Thursday, November 28, 2019

The Kitchen Was A Mess Essays - , Term Papers

Sean Perkins 1/23/19 Austin "The Kitchen Was A Mess" Slowly my eyes opened like mini garage doors. My pupils slid over to the side of my bed and gazed at my Galaxy S7 Edge. I saw the abbreviation Sat. and dozed back off into sleep, upset that I had forgotten to turn off my alarm for school during the week. Just as I was returning to a comforting sigh of rest my mind jolted me awake! It was as if fingernails were being drug across a chalkboard, such an excruciating sound for an alarm clock (it's the only thing annoying enough to wake me up, though). Turning it off, I puzzled over what could have possessed me to set an alarm for a wonderful sleeping in' Saturday morning? Then my eyes widened "Oh no no no nooo!" Rushing to get dressed I could still smell the popcorn, mint chocolate chip ice cream and pepperoni pizza from the night before. Such indulgence was the like for me when left alone to fend for myself without the guidance of my parents. And similarly looking like the yellow brick road in the Wizard of Oz, I followed slices of pizza crusts, an empty popcorn bag and candy wrappers that led me to the final room of mass destruction, the kitchen! Traipsing through the battlefield of potato chips and half eaten snack food, my eyes caught the time. Yikes! My parents were returning from a relaxing few days away and the one thing they left for me to do is to have the kitchen as clean as they left it. Opps. Anxiety crept into my throat, "Oh shit!" I only had 30 minutes to clean up this jumble of chaos. Into turbo mode I went through the area focusing on throwing items into the trash, rinsing dishes and putting them in the dishwasher, sweeping/mopping the floor. I received a text from my Mom saying they were 10 mins out and as I gazed over my awesome work I realized I had time to jump back into bed and catch up with my dreams of white sandy beaches.

Sunday, November 24, 2019

milgrims shock psychology essays

milgrims shock psychology essays The most famous experiment Milgram conducted was also his most controversial. The issue dealt with the people's right to know on what he/she is being studied. On the surface, the experiment looked legit and totally scientific. Two people were brought in at a time and each would draw from a hat. One would be the teacher, one the learner. After going over exactly how the "shock treatment" worked, the teacher went to his control panel and the learner was hooked up to electrodes. The teacher would first read lists of paired words, then asked the learner to pair up the now separated words. For each wrong answer, an increasing dose of electricity was given. In reality, there was only one volunteer brought in at a time. The learner was one of the scientists, and was not getting shocked at all. Actually, for the entire experiment, a prerecorded audio tape was used for the voice of the learner. The experiment was not studying the effect of electrical shock on learning, but really how the teacher would react to an authoritative figure's requests to continue. In this case, the teacher was to be convinced that as he continued, the learner's health was increasingly compromised. Towards the end of the experiment, the learner stopped pleading or making any noise at all, implying that he had passed out or maybe died. The results of the experiment helped researchers explain such things as why or how Nazi officers and soldiers continued the horrible treatment of the people of Europe in concentration camps during WWII. Although experiments like this provide valuable information, the question "was it ethical" is raised. To answer this, we must examine the necessity of the means. Was there any other way to get this data? If we look at such sociological phenomenon as the Hawthorne Effect, we can say that if the teachers knew th ...

Thursday, November 21, 2019

American History Essay Example | Topics and Well Written Essays - 750 words

American History - Essay Example These images have a significant influence on the way students and historians perceive their past (Chrestien, 104). This paper evaluates a number of primary sources that accrue to the history of the first Americans while relating the sources in terms of their contributions to the current written history. In 1926, George McJunkin, an African-American cowboy, made a discovery that hugely changed the perception towards North America’s first natives (Johnson, 31). He spotted bleached bones while tracking lost cattle near Folsom, New Mexico but the bones were later found to belong to a bison species extinct for more than 10,000 years (Johnson, 33). The talk point of the discovery was the spearheads made of stone by humans found mixed with the bones, which meant that Indian ancestry could be traced back to thousands of years before the time thought by most of the 20th century authorities. As Johnson (48) asserts, the first Europeans who inhabited America in the 15th century believed that this was the new world but this discovery disapproved them as it was established that more that 20,000 years before, there were inhabitants in the area. There exist no documented records to affirm that diversity of societies in early America thrived, although the differences in cultural practices and languages were enough proof. In order to reshape this history, Johnson (66) believes that one has to look at the various primary sources of information, mainly archeological artifacts, which record the past behaviors of the humans. A wide range of artifacts that includes basket snippets, pottery fragments, oral traditions, discarded tools/ equipment, and food remains have been used by archeologists, anthropologists and historians to put together relevant pieces of information about the social organization, diet, and technology of these people and the changes they have gone through over time. In the 16th century, Chrestien (105) argues that Europeans believed that Indians originated from the Lost Tribes of Israel with reference to the Bible, while others associated their ancestry with the myth of the lost continent of Atlantis while another suggestion came from a Spanish missionary (Jose de Acosta) that the Indians are part of the small group of hunters that was driven away from their Asian homes by starvation and other hardships. The notion that America’s first habitats came from Asia is supported by physical anthropology. American natives and people of northeast Asia have common physical traits that form a strong line of evidence that North America was inhabited by Indians. These physical traits include (Johnson, 101); i. Straight black hair. ii. Wide cheekbones. iii. Shovel-shaped incisors. iv. Dark brown eyes. Bering Strait, which currently separates Siberia and Alaska, has been believed to be the area used by America’s pioneers to cross into North America (Johnson, 121). According to Johnson (122), this took place around 25,000 to 70,000 yea rs ago during one of the ice ages where large volumes of water froze into glaciers creating a land bridge between Alaska and Siberia. The land bridge is believed to have appeared twice; between 26,000 and 28, 000 years ago, and between 10,000-12,000 and 20,000 years ago (Johnson, 145). It is during this period that authorities believe Indians came into America as they followed the migratory patterns of animals which were their major source of food with the aid of the Beringia (the land bridge formed from the frozen waters) (Chrestien, 105).

