Integrative Case Analysis Assignment

Integrative Case Analysis
Integrative Case Analysis

Integrative Case Analysis

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In this assignment we are to perform a critical analysis of the chosen case and identify the ethical, legal and cultural safety issues which emerge in your analysis of the case. The case is as follows;
Molly is a 14 year old indigenous girl who has been admitted with suspected appendicitis.She is scheduled for emergency surgery in two hours time when Sandy the registered nurse discovers that the consent form has not been signed. Molly’s parents are not present as she has been flown in by the Royal Flying Doctor Service.She is however in the company of her aunt.

SAMPLE ANSWER

Integrative Case Analysis

In the modern age of medicine, it is important as a general rule for practitioners to obtain the consent of a patient in order for any procedure, operation or treatment is undertaken if the patient is a competent adult. Competence is an important concept in the consent form debate and is in itself a legal status. An adult person is assumed as a competent individual unless they are determined by a court of law to lack the ability to make the decisions required in order that they live safely in the community in a way that they may not hurt themselves or others. Therefore, in this context, all children below the age of Eighteen years are described as incompetent while not all adults are competent (Rikoon, 1992).

The purpose of the content form in the case of molly brings ethical, legal and cultural issues. She is a child and therefore she cannot be able to give a valid consent because she may not comprehend the implications of having the surgery.  The doctors cannot however go on with the procedure without the consent of the child’s parents. If they do conduct the procedure without the consent form being signed, they might end up with various legal issues such as they may be faced with legal action for assault and battery which in itself is a criminal offence whose acquittal may lead to other serious problems for the practitioner. The signed consent form is a tool that also solves various ethical issues in handling surgical procedures. For example, it ensures that the surgical and medical team has properly handled their moral and ethical obligation of informing the patient and related parties about the condition and the procedures necessary to rectify the condition as well as prospective material risks. The form ensures that the patients receive their legal and ethical rights to know what will happen and the physicians have an ethical duty to provide adequate information in order to allow the patient make the right Decision (Stahl, 2004).

Since Molly’s parents are not around, a surrogate decision maker has the right to speak and make decisions on her behalf. A surrogate or health care proxy is considered an advocate for an incompetent patient such as a child and must make decisions on behalf of the child. Health care proxies are however selected in some order of priority beginning with the clients’ guardians of parents followed by the clients’ spouse of an adult brother or sister of the client. In this case for Molly, the legal requirement in this context will make her aunt legally and also culturally liable as the decision maker who needs to be able to sign the form (Devettere, 1995).

Culturally, it is expected that her Aunt be her guardian as she has been with her in that situation in place of her parents. With her aunt as the decision maker however, she needs to adhere to some general best practice powers and limitations of being a surrogate. For example, she needs to be informed that she has to make substituted judgment in making the decision on behalf of molly and that she should make the decision in the best interests Molly. The health care practitioners should ensure that they help Molly’s aunt understand the situation and what needs tie b done in order to help Molly as well as express to her the risks of the process. it is therefore the legal, ethical and cultural duty of Molly’s aunt to make a decision at the best interest of Molly and that decision would be to sign the consent form before Molly is taken up for surgery. Other cultural issues that may arise in relation to Molly’s aunt being her surrogate is the fact that surrogates use their own values to decide what decision is usually for the benefit and best interest of the patient. Cultural values play a big part in the decision making process and should the surrogate for instance not believe in medicine, she may not agree to sign a consent form Bush, 2007).

References

Bush, S. (2007). Ethical decision making in clinical neuropsychology Oxford: Oxford University Press.

Devettere, R. (1995). Practical decision making in health care ethics cases and concepts Washington, D.C.: Georgetown University Press.

Parker, A., & Fischhoff, B. (n.d.) Decision-making Competence: External Validation Through an Individual-differences Approach. Journal of Behavioral Decision Making, 1-27

Rikoon, J. (1992). Handling your first health care proxy, living will, and durable power of attorney New York, N.Y. (810 7th Ave., New York 10019): Practicing Law Institute

Stahl, M. (2004) Encyclopedia of health care management Thousand Oaks, Calif.: Sage Publications

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Tips and Tricks for Literature Searches

Tips and Tricks for Literature Searches
Tips and Tricks for Literature Searches

Tips and Tricks for Literature Searches

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Discussion 1 – Week 3 Collapse

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Tips and Tricks for Literature Searches

Time is a precious commodity, and as a doctoral student you are keenly aware of its value. You are expected to be thorough and exhaustive in your search for academic resources. These expectations don’t only exist so you can avoid duplicating existing research; they also empower and prepare you to contribute to the foundations of thinking and practice in your chosen area of interest. One key to meeting these expectations is to develop proficiency in online searching.

Share your tips and suggestions for finding relevant academic literature. These tips may relate to navigating particular electronic databases, applying general searching techniques, constructing search term queries, broadening or narrowing your initial search results, finding monographs and other resources, or other topics.

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With these thoughts in mind:

Post your two best tips by Day 3, giving priority to suggestions that have not been posted by your colleagues.

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Tips and Tricks for Literature Searches

Having the right skills to navigate through databases and search engines in order to come up with relevant literature on a particular is a crucial necessity in developing a quality research. While the internet has a plethora of books, journals, newspapers, reviews, case studies, and even monographs, finding the correct resource that contains the most relevant information to a given topic is a daunting task (Boell, & Cecez-Kecmanovic, 2014). However, there are various tips and tricks that can be applied to ensure this exercise turns out successful.

The first step to getting relevant sources in any search engine or database involves identifying the key search terms, also referred to as the keywords. Eliminating such superficial words as conjunctions, transitional words, and even prepositions will help specify the search results (Sharma, 2013). While searching for sources, it is imperative that one starts with online databases, such as ProQuest, EBSCOhost, Emerald Insight, and Worldcat, among many others. These databases usually contain authentic sources that have been published by authors. To get better results, streamlining search options to peer-reviewed PDF sources may just play the trick, since most of these are journal articles that are current and authentic.

The most common tool that people use to conduct searches is the search engines such as Google, Yahoo!, and Bing among others. However, caution should be taken not to over-rely on these engines, since they give duplicate results, as well as those that are not authentic. When such results come up, one should avoid .com sites, YouTube, blogs, and online Wikis. Instead, it would be helpful to do an advanced search, and specify the year range, document type (PDF), and other specifications that differ from one search engine to the other. Summarily, one should look for those search results that capture at least three-quarters of the key search terms.

References

Boell, S. K., & Cecez-Kecmanovic, D. (2014). A Hermeneutic Approach for Conducting Literature Reviews and Literature Searches. Communications Of The Association For Information Systems,34257-286.          http://citeseerx.ist.psu.edu/viewdoc/download?doi=10.1.1.646.8920&rep=rep1&type=pdf

Sharma, P. (2013). Reflections on medical literature searches. Transfusion53(8), 1858-1861.

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Apple Company Strategic Plan Assignment

Apple Company Strategic Plan
Apple Company Strategic Plan

Apple Company Strategic Plan

Apple Company Strategic Plan Paper

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Report Outline
1. Cover page and Table of Contents – Cover page should include: Title: Strategic Plan, Company Name, Date, Author, Course Name. Table of Contents should include a listing of all of the topics in your strategic plan.
2. Company Description – What is the state of the business today including the company background, products, services, markets serving, key technologies, key manufacturing and operations, financial strength, key partners…etc.
3. Mission and vision statements of Apple company
4. External Audit – Assess the external forces that affect the organization: economic, social, cultural, demographic, environmental, political, governmental, legal, technological and competitive. Use the tools for external audit.
5. Internal Assessment – Assess the interrelationships between departments, marketing, finance/accounting, production/operations, research & development and management information systems. Use the tools for internal assessment (SWOT, Financial ratio analysis, IFE, SWOT strategies, QSPM…..etc)
6. Establish Long Term Objectives. The objectives should provide direction for the organization, be quantifiable, address key external and internal forces and be SMART objectives which are:
Specific: The objective tells exactly what, where, and how the problem or need is to be addressed.
Measurable: The objective tells exactly how much, how many, and how well the problem/need will be resolved.
Action-oriented: The objective uses “activity indicators” to insure that something will be done. As with goal-setting, use action-oriented verbs such as deliver, implement, establish, develop, supply…etc.
Realistic: The objective is a result that can be achieved in the time allowed.
Time-bound: The objective includes a specific date for it’s achievement.
7. Evaluate and select a strategy or strategies (David, Table 5-4, page 137). Large companies commonly have multiple strategies.
8. Implementation Plan – Develop for the selected strategy or strategies
9. Conclusions and Recommendations
10. References and Appendix

Apple
Company Information http://www.apple.com/sitemap/ Retrieved (March 2013)
Investor / Financial Information http://investor.apple.com/ Retrieved (March 2013)

SAMPLE ANSWER

Table of Contents

Report Outline: Apple Company Strategic Plan. 2

Introduction. 2

  1. Company Description. 2

Mission and vision statements of Apple Company. 5

  1. External Audit 6
  2. Internal Assessment 8
  3. Establish Long Term Objectives. 12
  4. Evaluate and select a strategy or strategies. 14
  5. Implementation Plan. 15
  6. Conclusions and Recommendations. 16

References. 18

Report Outline: Apple Company Strategic Plan

Introduction

Strategic planning is the process of defining the strategies of a company and how they can be used to promote the attainment of competitive advantages (Erica, 2012). Such planning helps direct the decision making process regarding allocation of resources among other control and management mechanisms. The company in focus is Apple Company Inc. which is a renowned multinational company. In particular, strategy formation at Apple Company could involve setting goals and mobilizing resources and labor towards executing the set goals and objective. The senior management is charged with the role of strategic planning in most organizations. Strategies can be categorized into two; intended strategies and emergent activities. Formulating strategies for Apple Company takes the form of a cohesive and comprehensive analysis that entails synthesizing strategic thinking into planning activities.

1.         Company Description

Apple Company is a multinational corporation based in the United States. It’s headquarter is in California. It is specialized in the development, designing, marketing and selling of consumer electronics, online services, personal computers and computer software. The company has managed to create its market niche by producing a dominant hardware which is used in the Mac product line such as iPod media players, iPad table computers and iPhone smartphones. The software used to run the Mac hardware is known as the iOS operating systems and the OS X (David, 2007). The company was founded by three principles; Steve Jobs, Ronald Wayne and Steve Wozniak in the year 1976. The company then became incorporated into Apple Computer, Inc. in 1977 and later renamed to Apple Company Inc. in 2007. The new name reflected the companies shift in focus to produce a diversified line of consumer electronics. Currently, the company ranks as the second largest in the IT industry. This rank comes after Samsung Electronics which has been ranked as the world’s largest mobile phone manufacturer.

Apple sales it products via an online store as well as its chain retail stores. Its other products are sold by direct sales force, resellers, value added resellers and third party wholesalers (David, 2007). These products include Macintosh, iPods, iPhones and other compatible hardware products such as storage devices, printers, watches, branded television sets, headphones, speakers among other computer peripherals and accessories. The online services provided by Apple Company include iTunes Store, iCloud as well as an App Store. Apple also manufacturers digital contents which are sold through iTunes Store. These services include software programs which are sold through the Apple App Store to its diverse groups of consumers. The iCloud online service has been helpful in synchronizing a wide range of data such as contacts, email, documents, calendars and photos. The iCloud also offers backup storage for iOS.

Apple has specialized in segmenting, creating market niches and penetrating market segments. The company has created a blue ocean for its products since, in spite of the high prices, the company has managed to retain its customers who range from small and mid-sized businesses, individual consumers, educational institutions, government agencies, creative customers and enterprises. Apple Company Inc. serves multinational customers through its 425 chains of retail stores which are strategically located in 14 countries. The supply chain is facilitated by other independent sellers. The latest technologies by Apple Company Inc. include the iOS 8 which has more than 4000 APIs that lets developers improve the capabilities and features of applications. The technology enables a deeper integration of iOS thus enabling extended functionality. The technology has facilitated game development. The iCloud for developer’s technology has leveraged the full power of building applications through the cloud kit framework. The developers can now securely and easily store and retrieve essential data on their applications from an online database.

Manufacturing and operations at Apple Inc. are highly innovative thus leading to the production of innovative products which move through the fast product life-cycle associated with the IT industry. The company promotes its products through spectacular promotions and marketing campaigns. The products are of high quality thus they are charged at a premium price. Apple Company Inc. has the largest market capitalization estimated at $446 billion. Because of its financial strength, the company has 75,800 full time employees globally and it enjoyed an annual revenues of $170 billion in 2013. The company is ranked in the top ten of the Fortune 500 companies. Another ranking by the Inter-brand Best Global Brand have reported that Apple is the most valuable brand in the world with a value of $118.9 billion. Apple’s key partners include social networking sites developers and programmers such as Facebook and LinkedIn. These companies have been essential in partnering with Apple in marketing its products because the company pre-install these applications in their electronic gadgets such as the iPhones. The Taiwan Semiconductor Manufacturing Company (TSMC) has been a confidential key partner for Apple Company since it shares with it important data on the A7 system on chip technology (SoC).

Over an extended period of time, Apple Inc. has appreciated that its growth and development would be equally dependent on the input of its key partners which include AT&T. This company is the closest partner to Apple since it is the sole carrier of iPhones. The partnership deal begun in 2007 it lasted till 2011 when Verizon begun competing it by selling iPhone 4s. Verizon Communications is another major business partner. It is the largest telecommunication carrier in the US and it has participated in the launch of the iPhones. The Verizon provides a CDMA network. The other partner is Foxconn Technology Group which is a leading electronic manufacturer globally. It is also the largest exporter of electronics in China. It is the company that assemblers the hardware for Apple in its plants in Taiwan and China. TPK is another vital partner as it deals in the supply of touch-panels across the world. It is the largest supplier of touch panels for the iPhones and the iPads. It is reported that approximately 75% of TPK’s revenues came from its partnership with Apple. The Quanta Computer Company is another key partner as it manufacturers the MacBook and iMac product lines for Apple. The partnership between the Taiwan based Quanta Computers and Apple dates back to 1998. Quanta is among the leading notebook manufacturers across the world as it supplies brands such as Gateway and Hewlett-Packard.

2.         Mission and vision statements of Apple Company

The management at Apple Company have not set out a clear and elaborate mission and vision statement. Nonetheless, the company has shown signs that its mission statement is either dynamic or that it is embedded into the hearts of its employees and the other stakeholders. Accordingly the most suitable mission statement has to entail such rubrics associated with a strong believe that the company is focused on revolutionizing the world by offering quality products through innovation, research and development (Erica, 2012). The management has to show its commitment towards customer satisfaction by providing simple products which are not complex to the end users. Another pertinent statement to be included in the Apple mission statement would be the company’s strong believe that it has to make a contribution towards bettering humanity by carefully selecting its market segments and creating niches. This objective can enable directing resources towards products and market that offer most profits while promoting investing into projects that are meaningful to the stakeholders. For the work teams, the company believes in cross-pollination and deep collaboration that will allow the company to be creative and innovative. The groups and work teams have to be seamlessly integrated so as to help them acquire basic virtues that will propel the company into attaining the company’s vision. The vision of Apple Company can therefore be focused on continuously investing into innovations that will transform human life while making the company a center of excellence and global market leadership in the electronic and IT industries. Both the mission and vision statement will second the Apple Company Inc. slogan which states that an apple a day keeps the doctor away.

