Tuesday, December 24, 2019

The book by Nicholas Orme - 1940 Words

The book by Nicholas Orme is an important study in the history of education of the medieval England. From the introduction, it mentions that this work has exceeded the expectations of many scholars who are familiar in this subject. The author presents a convincing case with a great understanding and hypothesis that education was relatively widespread in the times of medieval England. Orme believes that education was typically provided in the non-monastic settings and in most cases at the hands of teachers, and the subjects included many secular subjects such as business skills. However, many scholars before Orme thought that typical medieval schools were far and few with dominating focus’ in religion. Most of the common themes in historical discussions about medieval education made by Orme’s fellow scholars, now in the modern ages, have been proven false by Orme and his book. Particularly in reference to the thought that education was rare and an exclusive commodi ty that was typically available to the clergy and only very rich people. It is true that at some levels this happened to be unavoidable, but more specifically this happened in the times when the methods of production were primitive and the productivity of labor was extremely low. Orme shows that even bearing the smaller number of people in mind, for which education activities could be feasible, formal education was of good quality similar to modern education and readily available for any amount of studentsShow MoreRelated The Tale of Youth1709 Words   |  7 Pagesking’s household is the chief academy for the nobility of England. It provides schooling in athletics, moral integrity and good manners, through which the kingdom flourishes†¦Ã¢â‚¬  (Orme 153) Scholarly education in the academic fields was reserved for clerks, and the nobility was ridiculed if they spent their time with heads in books. The nobility â€Å"were indifferent to learning, and they preferred to stay that way.† (Hexter 2) Chaucer’s squire is â€Å"the ideal, the pedagogical goal towards which gentlemen†¦Read MoreDeveloping Management Skills404131 Words   |  1617 PagesSuzanne Duda Lead Media Project Manager: Denise Vaughn Full-Service Project Management: Sharon Anderson/BookMasters, Inc. Composition: Integra Software Services Printer/Binder: Edwards Brothers Cover Printer: Coral Graphics Text Font: 10/12 Weidemann-Book Credits and acknowledgments borrowed from other sources and reproduced, with permission, in this textbook appear on appropriate page within text. Copyright  © 2011, 2007, 2005, 2002, 1998 Pearson Education, Inc., publishing as Prentice Hall, One