Wednesday, November 20, 2019

SABMiller Essay Example | Topics and Well Written Essays - 2500 words

SABMiller - Essay Example While the company itself is in those who consume its products do not know many instances, its brands are quite popular among the consumers. In many of the African nations, in which it has businesses, the brands under SABMiller are often the most popular. SABMiller is a company that has throughout its history, displayed a high capacity for being able to manage and develop its brands to a high quality level that many of its rivals have rarely been able to match. This skilful management of its brands in different countries has enabled the company to become highly successful, as those who work for it receive a high level of training to ensure that the quality of its products is retained. The wide range of products that this company produces means that it has to hire and maintain a large workforce in order to be able to function effectively. Unlike other companies, SABMiller has since its founding, been extremely careful with the management of its staff, not only because of the need to ma ke profit continuously, but also to further the good reputation that the company has always had. Because of the skill that SABMiller has been able to display in the production of its products in diverse countries, it has been able to achieve success on the international scene where other companies take years to achieve the same. One would claim that SABMiller’s success is based not only on the quality of the company’s products, but also on the strategies that it has been able to implement to make its operations successful. This company was founded as South African Breweries towards the end of the 19th century in South Africa, and for many years afterwards, the functions of this company were restricted to Southern Africa. This is because of the fact that this company had established an overriding position in the southern African market. However, in 1990 this company decided to venture into the European market, and in 1999, it managed to get listed in the London Stock Ex change, with the intention of raising enough capital to make acquisitions. It is in 2002 that the company was able to acquire Miller Brewing Company in North America, and with this acquisition, the company chose to change its name to SABMiller (Hobday, 2002). A series of hostile takeovers in Latin America and Europe saw the swift growth of the company, and this eventually brought it to its status as the second largest brewer in the world (Bruss 2002, p.10). The company’s innovation has ensured that it has remained at the top of the world’s brewing industry and an example that can be given of this innovation, is the recent introduction of Impala Cervejas, the first cassava beer that has been produced for commercial purposes in Africa (Appropriate Technology 2012, p.23). This company has about 70000 employees all over the world and its operations have, according to its 2012 records, it managed to bring in revenue of just over 21 billion dollars (Buck 2012, p.49). In Afri ca, the activities of SABMiller are conducted in 15 countries, all of which are in the Sub-Saharan region. This company has been dominant in the region for many years and because of this, its brands are well known by the people. The large customer base of SABMiller’s products has ensured that the company has been successful in the region and has creates a loyal market for its products (Peaple, 2012). A further 21 countries in Africa are enclosed all the way through a strategic alliance with the Castel group which has ensured that SABMiller has become the largest brewer in Africa, by market share, a feat that has not been achieved by any other brewing company on the continent. In addition to the brewing activities of SABMiller in Africa, it is under license from Coca-Cola to bottle soft drinks on behalf of the latter

Monday, November 18, 2019

English 11 Article Example | Topics and Well Written Essays - 1250 words

English 11 - Article Example Together with the portability of these devices, the computational capability of smartphones have made the devices increasingly become popular with 42% of all mobile subscribers in the US using smartphones, where 37% and 60% of adults and teens respectively acknowledge their addiction to the devices (Sarwar and Soomro 218). In fact, Boulos, Wheeler, and Jones observe that the devices have offered immense competition to personal computers in their market and have impacted â€Å"not only on the manner in which we communicate, but also on our sense of culture, community, identity and relationships† (2). Thus, this paper articulates the positive and negative effects of smartphone technology with regard to how it has transformed people’s way of communication, conducting and transacting in business and entertainment. Smartphone technology has changed the way people communicate, making it even more convenient. Other than its portability, a smartphone offers Internet connectivit y capabilities which open up the device to various ways through which communication, whether formal or informal could be undertaken. One of the weaknesses that e-mail communication had before the advent of smartphones according to Derks and Bakker was accessibility. E-mails would only be accessed in the presence of a computer. But smartphones offer wireless Internet connectivity such that users receive and respond to e-mail communications whenever, wherever. This makes people available whenever needed, hence more appreciation of e-mails as communication tools. Other than instant communication, smartphones provide various options through which people communicate. The devices have transformed people from using the traditional modes of communication, particularly e-mails and phone calls, to other modes such as WhatsApp, an application that allows for instant messaging. Such applications have transformed group communications such that people no longer have to meet physically to communic ate. Rather, through group communication platforms, such as applications like WhatsApp and social media platforms, groups interact conveniently. If need be, these people could see each other as they communicate through the web cameras on the devices which bridges the distance (Boulos, Wheeler, and Jones 4). This has greatly reduced on the time that was initially spent to make decisions, thus people not only enjoy the convenience of the technology but also the promptness with which it allows for decisions to be made. The portability and greater functionality of smartphone technology have transformed the way entrepreneurs conduct businesses and execute their transactions, hence giving business greater capabilities, which in turn generate more business opportunities. In a study conducted in Malaysia, Osam et al. (274) acknowledge the advancement in computing power and connectivity of smartphones compared to contemporary mobile phones. Businesspeople appreciate this capacity and use sma rtphones to conveniently and promptly access the required information, be it on stocks, market prices of commodities or foreign exchange rates among others. This enables them to make prompt and informed business decisions whenever needed, regardless of their location. Moreover, marketing being an important component of business has greatly transformed with the introduction of smartphones to the market. Marketers use the various communication

