Wednesday, August 14, 2019
Assignment
The Richman Investments employee is responsible to ensure the affiliated member does not violate any Richman Investments policies, does not perform illegal activities, and does not use the access for outside business interests. The Richman Investments employee bears responsibility for the consequences should the access be misused. 3. Below are the following policies for details of protecting information when accessing the corporate network when referencing the remote access methods, and acceptable use of Richman Investments network: a. Wireless Communications Policy b. Acceptable Use Policy c. Acceptable Encryption Policy d. Virtual Private Network (VPN) Policy 4. Additional information regarding Richman Investmentââ¬â¢s remote access connection options, To include how to order or disconnect service, cost comparisons, troubleshooting, etc. , you will have to logon to Remote Access Services website. Framework Requirements 1. Secure remote access standard will be strictly controlled. Control will be enforced by a one-time password authentication and minimum 7 character length, special character and 1 numerical character with 1 month expiration. . No Richman Investments employee will ever provide their login or email password to Anyone in or out of Richman Investments without prior written consent. 3. Richman Investments employees and affiliates with remote access privileges must ensure that their Richman Investments-owned or personal computer or workstation, which is remotely connected to Richman Investments corporate network is not dual-connected to any other network at the same time. 4. Richman Investments employees and affiliates with remote access privileges to Richman Investments corporate network must not use non-Richman Investments email accounts or other external resources to conduct Richman Investments business. 5. Routers for dedicated lines configured for access to the Richman Investments network must meet minimum authentication requirements as designated by IT Staff. 6. Reconfiguration of a home users equipment for the purpose of split-tunneling or dual homing is not permitted at any time. 7. Frame Relay must meet minimum authentication requirements of company standards. 8. Non-standard hardware configurations must be approved by Remote Access Services, and InfoSec must approve security configurations for access to hardware. 9. All hosts that are connected to Richman Investments internal networks remote access technologies must use the most up to date anti-virus software, this will include personal computers. Third party connections must comply with requirements set forth by company. 10. Personal equipment that is used to connect to Richman Investments networks must meet the requirements of company-owned equipment for remote access and obtain written approval by company.
Tuesday, August 13, 2019
The case study of Coca-Cola will be provided by file .pdf. Read
The of Coca-Cola will be provided by file .pdf. Read throught it and then answer 4 questions in there. After that, di - Case Study Example Moreover, by early 1985, Pepsi had managed to acquire 2% sales of the huge market that amounted to $960 million in retail sales. Therefore, this called for change of strategies by Coca-Cola and their option was to introduce a new product that offered the same feature like their competitors. In this case, they had to conduct a research in order to introduce new product to market. After the investigation, they identified that Pepsi was offering a product that had a sweeter taste and this contributed to a growth in the preference resulting to increased market share. Coca-Cola commenced a research project, whereby they spent two years and $4million prior to settling on a new formula. They conducted 200, 000 taste test on the final formula and a blind test, whose results were sixty percent of the consumers choosing the new formula over the old one. In fact, fifty-two percent of the customers choose it over Pepsi, and this was an indication that new coke would assist in dealing with the pr oblem of losing the market share to Pepsi. 2. ... Moreover, Coca-Cola should have focused on the conducting a marketing research considering these emotions. Furthermore, there was a poor judgment during interpretation of research planning strategies by the managers. The poor judgment occurred when they found sixty percent of consumers who preferred the new Coke taste and this led to an assumption that the new coke would be the solution to their problem. However, this did not view this assertion in the basis on the other 40% who were still royal the old Coke; thus, they ended up trampling with the tastes of the royal customers who were not willing to accommodate the change of the taste. Therefore, the company should have focus on introducing the new Coke as a brand expansion and leave the old Coke like what happened with Cherry Coke. Coca-Cola Company had an advanced marketing research operation and their strategies have made them to be at the top of the market. However, in this their market was not based on scientific theories that could have assisted in understanding the consumer behaviors. 3. Companies such as Coca-Cola often test new products in plain white paper cups with no brand names or other marketing information. What does this ââ¬Ëblindââ¬â¢ testing really measure? Does applying these results to the ââ¬Ërealââ¬â¢ world raise any issues? Bind testing is aimed at measuring the actual response of the customers to a certain feature of the product without the influence of the brand name or other marketing information. Therefore, the consumer is expected to review the product without the ideas of the manufactures in their minds and these reviews are applied in rating the new product that is yet to be introduced into the market. For instance, Coca-Cola was seeking to settle the new
Monday, August 12, 2019
Fire Engineering Design Project Assignment Example | Topics and Well Written Essays - 1500 words
