale efficiencies through product standardisation. 6.0 Recommendations Economy situation in Western are actually facing decrease in output and growth, thus influencing the consumption of customers, especially in the retail business. Consumers are becoming more price sensitive and tend to spend less while demanding at the same time for customisation, product specialization and differentiation. Another trend is the shift from branded food and beverages towards cheap non-branded foods and beverage. Despite increasing non-brand cheap products offered by rivals, Nestlà © finds itself in an even more embattled market and needs to develop a new strategy either away from branding or higher level of international market penetration. Since Nestlà © stands for high quality and has distinctive competencies in producing higher quality food, it would not make sense to change the strategic group, because it would most likely get stuck in the middle. The right strategy is to expand into new markets such as Asia, Eastern Europe and South America. In these markets the consumer behaviour, macroeconomic environment and habits are different compared to western economies. Most of these markets are yet in a growth cycle and this clearly generates an opportunity because they are within emerging markets. Nestlà © should see to incorporate LC1, the yogurts product name into one strong performing product in each one of its Strategic Business Unit (SBU). Nestlà © should provide one product in each of these SBUs to introduce to the market. There is a huge line of products with in different areas of food and beverage industry which the LC1 product can bring a profit. So if the LC1 does well in certain areas of the industry but not others, Nestlà © can shifts its focus from the weak product to the strong product. Introducing it to many different products in many different areas of the food and beverage industry giving LC1 a better opportunity of achieving success. Nestlà © which already has a diversified food and beverage company has the benefit being able to explore an option such as this. In designing a strategy that would effectively place Nestle at the head of the probiotic industry in North America market would require several key components. North American consumers also need to be educated as the benefits that the probiotics LC1 brings. A strong marketing and advertising campaign would accompany this. They should be to quick to conduct all moves and enter into each market as quickly as possible to gain maximum market share.

Tuesday, August 20, 2019

Agroclimate Factors of Oil Palm in Nigeria

Agroclimate Factors of Oil Palm in Nigeria EFE S. I. AWARITEFE O. D. ABSTRACT. Using multiple correlation analysis and student ‘t’test, the Agroclimate factors of Oil Palm production was examined for ten years periods. Result showed that Agroclimate factors (sunshine, temperature and rainfall) are highly correlated with oil palm yield. This is evident from a multiple correlation of 74%. It was also observed that oil palm yield is more in the dry season than in the wet season. INTRODUCTION Any agricultural system is a man-made ecosystem that depends on climate to function just like the natural ecosystem. The main climatic elements that affect crop production are solar radiation, temperature and moisture. These climatic parameters and other depend on them, largely determine the global distribution of crops yield and livestock (Ayoade, 1993). He stresses further that climate elements exert an influenced on all stages of the agricultural production chain, including land preparation, sowing, crop growth and management, harvesting, storage, transport and marketing. This view has earlier be noted by Oguntoyinbo (1983) when he attributed the donation of the cocoa and kola-nut belt in southwest, oil palm bush in southeast and the north south ridge of river Niger comprising area of groundnut, cotton and rice cultivation to these climate vagaries. However, climate influence on oil palm has attracted the attention of some scholars over the years. Amongst whom are Manning (1956), Broekman (1963), Oshodi (1966); and Hartley (1988). An examination of their views shows that Manning (1956), outlined the rainfall requirements of selected food and commercial crops grown in West Africa, and he opined that the mean annual rainfall for oil palm is between 1500— 3000mm in West African Countries. Devuyst (1963) correlated oil palm yield with the influence of rainfall alone; using the concept of useful rainfall. His work however showed a positive correlation. He regarded rainfall as the sole agent influencing oil palm yield, and consequently considers any yield maxima to originate in wet season. Broekman (1963) accepted the view of Devuyst but differs in his finding. He stressed that dry season rainfall is positively correlated with oil palm yield. To him, it is reasonable to except that the amount of rainfall during the dry season will be of particular importance, as moisture is a limiting factor during this period. On the other hand, Oshodi (1966) computed the