রবিবার, ৩০ ডিসেম্বর, ২০১২

Murdered gang rape victim cremated in India as politicians vow action

Police and mourners stand outside the cremation ground where the funeral was held.

Police and mourners stand outside the cremation ground where the funeral was held. Photograph: Sajjad Hussain/AFP/Getty Images

A woman who died after being gang raped and beaten on a bus in India's capital has been cremated, amid an outpouring of anger and grief by millions across the country demanding greater protection for women from sexual violence.

Sunday's cremation took place during a private ceremony in Delhi soon after the woman's body arrived on a chartered Air India flight from Singapore, where she died at a hospital on Saturday after being sent for medical treatment.

After the body arrived at the airport, it was taken to the woman's home for religious rituals before being escorted by police to the crematorium. Security was tight, with no public or media access permitted.

Sheila Dikshit, the chief minister of New Delhi, and the junior home minister, RPN Singh, placed wreaths beside the body before it was cremated, the Press Trust of India news agency reported.

The prime minister, Manmohan Singh, and Sonia Gandhi, head of the ruling Congress party, were at the airport to receive the body and meet family who had also arrived on the flight.

Hours after the victim died early on Saturday, Indian police charged six men who had been arrested in connection with the attack with murder, adding to accusations that they beat and gang raped the woman.

Delhi police spokesman Rajan Bhagat said the six suspects face the death penalty if convicted. The case has triggered protests across India and raised questions about lax attitudes by police toward sexual crimes.

After 10 days at a hospital in New Delhi, the victim, who has not been identified, was taken on Thursday to Singapore's Mount Elizabeth hospital, which specialises in multi-organ transplants. She arrived in extremely critical condition, which then deteriorated. She died with her family and officials from the Indian embassy by her side, according to the chief executive of the hospital, Dr Kevin Loh.

Following her death, thousands of Indians lit candles, held prayer meetings and marched through various cities and towns, including Delhi, Mumbai, Bengaluru and Kolkata, on Saturday night to express their grief and demand stronger protection for women and the death penalty for rape, which is now punishable by a maximum of life imprisonment.

Singh said on Saturday that he was aware of the emotions the attack had stirred, adding that it was up to all Indians to ensure that the young woman's death will not have been in vain.

On the night of the attack, the woman and a male friend, who also has not been identified, were on a bus after watching a film when they were attacked by six men who raped her. The men beat the couple and inserted an iron rod into the woman's body, resulting in severe organ damage. Both were then stripped and thrown off the bus, according to police.

Gandhi, the ruling party chief, assured the protesters in a statement that the rape victim's death "deepens our determination to battle the pervasive, the shameful social attitudes and mindset that allow men to rape and molest women and girls with such an impunity".

Meenakshi Ganguly, South Asia director of Human Rights Watch, said the woman's death was a sobering reminder of the widespread sexual violence in India. "The outrage now should lead to law reform that criminalises all forms of sexual assault, strengthens mechanisms for implementation and accountability, so that the victims are not blamed and humiliated."

Singh said he understood the angry reaction to the attack and that he hoped all Indians would work together to make appropriate changes. "It would be a true homage to her memory if we are able to channel these emotions and energies into a constructive course of action," he said.

Source: http://www.guardian.co.uk/world/2012/dec/30/india-gang-rape-victim-cremated

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Malaysia: Hill stripped for oil palm projects

Nik Imran Abdulla New Straits Times 30 Dec 12;

INSENSITIVE: Aggressive land clearing choking up streams with silt

GUA MUSANG: A HUGE part of a hilly terrain in Sungai Relai near here has been almost entirely deforested. A few hills have had their vegetation stripped from top to bottom.

Travellers using the road linking this town with Kenyir Lake in Terengganu would not miss the spot near Km65, as the eyesore is clear even from a distance.

The deforestation is alleged to be part of a massive oil palm and rubber estate project, in which Perak DAP chairman Datuk Ngeh Koo Ham and his cousin, Nga Kor Ming, reportedly have a stake.

A check by the New Sunday Times revealed that a logging company had set up office at the foothill. There was also a cluster of workers' kongsi and plots of oil palm nursery, all within a perimeter fence, with a security guard manning the entrance.

A worker, who introduced himself as Jali, said 10 Indonesians were hired to tend to the nursery.

"The rest are mostly loggers. The pile of logs you see nearby came from this place."

He said oil palm saplings at the nursery were likely to be planted at the site once the logs had been cleared from the area.

The valley close by is bearing the brunt of the soil erosion, especially with the heavy rainfall over the past week. Mud and silt from the logging site had flowed into nearby streams, causing the water to turn brown.

A youth, who identified himself as Adi, said he was familiar with the area as his father owned durian and dokong orchards just outside the logging site.

"This stream used to have clear water but it has been muddy since the land clearing began."

He said the stream emptied into a river nearby, which had also become polluted.

The site is alleged to be part of a 4,260ha piece of land, which the state government had admitted awarding to the Kelantan Islamic Foundation, which in turn, had entered into an agreement with Upayapadu Plantation Sdn Bhd for a joint land development project.

There was controversy after an allegation that the state government had given the land to Ngeh to make way for Pas leader Datuk Seri Mohammad Nizar Jamaluddin to be Perak menteri besar in 2008. The Kelantan government has insisted that the project was a legitimate business deal.

Bernama reported yesterday that Deputy Finance Minister Datuk Dr Awang Adek Hussin denied having any part in the alleged approval of land in Gua Musang to Perak DAP leaders.

He said a letter, dated Jan 16, 2006, which he signed when he was the deputy rural and regional development minister, was to recommend research and development for an integrated farming project to be carried out in the area. He said the letter was meant to get aid to develop the site.

"The letter was issued following an application by Upayapadu Plantation general manager Bazlin Ab Hamid to be given assistance to carry out economic activities in Kelantan. That was what was stated in the letter and I have no knowledge about ownership or lease of the land to the DAP leaders concerned."

Source: http://feedproxy.google.com/~r/WildsingaporeNews/~3/HIe5Ciig-9o/malaysia-hill-stripped-for-oil-palm.html

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With hours remaining, fiscal deal uncertain

By Jeff Mason and Thomas Ferraro

WASHINGTON (Reuters) - The chances of a deal to prevent the economy from tumbling over a "fiscal cliff" remained uncertain on Sunday as lawmakers haggled over how to prevent taxes for all Americans from rising on New Year's Day.

Aides to Senate Majority Leader Harry Reid, a Democrat, and Senate Republican leader Mitch McConnell worked on a compromise to stop automatic tax hikes for most Americans on January 1. Any agreement needs to be rushed through both chambers of Congress before midnight on Monday.

One Democratic Senate aide said it was uncertain whether the leaders would reach an accord. Reid and McConnell had been aiming to have an agreement by 3 p.m. EST (2000 GMT) so that they could present it to previously scheduled closed-door meetings of their party colleagues.

"It is going to be difficult," the aide said. Senate Chaplain Barry Black opened a rare Sunday session of the chamber with a plea to God for lawmakers to avoid damaging the economy through their squabbling.

"Look with favor on our nation and save us from self-inflicted wounds," Black said in a prayer.

If the politicians cannot agree, then tax increases and across-the-board government spending cuts will begin on January 1. That would take $600 billion out of the economy, push unemployment up and curb federal spending.

