Wednesday, October 30, 2019

Tourists Ethnic Background and Nature-based Tourism Dissertation

Tourists Ethnic Background and Nature-based Tourism - Dissertation Example New Zealand, London and Scotland), especially by calling attention to the experience aspect of travel. Nature-based experiences have received increased attention from researchers during past few years. Identification of Management Issues Nature-related tourism expects high expertise from individuals working at management level since it initiates funding for conservation as well as raise environmental awareness (Balmford, et al., 2009). As a student of Management, it is very much evident that from research perspective, the interest in nature-based experiences is escalating among individuals (e.g. Mehmetoglu, 2007a, 2007b; Waitt, Lane, & Head, 2003). The focus on cross-cultural differences in tourism experience consumption, however, is for the most part neglected. In an international tourism management context competition is rising, and knowledge of the different markets could be a precondition for success. To create a memorable nature-based experience for international visitors, aware ness of how ethnic group might influence the perception of such experiences is argued essential. In the international tourism management arena, the experiential component of holidays is emphasised in promotion material as well as social media. As a result it is essential to know the customers and the national traits that might somehow characterise them. Statement of Research Question What is the relationship between Tourists’ Ethnic Background and Nature-based Tourism in London? Aim and Objective The purpose of this study is to divide tourist ethnic group, based on cultural point of reference and then compares the resulting segments in terms of the opinion of nature-based experiences of tourism from tourism management viewpoint. Literature review When people from different countries meet in international tourism, ethnic group becomes a central issue of interest. The characteristics of tourists from different countries also become evident when tourists come together in nature- based experience production and consumption. Cultural values held by tourists from different nations hence affect tourist behavior and perception, and can furthermore impact experience creation. In an international tourism context then, it is vital to understand culture (De Mooij & Hofstede, 2010), in order to recognise what tourists from various countries emphasise in their holiday experience. People's valuation of nature-based experiences, their motivation for taking part in them, and their preference for activities are therefore likely to differ according to ethnic group and cultural background. Providers and marketers of experiences are stakeholders in an international market, and from a managerial point of view the challenge is therefore to know the guests' preferences. Nevertheless, adapting to the guests' needs and wants might not be easy, as experiences are individually perceived and socially consumed. In practice, knowledge of nature-based tourists' national characteristics can result in managerial tools that guide adaptation of nature-based experiences to international tourist demands.  

Monday, October 28, 2019

Moral Dilemas Essay Example for Free

Moral Dilemas Essay This situation is a moral dilemma because Captain Ericson has to make a very hard decision, to either destroy the u-boat whilst killing the men in the water or to save the stranded men but risk future trouble and destruction by letting the u-boat go ie it is a situation to which his everyday morality cannot identify a solution. The ethical principles in this situation are very simple but it is very hard to determine what is best for everyone. If you sink the u-boat and kill the men you may have saved the lives of thousands of people in the future but at the same time you have slaughtered 40 hundreds of your own men who have done nothing but fight for their country. Having said this if you leave the u-boat and save your comrades from the water you have saved the lives of a few men but risked the lives of tens of thousands in the future. By destroying the u-boat he is obeying the principle of the military duty of an officer to his superiors and his country by destroying the enemy, and I quote attacking at all costs. On top of performing his military duty by getting rid of the u-boat he is likely to save the lives of the men on convoys that would be threatened by the same u-boat if it were not destroyed. Ericson shut and battened down his mind because it is human nature to doubt a decision directly after having made it; this is done because of our need for perfection. And so Ericson did this because he did not want nor could he allow doubt to enter his mind for even a second for fear of inaccuracy in judgement and failure to carryout his decision with precision. Also in order to be at ease with his decision he constantly needs to reassure himself that it was the right choice and this would be extremely hard to do if he constantly had doubt creeping into his head. Also he needs to block out all human emotions and pity for those men in order to make the correct decision. Some would argue that Ericsons actions were completely irrational because instead of avoiding violence and death which would have spared many lives he went ahead with his military instinct, as a result killing many men both English and foreign. Some would argue that he had the chance to come out of the situation without a slaughter on his hands, which according to the religious man would have been the moral thing to do. However we must ask ourselves what we are doing in a war if we are not prepared to make a decision based in military procedure and ethics for the greater good. Therefore from my point of view I feel that Ericson made a responsible decision taking into account the factor of the safety of other men in an extremely pressured situation, a situation which thankfully I will probably never have to make nor do I feel I would have the strength nor the character to make a well balanced decision and stand for the consequences. His decision may not have been the right one but there are always going to be people with different points of view on things but whether it was the right one or not is not really relevant nor should it be dwelt upon as everyone makes mistakes at some point in their lives. In this case it was his decision to make because his superiors obviously thought he was the right man for the job, not without reason and so he made the decision under extreme pressure and in a situation which did not have many alternatives which he had been appointed to make following not moral procedure but military procedure as is the custom during. And so taking all of this into consideration I personally feel he did the right thing. As always with a question like this we must consider both arguments. To be honest we cannot establish whether Ericson is a good person or not, as the case may be simply by examining one event as people make mistakes, that is what makes us human. Having said this there is no real reason to assume that his actions were a mistake and that he acted wrongly. On the contrary I feel that Ericson did exactly what a man in his position should do. He acted only after he was sure and only after taking into account the consequences of his actions and in this case he clearly felt that he would be acting for the greater good. In war it is the norm to sacrifice one man for the safety of hundreds of others and I feel that even thought his theory is not religiously moral it is still correct because in a time of war we have no time for things like moral issues, its either kill or be killed, the enemy will shoe no mercy so why should we. Therefore I do think that he is a good person as I simply think that he is a very stressed out man in a very difficult situation with the lives of hundreds at his mercy trying to do the right thing which is military procedure which he would have been taught; kill for the greater good. Having said this a religious man would say not necessarily that he is a bad man but that he made the wrong decision in this case because instead of avoiding murder which although is lisenced in war is morally wrong. He would look much deeper into the emotions of those men in the water which is exactly what military school trains you not to do, mixing emotions with actions can get you confused and in a military situation this can make you weak and vulnerable. Therefore in conclusion I think it is fair to say that we cannot really establish whether he is a good man or not but that according to some peoples views he made the wrong decision.

Saturday, October 26, 2019

Supervisor :: essays research papers

Maslow ¡Ã‚ ¯s hierarchy of needs theory Abraham Maslow is known for establishing the theory of a hierarchy of needs, writing that human beings are motivated by unsatisfied needs, and that certain lower needs need to be satisfied before higher needs can be satisfied. According to Maslow, there are general types of needs (physiological, safety, love, and esteem) that must be satisfied before a person can act unselfishly. He called these needs "deficiency needs." As long as we are motivated to satisfy these cravings, we are moving towards growth, toward self-actualization. Satisfying needs is healthy, blocking gratification makes us sick or evil. In other words, we are all "needs junkies" with cravings that must be satisfied and should be satisfied. Else, we become sick. A figure of Maslow ¡Ã‚ ¯s hirerarchy of needs model has shown as follows: Æ’8 ¡5 Physiological Needs Physiological needs are the very basic needs such as air, water, food, sleep, sex, etc. When these are not satisfied we may feel sickness, irritation, pain, discomfort, etc. These feelings motivate us to alleviate them as soon as possible to establish homeostasis. Once they are alleviated, we may think about other things. Æ’8 ¡5 Safety Needs Safety needs have to do with establishing stability and consistency in a chaotic world. These needs are mostly psychological in nature. We need the security of a home and family. However, if a family is dysfunction, i.e., an abusive husband, the wife cannot move to the next level because she is constantly concerned for her safety. Love and belongingness have to wait until she is no longer cringing in fear. Many in our society cry out for law and order because they do not feel safe enough to go for a walk in their neighborhood. Many people, particularly those in the inner cities, unfortunately, are stuck at this level. In addition, safety needs sometimes motivate people to be religious. Religions comfort us with the promise of a safe secure place after we die and leave the insecurity of this world. Æ’8 ¡5 Love Needs Love and belongingness are next on the ladder. Humans have a desire to belong to groups: clubs, work groups, religious groups, family, gangs, etc. We need to feel loved (non-sexual) by others, to be accepted by others. Performers appreciate applause. We need to be needed. Beer commercials, in addition to playing on sex, also often show how beer makes for camaraderie. When was the last time you saw a beer commercial with someone drinking beer alone?

Thursday, October 24, 2019

Discussion of the Dispossession of Lolita’s sexuality in Vladimir Nabokov’s Lolita

