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Ali1234الباحث
في: الهند

How will the Air India plane crash investigation be conducted?

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  1. Ali1234 الباحث
    ‫أضاف ‫‫إجابة يوم يوليو 23, 2025 في 11:57 pm

    The investigation into the Air India plane crash will be conducted primarily by the Aircraft Accident Investigation Bureau (AAIB) of India, which is the designated authority for such investigations in the country. The AAIB operates under the Aircraft (Investigation of Accidents and Incidents) Rules,‫اقرأ المزيد

    The investigation into the Air India plane crash will be conducted primarily by the Aircraft Accident Investigation Bureau (AAIB) of India, which is the designated authority for such investigations in the country. The AAIB operates under the Aircraft (Investigation of Accidents and Incidents) Rules, 2017, and is an independent body under the Ministry of Civil Aviation.

    Here’s a breakdown of how the investigation is typically conducted:

    1. Objective: The sole objective of the investigation is prevention of future accidents and incidents, not to apportion blame or liability. Any investigation by the AAIB is separate from judicial or administrative proceedings.
    2. Multidisciplinary Team: The AAIB forms a multidisciplinary team for the investigation. This team often includes:
      • An Investigator-in-Charge.
      • Aviation medicine specialists.
      • Air Traffic Control (ATC) officers.
      • Representatives from the State of Design (e.g., the US National Transportation Safety Board – NTSB, since the aircraft was a Boeing Dreamliner) and the State of Manufacture (USA), as well as the State of Registry and State of the Operator.
    3. Site Investigation and Evidence Collection:
      • Investigators immediately go to the crash site to collect and preserve perishable evidence, wreckage samples, and the crucial black boxes (Flight Data Recorder – FDR and Cockpit Voice Recorder – CVR).
      • In the case of the recent Air India crash, India successfully decoded the black boxes domestically for the first time.
      • They collect data from various sources, including the airline operator, regulatory bodies, and involved personnel.
      • Investigators also look at CCTV footage from the surrounding area and interview witnesses.
    4. Black Box Analysis:
      • The FDR records hundreds of parameters about the aircraft’s performance (altitude, airspeed, engine parameters, control surface positions, etc.).
      • The CVR records cockpit conversations and other sounds within the cockpit.
      • The data from these black boxes is meticulously analyzed to reconstruct the sequence of events leading to the accident.
    5. Expert Analysis: The AAIB may engage domain experts and collaborate with other agencies, such as Hindustan Aeronautics Limited and DGCA laboratories, for specialized analysis. This can include:
      • Analysis of aircraft remnants.
      • Post-mortem reports.
      • Component inspections.
      • Review of maintenance records.
      • Assessment of pilot training and health, including psychological aspects.
    6. Preliminary Report: For major accidents, countries are encouraged by ICAO (International Civil Aviation Organization) to publish a preliminary report within 30 days. This report provides initial findings but does not typically reach definitive conclusions about the cause. The AAIB for this Air India crash released its preliminary report on July 12, indicating that the fuel cutoff switches had been activated shortly after takeoff.
    7. Final Report: The investigation is a complex process and takes time. The final report aims to establish the root cause(s) of the accident and suggest corrective measures to prevent similar occurrences. ICAO guidance suggests a goal of releasing the final report within 12 months.
    8. Safety Recommendations: Based on their findings, the AAIB issues safety recommendations to relevant bodies, such as the Directorate General of Civil Aviation (DGCA) in India or international aviation regulatory bodies, for implementation and monitoring.

    It’s important to note that throughout the process, the AAIB aims for transparency and impartiality, although there can be external pressures and differing interpretations of preliminary findings, as seen with some media reports and statements from pilot associations regarding the recent Air India crash. 

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Ali1234الباحث
في: الهند

Trump imposes another 25% tariff on India, total tariff rises to 50%

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  1. Ali1234 الباحث
    ‫أضاف ‫‫إجابة يوم أغسطس 6, 2025 في 7:58 am

    You're not mistaken — on August 6, 2025, President Donald Trump signed an executive order imposing an additional 25% tariff on imports from India, citing India’s purchase of Russian oil as a key issue. That increases the total U.S. tariff on Indian goods to 50%. These increased duties will come into‫اقرأ المزيد

    You’re not mistaken — on August 6, 2025, President Donald Trump signed an executive order imposing an additional 25% tariff on imports from India, citing India’s purchase of Russian oil as a key issue. That increases the total U.S. tariff on Indian goods to 50%. These increased duties will come into effect 21 days later (AP News).