The main focus of negotiations was tax hikes on the wealthy, an increase sought by President Barack Obama but opposed by Republicans, particularly fiscal conservatives in the House of Representatives.

Obama made a rare appearance on NBC's "Meet the Press" to pressure lawmakers into forging a deal.

Senators appearing on other Sunday morning shows expressed optimism that an agreement could be reached.

"Well, there are certainly no breakthroughs yet between Senator McConnell and Senator Reid, but there's a real possibility of a deal," Senator Charles Schumer, a Democrat from New York, said on the ABC program "This Week."

"I don't disagree with Chuck," said Senator Jon Kyl, a Republican from Arizona.

Another Republican senator, Lindsey Graham, conceded that an agreement would end up raising income taxes on the wealthy, thus sparing the rest of the country from the looming income tax hikes.

"President Obama is going to get tax rate increases. The president won," Graham tweeted, echoing earlier comments he made on "Fox News Sunday." He told the show that the chances of a bipartisan deal before the New Year's deadline were "exceedingly good."

Obama has alternatively offered Republicans a deal to increase income taxes for households earning over $250,000 a year, and over $400,000 a year.

A White House aide said the president and his staff had been in touch with congressional leaders throughout the weekend.

Any deal on taxes in the Senate might meet resistance in the House from conservative Republicans.

OBAMA JUMPS IN

On NBC, Obama warned of the fallout in financial markets if the two sides did not reach an agreement.

"If people start seeing that on January 1st this problem still hasn't been solved, that we haven't seen the kind of deficit reduction that we could have, had the Republicans been willing to take the deal that I gave them ... then obviously that's going to have an adverse reaction in the markets," Obama said, adding that he had offered Republicans significant compromises that had been rejected repeatedly.

He said he would avoid tax increases for most Americans, even if the talks fall apart.

"If Republicans do in fact decide to block it, so that taxes on middle class families do in fact go up on January 1st, then we'll come back with a new Congress on January 4th and the first bill that will be introduced on the floor will be to cut taxes on middle class families," Obama said.

John Boehner, the speaker of the House of Representatives, rejected Obama's accusations that Republicans were not being amenable to compromise.

"The president's comments today are ironic, as a recurring theme of our negotiations was his unwillingness to agree to anything that would require him to stand up to his own party," Boehner, who has had trouble convincing his Republican colleagues to support his own proposals, said in a statement.

"The president has continued to insist on a package skewed dramatically in favor of higher taxes that would destroy jobs. We've been reasonable and responsible. The president is the one who has never been able to get to ?yes.'"

The Senate - where the Democrats hold sway - began a session beginning at 1 p.m. EST (1800 GMT), but it was not clear whether the chamber would have fiscal-cliff legislation to act upon.

The Republican-controlled House also returns on Sunday and can vote on any deal in the evening if need be.

(Additional reporting by Tabassum Zakaria, Fred Barbash and Richard Cowan. Writing by Alistair Bell, Editing by Jackie Frank)

Source: http://news.yahoo.com/senate-leaders-avoid-years-fiscal-002256028.html

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শনিবার, ২৯ ডিসেম্বর, ২০১২

FCC paves the way for better in-flight broadband

The FCC approved new rules on Friday that will make it easier for companies to offer broadband Internet on airplanes. The FCC has authorized in-flight Internet on an ad hoc basis since 2001, but the new rules will provide a framework for licensing companies to provide it.

By Jeff Ward-Bailey,?Contributor / December 28, 2012

The FCC announced new rules on Friday that will make it easier for companies to provide in-flight broadband Internet. Here, a Lufthansa airplane comes in for an early-morning landing at Munich Airport.

Matthias Schrader/AP/File

Enlarge

Lots of airlines offer Wi-Fi on their flights, but if you've ever tried to use it, you know the service can be ... less than ideal. Scarce bandwidth, frequent outages, and high-connection charges on lots of planes can make the prospect of connecting to in-flight networks a dicey proposition.

Skip to next paragraph Jeff Ward-Bailey

Writer

Jeff began writing for the Monitor's Horizons blog in 2011, covering product news and rumors, innovations from companies like Apple and Google, and developments in tech policy.

Recent posts

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For some people, that's a plus: after all, a flight is one of the rare times when you can enjoy a novel or take a nap, untethered from the demands that come from being online. But if distracting yourself from a long flight with Facebook and YouTube sounds like more your cup of tea, you can thank the FCC: the Commission established rules on Friday that will make it easier for companies to offer Internet service on airplanes.

The new rules will streamline the process by which companies apply for permission to offer in-flight Internet, says FCC chairman Julius Genachowski. The approval process will be standardized, allowing the FCC to process license applications about 50 percent faster, and administrative burdens on companies seeking license will be reduced.

"This will enable providers to bring broadband to planes more efficiently, helping passengers connect with friends, family, or the office," Genachowski says in a statment.

The FCC has already authorized a number of companies to provide in-flight Internet service, but the process has been "ad hoc" up until now. In-flight broadband relies on a technology called Earth Stations Aboard Aircraft (ESAA), which carries two-way broadband signals between geo-stationary satellites and an antenna mounted on the aircraft. The new rules establish a framework for any company to use ESAA, provided that their systems don't interfere with aircraft communications and that they meet with approval from the FCC and the Federal Aviation Administration, which operates the country's air traffic control system.

Interestingly, the FCC's new rules don't mean that passengers will be able to use electronics throughout flights. The longstanding ban on using cell phones in-flight still stands, as does a ban on using laptops and other electronics during takeoff and landing. The government says those rules are in place because of concerns about interference with ground communications. But Genachowski also asked the FAA earlier this month to relax the rules on aircraft -- so perhaps you'll soon be able to stay connected from takeoff 'til landing.

The FCC notes that the new rules are being put in place with an eye toward "enhancing competition in an important sector of the mobile telecommunications market", as well as "promoting the widespread availability of Internet access to aircraft passengers." That means you'll likely have to rely on willpower soon, if you're interested in maintaining your flights as an oasis of "unplugged" time.

Are you excited about the idea of more connected flights? Or are you happy to pass the time in the air with a book? Let us know in the comments section below.

For more tech news, follow Jeff on?Twitter:?@jeffwardbailey.

Source: http://rss.csmonitor.com/~r/feeds/csm/~3/pWPw0rOgUB4/FCC-paves-the-way-for-better-in-flight-broadband

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Alkaline Trio: Jaked on Green Beers

I'm home for the holidays, driving mom's car around, listening to my SICK high school CD collection. Uh huh, yeah, that's how I roll. Who's looking for a grown ass man? Because that's me. More »


Source: http://feeds.gawker.com/~r/gizmodo/full/~3/EpOpxxEmSxU/alkaline-trio-jaked-on-green-beers

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Video: 112th Congress: The least productive in decades?

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Source: http://video.msnbc.msn.com/newsnation/50313588/

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শুক্রবার, ২৮ ডিসেম্বর, ২০১২

A business plan? Start-ups need something else.

A business plan is great once entrepreneurs have tested the market and know what they're going to sell. But for starters, they really need to model their business.