Friday, November 15, 2019

The ability of a metal

The ability of a metal < The ability of a metal to deform plastically and to absorb energy in the process before fracture is termed toughness. The emphasis of this definition should be placed on the ability to absorb energy before fracture. Recall that ductility is a measure of how much something deforms plastically before fracture, but just because a material is ductile does not make it tough. The key to toughness is a good combination of strength and ductility. A material with high strength and high ductility will have more toughness than a material with low strength and high ductility. Therefore, one way to measure toughness is by calculating the area under the stress strain curve from a tensile test. This value is simply called material toughness and it has units of energy per volume. Material toughness equates to a slow absorption of energy by the material. There are several variables that have a profound influence on the toughness of a material. These variables are: train rate (rate of loading). Temperature. Notch effect. A metal may possess satisfactory toughness under static loads but may fail under dynamic loads or impact. As a rule ductility and, therefore, toughness decrease as the rate of loading increases. Temperature is the second variable to have a major influence on its toughness. As temperature is lowered, the ductility and toughness also decrease. The third variable is termed notch effect, has to due with the distribution of stress. A material might display good toughness when the applied stress is uniaxial; but when a multiaxial stress state is produced due to the presence of a notch, the material might not withstand the simultaneous elastic and plastic deformation in the various directions. There are several standard types of toughness test that generate data for specific loading conditions and/or component design approaches. Three of the toughness properties that will be discussed in more detail are: Impact toughness. Notch toughness. Fracture toughness. Impact Toughness: The impact toughness (AKA Impact strength) of a material can be determined with a Charpy or Izod test. These tests are named after their inventors and were developed in the early 1900s before fracture mechanics theory was available. Impact properties are not directly used in fracture mechanics calculations, but the economical impact tests continue to be used as a quality control method to assess notch sensitivity and for comparing the relative toughness of engineering materials. The two tests use different specimens and methods of holding the specimens, but both tests make use of a pendulum-testing machine. For both tests, the specimen is broken by a single overload event due to the impact of the pendulum. A stop pointer is used to record how far the pendulum swings back up after fracturing the specimen. The impact toughness of a metal is determined by measuring the energy absorbed in the fracture of the specimen. This is simply obtained by noting the height at which the pendulum is released and the height to which the pendulum swings after it has struck the specimen . The height of the pendulum times the weight of the pendulum produces the potential energy and the difference in potential energy of the pendulum at the start and the end of the test is equal to the absorbed energy. Since toughness is greatly affected by temperature, a Charpy or Izod test is often repeated numerous times with each specimen tested at a different temperature. This produces a graph of impact toughness for the material as a function of temperature. An impact toughness versus temperature graph for a steel is shown in the image. It can be seen that at low temperatures the material is more brittle and impact toughness is low. At high temperatures the material is more ductile and impact toughness is higher. The transition temperature is the boundary between brittle and ductile behavior and this temperature is often an extremely important consideration in the selection of a material. Fracture Toughness: Fracture toughness is an indication of the amount of stress required to propagate a preexisting flaw. It is a very important material property since the occurrence of flaws is not completely avoidable in the processing, fabrication, or service of a material/component. Flaws may appear as cracks, voids, metallurgical inclusions, weld defects, design discontinuities, or some combination thereof. Since engineers can never be totally sure that a material is flaw free, it is common practice to assume that a flaw of some chosen size will be present in some number of components and use the linear elastic fracture mechanics (LEFM) approach to design critical components. This approach uses the flaw size and features, component geometry, loading conditions and the material property called fracture toughness to evaluate the ability of a component containing a flaw to resist fracture. A parameter called the stress-intensity factor (K) is used to determine the fracture toughness of most materials. A Roman numeral subscript indicates the mode of fracture and the three modes of fracture are illustrated in the image to the right. Mode I fracture is the condition in which the crack plane is normal to the direction of largest tensile loading. This is the most commonly encountered mode and, therefore, for the remainder of the material we will consider KI. The stress intensity factor is a function of loading, crack size, and structural geometry. The stress intensity factor may be represented. Role of Material Thickness: Specimens having standard proportions but different absolute size produce different values for KI. This results because the stress states adjacent to the flaw changes with the specimen thickness (B) until the thickness exceeds some critical dimension. Once the thickness exceeds the critical dimension, the value of KI becomes relatively constant and this value, KIC , is a true material property which is called the plane-strain fracture toughness. The relationship between stress intensity, KI, and fracture toughness, KIC, is similar to the relationship between stress and tensile stress. The stress intensity, KI, represents the level of stress at the tip of the crack and the fracture toughness, KIC, is the highest value of stress intensity that a material under very specific (plane-strain) conditions that a material can withstand without fracture. As the stress intensity factor reaches the KIC value, unstable fracture occurs. As with a materials other mechanical properties, KIC is commo nly reported in reference books and other sources. Plane Strain: A condition of a body in which the displacements of all points in the body are parallel to a given plane, and the values of theses displacements do not depend on the distance perpendicular to the plane. Plane Stress: A condition of a body in which the state of stress is such that two of the principal stresses are always parallel to a given plane and are constant in the normal direction. Plane-Strain and Plane-Stress: When a material with a crack is loaded in tension, the materials develop plastic strains as the yield stress is exceeded in the region near the crack tip. Material within the crack tip stress field, situated close to a free surface, can deform laterally (in the z-direction of the image) because there can be no stresses normal to the free surface. The state of stress tends to biaxial and the material fractures in a characteristic ductile manner, with a 45o shear lip being formed at each free surface. This condition is called plane-stress and it occurs in relatively thin bodies where the stress through the thickness cannot vary appreciably due to the thin section. However, material away from the free surfaces of a relatively thick component