COULD URBAN ENGINEERS LEARN FROM DANCE? IELTS READING

Reading passage 1

A. The way we travel around cities has a major impact on whether they are sustainable. Transportation is estimated to account for 30% of energy consumption in most of the world’s most developed nations, so lowering the need for energy-using vehicles is essential for decreasing the environmental impact of mobility. But as more and more people move to cities, it is important to think about other kinds of sustainable travel too. The ways we travel affect our physical and mental health, our social lives, our access to work and culture, and the air we breathe. Engineers are tasked with changing how we travel round cities through urban design, but the engineering industry still works on the assumptions that led to the creation of the energy-consuming transport systems we have now: the emphasis placed solely on efficiency, speed, and quantitative data. We need radical changes, to make it healthier, more enjoyable, and less environmentally damaging to travel around cities.

B. Dance might hold some of the answers. That is not to suggest everyone should dance their way to work, however healthy and happy it might make us, but rather that the techniques used by choreographers to experiment with and design movement in dance could provide engineers with tools to stimulate new ideas in city-making. Richard Sennett, an influential urbanist and sociologist who has transformed ideas about the way cities are made, argues that urban design has suffered from a separation between mind and body since the introduction of the architectural blueprint.

C. Whereas medieval builders improvised and adapted construction through their intimate knowledge of materials and personal experience of the conditions on a site, building designs are now conceived and stored in media technologies that detach the designer from the physical and social realities they are creating. While the design practices created by these new technologies are essential for managing the technical complexity of the modern city, they have the drawback of simplifying reality in the process.

D. To illustrate, Sennett discusses the Peachtree Center in Atlanta, USA, a development typical of the modernist approach to urban planning prevalent in the 1970s. Peachtree created a grid of streets and towers intended as a new pedestrian-friendly downtown for Atlanta. According to Sennett, this failed because its designers had invested too much faith in computer-aided design to tell them how it would operate. They failed to take into account that purpose-built street cafes could not operate in the hot sun without the protective awnings common in older buildings, and would need energy-consuming air conditioning instead, or that its giant car park would feel so unwelcoming that it would put people off getting out of their cars. What seems entirely predictable and controllable on screen has unexpected results when translated into reality.

E. The same is true in transport engineering, which uses models to predict and shape the way people move through the city. Again, these models are necessary, but they are built on specific world views in which certain forms of efficiency and safety are considered and other experiences of the city ignored. Designs that seem logical in models appear counter-intuitive in the actual experience of their users. The guard rails that will be familiar to anyone who has attempted to cross a British road, for example, were an engineering solution to pedestrian safety based on models that prioritise the smooth flow of traffic. On wide major roads, they often guide pedestrians to specific crossing points and slow down their progress across the road by using staggered access points to divide the crossing into two – one for each carriageway. In doing so they make crossings feel longer, introducing psychological barriers greatly impacting those that are the least mobile, and encouraging others to make dangerous crossings to get around the guard rails. These barriers don’t just make it harder to cross the road: they divide communities and decrease opportunities for healthy transport. As a result, many are now being removed, causing disruption, cost, and waste.

F. If their designers had had the tools to think with their bodies – like dancers – and imagine how these barriers would feel, there might have been a better solution. In order to bring about fundamental changes to the ways we use our cities, engineering will need to develop a richer understanding of why people move in certain ways, and how this movement affects them. Choreography may not seem an obvious choice for tackling this problem. Yet it shares with engineering the aim of designing patterns of movement within limitations of space. It is an art form developed almost entirely by trying out ideas with the body, and gaining instant feedback on how the results feel. Choreographers have deep understanding of the psychological, aesthetic, and physical implications of different ways of moving.

G. Observing the choreographer Wayne McGregor, cognitive scientist David Kirsh described how he ‘thinks with the body’. Kirsh argues that by using the body to simulate outcomes, McGregor is able to imagine solutions that would not be possible using purely abstract thought. This land of physical knowledge is valued in many areas of expertise, but currently has no place in formal engineering design processes. A suggested method for transport engineers is to improvise design solutions and get instant feedback about how they would work from their own experience of them, or model designs at full scale in the way choreographers experiment with groups of dancers. Above all, perhaps, they might learn to design for emotional as well as functional effects.

Questions 1-6. Reading Passage 1 has seven paragraphs, A-G. Which paragraph contains the following information? Write the correct letter, A-G, in boxes 1-6.

1. reference to an appealing way of using dance that the writer is not proposing
2. an example of a contrast between past and present approaches to building
3. mention of an objective of both dance and engineering
4. reference to an unforeseen problem arising from ignoring the climate
5. why some measures intended to help people are being reversed
6. reference to how transport has an impact on human lives


Questions 7-13. Complete the summary below. Choose ONE WORD ONLY from the passage for each answer.

Guard rails

Guard rails were introduced on British roads to improve the (7)………………. of pedestrians, while ensuring that the movement of (8)………………. Is not disrupted. Pedestrians are led to access points, and encouraged to cross one (9)………………. at a time. An unintended effect is to create psychological difficulties in crossing the road, particularly for less (10)………………. people. Another result is that some people cross the road in a (11) …………………. way. The guard rails separate (12)………………. , and
make it more difficult to introduce forms of transport that are (13)…………………

Reading passage 2

Should we try to bring extinct species back to life?


A. The passenger pigeon was a legendary species. Flying in vast numbers across North America, with potentially many millions within a single flock, their migration was once one of nature’s great spectacles. Sadly, the passenger pigeon’s existence came to an end on 1 September 1914, when the last living specimen died at Cincinnati Zoo. Geneticist Ben Novak is lead researcher on an ambitious project which now aims to bring the bird back to life through a process known as ‘de-extinction’. The basic premise involves using cloning technology to turn the DNA of extinct animals into a fertilised embryo, which is carried by the nearest relative still in existence – in this case, the abundant band-tailed pigeon – before being born as a living, breathing animal. Passenger pigeons are one of the pioneering species in this field, but they are far from the only ones on which this cutting-edge technology is being trialled.

B. In Australia, the thylacine, more commonly known as the Tasmanian tiger, is another extinct creature which genetic scientists are striving to bring back to life. There is no carnivore now in Tasmania that fills the niche which thylacines once occupied,’ explains Michael Archer of the University of New South Wales. He points out that in the decades since the thylacine went extinct, there has been a spread in a ‘dangerously debilitating’ facial tumour syndrome which threatens the existence of the Tasmanian devils, the island’s other notorious resident. Thylacines would have prevented this spread because they would have killed significant numbers of Tasmanian devils. ‘If that contagious cancer had popped up previously, it would have burned out in whatever region it started. The return of thylacines to Tasmania could help to ensure that devils are never again subjected to risks of this kind.’

C. If extinct species can be brought back to life, can humanity begin to correct the damage it has caused to the natural world over the past few millennia? The idea of de-extinction is that we can reverse this process, bringing species that no longer exist back to life,’ says Beth Shapiro of University of California Santa Cruz’s Genomics Institute. ‘I don’t think that we can do this. There is no way to bring back something that is 100 per cent identical to a species that went extinct a long time ago.’ A more practical approach for long-extinct species is to take the DNA of existing species as a template, ready for the insertion of strands of extinct animal DNA to create something new; a hybrid, based on the living species, but which looks and/or acts like the animal which died out.

D This complicated process and questionable outcome begs the question: what is the actual point of this technology? ‘For us, the goal has always been replacing the extinct species with a suitable replacement,’ explains Novak. ‘When it comes to breeding, band-tailed pigeons scatter and make maybe one or two nests per hectare, whereas passenger pigeons were very social and would make 10,000 or more nests in one hectare.’ Since the disappearance of this key species, ecosystems in the eastern US have suffered, as the lack of disturbance caused by thousands of passenger pigeons wrecking trees and branches means there has been minimal need for regrowth. This has left forests stagnant and therefore unwelcoming to the plants and animals which evolved to help regenerate the forest after a disturbance. According to Novak, a hybridised band-tailed pigeon, with the added nesting habits of a passenger pigeon, could, in theory, re-establish that forest disturbance, thereby creating a habitat necessary for a great many other native species to thrive.

E. Another popular candidate for this technology is the woolly mammoth. George Church, professor at Harvard Medical School and leader of the Woolly Mammoth Revival Project, has been focusing on cold resistance, the main way in which the extinct woolly mammoth and its nearest living relative, the Asian elephant, differ. By pinpointing which genetic traits made it possible for mammoths to survive the icy climate of the tundra, the project’s goal is to return mammoths, or a mammoth- like species, to the area. ‘My highest priority would be preserving the endangered Asian elephant,’ says Church, ‘expanding their range to the huge ecosystem of the tundra. Necessary adaptations would include smaller ears, thicker hair, and extra insulating fat, all for the purpose of reducing heat loss in the tundra, and all traits found in the now extinct woolly mammoth.’ This repopulation of the tundra and boreal forests of Eurasia and North America with large mammals could also be a useful factor in reducing carbon emissions – elephants punch holes through snow and knock down trees, which encourages grass growth. This grass growth would reduce temperatures, and mitigate emissions from melting permafrost.

F. While the prospect of bringing extinct animals back to life might capture imaginations, it is, of course, far easier to try to save an existing species which is merely threatened with extinction. ‘Many of the technologies that people have in mind when they think about de-extinction can be used as a form of ‘‘genetic rescue”,’ explains Shapiro. She prefers to focus the debate on how this emerging technology could be used to fully understand why various species went extinct in the first place, and therefore how we could use it to make genetic modifications which could prevent mass extinctions in the future. ‘I would also say there’s an incredible moral hazard to not do anything at all,’ she continues. ‘We know that what we are doing today is not enough, and we have to be willing to take some calculated and
measured risks.’

Questions 14-17. Reading Passage 2 has six paragraphs, A-F. Which paragraph contains the following information? Write the correct letter, A-F, in boxes 14-17. NB You may use any letter more than once.

14. a reference to how further disappearance of multiple species could be avoided
15. explanation of a way of reproducing an extinct animal using the DNA of only that species
16. reference to a habitat which has suffered following the extinction of a species
17. mention of the exact point at which a particular species became extinct



Questions 18-22. Complete the summary below. Choose NO MORE THAN TWO WORDS from the passage for each answer.

The woolly mammoth revival project
Professor George Church and his team are trying to identify the (18)…………….. which enabled mammoths to live in the tundra. The findings could help preserve the mammoth’s close relative, the endangered Asian elephant. According to Church, introducing Asian elephants to the tundra would involve certain physical adaptations to minimise (19)…………….. To survive in the tundra, the species would need to have the mammoth-like features of thicker hair, (20)…………….. of a reduced size and more (21)…………….. Repopulating the tundra with mammoths or Asian elephant/mammoth hybrids would also have an impact on the environment, which could help to reduce temperatures and decrease (22) ……………….

Questions 23-26. Match each statement with the correct person, A, B or C. Write the correct letter, A, B or C, in boxes 23- 26 on your answer sheet. NB You may use any letter more than once.

23. Reintroducing an extinct species to its original habitat could improve the health of a particular species living there.
24. It is important to concentrate on the causes of an animal’s extinction.
25. A species brought back from extinction could have an important beneficial impact on the vegetation of its habitat.
26. Our current efforts at preserving biodiversity are insufficient.

List of People

A Ben Novak
B Michael Archer
C Beth Shapiro



Reading passage 3

Having a laugh


Humans start developing a sense of humour as early as six weeks old, when babies begin to laugh and smile in response to stimuli. Laughter is universal across all human cultures and even exists in some form in rats, chimps, and bonobos. Like other human emotions and expressions, laughter and humour provide psychological scientists with rich resources for studying human psychology, ranging from the development of language to the neuroscience of social perception.

Theories focusing on the evolution of laughter point to it as an important adaptation for social communication. Take, for example, the recorded laughter in TV comedy shows. Back in 1950, US sound engineer Charley Douglass hated dealing with the unpredictable laughter of live audiences, so started recording his own ‘laugh tracks’. These were intended to help people at home feel like they were in a social situation, such as a crowded theatre. Douglass even recorded various types of laughter, as well as mixtures of laughter from men, women, and children. In doing so, he picked up on a quality of laughter that is now interesting researchers: a simple ‘haha’ communicates a remarkable amount of socially relevant information.

In one study conducted in 2016, samples of laughter from pairs of English-speaking students were recorded at the University of California, Santa Cruz. A team made up of more than 30 psychological scientists, anthropologists, and biologists then played these recordings to listeners from 24 diverse societies, from indigenous tribes in New Guinea to city-dwellers in India and Europe. Participants were asked whether they thought the people laughing were friends or strangers. On average, the results were remarkably consistent: worldwide, people’s guesses were correct approximately 60% of the time.

Researchers have also found that different types of laughter serve as codes to complex human social hierarchies. A team led by Christopher Oveis from the University of California, San Diego, found that high-status individuals had different laughs from low-status individuals, and that strangers’ judgements of an individual’s social status were influenced by the dominant or submissive quality of their laughter.

In their study, 48 male college students were randomly assigned to groups of four, with each group composed of two low-status members, who had just joined their college fraternity group, and two high- status members, older students who had been active in the fraternity for at least two years. Laughter was recorded as each student took a turn at being teased by the others, involving the use of mildly insulting nicknames. Analysis revealed that, as expected, high-status individuals produced more dominant laughs and fewer submissive laughs relative to the low-status individuals. Meanwhile, low- status individuals were more likely to change their laughter based on their position of power; that is, the newcomers produced more dominant laughs when they were in the ‘powerful’ role of teasers. Dominant laughter was higher in pitch, louder, and more variable in tone than submissive laughter.

A random group of volunteers then listened to an equal number of dominant and submissive laughs from both the high- and low-status individuals, and were asked to estimate the social status of the laugher. In line with predictions, laughers producing dominant laughs were perceived to be significantly higher in status than laughers producing submissive laughs. ‘This was particularly true for low-status individuals, who were rated as significantly higher in status when displaying a dominant versus submissive laugh,’ Oveis and colleagues note. ‘Thus, by strategically displaying more dominant laughter when the context allows, low-status individuals may achieve higher status in the eyes of others.’ However, high-status individuals were rated as high-status whether they produced their natural dominant laugh or tried to do a submissive one.

Another study, conducted by David Cheng and Lu Wang of Australian National University, was based on the hypothesis that humour might provide a respite from tedious situations in the workplace. This ‘mental break’ might facilitate the replenishment of mental resources. To test this theory, the researchers recruited 74 business students, ostensibly for an experiment on perception. First, the students performed a tedious task in which they had to cross out every instance of the letter ‘e’ over two pages of text. The students then were randomly assigned to watch a video clip eliciting either humour, contentment, or neutral feelings. Some watched a clip of the BBC comedy Mr. Bean, others a relaxing scene with dolphins swimming in the ocean, and others a factual video about the management profession.

The students then completed a task requiring persistence in which they were asked to guess the potential performance of employees based on provided profiles, and were told that making 10 correct assessments in a row would lead to a win. However, the software was programmed such that it was nearly impossible to achieve 10 consecutive correct answers. Participants were allowed to quit the task at any point. Students who had watched the Mr. Bean video ended up spending significantly more time working on the task, making twice as many predictions as the other two groups.

Cheng and Wang then replicated these results in a second study, during which they had participants complete long multiplication questions by hand. Again, participants who watched the humorous video spent significantly more time working on this tedious task and completed more questions correctly than did the students in either of the other groups.

‘Although humour has been found to help relieve stress and facilitate social relationships, the traditional view of task performance implies that individuals should avoid things such as humour that may distract them from the accomplishment of task goals,’ Cheng and Wang conclude. ‘We suggest that humour is not only enjoyable but more importantly, energising.’



Questions 27-31
Choose the correct letter, A, B, C or D.

27. When referring to laughter in the first paragraph, the writer emphasises
A its impact on language.
B its function in human culture.
C its value to scientific research.
D its universality in animal societies.

28. What does the writer suggest about Charley Douglass?
A He understood the importance of enjoying humour in a group setting.
B He believed that TV viewers at home needed to be told when to laugh.
C He wanted his shows to appeal to audiences across the social spectrum.
D He preferred shows where audiences were present in the recording studio.

29. What makes the Santa Cruz study particularly significant?

A the various different types of laughter that were studied
B the similar results produced by a wide range of cultures
C the number of different academic disciplines involved
D the many kinds of people whose laughter was recorded

30. Which of the following happened in the San Diego study?

A Some participants became very upset.
B Participants exchanged roles.
C Participants who had not met before became friends.
D Some participants were unable to laugh.

31. In the fifth paragraph, what did the results of the San Diego study suggest?

A It is clear whether a dominant laugh is produced by a high- or low-status person.
B Low-status individuals in a position of power will still produce submissive laughs.
C The submissive laughs of low- and high-status individuals are surprisingly similar.
D High-status individuals can always be identified by their way of laughing.



Questions 32-36
Complete the summary using the list of words, A-H, below.

The benefits of humour

In one study at Australian National University, randomly chosen groups of participants were shown one of three videos, each designed to generate a different kind of (32)…………….. When all participants were then given a deliberately frustrating task to do, it was found that those who had watched the (33) …………….… video persisted with the task for longer and tried harder to accomplish the task than either
of the other two groups. A second study in which participants were asked to perform a particularly (34)……………..… task produced similar results. According to researchers David Cheng and Lu Wang, these findings suggest that humour not only reduces (35)………………… and helps build social connections but it may also have a (36)……………….. effect on the body and mind.

A laughter
B relaxing
C boring
D anxiety
E stimulating
F emotion
G enjoyment
H amusing

Questions 37-40. Do the following statements agree w0ith the claims of the writer in Reading Passage 3? In boxes 37-40 write

YES if the statement agrees with the claims of the writer
NO if the statement contradicts the claims of the writer
NOT GIVEN if it is impossible to say what the writer thinks about this

37. Participants in the Santa Cruz study were more accurate at identifying the laughs of friends than those of strangers.

38. The researchers in the San Diego study were correct in their predictions regarding the behaviour of the high-status individuals.

39. The participants in the Australian National University study were given a fixed amount of time to complete the task focusing on employee profiles.

40. Cheng and Wang’s conclusions were in line with established notions regarding task performance.


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UNLIKELY BOOMTOWNS IETLS READING

:The World’s Hottest Cities



Reading passage 1

Megacities like London, New York and Tokyo loom large in our imaginations. They are still associated with fortune, fame and the future. They can dominate national economies and politics. The last fifty years has been their era, as the number of cities with more than ten million people grew from two to twenty. But with all respect to the science-fiction novelists who have envisioned a future of urban giants, their day is over. The typical growth rate of the population within a megacity has slowed from more than eight per cent in the 1980s to less than half that over the last five years, and numbers are expected to be static in the next quarter century. Instead, the coming years will belong to a smaller, far humbler relation – the Second City.

Within a few years, more people will live in cities than in the countryside for the first time in human history. But increasingly, the urban core itself is downsizing. Already, half the city dwellers in the world live in metropolises with fewer than half-a-million residents. Second Cities – from exurbs, residential areas outside the suburbs of a town, to regional centres – are booming. Between 2000 and 2015, the world’s smallest cities (with under 500,000 people) will grow by 23 per cent, while the next smallest (one million to five million people) will grow by 27 per cent. This trend is the result of dramatic shifts, including the global real-estate bubble; increasing international migration; cheaper transport; new technologies, and the fact that the baby-boom generation is reaching retirement age.

The emergence of Second Cities has flowed naturally (if unexpectedly) from the earlier success of the megacities. In the 1990s, megacities boomed as global markets did. This was particularly true in areas with high-tech or ‘knowledge- based’ industries like finance. Bonuses got bigger, bankers got richer and real-estate prices in the world’s most sought- after cities soared. The result has been the creation of what demographer William Frey of the Washington-based Brookings Institute calls ‘gated regions’ in which both the city and many of the surrounding suburbs have become unaffordable for all but the very wealthy. ‘Economically, after a city reaches a certain size its productivity starts to fall,’ notes Mario Pezzini, head of the regional-competitiveness division of the OECD. He puts the tipping point at about six million people, after which costs, travel times and the occasional chaos ‘create a situation in which the centre of the city may be a great place, but only for the rich, and the outlying areas become harder to live and work in’.

One reaction to this phenomenon is further sprawl – high prices in the urban core and traditional suburbs drive people to distant exurbs with extreme commutes into big cities. As Frey notes, in the major US metropolitan areas, average commuting times have doubled over the last fifteen years. Why does one town become a booming Second City while another fails? The answer hinges on whether a community has the wherewithal to exploit the forces pushing people and businesses out of the megacities. One key is excellent transport links, especially to the biggest commercial centres. Though barely a decade old, Goyang is South Korea’s fastest-growing city in part because it is 30 minutes by subway from Seoul.