By Dr. Jeffrey R. Cornwall,?Guest blogger / December 27, 2012

In this December file photo, 12-year-old entrepreneur William Zsigo enjoys one of his own chocolate confections as he poses for photos at his home in Haslett, Mich. Before entrepreneurs write up a business plan, they should model their business visually.

Greg DeRuiter/The State Journal/AP/File

Enlarge

When advising people about what they need to do as they get ready to launch a business, there are two distinct approaches recommended by experts.

Skip to next paragraph Dr. Jeffrey R. Cornwall

Jeff is the Jack C. Massey Chair in Entrepreneurship and Director of the Center for Entrepreneurship at Belmont University in Nashville, Tenn.

Recent posts

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The first, which has been the traditional approach, tells aspiring entrepreneurs that writing a business plan is the first critical step.

In business schools the business plan was the core of our entrepreneurship curriculum for decades. ?Writing a business plan that?s thickness is measured in inches is still a rite of passage in many top entrepreneurship programs.

However, there is a growing chorus of experts questioning why business plans get so much attention.? After all, most entrepreneurs will tell you that once the business gets going it can quickly look fundamentally different than described in their original business plan.

Keen Advice On Commercial Real Estate - Maynas Eric

Having to deal with the commercial property business can be stressful and overwhelming for those new to it and even to those experienced with it. In the following article, you are going to be provided with information that is meant to help ease some of the stress you may feel from your commercial real estate venture.

If you rent out your commercial properties, always remember to keep them occupied. Having unoccupied spaces mean that you have to pay for their upkeep. If you have several properties open, you should ask yourself why, and attempt to correct the issues that may be driving out your tenants.

Make sure to find your lender before making an offer on any commercial property. Speak with your investors and friends to make a small list of the area?s best lenders. Research the prospective lenders and choose the one that can accommodate you before you begin to scout for property. It will be easier to qualify for your loan when you have all the details organized in advance.

TIP! You need to be able to spot good deals to be able to make them advantageous to you. Those who are pros at real estate can quickly tell a great deal from a bad one.

If you are going into commercial real estate, it?s best to have multiple sources of cash, including a loan, as well as backing from family and friends. Have written contracts drafted by a lawyer so that you?re protected in any situation. There are two repayment options: paying it off at a certain interest rate, or paying due to profit.

Take into account how the establishment of an ideal rent expectation can affect your future business prospects. Don?t talk to potential tenants until you have figured out your rental fee structure. This will keep you from straying from your overall business plan, ensuring an increased chance for future success in regard to your investment.

When you are buying commercial real estate, find some opportunities that will let you buy a bigger building. Taking care of more units does not cost much more and this will bring down the price of every individual unit.

TIP! Be ambitious and forward-thinking in your commercial real estate investments. If you want to get a building that has five units, you need to know that?s it?s no different to manage than 50.

You need to realize that every property has a lifetime. You could make a big mistake by ignoring what you may eventually have to spend in order to keep up with the upkeep of the property. The property might be in need of new roofing, or utility upgrades like wiring. All building require maintenance, and some buildings require more expensive maintenance than others. Make sure that you budget future repairs and maintenance work into your budget.

Record problems by taking digital pictures of them. Be especially diligent in photographing any flaws that exist when you move in, like cracks in the wall or stains on the carpet.

Get a site checklist if you are viewing more than one property. Whilst you can take the first proposal responses, make sure that you don?t go any further without first informing the property owners of your plans. Don?t fear telling the owners that you might be interested in other properties. Letting this fact slip may even result in your getting a more lucrative deal.

TIP! In commercial real estate, there are different kind of brokers. For example, full-service brokers represent both the landlord and tenants.

Location is vital to commercial real estate. When investing in a property, consider what type of neighborhood it is located in. Compare its growth to similar areas. This is important, as you don?t want to be in a current growth area only to have the neighborhood stagnate in a few years.

Looking for that perfect piece of commercial property can seem like an endless journey, with much to learn for even the most experienced buyers. That is why this article was written, to help people like you have a pleasant and low stress experience in the hunt for commercial property.

TIP! Take your time and read the fine print if the owner asks you to sign lease forms. Big real estate companies will sometimes slip additional covenants or requirements into the lease document, which can at times be very long.

Source: http://www.maynaseric.com/keen-advice-on-commercial-real-estate-3

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Medicaid Primary Care Payment Increase: CMS Answers State ...

State Medicaid programs?must increase primary care physician payment rates in 2013 and 2014 to at least 100 percent of Medicare rates.? The Medicaid-Medicare payment parity mandate is part of the Affordable Care Act (ACA).

For the difference between prior rates and the necessary rate increase, states will receive a 100 percent federal match (rather than the standard 50-77 percent federal match, which varies by state).?? The rate increase applies to certain Medicaid primary care physician services, whether provided through fee-for-service (FFS) or Medicaid health plans. The rate boost is huge?but temporary ? for the two years only ? and therefore rates will automatically return to?prior levels unless states find the cash to continue?Medicaid-Medicare rate parity for primary care physicians.? Naturally, Congress and states wil be under tremendous?political pressure to continue the higher rates ? although I imagine this as the ACA authors intended.

Nationally, Medicaid?physician rates?average about 66 percent of Medicare Part B fee-for-service physician rates.? For primary care, Medicaid rates average 59% of Medicare rates.? However, the Medicaid-to-Medicare fee ratio varies widely by state.? California, Florida, Michigan, New York, and Rhode Island pay the lowest Medicaid primary care rates ? typically less than half of Medicare rates.? Therefore, the impact of the ACA-mandated rate increase will affect states and their primary care?physicians differently.? Bottom line: Medicaid payment rates for certain physicians for primary care services will increase a whopping 73 percent on average nationwide.

You may think that it would be mechanically simple for state Medicaid agencies to increase their primary care physician rates as necessary to match Medicare rates.? Normally, yes.? However, the ACA section 1202 requirement and associated CMS rules are far from simple or straightforward.? It also requires states to claims and therefore track and document claims differently and separately in order to claims the higher federal match.? It only applies to certain types of physicians and many docs will need to fill out extra paperwork to document they quality.? States must?also?comply with new analysis and reporting requirements.? Never let it be said Congress requires a simple act when a complex one will do.

So implementation is complex, requiring states to carry out a series of changes in policies, claims systems, provider databases, and data reporting.? And, of course, it comes at the same time states are implementing a long list of other ACA-related changes.? Therefore, states have raised an array of questions for the Centers for Medicare and Medicaid Services (CMS).? In response, CMS released these answers to the state?s frequently asked questions (FAQ).? Naturally, states are none too pleased that it took so many months for CMS to issue rules and?answer key questions.??And CMS? answers (below)?came a only few days before the January 1, 2013 effective date of the ACA requirement.? Nonetheless, CMS is pressuring states to implement the increase quickly.

FAQ on Medicaid Rate Increases for Fee-for-Service Primary Care Physicians:

When will states begin making higher payment for Evaluation and Management (E&M) services reimbursed fee for service?

Effective for dates of service on and after January 1, 2013 through December 31, 2014, states are required by law to reimburse qualified providers at the rate that would be paid for the service (if the service were covered) under Medicare.? Most states and the District of Columbia will need to submit a Medicaid state plan amendment (SPA) to increase Medicaid rates up to this level.? CMS has issued a SPA preprint for the purpose of expediting review and approval of the primary care payment increase.