3. External Audit

An external audit of Apple Company’s Inc. can be facilitated by the use of a PESTEL analysis. This term is an abbreviation for Political, Economic, Social, Technological, Environmental and Legal factors. It describes a strategic framework which can be used by a company to analyze its macro-environmental factors by scanning the environment. This analysis will be helpful in understanding market growth factors and thus contribute towards formulating a viable research strategic plan.

Political factors determine the degree of government intervention in the growth and development of the economy. The government through its policies and regulations have impacted on decisions made by the management at Apple. For instance, since 2005, the company has expanded its market segments outside the United States thus selling most of its products outside the USA. The countries that account for most of its sales include China, Ireland, Czech Republic and Korea. The global market place is diverse with developing and developed countries. These governments impact on the sales volume of products through taxation, tariffs and quotas so as to achieve a Balance of Payment (BOP) (David, 2007). In the event that Apple disregards these international rules and those set by the US government, then it will have a hard time marketing its products.

Economic factors have impacted on the decision making process at Apple Inc. This is because global factors such as economic growth, inflation rate, exchange rates and interest rates impact how a business operates. Economic situations such as recession and bloom could impact on the sales made on Apple as a company. The products produced by Apple are mostly viewed as luxuries thus an increase inflation could result into low sales volumes. This is because of the increase in unemployment rates which will reduce disposable income thus lowering the buyer’s propensity to purchase. Economic factors can affect Apple either negatively or positively.

Social-cultural factors describe the living patterns and values of the global consumers of Apple electronic products and services. Social factors impact on customer preferences, income groups, and perception and life priorities towards purchasing Apple products. Whereas other social factors such as fashion, social class and peer pressure could drive people into purchasing Apple products, the same forces could make people value other products instead of Apple’s (David, 2007). The company has managed to associate itself with quality, reliability and innovation. The consumers are also aware that Apple Inc. is an expensive brand. Social factors are synonymous with cultural aspects such as population growth rate, age, demographics and distribution of people. These factors collectively impact the company’s positioning of its products and creation of niches.

Technological factors are determined by the ability of Apple to manufacture and design highly innovative and differentiated products through research and development. So far, Apple Inc. has managed to win over more customers because of its unique products. The IT industry is competitive based on the ability for a firm to be innovative in creating appeal through appearance and product features (David, 2007). Legal factors describe the global laws governing the manufacture of electronic products by companies such as Apple Inc. The company has benefited from laws allowing for sub-contracting of countries with cheap labor such as Korea, and China. As a result, the company has managed to create a competitive advantage due to its low costs of production. Environmental factors are determined by the geographic location of a country since it has an impact on the climatic changes and apparently, this forms the bulk of environmental influence on trade and consumption trends. These factors include the climate, weather and geographic location. This factor mostly affects farming and agri-businesses thus it does not influence much of the operations at Apple Company.

4. Internal Assessment

An internal audit for Apple Company entails the use of strategic management and planning tools such as Financial Ratios, IFE, QSPM and SWOT analysis. SWOT analysis is an abbreviation for the Strengths, Weaknesses, Opportunities and Threats. In terms of strengths, Apple Company has for a long time been associated with innovations. The history of the company dates back to a visionary leader; Steve Jobs who had an inert passion for developing new technologies. Steve jobs created this competence by introducing a research and development department which worked hand in hand with the other departments. The specific contributions of these departments include the management information systems department which was vigil in analyzing the IT trends among key rivals such as Samsung and Nokia. The second department was finances and accounts department which coordinated the allocation of resources towards research and development. The marketing department contributed towards innovation by collecting statistics on marketing trends and the consumer wants thus the research and development department used the information in connecting the product design to future customer wants. The production and operations department was upfront in designing new technologies so as to maximize on the returns by reducing cost of resources. The production unit was essential in ensuring that the new technologies adopted matched the political legal requirements set by the government.

As a result, the cutting edge innovations have been seen in the launch of the iPhone, the iPad and other devices. This has made innovation a hallmark for the company which strives to improve its previous models of phones as seen in the recently launched iPhone 6. These innovations include a wider display size, an upgrade of the iOS operating system and other hardware. They have also designed an iWatch which is a novel offering in its product line. The other innovations which will likely improve the company’s sales include the launch of the iPad Air 2, iPad Pro, new MacBook and iPad Mini 3. These innovations form part of the strategic planning process since they have contributed towards competitive advantages and increased sales which has earned Apple Company an increase in their market share (Lorenzen, 2006). The second strength is associated with the finances of the company. As it has been reported by the finance department which helps the other departments in budgeting and resource allocation, the company has had a positive cash-flow since its inception. The company currently has an asset base of $38 billion and an additional $127 billion in long term securities. Because of this financial endowment, the company can decide to use acquisition strategies so as to leverage itself against competitors. An example is the recent decision by the company to purchase Beats Electronics at a cost of $3 billion. With the purchase, the company has widened its capital returns program. Financial capabilities also mean that the company is better placed to advertise and market its products. The marketing strategy is often a collaboration between the finance department together with the sales and marketing department. For instance, during the fiscal 2013, Apple spent $1.1 billion on advertising budgets.

Apple Company has in the past experienced weaknesses such as premium pricing. The company’s products are among the priciest computing devices in the market. The marketing department targets a market niche dominated by luxurious buyers. Because of this marketing strategy, the company has failed to penetrate developing markets where companies such as Tecno and Huawei have dominated because of their low priced telecommunication gadgets. The luxury positioning of the product has also rendered Apple to price competition in developed markets such as South Korea where Samsung and China’s Xiaomi have significantly increased their market share. The second weakness is associated with the iPad product line which in spite of previous successes has lost out on its former market share. The shipment of iPads fell by 9% in the fiscal 2013. This signifies that Apple managed to sell only 13.4 million units in Europe and U.S. Most of the sales were made in the BRIC countries. The iPad has in the recent past suffered stiff competition and the growing number of manufacturers of tablets such as Google’s android powered tablets which retail at a much lower price. It is projected that the sluggishness of the market towards the iPad is likely to persist unless the company does something about its pricing strategies so as to fit into the developing countries and other oversea markets. The other strategic move towards solving this two problems is the need to partner with companies such as IBM. The two companies are reputable thus it would be prudent if their partnered towards developing more superior applications for the iPhones and iPads.

Apple could embrace strategies aimed at increasing its opportunities by growing its market share growth. Given the fact that Apple has been losing its market to Samsung due to intensive rivalry, the marketing department can still work together with the operations department to redesign their marketing strategies so as to increase the market share. Apple holds 20% of the global tablet/PC market share. On an overall scale, it ranks higher than Samsung and Lenovo. According to the projections made by the marketing department, the company is expecting a growth in its market share in 2014 especially after the launch of iPhone 6 and an increase in marketing activities in China and Pacific regions. It is further expected that the penetration of the iPhones into the BRIC geographies will contribute towards creating opportunities for the company. This is because Apple has made contracts with influential wireless carriers in the local target countries thus increasing the customer segments. Its most promising agreements was that with China mobile which is expected to increase the exposure of Apple’s products to the more that 760 million subscribers of the huge network. The second opportunity arises from the purchase of Beats Electronics. By purchasing this Beats, Apple proved that mergers and acquisitions was a strategic option into increasing a company’s competitive advantages. The deal which was completed in August 2014 opens up new opportunities for Apple Company. The acquired company will boost the iTunes product line including the radio services. The same company will also help Apple in developing its iWatch among other wearable audio devices. There is also the opportunity of talent infusion from music industry icons and managers such as Dr. Dre and Jimmy Iovine who have been the creative managers for the Beats Electronics.

Competition has been the biggest threat to Apple Company. Technology is faced passed and because of this the electronics industry as well as the IT industry are very elusive. The product cycle for these industries moves fast from the introduction, growth up to the maturity stages. This rapid growth into maturity and decline phases have intensified competition since the companies that are better positioned at making innovations have in the past used innovations to win over customers from competitors. According to the Porters generic analysis, it is also made evident that the premium pricing makes it hard for Apple to compete in some markets which are dominated by low-cost rivals as it is the case in China, India and most African countries. The second threat results from gross margin pressures stemming from intensive competition. A loss in the pricing power, rising costs of production and product shortages have also impacted on the company especially in the past years where at times demand has exceeded supply leading to shortages. According to the SWOT analysis of Apple Companyi, which presents an interplay between the various departments; operations, marketing, finance, research & development departments, development and management information systems department and their contribution towards the advancement of the internal audit at Apple Company, it is highly likely that the strengths and opportunities presented for the company far much outweigh the weaknesses and the threats. The overall results reflect on the company’s ability to grow its dividends, improve its product quality through more innovations and increase its returns and market share through aggressive marketing.

5. Establish Long Term Objectives

Just like any other company that is guided by a mission and a vision statement, Apple is looking forward to establishing formidable strategies that will see it thought turbulent financial times. The most preferable strategies begin acknowledging the fact that Apple as a company is looking towards introducing new products and services as part of its diversification plan. The introduction of these products and services triggers a thorough analysis of the pricing strategies implemented at the company. Product pricing determines the ability of a product to be accepted by the customers. For instance, the launch of the iWatch by Apple has to conform to the customers’ expectations of the prevailing market prices by competitors such as Samsung Galaxy Gear, Qualcomm Toq and Sony Smart-Watch (Boundless, 2014). The Moto 360 smart watch stands out as the most dominant rival for the iWatch. When considering the pricing for the smart-watches, Apple has to consider cost based pricing which is computed using the formulae;

Cost + Fixed profit percentage = Selling price.

Alternatively, the company could decide on using competition based pricing, value-based pricing, or demand based pricing. Given the intensity of competition in the smart watch market, it is financially feasible for Apple to use the competition based pricing but in the event that the company wants to use value based pricing, then it has to consider such factors as the uniqueness of their products and the product features embedded into their hardware system. The software also has to be reliable and seamlessly inter-operable with other iOS 8 devices on the market. Given the fact that the product is at the introduction product life cycle, then its prices have to be low so as to attract customers after which the prices can be adjusted as the product moves to the growth stage and into maturity. According to marketing analysts, when a company is launching new products, it has to consider the best way to capture the market. In order to attract the customers, Apple will have to implement a pricing structure that is transparent in future so as to compete effectively rather than using the current premium pricing strategies.

The second futuristic objective for Apple Company is tied to its need for continuous growth. The IT industry is at its growth life cycle since it is coupled with extensive research, development and innovations. This means that the long term objectives for Apple Company have to promote growth in what is known as a growth strategy. The growth strategy includes improving on the current products while making plans to introduce new products and services for the diverse market segments. Cell phone and computer manufacturing companies are aware of their continuous need to improve on their technologies and this should be the trend at iPhone. It is highly suggested that unlike the current trend where Apple only develops one or two brands of electronics such as the iPhone 6 and iPhone 6 plus launched in 2014, the company could start manufacturing products for the different market segments. This will ensure that the company keeps abreast with the demands posed by the customers. Apple could also venture into upcoming smartphone and computer/PC markets in Africa and Asia such as India so as to explore the market and identify the products that could perform well in such markets. So far it is acknowledged that Apple has managed to implement the product differentiation strategy and it has been a key factor in creating a blue ocean for its products. This is because of the uniqueness in the products coupled with the innovations in hardware and software. This has made the products unique and superior to its competitors. The accessibility of the company’s services has been facilitated by its multiple chain stores strategically located in 14 overseas countries.

6. Evaluate and select a strategy or strategies

The selected strategy that is mostly used by global organizations is the acquisition strategy. Acquisition is defined as the corporate action of buying another company by a more dominant and established company. The process of acquisition mostly begins with the identification of a target company where the parent firm begins by acquiring partial ownership that will enable it to influence policies and decisions. An increase in stake to a percentage exceeding 50 will give the firm control over the target company. This strategy has been found suitable where a company intends to take over an existing company together with its market niche. It is often beneficial where a company weights the cost of expanding on its own as being a more expensive and uncertain strategy than acquiring an already existing business. There are two types of acquisitions and this can either be hostile or friendly. Friendly takeovers occur when a firm expresses and enters into an agreement making it possible for it to be acquired while a hostile acquisition happens when the acquiring firm forcefully takeover the ownership of a target firm by purchasing more than 50% of its stocks and shares. The process of acquisition is often accompanies by a strategic logic which includes the need to expand operations or the market. This strategy could also be driven by the need to eliminate competition especially in duopolistic industries dominated by two firms. All in all, the strategy is aimed at a general goal of value creation. According to an empirical research by David, (2007 backing this strategy, it is observed that companies could decide to acquire another company so as to achieve the following archetypes. First, the acquiring companies have the intent of improving their performance, second, they could be focused on minimizing competition, third, the acquiring company might want to expand on its market by merging its current customer base with the niches created by the target company and fourth, acquisition has the benefit of helping a company to acquire technologies and skills that could have been more expensive to create.

Examples of multinational companies that have been successful using the acquisition strategy include IBM which pursued the strategy by purchasing software firms. This was between the years 2002 and 2009 where it acquired 70 software companies at a cost of $14 billion. The company had made a previous estimation that the acquisitions would bolster its software products thus increasing its revenues by 50% within the first 2 years and a growth margin of 10% in the following three years. In another example drawn from the consumer goods industry, Procter and Gamble after acquiring Gillette created a stronger company that increased its sales volume by merging markets. Their working together enabled them to expand their market with more ease. Another example is where Cisco Systems acquired a broad line networking company so as to gain technological leverage (Boundless, 2014). The acquisition helped Cisco to access internet equipment after it acquired 71 companies at a cost of $650 million and $150 million in 1993 and 2009 respectively.

7. Implementation Plan

As it has been exhibited in the examples listed in the previous section of this paper, Apple Company also has a chance to embrace acquisition as its main business strategy. So far, Apple has made several acquisitions and mergers. According to a statement by the current CEO, Tim Cook, the company’s main goal of acquiring other companies is for it to own the intellectual property because the company always wants to own its production lines. So far, Apple has acquired the PA Semiconductor Technology Company so as to control its team of employees and technologies since the company has been instrumental in developing proprietary chips for the iPads and the iPhones. Apple also acquired Siri, which is a voice recognition business start-up that also owned mapping technologies. This company has formed a basis for Apple Maps. According to the financial reports for fiscal 2013, Apple has $137 billion in cash while other capital has been preserved in marketable securities (Mckeown, 2012). Over the past years, the implementation of acquisition strategies has been seconded by talent acquisition as well as the purchase of patents and novel technologies. The process of acquiring small firms by Apple has been aimed at easing the process of integrating the new products and services into their product line.

8. Conclusions and Recommendations

In conclusion, it is prudent to consider both the internal and external analysis when making decisions about strategies to be implemented by Apple Company. The analysis made in this report identifies that Apple is currently leveraged this gives it a better position to exploit a larger market coupled with its talented employees and financial resources. As a result, if the company refined its acquisition strategies while matching up with pricing strategies and continuous innovations, then the company will sure reach its optimum productivity. This will be evident in its increased market share, which will considerably boost its revenues and earnings. As a result, it is recommended that Apple Company has to invest in diversifying its products and creating market niches that will compete its such as rival. This is to mean that Apple has to use selective pricing in is market segment so as to win over a larger market share.

References

Boundless. (2014). Growth Strategy: Boundless Management. Retrieved 12 November, 2014 from https://www.boundless.com/management/textbooks/boundless-management-textbook/strategic-management-12/common-types-of-corporate-strategies-90/growth-strategy-434-1452/

David, E. H. (2007). Strategic Management: From Theory to Implementation. New York: Routledge.