In the novel Lolita, the concept of sexuality is greatly emphasized by the author. It is apparent in the character of Lolita and Humber that one is in control over the other. Humbert possesses greater power over Lolita to make all her needs possible.On the other hand Lolita uses sex as her way of gaining things that she desires. There is a big complex relationship between the tow since Lolita is in dispossession of her sexuality and Humbert is in possession of it.The sexual relationship of the two main characters can be considered unnatural because Lolita is only on her 12 years. But since Lolita is in dispossession of her sexuality she agreed to the consummation of their relationship although giving the consent to sexual relations with an old man is really no consent.She can by no means what so ever be held accountable for, or be said to legitimately consent to, the sexual relationship between the two.   The question of power and control between the two main characters in Vladimir Nabokov’s Lolita is crucially linked to the fundamental weakness and vulnerability of both the erotically obsessed Humbert Humbert and the childish object of his obsession, Lolita herself.The first instance of Humbert’s attempting to bribe and pacify Lolita with material offerings occurs at the point in the narrative where she first learns of her mother’s death.   This is also the point, following their first full-fledged sexual encounter, where Lolita initiates the practice of sardonic reference to the immorality and illegality of their relationship.   She has actually suffered internal injury from their intercourse and does not yet seem to have a manipulative purpose for verbally goading her stepfather/lover.â€Å"You chump,† she said, sweetly smiling at me.   â€Å"You revolting creature.   I was a daisy-fresh girl, and look what you’ve done to me.   I ought to call the police and tell them you raped me.   Oh, you dirty, dirty old man.† (Nabokov 141)Humbert then informs her of Charlotte Haze’s death.   Lolita’s grief and indignation are announced by the fact that in their next lodging they take separate rooms.   Humbert has already cited a list of purchases he has made in hopes of mollifying her—everything from a box of candy to a travel clock to a new wardrobe of summer dresses.   But it is her complete childish dependency and vulnerability that bring her to him.â€Å"At the motel we had separate rooms, but in the middle of the night she came sobbing into mine, and we made it up very gently.   You see, she had absolutely nowhere else to go† (Nabokov 142)Lolita â€Å"works† hard in order to get her allowance. It is atypical for her to do a work like that at her age because it means that she needs to have sex with him to get everything that she needs and wants.   Humber will ask Lolita to perform sexual favors for him so that he can give him allowance in retur n.This is one of the visible proofs that he is in control over her sexuality. The control is not only based on a psychological level but also on a physical level. Everything that she needs, from a simple candy or cartoon magazine and a visit to a movie house will not be easily granted if she will not perform any sexual encounter with Humbert. Although there are several times that she gains fulfillment by getting her desires, she is still in no control of the situation or her sexuality.â€Å"Her weekly allowance, paid to her under condition she fulfill her basic obligations, was twenty-one cents at the start of the Beardsley era-and went up to one dollar five before its end.This was more than generous arrangement seeing she constantly received from me all kinds of small presents and had for the asking any sweetmeat or movie under the moon-although, of course, I might fondly demand an additional kiss, or even a whole collection of assorted caresses, when I knew she coveted very badly some item of juvenile amusement† (Nabokov 183-184).Lolita becomes, in effect—and as a result of forces brought relentlessly to bear on her essentially vital and resilient nature, she is a live-in prostitute of the most venal nature. â€Å"O Reader!   Laugh not, as you imagine me, on the very wrack of joy noisily emitting dimes and quarters, and great big silver dollars like some sonorous, jingly and wholly demented machine vomiting riches; and in the margin of that leaping epilepsy she would firmly clutch a handful of coins in her little fist† (Nabokov 184).That understated â€Å"little fist† line is the moral center of this passage.   Lolita is still a child.   Whatever her learned capacity for degenerate bargaining, what she loses—and what she knows she is losing—by her required performance of sexually â€Å"paradisal philters† is the carefree childhood to which she is entitled by the developmental norms of her society.Even in school. Lolita experiences great trouble connecting with the boys in the way her teachers feel she should. She displays behavior that is really differently from the other girls. This also strengthens the fact of the argument that Humbert is in possession of her sexuality, and she cannot do anything about it.   â€Å"Dolly Haze, she said is a lovely child but, the onset of sexual maturing seems to give her trouble† (Nabokov 193).  Humbert deprives Lolita of every possibility of salutary contact with males her own age.   In fact he deprives her of performing any and all activities that will drive her away from his desires for addictive gratification.   Part of this is his fear that Lolita will tell other people the kind of life thay have whenever they are together.Participation in school theatricals becomes a particular source of tension for Humbert.   This issue is resolved, in typical fashion, by an unusually exciting favor.   During a visit to her school, Humber t comes to a classroom where Dolly is quietly studying in the company of another girl. â€Å"I sat beside Dolly†¦and unbuttoned my overcoat and for sixty-five cents plus the permission to participate in the school play, had Dolly put her inky, chalky, red-knuckled hand under the desk† (Nabokov 198).

Wednesday, October 23, 2019

What did the people of the Upper Paleolithic period eat and how did they obtain this food?

Throughout Africa, the Middle West, Asia, the Americas, and Australia, complicated and elaborate technologies and other cultural decorative artifacts are found in abundance (Scupin, 2008). This is known as the Upper Paleolithic period, which dated between 40,000 and 10,000 years ago. This was the earliest era of human development and transformation of the entire human species from apelike to true Homo sapiens. During this period, the development of specialized tools, weapons, engraving, sculptures, and cave painting were formed.This evolution was the longest and it spread over three consecutive periods. The key development that came out of this period, were the creation of tools and weapons, which were made of stone, wood and bone. Upper Paleolithic hunter-gatherers lived in areas that was rich of resources and consumed a significant amount of meat. Today’s technology reveals that early modern Homo sapiens were clever and excellent hunters. Not only did they make tools, but th ey developed weapons with long, narrow blades (known as harpoons) used for hunting. They became great spear throwers with good accuracy.The weapons helped the Upper Paleolithic protect themselves as well as help from any harm during their hunting trips. Vast amount of animal bones, both large and small, were found at the bottom of high cliffs. This indicated that hunters not only used their weapon to kill, but use their weapons as aid by stampeding the animals off the cliffs. This would allow other hunters to wait and butcher the dead animals at the bottom of the cliff. Upper Paleolithic people also gathered fish, shellfish, leafy vegetables, fruit, insects, and plants to supplement their food resources.Plants were probably used for both nutritional and medicinal purposes (Scupin, 2008). Having other resources, other than hunting, enable Paleolithic foragers to have enough food without expanding excessive amount of energy. In conclusion, the Upper Paleolithic was characterized by hi gher intake of meat and lower intake of other resources. They developed their own tools and weapons, made of stone, wood and bone, which made them excellent hunters. They obtain their food through their use of weapons and strategic planning and took advantage of the area resources.

Tuesday, October 22, 2019

Guide How to Write an Informative Essay All You Need to Know

Guide How to Write an Informative Essay All You Need to Know What Is an Informative Essay? The main goal of any informative essay is to inform its audience about a specific topic on a particular object, phenomenon, or person. The goal of the essay is to explore the topic in details to ensure that the audience gains a full understanding of the topic. It is assumed that the reader of the informative essay has little to no understanding of the essay topic. For this reason, informative essays are mostly written at a high school and college level to ensure that the essay is not overwhelmed with difficult terminology that is difficult to understand for an entry-level reader. However, professional language can indeed be used in an informative essay as long as its use is appropriate. The condition for using professional language in an informative essay is to provide exact explanations to all terms that are being used. Choosing a Topic for an Informative Essay As a rule, topics of an informative essay are of an average difficulty because such essays are rarely completed on an academic level above college. It is possible to select an informative topic within the competency of a student that would engage the audience and present them with new valuable information. Some of the appropriate examples of an informative essay topics include: Contemporary Racism in the United States; An Introduction to the South Indian Cuisine; The Relevance of the Zero Waste Movement; Main Components of a Balanced Diet; Benefits and Risks of Consuming Marijuana; Practical Tips for Starting the First Business; Health Consequences of a Sedentary Lifestyle; Career Trends of the 2020s; The Peculiarities of the Electoral College System and Possible Solutions; Alternative Approaches to Learning. Pre-Writing Tips from Our Expert Writers Selecting a topic is the most important step of the prewriting process unless the topic is already provided by the instructor. The process of an informative essay topic selection is specific in more than one way. First of all, a successful informative essay can never be focused on a broad, non-specific topic. What is more, a topic of an informative essay cannot be too narrow since the writer is likely to face challenges related to the limitations of available information that can be presented to a reader. All in all, a topic of a medium scope is the best choice for an informative essay as it allows the author to have enough maneuver in presenting the information. At the same time, choosing a medium-scope topic limits the author to the right extent for an essay to remain logical, focused, and understandable by the audience. When choosing a topic for an informative essay, one should avoid selecting the topics he or she has little to no interest in. Whereas this rule is true for many forms of essays, it is especially relevant in case of writing informative essays since choosing a topic that does not appeal to the writer will likely result in poorly written paper. The context of ones class is also important in the process of selecting a topic for an informative essay. The best decision is to choose the topic that is may be useful for ones colleagues because an informative essay should also be practical and allow people to learn something new. Unlike in argumentative essays, where it is not recommended to choose a topic one is passionate about due to the possibility of bias, one may choose a topic for an informative essay of his or her interest. Such a choice is likely to keep the audience engaged; moreover, the writer is likely to explore the topic from different angles and present it to the audience in an approachable manner if he or she is interested in the topic. There is a need to stay focused on target audience of the essay. For instance, if an essay is a regular assignment that is presented to an instructor only, it should be primarily aimed at him or her. What is more, it is important to not overestimate one’s knowledge about the chosen topic. Even if the writer considers himself or herself an expert in the chosen field, there is a need to prepare oneself and conduct in-depth research before starting to write. Though the writing styles of the students are different, and some can come up with a perfect structure of an essay in the process of writing, it is in student’s best interest to create a thesis statement and imagine the basic structure of all claims before writing. What is more, it is necessary to find the sources that would serve as an evidence base for the claims. If one is familiar with the topic of an informative essay before starting, it is useful to write down basic facts that would serve as a skeleton of the arguments. However, double-check the facts in the process of finding the relevant sources to make sure that they are true. If you are assigned to write an informative essay on the topic you have no prior knowledge, it is necessary to spend some time on research to ensure at least a basic understanding before starting forming the arguments and finding the evidence. Structure of an Informative Essay The structure of an informative essay reflects a typical structure of an academic essay. According to it, the essay should contain an introduction, a minimum of three body paragraphs, and a conclusion. The number of paragraphs depends on the specifications provided by the instructor, as well as on the specifications of the chosen topic. If the topic of an essay is complicate, it makes sense to include more body paragraphs to reflect all aspects. Outline An informative essay begins with an introduction that should keep the audience focused on the topic of the essay. The introduction should be appealing to make the audience interested in reading the paper. Introduction of an informative essay should not be too general as it is expected to reveal the background context that the reader should be aware of in order to understand the topic of an essay. An introduction of an informative essay is followed by a clear and concise thesis statement. A thesis statement has some characteristics that differentiate it from a usual thesis statement in an argumentative essay of different kinds. Whereas argumentative essays create a thesis statement in the form of an argument, a thesis statement in an informative essay should be focused on stressing out the need for researching the topic of an essay. It should not reflect author’s personal opinion on the topic of the paper. On the contrary, it should present the topic in an unbiased manner. Apart from being clear and concise, a thesis statement of an informative essay should be relatively easy for understanding. The body paragraphs of an informative essay should follow a clear structure. The most important thing for the body paragraphs it to be logically concise and informative. Each of the body paragraphs should start with a topic sentence to give a reader a clear understanding of what is about to follow. From a stylistic perspective, it is important to have a smooth transition between the paragraphs, with all of the paragraphs related to the thesis statement. Each of the paragraphs should include the main point and details that are used to support the given point. It is better to structure the main idea of each paragraph on just one fact, and not to overcrowd the paragraph with the abundance of the main points. The key idea of the paragraph should reflect the part of the thesis that is being proven in a particular paragraph. Supporting details are based on the outside evidence that is used to support the statement. Supporting evidence can be found in books, peer-reviewed articles, and other relevant sources. Finding correct evidence is extremely important as an essay is merely an opinion piece without them. Finally, each paragraph should successfully connect a thesis statement to a claim made in a paragraph. The explanation should be based on the point and supporting evidence. At times, there is a need to present extra evidence to prove the connection between the claim and the thesis statement. However, the points and evidence already presented are usually enough to make a connection. Each paragraph usually ends with a synopsis of the presented information. A final part of an informative essay is its conclusion. A conclusion of an informative essay provides a concise summary of the main essay topic. A conclusion of an informative essay does not merely restate its thesis statement, but also offers additional insights into the theme of the essay that might have been left out in the first place. The essay ends with a concluding statement that explains the overall value of the provided explanations. Post-Writing Tips After a draft of an informative essay is finished, there is a need to check the draft for vocabulary, grammar, coherence, and consistency. The language of an essay should be edited to communicate the topic of an essay more clearly. Correct grammar, including punctuation and spelling, is important in an informative essay just like it is in any other essay. What is more, correct grammar adds legitimacy to the authors claims from the perspective of a reader. However, logical consistency is the most important component of an informative essay because the paper achieves its purpose of informing the reader about the topic through smooth transitions and the right flow of a logical argument. When in doubt, it is possible to ask ones peers to give an unbiased review of the essay in order to potentially make some changes according to the feedback. Reviews both from those with the knowledge of the topic and without such knowledge might be equally useful. The former can review the quality of the essays content, whereas the latter can inform the author whether the ideas are well explained. Finally, there is a need to self-check the essay for coherency. The questions for self-check can include: Did I share all of the relevant information that I discovered in the process of preparing the essay with the audience? Does the thesis of an essay reflect the goal of an essay? Is the thesis of the essay clear? Are the transitions between the paragraph smooth? Does each paragraph have a concise main claim that is backed up by supporting evidence? Is the quality of the supporting claims high? Does the paper achieve its goal of informing the audience about its topic? The list of questions is approximate, and the questions can be more specific depending on the topic of an essay. At this point, the essay could be checked for the context-based mistakes that quite often appear in the informative essays. One of such mistakes is the repetition when two identical statements that are somehow paraphrased are used as the main points in two different paragraphs. Another common mistake to look for is the overflooding of the paragraph with a piece of extra information that is not quite relevant to the point of the essay. Finally, inconsistency could be a major problem if the connection between the main points and the supporting information is lost. In conclusion, the draft of an informative essay should be transformed into a final version of an essay as soon as all changes are made. A final look at the paper allows to track down the minor mistakes that were not visible before. Having confidence in ones essay is an important component of an informative essay that signals of the essays high quality. References How to Write an Informative Essay. (2019). Retrieved from https://www.wikihow.com/Write-an-Informative-Essay Examples of Informative Essays. (2019). Retrieved from https://examples.yourdictionary.com/examples-of-informative-essays.html Steps How to Write an Informative Essay: Guides A Research Guide. (2019). Retrieved from https://www.aresearchguide.com/write-informative-essay.html What is an informative essay, and how do I write one? | eNotes. (2019). Retrieved from https://www.enotes.com/homework-help/what-an-informative-essay-how-do-you-write-one-361998