effective growth energy index for some selected crops in Nigeria. The index was however based on only temperature and rainfall. The Effective Growth Energy (E.G.E) for oil palm in Nigeria is 250-300Â °F. Harley (1988) stated that oil palm yields are correlated with dry season rainfall with measures of effective sunshine, which take into account the distribution of such rainfall in’ the dry season. It is clear from the foregoing that rainfall and temperature correlation with oil palm has been substantiated, however, the relationship between sunshine and oil palm yield, as well as the joint contribution of sunshine, rainfall and temperature, has not be substantiated. Similarly there are divergent views on the relationship between the seasons and oil palm yield. Also, since the establishment of Nigeria Institute for Oil Palm Research (NIFOR) in 1939 there have been a relative neglect in the development of Agroclimatological Research Unit in the institute. While other research units (Agricultural Economics, Agricultural Engineering Research, Agronomy, Biochemistry, Chemistry, Extension and On-Farm Adaptive Research, Entomology, Plant Breeding, Plant Pathology, Plant Physiology and Statistics) have been developed. What exists in that unit is a dilapidated weather station where climate data’s are collected and never used for research purposes. So, the present study of Agroclimatic factors of oil palm yield in Nigeria is borne out of the desire not only to fill the above gaps, but to proffer useful suggestion that will guide both the oil palm farmers, and the NIFOR officials on the need to plan with the climate of the area. Therefore, the aim of the study is to examine the extent to which temperature, sunshine and rainfall correlate with oil palm yield. STUDY AREA The Nigeria Institute for Oil Palm Research (NIFOR) is located approximately 29km North West of Benin City, Edo State in Nigeria. It was established in 1939 as Oil Palm Research Station (OPRS) by Nigeria Department of Agriculture. It was taken over in 1951 as West Africa Institute for Oil Palm Research (WAJFOR) by West African Research Organization (WARO). This organ was dissolved in 1960 after independence, and the station was renamed Nigeria institute for Oil Palm Research (NIFOR) by Nigeria Institute Act No. 33 of 1964 mandate extend to Coconut, Raphia and Date palm research. The soil in NIFOR is acid type of sand which is an important oil palm growing soil in Nigeria (Hartley, 1988). The soil are well drained and acidic with clay content in varying proportion at different depths. The soil are deficient in plant nutrient hence the great need for fertilizers application to cultivate palms in NIFOR. NIFOR belongs to the tropical equatorial climate belt of the world, and falls within the tropical rainforest belt of Nigeria. The region is characterized with high rainfall and temperature. Rainfall is over 2066mm per annum, and temperature of 30 33Â °C. Vegetation here is luxuriant type dense tropical rainforest, which comprises of evergreen trees such as mahogany, Walnut etc. The research institute today has sub-stations and experimental stations all over the country where crops are cultivated due to their different climatic requirements. CONCEPTUAL ISSUES The most important concept for this study is the concept of climate and agriculture relationship. This concept which have been adopted by Broekmans (1963); Devuyst (1963); Oguntoyinbo (1966); Hartley (1988); and Ayoade (1993) in similar studies. reveals much on how climatic parameters (rainfall, sunshine, temperature, evaporation etc) are closely interrelated in their influence to drops. Because of this crops/plants are grown in a climatic belt that is best suited for its growth. Thus all crops cannot thrives well in one climate region. For instance, oats and fruits are best grown in the Mediterranean climate while, root crops such as cassava thrives well in region of abundant rainfall and temperature (Neiwolt, 1982). Similarly, since climate is one of the most important natural factors which controls the growth of plants, plant communities therefore undergo gradual changes. And this is because of its ability to cope with the prevailing climatic conditions and also to compete for resources of that environment. Hence, the type of plants/crops cultivated in an area is related to the climate. Also, the annual yield and profitability of farming are predicated on weather elements. In fact, in this part of Nigeria, climate vagaries disrupt the efficient practice of agriculture, and climatic fluctuation creates significant changes for agriculture produces. It is on this that the growth and yield of oil palm is based. Oil palm are found in region with moderate rainfall, high temperature and sunshine which enable the fruit to ripe (Hartley, 1988). METHODS The data used for this study were extracted from the archives of the Agrometerological and harvesting units of the Nigerian Institute for Oil Palm Research (NIFOR) Benin City. Monthly and annual temperature, rainfall and sunshine data were collected from the