For dates of service starting January 1, 2013 qualified providers are entitled to receive the higher payment in accordance with the approved Medicaid state plan amendment.??States may not have attestation procedures or higher fee schedule rates in place on January 1, 2013. ?In that event, providers will likely continue to be reimbursed the 2012 rates for a limited period of time.? Once attestation procedures are in place and providers are identified as eligible for higher payment, the state will make one or more supplemental payments to ensure that providers receive payment for the difference between the amount paid and the Medicare rate. Qualified providers should receive the total due to them under the provision in a timely manner.

A state may draw federal financial participation for the higher payments only after the SPA methodology is approved.

Which Medicaid providers qualify for payment? Can physicians qualify solely on the basis of meeting the 60 percent claims threshold, irrespective of specialty designation? Would a Board certified ?general surgeon? qualify for higher payment if he or she actually practices as a general practitioner?

The statute specifies that higher payment applies to primary care services delivered by a physician with a specialty designation of family medicine, general internal medicine, or pediatric medicine.? The regulation specifies that specialists and subspecialists within those designations as recognized by the American Board of Medical Specialties (ABMS), the American Osteopathic Association (AOA), or the American Board of Physician Specialties (ABPS) also qualify for the enhanced payment.? Under the regulation, ?general internal medicine? encompasses internal medicine and all subspecialties recognized by the ABMS, ABPS and AOA. ?In order to be eligible for higher payment:

1) ?Physicians must first self-attest to a covered specialty or subspecialty designation.

2) ?As part of that attestation they must specify that they either are Board certified in an eligible specialty or subspecialty and/or that 60 percent of their Medicaid claims for the prior year were for the E&M codes specified in the regulation. ?It is quite possible that physicians could qualify on the basis of both Board certification and claims history.

Only physicians who can legitimately self-attest to a specialty designation of (general) internal medicine, family medicine or pediatric medicine or a subspecialty within those specialties recognized by the American Board of Physician Specialties (ABPS), American Osteopathic Association (AOA) or American Board of Physician Specialties (ABPS) qualify.

It is possible that a physician might maintain a particular qualifying Board certification but might actually practice in a different field.? A physician who maintains one of the eligible certificates, but actually practices in a non-eligible specialty should not self-attest to eligibility for higher payment.? Similarly, a physician Board certified in a non-eligible specialty (for example, surgery or dermatology) who practices within the community as, for example, a family practitioner could self-attest to a specialty designation of family medicine, internal medicine or pediatric medicine and a supporting 60% claims history. ?In either case, should the validity of that physician?s self-attestation be reviewed by the state as part of the annual statistical sample, the physician?s payments would be at risk if the agency finds that the attestation was not accurate.

The Affordable Care Act specifies increased payments for three primary care medical specialties: Family Medicine, General Internal Medicine and Pediatrics. The Final Rule interprets this language to include some subspecialties with a relation to the original three, but does not list the subspecialties.? Please identify the subspecialists eligible for higher payment.

Subspecialists that qualify for higher payment are those recognized by the American Board of Medical Specialties (ABMS), American Board of Physician Specialties (ABPS) or American Osteopathic Association (AOA). ?For purposes of the rule, ?General Internal Medicine? encompasses ?Internal Medicine? and all recognized subspecialties.? The websites of these organizations currently list the following subspecialty certifications within each specialty designation:

American Board of Medical Specialties:

Family Medicine: Adolescent Medicine, Geriatric Medicine, Hospice and Palliative Medicine, Sleep Medicine, Sports Medicine

Internal Medicine: Adolescent Medicine; Advanced Heart Failure and Transplant Cardiology; Cardiovascular Disease; Clinical Cardiac Electrophysiology; Critical Care Medicine; Endocrinology, Diabetes and Metabolism; Gastroenterology; Geriatric Medicine; Hematology; Hospice and Palliative Medicine; Infectious Disease; Interventional Cardiology; Medical Oncology; Nephrology; Pulmonary Disease; Rheumatology; Sleep Medicine; Sports Medicine: Transplant Hepatology.

Pediatrics ?? Adolescent Medicine; Child Abuse Pediatrics; Developmental-Behavioral Pediatrics; Hospice and Palliative Medicine; Medical Toxicology; Neonatal-Perinatal Medicine; Neurodevelopmental Disabilities, Pediatric Cardiology; Pediatric Critical Care Medicine; Pediatric Emergency Medicine; Pediatric Endocrinology; Pediatric Gastroenterology; Pediatric Hematology-Oncology; Pediatric Infectious Diseases; Pediatric Nephrology; Pediatric Pulmonology; Pediatric Rheumatology, Pediatric Transplant Hepatology; Sleep Medicine; Sports Medicine.

American Osteopathic Association:

Family Physicians: No subspecialties

Internal Medicine: Allergy/Immunology, Cardiology, Endocrinology, Gastroenterology, Hematology, Hematology/Oncology, Infectious Disease, Pulmonary Diseases, Nephrology, Oncology, Rheumatology.

Pediatrics: Adolescent and Young Adult Medicine, Neonatology, Pediatric Allergy/immunology, Pediatric Endocrinology, Pediatric Pulmonology.

American Board of Physician Specialties: ?

The ABPS does not certify subspecialists.? Therefore, eligible certifications are:

American Board of Family Medicine Obstetrics; Board of Certification in Family Practice; and Board of Certification in Internal Medicine.? There is no Board certification specific to Pediatrics.

Is self-attestation required or may a state rely solely on information about Board certification gathered upon provider enrollment or data on a physician?s MMIS claims history to determine eligibility for this payment?

The rule requires that physicians first self-attest to an eligible specialty or subspecialty and then attest to either Board certification or an appropriate claims history.? States cannot pay a physician without evidence of self-attestation.

Does the 60 percent threshold include both E&M codes and vaccine administration codes?

Yes.? The 60 percent threshold can be met by any combination of eligible E&M and vaccine administration codes.

The American Board of Physician Specialties does not certify subspecialists.? Which Board certifications would qualify a physician for higher payment?

Physicians who are Board-certified by the ABPS in Internal Medicine, Family Practice, or Family Medicine Obstetrics would qualify for higher payment.

Physicians with a certification in Family Medicine Obstetrics are all certified first in family medicine with additional certification in obstetrics.? They practice as family practitioners and are therefore able to self-attest to a qualified specialty.? This is not true of individuals certified in obstetrics by either the ABMS or AOA who do not qualify for higher payment.

Can a physician self-attest to Board certification or a supporting claims history after January 1, 2013, when the primary care payment increase begins but expect higher payment back to the beginning of the year?

States must have the appropriate self-attestations in hand before they can pay physicians at the higher rate.? States can impose reasonable requirements regarding ?retroactive? self-attestations to facilitate program administration.? For example, a state could limit retroactive payments to the beginning of the month or quarter in which the attestation is submitted.? However, physicians must be made aware of the payment provision and of the requirements concerning self- attestation before January 1, 2013 through state provider bulletin or manual systems or other mechanisms.

May a state automate its process for identifying qualified providers?

Yes. A state may automate its process for identifying physicians that qualify for this payment provided the process is transparent and legally binding. A state may not rely on a physician?s taxonomy in place of self-attestation to Board certification or a supporting claims history.