Fire Engineering Design Project - Assignment Example The perspectives of a variety of experts in the field of fire engineering will be explored. Appendix One Fire engineering may be better classified as the implementation of engineering regulations, laws and professional assessments. These elements may be based upon a cognitive evaluation of human motivation and an empirical comprehension of fire related effects in order to: Preserve life property, environmental resources and national heritages. Assess the dangers and potentials of fire related incidents. Methodologically assess the maximum protective and preventative requisites which are necessary to minimize the results of fire events. The endeavor of fire engineering is to reduce the consequences of fire in the vicinity of adjoining edifices and structures. This is required by national codification and convention. During the past thirty years, edifice related legislation has deviated from complete prescriptive mandates to more flexible rules as demonstrated by research and developme nt in the field. Many experts agree that the presently accepted regulatory documents which are designated Approved Document B (ADB) are not adapted to large open and more intricately constructed structures. In addition, the Approved Document B is not adapted to rehabilitated structures. Many of the requisites recommended in Approved Document B are non existent in edifices which were constructed prior to its inception. An example of this would be a structure with one staircase and one conspicuous egress point (Cooke 2011). The evaluation of the methods of escape inside of a structure, notwithstanding new or rehabilitated structures is reliant upon the aspects of the structure. The perspective for such a structure would be different if the structure were an office, a shop or an institution of higher education. The accepted conventions require that the structure or edifice be erected in agreement with the design recommendations that are within the parameters of Approved Document B. In accordance with this perspective, a compliant solution is implemented. This compliant solution requires strict adherence the design criteria. These criteria are not restricted to the Building Regulations and Approved Document B. There are roughly 120 documents which are currently set as criteria which may be applied as a design matrix for fire engineering (Lawrence Webster Forrest 2012). As a point of reference, the designer must consider the number of occupants who will occupy a structure at a predetermined moment. Subsequently, as architects plan and implement the required endeavors in order to ascertain various requisites, the fire engineer endeavors to calculate the planning of a structure's means of egress. Approved Document B accepts two techniques which may be applied to fire engineering. The primary technique is founded upon linear area abstractions. These abstractions may apply a value of six square meters per person in the case of an office environment or seven meters per person in the situation of a library. The Approved Document B table may be applied in order to provide a comparative analysis with similar structures with parallel applications. The Approved Document B, Table 4 suggests the application of the following standards: Optimal Occupancy of Persons Minimum number of egresses 60 1 600 2 Greater than 600 3 The coordinates of egress routes and the final exit doors are required to be accessible and recognizable by all occupants. The number of egresses
Sunday, August 11, 2019
European Union (EU) Law Essay Example | Topics and Well Written Essays - 3000 words
European Union (EU) Law - Essay Example Through proceedings, ECJ judges became deeply interested to take actions against conflicts creating depression for the transnational actors and other individuals who could claim that their rights under the Treaty of Rome were being violated by existing national law or administrative practice against national legal regimes and those actors, public and private, advantaged by national rules and practices 1. The ECJ is considered to be the most accurate jurisprudent body throughout the European community. So, there is no doubt that ECJ delegation in interpreting the treaties thereby ensuring that EU law is applied correctly in the member states is wrong. Similarly the European Parliament (EP) enjoys delegated powers in the legislative process through which EU policy is created, in the budgetary process through which the EU budget is shaped and adopted, under the control and supervision of the Commission. The empirical analysis demonstrates that the ECJ being a supranational institution have played an independent role in the development of a European enforcement system that is more constraining than national governments ever intended. Dissatisfied with existing means of enforcement at the European level and with governments' reluctance to delegate more powerful instruments, the ECJ and the Commission independently created and perfected a system of decentralized supervision, whereby individuals and national courts are engaged to monitor and enforce state compliance. This system of decentralized supervision is now an integral part of European governance which has influenced the course of European integration, not only by introducing new issues to the policy agenda, as is often argued, but also by securing a higher degree of compliance with the policy decisions that indeed are taken. What can one expect from close observation of such a system in which market integration has become the principle of ECJ policy-making as a result of non-majoritarian decisions taking into account only the contribution of Member States, for example, judicial law-making and Commission decisions. The best example is the implementation of such policies, which have been inclusive without much political attention, through interventions of the European Commission against infringements of Treaty obligations, and through the decisions that goes only in favour of the Member States with initial cooperation of the ECJ2. The doctrines of 'direct effect' and 'supremacy' have brought about the 'constitutionalization' in the ECJ law in the form of unseen competition and that even between individual stakeholders and Member States 3. It is considered those stakeholders' contribution matters the same way in policies implementation as that of Member States, however this is not the case. The ECJ along with the help of Commission has collectively sought out to shift the gravity in EU enforcement toward greater reliance on decentralized supervision through national courts. Exploiting its judicial independence and the absence of intrusive government control, it is said that the ECJ has strengthened the remedies available to individuals. ECJ has created a legal order in which individuals uphold the same rights as the Member States. However, the critical