    ⚠️ Details & Timeline

    • The initial 25% tariff was announced on July 30, set to begin August 1; it targeted Indian goods in response to trade barriers and India’s purchases of energy and arms from Russia (Politico).
    • The additional 25% “penalty” tariff, raising the total to 50%, was formally enacted on August 6. It specifically targets India’s Russian oil imports and will become effective 21 days later, giving India a brief window to negotiate (AP News).

    As of today, August 6, the combined tariff stands at 50%, though the full economic impacts will unfold after the effective date.


    🔎 Economic & Market Impact

    Impact on India

    • Sectors likely hardest hit include textiles, garments, jewelry, auto parts, electronics, and marine products — many of which depend heavily on U.S. exports (reuters.com).
    • Exporters in Gujarat, Maharashtra, and Morbi (especially ceramics) are warning of reduced competitiveness, lost margins, and heightened planning uncertainty (reuters.com).
    • Analysts expect export growth of Indian goods to decline, with potential GDP effects. Fitch has already trimmed India’s FY26 growth estimate to around 6.3% (www.ndtv.com, The Economic Times).

    Impact on U.S. Consumers and Businesses

    • Higher prices expected on products like Android smartphones, clothing, auto parts, and jewelry—U.S. consumers may face sticker shocks on even basic goods (Indiatimes).
    • Although some exports (e.g. pharmaceuticals and electronics) were exempted initially, the broader tariffs could still ripple across the U.S. supply chain (www.ndtv.com).
    • Corporate positioning impacted: ETFs tracking Indian equities, such as INDA, have dropped significantly amid investor concerns. India’s equities have slipped ~6% over the past month, contrasting sharply with gains in China’s ETFs (marketwatch.com).

    Strategic Responses

    • Despite rising tensions, companies like Apple, Google, Tesla, Costco, and others continue investing in India due to its key role in supply chain diversification. Google is building a major data center in Andhra Pradesh; Apple had already shifted part of its iPhone production to India—but now raises concerns about the new duty regime impacting that shift (reuters.com).
    • India continues to engage in trade talks with the U.S., aiming for a fair and mutually beneficial agreement. Negotiations over agriculture and market access remain central sticking points. A bilateral trade pact is expected to progress in late 2025 (India Briefing).

    📊 Summary Table

    Key Date Action Resulting Tariff on India
    Apr 2, 2025 Initial “reciprocal tariff” announced (26%) ~26% (temporary hold)
    Aug 1, 2025 25% tariff officially enacted 25%
    Aug 6, 2025 Executive order adds 25% penalty for Russian oil imports Total: 50% (effective ~Aug 27)

    ✅ In summary

    Yes — as of August 6, 2025, the U.S. tariff on Indian imports will reach 50%, including a new penalty tied to India’s Russian oil trade. All measures take full effect 21 days after the order’s signing. Trade tensions are escalating, trade talks remain critical, and key export sectors in India along with U.S. consumers and international firms are bracing for impact.


     

     

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Ali1234الباحث
في: الهند, Pakistan

Can any other country besides India attack Pakistan? What is going to happen in September?

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Ali1234الباحث
في: الهند

What could be the possible causes of the accident that occurred to the Air India Dreamliner?

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Ali1234الباحث
في: الهند, oil, Russia, Ukraine

Ukraine crisis: Why is India buying more oil from Russia?

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  1. Ali1234 الباحث
    ‫أضاف ‫‫إجابة يوم يوليو 21, 2025 في 1:39 am

    India's increased purchase of oil from Russia since the Ukraine crisis began is a complex issue driven by a combination of economic, energy security, and foreign policy considerations. It's not a simple alignment with Russia, but rather a strategic balancing act. Here are the key reasons: Deep Disco‫اقرأ المزيد

    India’s increased purchase of oil from Russia since the Ukraine crisis began is a complex issue driven by a combination of economic, energy security, and foreign policy considerations. It’s not a simple alignment with Russia, but rather a strategic balancing act.