Another growth driver for Second Cities is the decentralization of work, driven in large part by new technologies. While more financial deals are done now in big capitals like New York and London than ever before, it is also clear that plenty of booming service industries are leaving for ‘Rising Urban Stars’ like Dubai, Montpellier and Cape Town. These places have not only improved their Internet backbones, but often have technical institutes and universities that turn out the kinds of talent that populate growth industries.

Consider Montpellier, France, a case study in urban decentralization. Until the 1980s, it was like a big Mediterranean village, but one with a strong university, many lovely villas and an IBM manufacturing base. Once the high-speed train lines were built, Parisians began pouring in for weekend breaks. Some bought houses, creating a critical mass of middle- class professionals who began taking advantage of flexible working systems to do three days in Paris, and two down South, where things seemed less pressured. Soon, big companies began looking at the area; a number of medical- technology and electronics firms came to town, and IBM put more investment into service businesses there. To cater to the incoming professionals, the city began building amenities: an opera house, a tram line to discourage cars in the city centre. The result, says French urban-planning expert Nacima Baron, is that ‘the city is now full of cosmopolitan business people. It’s a new society’.

All this means that Second Cities won’t stay small. Indeed some countries are actively promoting their growth. Italy, for example, is trying to create tourist hubs of towns close to each other with distinctive buildings and offering different yet complementary cultural activities. Devolution of policymaking power is leaving many lesser cities more free than ever to shape their destinies. To them all: this is your era. Don’t blow it.



Questions 1-3
Choose THREE letters, A-G. Write your answers in boxes 1 – 3 on your answer sheet. Which THREE of the following statements are true of megacities, according to the text?

A They tend to lead the way in terms of fashion.
B Their population has ceased to expand.
C They reached their peak in the second half of the twentieth century.
D 50 per cent of the world’s inhabitants now live in them.
E They grew rich on the profits from manufacturing industry.
F Their success begins to work against them at a certain stage.
G It is no longer automatically advantageous to base a company there.

Questions 4-6. Choose THREE letters, A-G. Write your answers in boxes 4 — 6 on your answer sheet.

The list below gives some possible reasons why small towns can turn into successful Second Cities. Which THREE of these reasons are mentioned by the writer of the text?

A the existence of support services for foreign workers
B the provision of cheap housing for older people
C the creation of efficient access routes
D the ability to attract financial companies
E the expertise to keep up with electronic developments
F the maintenance of a special local atmosphere
G the willingness to imitate international-style architecture

Questions 7-13. Complete the summary using the list of words A-R below. Write the correct letter, A- R, in boxes 7 – 13 on your answer sheet.

Urban Decentralisation
It is becoming increasingly obvious that large numbers of (7)…………………..are giving up their expensive premises in the megacities and relocating to smaller cities like Montpellier. One of the attractions of Montpellier is the presence of a good (8)………………….. that can provide them with the necessary skilled workforce.
Another important factor for Montpellier was the arrival of visitors from the (9)………………….. The introduction of the (10)………………….. meant that increasing numbers were able to come for short stays. Of these, a significant proportion decided to get a base in the city. The city council soon realised that they needed to provide appropriate (11)…………………………..for their new inhabitants. In fact, the (12)…………………..among them liked the more relaxed lifestyle so much that they took advantage of any (13)…………………..… arrangements offered by their firms to spend more of the week in Montpellier.

A urban centresB finance companiesC flexibleD tram line
E cosmopolitanF service industriesG capitalH high speed train
I infrastructureJ unskilled workersK jobsL medical technology
M professionalsN European UnionO amenitiesP middle age
Q overtimeR university

Reading passage 2

Psychological Value of Space


A What would a building space look and feel like if it were designed to promote psychological and social well- being? How would it affect the senses, the emotions, and the mind? How would it affect behavioral patterns? For insights, it is useful to look not at buildings, but at zoos. Zoo design has gone through a radical transformation in the past several decades. Cages have been replaced by natural habitats and geographic clustering of animals. In some places, the animals are free-ranging and the visitors are enclosed in buses or trains moving through the habitat. Animals now exist in mixed species exhibits more like their natural landscapes. And, as in nature, the animals have much greater control over their behavior. They can be on view if they want, or out of sight. They forage, play, rest, mate and act like normal animals.

B What brought about this transformation in philosophy and design? A key factor was concern over the animals’ psychological and social well-being. Zoos could keep animals alive, but they couldn’t make them flourish. Caged animals often exhibit neurotic behaviors—pacing, repetitive motions, aggression, and withdrawal. In one famous example, an animal psychologist was hired by the Central Park Zoo to study a polar bear that spent the day swimming in endless figure eights in its small pool. This was not normal polar bear behavior and the zoo was concerned about it. After several days of observation, the animal psychologist offered a diagnosis. The bear was bored. To compensate for this unfortunate situation, the zoo added amenities and toys to the bear’s enclosure to encourage exploration and play.

C Are there lessons that we can apply to building design? Some experts believe so: for example, biologist Stephen Boyden (1971) defines the optimum healthy environment as ‘the conditions which tend to promote or permit an animal optimal physiological, mental, and social performance in its natural or “evolutionary” environment.’ Because humans evolved in a natural landscape, it is reasonable to turn to the natural environment for clues about preference patterns that may be applicable to building design. Drawing on habitat selection theory, ecologist Gordon Orians argues that humans are psychologically adapted to and prefer landscape features that characterized the African plain or savannah, the presumed site of human evolution. Although humans now live in many different habitats, Orians argues that our species’ long history as mobile hunters and gatherers on the African savannahs should have left its mark on our psyche. If the ‘savannah hypothesis’ is true, we would expect to find that humans intrinsically like and find pleasurable environments that contain the key features of the savannah most likely to have aided our ancestors’ survival and well-being.

D Although Boyden distinguishes between survival and well-being needs, they often overlap. For example, people clearly need food for survival and health. However, food often serves as the basis for bonding and relationship development. The ritual of sitting around a fire on the savannah or in a cave telling stories of the day’s events and planning for tomorrow may be an ancient carryover from Homo sapiens’ hunting and gathering days. According to anthropologist Melvin Konner, the sense of safety and intimacy associated with the campfire may have been a factor in the evolution of intellectual progression as well as social bonds. Today’s hearth is the family kitchen at home, and the community places, such as cafes and coffee bars, where people increasingly congregate to eat, talk, read and work.

E A growing body of research shows that building environments that connect people to nature are more supportive of human emotional well-being and cognitive performance than environments lacking these features. For instance, research by Roger Ulrich consistently shows that passive viewing of nature through windows promotes positive moods. Similarly, research by Rachel Kaplan found that workers with window views of trees had a more positive outlook on life than those doing similar work but whose window looked out onto a parking lot. Connection to nature also provides mini mental breaks that may aid the ability to concentrate, according to research by Stephen Kaplan. Terry Hartig and colleagues report similar results in a field experiment. People in their study who went for a walk in a predominantly natural setting achieved better on several office tasks requiring concentration than those who walked in a predominantly built setting or who quietly read a magazine indoors.

F Studies of outdoor landscapes are providing evidence that the effects of nature on human health and well-being extend beyond emotional and cognitive functioning to social behavior and crime reduction. For instance, Francis Kuo found that outdoor nature buffers aggression in urban high- rise settings and enhances ability to deal with demanding circumstances. He also reported that planting trees in urban areas increases sociability by providing comfortable places for residents to talk with one another and develop friendships that promote mutual support.

G A natural perspective also contributes important insights into comfort maintenance. Because people differ from one another in many ways (genetics, cultures, lifestyles) their ambient preferences vary. Furthermore, a given person varies over time depending upon his or her state of health, activities, clothing levels, and so forth. For most of human history, people have actively managed their surroundings as well as their behaviors to achieve comfort. Yet buildings continue to be designed with a “one size fits all” approach. Very few buildings or workstations enable occupants to control lighting, temperature, ventilation rates, or noise conditions. Although the technology is largely available to do this, the personal comfort systems have not sold well in the market place, even though research by Walter Kroner and colleagues at Rensselaer Polytechnic Institute shows that personal control leads to significant increases in comfort and morale.



Questions 14-20
Reading Passage 2 has seven paragraphs, A – G.
Choose the correct heading for each paragraph from the list of headings below. Write the correct number i-x in boxes 14
-20 on your answer sheet.

List of Headings

i The influence of the seasons on productivity
ii A natural way to anger management
iii Natural building materials promote health
iv Learning from experience in another field
v Stimulating the brain through internal design features
vi Current effects on the species of ancient experiences
vii Uniformity is not the answer
viii The negative effects of restricted spaces
ix Improving occupational performance
x The modern continuation of ancient customs

14 Paragraph A
15 Paragraph B
16 Paragraph C
17 Paragraph D
18 Paragraph E
19 Paragraph F
20 Paragraph G

Questions 21-26. Look at the following people (Questions 21 – 26) and the list of theories below.
Match each person with the correct theory, A —I. Write the correct letter A-1 in boxes 21 -26 on your answer sheet.

21 Gordon Orians
22 Melvin Konner
23 Roger Ulrich
24 Stephen Kaplan
25 Francis Kuo
26 Walter Kroner

List of Theories

A Creating a green area can stimulate a sense of community.
B People need adequate living space in order to be healthy.
C Natural landscape can both relax and sharpen the mind.
D Cooking together is an important element in human bonding.
E People feel more at ease if they can adjust their environment.
F Looking at a green environment improves people’s spirits.
G Physical exercise improves creative thinking at work.
H Man’s brain developed partly through regular association with peers.
I We are drawn to places similar to the area where our species originated.

Reading passage 3

Ditching that Saintly Image


Charities, it is still widely believed, are separate from government, staffed entirely by volunteers and spend every penny donated on the cause they support. Noble stuff, but in most cases entirely wrong. Yet these misapprehensions underpin much of the trust and goodwill behind giving. And there is concern that such outdated perceptions could blow up in charities’ faces as people begin to discover what the voluntary sector is really about. High-profile international programmes of awareness-raising activities, such as Make Poverty History, have dragged the voluntary sector into the spotlight and shown charity workers to be as much business entrepreneurs as they are angels of mercy. But with the spotlight comes scrutiny, and unless charities present compelling cases for political campaigning, six-figure salaries and paying the expenses of celebrities who go on demanding trips to refugee camps for nothing, they may get bitten. ‘If people become more sceptical about how charities use their donations, they will be less inclined to give money,’ says Nick Aldridge, director of strategy at the Association of Chief Executives of Voluntary Organisations (ACEVO).

A wide range of initiatives have been undertaken to secure long-term trust in the sector by explaining what charities do and publishing the figures. But it’s still difficult to give donors a complete picture because, unlike profit-driven businesses, charities can’t measure achievement purely by the bottom line.

The report Funding Success suggests this might explain some of the communication difficulties charities face. Nevertheless, it suggests there are sound reasons for trying. Many funders, it claims, regard high overheads on, for example, premises, publicity and so on, that are properly accounted for, as a sign of an efficiently run organisation, rather than a waste of resources. Detailed reporting can be an important element in efforts to increase transparency. Better information might also unlock more money by highlighting social problems, and explaining what might be done to address them.

Some charities are already taking steps in this direction. The Royal National Institute for the Deaf (RNID) introduced annual impact reporting, to tell people about the effects of its work in a broader sense than an annual report would usually allow.

Each impact report looks back at what has been achieved over the previous 12 months and also states the charity’s aims for the year ahead. Brian Lamb, director of communications at the RNID, says the sector has been complacent about transparency because of the high level of trust it enjoys. ‘We have not been good at educating the public on issues such as why we do a lot of campaigning,’ he says. ‘But the more high-profile the sector becomes, the more people will ask questions.’

Baroness Onora O’Neill, chair of the Nuffield Foundation, says building trust goes deeper than providing information. She points out that the additional reporting and accounting requirements imposed on institutions across all sectors in recent years may have made them more transparent, but it has not made them more trusted. ‘… If we are to judge for ourselves, we need genuine communication in which we can question and observe, check and even challenge the evidence that others present.’ Laying out the evidence of what has been done, with all its shortcomings, may provide a rather better basis for placing – or refusing – trust than any number of glossy publications that trumpet unending success.

Not everyone thinks the public needs to be spoon-fed reams of information to maintain confidence. ‘There isn’t any evidence that there is a crisis of confidence in charities,’ says Cathy Pharoah, research director at the Charities Aid Foundation. The facts support her claim. In a Charity Commission report published in November last year, the public awarded charities 6.3 out of 10 on trust. Pharoah believes key donors are savvier than they are portrayed. ‘There is heavy dependence on middle-class donors for charity income, and I would be amazed if they didn’t realise charities had to pay to get professional staff,’ she says.

She believes the biggest threats to trust are the kind of scandals that blighted the Scottish voluntary sector in 2003. Two high-profile charities, Breast Cancer Research (Scotland) and Moonbeams, were exposed for spending a fraction of their profits on their causes. The revelations created intensely damaging media coverage. Even charity stalwarts were shocked by how quickly the coverage snowballed as two bad stories turned into a sector-wide crisis. ‘Those two incidents caused a media frenzy as journalists took every opportunity to undermine the sector,’ says Fiona Duncan, director of external affairs at Capability Scotland. After suffering a media grilling herself, Duncan launched Giving Scotland to redress the balance. Fourteen charities, plus the Scottish Council for Voluntary Organisations and the Institute of Fundraising Scotland, joined together to put out communications restoring confidence in charities. The Scottish Executive pledged £30,000 and, with donations from corporate supporters, the campaign was able to secure advertising worth £300,000 for a lightning two- week campaign over Christmas 2003.

Two months before the campaign was launched, The Herald newspaper published a poll revealing that 52 per cent of people were less likely to give because of the scandals. Giving Scotland did a similar poll in February 2004 and this time more than half of the population said they were more likely to consider giving because of the campaign. ‘We learned about strength in numbers and the importance of timing – because it was Christmas, we were able to get good coverage,’ says Duncan.

It was an effective rearguard campaign. The numerous proactive initiatives now underway across the UK give charities the chance to prevent the situation ever getting that bad again – but their success will depend on whether they are prepared to shed their saintly image and rally to the cause of creating a newer, bolder one.



Questions 27-33. Choose the correct letter; A, B, C or D. Write the correct letter in boxes 27-33 on your answer sheet.

27 What do we learn about charities in the first paragraph?
A People trust charities because they are approved by government.
B Not all the funds a charity receives go on practical aid for people.
C Charities do not disclose their systems for fear of losing official status.
D People who work for charities without pay are not fit for the job.

28 Why, in the writer’s view, is it hard for charities to inform the public properly?
A They calculate success differently from other businesses.
B They are unable to publish a true financial report.
C The amount of resources needed changes radically year by year.
D Donors may be disappointed if they see large profits in the accounts.

29 One of the conclusions of the report ‘Funding Success’ is that
A charities must cut down on any unnecessary expenditure.
B raising more money for their cause should be a charity’s main aim.
C charities should give the public an assessment of the results of their work.
D clarifying the reasons for administration costs would not dissuade donors.

30 Baroness O’Neill’s main recommendation is that charities should
A follow the current government requirements on reporting.
B encourage the public to examine and discuss the facts.
C publicise any areas in which they have been effective.
D make sure the figures are laid out as clearly as possible.

31 What is Cathy Pharoah most concerned about?
A the public’s adverse reaction to the money spent on charity personnel
B the effect on general donations if any charity misuses their funds
C the reliance of many charities on a single sector of the population
D the findings of a Charity Commission report on public confidence

32 Why does Fiona Duncan think the ‘Giving Scotland’ campaign succeeded?
A The message came over strongly because so many organisations united.
B People did not believe the critical stories that appeared in newspapers.
C Private donors paid for some advertising in the national press.
D People forgot about the scandals over the Christmas holidays.

33 The writer suggests that in the future, charities
A may well have to face a number of further scandals.
B will need to think up some new promotional campaigns.
C may find it hard to change the public’s perception of them.
D will lose the public’s confidence if they modernise their image.



Questions 34 – 40. Do the following statements agree with the information given in Reading Passage 3? In boxes 34 – 40 on your answer sheet, write
TRUE if the statement agrees with the information
FALSE if the statement contradicts the information
NOT GIVEN if there is no information on this.

34 Charity involvement in some prominent campaigns has meant that they are undergoing more careful examination by the public.

35 Famous people insist on a large fee if they appear for a charity.

36 The new RNID documents outline expected progress as well as detailing past achievements.

37 People have been challenging the RNID on their promotional activities.

38 The two charities involved in a scandal have altered their funding programmes.

39 Following the scandal, the media attacked the charity sector as a whole.

40 Charity donations in Scotland are now back to their pre-scandal level.


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The Way in Which Information is Taught IELTS READING

Reading passage 1

You should spend about 20 minutes on Questions 1-13, which are based on Reading Passage I below.

A. The way in which information is taught can vary greatly across cultures and time periods. Entering a British primary school classroom from the early 1900s, for example, one gains a sense of austerity, discipline, and a rigid way of teaching. Desks are typically seated apart from one another, with straight- backed wooden chairs that face directly to the teacher and the chalkboard. In the present day, British classrooms look very different. Desks are often grouped so that students face each other rather than the teacher, and a large floor area is typically set aside for the class to come together for group discussion and learning.

B. Traditionally, it was felt that teachers should be in firm control of the learning process and that the teacher’s task was to prepare and present material for students to understand. Within this approach, the relationship students have with their teachers is not considered important, nor is the relationship students have with each other in the classroom. A student’s participation in class is likely to be minimal, aside from asking questions directed at the teacher, or responding to questions that the teacher has directed at the student. This style encourages students to develop respect for positions of power as a source of control and discipline. It is frequently described as the “formal authority” model of teaching.

C. A less rigid form of teacher-centred education is the “demonstrator” model. This maintains the formal authority model’s notion of the teacher as a “flashlight” who illuminates the material for his or her class to learn, but emphasis a more individualized approach to form. The demonstrator acts as both a role model and a guide, demonstrating skills and processes and then helping students develop and apply these independently. Instructors who are drawn to the demonstrator style are generally confident that their own way of performing a task represents a good base model, but they are sensitive to different learning styles and expect to provide students with help on an individual basis.

D. Many education researchers argue for student-centred learning instead and suggest that the learning process is more successful when students are in control. Within the student-centred paradigm, the “delegator” style is popular. The delegator teacher maintains general authority, but they delegate much of the responsibility for learning to the class as a way for students to become independent thinkers who take pride in their own work. Students are often encouraged to work on their own or in groups, and if the delegator style is implemented successfully, they will build not only a working knowledge of course- specific topics but also self-discipline and the ability to coordinate group work and interpersonal roles.

E. Another style that emphasises student-centred education is the “facilitator” mode of learning. Here, while a set of specific curriculum demands is already in place, students are encouraged to take the initiative for creating ways to meet these learning requirements together. The teacher typically designs activities that encourage active learning, group collaboration, and problem-solving, and students are encouraged to process and apply the course content in creative and original ways. Whereas the delegator style emphasises content and the responsibility students can have for generating and directing their own knowledge base, the facilitator style emphasises form and the fluid and diverse possibilities that are available in the process of learning.

F. Until the 1960s, formal authority was common in almost all Western schools and universities. As a professor would enter a university lecture theatre, a student would be expected to rush up, take his bag to the desk, and pull out the chair for the professor to sit down on. This style has become outmoded over time. Now at university, students and professors typically have more relaxed, collegiate relationships, address each other on a first-name basis and acknowledge that students have much to contribute in class. Teacher-centred education has a lingering appeal in the form of the demonstrator style, however, which remains useful in subjects where skills must be demonstrated to an external standard and the learning process remains fixed in the earlier years of education. A student of mathematics, sewing or metalwork will likely be familiar with the demonstrator style. At the highest levels of education, however, the demonstrator approach must be abandoned in all fields as students are required to produce innovative work that makes unique contributions to knowledge. Thesis and doctoral students lead their own research in facilitation with supervisors.

G. The delegator style is valuable when the course is likely to lead students to careers that require group projects. Often, someone who has a high level of expertise in a particular field does not make for the best employee because they have not learnt to apply their abilities in a coordinated manner. The delegator style confronts this problem by recognizing that interpersonal communication is not just a means of learning but an important skillset in itself. The facilitator model is probably the most creative and is therefore, not suited to subjects where the practical component necessitates a careful and highly disciplined manner, such as training to be a medical practitioner. It may, however, suit more experimental and theoretical fields ranging from English, music, and the social sciences to science and medical research that takes place in research labs. In these areas, “mistakes” in the form are important and valuable aspects of the learning and development process.

H. Overall, a clear evolution has taken place in the West from a rigid, dogmatic, and teacher- dominated way of learning to a flexible, creative, and student-centred approach. Nevertheless, different subjects, ages, and skill levels suit different styles of teaching, and it is unlikely that there will ever be one recommended approach for everyone.



Questions 1-8

Look at the following statements (Questions 1-8) and the styles of teaching below.

Match each statement with the correct teaching style, A-D.
Write the correct letter, A-D, in boxes 1-8 on your answer sheet.

NB You may use any letter more than once.