is not free to deform laterally as it is constrained by the surrounding material. The stress state under these conditions tends to triaxial and there is zero strain perpendicular to both the stress axis and the direction of crack propagation when a material is loaded in tension. This condition is called plane-strain and is found in thick plates. Under plane-strain conditions, materials behave essentially elastic until the fracture stress is reached and then rapid fracture occurs. Since little or no plastic deformation is noted, this mode fracture is termed brittle fracture. Plane-Strain Fracture Toughness Testing: When performing a fracture toughness test, the most common test specimen configurations are the single edge notch bend (SENB or three-point bend), and the compact tension (CT) specimens. From the above discussion, it is clear that an accurate determination of the plane-strain fracture toughness requires a specimen whose thickness exceeds some critical thickness (B). Testing has shown that plane-strain conditions generally prevail when: When a material of unknown fracture toughness is tested, a specimen of full material section thickness is tested or the specimen is sized based on a prediction of the fracture toughness. If the fracture toughness value resulting from the test does not satisfy the requirement of the above equation, the test must be repeated using a thicker specimen. In addition to this thickness calculation, test specifications have several other requirements that must be met (such as the size of the shear lips) before a test can be said to have resulted in a KIC value. When a test fails to meet the thickness and other test requirement that are in place to insure plane-strain condition, the fracture toughness values produced is given the designation KC. Sometimes it is not possible to produce a specimen that meets the thickness requirement. For example when a relatively thin plate product with high toughness is being tested, it might not be possible to produce a thicker specimen with plain-strain conditions at the crack tip. Plane-Stress and Transitional-Stress States: For cases where the plastic energy at the crack tip is not negligible, other fracture mechanics parameters, such as the J integral or R-curve, can be used to characterize a material. The toughness data produced by these other tests will be dependant on the thickness of the product tested and will not be a true material property. However, plane-strain conditions do not exist in all structural configurations and using KIC values in the design of relatively thin areas may result in excess conservatism and a weight or cost penalty. In cases where the actual stress state is plane-stress or, more generally, some intermediate- or transitional-stress state, it is more appropriate to use J integral or R-curve data, which account for slow, stable fracture (ductile tearing) rather than rapid (brittle) fracture. Uses of Plane-Strain Fracture Toughness: KIC values are used to determine the critical crack length when a given stress is applied to a component. Orientation: The fracture toughness of a material commonly varies with grain direction. Therefore, it is customary to specify specimen and crack orientations by an ordered pair of grain direction symbols. The first letter designates the grain direction normal to the crack plane. The second letter designates the grain direction parallel to the fracture plane. For flat sections of various products, e.g., plate, extrusions, forgings, etc., in which the three grain directions are designated (L) longitudinal, (T) transverse, and (S) short transverse, the six principal fracture path directions are: L-T, L-S, T-L, T-S, S-L and S-T. Fatigue Properties: Fatigue cracking is one of the primary damage mechanisms of structural components. Fatigue cracking results from cyclic stresses that are below the ultimate tensile stress, or even the yield stress of the material. The name fatigue is based on the concept that a material becomes tired and fails at a stress level below the nominal strength of the material. The facts that the original bulk design strengths are not exceeded and the only warning sign of an impending fracture is an often hard to see crack, makes fatigue damage especially dangerous. The fatigue life of a component can be expressed as the number of loading cycles required to initiate a fatigue crack and to propagate the crack to critical size. Therefore, it can be said that fatigue failure occurs in three stages crack initiation; slow, stable crack growth; and rapid fracture. As discussed previously, dislocations play a major role in the fatigue crack initiation phase. In the first stage, dislocations accumulate near surface stress concentrations and form structures called persistent slip bands (PSB) after a large number of loading cycles. PSBs are areas that rise above (extrusion) or fall below (intrusion) the surface of the component due to movement of material along slip planes. This leaves tiny steps in the surface that serve as stress risers where tiny cracks can initiate. These tiny crack (called microcracks) nucleate along planes of high shear stress which is often 45o to the loading direction. In the second stage of fatigue, some of the tiny microcracks join together and begin to propagate through the material in a direction that is perpendicular to the maximum tensile stress. Eventually, the growth of one or a few crack of the larger cracks will dominate over the rest of the cracks. With continued cyclic loading, the growth of the dominate crack or cracks will continue until the remaining uncracked section of the component can no longer support the load. At this point, the fracture toughness is exceeded and the remaining cross-section of the material experiences rapid fracture. This rapid overload fracture is the third stage of fatigue failure. Factors Affecting Fatigue Life In order for fatigue cracks to initiate, three basic factors are necessary. First, the loading pattern must contain minimum and maximum peak values with large enough variation or fluctuation. The peak values may be in tension or compression and may change over time but the reverse loading cycle must be sufficiently great for fatigue crack initiation. Secondly, the peak stress levels must be of sufficiently high value. If the peak stresses are too low, no crack initiation will occur. Thirdly, the material must experience a sufficiently large number of cycles of the applied stress. The number of cycles required to initiate and grow a crack is largely dependant on the first to factors. In addition to these three basic factors, there are a host of other variables, such as stress concentration, corrosion, temperature, overload, metallurgical structure, and residual stresses which can affect the propensity for fatigue. Since fatigue cracks generally initiate at a surface, the surface condition of the component being loaded will have an effect on its fatigue life. Surface roughness is important because it is directly related to the level and number of stress concentrations on the surface. The higher the stress concentration the more likely a crack is to nucleate. Smooth surfaces increase the time to nucleation. Notches, scratches, and other stress risers decrease fatigue life. Surface residual stress will also have a significant effect on fatigue life. Compressive residual stresses from machining, cold working, heat treating will oppose a tensile load and thus lower the amplitude of cyclic loading. The figure shows several types of loading that could initiate a fatigue crack. The upper left figure shows sinusoidal loading going from a tensile stress to a compressive stress. For this type of stress cycle the maximum and minimum stresses are equal. Tensile stress is considered positive, and