Agrometerological division, while the monthly and annual oil palm yield data were collected from the harvesting unit both data were collected for ten year periods. The choice often years was based on availability and consistency of data. The seasons were delineated using six months (April — October) as wet season and October — March as dry season. Reconnaissance survey was also conducted round the oil palm farms in the institute. Multiple correlation analysis and students ‘t’tests were used to analyze the data. The multiple correlation analysis was used to ascertain the joint relationship between oil palm yield and rainfall, temperature and sunshine. Apart from the joint contribution of the climatic parameters to oil palm yield, it will also enable us to ascertain the individual contribution of sunshine, rainfall and temperature respectively to the oil palm yield (Ayeni, I Q94). Student ‘t’ test was used to determine the season with highest oil palm yield over the years: as well as to ascertain whether there is any significant difference in oil palm yield in the dry and wet season. DISCUSSION OF THE RESULTS The data collected from the study are presented and discussed in the table below. Table 1: Annual Oil Palm Yield (tons): Temperature (Â °C) Sunshine (hours): and Rainfall (mm) from 1989— 1998. From Table 1 above, the mean annual oil palm yield is 3464 tons, temperature is 32Â °C; sunshine 147 hours and rainfall 165mm. This showed a high yield, high temperature and a high sunshine duration respectively. During this periods, the highest yield of 4961 tons was recorded in 1996, this was followed by 4470 tons in 1989, 39O7tonsinl99O;38lltonsinl995,325ltonsin 1991,3245tonsin1993,3201 tons in 1992, 3177 tons in 1998,2983 tons in 1997 and the lowest yield of 1632 tons was recorded in 1994. This shows that there is no definite pattern of oil palm yield rather the oil palm yield has being fluctuating over the year (See figure 1 below). Temperature distribution during this period is generally high over the years, with the highest temperature of 32.8Â °C in 1997 and the lowest temperature being 30Â °C in 1996. However, there is a little variation in temperature over the years given a range of 2.8Â °C. Sunshine duration is also generally high during this period. This is evident from the mean of 147; and the highest and lowest sunshine duration of 179 in 1989 and 115 in 1997 respectively. Sunshine did not also follow a definite pattern as it varies with a range of 64 hours. Rainfall also fluctuates over this period of study. Fig. 1 above revealed that the three parameters (temperature, sunshine and rainfall) and oil palm yield followed a similarly pattern. There was a sharp drop in oil palm yield in 1994 occasioned by a drop in all the weather parameters. This gives a rainfall range of 78mm. It is evident from the above, that temperature, sunshine and rainfall influences the oil palm yield. The high yield recorded over the years could be explained to the high temperature, sunshine and rainfall respectively that encouraged its growth, and the ripening of the oil palm fruits. The seasonal distribution of oil palm yield, temperature, sunshine and rainfall is another pointer to the fact that climatic element correlates with oil palm yield. This is illustrated in figure 1. Figure 2 shows that oil palm yield, sunshine and temperature exhibits similar pattern of variation. Oil palm yields increases from 366 tons in January to 435 tons and 432 tons in March and April respectively. This being the months with the lowest oil palm yield, it then decreases from 288 tons to 186 tons in July and August, being the month with lowest palm yield. Thereafter it rises to 2112 in the month of October. Sunshine duration followed a similar pattern, the highest duration of sunshine were noticed during the dry seasons. This showed a duration of 201, 185 and 182 hours in the month of November, December and January respectively, while the lowest sunshine duration of 70, 87 and 97 hours was recorded in July, August and September being the period of wet seasons. Temperature also exhibits a similar pattern with oil palm yield and sunshine duration. Generally, temperature is higher in the dry season, than in the wet season. This is evident from temperature of 33.7Â °C, 34Â °C and 35Â °C recorded in the months of December; March and February; and 3 1Â °C, and 29Â °C in June, July August and September respectively. Rainfall distribution over the years showed a direct opposite pattern to sunshine and temperature with the highest amount of 317mm, 312mm and 313mm recorded in the month of July, August and September respectively (see fig. 2). The lowest amount of rainfall (23 mm and 10mm) was recorded in January and December being the dry season in Nigeria. To ascertain whether there is significant difference in the seasonal variation in oil palm yield, the student ‘t’ test showed that there is significant difference between oil palm yields in the dry and wet season. This is evident from the calculated ‘t’ value of 7560, which is far higher than the critical table