1. The emphasis is on students directing the learning process.
2. The teacher shows the class how to do something, then students try it on their own.
3. Student-teacher interaction and student-student interaction is limited.
4. The emphasis is on the process of solving problems together.
5. Students are expected to adjust to the teacher’s way of presenting the information.
6. The teacher designs group activities that encourage constructive interaction.
7. Time is set aside for one-on-one instruction between teacher and student
8. Group and individual work are encouraged independently of the teacher.

List of Teaching Styles

A. Formal authority
B. Demonstrator
C. Delegator
D. Facilitator
Questions 9-12

Do the following statements agree with the information given in Reading Passage 1?
In boxes 9-12 on your answer sheet, write
TRUE, if the statement agrees with the information FALSE, if the statement contradicts with the information NOT GIVEN, if there is no information on this

9. The formal authority model remains popular in educational institutions of the West
10. The demonstrator model is never used at the tertiary level.
11. Graduates of delegator style teaching are good communicators.
12. The facilitator style is not appropriate in the field of medicine.

Question 13 Choose the correct letter. A, B, C or D. Write the correct letter in box 13 on your answer sheet.

13. What is the best title for Reading Passage 1?

A. Teaching styles and their application
B. Teaching: then and now
C. When students become teachers
D. Why student-centred learning is best



Reading Passage 2

You should spend about 20 minutes on Questions 14-26, which are based on Reading Passage 2 below.

The Flavour Industry


A. Read through the nutritional information on the food in your freezer, refrigerator or kitchen pantry, and you are likely to find a simple, innocuous-looking ingredient recurring on a number of products: “natural flavour”. The story of what natural flavour is, how it got into your food, and where it came from is the result of more complex processes than you might imagine.

B. During the 1980s, health watchdogs and nutritionists began turning their attention to cholesterol, a waxy steroid metabolite that we mainly consume from animal-sourced products such as cheese, egg yolks, beef, poultry, shrimp, and pork. Nutritionists blamed cholesterol for contributing to the growing rates of obesity, heart disease, diabetes, and several cancers in Western societies. As extensive recognition of the matter grew amongst the common people, McDonald’s stopped cooking their French fries in a mixture of cottonseed oil and beef tallow, and in 1990, the restaurant chain began using 100% vegetable oil instead.

C. This substantially lowered the amount of cholesterol in McDonald’s fries, but it created a new dilemma The beef tallow and cottonseed oil mixture gave the French fries high cholesterol content, but it also gifted them with a rich aroma and “mouth-feel” that even James Beard, an American food critic, admitted he enjoyed. Pure vegetable oil is bland in comparison. Looking at the current ingredients list of McDonald’s French fries, however, it is easy to see how they overcame this predicament. Aside from a few preservatives, there are essentially three main ingredients: potato, soybean oil, and the mysterious component of “natural flavour”.

D. Natural flavour also entered our diet through the rise in processed foods, which now make up over 90% (and growing) of the American diet, as well as representing a burgeoning industry in developing countries such as China and India Processed foods are essentially any foods that have been boxed, bagged, canned or packaged, and have a list of ingredients on the label. Sometimes, the processing involves adding a little sodium or sugar, and a few preservatives. Often, however, it is coloured, bleached, stabilized, emulsified, dehydrated, odour-concealed, and sweetened. This process typically saps any original flavour out of the product, and so, of course, flavour must be added back in as well.

E. Often this is “natural flavour”, but while the term may bring to mind images of fresh barley, hand- ground spices, and dried herbs being traded in a bustling street market, most of these natural sources are, in fact, engineered to culinary perfection in a set of factories and plants of the New Jersey Turnpike outside of New York. Here, firms such as International Flavors & Fragrances, Harmen & Keimer, Flavor Dynamics, Frutarom and Elan Chemical isolate and manufacture the tastes that are incorporated in much of what we eat and drink. The sweet, summery burst of naturally squeezed orange juice, the wood-smoked aroma in barbeque sauces, and the creamy, buttery, fresh taste in many dairy products do not come from sun-drenched meadows or backyard grills but are formed in the labs and test tubes of these flavour industry giants.

F. The scientists – dubbed “flavourists” who create the potent chemicals that set our olfactory senses to overdrive use a mix of techniques that have been refined over many years. Part of it is dense, intricate chemistry: spectrometers, gas chromatographs, and headspace-vapour analysers can break down components of a flavour in amounts as minute as one part per billion. Not to be outdone, however, the human nose can isolate aromas down to three parts per trillion. Flavourists, therefore, consider their work as much an art as a science, and flavourism requires a nose “trained” with a delicate and poetic sense of balance.

G. Should we be wary of the industrialisation of natural flavour? On its own, the trend may not present any clear reason for alarm. Nutritionists widely agree that the real assault on health in the last few decades stems from an “unholy trinity” of sugar, fat, and sodium in processed foods. The natural flavour on its own is not a health risk. It does play a role, however, in helping these processed foods to taste fresh and nutritious, even when they are not. So, while the natural flavour industry should not be considered the culprit, we might think of it as a willing accomplice.



Questions 14-21

Reading Passage 2 has seven paragraphs, A-G.

Which paragraph contains the following information?

Write the correct letter. A-G, in boxes 14-21 on your answer sheet.

NB You may use any letter more than once.

14. examples of companies that create natural flavours
15. an instance of a multinational franchise responding to public pressure
16. a statement on the health effects of natural flavours
17. an instance where a solution turns into a problem
18. a place in the home where one may encounter the term “natural flavour”
19. details about the transformation that takes place in processed grocery items
20. a comparison of personal and technological abilities in flavour detection
21. examples of diet-related health conditions

Questions 22-25
Do the following statements agree with the information given in Reading Passage 2?
TRUE, if the statement agrees with the information
FALSE, if the statement contradicts with the information
NOT GIVEN, if there is no information on this

22. On their own, vegetable oils do not have a strong flavour.
23. Soybean oil is lower in cholesterol than cottonseed oil.
24. Processed foods are becoming more popular in some Asian countries.
25. All food processing involves the use of natural flavours.

Question 26 Choose the correct letter. A B, C, or D.

26. The writer of Reading Passage 2 concludes that natural flavours …………………..
A. are the major cause of dietary health problems.
B. are unhealthy, but not as had as sugar, fat, and sodium.
C. have health benefits that other ingredients tend to cancel out.
D help make unhealthy foods taste better.

Reading Passage 3

You should spend about 20 minutes on Questions 27-40, which are based on Reading Passage 3 below.

Austerity Measures


A. Austerity measures are actions that a state undertakes in order to pay back its creditors. Those measures typically involve slashing government expenditure and hiking taxes, and most of the time, these are imposed on a country when its national deficit is believed to have become unsustainable. In this situation, banks may lose trust in the government’s ability or willingness to repay existing debts, and in return can refuse to roll over current loans and demand cripplingly excessive interest rates on new lending. Governments frequently then turn to the International Monetary Fund (IMF), an intergovernmental organization that functions as a lender of last resort. In return, the IMF typically demands austerity measures so that the indebted country is able to curtail its budget deficit and fulfil their loan obligations.

B. A wave of austerity measures across Europe in 2010 has seen cuts and freezes to pensions, welfare and public sector salaries as well as hikes to some taxes and excises. The Greek programme attempts to narrow its budget shortfall from 8.1 per cent of GDP in 2010 to 2.6 per cent of GDP in 2014 primarily by freezing public sector incomes during that period and reducing public sector allowances by 8 per cent. Additionally, VAT – the Greek sales tax – will be elevated to 23 per cent, and excises on fuel, tobacco, and alcohol arc also subject to an increase. The statutory retirement age for women will be raised to 65, matching it with the current retirement age for men. These reforms have been deeply unpopular in Greece, prompting a succession of general strikes that have further dented the economy.

C. IMF-imposed austerity measures have been indicted for encouraging the deep recession following the Asian financial crisis of 1997. Starting from the early 1990s, international investors from wealthier countries such as Japan and the United States began pouring money into Southeast Asia, looking to make some quick returns and the soaring economies of Thailand. Philippines, Malaysia and others earned themselves the title “the Asian tigers”. When things started to turn sour, however, the foreign investors panicked and retracted their investments in masses decimating Asian currencies and turning millions of employees out of work. The IMF’s role in the recovery was to impose austerity measures that kept interest rates high while driving down wages and the labour standards at a time when workers were already suffering. According to one former IMF economist, these interventions on a global scale have caused the deaths of 6 million children every year.

D. Many economists consequently view austerity measures as a terrible blunder. John Maynard Keynes was the first to propose an alternative method, long before the Asian financial crisis. Governments, he attempted to demonstrate, could conceivably spend their national economy out of debt. Although logically implausible at first blush, this argument is based on the notion that recessions deepen from a persistent cycle of low incomes, low consumer spending, and low business growth. A government can theoretically reverse this downward spiral by injecting the economy with much needed (albeit borrowed) capital. This is not equivalent to an indebted consumer spending further into the red, Keynes argued, because while the consumer gains no further income on that expenditure, the government’s dollar goes into the economy and then partially boomerangs later on in the form of taxation.

E. Nobel Prize-winning economist Joseph Stiglitz follows up on this approach by noting that households across the world are currently burdened with debt. For businesses to grow, he argues, government and consumer expenditure must kick in first. Austerity measures lower the spending capacity of households, and are, therefore, considered under-productive. Another recipient of the Nobel Prize, Paul Krugman points to the recent experiences of countries such as Ireland, Latvia and Estonia. Countries that implement austerity are the “good soldiers” of the crisis, he notes, implementing savage spending cuts. “But their reward has been a slump, and financial markets continue to treat them as serious default risk.”

F. In the United Kingdom, Prime Minister David Cameron defended the necessity of austerity measures for his country by denouncing the frivolity of governments that ratchet up spending at a time the economy is contracting. This is in line with the counter-Keynesian viewpoint, known broadly as the neoclassical position. Neoclassical economists argue that business is “inspired” by fiscally conservative governments, and this “confidence” helps re-ignite the economy. A British think-tank economist, Marshall Auerback, questions this line of thinking, wondering if Cameron suggests governments should only “ratchet up spending when the economy is growing”. This Auerback warns, should be avoided because it presents genuine inflationary dangers.

Questions 27-31 Complete the summary below.

Choose NO MORE THAN TWO WORDS from the passage for each answer. Write your answers in boxes 27- 31 on your answer sheet.

A government can undergo austerity measures by cutting spending and/or raising 27 ……………… If banks do not believe that a government will settle their debts, they may ask for 28……………… that are too high to pay back. In these cases, the IMF is sometimes prepared to lend money to these governments. One of the conditions of IMF loans is that recipient countries undergo austerity measures to reduce their 29……………… and repay any debts. The IMF has attracted criticism for its role in Asia after the 1997 financial crisis. The crisis was caused when international investors pulled their money out of the region at once, causing 30……………… to foil and unemployment to rise. The IMF’s austerity measures set conditions that lowered incomes and 31……………… These policies have caused great suffering
internationally.



Questions 32-35. Choose FOUR letters A—G. Write the correct letters in boxes 32-35 on your answer sheet.

Which FOUR items are identified as features of the Greek government’s austerity measure programme in 2010?

A. reducing public sector wages between 2010 and 2014
B. cutting allowances for public sector workers
C. raising the sales tax
D. making the compulsory retirement age the same for both genders
E. multiple general strikes
F. making cigarettes more expensive
G. eliminating the budget deficit

Questions 36-40. Look at the following people (Questions 36-40) and the list of statements below. Match each person with an appropriate statement, A—F. Write the correct letter A-F in boxes 36-40 on your answer sheet.

36. John Maynard Keynes

37. David Cameron

38. Marshall Auerback

39. Joseph Stiglitz

40. Paul Kingman


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The Value of a College Degree IELTS READING

Reading passage 1

Escalating cost of higher education is causing many to question the value of continuing education beyond high school. Many wonder whether the high cost of tuition, the opportunity cost of choosing college over full-time employment, and the accumulation of thousands of dollars of debt is, in the long run, worth the investment. The risk is especially large for low- income families who have a difficult time making ends meet without the additional burden of college tuition and fees.

In order to determine whether higher education is worth the investment, it is useful to examine what is known about the value of higher education and the rates of return on investment to both the individual and to society.

The Economic Value of Higher Education

There is considerable support for the notion that the rate of return on investment in higher education is high enough to warrant the financial burden associated with pursuing a college degree. Though the earnings differential between college and high school graduates varies over time, college graduates, on average, earn more than high school graduates. According to the Census Bureau, over an adult’s working life, high school graduates earn an average of $1.2 million; associate’s degree holders earn about $1.6 million; and bachelor’s degree holders earn about $2.1 million (Day and Newburger, 2002).

These sizeable differences in lifetime earnings put the costs of college study in realistic perspective. Most students today—about 80 percent of all students—enrol either in public four- year colleges or in public two-year colleges. According to the U.S. Department of Education report, Think College Early, a full-time student at a public four-year college pays an average of $8,655 for in-state tuition, room, and board (U.S. Department of Education, 2002). A full-time student in a public two-year college pays an average of $1,359 per year in tuition (U.S. Department of Education, 2002).

These statistics support the contention that, though the cost of higher education is significant, given the earnings disparity that exists between those who earn a bachelor’s degree and those who do not, the individual rate of return on investment in higher education is sufficiently high to warrant the cost.

Other Benefits of Higher Education

College graduates also enjoy benefits beyond increased income. A 1998 report published by the Institute for Higher Education Policy reviews the individual benefits that college graduates enjoy, including higher levels of saving, increased personal/professional mobility, improved quality of life for their offspring, better consumer decision making, and more hobbies and leisure activities (Institute for Higher Education Policy, 1998).

According to a report published by the Carnegie Foundation, non-monetary individual benefits of higher education include the tendency for post-secondary students to become more open-minded, more cultured, more rational, more consistent, and less authoritarian; these benefits are also passed along to succeeding generations (Rowley and Hurtado, 2002). Additionally, college attendance has been shown to “decrease prejudice, enhance knowledge of world affairs and enhance social status” while increasing economic and job security for those who earn bachelor’s degrees (Ibid.).

Research has also consistently shown a positive correlation between completion of higher education and good health, not only for oneself, but also for one’s children. In fact, “parental schooling levels (after controlling for differences in earnings) are positively correlated with the health status of their children” and Increased schooling (and higher relative income) are correlated with lower mortality rates for given age brackets” (Cohn and Geske, 1992).



The Social Value of Higher Education

A number of studies have shown a high correlation between higher education and cultural and family values, and economic growth. According to Elchanan Cohn and Terry Geske (1992), there is the tendency for more highly educated women to spend more time with their children; these women tend to use this time to better prepare their children for the future. Cohn and Geske (1992) report that “college graduates appear to have a more optimistic view of their past and future personal progress.”

Public benefits of attending college include increased tax revenues, greater workplace productivity, increased consumption, increased workforce flexibility, and decreased reliance on government financial support (Institute for Higher Education Policy, 1998)

Conclusion

While it is clear that investment in a college degree, especially for those students in the lowest income brackets, is a financial burden, the long-term benefits to individuals as well as to society at large, appear to far outweigh the costs.

Questions 1-4. Do the following statements agree with the information in Reading Passage 1? In boxes 1- 4 on your Answer Sheet, write

TRUE if the statement is true according to the passage.
FALSE if the statement contradicts the passage.
NOT GIVEN if there is no information about this in the passage.

1. The cost of a college education has remained steady for several years.
2. Some people have to borrow large amounts of money to pay for college.
3. About 80 percent of college students study at public colleges.
4. Public colleges cost less than private colleges.

Questions 5-9. Complete the fact sheet below.
Choose NO MORE THAN THREE WORDS from the passage for each answer

Financial Costs and Benefits of Higher Education

The average high school graduate makes a little more than one million dollars in 5………………….
The average person with an associate’s degree earns 6………………….
The average 7…………………. makes over two million dollars.
The average student at a four year college spends 8…………………. $ a year on classes, housing, and food.
The average student at a two-year college spends $1,359 on 9………………….

Questions 10-13
The list below shows some benefits which college graduates may enjoy more of as compared to non-college graduates. Which four of these benefits are mentioned in the article?
Write the appropriate letters A-G in boxes 10-13 on your Answer Sheet.

A They own bigger houses.
В They are more optimistic about their lives.
C They save more money.
D They enjoy more recreational activities.
E They have healthier children.
F They travel more frequently.
G They make more purchases.

Reading passage 2

Less Television, Less Violence and Aggression


Cutting back on television, videos, and video games reduces acts of aggression among schoolchildren, according to a study by Dr. Thomas Robinson and others from the Stanford University School of Medicine. The study, published in the January 2001 issue of the Archives of Pediatric and Adolescent Medicine, found that third- and fourth-grade students who took part in a curriculum to reduce their TV, video, and video game use engaged in fewer acts of verbal and physical aggression than their peers. The study took place in two similar San Jose, California, elementary schools. Students in one school underwent an 18-lesson, 6-month program designed to limit their media usage, while the others did not. Both groups of students had similar reports of aggressive behaviour at the beginning of the study. After the six-month program, however, the two groups had very real differences. The students who cut back on their TV time engaged in six fewer acts of verbal aggression per hour and rated 2.4 percent fewer of their classmates as aggressive after the program. Physical acts of violence, parental reports of aggressive behaviour, and perceptions of a mean and scary world also decreased, but the authors suggest further study to solidify these results.

Although many studies have shown that children who watch a lot of TV are more likely to act violently, this report further verifies that television, videos, and video games actually cause the violent behaviour, and it is among the first to evaluate a solution to the problem. Teachers at the intervention school included the program in their existing curriculum. Early lessons encouraged students to keep track of and report on the time they spent watching TV or videos, or playing Video games, to motivate them to limit those activities on their own. The initial lessons were followed by TV-Turnoff, an organisation that encourages less TV viewing. For ten days, students were challenged to go without television, videos, or video games. After that, teachers encouraged the students to stay within a media allowance of seven hours per week. Almost all students participated in the Turnoff, and most stayed under their budget for the following weeks. Additional lessons encouraged children to use their time more selectively, and many of the final lessons had students themselves advocate reducing screen activities.

This study is by no means the first to find a link between television and violence. Virtually all of 3,500 research studies on the subject in the past 40 years have shown the same relationship, according to the American Academy of Pediatrics. Among the most noteworthy studies is Dr. Leonard D. Eron’s, which found that exposure to television violence in childhood is the strongest predictor of aggressive behaviour later in life—stronger even than violent behaviour as children. The more violent television the subjects watched at age eight, the more serious was their aggressive behaviour even 22 years later. Another study by Dr. Brandon S. Centerwall found that murder rates climb after the introduction of television. In the United States and

Canada, murder rates doubled 10 to 15 years after the introduction of television, after the first TV generation grew up.
Centerwall tested this pattern in South Africa, where television broadcasts were banned until 1975. Murder rates in South Africa remained relatively steady from the mid-1940s through the mid- 1970s. By 1987, however, the murder rate had increased 130 percent from its 1974 level. The murder rates in the United States and Canada had levelled off in the meantime.

Centerwall’s study implies that the medium of television, not just the content, promotes violence and the current study by Dr. Robinson supports that conclusion. The Turnoff did not specifically target violent television, nor did the following allowance period. Reducing television in general reduces aggressive behaviour. Even television that is not “violent” is more violent than real life and may lead viewers to believe that violence is funny, inconsequential, and a viable solution to problems. Also, watching television of any content robs us of the time to interact with real people. Watching too much TV may inhibit the skills and patience we need to get along with others without resorting to aggression. TV, as a medium, promotes aggression and violence. The best solution is to turn it off.

Questions 14-20
Complete the summary using words from the box below. Write your answers in boxes 14- 20 on your Answer Sheet.

parents
teachers
six months
violently
watched TV
scared
less TV
eighteen days
classmates
nonviolent programs
time of day
number of hours
avoided TV
favourite programs

A study that was published in January 2001 found that when children 14………………….. less, they behaved less 15………………….. . Students in a California elementary school participated in the study, which lasted 16………………….. . By the end of the study, the children’s behaviour had changed. For example, the children’s 17………………….. reported that the children were acting less violently than before. During the study, the children kept a record of the 18………………….. they watched TV. Then, for ten days, they 19………………….. . Near the end of the study, the students began to suggest watching 20………………….. .

Questions 21-24. Do the following statements agree with the information in Reading Passage 2? In boxes 21-24 write
TRUE if the statement is true according to the passage.
FALSE if the statement contradicts the passage.
NOT GIVEN if there is no information about this in the passage.

21. Only one study has found a connection between TV and violent behaviour.
22. There were more murders in Canada after people began watching TV.
23. The United States has more violence on TV than other countries.
24. TV was introduced in South Africa in the 1940s.

Questions 25 and 26. For each question, choose the correct letter A-D and write it in boxes 25 and 26 on your Answer Sheet.