    Here are the key reasons:

    1. Deep Discounts and Economic Advantage:
      • Following Western sanctions and the withdrawal of many traditional buyers, Russia was forced to offer significant discounts on its crude oil.
      • India, as the world’s third-largest oil importer and consumer, saw an opportunity to secure cheaper energy supplies, which is crucial for managing inflation and maintaining economic stability for its large population.
      • Even with Western price caps (like the $60 per barrel G7 cap), Russia often finds ways to offer competitive rates, for example, by including transport and insurance costs, or by using a “shadow fleet” of tankers.
    2. Energy Security and Diversification:
      • India is heavily dependent on oil imports (over 85% of its crude oil needs). Its energy security strategy involves diversifying its sources of supply to reduce reliance on any single region or supplier.
      • Historically, India relied heavily on the Middle East. However, geopolitical tensions in the Middle East, particularly around the Strait of Hormuz (a critical chokepoint for a significant portion of global oil movement), have pushed India to seek alternative, more secure routes. Russian oil, often accessed through eastern routes (like the Eastern Maritime Corridor to Vladivostok), provides a valuable diversification against potential disruptions in the Middle East.
      • India has expanded its crude import sources from around 27 countries to about 40, reflecting this drive for diversification.
    3. “Strategic Autonomy” in Foreign Policy:
      • India has a long-standing foreign policy principle of “strategic autonomy,” meaning it prioritizes its national interests and avoids being drawn into blocs or taking sides in major global conflicts.
      • This approach allows India to maintain its historic, strategic partnership with Russia (especially in defense, where Russia remains a key arms supplier), while also deepening ties with Western nations like the US and Europe.
      • India has largely maintained a neutral stance on the Ukraine war, abstaining from most UN resolutions condemning Russia. It has consistently emphasized dialogue and diplomacy as the way forward.
      • Indian officials have openly stated that their primary responsibility is to secure affordable energy for their 1.4 billion people and that oil purchases are a legitimate aspect of their energy security.
    4. Established Infrastructure and Refining Capacity:
      • Indian refineries, especially private sector ones like Reliance Industries and Nayara Energy, are well-equipped to process various types of crude, including the Urals crude often supplied by Russia. They have adapted their refining and payment systems to handle Russian oil.

    Western Reactions and India’s Response:

    While Western nations, particularly the US and EU, have expressed concerns and even threatened secondary sanctions or tariffs on countries buying Russian oil, India has largely remained firm.

    • India’s Oil Minister, Hardeep Singh Puri, has repeatedly stated that India is not worried about such threats and is prepared to deal with any disruptions by further diversifying supplies from other emerging or established producers (like Brazil, Guyana, Canada, and traditional Middle Eastern sources if needed).
    • Recent EU sanctions specifically targeting refined petroleum products made from Russian crude in third countries like India could impact India’s $15 billion fuel exports to Europe. This forces India to walk a fine line between securing discounted crude and maintaining access to lucrative export markets.

    In essence, India’s increased oil imports from Russia are a pragmatic decision driven by its fundamental energy needs and a foreign policy that prioritizes national interests and strategic flexibility in a complex global environment.

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Ali1234الباحث
في: الهند

India What will the weather be like in Punjab for the next two days?

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Ali1234الباحث
في: الهند, oil

Where does India buy oil from?

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  1. Ali1234 الباحث
    ‫أضاف ‫‫إجابة يوم يوليو 21, 2025 في 1:40 am

    India, being the world's third-largest oil consumer and heavily reliant on imports (over 85% of its crude oil needs), diversifies its sources to ensure energy security and get the best prices. While the specific proportions can fluctuate monthly due to market dynamics, geopolitical events, and prici‫اقرأ المزيد

    India, being the world’s third-largest oil consumer and heavily reliant on imports (over 85% of its crude oil needs), diversifies its sources to ensure energy security and get the best prices.