compressive stress is negative. The figure in the upper right shows sinusoidal loading with the minimum and maximum stresses both in the tensile realm. Cyclic compression loading can also cause fatigue. The lower figure shows variable-amplitude loading, which might be experienced by a bridge or airplane wing or any other component that experiences changing loading patterns. In variable-amplitude loading, only those cycles exceeding some peak threshold will contribute to fatigue cracking. S-N Fatigue Properties. There are two general types of fatigue tests conducted. One test focuses on the nominal stress required to cause a fatigue failure in some number of cycles. This test results in data presented as a plot of stress (S) against the number of cycles to failure (N), which is known as an S-N curve. A log scale is almost always used for N. The data is obtained by cycling smooth or notched specimens until failure. The usual procedure is to test the first specimen at a high peak stress where failure is expected in a fairly short number of cycles. The test stress is decreased for each succeeding specimen until one or two specimens do not fail in the specified numbers of cycles, which is usually at least 107 cycles. The highest stress at which a runout (non-failure) occurs is taken as the fatigue threshold. Not all materials have a fatigue threshold (most nonferrous metallic alloys do not) and for these materials the test is usually terminated after about 108 or 5108 cycles. Since the amplitude of the cyclic loading has a major effect on the fatigue performance, the S-N relationship is determined for one specific loading amplitude. The amplitude is express as the R ratio value, which is the minimum peak stress divided by the maximum peak stress. (R=ÏÆ'min/ÏÆ'max). It is most common to test at an R ratio of 0.1 but families of curves, with each curve at a different R ratio, are often developed. A variation to the cyclic stress controlled fatigue test is the cyclic strain controlled test. In this test, the strain amplitude is held constant during cycling. Strain controlled cyclic loading is more representative of the loading found in thermal cycling, where a component expands and contracts in response to fluctuations in the operating temperature. It should be noted that there are several short comings of S-N fatigue data. First, the conditions of the test specimens do not always represent actual service conditions. For example, components with surface conditions, such as pitting from corrosion, which differs from the condition of the test specimens will have significantly different fatigue performance. Furthermore, there is often a considerable amount of scatter in fatigue data even when carefully machined standard specimens out of the same lot of material are used. Since there is considerable scatter in the data, a reduction factor is often applied to the S-N curves to provide conservative values for the design of components. Introduction to Materials: This section will provide a basic introduction to materials and material fabrication processing. It is important that NDT personnel have some background in material science for a couple of reasons. First, nondestructive testing almost always involves the interaction of energy of some type (mechanics, sound, electricity, magnetism or radiation) with a material. To understand how energy interacts with a material, it is necessary to know a little about the material. Secondly, NDT often involves detecting manufacturing defects and service induced damage and, therefore, it is necessary to understand how defects and damage occur. This section will begin with an introduction to the four common types of engineering materials. The structure of materials at the atomic level will then be considered, along with some atomic level features that give materials their characteristic properties. Some of the properties that are important for the structural performance of a material and methods for modifying these properties will also be covered. In the second half of this text, methods used to shape and form materials into useful shapes will be discussed. Some of the defects that can occur during the manufacturing process, as well as service induced damage will be highlighted. This section will conclude with a summary of the role that NDT plays in ensuring the structural integrity of a component. In materials science, fracture toughness is a property which describes the ability of a material containing a crack to resist fracture, and is one of the most important properties of any material for virtually all design applications. It is denoted KIc and has the units of . The subscript Ic denotes mode I crack opening under a normal tensile stress perpendicular to the crack, since the material can be made thick enough to resist shear (mode II) or tear (mode III). Fracture toughness is a quantitative way of expressing a materials resistance to brittle fracture when a crack is present. If a material has a large value of fracture toughness it will probably undergo ductile fracture. Brittle fracture is very characteristic of materials with a low fracture toughness value. [1] Fracture mechanics, which leads to the concept of fracture toughness, was largely based on the work of A. A. Griffith who, among other things, studied the behavior of cracks in brittle materials. Crack growth as a stability problem: Consider a body with flaws (cracks) that is subject to some loading; the stability of the crack can be assessed as follows. We can assume for simplicity that the loading is of constant displacement or displacement controlled type (such as loading with a screw jack); we can also simplify the discussion by characterizing the crack by its area, A. If we consider an adjacent state of the body as being one with a larger crack (area A+dA), we can then assess strain energy in the two states and evaluate strain energy release rate. The rate is reckoned with respect to the change in crack area, so if we use U for strain energy, the strain energy release rate is numerically dU/dA. It may be noted that for a body loaded in constant displacement mode, the displacement is applied and the force level is dictated by stiffness (or compliance) of the body. If the crack grows in size, the stiffness decreases, so the force level will decrease. This decrease in force level under the same displacement (strain) level indicates that the elastic strain energy stored in the body is decreasing is being released. Hence the term strain energy release rate which is usually denoted with symbol G. The strain energy release rate is higher for higher loads and larger cracks. If the strain energy so released exceeds a critical value Gc, then the crack will grow spontaneously. For brittle materials, Gc can be equated to the surface energy of the (two) new crack surfaces; in other words, in brittle materials, a crack will grow spontaneously if the strain energy released is equal to or greater than the energy required to grow the crack surface(s). The stability condition can be written as; Elastic energy released = surface energy created: If the elastic energy releases is less than the critical value, then the crack will not grow; equality signifies neutral stability and if the strain energy release rate exceeds the critical value, the crack will start growing in an unstable manner. For ductile materials, energy associated with plastic deformation has to be taken into account. When there is plastic deformation at the crack tip (as occurs most often in metals) the energy to propagate the crack may increase by several orders of magnitude as the work related to plastic deformation may be much larger than the surface energy. In such cases, the stability criterion has to restated as; Elastic energy released = surface energy + plastic