25. According to the passage,
A only children are affected by violence on TV.
В only violent TV programs cause violent behaviour.
C children who watch too much TV get poor grades in school.
D watching a lot of TV may keep us from learning important social skills.

26. The authors of this passage believe that A some violent TV programs are funny. A some violent TV programs are funny
В the best plan is to stop watching TV completely.
C it’s better to watch TV with other people than on your own.
D seven hours a week of TV watching is acceptable

Reading Passage 3

You should spend about 20 minutes on Questions 27-40, which are based on Reading Passage 3 below.

Issues Affecting the South Resident Orcas


A
Orcas, also known as killer whales, are opportunistic feeders, which means they will take a variety of different prey species. J, K, and L pods (specific groups of orcas found in the region) are almost exclusively fish eaters. Some studies show that up to 90 percent of their diet is salmon, with Chinook salmon being far and away their favourite. During the last 50 years, hundreds of wild runs of salmon have become extinct due to habitat loss and overfishing of wild stocks. Many of the extinct salmon stocks are the winter runs of Chinook and coho. Although the surviving stocks have probably been sufficient to sustain the resident pods, many of the runs that have been lost were undoubtedly traditional resources favoured by the resident orcas. This may be affecting the whales’ nutrition in the winter and may require them to change their patterns of movement in order to search for food.


Other studies with tagged whales have shown that they regularly dive up to 800 feet in this area.Researchers tend to think that during these deep dives the whales may be feeding on bottomfish. Bottomfish species in this area would include halibut, rockfish, lingcod, and greenling. Scientists estimate that today’s lingcod population in northern Puget Sound and the Strait of Georgia is only 2 percent of what it was in 1950. The average size of rockfish in the recreational catch has also declined by several inches since the 1970s, which is indicative of overfishing. In some locations, certain rockfish species have disappeared entirely. So even if bottomfish are not a major food resource for the whales, the present low numbers of available fish increases the pressure on orcas and all marine animals to find food. (For more information on bottomfish see the San Juan County Bottomfish Recovery Program.)

B
Toxic substances accumulate in higher concentrations as they move up the food chain. Because orcas t are the top predator in the ocean and are at the top of several different food chains in the environment, they tend to be more affected by pollutants than other sea creatures.
Examinations of stranded killer whales have shown some extremely high levels of lead, mercury, and polychlorinated hydrocarbons. Abandoned marine toxic waste dumps and present levels of industrial and human refuse pollution of the inland waters probably presents the most serious threat to the continued existence of this orca population. Unfortunately, the total remedy to this huge problem would be broad societal changes on many fronts. But because of the fact that orcas are so popular, they may be the best species to use as a focal point in bringing about the many changes that need to be made in order to protect the marine environment as a whole from further toxic poisoning.

C
The waters around the San Juan Islands are extremely busy due to international commercial shipping, fishing, whale watching, and pleasure boating. On a busy weekend day in the summer, it is not uncommon to see numerous boats in the vicinity of the whales as they travel through the area. The potential impacts from all this vessel traffic with regard to the whales and other marine animals in the area could be tremendous.
The surfacing and breathing space of marine birds and mammals is a critical aspect of their habitat, which the animals must consciously deal with on a moment-to-moment basis throughout their lifetimes. With all the boating activity in the vicinity, there are three ways in which surface impacts are most likely to affect marine animals: (a) collision, (b) collision avoidance, and (c) exhaust emissions in breathing pockets.

The first two impacts are very obvious and don’t just apply to vessels with motors. Kayakers even present a problem here because they’re so quiet. Marine animals, busy hunting and feeding under the surface of the water, may not be aware that there is a kayak above them and actually hit the bottom of it as they surface to breathe. The third impact is one most people don’t even think of. When there are numerous boats in the area, especially idling boats, there are a lot of exhaust fumes being spewed out on the surface of the water. When the whale comes up to take a nice big breath of “fresh” air, it instead gets a nice big breath of exhaust fumes. It’s hard to say how greatly this affects the animals, but think how breathing polluted air affects us (i.e., smog in large cities like Los Angeles, breathing the foul air while sitting in traffic jams, etc).

D
Similar to surface impacts, a primary source of acoustic pollution for this population of orcas would also be derived from the cumulative underwater noise of vessel traffic. For cetaceans, the underwater sound environment is perhaps the most critical component of their sensory and behavioural lives. Orcas communicate with each other over short and long distances with a variety of clicks, chirps, squeaks, and whistles, along with using echolocation to locate prey and to navigate. They may also rely on passive listening as a primary sensory source. The long-term impacts from noise pollution would not likely show up as noticeable behavioural changes in habitat use, but rather as sensory damage or gradual reduction in population health. A new study at The Whale Museum called the Sea-Sound Remote Sensing Network has begun studying underwater acoustics and its relationship to orca communication.

Questions 27-30. Reading Passage 3 has four sections (A-D). Choose the most suitable heading for each section from the list of headings below.

List of Headings

27. Section A
28. Section B
29. Section C
30. Section D
I Top Ocean Predators
II Toxic Exposure
III Declining Fish Populations
IV Pleasure Boating in the San Juan Islands w Underwater Noise
V Underwater Noise
VI Smog in Large Cities
VII Impact of Boat Traffic

Write the appropriate number (I-VII) in boxes 27-30 on your Answer Sheet. There are more headings than sections, so you will not use all of them.

Questions 31-32 For each question, choose the appropriate letter A-D and write it in boxes 31 and 32 on your Answer Sheet

31. Killer whales (orcas) in the J, K, and L pods prefer to eat
A halibut.
В a type of salmon.
C a variety of animals.
D fish living at the bottom of the sea.

32. Some groups of salmon have become extinct because
A they have lost places to live.
В whales have eaten them.
C they don’t get good nutrition.
D the winters in the area are too cold.



Questions 33-40 Complete the chart below.
Choose NO MORE THAN THREE WORDS tor each answer. Write your answers in boxes 33-40 on your Answer Sheet.

CauseEffect
Scientists believe some whales feed 33…………………… These whales dive very deep.
Scientists believe that the area is being overfished. Rockfish caught today is 34…………………… than rockfish caught in the past
Orcas are at the top of the ocean food chain 35…………………… affects orcas more than it does other sea animals
Orcas are a 36………………….. species We can use orcas to make society aware of the problem of marine pollution
People enjoy boating, fishing, and whale watching in the San Juan Islands On weekends there are 37………………….. near the whales
Kayaks are 38…………………..
Marine animals hit them when they come up for air
A lot of boats keep their motors running Whales breathe 39…………………..
Boats are noisyWhales have difficulty 40…………………..

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THE RETURN OF THE HUARANGO IELTS READING

Reading passage 1

The south coast of Peru is a narrow, 2,000-kilometre-long strip of desert squeezed between the Andes and the Pacific Ocean. It is also one of the most fragile ecosystems on Earth. It hardly ever rains there, and the only year-round source of water is located tens of metres below the surface. This is why the huarango tree is so suited to life there: it has the longest roots of any tree in the world. They stretch down 50-80 metres and, as well as sucking up water for the tree, they bring it into the higher subsoil, creating a water source for other plant life.

Dr David Beresford-Jones, archaeobotanist at Cambridge University, has been studying the role of the huarango tree in landscape change in the Lower lea Valley in southern Peru. He believes the huarango was key to the ancient people’s diet and, because it could reach deep water sources, it allowed local people to withstand years of drought when their other crops failed. But over the centuries huarango trees were gradually replaced with crops. Cutting down native woodland leads to erosion, as there is nothing to keep the soil in place. So when the huarangos go, the land turns into a desert. Nothing grows at all in the Lower lea Valley now.

For centuries the huarango tree was vital to the people of the neighbouring Middle lea Valley too. They grew vegetables under it and ate products made from its seed pods. Its leaves and bark were used for herbal remedies, while its branches were used for charcoal for cooking and heating, and its trunk was used to build houses. But now it is disappearing rapidly. The majority of the huarango forests in the valley have already been cleared for fuel and agriculture – initially, these were smallholdings, but now they’re huge farms producing crops for the international market.

‘Of the forests that were here 1,000 years ago, 99 per cent have already gone,’ says botanist Oliver Whaley from Kew Gardens in London, who, together with ethnobotanist Dr William Milliken, is rumiing a pioneering project to protect and restore the rapidly disappearing habitat. In order to succeed, Whaley needs to get the local people on board, and that has meant overcoming local prejudices. ‘Increasingly aspirational communities think that if you plant food trees in your home or street, it shows you are poor, and still need to grow your own food,’ he says. In order to stop the Middle lea Valley going the same way as the Lower lea Valley, Whaley is encouraging locals to love the huarangos again. ‘It’s a process of cultural resuscitation,’ he says. He has already set up a huarango festival to reinstate a sense of pride in their eco- heritage, and has helped local schoolchildren plant thousands of trees.

‘In order to get people interested in habitat restoration, you need to plant a tree that is useful to them,’ says Whaley. So, he has been working with local families to attempt to create a sustainable income from the huarangos by turning their products into foodstuffs. ‘Boil up the beans and you get this thick brown syrup like molasses. You can also use it in drinks, soups or stews.’ The pods can be ground into flour to make cakes, and the seeds roasted into a sweet, chocolatey ‘coffee’. ‘It’s packed full of vitamins and minerals,’ Whaley says.

And some farmers are already planting huarangos. Alberto Benevides, owner of lea Valley’s only certified organic farm, which Whaley helped set up, has been planting the tree for 13 years. He produces syrup and flour, and sells these products at an organic farmers’ market in Lima. His farm is relatively small and doesn’t yet provide him with enough to live on, but he hopes this will change. ‘The organic market is growing rapidly in Peru,’ Benevides says. ‘I am investing in the future.’

But even if Whaley can convince the local people to fall in love with the huarango again, there is still the threat of the larger farms. Some of these cut across the forests and break up the corridors that allow the essential movement of mammals, birds and pollen up and down the narrow forest strip. In the hope of counteracting this, he’s persuading farmers to let him plant forest corridors on their land. He believes the extra woodland will also benefit the farms by reducing their water usage through a lowering of evaporation and providing a refuge for bio- control insects.

‘If we can record biodiversity and see how it all works, then we’re in a good position to move on from there. Desert habitats can reduce down to very little,’ Whaley explains. ‘It’s not like a rainforest that needs to have this huge expanse. Life has always been confined to corridors and islands here. If you just have a few trees left, the population can grow up quickly because it’s used to exploiting water when it arrives.’ He sees his project as a model that has the potential to be rolled out across other arid areas around the world. ‘If we can do it here, in the most fragile system on Earth, then that’s a real message of hope for lots of places, including Africa, where there is drought and they just can’t afford to wait for rain.’



Questions 1-5
Complete the notes below. Choose ONE WORD ONLY from the passage for each answer.

The importance of the huarango tree

• its roots can extend as far as 80 metres into the soil
• can access (1)……………….. deep below the surface
• was a crucial part of local inhabitants’ (2) ……………….. a long time ago
• helped people to survive periods of (3) ………………..
• prevents (4)……………….. of the soil
• prevents land from becoming a (5) ……………..

Questions 6-8
Complete the table below. Choose NO MORE THAN TWO WORDS from the passage for each answer.

Traditional uses of huarango tree
Part of treeTraditional use
6……………………….Fuel
7…………………….. and …………………..Medicine
8………………………Construction

Questions 9-13
Do the following statements agree with the information given in Reading Passage 1? In boxes 9-13, write

TRUE if the statement agrees with the information
FALSE if the statement contradicts the information
NOT GIVEN if there is no information on this

9. Local families have told Whaley about some traditional uses of huarango products.
10. Farmer Alberto Benevides is now making a good profit from growing huarangos.
11. Whaley needs the co-operation of farmers to help preserve the area’s wildlife.
12. For Whaley’s project to succeed, it needs to be extended over a very large area.
13. Whaley has plans to go to Africa to set up a similar project.


Reading passage 2


Silbo Gomero – the whistle ‘language’ of the Canary Islands

La Gomera is one of the Canary Islands situated in the Atlantic Ocean off the northwest coast of Africa. This small volcanic island is mountainous, with steep rocky slopes and deep, wooded ravines, rising to 1,487 metres at its highest peak. It is also home to the best known of the world’s whistle languages’, a means of transmitting information over long distances which is perfectly adapted to the extreme terrain of the island.

This ‘language’, known as ‘Silbo’ or ‘Silbo Gomero’ – from the Spanish word for ‘whistle’ – is now shedding light on the language-processing abilities of the human brain, according to scientists. Researchers say that Silbo activates parts of the brain normally associated with spoken language, suggesting that the brain is remarkably flexible in its ability to interpret sounds as language.

‘Science has developed the idea of brain areas that are dedicated to language, and we are starting to understand the scope of signals that can be recognised as language,’ says David Corina, co-author of a recent study and associate professor of psychology at the University of Washington in Seattle.

Silbo is a substitute for Spanish, with individual words recoded into whistles which have high- and low- frequency tones. A whistler – or silbador – puts a finger in his or her mouth to increase the whistle’s pitch, while the other hand can be cupped to adjust the direction of the sound. ‘There is much more ambiguity in the whistled signal than in the spoken signal,’ explains lead researcher Manuel Carreiras, psychology professor at the University of La Laguna on the Canary island of Tenerife. Because whistled ‘words’ can be hard to distinguish, silbadores rely on repetition, as well as awareness of context, to make themselves understood.

The silbadores of Gomera are traditionally shepherds and other isolated mountain folk, and their novel means of staying in touch allows them to communicate over distances of up to 10 kilometres. Carreiras explains that silbadores are able to pass a surprising amount of information via their whistles. ‘In daily life they use whistles to communicate short commands, but any Spanish sentence could be whistled.’ Silbo has proved particularly useful when fires have occurred on the island and rapid communication across large areas has been vital.

The study team used neuroimaging equipment to contrast the brain activity of silbadores while listening to whistled and spoken Spanish. Results showed the left temporal lobe of the brain, which is usually associated with spoken language, was engaged during the processing of Silbo. The researchers found that other key regions in the brain’s frontal lobe also responded to the whistles, including those activated in response to sign language among deaf people. When the experiments were repeated with non- whistlers, however, activation was observed in all areas of the brain.

‘Our results provide more evidence about the flexibility of human capacity for language in a variety of forms,’ Gorina says. ‘These data suggest that left-hemisphere language regions are uniquely adapted for communicative purposes, independent of the modality of signal. The non- Silbo speakers were not recognising Silbo as a language. They had nothing to grab onto, so multiple areas of their brains were activated.’

Carreiras says the origins of Silbo Gomero remain obscure, but that indigenous Canary Islanders, who were of North African origin, already had a whistled language when Spain conquered the volcanic islands in the 15th century Whistled languages survive-today in Papua New Guinea, Mexico, Vietnam, Guyana, China, Nepal, Senegal, and a few mountainous pockets in southern Europe. There are thought to be as many as 70 whistled languages still in use, though only 12 have been described and studied scientifically. This form of communication is an adaptation found among cultures where people are often isolated from each other, according to Julien Meyer, a researcher at the Institute of Human Sciences in Lyon, France. ‘They are mostly used in mountains or dense forests,’ he says. ‘Whistled languages are quite clearly defined and represent an original adaptation of the spoken language for the needs of isolated human groups.’

But with modern communication technology now widely available, researchers say whistled languages like Silbo are threatened with extinction. With dwindling numbers of Gomera islanders still fluent in the language, Canaries’ authorities are taking steps to try to ensure its survival. Since 1999, Silbo Gomero has been taught in all of the island’s elementary schools. In addition, locals are seeking assistance from the United Nations Educational, Scientific and Cultural Organization (UNESCO). ‘The local authorities are trying to get an award from the organisation to declare (Silbo Gomero) as something that should be preserved for humanity,’ Carreiras adds.



Questions 14-19
Do the following statements agree with the information given in Reading Passage 2? In boxes 14-19, write
TRUE if the statement agrees with the information
FALSE if the statement contradicts the information
NOT GIVEN if there is no information on this

14. La Gomera is the most mountainous of all the Canary Islands.
15. Silbo is only appropriate for short and simple messages.
16. In the brain-activity study, silbadores and non-whistlers produced different results.
17. The Spanish introduced Silbo to the islands in the 15th century.
18. There is precise data available regarding all of the whistle languages in existence today.
19. The children of Gomera now learn Silbo.

Questions 20-26
Complete the notes below. Choose ONE WORD ONLY from the passage for each answer.

Silbo Gomero

How Silbo is produced
• high- and low-frequency tones represent different sounds in Spanish (20) ………………
• pitch of whistle is controlled using silbador’s (21) ………………
• (22)………………… is changed with a cupped hand

How Silbo is used
• has long been used by shepherds and people living in secluded locations
• in everyday use for the transmission of brief (23) ……………..
• can relay essential information quickly, e.g. to inform people about (24) ……………..

The future of Silbo
• future under threat because of new (25) ………………
• Canaries’ authorities hoping to receive a UNESCO (26)……………….. to help preserve it



Reading passage 3

Environmental practices of big businesses

The environmental practices of big businesses are shaped by a fundamental fact that for many of us offends our sense of justice. Depending on the circumstances, a business may maximize the amount of money it makes, at least in the short term, by damaging the environment and hurting people. That is still the case today for fishermen in an unmanaged fishery without quotas, and for international logging companies with short-term leases on tropical rainforest land in places with corrupt officials and unsophisticated landowners. When government regulation is effective, and when the public is environmentally aware, environmentally clean big businesses may out-compete dirty ones, but the reverse is likely to be true if government regulation is ineffective and if the public doesn’t care.

It is easy for the rest of us to blame a business for helping itself by hurting other people. But blaming alone is unlikely to produce change. It ignores the fact that businesses are not charities but profit-making companies, and that publicly owned companies with shareholders are under obligation to those shareholders to maximize profits, provided that they do so by legal means. US laws make a company’s directors legally liable for something termed ‘breach of fiduciary responsibility’ if they knowingly manage a company in a way that reduces profits. The car manufacturer Henry Ford was in fact successfully sued by shareholders in 1919 for raising the minimum wage of his workers to $5 per day: the courts declared that, while Ford’s humanitarian sentiments about his employees were nice, his business existed to make profits for its stockholders.

Our blaming of businesses also ignores the ultimate responsibility of the public for creating the conditions that let a business profit through destructive environmental policies. In the long run, it is the public, either directly or through its politicians, that has the power to make such destructive policies unprofitable and illegal, and to make sustainable environmental policies profitable.

The public can do that by suing businesses for harming them, as happened after the Exxon Valdez disaster, in which over 40,000 m3 of oil were spilled off the coast of Alaska. The public may also make their opinion felt by preferring to buy sustainably harvested products; by making employees of companies with poor track records feel ashamed of their company and complain to their own management; by preferring their governments to award valuable contracts to businesses with a good environmental track record; and by pressing their governments to pass and enforce laws and regulations requiring good environmental practices.

In turn, big businesses can exert powerful pressure on any suppliers that might ignore public or government pressure. For instance, after the US public became concerned about the spread of a disease known as BSE, which was transmitted to humans through infected meat, the US government’s Food and Drug Administration introduced rules demanding that the meat industry abandon practices associated with the risk of the disease spreading. But for five years the meat packers refused to follow these, claiming that they would be too expensive to obey.

However, when a major fast-food company then made the same demands after customer purchases of its hamburgers plummeted, the meat industry complied within weeks. The public’s task is therefore to identify which links in the supply chain are sensitive to public pressure: for instance, fast-food chains or jewelry stores, but not meat packers or gold miners.

Some readers may be disappointed or outraged that I place the ultimate responsibility for business practices harming the public on the public itself. I also believe that the public must accept the necessity for higher prices for products to cover the added costs, if any, of sound environmental practices. My views may seem to ignore the belief that businesses should act in accordance with moral principles even if this leads to a reduction in their profits. But I think we have to recognize that, throughout human history, in all politically complex human societies, government regulation has arisen precisely because it was found that not only did moral principles need to be made explicit, they also needed to be enforced.

To me, the conclusion that the public has the ultimate responsibility for the behavior of even the biggest businesses is empowering and hopeful, rather than disappointing. My conclusion is not a moralistic one about who is right or wrong, admirable or selfish, a good guy or a bad guy. In the past, businesses have changed when the public came to expect and require different behavior, to reward businesses for behavior that the public wanted, and to make things difficult for businesses practicing behaviors that the public didn’t want. I predict that in the future, just as in the past, changes in public attitudes will be essential for changes in businesses’ environmental practices.



Questions 27-31
Complete the summary using the list of words, A-I, below.

Big businesses

Many big businesses today are prepared to harm people and the environment in order to make money, and they appear to have no (27)…………………. Lack of (28)………………. by governments and lack of public (29)……………….. can lead to environmental problems such as (30)………………. or the destruction of (31)……………

A funding
B trees
C rare species
D moral standards
E control
F involvement
G flooding
H overfishing
I worker support

Questions 32-34
Choose the correct letter, A, B, C or D.
32. The main idea of the third paragraph is that environmental damage

A requires political action if it is to be stopped.
B is the result of ignorance on the part of the public.
C could be prevented by the action of ordinary people.
D can only be stopped by educating business leaders.