    While the specific proportions can fluctuate monthly due to market dynamics, geopolitical events, and pricing, India’s main oil suppliers generally include:

    1. Russia: Since the Ukraine crisis, Russia has emerged as India’s single largest crude oil supplier, offering significant discounts. Its share has jumped dramatically from less than 2% before the conflict to often over 35% of India’s total imports.
    2. Iraq: Historically, Iraq has been one of India’s top suppliers for many years, providing a steady flow of crude.
    3. Saudi Arabia: Another traditional major supplier from the Middle East, Saudi Arabia remains a significant source for India, although its share can fluctuate based on pricing and OPEC+ decisions.
    4. United Arab Emirates (UAE): The UAE is also a consistent and important crude oil supplier to India, providing a variety of grades.
    5. United States: The US has become an increasingly important supplier to India in recent years as India diversifies away from its traditional Middle Eastern sources and seeks various crude grades.

    Beyond these top players, India also imports oil from a range of other countries to further diversify its supply, including:

    • Nigeria
    • Brazil
    • Canada
    • Kuwait
    • Angola
    • And others as market conditions and pricing opportunities arise.

    India’s strategy is to avoid over-reliance on any single region or country, ensuring it has options if one supply source is disrupted or becomes uneconomical.

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Ali1234الباحث
في: Cricket Pakistan, الهند

What kind of things were written about India in Shahid Afridi's fake post?

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Ali1234الباحث
في: الهند, Pakistan

Despite its efforts, why was India unable to stop the IMF from releasing a loan tranche for Pakistan?

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  1. Ali1234 الباحث
    ‫أضاف ‫‫إجابة يوم يوليو 8, 2025 في 8:00 am

    India has consistently raised strong objections to the International Monetary Fund (IMF) releasing loan tranches to Pakistan, primarily due to concerns that these funds could be misused to finance cross-border terrorism and Pakistan's poor track record of adhering to IMF program conditions. However,‫اقرأ المزيد

    India has consistently raised strong objections to the International Monetary Fund (IMF) releasing loan tranches to Pakistan, primarily due to concerns that these funds could be misused to finance cross-border terrorism and Pakistan’s poor track record of adhering to IMF program conditions. However, despite these efforts, India has been largely unsuccessful in stopping the loans for several key reasons:
    * IMF’s Decision-Making Structure: The IMF’s executive board, which approves loans, operates on a system of weighted voting based on a country’s economic size. While India is a significant member, it does not possess a veto power like in the UN Security Council. Furthermore, IMF rules typically do not allow for a formal “no” vote. Instead, members can either vote in favor or abstain. India has chosen to abstain in such votes, which formally registers its dissent and objections, but it cannot outright block a loan if other major members support it.
    * Focus on Economic Stability: The IMF’s primary mandate is to ensure global financial stability. When a member country like Pakistan faces severe balance of payments issues, the IMF views providing financial assistance as crucial to preventing a wider economic collapse, which could have regional and even global repercussions. The IMF’s justification for the loans often centers on Pakistan meeting its technical targets and making progress on reforms, as assessed by its staff.
    * “Too Big to Fail” Borrower: India has highlighted that Pakistan’s prolonged borrowing from the IMF has created a “too big to fail” situation. This means that Pakistan’s debt burden is so high that allowing it to default could destabilize the global financial system, making the IMF more inclined to continue providing assistance to prevent such an outcome.
    * Political vs. Procedural Considerations: While India’s concerns about the misuse of funds for terrorism are taken note of by the IMF, the institution’s decisions are largely governed by procedural and technical formalities related to economic stability and a country’s adherence to program conditions. The IMF attempts to maintain neutrality on political matters, focusing on the economic health of its member states.
    * Lack of Broad International Support for a Blockade: While some member countries might share India’s concerns about Pakistan’s track record, there hasn’t been a strong enough consensus among major IMF shareholders to outright block loans to Pakistan. Many countries prioritize regional stability and a functioning Pakistani economy over India’s specific security concerns within the IMF’s framework.
    * Pakistan’s Efforts to Meet Conditions: Pakistan, despite its challenges, often makes efforts to meet the technical conditions set by the IMF for loan disbursements, which helps it secure the tranches.
    In essence, while India has effectively used its position to voice strong objections and raise awareness about its concerns regarding Pakistan’s use of funds and its track record, the institutional framework and mandate of the IMF, coupled with the complex geopolitical dynamics, make it very difficult for any single country, even a significant one like India, to unilaterally stop a loan to another member nation.