Saturday, August 10, 2019
Traffic_individual memo Article Example | Topics and Well Written Essays - 750 words
Traffic_individual memo - Article Example Moreover, the whole scandal which surrounded this project inevitably creates suspicion from the government and publicity on further city incentives. And so, new Boston projects on traffic management should take into account all the previous mistakes in order to be approved and financed. In the current situation, social responsibility and appropriate traffic priorities should be included into the city infrastructure project plans in the future. In fact, the current city projects on traffic management cause more problems than improvements. In spite of tunnel construction, Boston is still in top-10 cities with the worst traffic in America with the congestion score 14.7 evaluated by INRIX (Hess and Weigley). In this context, in 2012 MassDOT spent half a million dollars on construction projects (57). This means that the ââ¬Å"Big Digâ⬠incentive that needed so much money was unable to fix all the city traffic problems. Moreover, Annual Report (2013) of Bostonââ¬â¢s Traffic Management Center signalized of 59 incidents on the roads in 2013 that were caused by construction and road works; it is almost every fourth traffic incident in Boston (3). And so, the construction works that are created in order to improve life of Bostonââ¬â¢s dwellers in exchange of this cause them injures and inconveniences. In general, it is supposed that lessons obtained from ââ¬Å"Big Digâ⬠project failure show that governmental involvement in city projects is necessary in order to keep them off extra expenses (Fryer). However, the main problem of inadequate response to the social needs is usually seen in the lack of governmental connection with civil society. In this context, the incidents with a woman who died in 2006 because of the project flaws (Fryer) and several injured workers on the tunnel construction indicate of social responsibility that is significant for each project in the area of traffic management. Moreover, public disapproval on high
Friday, August 9, 2019
Why people hold onto money Essay Example | Topics and Well Written Essays - 2000 words
Why people hold onto money - Essay Example The adjusted R squared is used to compare the explanatory power of regression model, which has different numbers of prediction variables. The variable is usually an adjusted version of R squared. The R squared is adjusted subject to the predictor of the mode of concern like econometric models. The adjusted value for R2 for the current model is 0.957985165. This implies that the predictors of the model are reliable. It is denoted by: F-test is usually made up of two chi-square variables, which are independent. The variables are divided by the appropriate degrees of freedom. The F-test is characterized by negative F values and a non-symmetric distribution of values. Additionally, the mean of the F-test is 1. The major purpose of the F-test is to ascertain whether the variances of two populations are equal. In this regard, the ration is one when the population variances are equal. In the above case, the population variances were equal because the F significance is 0. F-test applies when the null hypothesis is true. The F-test is denoted by: This is a standardized value, which is obtained from sample data. The t-test is used in conjunction with the F-test to determine the reliability of the null hypothesis. In this regard, the t-test helps a researcher to compare the results of the null hypothesis and the researcherââ¬â¢s data successfully. The value also helps in the computation of p-value when the null hypothesis ought to be rejected. The t-test for the above model is 4.788. The t-test indicates that the null hypothesis should be upheld. It is denoted by: The explained sum of squares represents the total sum of squares of deviation from mean value, of various predicted values. In this regard, high values of the sum of squares indicate reliability of the model used for statistical analysis. It is denoted by: The demand for money is based on the function of money, which include medium of exchange and store of value. This implies that people
Taxation Law Essay Example | Topics and Well Written Essays - 2000 words
Taxation Law - Essay Example It is important to note that perpetual form of employment has some elements of a contractual type. This is because both parties have to agree on work done, how it is to be done, remuneration among other things. There are several factors that should be deeply looked at when determining whether one is an employee or is self-employed. Top among those factors is the Terms of Employment. It is important to analyse the substance of a contract rather than only look at its wording. In Ferguson v Dawson1 the judge found that workers would be self-employed only and would thus avoid deduction of income tax and insurance from their salaries. Plaintiff worked on the defendantââ¬â¢s building site. He argued that he was an employee when he suffered an injury and could recover damages for breach of statutory duties. The judge held that the actual nature of their relationship was that of an employer/employee and plaintiff could recover damages. It is essential that courts exercise their power in a keen way. This ensures that they cannot be abused when the plaintiff wishes to be compensated whilst he had readily chosen to be employed as an independent contractor in order to avoid tax. Sebastian is under no legal or contractual obligation to accept any of the projects offered and, therefore, no contract exists between him and Giga Systems Limited. Control is also a factor that should be considered in trying to make out the existence of the employer/employee relationship. In a typical master/servant relationship, the master has total control over the actions of his servant. Bramwell LJ in Yewenes v Noakes2 stated: The control can be seen in employment relationships where the employer exercises total control over the actions of his employee. It, therefore, emerges that such a relationship exists where an employer tells his employee what to do and how to do it. While the test may still be in use, it appears to be outdated. This is due to the simple reason that
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