Monday, December 16, 2019

Neo Natal Death In Jamaica Health And Social Care Essay Free Essays

Interviews and treatment groups will be held with female parents sampled from the major infirmaries located in Kingston. Participants will be twosomes who have experienced a perinatal loss within the last 6 old ages and the subsequent effects of this loss. Data will be coded thematically with specific mentions to country of abode, educational degree, ethnicity, phase of gestation loss and age. We will write a custom essay sample on Neo Natal Death In Jamaica Health And Social Care Essay or any similar topic only for you Order Now A Depression Inventory Scale will be a major instrument to help in finding the presence and degree of depression in some of these twosomes. Depending on the schemes that will be used to place sample countries and participants, the extent to which findings can be generalised may be limited. The survey will supply fresh penetrations into how adult females who have experienced perinatal loss would profit from intercessions to assist them through anxiety-filled gestations and trade with the stressors they may confront in life. Challenges or obstructions in this survey may include high rates of accompaniment amongst gestational age of loss and mental wellness before the loss, accompaniments of perinatal loss with other serious life hardships, age of oncoming, figure of populating kids and trouble in doing causal illations. Chapter 1: Introduction Background to the job Early gestation loss is a complicated psychological event that occurs in 12 % to 24 % of recognized gestations ( Carter D, Misri A ; Tomfohr 2007 ) . This is non the same as Neonatal or perinatal loss. Perinatal includes early neonatal loss every bit good as spontaneous abortions. Neonatal losingss are those babes born alive and decease within a hebdomad ( early ) or 28 yearss ( late ) . Still births are those babes which are born dead that likely would hold survived ( Feasible ) normally gestational age over 24weeks ( some still say 28 hebdomads ) or birth weight of more than 500grams. If you include losingss before this period so this includes self-generated abortions which would include the early gestation losingss above. Many of these are non even recognised, but many will hold a similar consequence on the adult female as you have pointed out above. Harmonizing to Carter et.al ( 2007 ) , adult females who have experienced perinatal deceases frequently have common mourning reactions, and while for most adult females, the strength and experience of these reactions diminishes over clip, a significant minority of adult females will develop long term psychiatric effects. Depression, symptoms of anxiousness, Obsessive Compulsive Disorder, and Post Traumatic Stress Disorder are the most normally reported psychological reactions to miscarriage. Harmonizing to Hutti ( 2005 ) , this loss is besides associated with self-destruction and matrimonial struggle. Although research has indicated that perinatal loss can ensue in serious upsets of depression and anxiousness, it has been noted that some adult females display important sums of resiliency ( Carter et.al, 2007 ) . Carter farther stated that the positive side of this resiliency may change harmonizing to the individual, household construction and the relationship with the male parent. Preliminary scrutiny of this job by Neugebeaur and Sergievsky ( 2003 ) indicates that there is a higher degree of depressive symptoms among adult females who have experienced a perinatal loss than among adult females who have non been pregnant within recent times. ( make you mean to utilize these adult females as controls for your survey? ) They postulated that depressive symptoms were more likely to be seen in the 6-8 hebdomad period following the loss, than those who did non hold a recent period of loss. Although age was a noteworthy factor in this survey, the womenaa‚Â ¬a„?s matrimonial position, figure of kids, ethnicity and educational degree did non significantly affect the consequences. This supports the necessity for deciding this job by turn toing the possibility of mental instabilities every bit good as turn toing other factors such as clip, which may impact the loss. The experience of a neonatal decease can be viewed as one of the many factors associated with psychiatric upsets in adult females. The primary aim of this survey is to larn more about the extent of this association and the clip frame in which the adult females are affected. ( Is your instrument able to separate the difference between exogenic depression ( which is the normal bereavement procedure we all go through with the loss of a loved one ) versus endogenous depression which is the psychiatric unwellness that can be triggered by the loss? Research inquiry / aim Are depression and anxiousness typical in adult females who experience neonatal deceases in Jamaica? ( Depression and anxiousness are normal responses to loss ) . The inquiry should be about true Endogenous depression and important anxiousness ( psychiatric jobs ) . Sub-Topics 1 ) Nature of the experience of the neonatal loss experience: gestational age ; 2 ) Factors that may predispose them to psychological effects: poorness, old mental wellness, any other environmental stressor ; 3 ) Possible get bying mechanisms after neonatal loss experience: cognition of cause of decease, affect on future gestation ; 4 ) The prevalence and extent of depression/psychological and psychiatric upsets in adult females after miscarriage/pregnancy loss. Purpose of the Study This survey originated as a part to informed argument on mental wellness public policy issues and to border intercessions that will convey hope to adult females who are surrounded by the challenges of their loss while they reenter society. The accomplishments of this survey should be: ( 1 ) to test at least 30 twosomes ( pilot survey, chief survey 250/300 topics ( How did you cipher this sample size? You should happen out how prevailing these factors are in pregnant adult females without gestation loss and so find what figure you need to acquire a important addition in Numberss over the expected ) ( Wissart et al 2005 ) , who have experienced neonatal loss at primary degree of intercession. ( 2 ) To supply therapy for twosomes who are sing terrible psychological hurt due to a neonatal loss. ( 3 ) To raise consciousness of the possible behavioral and societal issues of male parents who are considered the soundless spouses in this type of loss. In add-on, the survey is being driven by my personal experiences of three neonatal deceases over seven old ages and the deficiency of available intercession at the clip of the events and my preferable and successful agencies of covering with this challenge. Are you certain you want to acquire so personal? I would go forth this out even if this is what is you chief motive. This is your personal info and is non truly needed to acquire the survey accepted ) Significance of the survey The societyaa‚Â ¬a„?s concern with wellness refers to both mental and physical wellness. This survey sets out to understand the effects of this loss and the attendant traumatic consequences. The extent to which this loss affects twosomes, and the information garnered from this research will supply extra information sing the ensuing mental upsets to medical practicians, counsellors and mental wellness professionals. This cognition can help to supply solutions for effectual intercession sing the mental, societal and economic development of the affected twosomes and their households. By deriving an penetration of the job, the apprehension of mental wellness of adult females and their spouses will be addressed, with the male parents being recognized as a participant in the event of the loss. In lending to the pool of cognition, there will be insight to assist beef up households, and obtain the cooperation, understanding and support of others. Boundary lines and restrictions of the survey The comparatively little sample size and the schemes used to try countries and participants will restrict the extent to which findings can be generalized. Therefore, the survey should be repeated on a larger graduated table, with countries and participants being indiscriminately sampled. The survey will non try to find which of the environmental stressors has caused the job. The survey will non try to find which of the variables causes a greater consequence on the adult females. Significance of the survey The societyaa‚Â ¬a„?s concern with wellness refers to both mental and physical wellness. This survey sets out to understand the effects of this loss and the attendant traumatic consequences. The extent to which this loss affects twosomes, and the information garnered from this research will supply extra information sing the ensuing mental upsets, to medical practicians, counsellors and other mental wellness professionals. This cognition can help to supply solutions for effectual intercession sing the mental, societal and economic development of the twosomes affected and their households. By deriving an penetration of the job, the apprehension of mental wellness of adult females and their spouses will be addressed, with the male parents being recognized as a participant in the event of the loss. In lending to the pool of cognition, there will be insight to assist beef up households, and obtain the cooperation, understanding and support of others. Boundary lines and restrictions of the survey The comparatively little size of the sampling and the schemes used to try countries and participants, will do the extent to which findings can be generalised to be limited. Therefore, the survey should be repeated on a larger graduated table, with countries and participants being indiscriminately sampled. The survey will non try to find which of the environmental stressors has caused the job. The survey will non try to find which of the variables causes a greater consequence on the adult females. How to cite Neo Natal Death In Jamaica Health And Social Care Essay, Essay examples