At the end of CYs 2013 and 2014 the Medicaid agency must review a statistically valid sample of physicians who self-attested either to Board certification or a supporting claims history to determine the validity of the data.

How will CMS ensure that only eligible providers receive the higher rate?

The final rule requires physicians to self-attest to an eligible specialty designation and to further indicate whether they are Board certified in an eligible specialty or subspecialty or 60 percent of the services for which they bill are for eligible E&M or vaccine administration codes.? Annually, states must conduct a review of a statistically valid sample of physicians that have self-attested to either Board certification or a supporting claims/service history.?? Physicians and State Medicaid agencies must keep all information necessary to support an audit trail for services reimbursed at the higher rate.

If the sampled data indicates the inclusion of non-qualified providers should repayment be based upon data for all physicians who received higher payment or only the sampled providers?

CMS will require that the state repay erroneous payments found through the sampled pool of providers, and will not extrapolate data from the sample to the entire universe of physicians who received the higher primary care payment.? States with high error rates should submit a plan for corrective action to reduce errors.

Can mid-level/non physician practitioners such as nurse practitioners receive the higher payment?

The final rule specifies that services must be delivered under the Medicaid physician services benefit. This means that higher payment also will be made for primary care services rendered by practitioners working under the personal supervision of a qualifying physician.? The rule makes clear that, while deferring to state requirements regarding supervision, the expectation is that the physician assumes professional responsibility for the services provided under his or her supervision.? This normally means that the physician is legally liable for the quality of the services provided by individuals he is supervising. ?If this is not the case, the practitioner would be viewed as practicing independently and would not be eligible for higher payment.

How are case management fees in Primary Care Case Management (PCCM) programs affected by this rule?

PCCM payments are not eligible for higher payment under this rule.

Do physicians practicing in FQHCS and RHCs qualify for higher payment?

Higher payment does not apply to services provided under another Medicaid benefit category such as clinic or Federally Qualified Health Center (FQHC) or Rural Health Clinic (RHC).

Will the new payment rate for each of the billing codes affected by this regulation be made publicly available?

Yes. This information will be made available on Medicaid.gov. States will be asked to verify the payment amount in effect for each of the billing codes affected by the final rule as of July 1, 2009.

Will CMS issue a preprint for the increased physician payment?

Yes. CMS has provided a preprint for the reimbursement section of the Medicaid state plan that will describe payment for evaluation and management services and vaccine administration.? ?The preprint is available on Medicaid.gov.

Is a state required to cover all of the primary care service billing codes specified in the regulation and then reimburse all qualified providers at the Medicare rate in CYs 2013 and 2014?

A state is not required to cover all of the primary care service billing codes if it did not previously do so.? Rather, to the extent that it reimburses physicians using any of the billing codes specified in the final rule, the state must pay at the Medicare rate in CYs 2013 and 2014.

Will a state receive 100 percent federal matching funds for new codes added to the fee schedule in CYs 2013 and 2014?

A state may not add any of the eligible service codes solely for the purpose of obtaining enhanced federal matching funds. For example, a state may not eliminate a code currently in use and attempt to substitute it with another E&M code.

However, we recognize that a handful of codes have been added to the E&M code set since 2009.? States which added those codes to their fee schedules will receive higher match for those services.

The NPRM provided that states were required to pay the lesser of the provider?s charges or the applicable Medicare rate.? The final rule no longer specifies this. Can a state continue to pay at the lower of the two amounts?

Under Medicare and Medicaid principles, payment is to be made at the lower of provider charges or the rate, which in this case is the applicable Medicare rate.? This language was inadvertently omitted from the final rule.? CMS is processing a technical correction to the regulatory text at 42 CFR 447.405 to restore this language.

Does higher payment apply to CHIP (Childrens Health Insurance Program)?

The primary care provider rate increase does apply to CHIP Medicaid expansions but not separate (stand-alone) CHIPs. Qualified physicians who render the primary care services and vaccine administration services specified in the regulation will receive the benefit of higher payment for services provided to these Medicaid beneficiaries.

The State will receive 100 percent federal matching funds for the difference between the rate in effect 7/1/09 and the rate in CYs 2013 and 2014. The remainder of the payment will be funded at the CHIP matching rate, through the CHIP allotment.? Services provided under separate (stand- alone) CHIPs are not eligible for higher payment.

The rule indicates that all limitations, conditions and policies that applied to the code prior to January 1, 2013 can be applied to the code after that date.? If a state sets a reduced rate for a Level III emergency service (99283) if it is a triage service (based on criteria described in the state plan) can it continue to do so or must it pay 100 percent of the Medicare rate?? If it can continue to reduce the rate, must it develop a ?Medicare triage rate?, or can it continue to use the Medicaid triage fee?

This rule does not affect the state?s ability to define and operate its coding system, and a state could distinguish claims submitted from those otherwise identified with code 99283.? For those claims, the state should develop a rate that it believes Medicare would pay if Medicare made a similar distinction for emergency services limited to triage services, and would then pay that rate. For claims that were not limited to triage services, the state would pay based on the established Medicare rate for code 99283.

What federal matching rate will apply for services for which a higher payment is made under this rule, if the services also qualify for a higher FMAP under the provisions of section 4106 of the Affordable Care Act?

In qualifying states, certain United States Preventive Services Task Force (USPSTF) grade A or B preventive services and vaccine administration codes are eligible for a one percent FMAP increase under section 4106 of the Affordable Care Act (which amended sections 1902(a)(13) and 1905(b) of the Act). ?Some of these services may also qualify as a primary care services eligible for an increase in the payment rates under section 1202 of the Affordable Care Act. For these services? the federal matching rate is 100 percent for the difference between the Medicaid rate as of July 1, 2009 and the payment made pursuant to section 1202 (the increase).? The federal matching payment for the portion of the rate related to the July 1, 2009 base payment would be the regular FMAP rate, except that this rate would be increased by one percent if the provisions of section 4106 of the Affordable Care Act are applicable.

What federal match rate is available to the states for administrative costs incurred from implementation of this rule?

The regular administrative federal match rate is applicable to administrative costs associated with implementation of this rule.? Section 1905(dd) of the Social Security Act (the Act) authorizes increased FMAP only for eligible services provided by eligible providers pursuant to section 1902(a)(13)(C) of the Act.

FAQ on Primary Care Services and Vaccine Administration:

How will States and providers know which primary care services will be paid at the higher rate?

The regulation at 42 CFR 447.000(c)(1) and (2) specifies Evaluation and Management codes 99201 through 99499 and vaccine administration codes 90460, 90461, 90471, 90472, 90473, or their successor codes.

What will the reimbursement rate be for those E&M codes that Medicare does not cover?

The final rule provides that CMS will use develop reimbursement values based on the formula used to set Medicare rates. We will make this information available through Medicaid.gov.

How will vaccine administration be paid for services vaccines provided under the Vaccines for Children (VFC) program?

As specified at 42 CFR 447.405(2)(b) for vaccines provided under the Vaccines for Children Program (VFC) in CYs 2013 and 2014, a state must pay the lesser of: (1) the Regional Maximum Administration Fee; or, (2) the Medicare fee schedule rate in CY 2013 or 2014 (or, if higher, the rate using the 2009 conversion factor and the 2013 and 2014 RVUs) for code 90460.