33. In the fourth paragraph, the writer describes ways in which the public can

A reduce their own individual impact on the environment.
B learn more about the impact of business on the environment.
C raise awareness of the effects of specific environmental disasters.
D influence the environmental policies of businesses and governments.

34. What pressure was exerted by big business in the case of the disease BSE?

A Meat packers stopped supplying hamburgers to fast-food chains.
B A fast-food company forced their meat suppliers to follow the law.
C Meat packers persuaded the government to reduce their expenses.
D A fast-food company encouraged the government to introduce legislation.



Questions 35-39
Do the following statements agree with the claims of the writer in Reading Passage 3? In boxes 35-39, write

YES if the statement agrees with the claims of the writer
NO if the statement contradicts the claims of the writer
NOT GIVEN if it is impossible to say what the writer thinks about this

35. The public should be prepared to fund good environmental practices.

36. There is a contrast between the moral principles of different businesses.

37. It is important to make a clear distinction between acceptable and unacceptable behaviour.

38. The public have successfully influenced businesses in the past.

39. In the future, businesses will show more concern for the environment.

Question 40

Choose the correct letter, A, B, C or B.

40. What would be the best subheading for this passage?

A Will the world survive the threat caused by big businesses?
B How can big businesses be encouraged to be less driven by profit?
C What environmental dangers are caused by the greed of businesses?
D Are big businesses to blame for the damage they cause the environment?

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THE MAGIC OF KEFIR IELTS READING

Reading passage 1

A. The shepherds of the North Caucasus region of Europe were only trying to transport milk the best way they knew how – in leather pouches strapped to the side of donkeys – when they made a significant discovery. A fermentation process would sometimes inadvertently occur en route, and when the pouches were opened upon arrival they would no longer contain milk but rather a pungent, effervescent, low alcoholic substance instead. This unexpected development was a blessing in disguise. The new drink – which acquired the name kefir – turned out to be a health tonic, a naturally-preserved dairy product and tasty addition to our culinary repertoire.

B. Although their exact origin remains a mystery, we do know that yeast-based kefir grains have always been at the root of the kefir phenomenon. These grains are capable of a remarkable feat: in contradistinction to most other items you might find in a grocery store, they actually expand and propagate with use. This is because the grains, which are granular to the touch and bear a slight resemblance to cauliflower rosettes, house active cultures that feed on lactose when added to milk. Consequently, a bigger problem for most kefir drinkers is not where to source new kefir grains, but what to do with the ones they already have!

C. The great thing about kefir is that it does not require a manufacturing line in order to be produced. Grains can be simply thrown in with a batch of milk for ripening to begin. The mixture then requires a cool, dark place to live and grow, with periodic unsettling to prevent clumping (Caucasus inhabitants began storing the concoction in animal-skin satchels on the back of doors – every time someone entered the room the mixture would get lightly shaken). After about 24 hours the yeast cultures in the grains have multiplied and devoured most of the milk sugars, and the final product is then ready for human consumption.

D. Nothing compares to a person’s first encounter with kefir. The smooth, uniform consistency rolls over the tongue in a manner akin to liquefied yogurt. The sharp, tart pungency of unsweetened yogurt is there too, but there is also a slight hint of effervescence, something most users will have previously associated only with mineral waters, soda or beer. Kefir also comes with a subtle aroma of yeast, and depending on the type of milk and ripening conditions, ethanol content can reach up to two or three percent – about on par with a decent lager – although you can expect around 0.8 to one per cent for a typical day-old preparation. This can bring out a tiny edge of alcohol in the kefir’s flavour.

E. Although it has prevailed largely as a fermented milk drink, over the years kefir has acquired a number of other uses. Many bakers use it instead of starter yeast in the preparation of sourdough, and the tangy flavour also makes kefir an ideal buttermilk substitute in pancakes. Kefir also accompanies sour cream as one of the main ingredients in cold beetroot soup and can be used in lieu of regular cow’s milk on granola or cereal. As a way to keep their digestive systems fine-tuned, athletes sometimes combine kefir with yoghurt in protein shakes.

F. Associated for centuries with pictures of Slavic babushkas clutching a shawl in one hand and a cup of kefir in the other, the unassuming beverage has become a minor celebrity of the nascent health food movement in the contemporary West. Every day, more studies pour out supporting the benefits of a diet high in probiotics1. This trend toward consuming probiotics has engulfed the leisure classes in these countries to the point that it is poised to become, according to some commentators, “the next multivitamin”. These days the word kefir is consequently more likely to bring to mind glamorous, yoga mat-toting women from Los Angeles than austere visions of blustery Eastern Europe.

G. Kefir’s rise in popularity has encouraged producers to take short cuts or alter the production process. Some home users have omitted the ripening and culturation process while commercial dealers often add thickeners, stabilisers and sweeteners. But the beauty of kefir is that, at its healthiest and tastiest, it is a remarkably affordable, uncluttered process, as any accidental invention is bound to be. All that is necessary are some grains, milk and a little bit of patience. A return to the unadulterated kefir-making of old is in everyone’s interest.

1 Probiotic = substance containing beneficial and intestine-friendly microorganisms



Questions 1-7. Reading Passage 1 has seven paragraphs, A–G. Choose the correct heading for each paragraph from the list of headings below. Write the correct number, i–x, in boxes 1–7 on your answer sheet.

List of Headings

i A unique sensory experience
ii Getting back to basics
iii The gift that keeps on giving
iv Variations in alcohol content
v Old methods of transportation
vi Culinary applications
vii Making kefir
viii A fortunate accident
ix Kefir gets an image makeover
x Ways to improve taste


1 Section A
2 Section B
3 Section C
4 Section D
5 Section E
6 Section F
7 Section G

QUESTIONS 8–11. Answer the questions below using NO MORE THAN TWO WORDS from the passage for each answer. Write your answers in boxes 8–11 on your answer sheet.

8 What do kefir grains look like?
9 What needs to happen to kefir while it is ripening?
10 What will the yeast cultures have consumed before kefir is ready to drink?
11 The texture of kefir in the mouth is similar to what?
Questions 12 and 13 Choose TWO letters, A–E. Write the correct letters in boxes 12 and 13 on your answer sheet.

Which TWO products are NOT mentioned as things which kefir can replace?

A Ordinary cow’s milk
B Buttermilk
C Sour cream
D Starter yeast
E Yoghurt

Reading passage 2.

You should spend about 20 minutes on Questions 14-26 which are based on Reading Passage 2 below.

FOOD FOR THOUGHT


A. Why not eat insects? So asked British entomologist Vincent M. Holt in the title of his 1885 treatise on the benefits of what he named entomophagy – the consumption of insects (and similar creatures) as a food source. The prospect of eating dishes such as “wireworm sauce” and “slug soup” failed to garner favour amongst those in the stuffy, proper, Victorian social milieu of his time, however, and Holt’s visionary ideas were considered at best eccentric, at worst an offense to every refined palate. Anticipating such a reaction, Holt acknowledged the difficulty in unseating deep-rooted prejudices against insect cuisine, but quietly asserted his confidence that “we shall some day quite gladly cook and eat them”.

B. It has taken nearly 150 years but an eclectic Western-driven movement has finally mounted around the entomophagic cause. In Los Angeles and other cosmopolitan Western cities, insects have been caught up in the endless pursuit of novel and authentic delicacies. “Eating grasshoppers is a thing you do here”, bug-supplier Bricia Lopez has explained. “There’s more of a ‘cool’ factor involved.” Meanwhile, the Food and Agricultural Organization has considered a policy paper on the subject, initiated farming projects in Laos, and set down plans for a world congress on insect farming in 2013.

C. Eating insects is not a new phenomenon. In fact, insects and other such creatures are already eaten in 80 per cent of the world’s countries, prepared in customary dishes ranging from deep-fried tarantula in Cambodia to bowls of baby bees in China. With the specialist knowledge that Western companies and organisations can bring to the table, however, these hand-prepared delicacies have the potential to be produced on a scale large enough to lower costs and open up mass markets. A new American company, for example, is attempting to develop pressurisation machines that would de-shell insects and make them available in the form of cutlets. According to the entrepreneur behind the company, Matthew Krisiloff, this will be the key to pleasing the uninitiated palate.

D. Insects certainly possess some key advantages over traditional Western meat sources. According to research findings from Professor Arnold van Huis, a Dutch entomologist, breeding insects results in far fewer noxious by-products. Insects produce less ammonia than pig and poultry farming, ten times less methane than livestock, and 300 times less nitrous oxide. Huis also notes that insects – being cold-blooded creatures – can convert food to protein at a rate far superior to that of cows, since the latter exhaust much of their energy just keeping themselves warm.

E. Although insects are sometimes perceived by Westerners as unhygienic or disease-ridden, they are a reliable option in light of recent global epidemics (as Holt pointed out many years ago, insects are “decidedly more particular in their feeding than ourselves”). Because bugs are genetically distant from humans, species- hopping diseases such as swine flu or mad cow disease are much less likely to start or spread amongst grasshoppers or slugs than in poultry and cattle. Furthermore, the squalid, cramped quarters that encourage diseases to propagate among many animal populations are actually the residence of choice for insects, which thrive in such conditions.

F. Then, of course, there are the commercial gains. As FAO Forestry Manager Patrick Durst notes, in developing countries many rural people and traditional forest dwellers have remarkable knowledge about managing insect populations to produce food. Until now, they have only used this knowledge to meet their own subsistence needs, but Durst believes that, with the adoption of modern technology and improved promotional methods, opportunities to expand the market to new consumers will flourish. This could provide a crucial step into the global economic arena for those primarily rural, impoverished populations who have been excluded from the rise of manufacturing and large-scale agriculture.

G. Nevertheless, much stands in the way of the entomophagic movement. One problem is the damage that has been caused and continues to be caused, by Western organisations prepared to kill off grasshoppers and locusts – complete food proteins – in favour of preserving the incomplete protein crops of millet, wheat, barley and maize. Entomologist Florence Dunkel has described the consequences of such interventions. While examining children’s diets as a part of her field work in Mali, Dunkel discovered that a protein deficiency syndrome called kwashiorkor was increasing in incidence. Children in the area were once protected against kwashiorkor by a diet high in grasshoppers, but these had become unsafe to eat after pesticide use in the area increased.

H. A further issue is the persistent fear many Westerners still have about eating insects. “The problem is the ick factor—the eyes, the wings, the legs,” Krisiloff has said. “It’s not as simple as hiding it in a bug nugget. People won’t accept it beyond the novelty. When you think of a chicken, you think of a chicken breast, not the eyes, wings, and beak.” For Marcel Dicke, the key lies in camouflaging the fact that people are eating insects at all. Insect flour is one of his propositions, as is changing the language of insect cuisine. “If you say it’s mealworms, it makes people think of ringworm”, he notes. “So stop saying ‘worm’. If we use Latin names, say it’s a Tenebrio quiche, it sounds much more fancy”. For Krisiloff, Dicke and others, keeping quiet about the gritty reality of our food is often the best approach.

I. It is yet to be seen if history will truly redeem Vincent Holt and his suggestion that British families should gather around their dining tables for a breakfast of “moths on toast”. It is clear, however, that entomophagy, far from being a kooky sideshow to the real business of food production, has much to offer in meeting the challenges that global societies in the 21st century will face.



QUESTIONS 14-21. READING PASSAGE 2 has nine paragraphs, A–I. Choose the correct heading for paragraphs A–H from the list of headings below. Write the correct number, i–xi, in boxes 14–21 on your answer sheet.


List of Headings

i A historical delicacy
ii The poor may benefit
iii Presentation is key to changing attitudes
iv Environmentally friendly production
v Tradition meets technology
vi A cultural pioneer
vii Western practices harm locals
viii Good source of nutrients
ix Growing popularity
x A healthy choice
xi A safety risk

14 Section A
15 Section B
16 Section C
17 Section D
18 Section E
19 Section F
20 Section G
21 Section H

Questions 22–26. Complete the notes below. Choose NO MORE THAN THREE WORDS from the passage for each answer. Write your answers in boxes 22–26 on your answer sheet.

Van Huis: Insects are cleaner & do not release as many harmful gases
Insects use food intake economically in the production of protein as they waste less 22…………………
Durst: Traditional knowledge could be combined with modern methods for mass production instead of just covering 23………………… This could help 24……………….. people gain access to world markets.
Dunkel: Due to increased 25…………………, more children in Mali are suffering from 26…………………

Reading passage 3

You should spend about 20 minutes on Questions 27-40 which are based on Reading Passage 3 below.

Love stories

“Love stories” are often associated – at least in the popular imagination – with fairy tales, adolescent day dreams, Disney movies and other frivolous pastimes. For psychologists developing taxonomies2 of affection and attachment, however, this is an area of rigorous academic pursuit. Beginning in the early 1970s with the groundbreaking contributions of John Alan Lee, researchers have developed classifications that they believe better characterise our romantic predispositions. This involves examining not a single, universal, emotional expression (“love”), but rather a series of divergent behaviours and narratives that each has an individualised purpose, desired outcome and state of mind. Lee’s gritty methodology painstakingly involved participants matching 170 typical romantic encounters (e.g., “The night after I met X…”) with nearly 1500 possible reactions (“I could hardly get to sleep” or “I wrote X a letter”). The patterns unknowingly expressed by respondents culminated in a taxonomy of six distinct love “styles” that continue to inform research in the area forty years later.

The first of these styles – eros – is closely tied in with images of romantic love that are promulgated in Western popular culture. Characteristic of this style is a passionate emotional intensity, a strong physical magnetism – as if the two partners were literally being “pulled” together – and a sense of inevitability about the relationship. A related but more frantic style of love called mania involves an obsessive, compulsive attitude toward one’s partner. Vast swings in mood from ecstasy to agony – dependent on the level of attention a person is receiving from his or her partner – are typical of manic love.

Two styles were much more subdued, however. Storge is a quiet, companionate type of loving – “love by evolution” rather than “love by revolution”, according to some theorists. Relationships built on a foundation of platonic affection and caring are archetypal of storge. When care is extended to a sacrificial level of doting, however, it becomes another style – agape. In an agape relationship one partner becomes a “caretaker”, exalting the welfare of the other above his or her own needs.

The final two styles of love seem to lack aspects of emotion and reciprocity altogether. The ludus style envisions relationships primarily as a game in which it is best to “play the field” or experience a diverse set of partners over time. Mutually-gratifying outcomes in relationships are not considered necessary, and deception of a partner and lack of disclosure about one’s activities are also typical. While Lee found that college students in his study overwhelmingly disagreed with the tenets of this style, substantial numbers of them acted in a typically ludic style while dating, a finding that proves correct the deceit inherent in ludus. Pragma lovers also downplayed emotive aspects of relationships but favoured practical, sensible connections. Successful arranged marriages are a great example of pragma, in that the couple decides to make the relationship work; but anyone who seeks an ideal partner with a shopping list of necessary attributes (high salary, same religion, etc.) fits the classification.

Robert J. Sternberg’s contemporary research on love stories has elaborated on how these narratives determine the shape of our relationships and our lives. Sternberg and others have proposed and tested the theory of love as a story, “whereby the interaction of our personal attributes with the environment – which we in part create – leads to the development of stories about love that we then seek to fulfil, to the extent possible, in our lives.”

Sternberg’s taxonomy of love stories numbers far more, at twenty-six, than Lee’s taxonomy of love styles, but as Sternberg himself admits there is plenty of overlap. The seventh story, Game, coincides with ludus, for example, while the nineteenth story, Sacrifice, fits neatly on top of agape. Sternberg’s research demonstrates that we may have predilections toward multiple love stories, each represented in a mental hierarchy and varying in weight in terms of their personal significance. This explains the frustration many of us experience when comparing potential partners. One person often fulfils some expected narratives – such as a need for mystery and fantasy – while lacking the ability to meet the demands of others (which may lie in direct contradiction). It is also the case that stories have varying abilities to adapt to a given cultural milieu and its respective demands. Love stories are, therefore, interactive and adaptive phenomena in our lives rather than rigid prescriptions.

Steinberg also explores how our love stories interact with the love stories of our partners. What happens when someone who sees love as art collides with someone who sees love as a business? Can a Sewing story (love is what you make it) co-exist with a Theatre story (love is a script with predictable acts, scenes and lines)? Certainly, it is clear that we look for partners with love stories that complement and are compatible with our own narratives. But they do not have to be an identical match. Someone who sees love as mystery and art, for example, might locate that mystery better in a partner who views love through a lens of business and humour. Not all love stories, however, are equally well predisposed to relationship longevity; stories that view love as a game, as a kind of surveillance or as addiction are all unlikely to prove durable.

Research on love stories continues apace. Defying the myth that rigorous science and the romantic persuasions of ordinary people are incompatible, this research demonstrates that good psychology can clarify and comment on the way we give affection and form attachments. ————— 2 Taxonomy = the science of classifying and categorising data.

Questions 27-34. Look at the following statements (Questions 27–34) and the list of styles in the box below. Match each statement with the correct term, A–F. Write the correct letter, A–F, in boxes 27–34 on your answer sheet. NB You may use any letter more than once.



27 My most important concern is that my partner is happy.

28 I enjoy having many romantic partners.

29 I feel that my partner and I were always going to end up together.

30 I want to be friends first and then let romance develop later.

31 I always feel either very excited or absolutely miserable about my relationship.

32 I prefer to keep many aspects of my love life to myself.

33 When I am in love, that is all I can think about.

34 I know before I meet someone what qualities I need in a partner.

List of Love Styles

A Eros
B Mania
C Storge
D Agape
E Ludus
F Pragma



Questions 35–40. Do the following statements agree with the claims of the writer in Reading Passage 3? In boxes 35–40 on your answer sheet, write

YES if the statement agrees with the claims of the writer
NO if the statement contradicts the claims of the writer
NOT GIVEN if it is impossible to say what the writer thinks about this

35 People’s notions of love affect their relationships, rather than vice versa.

36 Some of our love stories are more important to us than others.

37 Our love stories can change to meet the needs of particular social environments.

38 We look for romantic partners with a love story just like our own.

39 The most successful partners have matching love stories.

40 No love story is more suited to a long relationship than any other.

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THE IMPACT OF WILDERNESS TOURISM IELTS READING

Reading passage 1

A. The market for tourism in remote areas is booming as never before. Countries all across the world are actively promoting their ‘wilderness’ regions – such as mountains, Arctic lands, deserts, small islands and wetlands – to high-spending tourists. The attraction of these areas is obvious: by definition, wilderness tourism requires little or no initial investment. But that does not mean that there is no cost. As the 1992 United Nations Conference on Environment and Development recognised, these regions are fragile (i.e. highly vulnerable to abnormal pressures) not just in terms of their ecology, but also in terms of the culture of their inhabitants. The three most significant types of fragile environment in these respects, and also in terms of the proportion of the Earth’s surface they cover, are deserts, mountains and Arctic areas. An important characteristic is their marked seasonality, with harsh conditions prevailing for many months each year. Consequently, most human activities, including tourism, are limited to quite clearly defined parts of the year.

Tourists are drawn to these regions by their natural landscape beauty and the unique cultures of their indigenous people. And poor governments in these isolated areas have welcomed the new breed of ‘adventure tourist’, grateful for the hard currency they bring. For several years now, tourism has been the prime source of foreign exchange in Nepal and Bhutan. Tourism is also a key element in the economies of Arctic zones such as Lapland and Alaska and in desert areas such as Ayers Rock in Australia and Arizona’s Monument Valley.

B. Once a location is established as a main tourist destination, the effects on the local community are profound. When hill-farmers, for example, can make more money in a few weeks working as porters for foreign trekkers than they can in a year working in their fields, it is not surprising that many of them give up their farm-work, which is thus left to other members of the family. In some hill-regions, this has led to a serious decline in farm output and a change in the local diet, because there is insufficient labour to maintain terraces and irrigation systems and tend to crops. The result has been that many people in these regions have turned to outside supplies of rice and other foods.

In Arctic and desert societies, year-round survival has traditionally depended on hunting animals and fish and collecting fruit over a relatively short season. However, as some inhabitants become involved in tourism, they no longer have time to collect wild food; this has led to increasing dependence on bought food and stores. Tourism is not always the culprit behind such changes. All kinds of wage labour, or government handouts, tend to undermine traditional survival systems. Whatever the cause, the dilemma is always the same: what happens if these new, external sources of income dry up?

The physical impact of visitors is another serious problem associated with the growth in adventure tourism. Much attention has focused on erosion along major trails, but perhaps more important are the deforestation and impacts on water supplies arising from the need to provide tourists with cooked food and hot showers. In both mountains and deserts, slow- growing trees are often the main sources of fuel and water supplies may be limited or vulnerable to degradation through heavy use.