Erica, O. (2012). Strategic Planning Kit for Dummies. (2nd Ed.). London: John Wiley & Sons, Inc.

Lorenzen, M. (2006). Strategic Planning for Academic Library Instructional Programming. In: Illinois Libraries, 86(2), 22-29.

Mckeown, M. (2012). The Strategy Book. New York: FT Prentice Hall.

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Preliminary research on Apple Company

Preliminary research on Apple Company
Preliminary research on Apple Company

Preliminary research on Apple Company

Order Instructions:

Purpose:

Start preliminary planning for your strategic plan project.

Assignment Description:

Select from the 3 companies Ford Motor Company, Apple or iRobot which company you plan to write your strategic plan for and begin your preliminary research on the company background, products, services, markets serving, key technologies, key manufacturing and operations, financial strength, key partners…etc.

Parameters:

This assignment is worth 75 points.

You are to follow APA formatting and style, and the assignment will be graded following the grading rubric “BU482 Phase 1 and 2 Research Plan Project Work Grading Rubric.“

BU482 Strategic Plan Project Description
The strategic plan project is broken into 4 parts:
Phase 1 Research Strategic Plan Project Preparation Work
Phase 2 Research Strategic Plan Project Preparation Work
Phase 3 Strategic Plan Sections 1- 5
Phase 4 Final Strategic Plan Sections 1-10
Develop a strategic plan for iRobot, Ford or Apple. This should be your writing of a strategic plan for either of these companies and not a copy of their strategic plans. Be creative in your vision for these companies by analyzing the company information provided and using your own research. For example, analyze/develop the mission and vision statement, external and internal forces, long term objectives, desired strategies, management organization/issues, implementation plan/issues and a conclusion. Each of these companies are in dynamic industries undergoing significant changes. For example, Apple is under extreme pressure from Samsung, Google and other Android devices, new tablets and technology, smartphones, cloud computing, sustainability, cost pressures, economic and environmental pressures. Ford is under pressures from the United States and other foreign governmental regulations, zero emission requirements, global competition, product costs, safety technology, satellite systems, intense innovative competitive designs and growth in the emerging markets like India, China and Brazil. iRobot is developing technology that has both military and commercial use, governments are beginning to regulate the use of robots such as drones, robot and computer technology changes quickly and the public is unsure how robots will affect or be a part of their lives. Be creative and develop your strategic plan for one of these fantastic companies. You are to follow the strategic planning process outlined in our textbook shown in (David, Figure 1-1,page 14) and which is highlighted in each chapter of the book but be creative and include sources and information from outside of our test book.
Report Length should be at least 10 pages double spaced (not including the cover page or appendices), 12 point font and following APA 6th Edition writing guidelines.
Phase 1 Research Strategic Plan Project Preparation Work – Select from the 3 companies Ford Motor Company, Apple or iRobot which company you plan to write your strategic plan for and begin your preliminary research on the company background, products, services, markets serving, key technologies, key manufacturing and operations, financial strength, key partners…etc.. – Due in Week 2

Company Information http://www.apple.com/sitemap/ Retrieved (March 2013)
Investor / Financial Information http://investor.apple.com/ Retrieved (March 2013)

SAMPLE ANSWER

Phase 1: Preliminary research on Apple Company

Company Background

Apple Company is a multinational corporation based in the United States. Its headquarter is in California. It is specialized in the development, designing, marketing and selling of consumer electronics, online services, personal computers and computer software. The company has managed to create its market niche by producing a dominant hardware which is used in the Mac product line such as iPod media players, iPad table computers and iPhone smartphones. The software used to run the Mac hardware is known as the iOS operating systems and the OS X (David, 2007). The company was founded by three principles; Steve Jobs, Ronald Wayne and Steve Wozniak in the year 1976. The company then became incorporated into Apple Computer, Inc. in 1977 and later renamed to Apple Company Inc. in 2007. The new name reflected the companies shift in focus to produce a diversified line of consumer electronics. Currently, the company ranks as the second largest in the IT industry. This rank comes after Samsung Electronics which has been ranked as the world’s largest mobile phone manufacturer.

Products

Apple sales it products via an online store as well as its chain retail stores. Some of its other products are sold by direct sales force, resellers, value added resellers and third party wholesalers (David, 2007). These products include Macintosh, iPods, iPhones and other compatible hardware products such as storage devices, printers, watches, branded television sets, headphones, speakers among other computer peripherals and accessories.

Services

The online services provided by Apple Company include iTunes Store, iCloud as well as an App Store. Apple also manufacturers digital contents which are sold through iTunes Store. These services include software programs which are sold through the Apple App Store to its diverse groups of consumers. The iCloud online service has been helpful in syncing a wide range of data such as contacts, email, documents, calendars and photos. The iCloud also offers backup storage for iOS.

Customers

Apple has specialized in segmenting, creating market niches and penetrating market segments. The company has created a blue ocean for its products since, in spite of the high prices, the company has managed to retain its customers who range from small and mid-sized businesses, individual consumers, educational institutions, government agencies, creative customers and enterprises.

Markets serving

Apple Company Inc. serves multinational customers through its 425 chains of retail stores which are strategically located in 14 countries. The supply chain is facilitated by other independent sellers.

Key technologies

                The latest technologies by Apple Company Inc. include the iOS 8 which has more than 4000 APIs that lets developers improve the capabilities and features of applications. The technology enables a deeper integration of iOS thus enabling extended functionality. The technology has facilitated game development. The iCloud for developer’s technology has leveraged the full power of building applications through the cloud kit framework. The developers can now securely and easily store and retrieve essential data on their applications from an online database.

Key manufacturing and operations

Manufacturing and operations at Apple Inc. are highly innovative thus leading to the production of innovative products which move through the fast product life-cycle associated with the IT industry. The company promotes its products through spectacular promotions and marketing campaigns. The products are of high quality thus they are charged at a premium price.

Financial strength

Apple Company Inc. has the largest market capitalization estimated at $446 billion. Because of its financial strength, the company has 75,800 full time employees globally and it enjoyed an annual revenues of $170 billion in 2013. The company is ranked in the top ten of the Fortune 500 companies. Another ranking by the Inter-brand Best Global Brand have reported that Apple is the most valuable brand in the world with a value of $118.9 billion.

Key partners

                Apple’s key partners include social networking sites developers and programmers such as Facebook and LinkedIn. These companies have been essential in partnering with Apple in marketing its products because the company pre-install these applications in their electronic gadgets such as the iPhones. The Taiwan Semiconductor Manufacturing Company (TSMC) has been a confidential key partner for Apple Company since it shares with it important data on the A7 system on chip technology (SoC).

Reference

David, E. H. (2007). Strategic Management: From Theory to Implementation. New York: Routledge.

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Parameters of Ethical Decision Making

Parameters of Ethical Decision Making
Parameters of Ethical Decision Making

Parameters of Ethical Decision Making

Order Instructions:

Evaluate Rawls’ theory and the other approaches to ethical decision making. Analyze the approach you feel works best in resolving ethical dilemmas. Once you have chosen an approach you feel is best, apply the ethical issue you identified. Assess the resolution your ethical decision-making approach suggests for your issue.

SAMPLE ANSWER

Parameters of Ethical Decision Making

Rawls theory has some insights regarding ethical decision-making. The theory provides recommendations on how to deal with ethical dilemmas. This mainly relies on his principles inscribed in the theory. One of the principles is difference principle that requires social and economic inequalities to be arranged so that they can benefit those who are less least disadvantaged. In simpler terms, differences in social and wealth position are acceptable as long as they can be shown to benefit everyone and, in specific those who have the fewest business advantages (In Christiansen, In Basilgan & IGI Global, 2014). The second principle is known as liberty principle that recommends that each person should have an equal right to as many basic liberties as possible. The environment should also still allow a similar system of liberty for all. This principle guarantees that an individual should process as much liberty as to live and seek chances as is possible, not infringing the liberties and freedoms of others.  

According to In Christiansen, In Basilgan & IGI Global (2014), the theory is obviously applicable to ethical matters in the larger health care setting where there are ethical dilemmas between health policy and allocation of resources. These issues can be approached by using Rawls theory from the perceptive of rights and individual liberties. The theory is also applicable in giving patients, patients, and families in health care setting autonomy and obligations to maneuver about ethical dilemmas involving ethical malpractices (In Christiansen, In Basilgan & IGI Global, 2014). These ethical dilemmas include decisions of end of life matters. This is because the theory has a strong emphasis in on moral obligation and the need to mitigate the practical consequences of social and business systems.

References

In Christiansen, B., In Basilgan, M., & IGI Global,. (2014). Economic behavior, game theory,  and technology in emerging markets.   https://www.academia.edu/10012177/Economic_Behavior_Game_Theory_and_Technology_in_Emerging_Markets

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Indigenous people in the 21st century

Indigenous people in the 21st century
Indigenous people in the 21st century

Indigenous people in the 21st century

Order Instructions:

some engagement with notions of social inequality. which you can find some suggested starting points for this essay in (sociology antipodean perspectives 2ed textbook)
#64 (‘Division’ Nikos Papastergiardis) and
#65 (‘Insiders, Outsiders’; Ghassan Hage).

SAMPLE ANSWER

In this 21st century, the number of indigenous people in the 21st century is over 300 In this 21st century, the number of indigenous people in the 21st century is over 300 million, whereby they are spread all over the world, including the Scandinavian Sami, Guatemala’s Maya, the Dalits in the South Indian mountains, the Kwei and San of South Africa, and Aboriginal people of Australia, among others.  There is a great diversity among indigenous people’s communities, with each having a significant culture, history, language, and a significantly different way of life (Altman and Johnson, 2010).  In spite of these diversities, these indigenous communities across the world share various values that are partly derived from the view of their lives are inseparable and part of the general natural world.

In Australia, the ancestors of the first Aborigines in the country, believed to have originally been the homeland of Aborigines. For thousands of years, they lived a peaceful, primitive, and nomadic life without the disturbance of the outsiders. Therefore, historically Australians have more aligned to think of remote living Aboriginal people through broad representation types (Altman and Johnson, 2010). During the 21st century, it is clear that the aborigines of Australia are the ultimate outsiders. This paper argues that the fact on top of discussing why they are perennial objects in regard to the Australian government attention.

Over the past two decades, the Australian approach of the Social Policy towards the indigenous people has been underlined under the overreaching goal of struggling to achieve outcome equality, while at the same time recognizing the discrepancy that is increasing (McCormick et al, 2007). Such an approach is considered as necessary because it makes it possible for an ultimatum of the rights of the indigenous citizens, which have been in play since the 1960s, as well as the recognition of the inherent rights envelope, which both highlight equality and difference. However, even in this century, there is still a disturbing extreme for the making of social policy that underlined in the norm of universalism. Indigenous people whose economic and cultural circumstances are very diverse from the dominating societies, are living on land owned by the Aborigines in Australia’s remotest parts and are engaging in significantly diverse customary economies (McCormick et al, 2007). This is a very problematic extreme, especially within the reform welfare context, which has placed so much emphasis on mutual obligation since the ‘striving for equality of measured outcomes’ milestone might never be realized or be seen as appropriate in a setting that views the Aborigines as outsiders in the 21st century Australia.

Apart from the historical legacy that makes the Aborigines to viewed that way, this status is also contributed to significantly by two factors. The first one is that they reside in localities that are extremely remote considered to be “beyond the market’, which makes these localities susceptible to geographically-remote localities lacking viable markets of labor; and secondly, due to the significantly high-levels of commitment in the non-market or customary economy that results due to concrete cultural continuities – partly due to relatively benign and late histories (Levitus, 2011). As a result, in the 21st century, Aboriginals are represented as the outsiders in the Australian context due to the picture that is attached to them by default. First, they are pictured as outsiders due to the cultural discrepancies even if in positive terms – gatherers and hunters who have vibrant artistic and ceremonial traditions, and whose language is very distinct coupled with the fact they live off the land (Levitus, 2011). Secondly, they are viewed as outsiders in this perspective because their cultural differences are significantly viewed as negatively driving them away from the common population. In the critical view of the typical Australian, their cultural discrepancies are more of savage and repugnant practices, characterized with anti-modern (anti-21st century) tendencies, and they are generally depicted as improvised social outcasts of the modern age. Despite the fact that they have existed through history of Australia, large and by, it is clear that just a particular kind of image has been dominant all through – they are the modern-day Australia outsiders (Levitus, 2011).

It is largely due to the reasons outlined concerning why they are the ultimate outsiders in the 21st century Australia that help to better explain why they are the perennial objects of Australian Government attention (Megaw, 2006b). The government views it as an informed move to intervene through the introduction of new policies for the policy regarding the indigenous people. Mainly it is in an effort to change their being viewed as outsiders. The government attention cannot be mentioned as romanticist or dilettantish and can be generalized in several observations. The first one is the combination of native title and land rights as well as increasing the possibility of the recognition of the Aboriginal rights, and making sure that they are not habitats to such remote localities in the future. Secondly, the government attention can be viewed in terms of trying to improve the robust living conditions in such localities and increase the state penetration, globalization and the labor market. Thirdly, as a result of the recent debate regarding the social policy that is underlined by the rubric of mutual obligation, it is crucial for the government to act as a the key player it is in improving on the social participation degree that is well established already, to cater for these indigenous and remote communities like Aboriginals for this matter.

The government consideration of the Aboriginals as perennial objects can be argued in terms of increasing self-determination and self-management. In this century especially, the commonwealth policy has been based on this declaration: ‘the fundamental right of Aboriginals to retain their racial identity and traditional lifestyle or, where desired, to adopt wholly or partially a European lifestyle,” (Coombs, Dexter and Hiatt, 2010; p. 21). The government is promoting the initiative on Aboriginal control or participation in community or local government, as well as the other concerned areas to encourage them from living in the conceptualities that ultimately label them as outsiders. This approach was previously conceived as self-determination and self-management, and recently the government support has been the latest positive investment in programs that are managed by Aboriginal organizations. For instance, the Aboriginal Development Commission has been string than ever in the 21st century advent, whereby it is positively assisting social and economic development of Aboriginal people, through promotion of their self-management and development as well as increasing the economic self-sufficiency of the Aboriginal people (Coombs, Dexter and Hiatt, 2010). The government involvement in the general view is to ensure that the Aboriginals are at the same social and economic front with their counterparts.

In general, the Aboriginal are viewed as outsiders in the 21st century Australia because of the remote localities and deprived social, cultural and economic welfare. The reason they are they are the perennial objects of Australian Government attention is because the government wants to change these statuses and ensure this is not their position in the country anymore (Megaw, 2006b).

References

Altman, J.C. and V. Johnson (2010), ‘CDEP in town and country Arnhem Land: Bawinanga Aboriginal Corporation’, CAEPR Discussion Paper No. 209, Centre for Aboriginal Economic Policy Research, Australian National University, Canberra.

Coombs, H. C., B. G. Dexter and L. R. Hiatt (2010), ‘The outstations movement in Aboriginal Australia’, Australian Institute of Aboriginal Studies Newsletter, 14, 16– 23.