Sunday, December 8, 2019

The Theme of Conflict in the First Six Chapters in Lord of the Flies free essay sample

The novel, Lord of the Flies by William Golding, is the book I have read recently. At the beginning Ralph and Jack like each other, but Jack’s aggressive and domineering nature makes him unable to accept Ralph’s leadership. Ralph is unable to understand Jack’s obsession with hunting and is furious with him when he lets the fire go out. Ralph is horrified by Jacks increasing savagery and is baffled and frustrated by the way he doesn’t care about the fire and rescue. He ends up screaming at Jack that he is â€Å"a beast and a swine†. When everybody meets each other for the first time they have a vote on who will be the leader. Ralph was chosen and I think when Jack realised he hadn’t been picked he changed into a different person, wanting to rule everyone on the island. I think that there only can be one leader as with any more it will be impossible for them to get along and agree with each other. We will write a custom essay sample on The Theme of Conflict in the First Six Chapters in Lord of the Flies or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page Especially if the two are not very similar like Jack and Ralph. It’s almost like my mum and dad, as I think my mum has more control over me when really they should be the same. At the beginning Jack says that they should have rules and if anyone breaks them they will be punished. Later on in the book he is contradictory because he doesn’t obey the rules, â€Å"bollocks to the rules†. This civilisation verses savage causes many problems between Jack and Ralph. They both want fire but for different reasons. Ralph wants it for rescue and the one thing that Jack cares about is for cooking the meat. On the other hand it was ironic that the officer came to the island because of Jack, as he set the island on fire. Ralphs view of Piggy changes. At first, Ralph doesn’t take him seriously and makes fun of him like the others, but he gradually comes to realise Piggys’ good qualities. When Jack realises Ralph is friends with Piggy the conflict between them increases and it drives Jack mad. Ralph learns to respect Piggy’s intelligence which Jack couldn’t handle. This again emphasises the fact that they both can’t be leader as they don’t think the same and are not very similar. Ralph represents order and composure in society. Eventually Jack grew tired of Ralph being in charge. He let the barbarism inside of him transform him into a savage-like creature and he went on a rampage, destroying the makeshift civilization the boys worked so hard to create. This made it hard for everyone to stay civilized and it caused a lot of arguments between Jack and Ralph. So they are both completely different characters and I think they will never get along.

