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write my assignment 23450

Need an argumentative essay on Recognizing and Managing Asymptomatic Left Ventricular Dysfunction after Myocardial Infarction. Needs to be 2 pages. Please no plagiarism.

I agree with this thesis particularly because the absence of symptoms or signs of LVSD in myocardial infarctions makes a timely diagnosis of the condition to be significantly crucial for the survival of the affected patients.

Epidemiological data on the etiology of Asymptomatic left ventricular Dysfunction in Europe and America suggests that nearly 60% of patients develop the condition after suffering from myocardial infarction. According to Gheorghiade&nbsp.and Bonow (1998), “myocardial infarctions survivors usually have an increased risk of LVSD.” Consequently proper and early disease management models should be established to ensure cases of the disease are detected and managed effectively. Similarly, a number of critical pathways can now be effectively used to improve detection and detection of asymptomatic LVSD.

On the other hand, one-half of LVSD patients are asymptomatic. In this regard, the early detection and management of the condition in post-myocardial patients can significantly help nurses to reduce mortality in the asymptomatic cases. Some of the evidence-based practices and techniques employed in the early diagnosis of the disease include radionuclide imaging, echocardiography, and ventriculography (Goldberg&nbsp.and Jessup, 2006). All these strategies are important in the intervention of the dysfunction and the improvement of the quality of life in the affected patients.

A number of evidence-based practices can be employed in the assessment of LVSD in patients who have suffered from myocardial infarction. One of the effective multidisciplinary approaches is carrying out an assessment of the disease in myocardial infarction survivors (Timmins and Kaliszer, 2001). Additionally educating such patients on their conditions can help doctors and clinicians to detect and prevent some the risk factors that may increase progression to heart failure.

 

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write my assignment 14787

Hello, I am looking for someone to write an essay on The Capital Buffer and Capital Planning-Banks. It needs to be at least 500 words.

According to this article, FINMA categorizes different financial institutions into different groups based on their total material goods, possessions under management, fortunate and required own funds. Pillar 2 describes the limits for capital buffers in line with categorization. The support sets the capital adequacy requirements in a digressive manner that depends on the size of the institution and its complexity. These limits described by this support include the capital ratio that is applicable to establish the capital adequacy of an institution. The other limit is the capital ratio that needs an immediate action according to the supervisory law. The pillar claims that all financial institutions need to improve the quality of its financial status the help to meet the capital adequacy target of the whole system. Another trait common to most of the financial institutions includes an inability to fulfill the capital buffer target. The author claims that an organization can be permitted to fail to comply with the capital adequacy target upon lack of notification. These organizations are advised to inform the FINMA in advance. The company should also explain the date of meeting the compliance and the method of complying with the capital adequacy target.

 

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write my assignment 23701

Hi, I need help with essay on Euromoney market. Paper must be at least 500 words. Please, no plagiarized work!

Eurodollars refers to the U.S. dollars deposited in banks outside the United States or these are dollars deposited in European banks (Globalization Financial Markets, n.d.). The major sources of the Eurodollars include foreign governments, dollar reserves, oil exporting countries, multinational corporations and business executives with excess cash balance deposits outside the U.S. The users of Eurodollars include commercial banks and governments. Globalization Financial Markets n.d. states that, “many commercial banks have been have been relying mostly on the Eurodollars to make loans to the exporters and importers and domestic companies.”

Eurodollars instruments can be categorized into two: Eurodollar deposits, which can be negotiable certificates of deposits with floating interest rates and specified maturity time and time deposits, which have a maturity time of less than a year or Eurodollar loans, which range from $500,000-$100 million. The later also forms the major source of finance of Eurodollars among all other sources of finance. Globalization Financial Markets n.d. states, “The expansion of Euro dollars is enabled by. private and public depositors keeping their money outside the United States banks and private and public borrowers who take the Euro dollar loans.”

London Interbank Offered Rate (LIBOR) is one of the world’s widely used benchmark for setting short-term interest rates set by sixteen international member banks. The rates were introduced into the financial markets in the year 1986 after two years of conducting test runs. Today, LIBOR rates published by BBA daily places a rough estimate of about $360 trillion rates of financial instruments globally. LIBOR is important, applauded by many participants of the financial markets because it is inclusive, and considers even the less preferred borrowers of money. Either LIBOR has ability to dilute Fed rate cut effects.

The Euro commercial paper is short-term unsecured loan

 

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write my assignment 18032

WCM 610 6-1 Discussion: Improve, Part Two—Mitigating Unwanted Consequences

First, read Chapter 8 in The Essential Workplace Conflict Handbook. Also review your work from Module Five on the first aspect of the Improve process, including the IMPROVE Supplementary Document. Next, in your initial post, address the following:

  • In what ways do you perceive the Improve phase as being informed by the other phases of DMAIC that you have worked with in the course thus far?
  • How can you be sure that the Improve recommendations you propose to solve your organization’s conflict contain as few unwanted consequences as possible? How will you mitigate these unwanted consequences if they occur?
  • Why is an understanding of leadership styles, conflict management styles, and team building processes important to promote increased employee engagement and foster collaboration?

In responding to your peers, reflect upon what each has shared and offer constructive criticism, providing details or examples from your professional experience.Use specific examples from your own organizational conflict or the Garden Depot case study in your initial posts and your responses to other students’ posts.

To complete this assignment, review the Discussion Rubric document.

 

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