C. Stories about the problems of tourism have become legion in the last few years. Yet it does not have to be a problem. Although tourism inevitably affects the region in which it takes place, the costs to these fragile environments and their local cultures can be minimized. Indeed, it can even be a vehicle for reinvigorating local cultures, as has happened with the Sherpas of Nepal’s Khumbu Valley and in some Alpine villages. And a growing number of adventure tourism operators are trying to ensure that their activities benefit the local population and environment over the long term.

In the Swiss Alps, communities have decided that their future depends on integrating tourism more effectively with the local economy. Local concern about the rising number of second home developments in the Swiss Pays d’Enhaut resulted in limits being imposed on their growth. There has also been a renaissance in communal cheese production in the area, providing the locals with a reliable source of income that does not depend on outside.

Many of the Arctic tourist destinations have been exploited by outside companies, who employ transient workers and repatriate most of the profits to their home base. But some Arctic communities are now operating tour businesses themselves, thereby ensuring that the benefits accrue locally. For instance, a native corporation in Alaska, employing local people, is running an air tour from Anchorage to Kotzebue, where tourists eat Arctic food, walk on the tundra and watch local musicians and dancers.

Native people in the desert regions of the American Southwest have followed similar strategies, encouraging tourists to visit their pueblos and reservations to purchase high-quality handicrafts and artwork. The Acoma and San Ildefonso pueblos have established highly profitable pottery businesses, while the Navajo and Hopi groups have been similarly successful with jewellery.

Too many people living in fragile environments have lost control over their economies, their culture and their environment when tourism has penetrated their homelands. Merely restricting tourism cannot be the solution to the imbalance, because people’s desire to see new places will not just disappear. Instead, communities in fragile environments must achieve greater control over tourism ventures in their regions; in order to balance their needs and aspirations with the demands of tourism. A growing number of communities are demonstrating that, with firm communal decision-making, this is possible. The critical question now is whether this can become the norm, rather than the exception.



Questions 1-3
Reading Passage 1 has three section, A-C.
Choose the correct heading for each section from the list of headings below. Write the correct number I-VI in boxes 1-3 on your answer sheet.

List of Headings

I The expansion of international tourism in recent years
II How local communities can balance their own needs with the demands of wilderness tourism
III Fragile regions and the reasons for the expansion of tourism there
IV Traditional methods of food-supply in fragile regions
V Some of the disruptive effects of wilderness tourism
VI The economic benefits of mass tourism

1 Section A
2 Section B
3 Section C

Questions 4-9
Do the following statements reflect the claims of the writer in Reading Passage 1?

YES if the statement reflects the claims of the writer
NO if the statement contradicts the claims of the writer
NOT GIVEN if it is impossible to say what the writer thinks about this

4 The low financial cost of setting up wilderness tourism makes it attractive to many countries.
5 Deserts, mountains and Arctic regions are examples of environments that are both ecologically and culturally fragile.
6 Wilderness tourism operates throughout the year in fragile areas.
7 The spread of tourism in certain hill-regions has resulted in a fall in the amount of food produced locally.
8 Traditional food-gathering in desert societies was distributed evenly over the year.
9 Government handouts do more damage than tourism does to traditional patterns of food- gathering.



Questions 10-13
Choose ONE WORD from Reading Passage 1 for each answer.

The positive ways in which some local communities have responded to tourism
People/LocationActivity
Swiss Pays d’Enhaut Revived production of 10………………….
Arctic communities Operate 11…………………. businesses
Acoma and San Ildefonso Produce and sell 12………………….
Navajo and Hopi Activity Produce and sell 13………………….

Reading passage 2

Flawed Beauty: the problem with toughened glass



On 2nd August 1999, a particularly hot day in the town of Cirencester in the UK, a large pane of toughened glass in the roof of a shopping centre at Bishops Walk shattered without warning and fell from its frame. When fragments were analysed by experts at the giant glass manufacturer Pilkington, which had made the pane, they found that minute crystals of nickel sulphide trapped inside the glass had almost certainly caused the failure.

‘The glass industry is aware of the issue,’ says Brian Waldron, chairman of the standards committee at the Glass and Glazing Federation, a British trade association, and standards development officer at Pilkington. But he insists that cases are few and far between. ‘It’s a very rare phenomenon,’ he says.

Others disagree. ‘On average I see about one or two buildings a month suffering from nickel sulphide related failures,’ says Barrie Josie, a consultant engineer involved in the Bishops Walk investigation. Other experts tell of similar experiences. Tony Wilmott of London-based consulting engineers Sandberg, and Simon Armstrong at CladTech Associates in Hampshire both say they know of hundreds of cases. ‘What you hear is only the tip of the iceberg,’ says Trevor Ford, a glass expert at Resolve Engineering in Brisbane, Queensland. He believes the reason is simple: ‘No-one wants bad press.’

Toughened glass is found everywhere, from cars and bus shelters to the windows, walls and roofs of thousands of buildings around the world. It’s easy to see why. This glass has five times the strength of standard glass, and when it does break it shatters into tiny cubes rather than large, razor-sharp shards. Architects love it because large panels can be bolted together to make transparent walls, and turning it into ceilings and floors is almost as easy.

It is made by heating a sheet of ordinary glass to about 620°C to soften it slightly, allowing its structure to expand, and then cooling it rapidly with jets of cold air. This causes the outer layer of the pane to contract and solidify before the interior. When the interior finally solidifies and shrinks, it exerts a pull on the outer layer that leaves it in permanent compression and produces a tensile force inside the glass. As cracks propagate best in materials under tension, the compressive force on the surface must be overcome before the pane will break, making it more resistant to cracking.

The problem starts when glass contains nickel sulphide impurities. Trace amounts of nickel and sulphur are usually present in the raw materials used to make glass, and nickel can also be introduced by fragments of nickel alloys falling into the molten glass. As the glass is heated, these atoms react to form tiny crystals of nickel sulphide. Just a tenth of a gram of nickel in the furnace can create up to 50,000 crystals.

These crystals can exist in two forms: a dense form called the alpha phase, which is stable at high temperatures, and a less dense form called the beta phase, which is stable at room temperatures. The high temperatures used in the toughening process convert all the crystals to the dense, compact alpha form.

But the subsequent cooling is so rapid that the crystals don’t have time to change back to the beta phase. This leaves unstable alpha crystals in the glass, primed like a coiled spring, ready to revert to the beta phase without warning.

When this happens, the crystals expand by up to 4%. And if they are within the central, tensile region of the pane, the stresses this unleashes can shatter the whole sheet. The time that elapses before failure occurs is unpredictable. It could happen just months after manufacture, or decades later, although if the glass is heated – by sunlight, for example – the process is speeded up. Ironically, says Graham Dodd, of consulting engineers Arup in London, the oldest pane of toughened glass known to have failed due to nickel sulphide inclusions was in Pilkington’s glass research building in Lathom, Lancashire. The pane was 27 years old.

Data showing the scale of the nickel sulphide problem is almost impossible to find. The picture is made more complicated by the fact that these crystals occur in batches. So even if, on average, there is only one inclusion in 7 tonnes of glass, if you experience one nickel sulphide failure in your building, that probably means you’ve got a problem in more than one pane. Josie says that in the last decade he has worked on over 15 buildings with the number of failures into double figures.

One of the worst examples of this is Waterfront Place, which was completed in 1990. Over the following decade the 40 storey Brisbane block suffered a rash of failures. Eighty panes of its toughened glass shattered due to inclusions before experts were finally called in. John Barry, an expert in nickel sulphide contamination at the University of Queensland, analysed every glass pane in the building. Using a studio camera, a photographer went up in a cradle to take photos of every pane.

These were scanned under a modified microfiche reader for signs of nickel sulphide crystals. ‘We discovered at least another 120 panes with potentially dangerous inclusions which were then replaced,’ says Barry. ‘It was a very expensive and time-consuming process that took around six months to complete.’ Though the project cost $1.6 million (nearly 700,000 Pounds), the alternative – re-cladding the entire building – would have cost ten times as much.


Questions 14-17

Look at the following people and the list of statements below. Match each person with the correct statement.
14 Brian Waldron
15 Trevor Ford
16 Graham Dodd
17 John Barry

List of Statements

A suggests that publicity about nickel sulphide failure has been suppressed
B regularly sees cases of nickel sulphide failure
C closely examined all the glass in one building
D was involved with the construction of Bishops Walk
E recommended the rebuilding of Waterfront Place
F thinks the benefits of toughened glass are exaggerated
G claims that nickel sulphide failure is very unusual
H refers to the most extreme case of delayed failure

Questions 18-23
Complete the summary with the list of words A-P below.

Toughened Glass

Toughened glass is favoured by architects because it is much stronger than ordinary glass, and the fragments are not as 18……………… when it breaks. However, it has one disadvantage: it can shatter 19……………… . This fault is a result of the manufacturing process. Ordinary glass is first heated, then cooled very 20……………… .

The outer layer 21……………… before the inner layer, and the tension between the two layers which is created because of this makes the glass stronger. However, if the glass contains nickel sulphide impurities, crystals of nickel sulphide are formed. These are unstable, and can expand suddenly, particularly if the weather is 22……………… . If this happens, the pane of glass may break. The frequency with which such problems occur is 23……………… by glass experts. Furthermore, the crystals cannot be detected without sophisticated equipment.

A numerous
B detected
C quickly
D agreed
E warm
F sharp
G expands
H slowly
I unexpectedly
J removed
K contracts
L disputed
M cold
N moved
O small
P calculated



Questions 24-26
Do the following statements agree with the information given in Reading Passage 2?

TRUE if the statement agrees with the information
FALSE if the statement contradicts the information
NOT GIVEN if there is no information on this

24 Little doubt was expressed about the reason for the Bishops Walk accident.
25 Toughened glass has the same appearance as ordinary glass.
26 There is plenty of documented evidence available about the incidence of nickel sulphide failure.



Reading passage 3

The effects of light on plant and animal species


Light is important to organisms for two different reasons. Firstly it is used as a cue for the timing of daily and seasonal rhythms in both plants and animals, and secondly it is used to assist growth in plants.

Breeding in most organisms occurs during a part of the year only, and so a reliable cue is needed to trigger breeding behaviour. Day length is an excellent cue, because it provides a perfectly predictable pattern of change within the year. In the temperate zone in spring, temperatures fluctuate greatly from day to day, but day length increases steadily by a predictable amount. The seasonal impact of day length on physiological responses is called photoperiodism, and the amount of experimental evidence for this phenomenon is considerable. For example, some species of birds’ breeding can be induced even in midwinter simply by increasing day length artificially (Wolfson 1964). Other examples of photoperiodism occur in plants. A short-day plant flowers when the day is less than a certain critical length. A long-day plant flowers after a certain critical day length is exceeded. In both cases the critical day length differs from species to species. Plant which flower after a period of vegetative growth, regardless of photoperiod, are known as day-neutral plants.

Breeding seasons in animals such as birds have evolved to occupy the part of the year in which offspring have the greatest chances of survival. Before the breeding season begins, food reserves must be built up to support the energy cost of reproduction, and to provide for young birds both when they are in the nest and after fledging. Thus many temperate-zone birds use the increasing day lengths in spring as a cue to begin the nesting cycle, because this is a point when adequate food resources will be assured.

The adaptive significance of photoperiodism in plants is also clear. Short-day plants that flower in spring in the temperate zone are adapted to maximising seedling growth during the growing season. Long-day plants are adapted for situations that require fertilization by insects, or a long period of seed ripening. Short-day plants that flower in the autumn in the temperate zone are able to build up food reserves over the growing season and over winter as seeds. Day-neutral plants have an evolutionary advantage when the connection between the favourable period for reproduction and day length is much less certain. For example, desert annuals germinate, flower and seed whenever suitable rainfall occurs, regardless of the day length.

The breeding season of some plants can be delayed to extraordinary lengths. Bamboos are perennial grasses that remain in a vegetative state for many years and then suddenly flower, fruit and die (Evans 1976). Every bamboo of the species Chusquea abietifolio on the island of Jamaica flowered, set seed and died during 1884. The next generation of bamboo flowered and died between 1916 and 1918, which suggests a vegetative cycle of about 31 years. The climatic trigger for this flowering cycle is not yet known, but the adaptive significance is clear. The simultaneous production of masses of bamboo seeds (in some cases lying 12 to 15 centimetres deep on the ground) is more than all the seed-eating animals can cope with at the time, so that some seeds escape being eaten and grow up to form the next generation (Evans 1976).

The second reason light is important to organisms is that it is essential for photosynthesis. This is the process by which plants use energy from the sun to convert carbon from soil or water into organic material for growth. The rate of photosynthesis in a plant can be measured by calculating the rate of its uptake of carbon. There is a wide range of photosynthetic responses of plants to variations in light intensity. Some plants reach maximal photosynthesis at one- quarter full sunlight, and others, like sugarcane, never reach a maximum, but continue to increase photosynthesis rate as light intensity rises.

Plants in general can be divided into two groups: shade-tolerant species and shade-intolerant species. This classification is commonly used in forestry and horticulture. Shade-tolerant plants have lower photosynthetic rates and hence have lower growth rates than those of shade- intolerant species. Plant species become adapted to living in a certain kind of habitat, and in the process evolve a series of characteristics that prevent them from occupying other habitats.
Grime (1966) suggests that light may be one of the major components directing these adaptations. For example, eastern hemlock seedlings are shade-tolerant. They can survive in the forest understorey under very low light levels because they have a low photosynthetic rate.



Questions 27-33
Do the following statements agree with the information given in Reading Passage 3?

TRUE if the statement agrees with the information
FALSE if the statement contradicts the information
NOT GIVEN if there is no information on this

27 There is plenty of scientific evidence to support photoperiodism.
28 Some types of bird can be encouraged to breed out of season.
29 Photoperiodism is restricted to certain geographic areas.
30 Desert annuals are examples of long-day plants.
31 Bamboos flower several times during their life cycle.
32 Scientists have yet to determine the cue for Chusquea abietifolia’s seasonal rhythm.
33 Eastern hemlock is a fast-growing plant.

Questions 34-40 Complete the sentences.
Choose NO MORE THAN THREE WORDS from the passage for each answer.

34 Day length is a useful cue for breeding in areas where are unpredictable.

35 Plants which do not respond to light levels are referred to as .

36 Birds in temperate climates associate longer days with nesting and the availability of
.
37 Plants that flower when days are long often depend on to help them reproduce.

38 Desert annuals respond to as a signal for reproduction.

39 There is no limit to the photosynthetic rate in plants such as .

40 Tolerance to shade is one criterion for the of plants in forestry and horticulture.

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The History of Bicycle IELTS READING

Reading passage 1

The bicycle was not invented by one individual or in one country. It took nearly 100 years and many individuals for the modern bicycle to be born. By the end of those 100 years, bicycles had revolutionised the way people travel from place to place.

Bicycles first appeared in Scotland in the early 1800s, and were called velocipedes. These early bicycles had two wheels, but they had no pedals. The rider sat on a pillow and walked his feet along the ground to move his velocipede forward.

Soon a French inventor added pedals to the front wheel. Instead of walking their vehicles, riders used their feet to run the pedals. However, pedalling was hard because velocipedes were very heavy. The framework was made of solid steel tubes and the wooden wheels were covered with steel. Even so, velocipedes were popular among rich young men, who raced them in Paris parks.

Because of the velocipedes were so hard to ride, no one thought about using them for transportation. People didn’t ride velocipedes to the market or to their jobs. Instead, people thought velocipedes were just toys.

Around 1870, American manufacturers saw that velocipedes were very popular overseas. They began building velocipedes, too, but with one difference. They made the frameworks from hollow steel tubes. This alteration made velocipedes much lighter, but riders still had to work hard to pedal just a short distance. In addition, roads were bumpy so steering was difficult. In fact, most riders preferred indoor tracks where they could rent a velocipede for a small fee and take riding lessons.

Subsequent changes by British engineers altered the wheels to make pedalling more efficient. They saw that when a rider turned the pedals once, the front wheel turned once. If the front wheel was small, the bicycle travelled just a small distance with each turn. They reasoned that if the front wheel were larger, the bicycle would travel a greater distance. So they designed a bicycle with a giant front wheel. They made the rear wheel small. Its primary purpose was to help the rider balance. Balancing was hard because the rider had to sit high above the giant front wheel in order to reach the pedals. This meant he was in danger of falling off the bicycle and injuring himself if he lost his balance. Despite this inherent danger, “high-wheelers” became very popular in England.

American manufacturers once again tried to design a better bicycle. Their goal was to make a safer bicycle. They substituted a small wheel for the giant front wheel and put the driving mechanism in a larger rear to wheel. It would be impossible for a rider to pedal the rear wheel, so engineers designed a system of foot levers. By pressing first the right one and then the left, the rider moved a long metal bar up and down. This bar turned the rear axle. This axle turned the rear wheel and the bicycle minimised the dangers inherent in bicycle riding, more and more people began using bicycles in their daily activities.

The British altered the design one last time. They made the two wheels equal in size and created a mechanism that uses a chain to turn the rear wheel. With this final change, the modern bicycle was born.

Subsequent improvements, such as brakes, rubber tires, and lights were added to make bicycles more comfortable to ride. By 1900, bicycle riding had become very popular with men and women of all ages. Bicycles revolutionised the way people worldwide ride bicycles for transportation, enjoyment, sport, and exercise.



Questions 1-6
Complete the sentences. Choose NO MORE THAN THREE WORDS from the passage above for each answer.

In the invention of the bicycle took part not only one individual or the country, but the world in general during the 1…………………… years. This invention was firstly found in Scotland in the first decades of 1800, and was known as velocipedes. They were not resembled to today’s bicycles and had two wheels, but they had no 2…………………… . The rider sat on a pillow and walked his feet along the ground in order to move his velocipede forward. Soon, a French inventor added pedals to the front wheel. However, because of their difficulty in riding, nobody used them in a daily life, and they were accepted as 3…………………… . Around 1870, manufacturers in America found that this invention is popular 4…………………… , but within the difference: frameworks were made from 5…………………… , what makes them much lighter. Soon, the British inventors found the method which can make pedalling more efficient to turn pedals one by one. They designed a bicycle with a giant front wheel. However, as the rider had to sit high above the giant front wheel it was too difficult to keep the balance. The safer bicycle was invented by Americans. They designed the rear 6…………………… , which minimised the danger of falling and injuring. At last, the British changed the design one last time and added two wheels equal in size and the mechanism that induce a chain to turn the rear wheel. By this there was invented the example of the modem bicycle.

Questions 7-10
Do the following statements agree with the information given in Reading Passage 1? Write

TRUE if the statement agrees with the information
FALSE if the statement contradicts the information
NOT GIVEN if there is no information on this

7 The bicycle was invited by Americans only
8 It was too hard to lead the velocipedes due to their heaviness
9 The alteration of velocipedes made the life of people much more easy
10 The changes by British inventors altered the wheels to make pedalling more efficient

Questions 11-13
Complete the sentences. Choose NO MORE THAN THREE WORDS from the passage for each answer.

11 The British inventors concluded that if the front wheel were large in ____________ , the bicycle would travel comparatively long distance.
12 American engineers designed a system of ____________ which was driven by pressing first the right and then the left pedals.
13 The last, but not least alteration in creating of the modern bicycle was a making the two wheels equal in size and using the __________ to spin the rear wheel.

Reading Passage 2. Questions 14-26

Segway into the Future


Will the electric vehicle known as the Segway alter the ways that individuals get around? Dean Kamer, the inventor of the Segway, believes that this revolutionary vehicle will someday substitute for the bicycles and automobiles that now crowd our cities. When he introduced the Segway in 2001, he believed it would change our lives.

Although the Segway uses up-to-the-minute technology, it looks very ordinary. The metal framework of the Segway consists of a platform where an individual stands. Attached to the front of the platform is a tall post with handles for the driver to hold. On each side of the platform is a wide, rubber wheel. Except for these two wheels, there are no mechanical parts on the Segway. It has no engine, no brakes, no pedal power, no gears, and no steering wheel. Instead it uses a computer system that imitates the ability of humans to keep their balance.

This system seems to move to the driver’s thoughts. For example, when the driver thinks “Go forward”, the Segway moves forwards, and when the driver thinks, “Stop”, it stops. The Segway is not really responding to the driver’s thoughts, but to the tiny changes in balance that the driver makes as he prepares his body to move forward or to stop. For example, when the driver thinks about moving forward, he actually leans slightly forward, and when he thinks of stopping or slowing, the driver leans slightly back.

The Segway is powered by batteries that allow it to travel about 17 miles on one battery charge. It is designed for short-range, low-speed operation. It has three speed settings. The slowest is the setting for learning, with speeds of up to 6 miles per hour. Next is the sidewalk setting, with speeds of up to 9 miles per hour. The highest setting allows the driver to travel up to 12.5 miles per hour in open, flat areas. At all three speed settings, the Segway can go wherever a person can walk, both indoors and outdoors.