This complies with the statutory requirements of the VFC program that limit payments to the VFC ceiling, which is the amount charged by the provider, and to one payment per vaccine administered regardless of the number of antigens in the vaccine. ?In 2013 and 2014, CMS expects that the regional VFC ceilings will be lower than the Medicare rates, which will result in a payment increase to providers.

FAQ on Primary Care Services under Medicaid Managed Care Delivery Systems:

The requirements under 42 C.F.R. 438.804 specify that the states submit two methodologies to CMS for review and approval to implement this rule.? How does approval of these methodologies impact the approval process for managed care contracts and rate packages for 2013?

Implementing regulations at 42 CFR 438.804 require states to submit to CMS a methodology for calculating the July 1, 2009 baseline rate for eligible primary care services and a methodology for calculating the rate differential eligible for 100% FFP by March 31, 2013.? Further, 42 CFR 438.6 (c)(5)(vi) establishes MCO (managed care organization), PIHP (pre-paid inpatient health plan), or PAHP (pre-paid ambulatory care health plan) contract requirements to comply with this provision. ?It is CMS?s expectation that as soon as practicable after the State submits the required methodologies in 42 CFR 438.804 and receives CMS approval, the State will:

1.??Submit revised actuarial certification documents reflecting the Medicare rate for eligible primary care services in their MCO, PIHP or PAHP capitation rates; and

2.??Submit amendment(s) to this contract to ensure compliance with 42 CFR 438.6 (c)(5)(vi).

After CMS approval of the revised contract and rates, the MCO, PIHP or PAHP must direct the full amount of the enhanced payment to the eligible provider to reflect the enhanced payment effective January 1, 2013. Federal financial participation (FFP) is available at a rate of 100% for the portion of capitation rates attributable to these enhanced payments; however, receipt of the enhanced FFP is contingent upon the state?s successful completion of this process.

Can managed care plans under contract with a state use their own definitions of primary care providers and services for purposes of complying with this rule?

While we recognize that health plans may have unique definitions of primary care providers and services, the availability of the increased FMAP is limited to the scope of eligible primary care providers and primary care services as defined in statute and implemented by this rule.

Are bonus payments and other incentive arrangements for health plans included in the methodology for determining the rate differential that is eligible for 100% FFP?

We addressed the treatment of bonus payments and other incentive arrangements in terms of identifying the 2009 base rate in the final rule and take this opportunity to clarify that such arrangements are similarly excluded from the methodology for determining the rate differential.

Is the relevant Medicare rate both the ?floor? and ?ceiling? for health plan payments to eligible providers for eligible services?

The applicable Medicare rate does effectively become the ?floor? for payments to eligible providers for eligible services, but not the ?ceiling.? ?Health plans may pay above that rate depending on their specific contractual arrangements with providers.

Will Medicaid health plans be required to pay eligible providers the higher rate prior to receiving payment from the State for the higher rate?

While some plans may be able to pay the higher rate prior to receiving state funds, the final rule does not obligate a health plan to pay eligible providers the higher rate until they have been provided the funds to do so.

Will retroactive provider payments by health plans ? necessitated by the State?s retroactive payment of the higher rates to health plans ? be subject to timely claims filing requirements in ?42 CFR 447.46?? If so, may States impose liquidated damages or other penalties on health plans for violating those requirements?

Any retroactive payments made to providers in order to ensure that eligible providers receive the applicable Medicare rate for eligible services will not be considered claims subject to the requirements in 42 CFR 447.46.

When will CMS provide standardized contract language reflecting the requirements of this provision as mentioned during the All-State Call on November 8th?

CMS will be working collaboratively with the National Association of Medicaid Directors (NAMD) to develop the contract elements necessary to reflect the requirements of this rule. ?In recognition of the State Medicaid Agency?s role in the contracting practice, CMS will describe the suggested content areas rather than issue standardized contractual language.? These elements will be described in further detail in a future Q&A document.

How will states with Medicaid managed care programs comply with the requirement to report provider participation levels specified in 42 CFR 447.400(d)(1)?

At this time, CMS is not defining the form of information required under 42 CFR 447.400(d)(1), but we do suggest that states with Medicaid managed care programs conduct a baseline assessment of primary care access before the provision goes into effect.? This baseline assessment will ensure that Congress, CMS, and researchers have comparative data to evaluate this provision.

Source: http://www.piperreport.com/blog/2012/12/27/medicaid-primary-care-payment-increase-cms-answers-state-questions/

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Written by HeweyCuesta284 on 28 December 2012

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Source: http://www.malomaal.com/sports/very-good-matt-ryan-jersey-methods-for-effectively-growing-self-improvement/

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Antique Auto Advertising: Why We Introduce A Front Drive ...

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When you say the word Cord, most car enthusiasts think of the ?coffin nose? 810/812 models, designed by Gordon Buehrig for the 1936 and 1937 model years. There was much about the ?36-?37 Cords that was revolutionary, or at the very least advanced for their day. Buehrig?s art deco masterpiece was E. L. Cord?s automotive swan song. His styling included hideaway headlights flush mounted in pontoon fenders, hidden door hinges, no running boards, and that distinctive one piece hood was hinged at the cowl and opened from the front, not from the sides as in most prewar cars. From a technical standpoint, what people remember about the ?36 Cord is that it had front wheel drive. Some mistakenly believe that the Cord 810 was the first front wheel drive American production car. Actually, the first front wheel drive Cord was the L-29, named for 1929, its year of introduction. The L-29 was not just the first Cord with front wheel drive, it was indeed the first American car with front wheel drive that was offered for sale to the public, beating the now obscure Ruxton to the market by a few months.

1929 Cord L-29. It sits lower than the 1940 Ford next to it. More photos here.

The Ruxton is best remembered for its stylish but ineffective Woodlight headlamps. Pretty much nobody then knew who Ruxton was (the company was named to entice a potential investor, who demurred but by then the name had ironically stuck) but by 1929 plenty of people knew who E.L. Cord was. Errett Loban Cord was a savvy businessman, a wheeler dealer, a pioneer in a variety of industries and the father of some of the greatest automobiles ever made.

A racecar driver and mechanic and then a successful car salesman, he was brought in by Auburn in 1924 to help turn the moribund company around. By 1928 he owned Auburn, part of a growing empire that eventually included Duesenberg, Lycoming Engines, Stinson Aircraft, radio stations, the predecessor of American Airlines, and for a while the Checker Cab and Checker Motor companies (which got him into trouble with the Securities and Exchange Commission).

For 1929, Cord decided to launch his self-named brand to slot in between the supremely patrician Duesenberg and the slightly more plebeian (but still not cheap) Auburns. Racing legend Harry Miller had already demonstrated the promise of front wheel drive on the racetrack. E.L. Cord realized that FWD had some advantages for road cars as well so he had Cornelius Van Ranst design a front drive layout based on Miller?s patents, using a straight eight Lycoming engine sitting behind the gearbox with a De Dion axle and inboard drum brakes up front.

Cornelius Van Ranst designed the Cord FWD layout based on Harry Miller?s patents. More pics here.