Monday, October 21, 2019

Chronology of Ancient Mesopotamian Kings of Sumeria

Chronology of Ancient Mesopotamian Kings of Sumeria Mesopotamia, the Land Between Two Rivers, was located in present-day Iraq and Syria  and was home to one of the most ancient civilizations: the Sumerians. Between the Tigris and Euphrates rivers, Sumerian cities such as Ur, Uruk, and Lagash provide some of the earliest evidence of human societies, along with the laws, writing, and agriculture that made them function. Sumeria in southern Mesopotamia was countered by Akkad (as well as Babylonia and Assyria) in the north. Rival dynasties would shift the center of power from one city to another over thousands of years; the Akkadian ruler Sargon united the two societies during his reign (2334-2279 B.C.) The fall of Babylon to the Persians in 539 B.C. saw the end of indigenous rule in Mesopotamia, and the land was marked by further conquests by Alexander the Great, the Romans, and before coming under Muslim rule in the 7th Century. This list of ancient Mesopotamian kings comes from John E. Morby. Notes based on Marc Van De Mieroops. Sumerian Timelines First Dynasty of Ur c. 2563-2387 B.C. 2563-2524... Mesannepadda 2523-2484... Aannepadda 2483-2448... Meskiagnunna 2447-2423... Elulu 2422-2387... Balulu Dynasty of Lagash c. 2494-2342 B.C. 2494-2465... Ur-Nanshe 2464-2455... Akurgal 2454-2425... Ennatum 2424-2405... Enannatum I 2402-2375... Entemena 2374-2365... Enannatum II 2364-2359... Enentarzi 2358-2352... Lugal-anda 2351-2342... Uru-inim-gina Dynasty of Uruk c. 2340-2316 B.C. 2340-2316... Lugal-zaggesi Dynasty of Akkad c. 2334-2154 B.C. 2334-2279... Sargon 2278-2270... Rimush 2269-2255... Manishtushu 2254-2218... Naram-Suen 2217-2193... Shar-kali-sharri 2192-2190... anarchy 2189-2169... Dudu 2168-2154... Shu-Turul Third Dynasty of Ur c. 2112-2004 B.C. 2112-2095... Ur-Nammu 2094-2047... Shulgi 2046-2038... Amar-Suena 2037-2029... Shu-Suen 2028-2004... Ibbi-Suen (The last king of Ur. One of his generals, Ishbi-Erra, established a dynasty in Isin.) Dynasty of Isin c. 2017-1794 B.C. 2017-1985... Ishbi-Erra 1984-1975... Shu-ilishu 1974-1954... Iddin-Dagan 1953-1935... Ishme-Dagan 1934-1924... Lipit-Ishtar 1923-1896... Ur-Ninurta 1895-1875... Bur-Sin 1874-1870... Lipit-Enlil 1869-1863... Erra-imitti 1862-1839... Enlil-bani 1838-1836... Zambiya 1835-1832... Iter-pisha 1831-1828... Ur-dukuga 1827-1817... Sin-magir 1816-1794... Damiq-ilishu Dynasty of Larsa c. 2026-1763 B.C. 2026-2006... Naplanum 2005-1978... Emisum 1977-1943... Samium 1942-1934... Zabaya 1933-1907... Gunnunum 1906-1896... Abi-sare 1895-1867... Sumu-el 1866-1851... Nur-Adad 1850-1844... Sin-iddinam 1843-1842... Sin-eribam 1841-1837... Sin-iqisham 1836... Silli-Adad 1835-1823... Warad-Sin 1822-1763... Rim-Sin (probably an Elamite. He defeated a coalition from Uruk, Isin, and Babylon and destroyed Uruk in 1800.)

Sunday, October 20, 2019

Prester John - Important Figure for Geography

Prester John - Important Figure for Geography In the twelfth century, a mysterious letter began to circulate around Europe. It told of a magical kingdom in the East that was in danger of being overrun by infidels and barbarians. This letter was supposedly written by a king known as Prester John. The Legend of Prester John Throughout the Middle Ages, the legend of Prester John sparked geographic exploration across Asia and Africa. The letter first surfaced in Europe as early as the 1160s, claiming to be from Prester (a corrupted form of the word Presbyter or Priest) John. There were over one-hundred different versions of the letter published over the following few centuries. Most often, the letter was addressed to Emanuel I, the Byzantine Emperor of Rome, though other editions were also often addressed to the Pope or the King of France. The letters said that Prester John ruled a huge Christian kingdom in the East, comprising the three Indias. His letters told of his crime-free and vice-free peaceful kingdom, where honey flows in our land and milk everywhere abounds. (Kimble, 130) Prester John also wrote that he was besieged by infidels and barbarians and he needed the help of Christian European armies. In 1177, Pope Alexander III sent his friend Master Philip to find Prester John; he never did. Despite that failed reconnaissance, countless explorations had the goal of reaching and rescuing Prester Johns kingdom that had rivers filled with gold and was the home of the Fountain of Youth (his letters are the first recorded mention of such a fountain). By the fourteenth century, exploration had proved that Prester Johns kingdom did not lie in Asia, so subsequent letters (published as a ten-page manuscript in several languages), wrote that the besieged kingdom was located in Abyssinia (present-day Ethiopia). When the kingdom moved to Abyssinia after a 1340 edition of the letter, expeditions and voyages began to head to Africa to rescue the kingdom. Portugal sent expeditions to find Prester John throughout the fifteenth century. The legend lived on as cartographers continued to include the kingdom of Prester John on maps through the seventeenth century. Throughout the centuries, the editions of the letter kept getting better and more interesting. They told of strange cultures that surrounded the kingdom and a salamander that lived in fire, which actually turned out to be the mineral substance asbestos. The letter could have been proven a forgery from the first edition of the letter, which copied exactly the description of the palace of Saint Thomas, the Apostle. Though some scholars think that the basis for Prester John came from the great empire of Genghis Khan, others conclude it was merely a fantasy. Either way, Prester John profoundly affected the geographical knowledge of Europe by stimulating interest in foreign lands and sparking expeditions outside of Europe.