Workers who must walk a lot in their jobs might be the primary users of Segways. For example, police officers could drive Segways to patrol city streets, and mail carriers could drive from house to house to deliver letters and packages. Farmers could quickly inspect distant fields and barns, and rangers, or parks. Security guards could protect neighbourhoods or large buildings.

Any task requiring a lot of walking could be made easier. In cities, shoppers could leave their cars at home and ride Segway from store to store. Also, people who cannot comfortably walk due to age, illness, or injury could minimise their walking but still be able to go many places on a Segway.

Why is it, then, that our job sites, parks, and shopping centres have not been subsequently filled with Segways since they were introduced in 2001? Why hasn’t the expected revolution taken place? Studies have shown that Segways can help workers get more done in a shorter time. This saves money. Engineers admire Segways as a technological marvel.

Business, government agencies, and individuals, however, have been unwilling to accept the Segway. Yes, there have been some successes. In a few cities, for example, mail carriers drive Segway on their routes, and police officers patrol on Segways. San Francisco, California, and Florence, Italy, are among several cities in the world that offer tours on Segways for a small fee. Occasionally you will see golfers riding Segways around golf courses. Throughout the world more than 150 security agencies use Segways, and China has recently entered the overseas market. These examples are encouraging, but can hardly be called a revolution.

The primary reason seems to be that people have an inherent fear of doing something new. They fear others will laugh at them for buying a “toy”. They fear losing control of the vehicle. They fear being injured. They fear not knowing the rules for using a Segway. They fear making people angry if they ride on the sidewalk. All these fears and others have kept sales low.

The inventor explained why people have been slow to accept the Segway. He said, “We didn’t realise that although technology moves very quickly, people’s mind-set changes very slowly.” Perhaps a hundred years from now millions of people around the world will be riding Segways.



Questions 14-16
Do the following statements agree with the information given in Reading Passage 2?

TRUE if the statement agrees with the information
FALSE if the statement contradicts the information
NOT GIVEN if there is no information on this

14 The Segway’s framework consists of a platform and a post with handles

15 The driver can alter the direction of the Segway by leaning to the left or right

16 The Segway was primarily designed for student to make their travel much more comfortable

Questions 17-19
Choose the correct letter, А , В, C or D.

17 Why the Segway has been accepted as the most comfortable vehicle for the people with moving problems?
A they could leave their cars at home and ride Segway from store to store
В they could drive from house to house to deliver letters and packages
C they could quickly inspect distant fields and barns, and rangers, or parks
D it could minimise their walking

18 Why people have been slow to accept the Segway?
A it wastes too much money
В people have various kinds of fears
C it was too hard to manage
D people didn’t want to replace the existing vehicles

19 According to the point of view of the Dean Kamer, “although technology moves very quickly, people’s mindset changes very slowly”, what he meant by this?
A people cannot accept the innovation at once
В because of people worldwide who ride bicycles for transportation they cannot accept other kinds of vehicles
C people have fears and thus cannot get accustomed with new forms of transportation
D the ideas and attitudes with which a person approaches a situation cannot be quickly altered



Questions 20-27
Complete the sentences. Choose NO MORE THAN THREE WORDS from the passage for each answer.

Dean Kamer, the inventor of the Segway, believes that this revolutionary vehicle will replace all conveyances we use today, and in 2001 he presented his innovation to the public. Even though the Segway uses up the minimum energy, it has a very 20…………………… appearance. It has no engine, brakes, gears or even 21…………………… , however, the attribute is that it has the 22…………………… with wide rubber wheels. Moreover, this invention is designed for the short-term destinations and works with 23…………………… . As it minimises the moving time or energy, the Segway particularly fits to those people who has an active lifestyle such as 24…………………… , mail carriers, farmers, security guards and even those who have difficulties because of their 25…………………… or…………. . However, the inventor explains why people have difficulties in accepting the Segway. He believes that the main reason for this is that people have an innate 26 ……………….. of innovations and because of that the people’s 27…………………… always changes gradually, it is too hard to accept the new invention for the short time.

Reading passage 3. Questions 28-40


The Meaning of Volunteering



A Volunteering, as some people consider mistakenly is a plethora of people from all walks of life as well as activities, but data from the other side of the world suggest otherwise. For example, a survey on who participated in volunteering by the Office for National Statistics (ONS) in the United Kingdom (UK) showed that people in higher income households are more likely than others to volunteer. In England and Wales, 57% of adults with gross annual household incomes of ?75.000 or more, have volunteered formally in the 12 months prior to the survey date. They were almost twice more likely to have done so than those living in households with as annual income under ?10.000.

В As well as having high household incomes, volunteers also tend to have higher academic qualifications, be in higher socio-economic groups and be in employment. Among people with a degree or postgraduate qualification, 79 per cent had volunteered informally and 57 per cent had volunteered formally in the previous 12 months. For people with no qualifications the corresponding proportions were 52 per cent and 23 per cent at all. However, voluntary work is certainly not the exclusive preserve of the rich. Does the answer not lie perhaps in the fact that the rich tend to have money to allow them the time to be become involved in voluntary work compared to less well-off people?

C A breakdown in the year 2000 of the range of volunteering activities taken from The Australia Bureau of Statistics gives an idea of the scale of activities in which people are typically involved. Eleven sectors are given ranging from Community and Welfare, which accounted for just over a quarter of the total hours volunteered in Australia, to Law/Justice/Politics with 1.2 percent at the other and of the scale. Other fields included Sport/ Recreation, religious activities and education, following at 21.1 per cent, 16.9 and 14.3 per cent of the total hours. The data here also seem to point to a cohort of volunteers with expertise and experience.

D The knock-on effect of volunteering on the lives of individuals can be profound. Voluntary work helps foster independence and imparts the ability to deal with different situations, often simultaneously, thus teaching people how to work their way through different systems. It therefore brings people into touch with the real world; and, hence, equips them for the future.

E Initially, young adults in their late teens might not seem to have the expertise or knowledge to impart to others that say a teacher or agriculturalist or nurse would have, but they do have many skills that can help others. And in the absence of any particular talent, their energy and enthusiasm can be harnessed for the benefit of their fellow human beings, and ultimately themselves. From all this, the gain to any community no matter how many volunteers are involved is immeasurable.

F Employers will generally look favourably on people who have shown an ability to work as part of a team. It demonstrates a willingness to learn and an independent spirit, which would be desirable qualities in any employee. So to satisfy employers’ demands for experience when applying for work, volunteering can act as a means of gaining experience that might otherwise elude would-be workers and can ultimately lead to paid employment and the desired field.

G But what are the prerequisites for becoming a volunteer? One might immediately think of attributes like kindness, selflessness, strength of character, ability to deal with others, determination, adaptability and flexibility and a capacity to comprehend the ways of other people. While offering oneself selflessly, working as a volunteer makes further demands on the individual. It requires a strength of will, a sense of moral responsibility for one’s fellow human beings, and an ability to fit into the ethos of an organisation. But it also requires something which in no way detracts from valuable work done by volunteers and which may seem at first glance both contradictory and surprising: self-interest.

H Organisations involved in any voluntary work have to be realistic about this. If someone, whatever the age is going to volunteer and devote their time without money, they do need to receive something from it for themselves. People who are unemployed can use volunteer work as a stepping-stone to employment or as a means of finding out whether they really like the field the plan to enter or as a way to help them find themselves.

I It is tempting to use some form of community work as an alternative to national service or as punishment for petty criminals by making the latter for example clean up parks, wash away graffiti, work with victims of their own or other people. Those may be acceptable, but it does not constitute volunteer work, two cardinal rules of which are the willingness to volunteer without coercion and working unpaid.

Questions 28-33
Reading Passage 3 has nine paragraphs A-I.
Which paragraph contains the following information?
Write the letter, A-I, in boxes 28-33 on your Answer Sheet

28 a description of what does not satisfy the criteria for volunteer work
29 the impact of voluntary work on the development of individuals
30 the requirement for both selflessness and self-interest in volunteers
31 various areas in which people volunteer
32 the benefit of voluntary work for the young
33 a mistaken view of volunteering



Questions 34-37
Choose the correct letter А, В, C or D.
Write the correct letter in boxes 34-37 on y o u r answer sheet.

34 The ONS survey was done to find out
A why people undertook volunteering.
В how many people participated in volunteering.
C how many rich people did volunteer work.
D which people were involved in volunteering.

35 The ONS survey found that people with university qualification were
A as likely to volunteer as those with no qualifications.
В more likely to volunteer than those with no qualifications.
C less likely to volunteer than those with no qualifications.
D the only group likely to do formal volunteer work.

36 It is suggested that rich people volunteer as a result of having
A clearer goals.
В fewer children.
C more spare time.
D greater guilt.

37 Volunteer work benefits people by teaching them how to
A function in system.
В communicate clearly.
C deal with failure.
D overcome shyness.

Questions 38-40
Complete each sentence with the correct ending, A-F below.
Write the correct letter, A–F , in boxes 38 – 40 on your Answer Sheet

38 One of the requirements of being a volunteer is being able to

39 Volunteering can be used as a way for the unemployed to

40 Employers in general tend to

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VIEW ANSWER – HISTORY OF BICYCLES


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THE DISCOVERY OF PENICILLIN IELTS READING

Reading passage 1

A. The Scottish bacteriologist Dr Alexander Fleming (1881-1955) is credited with the discovery of penicillin in London in 1928. He had been working at St Mary’s Hospital on the bacteriology of septic wounds. As a medic during World War I, he had witnessed the deaths of many wounded soldiers from infection and he had observed that the use of harsh antiseptics, rather than healing the body, actually harmed the blood corpuscles that destroy bacteria.

B. In his search for effective antimicrobial agents, Fleming was cultivating staphylococcus bacteria in Petri dishes containing agar1. Before going on holiday in the summer of 1928, he piled up the agar plates to make room for someone else to use his workbench in his absence and left the windows open. When he returned to work two weeks later, Fleming noticed mould growing on those culture plates that had not been fully immersed in sterilising agent. This was not an unusual phenomenon, except in this case the particular mould seemed to have killed the staphylococcus aureus immediately surrounding it. He realised that this mould had potential.

C. Fleming consulted a mycologist called C J La Touche, who occupied a laboratory downstairs containing many mould specimens (possibly the source of the original contamination), and they concluded it was the Penicillium genus of ascomycetous fungi. Fleming continued to experiment with the mould on other pathogenic bacteria, finding that it successfully killed a large number of them. Importantly, it was also non-toxic, so here was a bacteria-destroying agent that could be used as an antiseptic in wounds without damaging the human body. However, he was unsuccessful in his attempts to isolate the active antibacterial element, which he called penicillin. In 1929, he wrote a paper on his findings, published in the British Journal of Experimental Pathology, but it failed to kindle any interest at the time.

D. In 1938, Dr Howard Florey, a professor of pathology at Oxford University, came across Fleming’s paper. In collaboration with his colleague Dr Ernst Chain, and other skilled chemists, he worked on producing a usable drug. They experimented on mice infected with streptococcus. Those untreated died, while those injected with penicillin survived. It was time to test the drug on humans but they could not produce enough – it took 2,000 litres of mould culture fluid to acquire enough penicillin to treat a single patient. Their first case in 1940, an Oxford police officer who was near death as a result of infection by both staphylococci and streptococci, rallied after five days of treatment but, when the supply of penicillin ran out, he eventually died.

E. In 1941, Florey and biochemist Dr Norman Heatley went to the United States to team up with American scientists with a view to finding a way of making large quantities of the drug. It became obvious that Penicillium notatum would never generate enough penicillin for effective treatments so they began to look for a more productive species. One day a laboratory assistant turned up with a melon covered in mould. This fungus was Penicillium chrysogeum, which produced 200 times more penicillin than Fleming’s original species but, with further enhancement and filtration, it was induced to yield 1,000 times as much as Penicillium notatum. Manufacture could begin in earnest.

F. The standardisation and large-scale production of the penicillin drug during World War II and its availability for treating wounded soldiers undoubtedly saved many lives. Penicillin proved to be very effective in the treatment of pneumococcal pneumonia – the death rate in WWII was 1% compared to 18% in WWI. It has since proved its worth in the treatment of many life-threatening infections such as tuberculosis, meningitis, diphtheria and several sexually-transmitted diseases.

G. Fleming has always been acknowledged as the discoverer of penicillin. However, the development of a commercial penicillin drug was due to the skill of chemical scientists Florey, Chain and others who overcame the difficulties of converting it into a usable form. Fleming and Florey received knighthoods in 1944 and they, together with Chain, were awarded the Nobel Prize in Physiology or Medicine in 1945. Heatley’s contribution seems to have been overlooked until, in 1990, he was awarded an honorary doctorate of medicine by Oxford University – the first in its 800-year history.

H. Fleming was mindful of the dangers of resistance to penicillin early on and he expressly warned on many occasions against overuse of the drug, because this would lead to bacterial resistance. Ironically, the occurrence of resistance is pushing the drive today to find new, more powerful antibiotics.———agar is a culture medium based on a seaweed extract – used for growing microorganisms in laboratories

Questions 1-6. Reading Passage 1 has eight paragraphs, A–H. Which paragraph contains the following information? Write the correct letter, A–H, in boxes 1–6 on your answer sheet.

1 results of animal experiments
2 recognition of the scientists’ valuable work
3 a statement about the beginning of mass production
4 Fleming’s cautionary advice
5 examples of uses for penicillin
6 the starting point for Fleming’s original research

Questions 7–10. Complete the summary below. Choose NO MORE THAN TWO WORDS from the passage for each answer. Write your answers in boxes 7–10 on your answer sheet.



DR FLEMING’S ACCIDENTAL DISCOVERY

In a bid to find a safe and effective antiseptic, Dr Fleming was growing staphylococcus aureus bacteria in his lab. On his return from 7……………. , he found mould on an unsterilised plate and saw that it had destroyed the bacteria around it. A 8……………. helped him identify the mould. Fleming found that it was active against several different 9……………….. and, because it was 10……………. , it was safe to use in humans.

Questions 11–13. Complete the table below. Choose NO MORE THAN TWO WORDS from the passage for each answer. Write your answers in boxes 11–13 on your answer sheet

Timeline

1928 Fleming’s discovery of penicillin
1929 Fleming’s research published
1938 Florey begins work on penicillin
1940 The first human subject 11……………….
1941 Collaboration with 12…………….….
1944 Two of the scientists are knighted
1945 Three of them share a 13..……………….
1990 Heatley’s work is acknowledged



Reading passage 2

DAYLIGHT SAVING TIME


Each year in many countries around the world, clocks are set forward in spring and then back again in autumn in an effort to ‘save’ daylight hours. Like many modern practices, Daylight Savings Time (DST) dates back to ancient civilisations. The Romans would adjust their routines to the sun’s schedule by using different scales in their water clocks for different months of the year.

This practice fell out of favour, however, and the concept was renewed only when, in 1784, the American inventor Benjamin Franklin wrote a jocular article for The Journal of Paris exhorting the city’s residents to make more use of daylight hours in order to reduce candle use. In 1895, in a more serious effort, New Zealand entomologist George Vernon Hudson proposed a biannual two-hour shift closely resembling current forms of DST. His cause was not taken up, however, until Germany first pushed their clocks forward in April 1916 as part of a drive to save fuel in World War I.

Over the next several decades, global use of DST was sporadic and inconsistent. Countries such as the UK and USA adopted DST in World Wars I and II, but reverted to standard time after the wars ended. In the USA, the decision to use DST was determined by states and municipalities between 1945 and 1966, causing widespread confusion for transport and broadcasting schedules until Congress implemented the Uniform Time Act in 1966.

Today, DST is used in some form by over 70 countries worldwide, affecting around one sixth of the world’s population. There is still no uniform standard, however. Countries such as Egypt and Russia have adjusted their policies on multiple occasions in recent years, in some instances leading to considerable turmoil.

Muslim countries often suspend DST for the month of Ramadan. The European Union finally standardised DST in 2000, while the USA’s most recent adjustments were introduced with the Energy Policy Act of 2005.

In general, the benefits of DST are considerable and well documented. Perhaps the most significant factor in terms of popular support is the chance to make better use of daylight in the evening. With extended daylight hours, office workers coming off a 9 to 5 shift can often take part in outdoor recreational activities for an hour or two. This has other positive effects, such as reducing domestic electricity consumption as more opportunities become available to use sunlight instead of artificial lighting. A further benefit is a reduction in the overall rate of automobile accidents, as DST ensures that streets are well lit at peak hours.

Many industries are supportive of DST due to the opportunities it provides for increased revenue. Extended daylight hours mean people are more likely to stay out later in the evening and spend more money in bars and restaurants, for example, so tourism and hospitality are two sectors that stand to gain a lot from more daylight. In Queensland, Australia, which elected not to implement DST due to complaints from dairy farmers over disruption to milking schedules, the annual drain on the state’s economy is estimated to be as high as $4 billion.

Some research casts doubt on the advantages of DST, however. Although the overall incidence of traffic accidents is lower, for pedestrians the risk of being hit by a car in the evening increases by as much as 186 per cent in the weeks after clocks are set back in autumn, possibly because drivers have not yet adjusted to earlier sunsets. Although this shift does in turn make streets safer in early mornings, the risk to pedestrians is not offset simply because fewer pedestrians use the streets at that time.

A further health concern involves the disruption of our body clock. Setting clocks one hour forward at night can cause many people to lose sleep, resulting in tiredness and all its well-documented effects, such as mood swings, reduced productivity and problems with overall physical well-being. In 2008, a Swedish study found that heart attack rates spike in the few days following the switch to DST for summer. Tiredness may also be a factor behind the increase in road accidents in the week after DST begins.

Finally, safety issues have arisen in parts of Latin America relating to a suspected relationship between DST and higher incidences of street crime. In 2008, Guatemala chose not to use DST because it forced office workers to leave their homes while it was still dark outside in the morning. This natural cover for criminals was thought to increase incidents of crime at this hour.



Questions 14-19. Do the following statements agree with the information given in Reading Passage 2? In boxes 14–19 on your answer sheet, write
TRUE if the statement agrees with the information
FALSE if the statement contradicts the information
NOT GIVEN if there is no information on this

14 Daylight savings time has been in continual use since ancient times.
15 Today, DST is very similar to how George Vernon Hudson suggested it.
16 DST was not considered successful during World Wars I and II.
17 The USA finalised its DST policy in 1966.
18 Around the world, there is now general agreement on how DST should be used.
19 Frequent changes to DST over a short time span have caused problems in some countries.

Questions 20–26. Complete the table below. Choose NO MORE THAN THREE WORDS from the passage for each answer. Write your answers in boxes 20 –26 on your answer sheet.



ADVANTAGES AND DISADVANTAGES OF DAYLIGHT SAVING TIME

ADVANTAGESDISADVANTAGES
More opportunities for 20………………. after work.

People use less power in their homes because they don’t need as much lighting.

Better lighting during 21………………. leads
to fewer car crashes following the spring change to DST.

Some industries, such as 22………………. ,
earn more money with DST.
Dairy farmers find that DST upsets their 23………………..

More dangerous for 24……………….. following re-setting of clocks in autumn.

Loss of sleep can lead to 25……………….., inferior performance at work and poorer general health because of fatigue.

Darker mornings may lead to more 26……………….

Reading passage 3.

WILLPOWER

A. Although willpower does not shape our decisions, it determines whether and how long we can follow through on them. It almost single-handedly determines life outcomes. Interestingly, research suggests the general population is indeed aware of how essential willpower is to their wellbeing; survey participants routinely identify a ‘lack of willpower’ as the major impediment to making beneficial life changes. There are, however, misunderstandings surrounding the nature of willpower and how we can acquire more of it. There is a widespread misperception, for example, that increased leisure time would lead to subsequent increases in willpower.

B. Although the concept of willpower is often explained through single-word terms, such as ‘resolve’ or ‘drive’, it refers in fact to a variety of behaviours and situations. There is a common perception that willpower entails resisting some kind of a ‘treat’, such as a sugary drink or a lazy morning in bed, in favour of decisions that we know are better for us, such as drinking water or going to the gym. Of course this is a familiar phenomenon for all. Yet willpower also involves elements such as overriding negative thought processes, biting your tongue in social situations, or persevering through a difficult activity. At the heart of any exercise of willpower, however, is the notion of ‘delayed gratification’, which involves resisting immediate satisfaction for a course that will yield greater or more permanent satisfaction in the long run.

C. Scientists are making general investigations into why some individuals are better able than others to delay gratification and thus employ their willpower, but the genetic or environmental origins of this ability remain a mystery for now. Some groups who are particularly vulnerable to reduced willpower capacity, such as those with addictive personalities, may claim a biological origin for their problems. What is clear is that levels of willpower typically remain consistent over time (studies tracking individuals from early childhood to their adult years demonstrate a remarkable consistency in willpower abilities). In the short term, however, our ability to draw on willpower can fluctuate dramatically due to factors such as fatigue, diet and stress. Indeed, research by Matthew Gailliot suggests that willpower, even in the absence of physical activity, both requires and drains blood glucose levels, suggesting that willpower operates more or less like a ‘muscle’, and, like a muscle, requires fuel for optimum functioning.