deformation energy; Practically, this means a higher value for the critical value Gc. From the definition of G, we can deduce that it has dimensions of work (or energy) /area or force/length. For ductile metals GIc is around 50 to 200 kJ/m2, for brittle metals it is usually 1-5 and for glasses and brittle polymers it is almost always less than 0.5. The I subscript here refers to mode I or crack opening mode as described in the section on fracture mechanics. The problem can also be formulated in terms of stress instead of energy, leading to the terms stress intensity factor K (or KI for mode I) and critical stress intensity factor Kc (and KIc). These Kc and KIc (etc) quantities are commonly referred to as fracture toughness, though it is equivalent to use Gc. Typical values for KIcare 150 MN/m3/2 for ductile (very tough) metals, 25 for brittle ones and 1-10 for glasses and brittle polymers. Notice the different units used by GIc and KIc. Engineers tend to use the latter as an indication of toughness. Transformation toughening: Composites exhibiting the highest level of fracture toughness are typically made of a pure alumina or some silica-alumina (SiO2 /Al2O3) matrix with tiny inclusions of zirconia (ZrO2) dispersed as uniformly as possible within the solid matrix. (*Note: a wet chemical approach is typically necessary in order to establish the compositional uniformity of the ceramic body before firing). The process of transformation toughening is based on the assumption that zirconia undergoes several martensitic (displacive, diffusionless) phase transformations (cubic → tetragonal → monoclinic) between room temperature and practical sintering (or firing) temperatures. Thus, due to the volume restrictions induced by the solid matrix, metastable crystalline structures can become frozen in which impart an internal strain field surrounding each zirconia inclusion upon cooling. This enables a zirconia particle (or inclusion) to absorb the energy of an approaching crack tip front in its nearby vicinity. Thus, the application of large shear stresses during fracture nucleates the transformation of a zirconia inclusion from the metastable phase. The subsequent volume expansion from the inclusion (via an increase in the height of the unit cell) introduces compressive stresses which therefore strengthen the matrix near the approaching crack tip front. Zirconia whiskers may be used expressly for this purpose. Appropriately referred to by its first dicoverers as ceramic steel, the stress intensity factor values for window glass (silica), transformation toughened alumina, and a typical iron/carbon steel range from 1 to 20 to 50 respectively. Conjoint action: There are number of instances where this picture of a critical crack is modified by corrosion. Thus, fretting corrosion occurs when a corrosive medium is present at the interface between two rubbing surfaces. Fretting (in the absence of corrosion) results from the disruption of very small areas that bond and break as the surfaces undergo friction, often under vibrating conditions. The bonding contact areas deform under the localised pressure and the two surfaces gradually wear away. Fracture mechanics dictates that each minute localised fracture has to satisfy the general rule that the elastic energy released as the bond fractures has to exceed the work done in plastically deforming it and in creating the (very tiny) fracture surfaces. This process is enhanced when corrosion is present, not least because the corrosion products act as an abrasive between the rubbing surfaces. Fatigue is another instance where cyclical stressing, this time of a bulk lump of metal, causes small flaws to develop. Ultimately one such flaw exceeds the critical condition and fracture propagates across the whole structure. The fatigue life of a component is the time it takes for criticality to be reached, for a given regime of cyclical stress. Corrosion fatigue is what happens when a cyclically stressed structure is subjected to a corrosive environment at the same time. This not only serves to initiate surface cracks but (see below) actually modifies the crack growth process. As a result the fatigue life is shortened, often considerably. Stress-corrosion cracking (SCC): Main article: Stress corrosion cracking: This phenomenon is the unexpected sudden failure of normally ductile metals subjected to a constant tensile stress in a corrosive environment. Certain austenitic stainless steels and aluminium alloys crack in the presence of chlorides, mild steel cracks in the present of alkali (boiler cracking) and copper alloys crack in ammoniacal solutions (season cracking). Worse still, high-tensile structural steels crack in an unexpectedly brittle manner in a whole variety of aqueous environments, especially chloride. With the possible exception of the latter, which is a special example of hydrogen cracking, all the others display the phenomenon of subcritical crack growth, i.e. small surface flaws propagate (usually smoothly) under conditions where fracture mechanics predicts that failure should not occur. That is, in the presence of a corrodent, cracks develop and propagate well below KIc. In fact, the subcritical value of the stress intensity, designated as KIscc, may be less than 1% of KIc, The subcritical nature of propagation may be attributed to the chemical energy released as the crack propagates. That is, Elastic energy released + chemical energy = surface energy + deformation energy: The crack initiates at KIscc and thereafter propagates at a rate governed by the slowest process, which most of the time is the rate at which corrosive ions can diffuse to the crack tip. As the crack advances so K rises (because crack length appears in the calculation of stress intensity). Finally it reaches KIc , whereupon fast fracture ensues and the component fails. One of the practical difficulties with SCC is its unexpected nature. Stainless steels, for example, are employed because under most conditions they are passive, i.e. effectively inert. Very often one finds a single crack has propagated while the rest of the metal surface stays apparently unaffected. See also: Fracture. Fracture mechanics. Brittle-ductile transition zone. Charpy impact test. Izod impact strength test. Toughness of ceramics by indention. Stress corrosion cracking. Toughness. References: Hertzberg, Richard W. (1995-12). Deformation and Fracture Mechanics of Engineering Materials (4 ed.). Wiley. ISBN 0471012149. AR Boccaccini, S Atiq, DN Boccaccini, I Dlouhy, C Kaya (2005). Fracture behaviour of mullite fibre reinforced-mullite matrix composites under quasi-static and ballistic impact loading. Composites Science and Technology 65: 325 333. doi:10.1016/j.compscitech.2004.08.002. Other References: Anderson, T.L., Fracture Mechanics: Fundamentals and Applications (CRC Press, Boston 1995). Davidge, R.W., Mechanical Behavior of Ceramics (Cambridge University Press 1979). Lawn, B., Fracture of Brittle Solids (Cambridge University Press 1993, 2nd edition). Knott, Fundamentals of Fracture Mechanics (1973). Foroulis (ed.), Environmentally-Sensitive Fracture of Engineering Materials (1979). Suresh, S., Fatigue of Materials (Cambridge University Press 1998, 2nd edition). West, J.M., Basic Corrosion Oxidation (Horwood 1986, 2nd edn), chap.12. Green, D.J.; Hannink, R.; Swain, M.V. (1989). Transformation Toughening of Ceramics, Boca Raton: CRC Press. ISBN 0-8493-6594-5. http://www.sv.vt.edu/classes/MSE2094_NoteBook/97ClassProj/exper/gordon/www/fractough.html. http://www.springerlink.com/content/v2m7u4qm53172069/fulltext.pdf sriram. Retrieved from http://en.wikipedia.org/wiki/Fracture_toughness A fracture is the (local) separation of an object or material into two, or more, pieces under the action of stress. The word fracture is