Saturday, October 19, 2019

The Importance of Music in Schools Essay Example | Topics and Well Written Essays - 2250 words

The Importance of Music in Schools - Essay Example This article stresses that while music education can provide a great deal of benefits to the developing child as they make their way from kindergarten through high school, there are still some concerns as to how to make this education benefit all children. While music education of any kind has been amply proven in the literature to have significant beneficial effects upon brain development in the form of creating additional neural pathways and increasing efficiency of operation, the ways in which it does this are still not understood or fully explained to the satisfaction of all. Although several studies have indicated that children who participate in music education generally have better academic scores in a variety of fields than those students who did not benefit from any kind of music education, this, too, has not been sufficiently linked to previous music experience, or the effects of said experience, to satisfy everyone to the extent that issues such as disrupted classes and re duced core classroom time are justified. This paper makes a conclusion that while students have been observed to respond favorably to music education in terms of developing their own personal set of values and positive behaviors, even to the extent that disruptive behavior has been seen to decrease among this student population, there are also significant concerns regarding the actual effects this sort of education might have on minority groups. This is due to the inequalities of musical representation presented in these classes as well as the lack of studies conducted on the need of more well-rounded music education to be introduced.

Atrial fibrillation Essay Example | Topics and Well Written Essays - 250 words

Atrial fibrillation - Essay Example Often characterized by atrial dilatation and the shortening of the atrial ERP, the presence of atrial fibrosis and its structural remodeling changes the normal electrical refractoriness and contractile function of the heart by making the intra-cardiac pressure increase (University of Toronto; Allessie, Boyden and Camm). Because of atrial dilatation, heart-related diseases like hypertension, vulvar heart disease, and congestive heart failure occurs. Individuals who are at risk of AF include those who are more than 65 years of age, individuals with myocardial infarction, and individuals who received cardiothoracic surgery (Allessie, Boyden and Camm). Hypertension, ischemic or non-ischemic heart diseases, and mitral or tricuspid valvular disorders, hyperthyroidism, and alcohol drinking are among the most common factors that could trigger AF whereas atrial septal, congenital heart failure, pulmonary embolism, COPD, myocarditis, and pericarditis are among the less common factors that could trigger AF (Mitchell). Aside from a rapid ventricular response or arrhythmias, patients with mild AF may experience dizziness, dyspnea, diaphoresis, fatigue, and palpitation whereas patients with severe AF may experience chest pain, pulmonary edema, or syncope (Dresing and Schweikert). Using surgical intervention, AV node radiofrequency ablation, control of rhythm using cardioversion or AF substrate ablation, treatments for AF focuses on thromboembolism prevention, rhythm control, and ventricular rate control (Mitchell). Likewise, it is possible to use antiarrhythmic medications such as the angiotensin-converting enzyme (ACE) inhibitor to prevent stress by lowering the atrial pressure when administered to patients (Dresing and Schweikert; University of Toronto). Aside from showing irregular R-R intervals, the ECG of patients with AF is characterized with irregular timing in fibrillatory waves of QRS aside from the absence of P waves (Mitchell). (See

Friday, October 18, 2019

MGT230. Leadership and Organization Coursework Example | Topics and Well Written Essays - 750 words

MGT230. Leadership and Organization - Coursework Example Transformational leaders involve their followers with a common of achieving great returns (Bertocci, 2009). They create the realization of the importance of specific outcomes and new approaches in which they can achieve those outcomes. Transformational leaders are grounded in ethical foundations, and it converts followers into leaders while leaders transform into moral agents (Day, 2014). Leaders can be classified as either transactional or transformational depending on how they relate to their followers to achieve the organizational goals (Nongard, 2014). Whether political or business leaders their traits inherent in each leader and as such they influence the outcome of the organization and the relationship between the leaders and their followers (Daft, 2009). This document examines the outstanding leadership qualities of the former U.S. president John F. Kennedy. President John F. Kennedy had an ability to handle problems that could not be perceived by any other person. He was determined and dedicated to his work as the president of the United States (Bass & Riggio, 2006). He formed a team of followers and delegated tasks the followers that resulted in team performance instead of individual achievement. Furthermore, he created a culture of open communication by breaking the barrier of traditional bureaucracy by encouraging open communication where people would be free to share with one another irrespective of their background (Bass & Riggio, 2006). He had diverse personality and talent. He respected everyone irrespective of their positions and had acute judgment of the people who would fit in particular positions and nurtured their talents in order to make them more productive in the society. Therefore, one can argue that President John F. Kennedy was more of a transformational leader than transactional leader (Bass & Riggio, 2006).

Scandinavian Settlement in Britain Essay Example | Topics and Well Written Essays - 2250 words

Scandinavian Settlement in Britain - Essay Example The Danish settlement of the territory of Five Boroughs was mainly considered simply and solely for their military character and the settlements were considered as results of the settling of the members of the army. Stenton and many others considered the hybrid names arose when the Danish army divided the land when they chose it for settlement. There was little consideration for the immigration angle. The historical significance of the Grimson-Hybrid, a term which has been given to those place names in which the first element is a Scandinavian personal name and the second element is Old English tus, is interpreted by Sir Frank Stenton and Dr. F. T. Wainright. Stenton pointed out their distribution in Nottignhamshire, their geographical positions, their historical background and suggested that it is unlikely that the villages with such names denoted new settlements of the Danes, but it is possible that they denoted acquirement of English villages by the Danish owner when the Danish Army divided out the land which it has chosen for settlement. But he argued that it does not mean that the English peasantry had been desettled by the Danish lords. He further argued that name of those villages were influenced by the local circumstances like the relative number of Englishmen and Danes lived thereby. Dr. Wainright, while accepting this theory pointed out that they are representative of an early phase of Scandinavian settlement. ... Wainright agreed to an argument put forward by Ekwall that there may have been many Danes where the hybrids occur, but there was also a powerful English element in the local population. Wainright felt that the Crimson-hybrids represented the movement of Danes from their initial settlements into English populated areas and where they met and mingled with them. Wainright argued that linguistically the Danes were strong enough to influence but not strong enough to dominate the English. He cites example of the linguistic balance illustrated by names, which appear with -bi in Domesday Book, but later changed to -ton to substantiate his argument. However Professor Hugh smith suggested that the names of the new Danish owners of those villages replaced those of the disposed English owners. Mr. Kenneth Cameron added one more dimension while agreeing to Stenton's argument that is of choice of site. He gave examples of Dove and Trent, which were on excellent agricultural land. Mr. P. H. Sawyer, challenging the theory of importance of the Grimston-hybrids as evidence for Scandinavian settlement, argued that Men of English descent also borne Scandinavian personal names in England and it can not be construed from the hybrid names that they are evidence of Scandinavian settlement. He was true in this context. In the history of English it is seen that Scandinavian personal names were adopted into general use and their use does not necessarily prove the racial origin of the men and women who bore them. To negate Sawyer's argument, it can be demonstrated that Grimston-hybrids fall into well defined topographical patterns and that they do show correlations to other names in the same areas. It also can be demonstrated that they are not

Thursday, October 17, 2019

Practical UNIX Security Assignment Example | Topics and Well Written Essays - 2500 words - 1

Practical UNIX Security - Assignment Example There are various versions of Unix available however they are slightly different. The most admired varieties of Unix are GNU/Linux, Sun Solaris and MacOS X (Rosen Kenneth H., 2006). UNIX security is the way of protecting a UNIX or any other Unix-like operating system (Ross Seth T., 2000). A safe atmosphere cannot be obtained by just designing conception of these operating systems but by observant administrative and user practices. LDAP that is Lightweight Directory Access Protocol is nothing but an application protocol used for editing and reading directories over an internet protocol network (Morimoto Rand, 2008). Directory here refers to the set of organized records, for instance, a telephone directory is organized in an alphabetical record of people and organizations with the address and contact number in every record. LDAP not only stores information about persons but is also used to find encryption certificates, printers, pointers and other various services on a network. It also facilitates single signon where a single password for an operator is shared among various services. The LDAP is most suitable for any type of directory in cases where in-frequent updates and quick lookups are the requirements. As it is a protocol, LDAP does not describe how programs work on server side as well as on the client side. It defines the language used as communication for client programs to speak to servers. On the side of client, a client may be having an address book, an email program, or it can be a printer browser. The server may use only LDAP or may have various other ways for data exchange and LDAP could just an add-on method. Suppose if someone has an email program it may or may not supports LDAP. Most of the LDAP clients have option of reading from a server only. Apart from this, search abilities are also different for different users. Few of the clients have option of updating or writing information however LDAP does not provide security or encryption so addition al protection like encrypted SSL connection becomes imperative (Ciampa Mark, 2008). LDAP offers number of features which is difficult to understand at a glance. Below given are some of the features of LDAP. Remote Communications: Sometimes Remote communication can be or sometimes it cannot be a security issue (Negus Christopher, 2009). If unlimited access is provided to non-sensitive LDAP records then the security of data becomes doubtful. In such situation one possibly become susceptible to do’s and don’t do’s assault through cruel LDAP query loads. However it is not that important but still it should be taken care of. You may choose to operate using simple clear text passwords and without using any additional security if you are sure that all the LDAP communications will occur inside trusted network only. However in such cases it becomes easier to scrutinize sensitive data or to sniff traffic or obtain passwords sent in clear. The risk of sniffing, snooping, m an in the middle and other various risks increase when a communication takes place across a non reliable network. The increasing emphasis on monitoring (cn=monitor) and run-time configuration (RTC) may make it a rule that LDAP browsers develop into the remote consoles to administers LDAP server (Kopper Karl, 2005). This traffic is highly sensitive by its nature. The next step depends upon the answer to the question that do we need to protect password

