I have all the files attached for more details. Please check the lab report first so you can read about the experiment and understand everything. Then, please read the lab instructions in order to write the report with fully organized structure. You will also need to check the data. If you read the experiment and the lab instructions everything will be easy and clear to start working. You will have all the files on a zip file contains everything you need to know.
Note: check the grading criteria so you can have good quality
I need to write a laboratory report. It’s easy and it’s all about reading and organizing the structure of the report, you won’t need to use math it’s mostly writing and providing information and shouldn’t take more than 2 hours.
American Military University Cross Functional Discussion
American Military University Cross Functional Discussion.
I’m working on a writing discussion question and need a sample draft to help me understand better.
I’m working on a writing discussion question and need a sample draft to help me understand better.Discuss the individual contributions that could be made by a cross-functional team to the following list of activities. Assume the team consists of engineering, manufacturing, and supply management personnel.a. Specifications Developmentb. Market Analysisc. Productivity/cost improvementsd. Make or buy analysise. Determination of inventory levelsTo kick this off let me say that being able to effectively participate and lead cross-functional teams is critical to effectively implementing supply chain management. Cross-functional equates to diversity meaning that you have individuals with different skill sets and motivations (based on their respective organizations). Harnessing this expertise and working through the natural barriers that exist is truly a challenge that requires effort to achieve the desired end state…that is to resolve issues and problems and/or to deliver viable alternative solutions.The discussion question reflects this diversity placing it in the context of specific teams and actions.
American Military University Cross Functional Discussion
The Bcg Growth Share Matrix Marketing Essay
term paper help In the late 1960s a consultant for the Boston Consulting Group presented his ideas about cash deficient and growth deficient businesses and the need for a balance between cash generators and cash users. In the late 1960’s the Boston Consulting Group developed a portfolio business model based on this thinking. The model, the BCG matrix or growth/share matrix, was based on the Boston Consulting Group’s knowledge and work in the area of the experience curve and of the product life cycle and how they relate to cash generation and cash requirements. The growth-share matrix was intended to analyze a portfolio from a corporate perspective because it is only at that level that cash balance is meaningful. A business may, however, be segmented further using this diagnostic tool to understand the positions of its various product lines or market segments. This portfolio can therefore be made up of products in a multi-product company, divisions in a multidivisional company and companies in a conglomerate. The BCG Growth-Share Matrix is based on the observation that a company’s business units can be classified into four categories based on combinations of market growth and market share relative to the largest competitor, hence the name “growth-share”. Market growth serves as a proxy for industry attractiveness, and relative market share serves as a proxy for competitive advantage. The growth-share matrix thus maps the business unit positions within these two important determinants of profitability The BCG Growth-Share Matrix positions the various SBUs/product lines on the basis of Market Growth Rate and Market Share relative to the most important competitor as shown below; Relative market share This indicates likely cash generation, because the higher the share the more cash will be generated. As a result of ‘economies of scale’ (a basic assumption of the BCG Matrix), it is assumed that these earnings will grow faster the higher the share. The exact measure is the brand’s share relative to its largest competitor. Thus, if the brand had a share of 20 percent, and the largest competitor had the same, the ratio would be 1:1. If the largest competitor had a share of 60 per cent, however, the ratio would be 1:3, implying that the organization’s brand was in a relatively weak position. If the largest competitor only had a share of 5 per cent, the ratio would be 4:1, implying that the brand owned was in a relatively strong position, which might be reflected in profits and cash flows. If this technique is used in practice, this scale is logarithmic, not linear. The reason for choosing relative market share, rather than just profits, is that it carries more information than just cash flows. It shows where the brand is positioned against its main competitors, and indicates where it might be likely to go in the future. It can also show what type of marketing activities might be expected to be effective. Relative Market Share = Sales This Year / Leading Rival’s Sales This Year Market growth rate Rapidly growing brands, in rapidly growing markets, are what organizations strive for; but the penalty is that they are usually net cash users – they require investment. The reason for this is often because the growth is being ‘bought’ by the high investment, in the reasonable expectation that a high market share will eventually turn into a sound investment in future profits. The theory behind the matrix assumes, therefore, that a higher growth rate is indicative of accompanying demands on investment. Where it can be applied, however, the market growth rate says more about the brand position than just its cash flow. It is a good indicator of that market’s strength, of its future potential (of its ‘maturity’ in terms of the market life-cycle), and also of its attractiveness to future competitors. It can also be used in growth analysis. Market Growth Rate = (Industry Sales this year – Industry Sales last year) / Industry Sales last year The Boston Consulting Group developed this model for managing a portfolio of different business units (or major product lines). The BCG growth-share matrix displays the various business units on a graph of the market growth rate vs. market share relative to competitors: C:UsersMicrosoftDocumentsDownloadsgrowth_share_matrix.gif This framework assumes that an increase in relative market share will result in an increase in the generation of cash. This assumption often is true because of the experience curve; increased relative market share implies that the firm is moving forward on the experience curve relative to its competitors, thus developing a cost advantage. A second assumption is that a growing market requires investment in assets to increase capacity and therefore results in the consumption of cash. Thus the position of a business on the growth-share matrix provides an indication of its cash generation and its cash consumption. Resources are allocated to business units according to where they are situated on the grid as follows: 1. Dog – a business unit that has a small market share in a mature industry. A dog may not require substantial cash because dogs have low market share and a low growth rate and thus neither generate nor consume a large amount of cash, and dogs are cash traps because of the money tied up in a business that has little potential and the capital that could better be deployed elsewhere. 