Wednesday, November 13, 2019

Essay --

Teresa Devlin 12 February 2014 PSY2012L The research article that I read was about the relationship between the use of technology in children and how their creativity level increases as a result of using different types of technological devices. This research was done by measuring the child’s level of creativity after using different types of electronic devices based on Torrance’s test of creative thinking, which is said by many researchers to be the best and most accurate way to measure creativity in children. The hypothesis of the study was that one of the four electronic devices would cause for a greater level of creativity. The four devices that were used in this study were computers, the Internet, video games, and cell phones. The researchers were very drawn to the fact that many children played video games and that video games are a part of many children’s every day activity. The study was conducted with almost five hundred 12 year-old children. The gender ratio was about half female and half ma le. The ratio of the racial backgrounds was about 70% Caucasian and 30% African American. The study was set up so the participants had two stimuli to respond to, which were pictures of an elf and an egg. The participants were to respond to the stimuli in the form of questions about what they thought of the pictures, to list what they thought was happening in the picture, and the possibilities of what they think might happen next in the picture. They were also asked what their favorite video game was. The independent variable, or the variable being changed, was the use of the four devices. The dependent variable, or the variable that is being measured, was the level of creativity after using the device. The research was conducted o... ...o become creative so you should go out and buy your child a video game if you want them to become more creative. That is why causal conclusions cannot be made in this correlational study. I think that another explanation of why children that play video games scored higher on the creative thinking tests is because video games open you into a new world. I think that they open your imagination and allow you to think like you never have before because of the things that video games portray such as outer space, different worlds, and things that are impossible for us humans to psychically do like turn into a fire-breathing dragon. I think that with children being able to open up their imagination it allows for a greater level of creativity. Works Cited Snider, Mike. "Research: Video Games Help with Creativity in Boys and Girls." USA Today 02 Nov. 2011: n. pag. Print

Sunday, November 10, 2019

Information Systems and Information Technology Essay

A combination of hardware, software, infrastructure and trained personnel organized to facilitate planning, control, coordination, and decision making in an organisation Contrast IS and IT: What is the difference between Information Systems and Information Technology? In: Computer Terminology, Technology, Information Technology[Edit categories] Answer: Information Systems is a large umbrella referring to systems designed to create, store, manipulate, or disseminate information. Example of an information system is a pencil and a piece of paper. The two objects themselves are just tools, but together they create a system for writing (information). The term Information systems has been around a lot longer than the computer, or the term information technology. These days the two are sometimes thought to be synonymous, but that, in most cases is a misconception. Information technology falls under the information systems umbrella, but has nothing to do with systems per say. IT deals with the technology involved in the systems themselves, e.g. an information system like wiki.answers.com contains many information technologies. Servers, server operating systems, web-server software (IIS, Apache, et al), and code written for the web-server software (PHP, C#, VB, PERL, Ruby, et al). Even your computer and browser make up part of this information system. Like the pencil and paper example, each one of the mentioned parts of this information system in itself is an information technology. That being said, most people in the profession no longer make a distinction. Moreover, companies call their IS/IT department a wide range of titles based on more on culture and tradition than anything else. Assist With Business Processes Information systems aid businesses in developing a larger number of value  added-systems in the company. For example, a company can integrate information systems with the manufacturing cycle to ensure that the output it produces complies with the requirements of the various quality management standards. Adoption of information systems simplifies business processes and removes unnecessary activities. Information systems add controls to employee processes, ensuring that only users with the applicable rights can perform certain tasks. Further, information systems eliminate repetitive tasks and increase accuracy, allowing employees to concentrate on more high-level functions. Information systems can also lead to better project planning and implementation through effective monitoring and comparison against established criteria.

Friday, November 8, 2019

A Guide to Hollywood Film Practitioners - Michael Mann essays

A Guide to Hollywood Film Practitioners - Michael Mann essays Michael Manns life is not as open and public as many of his colleagues and rivals in Hollywood, but over the last few years he has been brought into the forefront through his increasingly impressive work, which will hit a peak this year with the release of his latest offering, Ali. Mann was born in Chicago on 5th February, 1943. After High School, he attended the University of Wisconsin, from there he moved to London, and the London International Film School. All in all, Mann spent 7 years in London, attending Film school, and also directing commercials and documentaries. Mann moved back to USA after his time in England, and in the 70s began writing for American television, working on shows such as Starsky and Hutch. In 1979, Mann directed his first TV movie, The Jericho Mile, which won him an award for Outstanding Directorial Achievement in Specials, and acted as a springboard for his move away from television, and towards Hollywood. Manns first foray into film directing was Thief (1981). Even though this was a critical success, the relatively unknown director, caused Thief to be a box-office failure. One of the main things that Thief did was introduce many tropes that run throughout Manns work to this day. Mann, in many ways, is an old-fashioned director. He likes to create the right atmosphere for all his films, and scenes within, and there is more than one example of this in Thief. Attempting to recreate rush hour at 2am, complete with rain, Mother Nature failed to provide this, so he ordered a 60,000 gallon water truck to keep both the streets and actors soaked, for 12 hours. This among other examples in Thief, such as the scene where Caan blows up his characters house, a real house was used and the immediate neighbours were moved to a hotel for the three days of shooting, which showed that Mann was and still is a Alt...