Saturday, November 30, 2019

On August 14, 1851 In Griffin, Georgia, John Henry Holliday Was Born T

On August 14, 1851 in Griffin, Georgia, John Henry Holliday was born to Henry Burroughs and Alice Jane Holliday. Their first child, Martha Eleanora, had died on June 12, 1850 at six months of age. When he married Alice Jane McKay on January 8, 1849, Henry Burroughs was a druggist by trade and, later became a wealthy planter, lawyer, and during the War between the States, a Confederate Major. Church records state: "John Henry, infant son of Henry B. and Alice J. Holliday, received the ordinance of baptism on Sunday, March 21, 1852, at the First Presbyterian Church in Griffin." Alice Jane died on September 16, 1866. This was a terrible blow to young John Henry for he and his mother were very close. To compound this loss, his father married Rachel Martin only three months later on December 18, 1886. Shortly after this marriage, the Holliday family moved to Valdosta, Georgia. Major Holliday quickly became one of the town's leading citizens, becoming Mayor, the Secretary of the County Agr icultural Society, a Member of the Masonic Lodge, the Secretary of the Confederate Veterans Camp, and the Superintendent of local elections. Because of his family status, John Henry had to choose some sort of profession and he chose dentistry. He enrolled in dental school in 1870 and attended his first lecture session in 1870-1872. Each lecture session lasted a little over three months. He served his required two years apprenticeship under Dr. L.F. Frank. On March 1, 1872, the Pennsylvania College of Dental Surgery in Philadelphia conferred the degree of Doctor of Dental Surgery upon twenty-six men, one of whom was John Henry Holliday. Upon completion of his training and graduation, Dr. Holliday opened an office with a Dr. Arthur C. Ford in Atlanta in 1872. Then, because of the session of the Southern Dental Association, Dr. Arthur C. Ford, D.D.A. was unable to serve patients, until the middle of August. Taking his place was Doc Holliday. John was a good dentist, but shortly after starting his practice, he discovered that he had contracted tuberculosis. Although he consulted a number of doctors, the consensus of all was that he had only months to live. However, they all concurred that he might add a few months to his life if he moved to a dry climate. Following this advice, Doc packed up and headed West. His first stop was in Dallas, Texas, the end of the railroad at the time. The date was October 1873, and Doc soon found a suitable position as an associate of Dr. John A. Seegar. He hung out his shingle and prepared for business, but his terrible illness was not through with him. Coughing spells wracked his thin frame and often occurred at the most embarrassing times, such as in the midst of filling a tooth or making an extraction. As a result, his dental business gradually declined. John soon had to find other means of earning a livelihood. It became apparent that he possessed a natural ability for gambling and this quickly became his sole means of support. In those days, a gambler in the west had to be able to protect himself, for he stood alone. Holliday was well aware of this and faithfully practiced with six-gun and knife. His next stop was Jacksboro over in Jack's County, where he found a job dealing Faro. Jackson was a tough town situated near an army post. Not to be outdone, Doc now carried a gun in a shoulder holster, one on his hip and a long, wicked knife as well. Reports confirm the fact that he was becoming an expert with these weapons as he was involved in three gunfights in a very short span of time. One of these left another dead man to Doc's credit. Since this was a pretty wild section of the West at that time, no law action was taken against him. During the summer of 1876, Holliday again became a participant in a gunfight. On this occasion, he was careless enough to kill a soldier from Fort Richardson. Since the US Marshals, Texas Rangers, and local lawmen were on Doc's tail, he drifted on to Wyoming, then to New Mexico and from there to Fort