Levitus, R. (2011), Aboriginal Development and Self Determination: Policy, Distancing and Articulation, unpublished manuscript, Centre for Aboriginal Economic Policy Research, Australian National University, Canberra   https://press.anu.edu.au/publications/series/centre-aboriginal-economic-policy-research-caepr

McCormick, T., R. Irving, E. Imashev, J. Nelson & G. Bull, (2007). First Views of Australia 1788-1825: a History of Early Sydney. David Ell Press in association with Longueville Publications, Chippindale, NSW

Megaw, J.V.S., 2006b. Australian archaeology – how far have we progress.

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Four Comprehensive Exam Questions

Four Comprehensive Exam Questions
Four Comprehensive Exam Questions

Four Comprehensive Exam Questions

Order Instructions:

Hi Dear,
This is the continuation of comprehensive exam, question 3. This question is based on what you provided on the two previous questions. Please pay special attention to the three pars of the question. Additionally, I will provide my last paper regarding my research questions of my topic of interest below:

Introduction
The compensation of construction workers that is based on the prevailing wage and its consequent effect, positive or negative, on construction in general and specifically on affordable housing for senior inhabitants is the subject matter of this concept paper. The prevailing wage paid to construction workers for government-funded construction projects as compared to market rate compensation on privately owned and financed construction projects was the perceptible experience that is the basis of undertaking this study. Dunn, S., Quigley, J. M., and Rosenthal, L.A. (2005) emphasized on the prevailing wage law as factors in increasing the costs of construction. The costs of construction with market rate compensation to the construction workers seem to be lower than the prevailing wage. Carr (2008) stated that lowering high construction wages would lead to lower construction expenses and consequently more affordable housing. Carr (2008) also claimed the price of low-income affordable housing is already high; the application of prevailing wage creates an additional burden on the end users.
The objective of this investigation is to explore the effects of the prevailing wage versus market wage rate on the construction industry and in particular low-income housing for the senior populace. The cost efficacy of low-income housing construction for senior citizens constructed with the prevailing wage as a medium of payment to the workforce on construction projects is the target of this investigation. The factors that impact the affordability of senior citizens housing, when utilizing prevailing wage, are targeted in this study. The line of reasoning is about the elements that could have an impact on the affordability of low-income housing in general and the factors that influence the cost of affordable housing for seniors in particular when the prevailing wage is used in the course of construction. There is limited research directly related to the topic of this study, but a combination of past five years and older studies would serve the purpose.

Statement of the Problem
The elevated costs of construction have greatly decreased the production of affordable housing for seniors (Scanlon & Cohen, 2009). One of the most prominent causes for this decrease in production is the currently high construction wages. Lowering construction wages will lead to lower construction expenses and consequently more affordable housing for this vulnerable population (Carr, 2008). One of the major factors that affect construction cost is labor wage rate that when combined with other related elements will establish the construction cost. The senior affordable housing is the targeted picture of publically funded projects in which the high construction cost is the conclusion of many factors that have caused it. The high labor wage rate is one of the construction cost determinants among the list of other elements. Applying lower construction wages so as to have lower construction cost is the reasonable correlation between labor wage and construction cost. Some states have repealed the Act and some others have enforced it. Construction workers who are working on public construction projects that are compensated on prevailing wage standard in average receive $3.68 an hour more than the workers paid with market wage rate. This assumption may lead to conclusion that public construction could costs less without prevailing wage (Clark, 2005). The findings of a study showed construction costs amplifies considerably, ranging from 9% to 37%, when prevailing wage regulations utilized (Dunn, et al., 2005). The price of affordable housing is already high and applying the prevailing wage laws will create extra burden on the end users (Carr, 2008). Every state, district, and county may have their own prevailing wage laws, policies, regulations, and guidelines. Therefore, generalization of the topic of study should be contained within different states, districts, or counties.

Purpose of the Study
The purpose of this quantitative study is determine the effect of the prevailing construction worker wage on construction costs of affordable housing for seniors in California as compared to the market construction workers wage rate. Also, the affordability of affordable housing for seniors in California with the prevailing construction worker wage as compared to the market construction wage will be examined.
Research Questions
Q1. What is the effect of the prevailing construction worker wage on construction costs of affordable housing for seniors in California?
Q2. What is the effect of the market construction worker wage on construction costs of affordable housing for seniors in California?
Q3. What is the effect of the prevailing construction worker wage on the affordability of affordable housing for seniors in California?
Q4. What is the effect of the market construction worker wage on the affordability of affordable housing for seniors in California?

Hypotheses
Hypotheses for question one, are illustrated as follows:
H10. There is no relationship between the prevailing construction worker wage and the construction costs of affordable housing for seniors in California?
H11. There is a positive relationship between the prevailing construction worker wage and the construction costs of affordable housing for seniors in California?
H20. There is no relationship between the market construction worker wage and the construction costs of affordable housing for seniors in California?
H21. There is a positive relationship between the market construction worker wage and the construction costs of affordable housing for seniors in California?
H30. There is no relationship between the prevailing construction worker wage and the affordability of affordable housing for seniors in California?
H31. There is a positive relationship between the prevailing construction worker wage and the affordability of affordable housing for seniors in California?
H40. There is no relationship between the market construction worker wage and the affordability of affordable housing for seniors in California?
H41. There is a positive relationship between the market construction worker wage and the affordability of affordable housing for seniors in California.

Theoretical Framework
Stigler as cited in Oslington (2012) quoted Adam Smith when he stated that human being demeanors are to follow their own interest within competing environment. Naturally, human behavior is founded on the desire for competition. Since the childhood, individuals are either part of competing challengers or had desire to be competitive (if not practically, at the minimum dreaming of being better than others). Smith as cited in Evensky (2005) stated that self-love is the driving force within the market structure. Smith’s emphasis of market organization in his Wealth of Nations is around self-interest and self-love that drive the individuals to be better than their competitors and eventually profit more in cases of businesses. Smith, as cited in Bayer (2012), believed people will perform what benefit them through producing goods and services that are necessities to the public. The Wealth of Nations in which Smith asserted the theory of invisible hand of the market, works like a self-regulating device. As expressed by Smith a free marketplace economy is capable of taking its course routinely without needing government to interfere. Smith outspokenly challenged involvement of government regarding product regulatory enforcement, trade restriction, and labor law as it is understood market will take care of its issues. As suggested by Smith the mixture of the elements of self-interest, competition, and supply and demand are the components of invisible hand of the market, and believed these elements unavoidably are capable in resource distribution within the community (Bayer, 2012). Theoretical structure of this study is based on the theory of Smith’s market invisible hand.

Brief Review of the Literature
Examination of the prevailing wage laws have provided evidence that the prevailing wages are influential factors in increasing the costs of construction (Dunn, et al. 2005). The prevailing wage laws in the Unites States established as part of public policy at the federal and state levels since the first half of twentieth century (Prus, 1996). This means workers will be compensating with the prevailing wage rate when working on publicly funded construction projects. The available literature for the effect and impact of the prevailing wage on senior affordable housing is incredibly limited. There is no solid experimental study of the economic effects of prevailing wage in general and on senior affordable housing in California in particular. Although there are some researches in the subject of prevailing wage impact on the costs of senior affordable housing (Prus, 1996), there is a gap of understanding in the area of the impact of prevailing wage on construction costs of affordable housing for seniors. For higher understanding of the prevailing wage requirements, it would be better to start from early labor movement literature. Labor movement primarily began with requesting to have “eight-hour legal working day” (Yeagle, 1997, p.7). The movement led into three laws, the Davis-Bacon Act, Walsh-Healey Public Contracts, and the Service Contract Act (Yeagle, 1997). The Davis-Bacon Act law essentially enforces the wages and benefits of construction workers on the basis of prevailing wage rate (Price, 2005).
Subsequent to the impassionate political argument in October 2001, the legislature in California passed a bill in broadening the use of state’s prevailing wage laws to cover numerous construction projects that were not covered before; this include subsidized housing financed through public entity, and some of the privately owned construction project covered under this law (Dunn, et al., 2005). The policy argument and dispute will have an added heat by introduction of the new law, particularly in the area of subsidized low-income housing. Dunn, et al. also expressed in view of the fact that market wage rates are almost always lower than the prevailing wage rates. The extended application of this law could considerably increase the costs of public construction, conceivably to the extent that they may not be economically viable (Dunn, et al., 2005), which mean enormous impact on construction cost.
Low Income Housing Tax Credit (LIHTC) law has passed by Congress as to divert the problem of housing for low income citizens (Wright, 2003). Contractors pay nine to $12 for simple laborer and about $20 to $24 for skilled workers based on the market rate, comparing to union wages, market rate is half the amount (Kennedy, 1993). In order to have affordable housing it is required to lower high construction wages (Carr, 2011). Carr argues that the price of affordable housing is already high and having prevailing wage in effect, creates extra burden on the end users. As a result, production of affordable housing is reducing dramatically due to high cost of construction (Scanlon & Cohen, 2009). Scanlon and Cohen brought up this subject and compare the hard cost of a condominium in Manhattan with union labor versus non-union labor. In this regard hard cost of construction of condominium in Manhattan is about $450 per square foot (psf) with union wage rate against $300 psf with market wage rate (Scanlon & Cohen, 2009). In comparing union wage rate with prevailing wage rate the findings show that most of the requirements for both are the same with minor differences (Wilder, 2010). Opponents of union wage rate emphasize that union control the market power which in turn increasing pay rates (Bennett & Kaufman (2002).

The cost and quality of construction always debated between policymakers (Clark, 2005). The costs of projects run through Davis Bacon are 23 percent higher than the projects governed by the funding of private sector without prevailing wage application (Prus, 1996). The United States founded on competition that is the principal factor of capitalism, which in turns supported by anti-trust law (Leef, 2010). Leef claims that prevailing wage is against competition. The Florida’s low-income rental housing for senior citizen that is subsidized by government demonstrates the non-affordability of such rental housing (Golant, 2002). Construction cost analyses that are based on wage differences between market wage and prevailing wage are inappropriate, as many other factors in addition to labor wage are involved in construction cost. Therefore, the cost savings dialog that some investigators are claiming application of lowering wage will lower construction cost is uncertain and for this reason requires further investigation (Prus, 1996). The incentive for publically funded affordable housing called the tax-exempt bond program might not be sufficient in order to keep the construction cost down; also the prevailing wage may not be the reason for having lower construction production of low-income housing. However, there is no research literature emphasizing on California or other states’ prevailing wage necessities regarding correlation to construction cost (Newman, Blosser & Haycock, 2004). The school construction projects in the Washington State that had paid market price to the construction workforce would cost taxpayers 12.7% cheaper than when constructed under prevailing wage requirements (Washington Research Council, 1999). The Washington Research Council reveals that the market will lay down prices more efficiently than any authoritarian methodology even though well directed and managed. In other hand, decreasing prevailing wage rates will threaten the skill-centered construction industry of Pennsylvania State and will lead toward the opposite direction through which requires decreasing costs in a long run (Wial, 1999).
Literature Review of Experimental and Quasi-

Experimental
Looking for appropriate research design is the ground for this section of the literature review. The objective of experimental and quasi-experimental research designs is to test the effect of remedial function applied on a dependent variable (Kovera, 2010). Once the remedy methodically differs from other variable, it is referred to as the variables confounded, which denotes that the remedy effect is associated with other variables effects. Kovera also stated that although the target of performing an experiment is to have the effect of probable confounding variables under control by means of manipulating the independent variable and arbitrary allocation of partakers to the situation within the experiment that are still probable to have confounded variable in an experiment.
Random allocation of partakers to numerous treatments is the distinguishing factor of an experiment (Anderman, 2009). Random allocation to either an investigational group or a control group is among the elementary factors involved in the experimental approaches. In such case, investigational group would receive certain type of treatment while, control group will not receive treatment. Anderman also asserted when the treatment differs between the investigational (experimental) and the control group and this differences are controlled firmly, and when after the experiment measureable variances exist amid the two groups in which did not existed before the start of experiment, the researchers could then conclude the investigational manipulation was the cause for the differences.

The advantages of experimental design include investigator trying to eradicate unsolicited extraneous variables, controlling extraneous variables normally are better performed than other researches design (Kikishin, 2012). The methodology contains manipulation of independent variable in order to observe the influence on dependent variable, which provides a situation to discover the cause and effect correlation, and the sever conditions and controlling will provide a condition that experimenter can rearrange the experiment and repeat to check the outcome (Kikishin, 2012). Kikishin also denotes the Disadvantages of experimental design as extraneous variables cannot be removed in every instances of experimental environment as may not associate to real life events. Random assignment of participants to groups might be unethical or impossible, which would count toward the disadvantages of the design (Kikishin, 2012).

Independent variable is the corresponding balance to dependent variable (Fan, 2010). In contrast, dependent and independent notions are initially utilized as in mathematical logic, which denotes that dependent variable value alters as the value of independent variable changes (Fan, 2010). Fan also stated that independent variables in a research study are the variables that investigator can influence and control; while dependent variables are replies to the outcomes resulted from independent variables. Variable in the simplest form is measurement of some elements that embraces minimum of two separate values over the span of the research that partakers are involved (Brown, 2010). On the contrary, dependent variable is the outcome resulted from the deed of minimum of one or more independent variable (Salkind, 2010).
In an investigational and observational approach through data examination, control variable is counted as variables without having major emphasis on such variables, therefore establishes extraneous or confound variable that controlling or eliminating of its impact will be necessary (Pole & Bondy, 2010). The purpose of controlling possible confounder is to separate the influence of the exposure element over the concluding factors where decreasing or removing possible bias obtained through differences in the outcomes detected amid exposed and unexposed partakers that are determinable to the probable confounder. Control is realized once the possible confounder is incapable to differ between exposure groups and because of this the detected relationship amid the exposure and concluding result is independent from possible confounder. Pole and Bondy described the achievement of control in an example when chemical reaction rate is investigated and shows how it varies with different substances as exposures in the process. The researchers by keeping the rate of temperature constant in different substances under investigation will make sure that temperature differences will not affect the outcome of the series of experiments. A group within an experimental study that is alienated from the remainder of the examinational study that is testing the independent variable so as to prevent its impact is referred to control group. Through segregating the effect of independent variable of the research, every other clarification of the outcome of the experiment is eliminated (Pole & Bondy, 2010).

Reviewing Project Trade-Offs
There are three tradeoffs present in an experiment as follows (Wiley, 2009). First, there are unavoidable tradeoffs in experiments regarding blocking or to standardize conditions. When deciding to incorporate blocking in any experimental design, it is needed to iterate treatment on any of the experimental unit. Second, clarifying interpretation of multiple tests of a hypothesis undertaken. Just at the time of interest, emphasize on any instead of each for N number of probable responses, which would be the suitable time to adjust criteria for statistical significance of the outcomes. Third, misunderstanding regarding disadvantage of large experiments be corrected. There are possibilities of small biases even after randomization of treatments in experiments with considerable amount of sample size. As these small biases are hard for investigators to detect, therefore large experiments need special attention and examination (Wiley, 2009). Wiley asserted that these types of experiments could be justified only at the time the least amount of human involvement with highest amount of standardization is in place. In experimental design justifying unavoidable tradeoffs necessitate vigilant consideration at the time of attesting any experiment.