Wednesday, November 6, 2019

Definition of the Pendleton Act - 19th Century History

Definition of the Pendleton Act - 19th Century History The Pendleton Act was a law passed by Congress, and signed by President Chester A. Arthur in January 1883, which reformed the federal government’s civil service system. A persistent problem, going back to the earliest days of the United States, had been the dispensing of federal jobs. Thomas Jefferson, in the earliest years of the 19th century, replaced some Federalists, who had attained their government jobs during the administrations of George Washington and John Adams, with people more closely aligned to his own  political views. Such replacements of government officials increasingly became standard practice under what became known as the Spoils System. In the era of Andrew Jackson, jobs in the federal government were routinely given to political supporters. And changes in administration could bring about widespread changes in federal personnel. This  system of political patronage became entrenched, and as the government grew, the practice eventually became a major problem. By the time of the Civil War, it was widely accepted that work for a political party entitled someone to a job on the public payroll. And there were often widespread reports of bribes being given to obtain jobs, and jobs being awarded to friends of politicians essentially as indirect bribes. President Abraham Lincoln routinely complained about office seekers who made demands on his time. A movement to reform the system of dispensing jobs began in the years following the Civil War, and some progress was made in the 1870s. However, the 1881 assassination of President James Garfield by a frustrated office seeker put the entire system into the spotlight and intensified calls for reform. Drafting of the Pendleton Act The Pendleton Civil Service Reform Act was named for its primary sponsor, Senator George Pendleton, a Democrat from Ohio. But it was primarily written by a noted attorney and crusader for civil service reform, Dorman Bridgman Eaton (1823-1899). During the administration of Ulysses S. Grant, Eaton had been the head of the first civil service commission, which was intended to curb abuses and regulate the civil service. But the commission was not very effective. And when Congress cut off its funds in 1875, after only a few years of operation, its purpose was thwarted. In the 1870s Eaton had visited Britain and studied its civil service system. He returned to America and published a book about the British system which argued that Americans adopt many of the same practices. Garfield’s Assassination and Its Influence on the Law Presidents for decades had been annoyed by office-seekers. For instance, so many people looking for government jobs visited the White House during the administration of Abraham Lincoln that he built a special hallway he could use to avoid encountering them. And there are many stories about Lincoln complaining that he had to spend so much of his time, even at the height of the Civil War, dealing with people who traveled to Washington specifically to lobby for jobs. The situation got far more serious in 1881, when newly inaugurated President James Garfield was stalked by Charles Guiteau, who had been rebuffed after aggressively seeking a government job. Guiteau had even been ejected from the White House at one point when his attempts to lobby Garfield for a job became too aggressive. Guiteau, who appeared to suffer from mental illness, eventually approached Garfield in a Washington train station. He pulled out a revolver and shot the president in the back. The shooting of Garfield, which would eventually prove fatal, shocked the nation, of course. It was the second time in 20 years that a president had been murdered. And what seemed particularly outrageous was the idea that Guiteau had been motivated, at least in part, by his frustration at not obtaining a coveted job through the patronage system. The idea that the federal government had to eliminate the nuisance, and potential danger, of political office-seekers became an urgent matter. The Civil Service Reformed Proposals such as those put forward by Dorman Eaton were suddenly taken much more seriously. Under Eaton’s proposals, the civil service would award jobs based on merit examinations, and a civil service commission would oversee the process. The new law, essentially as drafted by Eaton, passed the Congress and was signed by President Chester Alan Arthur on January 16, 1883. Arthur appointed Eaton as the first chairman of the three-man Civil Service Commission, and he served in that post until he resigned in 1886. One unexpected feature of the new law was President Arthurs involvement with it. Prior to running for vice president on the ticket with Garfield in 1880, Arthur had never run for public office. Yet he had held political jobs for decades, obtained through the patronage system in his native New York. So a product of the patronage system took a major role in seeking to end it. The role played by Dorman Eaton was highly unusual: he was an advocate for civil service reform, drafted the law pertaining to it, and was ultimately given the job of seeing to its enforcement. The new law originally affected about 10 percent of the federal workforce, and had no impact on state and local offices. But over time the Pendleton Act, as it became known, was expanded a number of times to cover more federal workers. And the success of the measure at the federal level also inspired reforms by state and city governments.

Monday, November 4, 2019

Construction Industry Research Article Example | Topics and Well Written Essays - 250 words

Construction Industry Research - Article Example sought to debates theories infrequently presented by industry supporters about competition being either inapplicable or destructive in the construction industry (OECD Competition Committee, 2010). I agree with the author that construction is a pivotal industry in OECD markets since it develops and sustains the structures and substructures that nearly all other industries require. As a result, I was not surprised if found out at either of their theories about the irrelevance of competition in the construction industry were convincing to the author. A report-like approach by the other leads the OECD Competition Committee to discover the absence of discerning characteristics of the construction industry that lower the advantages that competition introduces to consumer welfare. However, I think the preliminary challenge that the committee should have tackled was focusing on teaching and training innovation as a holistic solution for improving competition in the construction sector. For instance, the article points out that China is aware of the importance of this solution to their cartel challenge in its construction sector. I also think that the articles should have ended with r ecommendations for the listed countries for dealing with the cartel challenges in their respective construction industries on top of the government’s

Friday, November 1, 2019

Business for multi national Essay Example | Topics and Well Written Essays - 500 words

Business for multi national - Essay Example There is a concept of separate legal identity which differentiates the assets of the company from its owners. However, in the case of Maxwell, the funds of different organizations were used by him as if they were his own money which is contradicting not only the ethical aspect, but also the accounting aspect of ownership and control. Maxwell should have only used the funds of the company; even those funds should have been used after the approval from board. Maxwell used the funds of pension funds which belonged to employees and used them as collateral. This is an open violation of agency theory. The theory states that the trustees or people who control the movement of funds are the agents acting on the behalf of the true owners of those resources and they should make the best possible decision for the resources that are entrusted to them. When the ownership and control are exercised in the disadvantage of the stakeholders than the relationship between the agents and principal is terminated. Then any loss accruing from the misuse of funds or resources accrues to the agent and not the principal. Maxwell’s share of loss in this case should have been larger and he should have been burdened with all the resources that were due to his actions as an agent acting without the consent of principal. Maxwell disadvantaged the other stakeholders for the benefit of his own company. This is again something that is unacceptable from the ethical point of view and also from the regulatory and business point of view. The stakeholders suffered and in the end, Maxwell and his company suffered badly also. However, the funds that were loss due to his carelessness were not recovered and it can be seen in this case that when agent does something on this own behalf he is probably using the motive of self interest. That is one reason why law makers have developed the concept of â€Å"Board of Directors† that have to be consulted with so that