Tuesday, November 26, 2019

Cell Transport Mechanisms and Permeability Using Physioex Essay Example

Cell Transport Mechanisms and Permeability Using Physioex Essay Example Cell Transport Mechanisms and Permeability Using Physioex Paper Cell Transport Mechanisms and Permeability Using Physioex Paper This enables nutrients to enter the cell, while keeping unwanted substances out. Active transport requires that the cell provide energy in the form of TAP to power the transport of substances through the membrane. During passive transport the substances move through the plasma membrane because of pressure or concentration differences between the interior and exterior of the cell. Facilitated diffusion relies on carrier proteins, and occurs when molecules are either not lipid soluble or are too large to pass through the pores of the membrane. Solutes have to combine with the carrier proteins in the membrane, ND then they can be transported down the concentration gradient. Filtration is the movement of solute and water molecules across a membrane due to a pressure gradient. Active transport occurs when substances are not moving along the concentration gradient, are not lipid soluble, or are too large to pass through the membranes pores. The first experiment involves the facilitated diffusion of glucose. This simulation depicts the varied rates of diffusion for glucose with differing numbers of glucose carrier proteins. As the number of glucose carrier proteins increases the rate of diffusion also increases. The second experiment simulates alteration of sodium, urea, glucose, and powdered charcoal. These substances filtrate across the membrane as a result of pressure differences between the two sides of the membrane. During simulation, the pressure is altered to examine how rate of diffusion changes with the pressure change. Experiment three depicts the active transport of An+ and K+ across the membrane using sodium- potassium pumps and AT P. TAP is altered between simulation runs to see how this affects the rates. Materials Human Anatomy Physiology Laboratory Manuel Physique 8. 0 Physiology Lab Simulation Program Computer Method Activity 2: Simulating Facilitated Diffusion In the stimulating facilitated diffusion experiment, I used the Physique 8. 0 Physiology Lab Simulation Program on a computer and the Human Anatomy and Physiology Laboratory Manuel. I set the glucose carrier proteins in the membrane to 500. I adjusted the glucose concentration in the left beaker to 2. 0 mm and dispensed only denizen water in the right beaker. The timer was set for 60 minutes. After clicking the start button, I was able to observe concentration changes between the two beakers. This same procedure was done two more times, but I changed the number of carrier proteins to 700 on Run 2 and then 900 in Run 3. The next three simulation runs were done using 8. 0 mm of glucose concentration in the left beaker and denizen water only in the right beaker. Run 4 was done using 500 carrier proteins, Run 5 used 700 carrier proteins, and Run 6 used 900 carrier proteins in the membrane. All data was recorded. Activity 4: Simulating Filtration In the simulating filtration experiment, I used the Physique 8. Physiology Lab Simulation Program on a computer and the Human Anatomy and Physiology Laboratory Manuel. I adjusted the dialysis membrane in the first run to 20 MOOCOW. The membrane was placed between the top and bottom beaker. I then dispensed 5. 0 MGM/ml of Nasal, urea, glucose, and powdered charcoal into the top beaker. The pressure unit atop the beaker was set to 50 me g. The timer was set to 60 minutes, and then the start button was pushed to begin. After simulation, the membrane was analyzed to detect solute residue using the Membrane Residue Analysis Unit. Simulation Runs 2-4 were also done the same way using 50 meg of pressure and 5. MGM/ml of Nasal, urea, glucose, and powdered charcoal dispensed in the top beaker. However, with each run, I changed dialysis membranes. During Run 2, I used the 50 MOOCOW dialysis membrane, Run 3 used 100 MOOCOW, and Run 4 used 200 MOOCOW. After each run the Membrane Residue Analysis Unit was used to detect any residue present on the membrane, and all data was recorded. Activity 5: Simulating Active Transport In the stimulating active transport experiment, I used the Physique 8. 0 Physiology Laboratory Manuel. I used the membrane builder to adjust the sodium-potassium pumps to 500 and the glucose carriers to 500. The membrane was placed between the two beakers. The Nasal concentration in the left beaker was set to 9. Mm and dispensed. KICK concentration in the right beaker was set to 6. 00 mm and dispensed. The TAP dispenser on top of the beakers was set to 1. 0 MM and dispensed. The timer was set to 60 minutes. I pushed the start button, and watched as solute concentrations of sodium and potassium changed between the two beakers. In Run 2 the same procedures were done again, but this time using an TAP concentration of 3. 00 mm. During Run 3, 9. 00 mm of Nasal was dispensed in the left beaker and 10. 00 mm of Nasal was dispensed in the right. TAP concentration was set to 1. Mm. I recorded data after each simulation run. Results Activity 2: Simulating Facilitated Diffusion When glucose carriers in the membrane were set to 500, the glucose transport rate for 2. 00 mm of glucose was . 008 ram/min. Equilibrium was reached at 43 minutes. At 700 glucose carriers the rate was . 