value of 2.0. at 0.05 significance level. This is another pointer to the above distributional pattern, which shows that the dry season recorded the highest oil palm yield than the wet season. The effect of the climatic factor (temperature, sunshine duration and rainfall) on oil palm yield was also analyzed. Result showed that they jointly contributed 74% to oil palm yield. This is evident from the result of multiple correlation analysis of yield, sunshine, temperature and rainfall. Thus it can be deduced that sunshine, temperature and rainfall are significantly related with oil palm yield. The rest 26% could be explained by other factors such as edaphic factors, evapo-transpiration, pests, humidity and diseases, etc. The contributions of each climatic factors to oil palm yield was also shown from the multiple correlation result. The result showed that sunshine, temperature and rainfall contributed 70%, 25% and 5% respectively to oil palm yield during this period. From this analysis one could now say that sunshine exerts the highest influences of 70% on oil palm yield than the other factors. This is because, sunshine duration did not only aids in ripening of the oil palm f ruits, but also generate photosynthesis, which is the main energy source of all plants. Temperature influence on oil palm yield is as a result of the high sunshine duration. Rainfall, however, has a little influence on oil palm yield most especially during the dry season when plants generally needs moisture in the soil for growth and general survival. Apart from the Agroclimatic factors of oil palm yield, the field observation conducted round some farms in NIFOR, reveals that weeds as well as seasonal outbreaks of pests and diseases were prevalent in the farms. Oil palm yield lost caused by these factors may be considerable over the years. More so when the diseases are often weather related, either in terms of local weather conditions being unfavourable for its growth and development or in terms of the prevailing winds helping to import air-borne germs/ spores into a given areas. The pests and diseases were more during the dry season where rainfall is minimised. CONCLUSION AND RECOMMENDATIONS The study revealed that Agroclimatic factors (sunshine, temperature and rainfall) exert high influences on oil palm yield. 74% expansion of oil palm yield is attributed to these climate factors. The rest 26% is attributed to other factors such as edaphic factors, pests, diseases, weed, humidity, etc. Sunshine, however, exerted more influence on oil palm yield than rainfall and temperature. Similarly, oil palm yield is more in dry season than in wet season. And there is more prevalence of pest and diseases in oil palm farms during the dry season than in the wet season. To improve oil palm yields and to eradicate pest and diseases there is the need for the fanners and NIFOR officials to plan with the climate of this prevailing environment. Thus, oil palm should be cultivated during the wet season because of availability of moisture for its growth, and harvesting during the dry season because of high sunshine for its ripening. The farms should be constantly cleared to eliminate weeds since they accelerate water loss by transpiration at the expense of the oil palm. There should be weekly or monthly routine check-up of the oil palm plantation, so that the affected stands can easily be treated with the necessary pesticides or insecticides. This will also lid p to prevent the spread of epidemic outbreak across the stands. The use of fertilizer and irrigation system should be intensified than the present level of usage in NIFOR. The irrigation is highly needed in the early age of oil palm growth during the dry season. The Agroclimate unit of NIFOR should be upgraded to research division and the attached weather station should be well equipped with modem Agroclimatic facilities/equipment. This division when upgraded will play advisory roles on the effect of climate factors on the various crops that is cultivated by this institute. REFERENCES Ayeni B. (1994), Quantitative Method for Geography Students. Research Support Services. Ibadan, pp. 72 81. Ayoade J. O. (1993), Introduction to Climatology for the Tropics. Spectrum book Ltd. Ibadan, pp. 204 220. Broekmans A. (1963), Growth, Flowering and Yield of the Oil Palm in Nigeria. In West African Institute for Oil Palm Research No. 12. Devuyst A. (1963), Annual Oil Palm Yield. West African Institute for Oil Palm Research, No. 12. Hartley C. W. S. (1988), The Oil Palm Tropical Agricultural Series, Longman Group Ltd, London. Manning H. L. (1956), The Statistical Assessment of Rainfall Probability and Its Application to Uganda Agriculture. Proceedings of Royal Society Series, pp. 144, 460 480. Oguntoyinbo J. S. (1966), Climate and Mankind. Annual Lecture Series Presented to the University of Ibadan. Oshodi F. R. (1966), Biometerological Studies of Nigerian Crops. Nig. Met. Services Lagos. Nienwolt S. (1982), Tropical Climatology: An Introduction to the Climate of the Low Latitude. John Wiley and Sons. Ltd. Chichester.