Has no topic Essay Example | Topics and Well Written Essays - 1250 words - 2

Has no topic - Essay Example The major texts are a record of letters between two fan bearers of the king. Fan bearers were names given to those who had a close relationship with the king. The papyrus major texts also mention agriculture in the paranoiac lands during the reign of Ramesses three in his 16th year. The small texts talk about a shipment arrival containing commodities. The texts also mention quarrying activities going on for the construction of a tomb. Ancient Egyptians had developed a form of written language and they needed another medium to write on other than the stone. This led to the discovery and use of papyrus which was growing in the banks of river Nile. The reed was thin, strong, and easy to carry and for years, it was used for writing. It was a costly material and once used it was retained for extra use as a scratch paper. The recycled papyrus was also used to wrap bodies of the deceased. The body was first wrapped with linen then it was covered with the recycled papyrus. These wrapping mat erials were made of layers of papyrus discarded by the administrative authority. Papyrus reeds were also used to make furniture such as chairs, mats, baskets, boats and ropes. The roots of the plant were a source of medicine, perfume, and food (Snedden, 76). The standard measurement for papyrus paper was 45cm by 22cm and for purposes of longer documents; papyrus papers were joined to form a scroll. There were different kinds and quality of the papyrus reeds, the lowest quality was used by merchants to wrap commodities and the highest quality papyrus was used by the religious leaders and kings. The texts written on the papyrus varied, ranging from religious texts, musicals, literature, biblical literature, but the largest number of papyrus documents was on administrative issues. These official matters included tax receipts, court documents, and letters between leaders. The quality of the papyrus depended on some factors such as age of harvesting the location of growing, and type of p ith used. The best quality papyrus was made using inner pith. Normal rolls were made using different qualities of papyrus, inner section had the lowest quality papyrus, and the ends which were prone to tear had the finest quality of papyrus sheets. The varieties of the papyrus were named in the honor of different leaders or emperors. This information was contained in the first papyrus called protocol. For ordinary use, this had to be cut but for official use, it was against the rules (Snedden, 87). The painting of the final judgment is one of the paintings on Egyptian religion that relate to the papyrus. This is attributed to the fact that these painting is usually done on a piece of papyrus paper. This iconic papyrus painting reflects the symbols adopted by ancient Egyptians in their religion. The earliest judgment day painting was first drawn in the 16th dynasty. This art depicts that the Egyptians believed in immortality. It was expressed by painting what the day would be like wa s done in their papyrus papers. The judgment of the dead emanated from the believe that deeds done by people would be subjected to scrutiny and analysis by divine powers after one died (Adam, 59). Conclusively Egyptian art is characterized by order and aesthetic quality that is why it continuous to be relevant to the Western Art. It is a foundation in telling the history of the Western Art being one of the oldest civilization which shaped cultures adopted by Europe, Asia and Africa. Glass

Wednesday, October 16, 2019

Practical UNIX Security Assignment Example | Topics and Well Written Essays - 2500 words - 1

Practical UNIX Security - Assignment Example There are various versions of Unix available however they are slightly different. The most admired varieties of Unix are GNU/Linux, Sun Solaris and MacOS X (Rosen Kenneth H., 2006). UNIX security is the way of protecting a UNIX or any other Unix-like operating system (Ross Seth T., 2000). A safe atmosphere cannot be obtained by just designing conception of these operating systems but by observant administrative and user practices. LDAP that is Lightweight Directory Access Protocol is nothing but an application protocol used for editing and reading directories over an internet protocol network (Morimoto Rand, 2008). Directory here refers to the set of organized records, for instance, a telephone directory is organized in an alphabetical record of people and organizations with the address and contact number in every record. LDAP not only stores information about persons but is also used to find encryption certificates, printers, pointers and other various services on a network. It also facilitates single signon where a single password for an operator is shared among various services. The LDAP is most suitable for any type of directory in cases where in-frequent updates and quick lookups are the requirements. As it is a protocol, LDAP does not describe how programs work on server side as well as on the client side. It defines the language used as communication for client programs to speak to servers. On the side of client, a client may be having an address book, an email program, or it can be a printer browser. The server may use only LDAP or may have various other ways for data exchange and LDAP could just an add-on method. Suppose if someone has an email program it may or may not supports LDAP. Most of the LDAP clients have option of reading from a server only. Apart from this, search abilities are also different for different users. Few of the clients have option of updating or writing information however LDAP does not provide security or encryption so addition al protection like encrypted SSL connection becomes imperative (Ciampa Mark, 2008). LDAP offers number of features which is difficult to understand at a glance. Below given are some of the features of LDAP. Remote Communications: Sometimes Remote communication can be or sometimes it cannot be a security issue (Negus Christopher, 2009). If unlimited access is provided to non-sensitive LDAP records then the security of data becomes doubtful. In such situation one possibly become susceptible to do’s and don’t do’s assault through cruel LDAP query loads. However it is not that important but still it should be taken care of. You may choose to operate using simple clear text passwords and without using any additional security if you are sure that all the LDAP communications will occur inside trusted network only. However in such cases it becomes easier to scrutinize sensitive data or to sniff traffic or obtain passwords sent in clear. The risk of sniffing, snooping, m an in the middle and other various risks increase when a communication takes place across a non reliable network. The increasing emphasis on monitoring (cn=monitor) and run-time configuration (RTC) may make it a rule that LDAP browsers develop into the remote consoles to administers LDAP server (Kopper Karl, 2005). This traffic is highly sensitive by its nature. The next step depends upon the answer to the question that do we need to protect password

Tuesday, October 15, 2019

Corporate Communications Essay Example | Topics and Well Written Essays - 750 words

Corporate Communications - Essay Example When all of the divisions have their own communications strategy and there is no overall corporate guideline on communications, it is hard to control communications functions, especially when the company is multinational. Sara Lee Corporation is trying to find the balance between centralized control of communications and the development of communications strategies at the local level, many other multinationals are having the same struggle. The major point is to bring all of the communications professionals from marketing, public relations and internal communications into a single department so that the knowledge can be shared, the experience enhanced and the visibility of communications sector within the company ensured (p. 127). Such cross-functional integration over and above departments is needed because most of the work related to communications cuts across different knowledge and skills domains. In addition, the communications within the company are mostly informal (p. ... ations are separate), while under horizontal structure there is no clear line of subordination and each department has a unique function and undertakes the portion of company's overall mission. Moreover, under the vertical structure the corporate communication is placed high within the company and involves the formal collaboration. As it was mentioned on the page 133, the survey of the 75 largest US corporations has proved that the vast majority of these companies have communications and marketing departments functioning on the same level (the horizontal structure). The same tendency is observed in UK and European companies. Therefore, the communications function is divided into two major fields -direct communication (such as employee communication, corporate design, all internal and media communications) and direct marketing (such as branding and advertising). It is worth to note that this division is not always appropriate for the small business units because the communications function is not developed so well and involves fewer specialists compared to the internationals such as Sara Lee Corporation. Moreover, the preferred interdependence and at the same times sovereignty of two departments reflects their importance to the company. Even though the tendency to divide communications function within the compa ny, there are some exclusions. For example, in the Netherlands the communications disciplines are consolidated in a single department with high position within the company. Sara Lee Corporations tensions are quite traditional for the majority of multinationals. There is the need to separate central communication departments from marketing because some of the communication areas fall outside the operational. For example, marketing has to deal with