0010 mm , and equilibrium was reached at 33 minutes. When the glucose carriers was set at 900 the rate was . 012 mm/min, and equilibrium was reached at 27 minutes. After changing the glucose concentration to 8. 0 mm, the glucose transport rate with 500 carrier proteins was . 023 mm/min, and equilibrium was reached at 58 minutes. With the simulation set at 700 carrier proteins the rate was . 0031 mm/min, and equilibrium was reached at 43 minutes. When the simulation was done with 900 carrier proteins the glucose transport rate was . 038, and equilibrium was reached at 35 minutes. Results Activity 4: Simulating Filtration With all solutes set at a concentra tion of 5. 00 MGM/ml and the MOOCOW set at 20, filtration stopped at 60 minutes, and the projected completion was 100 minutes. The residue analysis indicated all solutes present in the dialysis membrane. The filtrate concentrations for all solutes was 0. 00 MGM/ml. With all solutes set tat concentration of 5. 00 MGM/m and the MOOCOW set at 50, the filtration completed in 40 minutes. The residue analysis indicated all solutes present in the dialysis membrane. The filtrate concentration for Nasal was 4. 1 MGM/ml, and 0. 00 MGM/ml for all remaining solutes. With all solutes set tat concentration of 5. 00 MGM/ml and the MOOCOW set at 100, the filtration completed in 20 minutes. The residue analysis indicated all solutes present in the dialysis membrane. The filtrate concentration for Nasal was 4. 1 MGM/ml, urea was 4. 74 MGM,ml, glucose was 0. 00 MGM/ml, and powdered charcoal was 0. 00 MGM/ml. With all solutes set at a concentration of 5. 00 MGM/ml and the MOOCOW set at 200, the filtration completed in 10 minutes. The residue analysis indicated all solutes present in the dialysis membrane. The filtrate concentration for Nasal was 4. 4 MGM/ml, urea was 4. 74 MGM/ml, glucose was 4. 39 MGM/ ml, and powdered charcoal was 0. 00 MGM/ml. Results Activity 5: Simulating Active Transport In this experiment the left beaker represented the interior of the cell and the right beaker represented the exterior. With the addition of AT P, sodium was able to cross from the interior to the exterior using the sodium-potassium pumps. As TAP was increased from 1. 00 mm to 3. 00 mm, the rate of transport for both An+ and K+ increased. No transport took place when 9. 00 mm of Niacin was dispensed in the left beaker and 10. Mm of Nasal was dispensed in the right beaker. Discussion The purpose of the first experiment was to see how carrier proteins affect diffusion of the solute, glucose, across the membrane. Glucose can not cross a membrane without assistance from carrier proteins because it is not lipid soluble and is also too large to pass through the membranes pores. Solute transport varied depending on the amount of carrier proteins available for the glucose. As seen in the experiment results, the rate of facilitated diffusion increased each time the number of protein carriers increased. Equilibrium was also achieved sooner as the number of protein carriers increased. The rate of diffusion slowed down when the concentration of glucose was increased, but the number of glucose carriers stayed the same. For example at 500 glucose carriers, when the concentration of glucose was 2. Mm the rate was . 0008, and when the concentration of glucose was 8. Mm the glucose transport rate was . 0023. I noted that it took 43 minutes to reach equilibrium at a 2. Mm concentration, and it took 58 minutes to reach equilibrium at a 8. 00 ram concentration. The objective of Activity 4 was to observe how Nasal, urea, glucose, and powdered charcoal passed through a dialysis membrane. The membranes molecular weight cut off (MOOCOW) affected the rate of filtration. As the membranes MOOCOW increased from 20 to 200, the rate of filtration increased as well. Excluding powdered charcoal, solute concentrations in the filtrate increased as the MOOCOW got larger. Filtration occurs because of pressure differences between the two beakers and the pore size of the dialysis membrane. This, for example, simulates the hydrostatic pressure difference from the interior and exterior of a cell and also pore size of cell membrane. The pressure in these simulations stayed set at 50 meg, but the MOOCOW changed. The larger the MOOCOW, the larger the poor size and the solute that could pass through the membrane. During the 60 minute interval, all solutes failed to pass through the membrane when the MOOCOW was 20. Powdered charcoal was the only solute that could not filter through the dialysis membrane no matter the number of the molecular weight cutoff. This could indicate that powdered charcoal needed a higher pressure in order to pass through the membrane or a higher MOOCOW. Nasal was the solute that filtered the best through the membrane at a molecular weight cut off above 20. After each run the Membrane Residue Analysis was seed, and it detected solute residue in the membrane every time. This indicated that there was solute substances that could not filter through the membrane to the lower beaker, instead the solutes remained in the dialysis membrane. In Activity 5, I experimented with the active transport of An+ and K+. I observed that more An+ and K+ moved better through the membrane when more TAP was dispensed. In the second run when 3. 00 mm of TAP was dispensed, all of K+ filtered from the right beaker into the left. This simulated that in the body all of K+ would have crossed from the exterior of the cell into the interior using the odium-potassium pumps.