Theme/Sub-Topic
Knowing these facts leads to a question: Can public housing that are built under the term affordable housing, be really affordable? Affordable housing for seniors is the target of this paper so as to look for the effect of prevailing wage rate on affordability of such housing in California, and in general any construction project that are publicly funded. This research intends to answer five extensive questions as sub-problems:
1. The prevailing wage effect on production of affordable housing.
2. The prevailing wage effect on employment in construction industry.
3. The prevailing wage effect on government-subsidized rental housing for low-income seniors, and in particular California.
4. The prevailing wage effect on political inclination related to affordable housing.
5. The prevailing wage effect on anti-trust laws.
Research Method
The literature from the past researches and the directional guidelines of NCU (2013) concept paper template was the most valuable material and information to utilize for this concept paper. The Dissertation Journey presented broad walkthrough for development and writing a dissertation for novice researchers. Roberts (2004) emphasized on learners’ responsibility after graduations so as to have their research findings publicly shared and distributed for the use of other upcoming learners. As Leedy and Ormrod (2010) stated there are two main steps involved in descriptive quantitative research. Identifying the characteristics and attributes of a professed events or facts is the first thing to start with. The second one is to determine possible correlation between two or more events or facts. There are four foremost approaches to descriptive research. These are developmental designs, observation studies, survey research, and correlational research. In continuation of this assertion Leedy and Ormrod described that correlational research “examines the extent to which differences in one characteristic or variable are related to differences in one or more other characteristics or variables. A correlation exists if, when one variable increases, another variable either increases or decreases in a somewhat predictable fashion” (Leedy and Ormrod, 2010, p. 183).
Creswell (2005) designated that the correlational research is used when the purpose is to look for the presence of relation between two or more variables with the intention of discovering if they have effect on each other. This practice is best pertinent when scholars are capable of utilizing statistical data in calculating the correlation through statistical analyses. Creswell went on indicating that the two major correlation approaches are explanatory and prediction. The explanatory design is the one that the objective of examiners is to discover two or more variables named co-vary, which designates that the deviation applied to one variable will show deviation occurring in other variable(s). The researchers in the prediction approach are focusing on predicting the results through explicit variable named as predictors (Creswell, 2005).
When the relation between two variable exist, such as wage rate and construction cost, choosing the correlational research design for the topic of interest would be the most attractive and common sense to establish our research based on this phenomenon. The independent variable of labor cost and dependent variable of construction cost are the foundation for the research. In either case of increase or decrease in labor cost, in the form of the prevailing wage or the market wage, there could be raise or drop in construction cost that illustrates evidence of correlation relationship between the two variables. The prevailing wage as an independent variable may influence construction cost, positive or negative, and or a number of other variables. Exploring correlation relationship between the prevailing wage and other dependent variables assists in comprehension of such relationship. When Type I error considered in hypothesis testing, the statistical significance is accentuated on diminishing Type I error. This means with the assumption of null hypothesis being true, what would be the probability of rejecting it by mistake.
In this concept paper we established controlled research based on two groups of the prevailing wage rate and the market labor wage. Two groups of A and B were proposed. Group A presumes construction cost using workers with the prevailing wage rate, and Group B considered construction cost using workers with the market labor wage. We also assumed to study Group A for the situation that the prevailing wage is applied as compared to the application of the market wage, then examining causes of higher cost of construction. Next moving to analyzing the causes that if it is because of the chance or having the higher prevailing wage as compared to the market labor wage rate. We as well assumed the case if the Group A of construction cost with the prevailing wage to be either a little lower or higher than that of Group B of the market wage. In such case having the prevailing wage rate or the market wage causing the impact on the construction cost are not probable, since the two groups of events would probably have small differences due to the random selections. In the same manner, if there are a small number of participants in the investigation, having the outcome by chance are more probable. For the purpose of determining statistical significance we depend on the actual rates of labor costs in each of the two groups as well as the number of partakers in each group. These processes will be repeating for the other three pair of hypotheses as well.

Operational Definition of Variables
Construction costs principally consist of cost of land, hard costs, soft costs, and developers’ profit. Fundamentally, hard costs include the cost of labor and material. While soft cost comprise of the cost of financing, insurance, professional fees, and the cost of complying with codes, regulations and environment (Scanlon & Cohen, 2009). Therefore, major variables in the construction can be classified as land, labor rate, material, and funding. Land can be measured under nominal scale in that land is categorized to those that have views, which can be further divided to hill side view, ocean view, lake view, water front, flat land, and steep hill side lands.
Labor rate as the second variable in our list is measured with interval scales, and depending on the type of funding (publicly funded projects either totally or partially are subject to prevailing wage or union rate), prevailing wage, union rate, and market standard pay can be analyzed precisely through this method of measurement. Material is the third variable in our inventory. Any data that orders are based on species, grades, levels, and strength, are best suited to place them in the ordinal scale of measurement. Building materials are classified under species, grades, strength, levels, and structural features, are the best example of ordinal scale of measurement. Finally, funding that is the groundwork of any construction project is based on time, mathematics, accounting, and related ratios. Hence, the best suggestible scale of measurement for funding variable is ratio measurement.

Construct/Variable 1.
A moderator variable affects the direction and or power of the association between independent variable and dependent variable (Petty, 2006; Bauman, et al., 2002). To clarify moderator and mediator variable in the scenario of this study, it will be appropriate to start with couple of examples. The extension of the application of prevailing wage requirements to construction workers working on subsidized low-income housing projects (Dunn, et al., 2005) is the moderator variable. Generally, researches reach to a level for examining relationship between theoretical constructs through measurement of variables that are matching up with the said constructs and monitoring statistical correlation between the variables. This study emphasizes on current legislation in California that prolonged the application of prevailing wage law and its requirements to subsidized low-income housing projects, mandating prevailing wage payment to construction workers employed to build such housing (Dunn, et al., 2005).
The effect of the initiating and spreading out the prevailing wage regulations over the cost effectiveness of construction of public schools in British Columbia was examined (Duncan, et. Al., 2012). The key constructs in this study was the prevailing wage regulations, construction cost inefficiency, and best-practice cost frontier. The prevailing wage is taken as the cause and construction cost inefficiency as the effect. The moderator variable in this study would be the impact of this law on total construction cost. On the other hand, the reasons and the way prevailing wage have impact on the construction cost is the mediator variable in the study (Duncan, et. al., 2012).
Knowing construct of similar projects will assist in pin pointing the moderator and mediator variables of this study. For the topic of this study, the variables, the level of measurement of the variable, and how each variable will vary are classified below:
1. Land: Nominal, Ratio, and Interval
1.1. Land purchase: Interval scale of measurement (Ratio can also be used)
1.2. Land development cost: Interval scale of measurement
1.3. Land location: Nominal scale of measurement (Ordinal can also be used)
1.4. Views: Nominal scale of measurement
1.5. Terrain/Topography – Ratio and Interval scale of measurement
2. Labor rate: According to the exhibited table below:
Variable Name Level of Measurement
1 Direct labor cost Interval –
2 Fringe benefit cost Interval Ratio
3 Worker’s compensation cost Interval Ratio
4 Medicare cost Interval Ratio
5 Group (health, life and accident) insurance cost – Ordinal
6 Retirement benefit cost Interval Ratio
7 Sick leave cost – Binary
8 Vacation cost Interval Ratio
9 Social security cost Interval Ratio
10 Mandatory safety training cost Interval Ratio
11 Perk cost (Daycare and tuition reimbursement, etc.) – Nominal

3. Material: Nominal and Ordinal
4. Costs: Ratio, Interval
1.6. Financing costs – interval and Ratio scale of measurement
1.7. Insurance cost – measured with Ordinal scale of measurement
1.8. Professional fees – measured with Interval and Ratio scale of measurement
1.9. Cost of complying with codes – Nominal and Interval scale of measurement
1.10. Cost of regulations and environment – Interval scale of measurement
1.11. Cost of political issues and changes – Ordinal and interval scale of measurement
1.12. Cost of applied taxes – Interval and Ratio scale of measurement
5. Project Time: Ratio and Interval measurement
In this section the two research method design of experimental and coorelational are defined so as to perceive the better fit for the topic of interest. Several times I switched between the two methods of experimental and correlational as either technique practically could apply to the topic of my interest. According to Field (2009) in correlational study observation of the events occurs without straightforwardly manipulating it. While, in experimental examination variable is influenced to observe its consequence on another variable. Lastly the correlational research method looks more logical for the topic of interest and has no manipulation of variables and would demonstrate real variation in different selected samples. Exploring construction costs are about real numbers and are best to study any variation with no manipulations of the samples (Field, & Mills, 2010).

In statistics, when it is referred to population it means a certain group that are under study or information are being gathered about them for further decision making based on information collected. A proportion of the group under study or in other words randomly picking a section of population with all its characteristics referred to as sample. Random samples contribute to generalization of population under study (Field, & Mills, 2010). The construction cost is generally high, and when manifold of projects are studied for the investigation intentions, the projects’ costs of study will go skyrocket that would not be affordable by any researcher, unless being supported by grant or some kind of government assistance. Because of this fact, it is suggested to produce a list of constructors and developers that have performed a number of projects in the past five years. These projects will be used in this study. The projects under investigation in this study will be categorized based on the financial sizes of the project. Then, five levels of projects scoring of $100,000, $500,000, $1,000,000, $10,000,000, and over $100,000,000 will be produced that are tabulated and illustrated bellow:
Project Size Sample Size Prevailing Wage Samples Market
Wage Samples
$ 100,000 60 30 30
$ 500,000 30 15 15
S 1,000,000 20 10 10
$ 10,000,000 14 7 7
$100,000,000 and more 6 3 3

Measurement
The pre-acquired list of builders, contractors, and developers will be contacted to obtain their consent regarding participating in the research. The sample size as illustrated in the table above could be 60, 30, 20, 14, and six correspondingly. The selected and consented companies will arrange for information gathering regarding their most recent project completed. The samples are divided into two groups of projects in each category of the prevailing wage and market wage rate. The wage rates will serve as independent variables accordingly. This will decrease massive amount of examination and its resulting observation costs, as studying projects that already completed in the most recent year are going to serve the purpose. Observing and inspecting projects under construction at the same time require several observant to record their findings within which the cost of so many personnel is horrendous. While, randomly selected companies with their latest completed project will serve the research needs in the same manner as would have started from ground zero without any manipulation of numbers. A hypothetical matrix prepared below with various probable covariate that could possibly have impact on the construction cost as dependent variable.
Contractor’s Name Date Established No. of Employees Payment Schedule Wage Rate of Non-skilled Workers Benefit Paid to Workers Mandatory Safety Training Cost Sick Leave Cost Vacation Cost Social Security Cost Const. Cost per square foot
Ridge Homes 07/25/89 38 MW Rate 8.5 3.4 0.68 0.085 0.85 0.85 $ 205
Market Builder 08/12/99 17 MW Rate 10 4 0.8 0.1 1 1 195
On-Price Home 03/03/85 25 MW Rate 9 3.6 0.72 0.09 0.9 0.9 185
Logical Corp. 02/10/01 32 MW Rate 10 4 0.8 0.1 1 1 215
Cheap Homes 10/02/02 21 MW Rate 9 3.6 0.72 0.09 0.9 0.9 200
Picky Homes 01/15/02 37 PW Rate 34 20.4 2.72 0.68 3.4 5.1 285
Ridicules Builder 07/23/85 31 PW Rate 32.5 19.5 2.6 0.65 3.25 4.875 270
Stimulus Building 03/01/01 24 PW Rate 33 19.8 2.64 0.66 3.3 4.95 300
Suspicious Homes 02/25/98 20 PW Rate 35 21 2.8 0.7 3.5 5.25 290
Expensive Builder 09/10/88 23 PW Rate 32 19.2 2.56 0.64 3.2 4.8 325

Nominal Nominal Ordinal Binary Ratio Ratio Ratio Ratio Ratio Ratio Ratio

Ranges Range = Range = Range = Range = Range = Range = Range = Range =
21 26.5 17.6 2.12 0.615 2.65 4.4 140
Where: Market Wage = MW, and Prevailing wage =PW

During the course of acquiring the charges for the test statistics, when getting to the value that is less than 0.05 commonly we accept the examination of hypothesis as true, which means an effect exist in population. This terminology is normally stated as significant effect. On the other hand, when the effect is not substantially large and is more of a chance in its occurrence, then it is called non-significant result (Field, 2009). Then, p-value that is the probability value and resulted after test statistic is calculated. When we set alpha at 0.05 and the p-value found smaller than 0.05 (alpha) then we conclude it is statistically significant, with the same analogy when alpha is considered as 0.01then the p-value must stay smaller than 0.01 to consider the condition as statistically significant. Principally, p-value must be smaller than alpha in order to consider it statistically significant in which case we reject the null hypothesis and this is the time to call there is a difference between the groups (NCU, 2010).
As acknowledged by NCU (2010) statistical inference is constituent of business statistics when estimating a population stricture anchored in a statistical sample. Hypothesis testing is a significant part of statistical inference. When performing hypothesis testing, the identified population stricture related to the hypothesis will be confirmed to be true only if enough sample evidence is available. The denial or confirmation of the validity of the suggested hypothesis can be judged thereafter. Any information within a sample is subject to sampling error. Based on this statement, a sample mean more or less undeniably will not equal the population mean. Therefore, a testing process need to be applied that integrates the probabilities for sampling error. There are two potential error that can happen at the time of hypothesis testing due to probability for tremendous sampling error that are referred to as Type I and Type II errors. Type I error is defined as rejecting the null hypothesis where it is actually true. Type II error is identified as failing to reject the null hypothesis where it is actually false. The argument that many statisticians unanimously agreed upon is that the expression accept the null hypothesis should not be used at all. The term do not reject the null hypothesis should be used in its place. Therefore, reject H0 or do not reject H0 should be the only two testing decision on hypothesis to be made (NCU, 2010).
The correlational design is quite simpler than other experimental research approaches as there is no control group to deploy. A correlation illustrates the existence of positive or negative relationship between two or more variables. In such case, the weakness of the design could be that the verification of cause and effect would not be possible, as it is not known which variable comes first. Another alternative approach that would work with our scenario is the survey design a quantitative research that includes assembling of information from one or multiple group of people, their opinion, feature, or past experiences, and placing them in a matrix for in-depth examination. Leedy and Ormrod, (2010) stated that for this type of research design, a number of questions are presented by the researchers from consented partakers and then summarizing the answers and placing percentage to the responses. Then, setting number of frequencies of the replies, or employing statistical index. This procedure is used for survey research as to determine the answer required in the study about certain population through responses received via sample of that population (Leedy, & Ormrod, 2010). This research approach could be another design to use in the topic of interest that would work decent. In my opinion for every 100 questionnaire sent out, receiving 10% responses would be considering optimistic. In the range of $ 100,000 projects we may find thousands of builders and contractors. Whereas, the higher the range of project budget size the lesser number of constructor exist. This design is less costly as compared to the correlational approach, but has a weaker status regarding logical explanation compared to correlational design.
Summary
The productions of affordable housing for seniors have significantly decreased because of high costs of construction (Scanlon & Cohen, 2009). The high cost of construction wages are one of the major elements in the reduction of such housing. Lessening construction wages will lead to lower construction expenses and consequently more affordable housing for these susceptible citizens (Carr, 2008). Among all others, one of the major factors that influences construction cost is labor wage. The construction of affordable housing for seniors was the target of the study when are publically funded.
The intention of this quantitative study is to determine the impact of the prevailing construction worker wage on construction costs of affordable housing for seniors in California as compared to the market construction workers wage. Additionally, the affordability of construction of low-income housing for seniors in California with the prevailing construction worker wage as compared to the market construction wage will be scrutinized. In order to collect data for this study, it is suggested to construct a list of constructors and developers that have performed several projects in the past five years. These projects will be used in this study for information gathering. The projects under investigation in this study will be categorized based on the financial sizes of the project. The chosen and consented builders will cooperate for collecting information concerning their most recent project accomplished. The samples are divided into two groups of projects in the prevailing wage and market wage. The wage rates will serve as independent variables correspondingly.