By eliminating the need for a driveshaft to the back axle, the engine and transmission could sit low in the chassis, allowing not just a lower center of gravity but also letting the body sit lower to the ground. The long drivetrain meant that stylist Alan Leamy could give the L-29 an exceptionally long hood. Leamy used the long hood and the low body to give the car a rakish and very sporting look, not unlike chopped and channeled hot rods.

The L-29 was not a huge success, having the misfortune of being introduced a few months before the stock market crashed and the Great Depression was triggered. It also was heavy, slow, and had some reliability issues, so only a few thousand were made and sold, ending production in 1932. Still, the L-29 remains the first American production car to offer front wheel drive and it continues to be a great looking car, timelessly rakish and sporting.

Architect Frank Lloyd Wright?s L-29 in his signature Taliesin Orange color. More pics here.

To promote the then revolutionary layout, the Auburn Automobile Company published a 15 page brochure with technical drawings of the chassis, photos of the L-29 with various body styles in locations in what I believe was southern California, extensive technical specifications and about two pages of advertising copy, attributed to E. L. Cord himself, titled Why We Introduce A Front Drive Automobile.

It?s fun to watch Cord (or whoever wrote the text) try to tout FWD as the latest and greatest while insisting that the traditionally laid out Auburns and Duesenbergs were not being made obsolete by his company?s new brand. In many ways, the brochure isn?t that much different than what you?d see today, though a modern advertisement is not likely to start out with two pages of text from the company founder.

Ronnie Schreiber edits Cars In Depth, a realistic perspective on cars & car culture and the original 3D car site. If you found this post worthwhile, you can dig deeper and get a parallax view at Cars In Depth. If the 3D thing freaks you out, don?t worry, all the photo and video players in use at the site have mono options. Thanks? for reading? RJS

Source: http://www.thetruthaboutcars.com/2012/12/antique-auto-advertising-why-we-introduce-a-front-drive-automobile-by-e-l-cord/

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Federal judge blocks Missouri law to deny birth control coverage

(Reuters) - A federal judge on Friday blocked a new Missouri law that requires health insurers to offer plans that exclude contraception coverage if employers or individuals object to birth control on moral or religious grounds.

U.S. District Judge Audrey Fleissig granted a temporary restraining order preventing the enforcement of the law, writing that it appears to conflict with the new federal health care law.

Republican lawmakers in Missouri drafted the law in response to President Barack Obama's policy of requiring insurers to cover birth control for free as part of the new federal health care law, even if they work for a church or other employer that has a moral objection.

State lawmakers in September overrode a veto by Democratic Governor Jay Nixon to enact the law.

The Missouri Insurance Coalition, a nonprofit whose members include health insurers that do business in the state, asked the judge to block the state law, arguing that it conflicts with federal law and is therefore invalid.

Fleissig wrote that the coalition is likely to succeed on that claim "given what appears to be an irreconcilable conflict" between the federal and state laws.

At a hearing, the judge wrote, the Missouri Department of Insurance "could offer no response to how there would not be a direct conflict" between the federal and state laws if an insurer offered a health insurance plan "that acquiesced to an employer's decision not to offer contraceptive coverage."

She is expected to schedule a hearing on a preliminary injunction.

(Reporting By Corrie MacLaggan; editing by Todd Eastham)

Source: http://news.yahoo.com/federal-judge-blocks-missouri-law-deny-birth-control-035843144.html

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If you'd like to join in the Discussion, or access additional features in our forums, please sign in with your Evernote Account here. Have an Evernote Account but forgot your password? Reset it! Don't have an account yet? Create One! You'll need to set your Display Name before your first post.

Source: http://discussion.evernote.com/topic/32975-evernote-syncs-from-desktop-to-iphone-4-but-not-from-iphone-4-to-desktop/

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Older singles getting results with online dating | says, dating, online ...

We used to hang out in bars, hoping to meet some decent guy between vodka martinis. Now we sign up for online dating services, which is not necessarily a healthier approach.

Even AARP is into the Internet dating game, launching AARP Dating (aarp.org/dating) with tips, experts and even results of an AARP dating survey.

Kay Vickery and Rick Fisher of Irvine have been together since 1989 but have not married. "We spent two hours just talking," Vickery said of their first date after meeting using the pre-Internet dating service Great Expectations. This March will mark their 24th year together.

STEVEN GEORGES, FOR THE REGISTER

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It isn't easy being single today. Indeed, if all the consultants and experts are to be believed, it's downright unnatural. But it wasn't always this way.

"Our generation still has this stigma that only desperate people are publicly looking for dates," says Christine Baumgartner. "We're supposed to meet someone at work or in church instead."

Baumgartner, 62, who coaches men and women on dating styles and issues through her website, ThePerfectCatch.com, also points out that women often are nervous about meeting a man on the Internet rather than through a friend.

And with good reason, says Tom Blake, a Dana Point deli owner who has morphed into a 50-plus dating expert, with his own website, Findingloveafter50.com.

"Women particularly have really got to be on their toes," he says. "There are a tremendous number of scams, particularly when long-distance relationships are involved.

"I think online websites are a valuable tool for older singles and help them to expand their social circle, but it's important to be realistic."

Baumgartner agrees, although her results from online dating have been positive. She met her late husband through an online service several years ago, when she was an event planner.

Caution is only part of the tale, she says.

She tells her clients they need to discover what they want in a relationship.

"Get it clear," Baumgartner says. "Write it down. Then write down a list of what you have to offer in a relationship. Write a story about yourself, who you are as a person."

And if the right person doesn't show up? That's where Baumgartner comes in, teaching her clients how to realize their authentic selves.

"In the beginning, say to yourself that you love and accept yourself the way you are. Say it every hour until your insides believe it," she says. "Start accepting yourself and then you can accept others.

"I believe everyone wants to feel loved and be loving."

That has been her message to M.P. Wylie, who was married for 22 years and has been single for almost the same amount of time.

"I'm not willing to give up," says Wylie, 64, an Irvine resident. Despite years of looking, she vows to carry on. "I know he's out there somewhere," she says.

Ah, but where?

The same place he's always been, says Kay Vickery. He's out there, but you have to find him.

She found her guy, Rick Fisher, in 1989.

"We were each looking before anyone went online," Vickery says. "We met through a dating service called Great Expectations, where you read a person's bio and saw a video before you called them and maybe eventually went on a date."

Vickery, a fundraising consultant, "wanted someone who is loyal and kind." She and Fisher talked on the phone several times before meeting for cocktails.

"We really liked each other a lot," she says. "We still do."

They share an Irvine home but have never married.

"We've bought a lot of investment property together," she says. "I think financially it's better to be separate and, frankly, it works that way for us."

Betty Gallups, 80, struggles with the marriage question.

Widowed four years ago, she has lived for the past year with Tom Cataldo, 87, whom she met online.

"I was married for 57 years," says Gallups, who lives in Anaheim Hills. "That's a long time to have the same last name."

A former high-school teacher, she now works with Cataldo on building sponsorship for his nonprofit.

"Frankly, most of us are just looking for companionship," she says. "I certainly didn't expect to find love."

Contact the writer: jghaas@cox.net


Source: http://www.ocregister.com/articles/says-380970-dating-online.html

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ReadWrite ? Could Music Licensing Costs Kill Pandora? Last.fm's ...