Monday, October 14, 2019

Human sexuality Essay Example for Free

Human sexuality Essay She was barely eight years old when together with seven of her age mates ,she was handed over to a traditional circumciser who took them through the painful process of FGM. it has been many years since ,and she has accomplished so much in life, but the incident remains fresh in her mind. The old woman who took them through the process was going blind, she says, and three of the eight who underwent the procedure died due to excessive bleeding. One of them was her very close friend. Luckily for her, the bleeding was not too much and she had a savior at hand. Her father, who was a policeman, took her to a hospital in Garissa using a police land rover. This was the traumatizing experience that nominated Member of Parliament, Sophia Abdi Noor went through when her mother blessed her to undergo the rite of passage that would cleanse her and make her acceptable for marriage according to tradition. Never before in history of the august house had a member used her own life experience to move debate as Ms.  Sophia did when supporting the bill to outlaw female genital mutilation. Female genital mutilation is the term used for operations or removal of all or just part of the external parts of female genitilia. This practice has for a long time come under increasingly intense international scrutiny from the news media, feminist and human rights organizations. The main reasons for continuation of FGM are firstly, as a rite of passage from girlhood to womanhood; a circumcised woman is considered mature, obedient and aware of her role in the family and society. Secondly, FGM is perpetuated as a means of reducing sexual desire of girls and women, thereby curbing sexual activity before and ensuring fidelity within marriage. Although opposition to female ‘circumcision’ has been articulated throughout the twentieth century, starting with missionaries and colonial administrators, the current resurgence of indignation was ignited in part by activists at conferences honoring the United Nations Decade for women(1975-1985). (Shell-Duncan. B,Hernland-Y;pg 23) The practice of circumcising women has very deep roots that touch all aspects of the cultures that continue to inflict it upon their girls. However,it still remains to be a practice that violates the human rights of affected women in a moral and ethical sense because it generates psychological torture, low self-esteem, tampers with a woman’s sexuality and is a health hazard. Psychological torture The pain inflicted by F. G. M does not stop with the initial procedure, but often continues as an ongoing torture throughout a woman’s life. Intense pain and hemorrhage experienced during the procedure can lead to shock. A 1985 Kenyan study found that nearly 97% of the 269 women interviewed experienced intense pain during and after F. G.  M and more than 13% went into shock. According to WHO, It is self-evident that any form of surgical interference in the highly sensitive genital organs constitutes a serious threat to the woman, and that the painful operation is a source of major physical as well as psychological trauma. The extent and nature of the immediate and long-term mental disturbances will depend on the girl’s inner defences, the prevailing psychological environment, and a host of other factors. The family no doubt does its best to mitigate the painful effects of the operation; nonetheless, they necessarily undergo overwhelming experiences. Even before the operation, the threat of ‘cutting’ and fear provoking situation may disturb the mental state of the child to the degree that it causes worry, anxiety, sleeplessness, nightmares or panic. As anticipating precautions against these anxieties the family commonly uses various forms of traditional magi co-religious practice such as fumigation, or the wearing of amulets. On a religious perspective, the scripture prescribes that special efforts be made to care for those who are most vulnerable. (Deut 10:17-19,Ps 82:3,4; Ps24:11,12;Luke 1:52-54) Jesus taught that children should be loved and protected. Therefore,the genital mutilation of young girls violates the biblical mandate to safeguard children and protect them from harm and abuse Tampers with a woman’s sexuality. Sexual intercourse can only take place after opening the infibulation, through surgery or penetrative sexual intercourse. Consequently, intercourse is frequently painful during the first weeks after initiation. Although it is difficult to verify reports or women’s sexual experiences, physical complications from FGM often impede sexual enjoyment. FGM destroys much or all of the vulva nerve endings, delaying arousal or impairing orgasm. Lacerations loss of skin elasticity, or development of neuron (a tumor or mass growing from a nerve) can lead to painful intercourse. In a 1993 Kenyan study, 5% of women interviewed experienced painful intercourse while 9. 3% of them reported having difficult or impossible penetration, and that many of the married ones only accepted it only as a duty. Scripture celebrates the divinely ordained gift of sexual intimacy within marriage (Eccl9. 9;Prov 5:18,19). The practice of female genital mutilation should be renounced because it threatens the creator’s design for the experience of joyful sexuality by married couples. For married couples, the gift of sexual union may be further blessed by the birth of children (Prov 31:28). The fact that successful childbirth is threatened by FGM is additional grounds for opposition to this practice. Health hazard. In October 1994, as a response to the call to Global Action,UNICEF issued an executive directive declaring that FGM is a health hazard to children and violation of their human rights. FGM in any form should not be practiced by health professionals in any setting including hospitals or other health establishments. Unnecessary oddly mutilation cannot be condoned by health providers. FGM is harmful to the health of women and girls and violates their basic human rights and medicalization of the procedure does not eliminate this harm. On the contrary, it reinforces the continuation of the practice by seeming to legitimize it. Health practitioners should provide all necessary care and counseling for complications that may arise as a result. Group circumcision, where the same unsterilized instrument is used on several girls at a time, repeat cutting and stitching increases risk of HIV infection. The Bible presents the goodness of God’s creation, including the creation of human beings (Gen 1:31; Ps 139:13, 14). God is the source and sustainer of human life (Job 33:4; john 1:3, 4). He calls for preservation of human life and holds humanity accountable for its destruction(Gen 9:5,6;Ex20:13,Jer 7:3-34). The human body is the â€Å"the temple of the Holy Spirit,† and followers of God are urged to care for and preserve their bodies, including the Creator’s gift of sexuality, as a spiritual responsibility (1cor6:15-19). Because FGM is harmful to health, threatening to life, and injurious to sexual function, it is incompatible with the will of God. Having discussed the side effects that FGM pauses to victims, various communities have come up with measures to fight this procedure, an alternative rite of passage in the abandonment of FGM is used. It involves a four-step procedure Preparation Seminars for both parents and initiates are encouraged. The topics will include side effects of female circumcision, and get prepared to attend a residential seminar to elaborate on what the alternative procedure entails. Actual Circumcision In the alternative Rite of passage, actual circumcision should be stopped since we have learnt that it is not necessary to make a woman an adult nor mature. The side effects of F. C both short and long terms are to be avoided if actual circumcision is not performed. Parents can select a teacher and trainer, for their daughter who will accompany her to the residential centre for an alternative rite of passage seminar. Seclusion. For this the girls will attend a residential seminar for one week away from home. The initiate will be accompanied with their teacher and trainer. Women both circumcised and un circumcised from the community will facilitate during the seminar. Additional topics-AIDS, STI’s, simple hygiene and great women in the Bible, in community and in Kenya. Rites and rituals will be optional. Girls of circumcision age are between six and twelve years old. For the purpose of effective learning, the girls will be divided into two groups; girls between six and nine, ten and twelve. Graduation Graduation is expected to be brief and colourful. Songs, drama, plays and poems will be encouraged. Parents, community leaders, politicians and government officials will be invited to attend to witness the graduation of whole girls. Certificates of graduation will be awarded and prayers, blessings conducted. Exchange of gifts for newly graduated girls will be carried out and finally the graduates will be handed over to the community,chief,church elders and clan elders. Since it’s an annual event, committees are to b e established to plan for the following year.