D. These observations lead to an important question: if the strength of our willpower at the age of thirty- five is somehow pegged to our ability at the age of four, are all efforts to improve our willpower certain to prove futile? According to newer research, this is not necessarily the case. Gregory M. Walton, for example, found that a single verbal cue – telling research participants how strenuous mental tasks could ‘energise’ them for further challenging activities – made a profound difference in terms of how much willpower participants could draw upon to complete the activity. Just as our willpower is easily drained by negative influences, it appears that willpower can also be boosted by other prompts, such as encouragement or optimistic self-talk.

E. Strengthening willpower thus relies on a two-pronged approach: reducing negative influences and improving positive ones. One of the most popular and effective methods simply involves avoiding willpower depletion triggers, and is based on the old adage, ‘out of sight, out of mind’. In one study, workers who kept a bowl of enticing candy on their desks were far more likely to indulge than those who placed it in a desk drawer. It also appears that finding sources of motivation from within us may be important. In another study, Mark Muraven found that those who felt compelled by an external authority to exert self-control experienced far greater rates of willpower depletion than those who identified their own reasons for taking a particular course of action. This idea that our mental convictions can influence willpower was borne out by Veronika Job. Her research indicates that those who think that willpower is a finite resource exhaust their supplies of this commodity long before those who do not hold this opinion.

F. Willpower is clearly fundamental to our ability to follow through on our decisions but, as psychologist Roy Baumeister has discovered, a lack of willpower may not be the sole impediment every time our good intentions fail to manifest themselves. A critical precursor, he suggests, is motivation – if we are only mildly invested in the change we are trying to make, our efforts are bound to fall short. This may be why so many of us abandon our New Year’s Resolutions – if these were actions we really wanted to take, rather than things we felt we ought to be doing, we would probably be doing them already. In addition, Muraven emphasises the value of monitoring progress towards a desired result, such as by using a fitness journal, or keeping a record of savings toward a new purchase. The importance of motivation and monitoring cannot be overstated. Indeed, it appears that, even when our willpower reserves are entirely depleted, motivation alone may be sufficient to keep us on the course we originally chose.



Questions 27-33. Do the following statements agree with the information given in Reading Passage 3? In boxes 27–32 on your answer sheet, write
TRUE if the statement agrees with the information.
FALSE if the statement contradicts the information
NOT GIVEN if there is no information on this

27 Willpower is the most significant factor in determining success in life.
28 People with more free time typically have better willpower.
29 Willpower mostly applies to matters of diet and exercise.
30 The strongest indicator of willpower is the ability to choose long-term rather than short-term rewards.
31 Researchers have studied the genetic basis of willpower.
32 Levels of willpower usually stay the same throughout our lives.
33 Regular physical exercise improves our willpower ability.
Questions 34 –39. Look at the following statements (Questions 37–40) and the list of researchers below. Match each statement with the correct person, A–D. Write the correct letter, A–D, in boxes 37–40 on your answer sheet. NB You may use some letters more than once.

THIS RESEARCHER …

34 identified a key factor that is necessary for willpower to function.
35 suggested that willpower is affected by our beliefs.
36 examined how our body responds to the use of willpower.
37 discovered how important it is to make and track goals.
38 found that taking actions to please others decreases our willpower.
39 found that willpower can increase through simple positive thoughts.



LIST OF PEOPLE

A Matthew Gailliot
B Gregory M. Walton
C Mark Muraven
D Veronika Job
E Roy Baumeister

Question 40. Which of the following is NOT mentioned as a factor in willpower?Willpower is affected by:

A physical factors such as tiredness
B our fundamental ability to delay pleasure
C the levels of certain chemicals in our brains
D environmental cues such as the availability of a trigger

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THE DEVELOPMENT OF TRAVEL UNDER THE OCEAN IELTS READING


Reading Passage 1

You should spend about 20 minutes on Questions 1-13, which are based on Reading Passage 1 below.

A. For millennia, humans have been intrigued by what lies beneath the sea and although submarine travel was attempted from time to time, it did not become commonplace until the middle of last century. Several clever and innovative people had experimented with designs for submersible boats before then, but there was much loss of life and little success.

B. There had long been the use of a primitive diving bell for explorative purposes, but it was as a war machine that the submarine came into its own. The first development in the history of American submarines was a small submersible with a hand-cranked screw-like oar and a crew of one. It was built before the American Revolutionary War (1775—1783) but was adapted for use against the British during this war. Although its pilot twice failed to fasten explosive devices to British ships before losing control of his vessel, he escaped harm.

C. In 1800, an American inventor, Robert Fulton, designed an underwater machine that he called the Nautilus. Its version brought in features that can still be found in some modem submarines, notably adjustable diving planes for better underwater manoeuvring, dual systems of propulsion, and a compressed air system that allowed it to stay down for about four hours without surfacing?

D. Development of submersible vessels lagged a long way behind the continued progress in the design of surface ships until the American Civil War (1861-1865) when both sides tried out various designs. One of those, called the Hunlcy — named after its financier rather than its inventor, sank twice during training missions with 11 crew members losing their lives including Hunley himself. Notwithstanding these failures, it was commissioned again in 1864 to attack a ship in Charleston Harbor. A torpedo was used to strike and scuttle the ship – a first in naval history, but the submarine never reappeared, and once again the whole crew perished. Its potential had been recognised, but they still remain the challenge of operating safely under the water.

E. The US Navy could appreciate the strategic benefits of having submarines in its fleet and held a competition to encourage the design and construction of these underwater craft. The inventor, John Holland won the competition and it was his sixth prototype, the Holland, that the navy bought and added to its fleet in 1900. This submarine was quite different from previous designs. It was propelled by a gasoline engine that turned a propeller while the vessel was on the surface. When it submerged, the engine ran a generator to charge batteries to operate an electric motor. The improved propulsion methods were, unfortunately, highly dangerous. Not only is gasoline flammable and unstable, using it in the restricted environment of a submarine posed quite a hazard for the crewmen. There was another problem, too: the batteries were not only heavy, cumbersome, and inefficient, but they were also extremely volatile.

F. During the same period as Holland’s efforts were being trialled, a German scientist by the name of Rudolf Diesel created an engine which used a fuel less explosive than gasoline and which could consequently be stored safely. Another advantage was that there was no necessity for an electric spark to ignite the fuel. These safety improvements combined with better fuel economy allowed Diesel engines to power a submarine for longer on the surface; however, batteries were still needed to supply energy for underwater operation.

G. Although diesel-powered submarines were successful and used by the US Navy for almost 50 years, the search for a single power source carried on. It wasn’t long before the concept of nuclear power was
realised in Germany and taken up by an American physicist, Ross Gunn, who could envisage its potential in submersibles. A research team was put together to adapt the concept of nuclear power for use in submarines. In effect, modem nuclear submarines have onboard a small nuclear power plant which produces a great amount of energy. This is used to heat water and create steam which drives a huge turbine which turns the propeller.

H. There has been many adaptations and technological improvements made to submarines over the years, but the shape is basically the same. Obviously, it is a totally enclosed craft, cigar-shaped with narrowed ends. The outer hull is dying the largest part of the died boat and forms the body. The inner hull is designed to resist the considerable water pressure and insulates the crew from the cold. This is where the crew works, eats, and sleeps. It also contains the engine room and the apparatus that makes clean air and clean water. Between the hulls are the ballast tanks for controlling buoyancy. There is a tall fin- shaped sail that comes up out of the hull. Inside the sail is the conning tower and extending from this to the fore, there is a periscope (through which the captain can see the sea and sky when the submarine is near the surface of the water). Sonar is used for navigation deep below the surface. The other projection from the conning tower is the radio antenna.

I. Underwater, there are two controls for steering the submarine. The rudder (like a tail fin) controls side-to-side movement, and diving planes influence rise and descent. There are two sets of diving planes: the forward sailplanes and the stem planes, which are located at the back with the rudder and propeller. Advancing technology will undoubtedly result in different shapes and modes of operation, and it is quite possible that, in the future, submarines will be manned by robots or computer technology that communicates information to land bases via satellite.



Questions 1-6. Answer the questions below.
Choose NO MORE THAN THREE WORDS from the text for each answer. Write your answers in boxes 1-6 on your answer sheet.

1. What kind of underwater device was used to investigate the ocean before submersible boats were invented?

2. What was the crewman of the first American-built submarine trying to do before his mission failed?

3. What gave the Nautilus the ability to remain submerged for a long time?

4. When was a submarine first used successfully to sink an enemy boat?

5. What new type of propulsion did Holland use on top of the water?

6. For what reason was Diesel’s fuel considered safer than Holland’s?



Questions 7-13 Label the diagram below.
Choose NO MORE THAN TWO WORDS from the text for each answer. Write your answers in boxes 7-13 on your answer sheet.

Reading Passage 2

You should spend about 20 minutes on Questions 14-26, which are based on Reading Passage 2 below.

Vitamins To supplement or not?

A. Mineral, vitamin, and antioxidant health supplements make up a multi-billion-dollar industry in the United States alone, but do they really work? Evidence suggests supplementation is clearly indicated in special circumstances, but can actually be harmful in others. For the general population, however, supplements have negligible or no impact on the prevention of common cancers, cardiovascular diseases, cognitive decline, mortality, or any other major indicators of health. In pursuit of a longer, happier and healthier life, there are certainly better investments for most people than a tube of vitamin supplements.

B. Particular sub-groups of the population can gain a proven benefit from supplementation. Folic acid has long been indicated as a prenatal supplement due to its assistance in fetal cell division and corresponding ability to prevent neural tube birth defects. Since Canada and the United States decided to require white flour to be fortified with folic acid, spinal birth defects have plummeted by 75%, and rates of neuroblastoma (a ravaging form of infant cancer) are now 50% lower. In countries without such fortification, or for women on low-carbohydrate diets, a prenatal multivitamin could make the crucial difference. The United States Department of Health and Human Services has concluded that the elderly may also benefit from extra vitamin D calcium can help prevent bone fractures, and zinc and antioxidants can maintain vision while deflecting macular degeneration in people who would otherwise be likely to develop this affliction.

C. There is mounting evidence, however, for many people to steer clear of multivitamins. The National Institutes of Health has noted “disturbing evidence of risk” in tobacco users: beta-carotene, a common ingredient in multivitamins, was found over a six-year study to significantly contribute to higher lung cancer and mortality rates in smokers. Meanwhile, excessive vitamin A (a supplement often taken to boost the immune system) has been proven to increase women’s risk of a hip fracture, and vitamin E, thought to improve cardiovascular health, was contraindicated in a study that demonstrated higher rates of congestive heart failure among such vitamin users. Antioxidant supplementation has no purpose nor does it achieve anything, according to the Food and Nutrition Board of the National Academy of Sciences, and the Medical Letter Group has gone further in suggesting they may interfere with treatment and promote some cancers. Antioxidants are generally regarded as counteracting the destructive effect of free radicals in the body, but according to the Medical Letter’s theory, free radicals may also serve the purpose of sending a powerful signal to the body’s immune system to fix the damage. By taking supplements, we risk undermining that message and upsetting the balance of antioxidants and free radicals in the body. The supplements counteract the free radicals, the immune system is not placed on alert, and the disease could sneak through the gates.

D. One problem with supplementation by the tablet is the poor record on digestibility. These tablets are often stocked with metal-based minerals that are essentially miniature rocks, and our bodies are unable to digest them. Even the vitamin elements of these pills that are theoretically digestible are often unable to be effectively extracted by our bodies when they arrive in such a condensed form. In Salt Lake City, for example, over 150 gallons of vitamin and mineral pills are retrieved from the sewer filters each month. According to the physician’s desk reference, only about 10% – 20% of multivitamins are absorbed by the body. The National Advisory Board is even more damning, suggesting that every 100mg of tablet corresponds to about 8.3mg of blood concentration, although noting that this can still potentially perform a helpful role in some cases. In effect, for every $100 you spend on vitamin supplements, over $90 of that is quite literally flushed down the toilet.

E. A final argument against multivitamins is the notion that they can lead people – consciously or not – to the conclusion that supplementation fills in the gaps of an unhealthy diet and mops up afterwards, leaving their bodies none the wiser that instead of preparing a breakfast of fresh fruit and muesli, they popped a tiny capsule with coffee and a chocolate bar. In a seven-year study, however, the Heart Protection study did not find any positive outcome whatsoever from multivitamins and concluded that while vitamins in the diet are important, multivitamin tablets are safe but completely useless. There is evidently no shortcut around the task of buying, preparing, and consuming fresh fruit and vegetables every day. Boosting, supplementing, and fortifying products alter people’s very perception of what healthy food is; instead of heading for the fresh produce aisle in the supermarket, they are likely to seek out sugary, processed foods with a handful of extra B vitamins as a healthy choice. We cannot supplement our way out of a bad diet.



Questions 14-16. Choose, the correct letter, A. B, C, or D. Write the correct letters in boxes 14-16 on your answer sheet.

14. The writer does not recommend multivitamin supplementation for ……………………
A. pregnant women.
B. young children.
C. anyone prone to eye problems.
D. old people.

15. According to the writer, vitamin E has been shown to ………………….
A. lead to heart problems.
B. be good for heart health.
C. support the immune system.
D. have no effect.

16. The Medical letter Group believes antioxidant supplementation ……………………..
A. is ineffective in attacking free radicals.
B. alerts the immune system to the presence of free radicals.
C. attacks both free radicals and the immune system.
D. prevents the immune system from responding to free radicals.

Questions 17-21
Do the following statements agree with the information given in Reading Passage 2?
YES, if the statement agrees with the views of the writer
NO, if the statement contradicts with the views of the writer
NOT GIVEN, if it is impossible to say what the writer thinks about this

17. Some multivitamin tablets have indigestible ingredients.
18. Some individual vitamins are better absorbed than others in a tablet form.
19. Our bodies cannot distinguish food-based from supplement-based vitamins.
20. Multivitamins can lead to poorer overall eating habits in a person’s life.
21. People typically know that fortified processed foods are not good for them.

Questions 22-26. Write the correct letter A, B or C, in boxes 22-26 on your answer sheet.

Classify the following groups of people according to whether they believe.

A. the supplementation may have a positive effect
B. the supplementation may have a negative effect
C. supplementation has no effect

22. The United States Department of Health and Human Services
23. The National Institutes of Health
24. The Food and Nutrition Board of the National Academy of Sciences
25. The National Advisory Board
26. The Heart Protection Group



Reading Passage 3

You should spend about 20 minutes on Questions 27-40, which are based on Reading Passage 3 below.

The Birth of Suburbia

A. There is no single pivotal moment that could be separated out from any other as the conception of the suburban lifestyle; from the early 1800s, various types of suburban development have sprung up and evolved in their own localised ways, from the streetcar suburbs of New York to the dormitory towns outside of London. It is William Levitt, however, who is generally regarded as the father of modem suburbia. During World War II, Levitt served in the United States Navy where he developed expertise in the mass construction of military housing, a process that he streamlined using uniform and interchangeable parts. In 1947, the budding developer used this utilitarian knowledge to begin work with his father and architect brother constructing a planned community on Long Island, New York. With an emphasis on speed, efficiency, and cost-effective production, the Levitts were soon able to produce over 30 units a day.

B. William Levitt correctly predicted the demand for affordable, private, quiet, and comfortable homes from returning GIS after World War II and with the baby boom starting to kick in. All the original lots sold out in a matter of days, and by 1951, nearly 18,000 homes in the area had been constructed by the Levitt fit Sons Company. Levit town quickly became the prototype of mass-produced housing, spurring the construction of similar projects in Pennsylvania, New Jersey, and even Puerto Rico, followed by a new industry, and soon a new way of life and a new ideal for the American family.

C. One of the major criticisms of suburbia is that it can lead to isolation and social dislocation. With properties spread out over great swathes of land, sealed off from one another by bushes, fences and trees, the emphasis of suburban life is placed squarely on privacy rather than community. In the densely populated urban settlements that predated suburbs (and that are still the predominant way of life for some people), activities such as childcare and household chores as well as sources of emotional and moral support were widely socialised. This insured that any one family would be able to draw on a pool of social resources from their neighbours, building cohabitants and family on nearby streets. Suburbia breaks these networks down into individual and nuclear family units resulting in an increase in anti- social behaviour even amongst the wealthy. Teens from wealthy suburban families, for example, are more likely to smoke, drink alcohol, and use drugs than their poorer urban peers, and are also more likely to experience depression and anxiety.

D. Another major problem with the suburban lifestyle is its damaging ecological impact. The comparison of leafy, quiet, and low-density suburbs with life in the concrete towers of sooty, congested urban conurbations is actually quite misleading; as it turns out if you want to be kind to the natural environment, the key is to stay away from it. Suburbia fails the environmental friendliness test on a number of counts. Firstly, due to their low population density, suburbs consume natural land at a much higher rate than high-density row housing or apartment buildings. Secondly, they encourage the use of personal motor vehicles, often at a rate of one per family member, at the expense of public transport. It is also much less efficient to provide electricity and water to individual suburban houses instead of individual units in an apartment building. In his comparison of urban and suburban pollution, Edward L. Glaeser concluded that we need to “build more sky towers – especially in California”. Virtually everywhere, he found cities to be cleaner than suburbs. And the difference in carbon dioxide emissions between high-density cities and their suburbs (for example, in New York) was the highest. Urban residents of New York can claim on average to produce nearly 15,000 pounds of carbon dioxide less than their suburban peers.

E. Another negative aspect of suburban life is its stifling conformity and monotony of social experience. It was not just the nuts and bolts and the concrete foundations of suburban houses that got replicated street upon street, block upon block, and suburb upon suburb; it was everything from the shops and cultural life to people’s hopes, dreams, and aspirations. Suburbia gave birth to the “strip mall”, a retail establishment that is typically composed of a collection of national or global chain stores, all stocked with a centrally dictated, homogenous array of products. The isolation and lack of interaction in suburbs have also encouraged the popularity of television, a passively receptive medium for the viewer that, in the early days at least, offered an extremely limited scope of cultural exposure compared with the wealth of experiences available in the inner city. Meanwhile, much of the inner-city “public sphere” has been lost with the suburban flight. The public sphere is the area of social life in which people come together to freely discuss and identify social problems. In the city, this has traditionally occurred around newsstands, in coffee houses, salons, theatres, meeting halls, and so on. Suburbia has not found a way to replace this special type of social experience, however. Social meeting points in the suburbs tend to be based exclusively around specific interests such as sports or cultural clubs, with no broad forms of daily social interaction.

F. These points do not suggest the idea of suburbia itself is flawed, but that it has not been executed in a way that takes into account the full spectrum of human needs and desires. This likely reflects the hasty, thrown-together nature of early suburban development. With the baby boom rippling across Western countries and demand for family-friendly housing skyrocketing, developers and city planners were unable to develop sophisticated models. Now, however, we should take time to consider what has gone wrong and how we can reconfigure the suburb. How can we imbue suburban life with the lost sphere of public discussion and debate? How can people maintain their after privacy without sacrificing a sense of community? How can we use new technologies to make suburbs environmentally friendly? These are questions for which the developers of tomorrow will have to find answers, lest the dream of suburbia become the nightmare of Disturbia.

Questions 27-31. Reading Passage 3 has six paragraphs, A-F. Which paragraph contains the following information?

Write the correct letter, A-F, in boxes 27-31 on your answer sheet.

27. A reason to construct taller buildings
28. Where people might discuss issues of societal concern in urban locations
29. The founder of what is broadly understood as contemporary ‘suburbs’
30. Examples of problems suffered by the youth that suburban lifestyle can make worse
31. A model for suburban development in the latter half of the 20th century



Questions 32-38
Do the following statements agree with the information given in Reading Passage 3?
YES, if the statement agrees with the views of the writer
NO, if the statement contradicts with the views of the writer
NOT GIVEN, if it is impossible to say what the writer thinks about this


32. A good principle for ecological preservation is to avoid human interference.
33. In some countries, the suburbs are more environmentally friendly than in the USA.
34. Suburban development fosters the use of both public and private forms of transport
35. People cannot relate to each other in the suburbs because their lives are too different.
36. There is not much variety amongst the goods at a strip mall.
37. Television has not tended to offer the same diversity as urban cultural outlets.
38. There are no ways for people to get together and interact in the suburbs.

Questions 39 and 40
Choose TWO letters, A-E.

Which TWO of the following does the author conclude?

A. The very concept of a healthy suburban lifestyle is problematic.
B. The speed of suburban growth has contributed to its imperfections.
C. By thinking about human and ecological needs, suburbs can become better places to live.
D. Developers will have to think about ways of living that do not require suburbs.
E. Suburbs have their downsides, but they are the best way for parents to raise children.

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