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Ali1234الباحث
في: الهند, Pakistan

A month of India-Pakistan tension: What happened during the 88-hour conflict?

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  1. Ali1234 الباحث
    ‫أضاف ‫‫إجابة يوم يونيو 6, 2025 في 7:07 am

    The 88-hour conflict between India and Pakistan in May 2025, often referred to as "Operation Sindoor" by India, was a brief but intense military confrontation that brought the two nuclear-armed rivals to the brink of a full-scale war. Here's a summary of what happened: Background: The conflict was t‫اقرأ المزيد

    The 88-hour conflict between India and Pakistan in May 2025, often referred to as “Operation Sindoor” by India, was a brief but intense military confrontation that brought the two nuclear-armed rivals to the brink of a full-scale war.
    Here’s a summary of what happened:
    Background: The conflict was triggered by a terrorist attack in Pahalgam, Indian-administered Jammu and Kashmir, on April 22, 2025, which killed 26 civilians. India accused Pakistan of supporting and aiding the attack, a claim Pakistan denied.
    Key Events of the 88-hour conflict (May 7-10, 2025):
    * May 7: India’s “Operation Sindoor” begins.
    * In the early hours, India launched missile and air strikes (Operation Sindoor) targeting what it described as nine “terrorist hubs” in Pakistan and Pakistan-administered Kashmir, including Muridke and Bahawalpur. India stated that no Pakistani military or civilian facilities were targeted.
    * Pakistan, however, claimed the Indian strikes targeted civilian areas, including mosques, resulting in 31 Pakistani civilian deaths.
    * Immediately after the initial strikes, a major air battle ensued between Indian and Pakistani fighter jets, lasting over an hour. Both sides claimed downing adversary aircraft, and there were reports of aircraft losses on both sides due to air defense systems.
    * Pakistan responded with its own mortar attacks and a blitz on Poonch, Jammu, reportedly killing 16 civilians and destroying hundreds of homes.
    * There were also reports of armed skirmishes along the Line of Control (LoC) starting as early as April 24.
    * May 7-9: Drone Duels and Escalation.
    * Over the next two nights, Pakistan heavily utilized its drone fleet, reportedly targeting 36 locations on May 8 and 26 on May 9, from Leh to Sir Creek.
    * India’s integrated air and missile defense system reportedly largely defeated several waves of Pakistani drone attacks.
    * Fighting along the Line of Control in Kashmir intensified and resulted in significant casualties for both sides.
    * Concerns about nuclear escalation grew, particularly on May 8-9, leading to significant diplomatic engagement, primarily by the United States.
    * May 9-10: Crisis Climax.
    * In the early hours of May 10, both sides accused each other of launching missile attacks on airbases. India accused Pakistan of targeting Indian air bases, including Sirsa, while Pakistan accused India of attacking several Pakistani air bases, including Nur Khan, Rafiqi, and Murid.
    * India claimed its air force established supremacy by targeting airfields and other military targets across Pakistan with impunity.
    * Pakistan launched “Operation Bunyan al-Marsus,” targeting several Indian military bases.
    * May 10: Ceasefire.
    * After four days of intense fighting and under significant pressure from the United States, India and Pakistan agreed to a ceasefire.
    * Despite the agreement, explosions were reportedly heard in border towns hours later, with both sides accusing each other of violations.
    Aftermath and Analysis:
    * Both India and Pakistan declared victory, and there was considerable misinformation and disinformation surrounding the events.
    * The conflict marked a significant escalation, crossing previous thresholds in terms of geographic reach, systems employed (including modern Chinese weapons on Pakistan’s side), and impacts.
    * It highlighted the growing use of standoff weapons, drones, and advanced air defense systems in modern warfare.
    * The crisis underscored the fragility of peace between the two nuclear powers and the persistent risk of escalation.

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