2. Question Mark – a business unit that has a small market share in a high growth market. Question marks are growing rapidly and thus consume large amounts of cash, but because they have low market shares they do not generate much cash. The result is large net cash consumption. A question mark (also known as a “problem child”) has the potential to gain market share and become a star, and eventually a cash cow when the market growth slows. If the question mark does not succeed in becoming the market leader, then after perhaps years of cash consumption it will degenerate into a dog when the market growth declines. Question marks must be analyzed carefully in order to determine whether they are worth the investment required to grow market share. 3. Star – a business unit that has a large market share in a fast growing industry. Stars generate large amounts of cash because of their strong relative market share, but also consume large amounts of cash because of their high growth rate; therefore the cash in each direction approximately nets out. If a star can maintain its large market share, it will become a cash cow when the market growth rate declines. The portfolio of a diversified company always should have stars that will become the next cash cows and ensure future cash generation. If successful, a star will become a cash cow when its industry matures. 4. Cash Cow – a business unit that has a large market share in a mature, slow growing industry. As leaders in a mature market, cash cows exhibit a return on assets that is greater than the market growth rate, and thus generate more cash than they consume. Such business units should be “milked”, extracting the profits and investing as little cash as possible. Cash cows provide the cash required to turn question marks into market leaders, to cover the administrative costs of the company, to fund research and development, to service the corporate debt, and to pay dividends to shareholders. Because the cash cow generates a relatively stable cash flow, its value can be determined with reasonable accuracy by calculating the present value of its cash stream using a discounted cash flow analysis. Cash cows require little investment and generate cash that can be used to invest in other business units. Classifying various product lines of Hindustan Unilever Limited (HUL) As per Nielsen market research data and various sources available from the internet, every product of HUL is being analyzed against the industry to which it belongs and then placed in one of the 4 quadrants of BCG matrix: Thus, we find that Hindustan Unilever Ltd (HUL) is a fairly profitable firm with many of its product lines in the cash cow and star grid of the BCG matrix. Only a few of its products are in the dog grid which suggests that HUL should do some rethinking and reprocessing to deal with the products lying in that grid.
Experimental investigation on the bubble formation from needles with and without liquid co-flow.
Experimental investigation on the bubble formation from needles with and without liquid co-flow..
Bubble columns and dispersed flows (gas-liquid) are widely used in the chemical, biochemical and oil and gas industry. Often, vessels are aerated to provide reactants (oxygen) or to extract products (CO2). The performance of this equipment is dependent on the hydrodynamics, which are complex by nature and not fully understood. A 400 mm x 200 mm x 2600 mm (W x D x H) rectangular bubble column was made to study the hydrodynamics ofbubbly flows. The dispersed phase is introduced by means of a needle sparger, containing 392 needles in total, and gas fractions up to 35% could be achieved. Your task will be to analyse the performance of the sparger by means of high speed imaging. Images were acquired by a high speed camera at a rate of 500-5000 Hz and the bubble sizes needs to be determined by analysing the images using MATLAB. The outcome of the project should include a report where the bubble sizes and bubble size distributions are given for a set of experiments.The structure of a research report is usually as following: 1. Introduction (DONE I need to check) explain the topic, why the research, propose research question 2. Theory / Literature review (DONE I need to check) Brief overview of the theory important for this topic (and what will be used later on in the report). 3. Experimental methods (DONE I need to check) description of experimental facility and measurement methods 4. Results and discussion ( 4 to 6 pages ) Describe (and plot) the results of the experiments. The dependent variable (outcome) as function of independent variables (settings). Discuss the results and the trends and compare with literature. (( the result is in MATLAB code & Excel ))5. Conclusion &Recommendations ( 1 page )> Conclude the results and highlight main findings. Recommend steps and experiments for following research.
Experimental investigation on the bubble formation from needles with and without liquid co-flow.
Cybersecurity Questions
Cybersecurity Questions.
Daily life requires us to have
access to a lot of information, and information systems help us access that
information. Desktop computers, laptops, and mobile devices keep us connected
to the information we need through processes that work via hardware and
software components. Information systems infrastructure makes this possible.
However, our easy access to communication and information also creates security
and privacy risks. Laws, regulations, policies, and guidelines exist to protect
information and information owners. Cybersecurity ensures the confidentiality,
integrity, and availability of the information. Identity management is a
fundamental practice. Part of identity management is the governance of access,
authorization, and authentication of users to information systems, Identity
management is one part of a layered security defense strategy within the
information systems infrastructure. Your work in this project will enable you
to produce a technical report and nontechnical presentation that addresses
these requirements.
Cybersecurity Questions