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Wiley, R. (2009). Trade-offs in the design of experiments. Journal of Comparative Psychology 12 (4), 447-449. Retrieved from http://proxy1.ncu.edu/login?url=http://search.ebscohost.com/login.aspx?direct=true&db=pdh&AN=com-123-4-447&site=ehost-live

Wright, M. T. (2003). Low-income housing tax credits: Comparing non-profit versus for-profit developments in terms of cost and quality. Retrieved from ProQuest Dissertation & Theses. (UMI No. 3120085).

Yeagle, A. L., (1997). A history of prevailing wage laws in the United States: Passage to repeal. Retrieved from ProQuest Dissertation & Theses. (UMI No. 9828972).

SAMPLE ANSWER

Four Comprehensive Exam Questions

Question One

Introduction

Theories contribute significantly to the guiding of research/study and organizing and creating sense of findings of a research. This paper is divided into three Parts. Part I focuses on the scholarly views on the nature and types of theories, and offering a comparison and contrast of three scholarly views of what constitutes a theory. Part II focuses on revealing the scholarly literature on the association between research and theory. This part also addresses three through which research contributes to theory. Part III of the paper explains how grounded theory contributes to the reader’s understanding of my research topic. Consequently, this part proceeds to discuss and analyze two controversial areas that are associated with the grounded theory.

Part 1

Scholarly Views on Nature and Types of Theories

Examples of theories include deductive, inductive and grounded theories. Deductive theory is based on reasoning on one or more statements with the aim of reaching a logical conclusion. Inductive theory involves the movement from specific observations to the broader or wider generalizations of assumptions (Cameron, 2013). Grounded theory refers to the method of research/study that can help the researcher develop an assumption on the principle concern of a community or population being investigated, and how the concern can be processed or resolved. This theory can be employed in explaining my research as will be shown in Part III of the paper.

Various opinions exist concerning what constitutes a theory. Some researchers define theory as the association/relationship between variables, while other refers to theory as an abstract (Gelso, 2006). Other researchers such as Wacker refer to theory as a trial and error, as opposed to a systematic examination/investigation. Moreover, other authors argue that a theory reveals clearly how it is measured. As a framework for evaluation, a theory should manage to address all the primary questions that a researcher aims at answering such as what, who, where, why and when. In relation to this, it can be argues that the measurable or quantifiable dimensions of a theory arises from data and research (Amseus, 2014). Some of the measurable aspects of theory are the relationship between describable and observable data. According to Wacker, a theory refers to the association among units that can be observed in an empirical manner. Besides, this scholar adds that as sound theory aims at explaining why and how certain associations lead to certain events/phenomenon (Wacker, 1999). Some researchers such as Harlow argue that a theory is not a global or a fixed notion, but tends to evoke series of constructs. Furthermore, this researcher argues that a theory can be employed in determining a law. Modern psychology takes into consideration a broad range of use of the term theory. These uses are aligned in different levels in relation to how the term is employed in scientific explanation (Stam, 2010). As such, the establishment of theory within psychology relates directly to the manner in which methods have prepared and dispersed. Taking these aspects into consideration, it can be noted that theory differs from elements such as concept, model, paradigm and hypothesis.

A concept refers to the components or constituents of the thought, while a model refers to a composition of concepts that are employed in making individuals comprehend certain phenomena. On the other hand, a paradigm refers to a framework that contains all the accepted views concerning a given topic, the format of the directions that should be adopted by a research and how the research should be executed (Mercer, 2014). Hypothesis refers to an informed or educated guess concerning the ways in which things work. It can also refer to the tentative/uncertain statement about the association between two variables.

Comparison and Contrast of three Views of what constitutes a Theory

The views presented by researchers about what constitutes a theory have similarities and differences. Taking this aspect into consideration, three views that can be compared and contrasted are reductionism, realism and instrumentalism. According to the view of reductionism, theories are considered reducible to observables. Realism considers theories as statements about events that exist in the real sense (Mayer, 2013). On the other hand, instrumentalism argues that theories are employed as tools of executing operation or performing thing in the world.

The three views on theory contribute significantly to the establishment of theory in the scientific discipline. Reductionism and determinism can be employed in the comprehension of theory development within psychology (Stam, 2010). As a view on theory, reductionism targeted at observable vents/phenomena. This view strives to explain and describe events and to distinguish whether such phenomena are physical or not. In addition, this view focuses on explaining and describing whether events can be accounted for within the context/realm of scientific theory or not.

Being connected to reductionism, determinism is perceived as an account of results of theories. In relation to this, determinism argues that for a given set of conditions, there exists a single outcome (Stam, 2010). As such, determinism and reductionism act a perfect reflection of methods/ways of delimiting the description of events or phenomena. According to instrumentalism, a theory refers to a tool that can be employed in comprehending the world. This view argues that the significance of a theory is founded on how effective it is to predict an event or phenomenon, as opposed to how such a theory illustrates objective reality.

While the view of instrumentalism focuses on events that exist, the view of realism focuses on finding or identifying deliverables beyond what can be observed, and establishing the knowledge that is applicable beyond a theory despite a theory being employed in grounding knowledge. Moreover, realism argues that in a situation in which there exist several explanations for a single event or phenomenon, only one out of the various theories and hypotheses can be true. In relation to the view of scientific realism, characteristics such as warfare, differentiation, parsimony and theoretical specifications are perceived as components of good theory (Gelso, 2006). Contrary to the realism view, instrumentalism focuses on the presentation of an antirealism view. Instrumentalism considers theories as devices, instruments or tools that allow scientists to move from a set of statements to observations that are predictable. In addition, while the view of realism focuses on theory validation to a greater extent, instrumentalism focuses on the aspect of discovery. Instrumentalism perceives a good theory as an outcome or product of integration. On the other hand, realism focuses on the aspect of precision.

Instrumentalism, realism and reductionism argue that a theory should be focus on addressing significant practical issues to clarify complex events or phenomena. As a result, the three views on theories have been integrated in several ways within the psychological theory (Naor & Coman, 2013). Among the three views, both instrumentalism and scientific realism have impacted significantly on mainstreaming psychological discipline theory. The integration of the two views in the psychological theory resulted from the need to establish valid theories such as those witnessed in the psychological discipline and science. In relation to this, the discipline of psychology has adapted characteristics that are promoted as components of good psychology such as delimitation, internal consistency and integration (Gelso, 2006). Within the realm of psychology discipline, instrumentalism happens to be more process-driven, and aims at identifying significant theoretical systems/ or frameworks for localized phenomena. Recently, psychology advocated for the adoption of views related to non-reductive materialism. In relation to this, materialism presents a platform on which some features or elements cannot be reduced to physical properties (Harlow, 2009). Examples of such elements include functional, informational, cultural, mental and linguistic features. In psychology, theory has embraced the need to provide an explanation for unobservable events such as cultural, mental and functional elements among others.

Part 2

Scholarly Literature on the Relationship between Research and Theory

The association/relationship between research and theory can be explained by focusing on the various research designs that are employed in developing different types of theories. As mentioned in part 1, there exist three types of theories that include descriptive, explanatory and relational theories. There exists a robust relationship between descriptive research and descriptive theory. Descriptive theories focus on the classification of specific characteristics or dimensions of groups, individuals, events or situations (Mercer, 2014). This goal is accomplishing by the summarization of the commonalities existing in discrete observations. As such, these theories often state the aspect of what is? Besides, these theories are often required when there is inadequate knowledge about the phenomenon being investigated.

There are two categories/forms of descriptive theories, which include classification and naming. A classification theory is more elaborate than the naming theory. This theory states that the characteristic or dimensions of a certain phenomenon are interrelated in a structural manner. These dimensions may be overlapping, mutually exclusive, sequential or hierarchical. As such classification theories are often known as taxonomies or typologies (Cameron, 2013). On the other hand, a naming theory refers to the description of the characteristics or dimensions of some phenomenon.

Descriptive theories are created and tested using descriptive research. This form is also known as exploratory research, and it is aimed at answering questions like:

What is this?

What are the existing features of the real world in relation to the mentioned question? Descriptive research/study may or may not employ an empirical method. Non-empirical mechanisms include historic and philosophic inquiries (Mercer, 2014). Historic research is targeted at describing an event/phenomenon that happened at an earlier time. On the other side, philosophic inquiry classifies and describes an event/phenomenon via a critical discussion.

An example of descriptive research that employs empirical methods is the observation of an event its natural setting. In these forms of research, data are often collected by non-participant or participant observation. Besides, data can be gathered by questionnaires, structured interview schedules or open-ended interviews. The raw data collected is a descriptive research may be quantitative or qualitative (Cameron, 2013). The analysis of qualitative research may be conducted using content analysis. This technique is employed in sorting data into categories that may appear during analysis. It can also be employed in sorting data into priori categories. Quantitative data are evaluated using various parametric and non-parametric measures of variability and central tendency.

Empirical descriptive research covers case studies, phenomenological studies, ethnographies, grounded theories and surveys. Case studies are systematic and intensive investigations of several factors for a few individuals, community or group. Phenomenological studies produce descriptions of human experience. Here, Investigators often collect data without priori identification of terms or preconceived expectations. As such, emphasis is place on comprehending people’s subjective and cognitive perceptions, and how such perceptions impact on behavior (Cameron, 2013). Surveys yield accurate and factual descriptions of intact events/phenomena. In the real, sense surveys employed structured instruments in gathering data. However, they may also takes into consideration the use of open-ended questions in such instruments.

There also exists a robust relationship between correlational research and relational theory. Relational theories focus on the specification of the relations that exist between dimensions/characteristics of situations, events, groups and individuals. These theories focus on explaining how parts of events relate to one another. As such, these theories can be established after the identification of the essential dimensions of an event. Relational theories are established by correlational research (Mayer, 2013). This form of research often focuses on answering questions like:

What is taking place here?

At what level do two dimensions tend to happen together?

Correlational studies employ empirical method. Such studies always need the measurement of the dimension of events in their natural settings. Surveys and interviews are the common methods employed in these studies. The collection of data is often accomplished by self-report measures and non-participant observation. Contrary to descriptive study, correlational research often employs instruments such as fixed-choice observation rating scales, checklists and standardized questionnaires. The accomplishment of this goal is often enhanced by the fact that characteristics or dimensions are known (Mercer, 2014). These techniques always yield quantitative and qualitative data. Since data must be attached to un-interpreted data to allow for the calculation of correlation coefficients, qualitative data should be categorized, and numbers assigned to those categories.

Experimental research and explanatory theory have a strong relationship. Explanatory theories supersede relational statements. As such, they focus on the prediction of associations existing between dimensions of phenomena. They also aim at predicting the dimensions of differences between groups. Explanatory theories produced and examined by experimental research. This form study always asks questions like:

What will occur if…?

Is treatment B different from treatment C?

Experimental study employs empirical mechanisms of experimentation (Bradbury-Jones & Caroline, 2014). It takes into consideration the manipulation of some events to determine its impacts on some characteristics or dimensions of another phenomenon/event. Experimentation consists of several different designs with the inclusion of pre-experiments like pretest-posttest-no control group design.

Three Ways through which Research (Quantitative and Qualitative) Contributes to Theory

Ways through which research contribute to the development of a theory are manifested in the observations, research design, case studies and hypothesis testing. Research contributes to the development of the theory via observations. In research, observations impact significantly on theories. Observations can lead to the changing of a theory when the events under observations are not in line with the theory applied in the research. Moreover, observation can lead to the confirmation of a theory in case the events being investigated are in line with theory on which the research is established or founded (Harlow, 2009). Theories often change to match the observations that are being investigated. In this way, it can be argued that a research has a greater impact on theory than the impact the theory can have on it. Research serves to influence the theory, as opposed to the theory influencing the research. In order for researchers to accomplish their objectives, they should engage in an active quality control. Besides, researchers should ensure that they monitor the relationship between observations and theory so that they can manage to tell whether the two elements match or not. In a case observations and theory do not match, researchers should ensure that they adjust the theories on which their research is founded.  One of the principle aims of researcher is to ensure that observations and theory correlate. This goal can be accomplished verifying observations followed by the determination of whether the verified observations match the selected theory. The success of a research is determined by its ability to prove or disapprove a theory. Researchers should note that theories are subject to delimitation. In relation to this, a theory can be delimited based on the aspects or dimensions of the issue being investigated (Harlow, 2009). For instance, the type of the study that has been conducted in reference to the problem under investigation can lead to the delimitation of a theory.

Research also contributes to the development of a theory via research design. Taking into consideration the research’s theory driven aspect, it can be noted that research can help in the construction of a theory. A research design affects several factors such as the association of theory construction, results of empirically based research and observed. Some of the methods and research designs that are employed in psychology are qualitative, quantitative, case study and mixed methods (Levis & Ellis, 2006). Every method of research is composed of many different tools, which can be applied in research questions. As such, the methodology of a study should focus on addressing aspects of how, where, why, when and what.

Inductive and deductive research methods determine the approach to be adopted for a research, research question’s data and research goal (Mercer, 2014). It is advisable that researchers employ mixed methods when executing their activities as such an approach ensures that they draw suitable strategies from the two methods (inductive and deductive research). These methods are vital in ensuring that researchers draw appropriate strategies from them.

Case study research and hypothesis testing contributes significantly to the establishment of a theory. While testing for hypothesis takes into consideration the testing of a single statement/account from theory against various observations, case study research focuses on the comparison of several statements to observations. In relation to this, case study research points out the matching of an observation to theory, and how such a theory can predict aspects of certain cases in an adequate manner (Mayer, 2013). Furthermore, case study research relies on many contacts between each theory and each case.

Case study research plays a vital role in the establishment of a theory. Contributions from case studies often provide new data. In established areas, case study research often contributes to incremental advances/developments in the works of previous theorists (Naor & Coman, 2013). Novel evidence that is obtained from case studies can offer theoretical insights, which can be employed in confirming or denying existing theory. In this manner, theoretical contributions establish the knowledge foundation of disciplines.

Grounded theory has been noted to relate the initial question to the course of doing research. Grounded theory refers to an iterative course in which the establishment of the theory and data gathering build on each other. Research always starts with the raising of questions that do not remain static or confine, but help in yielding the research. As such, researchers often operate from a center of theoretical concepts that are employed as baseline in adjusting and asking questions (Levis &Levis, 2006). Thus, research contributes to the establishment of a theory in a direct manner via the creation of linkages between data.