Sunday, October 13, 2019

Accidents Have Caused Major Explosion

Accidents Have Caused Major Explosion In the past few years there had been a steady increment in the usage of the risk assessment in the offshore production facilities. This is especially after the Piper Alpha disaster in 1988 and many other major accidents that killed many lives. Operators are showing an increasing awareness by reviewing the safety of their existing topside production facilities. The Piper Alpha accident provided adverse confirmation that the predictions of risk analyses regarding major accidents were certainly prudent. Quantitative Risk Assessment (QRA) is very useful in order to reduce the risks especially on the hydrocarbon releases from offshore topsides facilities. (Harmony, 1998) The accidents have caused major explosion and followed by some other minor explosions that release huge amount of hydrocarbons such as gas, liquid and 2-phase liquid. According to the investigation report that had been made after the accident, the main reason that causes the accident is the handover work made by two different shift personnel. Communication problem is one of the reasons of the tragedy. Initially the platform only produced crude oil. However, after a few years natural gas is also being produced. During the installation of the gas conversion equipment, the fire walls were not upgraded to the blast wall that causes a severe explosion throughout the disaster. Moreover, the pumping operation of oil and gas was continued even though the fire started to spread on the platform due to lack of professed authority that just witness the burning of the Piper (Taylor, Wallace, Ward, 1991). It was started from the two condensate injection pumps which are A and B. The day shift engineer forgot to inform the condition of pump A to the night shift engineer in which the pressure valve was removed for recalibration and recertification. There are about 106 recommendation has made for the future of safety offshore by the Cullen Report. All of the recommendations had been accepted and implemented by the offshore operators later then (Simon, 2012a). Petrobras Enchova Central Platform was listed in the major offshore accidents. This platform also listed as one of the worst and notable blowouts in the history of offshore oil platform. It is located in the Enchova Field, Brazil and operated by Petrobras. Two major incidents recorded in these fields which were on 16 August 1984 and 24 April 1988. The first accidents caused by blowout followed by explosion and fire. Most of the personnel were evacuated safely by chopper and lifeboat. Unfortunately, 42 workers died during the evacuation processed. The main reason that killed many lives during evacuation is because the failure of lowering mechanism of a lifeboat. The lifeboat was suspended and eventually fell 10-20m to the sea which killed 36 personnel. The other six workers were killed when they jumped from the platform to the sea at 30-40m height. (Simon, 2012b) The second accident occurred on 24 April 1988 which is four years later during the workover operations on the platform. One of the well that operated by the platform blew out and finally ignited that resulted in the destruction of the platform. Petrobras decided to drill two relief wells in 30 days time and eventually succeed in controlling the blowout (Maduro Reynolds, 1989). The workover well was performed in order to convert oil well to gas well. Then the blowout occurred during that converting process. The fire resulted from gas ignition last for 31 days. There was no loss of life recorded because the floating living quarters were separated from the platform during the blowout. The operator incurred a total loss because the extensive damage to the topside structure (Simon, 2012b). Ekofisk Bravo Platform is another type of platform that was listed in the top five worst blowout accidents in the oil and gas industry in which the volume of hydrocarbon released is about 202,381 barrels. This platform is operated by Philips Petroleum Company located at Ekofisk field in Norwegian continental shelf. The event of blowout was recorded on 22 April 1977, a few years after the discovery of this field in 1969. It was declared that the blowout cause the biggest oil spill in the North Sea. The blowout occurred during the workover of the production well. It was started when the production tubing was pulled out at 10000 feet depth. Then the blowout preventer (BOP) is not yet installed after removing Christmas tree prior to the production tubing pulling process. The downhole safety valve was malfunctioned because of improperly installed that cause well kick then resulted in well blowout that release large amount of hydrocarbon to the environment. There was no loss of life recorded as the evacuation job carried properly. Initially the total release calculated was 202,381 bbls by the Norwegian Petroleum Directorate. Then the oil was evaporated up to 40% of the initial release and a total spill estimated is lower than the initial amount. It was reported that there was no significant effect to the environment. The investigation to determine the root cause of the accident had been carried out. They found that the main reason of the blowout was caused by human errors. The human errors include inappropriate planning and well control, misjudgment on the job scope difficulty for instance ignores the proper installation documentation and equipment identification (Simon, 2012c). Bekok C platform that is operated by PETRONAS Carigali Sdn. Bhd. is one of the listed platform accidents in Malaysia that cause severe injuries to the workers. This platform is located 200km from the coast of Peninsular Malaysia. The major factor of the tragedy is because of the gas leaked that cause fire on the platform. Basically, the platform went through scheduled shutdown in order to plan maintenance activities during the accident (Bernama, 2010). There were about 108 personnel on the platform at that moment of incident and six of them were injured because of the fire. The fire just started after midnight and brought under control by the emergency response teams (ERT). The injured personnel were the one that on duty at that time and in the process to complete their shift. The six injured personnel suffered several burns on parts of their body including the face. The fire might be resulted from sparks that produced from one of the maintenance valves. The remaining 102 workers have been evacuated safely to the nearby platform (Chris, 2010). Another offshore accident in Malaysia is Tukau B platform located in Miris offshore. This platform is operated by PETRONAS Carigali Sdn Bhd which is Malaysias National Oil Company. The fire occurred on 11 June 2012 which is the latest accident at an oil and gas facility recorded on offshore platform. It was reported that 16 workers were on the platform at that time of fire. Five of them (two PETRONAS employees and other three contractor staff were suffered first and second degree burn. There was no loss of life reported as other remaining workers were evacuated safely to the nearby platform, Tukau A living quarters. (Mohamad Abdullah, 2012) The fire resulted from the explosion at Tukau B oil drilling platform started to spread on the structure at 9.20am at the compressor skid. Fortunately they managed to put the fire under control within an hour that prevents the fire to spread over the platform. The personnel were doing some maintenance works on the platform at the time of fire. The human errors could be the reason of the explosion that cause fire and injured some of the workers. Most of the accidents occur were mainly cause by the engineering workers that do not have good understanding on the safety elements. Misjudgment on the job difficulty has been normal situation on the event of fire and explosion. Improper use of standard operating procedure for equipment always becomes major factor in platform accident. This is mainly occurring during the maintenance works that involve the operator and contractor staffs (Luin, 2012). The most recent incident that involves oil and gas industry in Malaysia is the fire and explosion of the oil tanker named Bunga Alpinia own by Malaysian International Shipping Company, MISC which occurred at 26 July 2012. This event of fire and explosion take place at Rancha-Rancha industrial zone, Pulau Enoe near Labuan. It was reported that the oil tanker was loading six tons of methanol at the PETRONAS Chemicals Methanol Sdn Bhd jetty when a small fire ignited during a thunderstorm. The fire started at 2.30am and resulted in at least three major explosions that shake the Labuan Island. Bunga Alpinia had 29 crews on board consisting 23 Malaysians and six Filipinos. The accident killed five workers; four of them were Malaysian and one Filipino as mentioned by MISC Company which is a subsidiary of PETRONAS. Another 24 workers were evacuated safely to onshore (Almeida, 2012). The fire and explosion just occurred nearby the PETRONAS Chemical Methanol plant that arise another concern if the flames from the tanker ignite the methanol silo. The effect might be severe which can cause enormous destruction to the surrounding area. Problem Statement According to Oil Gas UK Knowledge Centre, hydrocarbon release may contribute to major accidents as well as determine a key performance indicator of asset integrity management of offshore installations. A hydrocarbon can potentially release to atmosphere due to leakage from equipment, flanges, valves, pipe works and etc. Each of this equipment has their own release frequency. QRA study is very important in order to identify the most cost effective ways to reduce risks to people and to the production asset. It is also important for company to improve their understanding on the risks and hazard involved in its offshore operations (Hanson, Lewis, Walters, 1995). For Quantitative Risk Assessment study, the release frequency of each Isolatable Section needs to be calculated. The QRA is employed in order to size hazards and advantages gained from their concession. The QRA particularly calculates the overall risk and potential loss of life and the average individual risk of fatality. In order to determine the release frequency the installation type and location are the important parameters that should be considered. Objective The overall objective of these studies is to calculate the hydrocarbon release frequency for each isolatable section of offshore production facilities. In order to determine the release frequency, the isolatable section of the topsides production facilities needs to be identified at the early period of the research. The quantity of each of the process equipment needs to be determined in order to get the release frequency. The other objective is to utilize the raw and modify data of release frequencies from the risk assessment data directory (OGP Publications) in order to classify the release criteria by using the inventory released. Scope of the Research In this research, a typical unmanned platform is used as a subject of study. A complete offshore production facility will be divided into several sections in QRA study. The sections are known as Isolatable Section. The Isolatable Section consists of different type and sizes of equipment, flanges, valves, pipe works and etc. The research will identify method to calculate the release frequency of a given Isolatable Section of Offshore Production Facilities. All of the possible process equipment with various sizes is listed down to make the parts count easier. There are three types of release which are full releases, limited releases and zero pressure releases but in these studies full releases type will be used in order to determine the release frequency for each isolatable section. The parts count of process equipment with its specific sizes can be done by using the data that is provided in the Process and Instrumentation Diagram PID. Other than that, the volume of equipment on the topsides of offshore facilities also needs to be calculated by using the volume equation. Process Flow Diagram (PFD) is used in order to determine the volume of each of the process equipment. CHAPTER 2 LITERATURE REVIEW 2.1 Quantitative Risk Assessment 2.1.1 Definition According to C.M. Pietersen et al. (1991), Quantitative Risk Assessment (QRA) can be defined as a method to determine the risk in major offshore platform accidents. It is crucial to determine the release frequencies from process equipment in the event of failure so that the risk can be identified. P.J Corner et al. (1991) state that QRA can use many type of methods or model ranging from simple correlation to complex computer codes. The method of assessment includes the effect of releases such as fire and explosion models, the model for assessing the impact resulting from the fire and explosion and the probability of failures of the process equipment on the topsides platform. Based on R J Hanson et al. (1995), the QRA (computer based model) was implemented in order to evaluate the risk reduction measures. 2.1.2 History In order to improve safety on offshore platform, QRA was introduced after the tragic accident that killed many lives in the event of fire and explosion at Piper Alpha platform. Lord Cullen in his report of The Inquiry based on Piper Alpha Disaster had identified that QRA as a technique that provides a structured, objective and quantitative approach in order to have better understanding on the risks and ways to overcome or control them (Hanson et al., 1995). 2.2 Hydrocarbon Release Frequency 2.2.1 Type of Offshore Topsides Production Facility Offshore topsides production facilities investment is substantial in order to maximize the production. The main production facilities can encompass half of an offshore topsides platform area and half of the capital or installation cost. There are approximately 16 types of process equipment on the topsides of offshore installation facilities handling hydrocarbon that have potential to release hydrocarbon in the event of equipment failures based on the Risk Assessment OGP (2010). The process equipment include steel process pipe, flanges, manual and actuated valves, instrument connections, process (pressure) valves, centrifugal and reciprocating pumps, centrifugal and reciprocating compressors, heat exchangers (four different types), filters and pig traps (launchers/receivers). 2.2.2 Type of Releases According to the analysis of historic process release frequency data (Producers, 2010), releases can be divided into three different types which are full releases, limited releases and zero pressure releases. Full releases can be described as flow through the defined hole is consistent, starting at the normal operating pressure then continuing until controlled by emergency shutdown and blowdown. Limited releases can be classified as cases in which pressure is not zero but the quantity of releases are much less than from a full release. The main reason of these releases is because of the human intervention such as closing an inadvertently opened valve. Then it may cause by the failure from the system itself. Zero pressure releases can be defined as the cases where pressure inside the leaking equipment is virtually zero. This is because of the equipment has a normal operating pressure of zero. Releases can be classified as major, significant and minor based on the (Pratt, 2002) statement. Significant releases are those lying between major and minor releases. Release frequency of the major hydrocarbon release is higher compared to the significant and minor releases (Edmondson Hide, 1996). 