Maybe Tim Westergren has a point. The Pandora cofounder has been making the rounds in the last few months, arguing that the music licensing costs his company has to pay are crippling and should be changed by Congress. Music labels and many artists aren't thrilled about the proposed changes. So what's the deal? Could licensing costs actually kill Pandora??

Probably not anytime soon. But it's certainly true that these high licensing costs make it much more difficult to do business. For evidence of that, look no further than Last.fm. Next month, the algorithm-fueled Internet music service is scaling back its most radio-like feature in several countries.

In the United States, Canada and the UK, Last.fm's radio streaming feature will still be available via Web browsers, but using it from their desktop client - just like its mobile apps - will become a subscription-only feature. The reason? You guessed it: The cost of securing rights to that music is too high for Last.fm to make the end product freely available, the company says.

In the UK, music licensing costs are even more onerous than they are in the United States, says radio futurologist James Cridland. It's exactly why Pandora isn't available there, nor is there an equivalent service. Last.fm is probably the closest thing the UK has, and it's about to see its functionality scaled back.?

"I'm not sure what the magic bullet is," says Cridland. "But at some point people need to stop and ask why there isn't a Pandora in the UK, which after all is one of the countries that produces the most music in the world."?

Cridland has done the math. Running a service like Pandora in the UK would require a company to pay out more money in licensing fees than they could conceivably earn in revenue. ?

For Last.fm, licensing costs aren't the only part of this equation. It's also worth looking at the other end of the business model - namely, the revenue side. The fact that Last.fm is cutting its free radio service out of its desktop app suggests it's tightening up its freemium business model overall.?

It makes sense. Last.fm's desktop app collects a lot of listener data, but it doesn't appear to directly make money. I can play personalized stations from this app all day long without ever seeing or hearing an advertisement. Starting January 15, I'll have to go to the Last.fm website, where the entire layout is wrapped in display ads and before my Notorious B.I.G.-inspired station starts playing, Taylor Swift will try to sell me some perfume.?

The fact that Last.fm is pulling radio out of its desktop app all together - as opposed to augmenting it with audio ads - suggests that audio-only Internet advertising isn't quite as potent a force as once thought. Personalized, targeted radio ads seem powerful in theory, but they're far more lucrative when paired with video and display advertisements. Paying subscribers are even more valuable. Clearly, Last.fm is hoping to push users in either of those two directions as it continues to navigate a digital music marketplace that looks very different than it did when Last.fm was founded almost a decade ago.?

Last.fm isn't the big fish here - it's the canary in the coal mine. Pandora is far better-positioned than Last.fm, its chief U.S. competitor. Yet even at the head of the pack, business in the streaming music space is brutal. Music licensing costs may not kill Pandora, but Last.fm's troubles make it clear that the issue can wreak havoc on a music service's core functionality. No wonder Tim Westergren won't shut up.

Source: http://readwrite.com/2012/12/18/could-music-licensing-costs-kill-pandora-ask-lastfm

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Why Is the NRA So Powerful?

A wall of semi-automatic rifles at the National Rifle Association Annual Meetings and Exhibits A wall of semi-automatic rifles at the National Rifle Association Annual Meetings and Exhibits

Photo by Karen Bleier/AFP/Getty Images.

The National Rifle Association is in the spotlight after Adam Lanza used multiple semi-automatic weapons in the Newtown, Conn., shooting that killed 27. How did the NRA get to be so powerful? Brian Palmer addressed this topic earlier this year. The original article is reprinted below. Read the rest of Slate?s coverage of the Sandy Hook school shooting.

The House of Representatives voted on Thursday to hold Attorney General Eric Holder in contempt of Congress, for withholding documents pertaining to the ?Fast and Furious? program that allegedly put guns in the hands of Mexican drug gangs. Seventeen Democrats voted for the measure after the National Rifle Association indicated future endorsements could ride on the vote. The NRA is considered by many the most powerful lobbying group in the country, despite relatively modest financial resources and just 4 million members. What makes the NRA so influential?

Focus and emotion. Groups with large constituencies often address a wide variety of issues. The AARP, for example, attempts to influence such diverse issues as Social Security, health care, energy, and ballot access laws. The NRA focuses almost exclusively on gun control, which enables its leaders to doggedly pursue their legislative ends. Perhaps more important, many NRA members are as single-minded as the organization itself. Polls often show that more Americans favor tightening gun control laws than relaxing them, but gun rights advocates are much more likely to be single-issue voters than those on the other side of the question. As a result, the NRA can reliably deliver votes. Politicians also fear the activism of NRA members. They?re widely believed to be more likely to attend campaign events, ring doorbells, and make phone calls to help their favored candidates?or defeat their opponents?than senior citizens, members of labor unions, or public school teachers.

For the most part, the NRA?s lobbying arm didn?t gin up the emotional fervor of firearms advocates?it resulted from it. The NRA was founded shortly after the Civil War by Union veterans who felt the Confederacy only lasted as long as it did because of the Southerners? superior marksmanship. For nearly a century, the NRA catered to competitive shooters and merely dabbled in politics. As with so many other American cultural issues, things changed in the 1960s. Crime soared. Armed members of the Black Panthers began following police officers around American cities. Riots broke out in Newark and Detroit, and some government officials blamed easy access to guns. Assassins killed two Kennedy brothers and Martin Luther King Jr. In 1968, under pressure from terrified constituents, Congress passed the first major gun control legislation since the 1930s. A backlash ensued, as American firearms enthusiasts feared the government planned to take their guns. They pushed the relatively apolitical NRA to lobby on their behalf. When the leadership balked in 1977, a group of activists staged a coup. The new leaders commissioned a poll, which found that lobbying was the members? biggest priority. They turned the group into a political force, with the Second Amendment as their bible.

Today, the NRA?s lobbying arm, the Institute for Legislative Action, has become expert at maintaining the siege mentality that birthed it. Former NRA leader Wayne LaPierre famously attacked gun control legislation in 1995 as giving ?jack-booted government thugs more power to take away our constitutional rights, break in our doors, seize our guns, destroy our property, and even injure or kill us.? More recent mailings have claimed that the group is ?fighting a multi-front battle with anti-gun radicals in the Obama administration? willing to use ?ANY means necessary to DESTROY our freedoms.?

The NRA also has a better ground game than many other lobbying organizations. The group relies on scores of independent gun magazines, thousands of gun shops, and gun clubs across the country to help spread its message well beyond its membership. Many small lobbying groups with enthusiastic members have exploited similar viral communications networks to splendid effect. The American Homebrewers Association, for example, with fewer than 15,000 members, has used shops, clubs, and amateur podcasters to help pass beer-friendly legislation in five different states in the last two years.

Got a question about today?s news? Ask the Explainer.

Explainer thanks Richard Feldman of the Independent Firearm Owners Association, author of Ricochet: Confessions of a Gun Lobbyist; Robert Spitzer SUNY Cortland, author of Encyclopedia of Gun Control & Gun Rights; Joseph P. Tartaro of the Second Amendment Foundation and TheGunMag.com; and Adam Winkler of UCLA, author of Gunfight: The Battle Over the Right To Bear Arms in America.

Source: http://feeds.slate.com/click.phdo?i=a788a660e6ed53f6758e27bca6994772

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