Part 3

How the Grounded Theory adds to the Reader’s Understanding of my Research Topic

Grounded theory can contribute to the reader’s understanding of my research in several ways. First, this theory ensures that the readers develop a deep understanding of the main concern of the issue being investigated in my study (Higginbottom & Lauridsen, 2014).  For example, this theory enables the reader comprehend the effect that the prevailing construction worker wage has on the costs of constructions of affordable housing for seniors within California in relation to the workers’ wage rate of market construction. Here, the principle concern is the effects of the prevailing construction worker wage on the expenses of affordable housing for seniors. Besides, the theory will also help readers comprehend or relate how Adam Smith’s invisible hand of the market, which is the base of capitalism, can help determine the market rate compensation that should be paid to construction workers, as opposed to the existing wage (Bradbury-Jones & Caroline, 2014). Second, this theory ensures that the reader develops a deep understating on how the process of data collection was achieved in my study (Cameron, 2013). My study is a qualitative research. As such, the reader can manage to comprehend the method employed in gathering data, which in turn help the reader understand the data evaluation mechanisms employed in accomplishing the objectives of the study. This theory offers a guideline on how data analysis is executed by the researcher, which helps in enhancing the reader’s understanding of the entire data analysis process (Mayer, 2013). Third, grounded theory ensures that the reader understands the structures of the existing construction worker wage via constant process of comparing it to affordable housing for seniors. This process enables the reader to understand the effects that result from the relationship between the two variables (Mello & Flint, 2009). As such, the use of grounded theory in my researcher is significant in eliminating confusions or problems that readers may encounter as they attempt to understand my research.

 Discussion and Analysis of Two Controversial Areas associated with the Grounded Theory

Grounded theory’s approach to methodology happens to face controversy. Researchers who are new to the use of this theory can experience problems in comprehending various elements associated with this approach to research methodology (Amsteus, 2014).  Besides, the existence of various versions concerning the theory’s approach to methodology can prove daunting to researchers who are new to this theory. Learning and comprehending the differences existing between the grounded theory’s methodologies can be equated to the learning of an individual’s research philosophy, which is always the determining factor in the selection of a methodology. The problem associated with learning various methodologies associated with this theory arises from the fact that terminologies employed in it always sound similar to the new researcher (Mercer, 2014). However, this problem can be addressed when such a researcher focuses on the exploration of the differences existing between such terminologies. One of the methods that researchers can employ in addressing this problem is focusing on comprehending their philosophies. Such an undertaking is vital in ensuring that researchers focus on their objectives. Moreover, another controversial area surrounding the grounded theory is the element of axial coding (Rintala, Paavilainen & Astedt-Kurki, 2014). Addressing this problem requires the researcher not to focus on the approaches to grounded theory as either wrong or right. Instead, the researcher should focus on selecting an approach that fits the goal of his or her study. This approach is significant in ensuring that the researcher avoids facing the confusions that are associated with perceiving the two aspects (grounded theory and axial coding) as bang different (Green, 2014). Focusing on the two approaches as being different often results in the researcher developing a negative attitude towards the use of such a theory in meeting his or her research objectives (Naor & Coman, 2013). As a result, a researcher may face problems comprehending how the tow aspects can be integrated to help the research attain the study’s goals.

Conclusion

Some examples of theories that can be employed in guiding research are deductive, grounded and inductive theories. Various views exist concerning theories. Some researchers such as Gelso (2006) consider theory as relationship between variables, while others such as Wacker consider it trial and error. Three views on theory are reductionism, realism and instrumentalism. Some of the ways through which research contributes to theory are manifested in research design, hypothesis testing, case studies and observations. In relation to this, the grounded theory enables the reader to comprehend the data analysis and data collection process of my research. It also enables the reader to gain an in-depth comprehension of the issue being investigated by engaging in a continuous process of comparing various issues being raised in the study. However, this theory presents problems to new researchers who employ this approach in their study as its methodology involves various approaches.

References

Amsteus, N. (2014). The Validity of Divergent Grounded Theory Method. International Journal of Qualitative Method, 13(1) 71-87.

Bradbury-Jones, C & Caroline, T. (2014). Applying Social Impact Assessment to Nursing Research. Nursing Standard, 28(48), 45-49.

Cameron, R. (2013). Lessons From the Field: Applying the Good Reporting of a Mixed Methods Study (GRAMMS) Framework. Electronic Journal of Business Research Methods, 11(2), 53-64.

Gelso, C. (2006). Applying Theories to Research: The Interplay of Theory and Research in Science. In Leong, F.T., Austin, J.T. (Eds), The Psychology Research Handbook (pp.455-465). Thousand Oak, CA: Sage Publications.

Green, E. (2014). Use of Theoretical and Conceptual Frameworks in Qualitative Research. Nurse Researcher, 21(6) 34-38

Harlow, E. (2009). Contribution, Theretical. In Mills , A, Durepos, G., & Wiebe, E.(Eds), Encyclopedia of Case Study Research(pp.237-239), Thousand Oaks, CA: Sage Publications Inc.

Higginbottom, G & Lauridsen, I. (2014). The Roots and Development of Constructivist Grounded Theory. Nurse Researcher, 21(5), 8-13.

Mayer, J. (2013). Integrating Theories in AMJ Articles. Academy of Management Journal, 56(4) 917-922.

Mercer, H. (2014). Theory-Driven Evaluation in School Psychology Intervention Research: 2007-2012. School Psychology Review, 43(2), 119-131.

Mello, J., & Flint, J. (2009). A Refined View of Grounded Theory and its Applications to Logistics. Journals of Business Logistics, 30(1) 107-125

Naor, M & Coman, A. (2013). Theory of Constraints: Is it a Theory and Good One? International Journal of Production Research, 51(2), 542-554.

Levy, Y & Ellis, J. (2006). A System Approach to Conduct an Effective Literature Review in Support of Information Systems Research. Informing Science Journal 9(1) 181-212

Rintala, T; Paavilainen, E., & Astedt-Kurki, P. (2014). Challenges in Combining Different Data Set During Analysis When Using Grounded Theory. Nurse Researcher, 21(5) 14-18.

Stam, H. (2000). Theory. In Salkind, N(Ed), Encyclopedia of Research Design (1449).

Wacker, J. (1999). A Definition of Theory: Research Guidelines For Different Theory-Building Research Methods in Operations Management. Journal of Operations Management, 16(4) 361-385.

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Differential Diagnosis Research Assignment

Differential Diagnosis
Differential Diagnosis

Differential Diagnosis

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SAMPLE ANSWER

  1. Differential Diagnosis

The patient has many presenting symptoms and this is a challenge to identifying the disease at once.  The productive cough of the patient is  purelent indicating the presence of a large number of white blood cells mainly neutrophillic  granulocytes. The purulent sputum of asthmatic is as a result of eosinophillic cells (Farzan  N.p). The patient’s blood stained sputum (hemoptysis) may be caused by a wide range of underlying disorders ranging from trauma to  heart problems to lung diseases to many other infections. Patients  in industrialized countries such as china, bronchitis, bronchogenic carcinoma and bronchiectasis may lead to a productive blood-stained cough but are ruled out since chest X-rays in these diseases are shown to be normal (Jaiswal pp. 176-178.). Lung cancer is also ruled out because its diagnosis does not indicate the presence of rod-like bacteria.  Pulmonary embolus is also ruled since diagnosis of sputum is found to be non-purulent.  Hemoptysis and purulent sputum may also be observed in patients with HIV, where the common cause is typical pneumonia (Health Grades Editorial Staff, Chamberlain  2012).

Home. n.d)

A patient with pneumonia may also present a cough with purulent sputum (Lower Respiratory Tract Infections N.p). Scanty acid-alcohol fast bacilli are also observed in a patient with HIV but this infection is also ruled since HIV patients show a normal X-ray. The patient may be suffering from Chronic Obstructive Pulmonary disease since X-ray shows flattened diaphragm but it also ruled out because the Ziehl Neelsen’s method does not show the presence of the rod –like bacteria (Acute Exacerbations of COPD, N.p). The patient may be having tuberculosis which is the most common cause of hemoptysis and also due to the observation of scanty acid-alcohol fast bacilli in the patient’s sputum (Yoon pp. 172). Observation of heavy pus cells and red blood cells and multiple light areas which coalesce provides evidence that the patient has tuberculosis (Tuberculosis, advanced – chest x-rays N.p).

  1. Table of the Biochemistry Results
Protein Result Normal Range  

High (),

normal () or

low ()

C-reactive protein 13mg/l 1-3 mg/l 10-40

10

1

Creatine kinase 125IU/I 10-120IU/I 308

39-308

39

C-Creatine (hs-CRP) is an essential clinical tool used by physicians to assess patients to determine if they can benefit from a statin therapy.  The rise in levels of CRP is brought about inflammation hence it serves as a marker for inflammation.  Different diseases and infections have varying ranges of CRP.  The CRP of 13 mg/l measured for the patient indicates an increased sensitivity presenting mild inflammation.

(The Relationship Between C-Reactive Protein and Cardiovascular Disease. (n.d.)

The patient’s CK is within the normal range. This implies that there is no injury to muscles in the body (Clinical significance of markedly elevated serum creatine kinase levels in patients with acne on isotretinoin. n.d.).

  1. Chest X-ray Pathology Test

The patient was directed to stand in front of the X-ray machine and instructed to hold his breath at the time the X-ray is taken.  The radiologist usually takes two images, that is, one is taken when the patient is standing next to the machine while the other is taken while standing sideways. In case the patient is pregnant, chest X-rays are not recommended at all. In fact, no chest X-ray should be taken of the pregnant woman when she is in first six months pregnant.

(TUBERCULOSIS: No longer down and out. n.d)

All other patients can have the chest X-rays as long as they have diseases suggestive of a chest related problem.  These may include the patient experiencing a persistent cough, coughing blood or productive cough with purulent, and having difficulty in breathing.  If the patient has shown advanced signs of tuberculosis, one’s doctor can order for a chest X-ray. There are no expected complications as long as it is not repeated many times within a short time or a certain number of times in the patient’s life span.

The patient’s symptoms suggest that he has Tuberculosis (cough, rod-like bacteria, fever). He, therefore, would require chest X-ray besides microbiological testing. The radiologist will take both the lateral and the posterior-anterior (PA) films with each having clear notes. The typical changes he will be looking for include air space consolidation, fibrous contraction and cavitation on the superior parts of the lobes or one or both superior parts of the lower lobes or upper lobes.   The extensive infiltrate with air space consolidation in noted with a bronchogram( ). The number of cavities formed is indicated by (+). Ina addition,  reticulonodular satellite fibrosis and lesions are seen surrounding the involved lung which is normally identified by a traction of the right upper hilum.  However, atypical finding will be more profound if the patient has human immunodeficiency virus (HIV) (Testing for tuberculosis  n.d.).The result on the X-ray depends on the level of the disease. On the X-ray result film there will be seen an abnormality on the mid and lower lung fields.

  1. Interpretation of data and Diagnosis of the patient

Based on the symptoms which have been listed, the patient has an upper respiratory infection which indicated by the cough (Rabkin  N.p, n.d). There are a number of diseases which are indicated by the hemoptysis such as bronchogenic and bronchitis. But only Tuberculosis diagnoses with the rod-like bacteria in the purulent and blood-stained sputum. The patient experiences fever which comes about by the body’s struggle to fight the foreign disease causing microorganisms. That is why his average body temperature is higher than the normal 37 .4 d degrees centigrade. According to the X-ray, the arrow points to the  air space consolidation, fibrous contraction and cavitation which can be observed clearly on the superior parts of the lobes or one or both superior parts of the lower lobes or upper lobes.

The suggestion that the patient is suffering from TB is based on other examinations made which indicate that the patient is not generally well. The patient was also referred to the urologist because he was suspected to have genitourinary tuberculosis.  The result from the urologist which indicated 15 leukocytes in the field, confirms the presence of foreign antigens in the genitourinary system, probably, the mycobacterium, the rod shaped bacteria which causes tuberculosis (Savage pp. 1998 N.p).

More evidence that the patient is suffering from Tuberculosis is indicated by the result obtained from staining the purulent and blood stained sputum with Ziehl Neelse’s method which also confirmed the presence of large a number of scanty acid-alcohol fast bacilli.  The result indicated that each field had more than 20 pus cells within a single field. This was an indication a high density of the mycobacterium, the organism behind the genesis and progression of tuberculosis. Besides pus cells, rod-like bacteria or streptococci are observed. Although few in number, they are still the causative and infectious agents of both pulmonary and genitourinary tuberculosis.

Ziehl neelsen staining. (n.d.).

The presence of red blood cells also indicates that more oxygen is needed to for respiration to produce energy needed by leucocytes.  This suggestion was based on the underlying symptoms such as the immobilization of the commercial disease associated antigens. This were observed on the plastic micro-wells’ surfaces and were specifically bound IgG antibodies from Alfred’s serum to his diseased parts.  There was also a positive result when peroxidise- conjugated goat which is also indicated by anti-human IgG bound Alfred’s IgG in change. Also, resistance to Amphicilin and Isoniazid in which the test carried out shows sensitivity to the drugs.

  1. 5. Discussion
  2. a) The Lesion (Abnormality) in the Chest X-Ray

The lesion is observed as an extensive infiltrate and air-space consolidation on the upper lobe of the right lung. A number of cavities are also observed as indicated by the positive (+) signs. Also, observed are surrounding reticunodular satellite lesions which are very easy to note. There are also fibrotic lung lesions. These are also consistent with tuberculosis at an untreated inactive state of the disease. These lesions make the patient more at risk than their counterparts with a tuberculosis infection if both were more than eight years.
b)    Why did the urologist request the submission of three specimens?

X-ray alone is not enough to confirm that a suspect has TB . The urologist might have requested to carry out other diagnostic tests associated with TB. The results obtained support the radiology results. The comparison of the results from both departments helps the two practitioners to confirm with certainty the actual disease the patient is suffering from. The results from the urology department such as cid-fast smear which is used for microscopic identification of the cause of the pulmonary tuberculosis.  The results show the presence bacilli and pus cells.

  1. c) Significance of Using Early Morning Specimens

The urologist requested for the urine specimens produced by the patients in the early morning since it is less contaminated by lyses red blood cells. This is because the urine collected soon after a prolonged recumbency or soon after a vigorous physical or even sexual activity should not be examined when assessing the patient’s state of microhematuria since he knows it is contaminated. Patients are advised to void the first 5 ml of the urine and then collect up to 50 ml of the remaining urine in a sterile bottle.
d) Antibiotics Used As Treatment of Pulmonary TB

After diagnosing with TB, a number of antibiotics are prescribed by a doctor as a therapy for the infections and to prevent emergence of resistant bacteria in the body.  They are used in a period of 6-12 months. The combination of the antibiotics includes:

  • Isoniazid
  • Rifampin
  • Pyrazinamide,
  • Ethambutol

(Tuberculosis (TB) – Treatment.  n.d.).

(The rationale for recommending fixed-dose combination tablets for treatment of tuberculosis. n.d.).

  1. e) Route; Drug Resistance; Combination Therapy and Length Of Therapy.

Since is has pulmonary TB, he will take two antibiotics orally in a combination of rifampicin and isoniazid every day for six months. He will have an additional oral administration of two antibiotics in a combination of pyrazinamide and ethambutol every day for two months (Tuberculosis (TB) – Treatment. n.d.).
f) Further Investigations to Determine the Spread of the Disease

To determine the spread of the disease within him, three tests may be conducted. Positive tuberculin test leads to the development of cell-mediated immunity which develops within 2-8 weeks from the time of infection. The mechanism behind this phenomenon is that activated T Lymphocytes combine with macrophages to form granulomas which are effective in limiting replication hence curbing the spread of bacilli. Ziehl Neelsen method may be used to determine the level of infection by the bacilli. Lastly, use biochemistry tests such as determine the level of damage to specific muscles of the body.
g) The Disease Progress and Prognosis for the Patient

Tuberculosis disease begins with infection and overcoming the carrier of the mycobacterium’s immune system defences. During primary tuberculosis, the disease is dormant and the immune system is able to contain the infecting and its spread. The bacteria multiplies, it continues affect the immune system and eventually overwhelms it leading to tuberculosis (Testing for tuberculosis n.d.).