2.2.3 Type of Hydrocarbon Releases Hydrocarbon releases have the highest risk on offshore platform that potentially cause loss of life (Hanson et al., 1995). According to Derek B Pratt (2002), the hydrocarbon release type can be classified into three which are gas, liquid and two phase hydrocarbon. Hydrocarbon such as diesel, methanol, hydraulic oil, lubricating oil and helicopter fuel were included. These types of hydrocarbon are termed as non-product hydrocarbon. (Hare, 2008) states that there are five types of hydrocarbon release which are gas, oil, non-process hydrocarbon, 2-phase hydrocarbon type and lastly condensate. 2.3 Inventory of Basic Data 2.3.1 Number of Decks on the Platform Basically there are three types of decks found in offshore platform which are cellar deck, main deck and helideck. Cellar deck is the lower part of the platform while main deck is the upper part of the platform. Helideck is installed on this main deck which commonly above the living quarters. In some platforms, there are four types of decks existed which are spider deck, cellar deck, main deck and helideck. Most of the time, all of the drilling or production facilities are placed or installed on the main deck such as power generator and water treatment while all of the manifolds and Christmas trees will be installed on the cellar deck. One of the significant issues in order to reassessment and requalification of an old platform is the wave-induced force on offshore platform decks. Platform may be subject to partial or even fully submerge in the event of severe storms due to seafloor sinking the cellar deck. The structural integrity of the platform will be obviously affected and is thus a very crucial issue of concern (Grà ¸nbech, Sterndorff, Grigorian, Jacobsen, 2001). 2.3.2 Accommodation Arrangement Living quarters are the crucial requirement for the safe operational and life support requirements for personnel in the offshore Oil and Gas Industry. The other key requirement in the design and build of offshore facilities is to provide functional spaces for optimum comfort of personnel. Providing a safe environment offshore is mandatory in this industry. The location of the living quarters on the platform is one of important parameters in personnel safety requirement. The findings presented to the Cullen report based on the past Piper Alpha disaster regarding on the risk reduction would be achieved whether by accommodating personnel on a nearby flotel (floating hotel) or on PDQ (production, drilling, quarters) platform. The advantage is that personnel are separated from fire and explosion hazards if there are accommodated on a nearby flotel but the disadvantage of exposing them to other hazards such as transportation and flotel capsize (E.F, 1993). According to the QRA made based on the Piper Alpha disaster, it can be concluded that safety can be improved by decreasing the number of personnel offshore or separating production and accommodation platforms linked by bridges. (Lewis Spouge, 1994) in their study also claimed that the risks depend mostly on the separation between the accommodation and the hydrocarbon inventories. 2.3.3 Location of Helideck Location of helideck also one of the important parameters in the offshore platform and should be taken into consideration in order to reduce the risks. The scope of study carried out by K.H Von Blohn et al. (1979) included different locations of helideck on platform, effect of a seaway on the wind velocity profile, effect of varying wind velocity on the turbulence level and air flow around modules without the helideck. Most of the helideck are located directly on top of the crew quarters structure (Blohn, Peterka, Cermak, Barnard, Ewald, 1979). Based on the wind tunnel tests made on the Maui B platform, the flow conditions over the helideck for all approach wind directions tested are improved if the original helideck shape is raised 2.5 m above the crew quarters. Different types of drilling rig or platform have different location of helideck for instance jack-up rig, submersible platform and drillship because they are different in sizes and water depth. The location of helideck also differs between fixed and unfixed structure (BOMEL Limited Burt, 2012). 2.3.4 Location of Process Equipment In order to ensure the safety of personnel working on the offshore platform the process equipment should be placed or installed at the right position where there is less tendency of injury during the event of emergency. In other words, accident can be prevented if the equipment had been engineered properly (Johnstone Curfew, 2011). Properly layout the facility on the platform is the first job in building a new facility. The equipment that needs to be installed should be listed out and a plot plan of the site must be obtained in order to plan equipment layout. It is started by placing the most hazardous items of equipment on the site. Some examples of hazardous items are venting system, flaring system, fire process equipment, engines and rotating equipment, separators, tanks and unfired vessels. According to J.E Johnstone et al. (2011), venting system should be positioned downwind of the facility in which the released gases will not risk the personnel life and platform area. Venting system must be placed where there are no or far from the source of ignition. The same goes to the flaring system. Fired process equipment such as heater treaters, heater or separator, glycol and amine reboiler should be placed away from the equipment that process or store flammable hydrocarbons. It is also should be located away from the potentially released type equipment such as vents and pig receivers. Pumps and compressors which are categories as engines and rotating equipment must be placed on the site to avoid damage from any possible hydrocarbon releases, ignition and noise. Liquid hydrocarbons may be released to the environment resulted from losing seals of pumps while compressors normally leak small amount of oil which might cause fire if there are source of ignition (Johnstone Curfew, 2011). 2.3.5 Location of Risers and Pipelines Risers and pipelines are frequently become one of the main risk contributor on an offshore platform. The most crucial safety goal is to minimize the potential leakage from a riser or pipeline. The impact and corrosion are the significant failure causes by risers and pipelines (Edmondson Hide, 1996). The location of riser and pipeline should be planned properly because of a limited space on platform in order to operate in a safe condition (Sarica Tengesdal, 2000). Moreover the congestion on the platform should be reduce in order to lower the risks (Majumder, Markanday, Anand, 1991). According to P.J Corner et al. (1996), the most important approach in QRA is the failure that will cause different in the holes sizes and leaks rate to the marine environment. The impact may result in rupture or destruction of the platform while corrosion may cause small holes on the riser or platform which can be repaired and not hazardous. It is also essential to anticipate the release duration in order to determine the significant effects. It might be the long duration release of medium size cause destruction compare to enormous release of very short duration. Some risers are installed outside of the shafts, leakage and explosion will occur if hit by ships (Larsen Engseth, 1978). 2.3.6 Location of Wellheads Wellhead is the equipment that installed on the surface of an oil and gas well that acts as a pressure seals and suspension point for casing string. Wellhead that is located at the production platform is called surface wellhead while if the wellhead is located below the water it is termed as subsea wellhead or mudline wellhead. Wellhead should be located properly on the platform because wellhead load includes all casing strings with cement weight, tubing strings weight, weight of wellhead itself and BOP equipment (Anderson, 1984). Meaning that wellhead carries massive loads and part of the platform weight. 2.3.7 Location of Any Drilling Activities Drilling operation is one of the most hazardous activities on the offshore platform. Many personnel are at risk because of the intensive labor work. This is because this operation involves in heavy lifts of many components, BOP stacks, collars and precisely miles of drill pipe. Additional risk will be encountered during exploration drilling especially on the shallow gas hazards and the ultra deepwater operations that potentially have high pressure and temperature (HPHT) wells. Harsh environment condition also need to be considered (E.F, 1993). The best location of any drilling activities is away from the living quarters in order to reduce the risks on personnel. This is for instance in the event of blowout, the personnel can be evacuated safely from the platform. The drilling operations should be separated from production in order to reduce the release frequency of reservoir fluids on the platform as well as reduce the population at risk. Blowout that can claim many lives also can be prevented if drilling and production carried out separately (E.F, 1993). 2.3.8 Transportation According to E.F et al. (1993), the risk to people working offshore start when they leave the shore and stop when they return onshore. The main transportation of the personnel (crew change) is by helicopter or boat. The use of QRA technique had made the risk become apparent because the future risk can be predicted, accidents to be anticipated and ways to overcome or prevent is considered by interpreting the past accident experiences (Lewis Spouge, 1994). The helicopter accident can be categorized into three major sections which are accidents in flight, accidents on take-off and accidents on landing while crew boat accident can be described in two categories which are fatalities in transit and fatalities in transfer. Helicopter crash is on the second ranking for causing of fatalities on UK Continental Shelf (UKCS) after hydrocarbon fire and explosion (Lewis Spouge, 1994). Based on transport risk study carried by JR Spouge et al. (1994), it can be concluded that transport risks are important. Transportation by using helicopter has higher risk if compared with crew boat. This is because the usage of helicopter is higher for crew change operation since the distant of onshore and platform is considered while crew boats indicate dissimilar problems in evaluating risk due to their great safety record. 2.4 Inventory of Materials That May Cause a Fire or Explosion 2.4.1 Inflammable, Combustible and Explosive Materials Inflammable, combustible and explosive materials are materials that are capable to cause fire and explosion. These types of materials should be placed or stored away from the fired process equipment, venting and flaring system in order to prevent any ignition from occurring. These materials must be located away from the living quarters to prevent severe injury to personnel on board in the event of fire and explosion. The blast or firewall has to be installed around these storage materials to reduce the impact of explosion. Properly handling method has to be done on these materials. 2.4.2 Medium of Materials Released There are many ways for materials release to the surrounding environment. One of medium of materials release is through cracks, splits or holes in the containment envelope. This medium is created from the degradation of the equipment such as corrosion, erosion and wears out. The releases of material to the atmosphere may be resulted from opening pathway that is provided by the opening of equipment that still containing hydrocarbon by personnel with intention (Pratt, 2002). 2.4.3 Types of Fire The event of fire and explosion are common in the oil and gas industry especially on the offshore oil and gas platform and drilling rigs (Heaviside, 1980). Every year many injuries and loss of life are recorded because of fire and explosion itself. Personnel are suffered from first to third degree burn which can cause severe injury as well as loss of life. Fire can be classified into four categories which are jet fire, flash fire, pool fire and fireball. 2.4.3.1 Jet Fire Jet fire can be classified into two categories which are the fire that colliding against wall resulting in a diffuse flame and without collision. Immediate ignition will cause jet fire (Pietersen Engelhard, 1991). Jet fire also termed as spray fire. Diffusion flame is resulted from the combustion of a fuel that unceasingly released with significant momentum in a particular direction or direction. The releases of gaseous, flashing liquid and pure liquid inventories can cause jet fires (Executive, 2012). 2.4.3.2 Flash Fire According to C.M Pietersen et al. (1991), in case of gases, delayed ignitions in open spaces will result in flash fire. A flash fire is a sudden, intense fire caused by ignition of a mixture of air and a dispersed flammable substance such as solid, flammable or combustible liquid or a flammable gas. It is described as high temperature, short duration and a rapidly moving flame front. 2.4.3.3 Fireball Fireball can arises from the delayed ignition in enclosed containment that resulting in gas cloud explosion (Pietersen Engelhard, 1991). The gas cloud explosion together with fire will gives tremendous effect on the offshore platform such as destruction of platform. Fireball can cause severe injuries as well as loss of life to the personnel on board. 2.4.3.4 Pool Fire Pool fire can be defined as the turbulent diffusion fire burning above a horizontal pool vaporizing hydrocarbon fuel where the fuel has zero or low momentum. Pool fires could be static which depends on where the pool is contained. Large amount of hydrocarbon inventories have the highest risk and likelihood for the arising of pool fire (Executive, 2012). 2.5 Identification of Initial Accidental Events 2.5.1 Release and Leakage of Hydrocarbon from Process Equipment Hydrocarbon releases is one of the main reasons that result in accident. The release of hydrocarbon from the process equipment may cause ignition followed by fire. Each of the process equipment has its own release rate and frequency. The release rate may be depends on the size and diameter of the equipment. The leakage of hydrocarbon from process equipment can lead to fire and explosion. Oil and gas can migrate to other areas of the platform in a split second and cause ignition that may destruct the platform as well as kill many lives. It is important to minimize the number of equipment and piping installation in order to reduce the failure rate. It is better to operate at low pressure if possible to lessen the leak. The equipment with high leak potential such as compressor is place in open ventilated area. Separation between process system from drilling systems, utilities and accommodation is made by using blast and firewalls (Comer Eades, 1991). 2.5.2 Failure of Utilities The failure of utilities such as electric power shutting down pumps, compressors or motor operated valves can result in overpressure. Overpressure can be defined as pressure build up over the set pressure of the primary relieving device. Overpressure can cause sudden rupture or leak of utilities. Loss of cooling system such as water and refrigeration can form hazardous situations (Johnstone Curfew, 2011). 2.5.3 Falling Loads According to E.F. Brandie (1993), falling loads or dropped objects will create an immediate hazard to offshore workers. It also has high potential to cause major accidents if falling on the process equipment. The object may be dr