List of Works Cited

Acute Exacerbations of COPD | Doctor | Patient.co.uk, [Available at: http://www.patient.co.uk/doctor/acute-exacerbations-of-copd][ [Accessed on 11th November, 2014]

Chamberlain, N. 2012, “CLINICAL SYNDROMES OF PNEUMONIA” . [ Available at http://www.atsu.edu/faculty/chamberlain/Website/lectures/lecture/dxpneumo.htm][Accessed on November 11, 2014]

Clinical significance of markedly elevated serum creatine kinase levels in patients with acne on isotretinoin. (n.d.). [Available at http://www.researchgate.net/publication/11559091_Clinical_significance_of_markedly_elevated_serum_creatine_kinase_levels_in_patients_with_acne_on_isotretinoin] [Accessed on 11th November, 2014]

Farzan, S. 1990, “ Clinical Methods: The History, Physical, and Laboratory Examinations. 3rd edition: Chapter 38Cough and Sputum Production. Butterworth Publishers, a division of Reed Publishing. [Available at: http://www.ncbi.nlm.nih.gov/books/NBK359/][Accessed on11th November, 2014]

Health Grades Editorial Staff, -. (n.d.). Sputum Symptoms. [Available at:http://www.healthgrades.com/symptoms/sputum-symptoms][Accessed on November 11, 2014]

Home n.d.,  [Available at http://tbevidence.org/][Accessed on November 12, 2014]

Jaiswal, A., Munjal, S., Singla, R., Jain, V. & Behera, D. 2012, “A 46-year-old man with tracheomegaly, tracheal diverticulosis, and bronchiectasis: Mounier-Kuhn syndrome”, Lung India, vol. 29, no. 2, pp. 176-178.

Lower Respiratory Tract Infections. (n.d.). [Available at http://www.atsu.edu/faculty/chamberlain/Website/lectures/lecture/dxlrt.htm ][Accessed on 11th November, 2014]

Rabkin, M. n.d.,  “ Upper Respiratory Tract Infection.”  Retrieved November 11, 2014, from http://www.medicineclinic.org/AmbulatorySyllabus4/NEWURI.htm

Savage, P., Roddie, M. & Seckl, M.J. 1998, “A 28-year-old woman with a pulmonary embolus”, The Lancet, vol. 352, no. 9121, pp. 30.

Testing for tuberculosis. (n.d.). [Available at http://www.australianprescriber.com/magazine/33/1/12/18/][Accessed on November, 2014].

The Relationship Between C-Reactive Protein and Cardiovascular Disease. n.d., [.Available at  http://www.medscape.org/viewarticle/500049_4][Accessed on November 11 2014]

The rationale for recommending fixed-dose combination tablets for treatment of tuberculosis. (n.d.). [Available at http://www.ncbi.nlm.nih.gov/pmc/articles/PMC2566330/][Accessed on November 11, 2011]

Tuberculosis (TB) – Treatment . (n.d.).[Available at :http://www.nhs.uk/Conditions/Tuberculosis/Pages/Treatment.aspx][Accessed on November, 2014]

Tuberculosis, advanced – chest x-rays: MedlinePlus Medical Encyclopedia Image. (n.d.). [Available at: http://www.nlm.nih.gov/medlineplus/ency/imagepages/1607.htm][Accessed on November 11, 2014]

Yoon, Soon Ho, Nyoung Keun Lee, and Jae Joon Yim. “Impact of Sputum Gross Appearance and Volume on Smear Positivity of Pulmonary Tuberculosis: A Prospective Cohort Study.” BMC Infectious Diseases 12 (2012): 172. ProQuest. Web. 11 Nov. 2014.

Ziehl neelsen staining n.d., [Available at http://images.1233.tw/ziehl-neelsen-staining/][Accessed on November 11, 2014]

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The regression technique Discussion

The regression technique
The regression technique

The regression technique

Order Instructions:

This is supposed to be a discussion posting. Not a paper assignment.

Due 11/13 (Wed)

Please see attachment for instructions and references.

SAMPLE ANSWER

Introduction

The regression technique used is the logistic regression. This is a technique used when the dependent variable is categorical. The study outcomes are not continuous and they do fall into different categories that warrant this modeling approach (Lewis-Beck, 1993). In a logistic regression, a logistic transformation of the odds or the logit serves as the dependent variable. The dependent variable (odds) if taken and adding a regression equation for the independent variable will yield a logistic regression (Allen, 1997).

The odds ratio is used to measure how the fitted probability changes between different values of the explanatory variable. An odds ratio that is equal to one indicates a zero effect, an odds ratio greater than one indicates an increase in odds while an odds ratio less than one indicates a decrease in the odds (Draper, & Smith, 1981).

A logistic regression significance testing helps a researcher to identify the influence of different factors in his model (Lewis-Beck, 1993). Thus, the Wald’s test is used to test the contribution of individual regression co-efficient, while the deviance test is used to identify the contribution of several model coefficients simultaneously.

Criminal Justice Research

The research has looks into different types of mistreatment categorically. The odds ratio with its confidence interval has been indicated, as well as the regression co-efficient for each contributing factor. The Wald value has also been indicated so as to ascertain the contributory aspects of each variable. The p-value to indicate the significance of each variable has also been indicated.

In analyzing emotional mistreatment, age, employment status, health status, previous traumatic event, social support levels, and ADL assistance needs are our categorical variables with a probability of success or failure (Williams, 1959). From the results, the odds of an a person below seventy years being mistreated emotionally is approximately three time more than for a person above seventy years. The regression coefficient also indicate that age is the most influential factor when understanding aspects of emotional mistreatment followed by previous traumatic event, need for ADL assistance, health status, employment status and social support respectively. Nonetheless the health status is insignificant when interpreting the health status. Social support level contributes more to the model individually.

Physical mistreatment can be associated with age, gender, race, income level, health status, previous traumatic event and level of social support. Age and social support levels are the only significant factors that can be used to define physical mistreatment as indicated by their probability values of 0.05. The model also suggests that age is the most influential factor as regards physical mistreatment. This is attributed to its Wald value of 8.5 and regression coefficient value of 1.41.

Sexual mistreatment as a categorical variable is identified by gender, income levels, health status, previous traumatic event, social support and need for ADL assistance. Of these factors, previous traumatic event is the only significant variable explaining sexual mistreatment. It regression coefficient of 2.64 indicates its high influence on the logistic model describing sexual mistreatment.

The research utilizes logistic regression to assess different aspects of elderly mistreatment based on different predictors ascribed to them. This is due to the categorical nature of the various forms of mistreatment. Mistreatment is our outcome variable as its value is discrete, thus the assumption of linearity is upheld. A logistic regression then addresses this defect by using a logarithmic transformation on the type of mistreatment variable. The different levels of mistreatment are expressed in terms of odds ratio for success. This ratio indicates the reaction resulting from any form of mistreatment.

References

Allen, M. P. (1997). Understanding regression analysis. New York: Plenum Press.

Draper, N. R., & Smith, H. (1981). Applied regression analysis. New York: Wiley.

Lewis-Beck, M. S. (1993). Regression analysis. London: Sage Publications.

Williams, E. J. (1959). Regression analysis. New York: Wiley.   https://doi.org/10.1002/bimj.19610030208

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Swedish Daddies Essay Paper Assignment

Swedish Daddies
Swedish Daddies

Swedish Daddies

Order Instructions:

Read Case 9.5: Swedish Daddies, located on page 351 of your textbook (attached PDF has case reference material).

Write a four to six (4-6) page paper in which you answer the following questions:
1. If you have, or plan to have, children, what sort of balance do you seek between career and
family life? Do you believe that the mindset of corporate America is conducive to the type of work
and family arrangement that would suit you?
2. Should the United States require companies to provide paid maternity leave? Should it assist
them to do so? What about paternity leave?
3. Should specialized organizational arrangements be made for workers who wish to combine
career and child raising? Suppose specialized organizational arrangements must be made for
such workers. Identify steps that companies can take to accommodate parental needs more
effectively.
4. Does a firm have an obligation to give employees the flexibility to work out the particular balance
of career and family that is right for them? Or does this go beyond the social responsibilities of
business?
5. Cite your textbook as a reference.

Your assignment must follow these formatting requirements:
• Be typed, double spaced, using Times New Roman font (size 12), with one-inch margins on all
sides; references must follow APA or school-specific format. Check with your professor for any
additional instructions.
• Include a cover page containing the title of the assignment, the student’s name, the professor’s
name, the course title, and the date. The cover page and the reference page are not included in
the required page length.
The specific course learning outcomes associated with this assignment are:
• Analyze the concepts of public safety and government regulation along with the role of business
responsibility.
• Recommend ways in which businesses can be partners with nature by applying the concepts of
business ethics, business ecology, and environmental ethics.
• Use technology and information resources to research issues in business ethics.
• Write clearly and concisely about business ethics using proper writing mechanics.

SAMPLE ANSWER

Swedish Daddies

Parents should balance their time between work and family. They should always ensure that they spend quality time with their families without using much of it accomplishing tasks at work. As much as income earned from work sustains the family, spending time with family members increases the love between parents and children. In the article, the author states in the article that most jobs offered for women have low income and require less time to accomplish a task. The author further states that employment opportunities that pay much money require worker to spend most of their time working to accomplish tasks. Married couples who plan to have children should seek to engage themselves in careers that do not work for late hours (Korabik, Lero & Whitehead, 2011). In addition, they should not settle for jobs that they work through evenings (Grzywacz & Demerouti, 2013). They can pick on a career that they work for eight hours then spend the rest of their time with their families.

Consequently, the love between the parents and the children bonds when they spend much time together. Through this practice, the children share numerous issues with their parents (Grzywacz & Demerouti, 2013). Children also tend to be free with their parents. Spouses should also not consider employment opportunities that require them to work over the weekends as this also denies their time with their families. Referring to the article, the author states that the mindset of corporate America is not conducive to the type of work and family (Grzywacz & Demerouti, 2013). Corporate America is also not conducive to the type of work and family because they are opposed to marital leave for working women. America does not guarantee women a paid maternity leave. Through this practice, America does not encourage women to consider giving birth since their employees do not receive their maternity leave allowance. America also offers less remuneration to jobs that women execute because of their flexibility and availability. Arguably, women do not get a chance to secure well paying jobs because they require employees to work for long hours.

Business organizations within United States should allow employed women paid maternity leave. Though this practice, women can constitute their family by giving birth to the number of children they desire. Paid maternity leave also allows women to cater for their needs during the time that they are attending to their newly born babies (Grzywacz & Demerouti, 2013). Allowing women maternity leave without allowances discourages them to give birth to children they desire. Women should be at liberty to give birth to the number of children they desire since this forms their families. Parental leave employee gain offered in most countries that grant paid time off work to care for a child or arrange for the welfare of the child (Korabik, Lero & Whitehead, 2011). Government institutions should stipulate a minimum benefit of parental leave in the law so that business organizations can practice its implementation (Korabik, Lero & Whitehead, 2011). Parental leave law in return benefits parents and their children. Paid parental leave to married couples should also be available as legal rights.

The interests of the children should be a collective responsibility between the parents to raise their children successfully (Korabik, Lero & Whitehead, 2011). Consequently, the three types of childcare policies include parental leave policy, childcare policy and early childhood benefits. Parental leave policies assist employed parents prior to giving birth to stay at home for a period so that they can take care of the child. A paternity leave is important to households since married men assist their women to carry out their daily duties during the maternity leave. Paternal leave also increases the bond between a woman and a newly born child. Paternal leave is also important for men since it allows them to have a long break with their families (Korabik, Lero & Whitehead, 2011). Childcare policies enable parents receive assistance in non-parental care for the child by subsidizing the type of care parents select. In addition, childcare programs serve both working and non-working parents. In addition, early childhood benefits support parents in their everyday care of their child. The benefits parents receive in return are cash grants used to cover the costs of caring for an infant.

Formation of specialized organizations for workers who wish to combine career and to raise their children is of necessity because it encourages family members to spend more time with their families. Specialized organizations allow men and women flexible time to execute their duties (Grzywacz & Demerouti, 2013). These organizations also pay adequate allowances to their staff members to enable them cater for their families. Consequently, family members can interact with each other and can share many issues amongst themselves. A specialized organization will allow its workers maternal leave that further encourages married couples to form their families and raise the number of children they desire to during their marriage (Korabik, Lero & Whitehead, 2011). Paternity leave is also of necessity since men offer their assistance during the maternity leave (Grzywacz & Demerouti, 2013). In the article, the author states that business organizations in Sweden are allowing women employees up to sixteen months paid maternal leave per child. Through this practice, women can give birth without worrying how they will sustain their newly born children (Korabik, Lero & Whitehead, 2011). In Sweden, business organizations allow men a two-month paternity leave that they use to support their families.

Arguable, business organizations in Sweden supports the practice of parents to spend most of their time with their families and children. Specialized organizations can take numerous steps to accommodate parental needs more effectively (Grzywacz & Demerouti, 2013). These steps include allowing parents to work within the normal eight hours per day. Through this practice, parents can spend time with their families, which further culminate to love among them. Through this practice, families are also able to perform numerous duties together at home. Specialized organizations should not operate through the weekends as this also denies families time together. Consequently, specialized organizations should offer their staff salaries that can sustain both their basic needs and those of their families. Arguably, a sustainable salary for employees enables them to perform their duties well and deliver positive output compared to earning a low salary.

Business organizations are not obliged to give employees the flexibility to work out the particular balance between career and family. Business organizations should embrace practices that value their employees. Business ethics requires that business organizations engage in activities that enhance sustainability of the business. Business ethics is a professional applied ethics that examines ethical principles and moral or ethical predicaments that arise in a business environment (Korabik, Lero & Whitehead, 2011). Business ethics concerns all aspects of business conduct and is applicable to the behavior of individuals and entire organizations. The main aim of for-profit business organizations is to maximize their profits with the available resources within the market. Business ethics contributes to the reputation of the organization positively (Korabik, Lero & Whitehead, 2011). In addition, business ethics also assists the company to communicate its expectations to its staff members, to suppliers, vendors and customers.

It is necessary that business institutions giving their employees the flexibility of work because it enables them to perform their duties without much stress. Ethical business practices also create a positive working environment within the market and enable the organization avoids legal problems (Korabik, Lero & Whitehead, 2011). Arguably, giving employees the flexibility to work out the particular balance of career and family goes beyond the social responsibilities of the business. Consequently, the business will have a positive reputation within the market. Through this practice, the business can increase its market share and maintain its sustainability within the market. The business also creates a good rapport with its staff members (Korabik, Lero & Whitehead, 2011). Through this practice, staff members of the business can raise issues concerning them and the organization at large. A good rapport with the business also fosters a good relationship between the staff members and the management of the organization (Korabik, Lero & Whitehead, 2011). Even so, staff members can assist the management run the business by giving out crucial information that may be of use and support to the business organization.

References

Grzywacz, J. & Demerouti, E. (2013). New Frontiers in Work and Family Research. New York: Psychology Press.

Korabik, K., Lero, D. & Whitehead, D. (2011). Handbook of Work-Family Integration:  Research, Theory, and Best Practices. Amsterdam: Academic Press.

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