Friday, November 22, 2019

How to Conjugate Reconnaître (to Recognize) in French

How to Conjugate Reconnaà ®tre (to Recognize) in French When you want to say I recognized or we will recognize in French, youll use the verb  reconnaà ®tre. In order to change it into the past or future tense, however, you will need to know its conjugations. This may not be the easiest French lesson, but we will show you how to form the essential forms of  reconnaà ®re  that youll need. The Basic Conjugations of  Reconnaà ®tre In French, there are easy verb conjugations and some that are more of a challenge. Reconnaà ®tre falls into the latter category. Thats because it is an irregular verb, so it does not follow a common rule in the conjugations. However, nearly all French verbs ending in -aà ®tre are conjugated this way. If you study a few together, each can be a little easier. For  reconnaà ®tre, the verb stem (or radical) is  reconn-. To this, you will add a variety of endings that match both the subject pronoun and the tense. This chart will help you learn the basics, including the common present, future, and imperfect past tenses. As an example, I recognize is  je reconnais  and we will recognize is  nous reconnaà ®trons. Practicing these in context will help you memorize them. Present Future Imperfect je reconnais reconnatrai reconnaissais tu reconnais reconnatras reconnaissais il reconnat reconnatra reconnaissait nous reconnaissons reconnatrons reconnaissions vous reconnaissez reconnatrez reconnaissiez ils reconnaissent reconnatront reconnaissaient The Present Participle of  Reconnaà ®tre The  present participle  of  reconnaà ®tre  is  reconnaissant. It is a verb, though there are some circumstances in which you can use it as an adjective or noun as well. Reconnaà ®tre  in the Compound Past Tense The compound past tense in French is called the  passà © composà ©. It requires use of the  past participle  reconnu  and the present tense conjugate of the auxiliary verb  avoir. For example, I recognized is  jai reconnu  and we recognized is  nous avons reconnu. More Simple Conjugations of  Reconnaà ®tre When youre unsure if you recognize something, you might use  the subjunctive verb mood. On the other hand, if youll only recognize something if something else happens, you can use  the conditional. In formal literature, you will find either the passà © simple  or  the imperfect subjunctive  forms of  reconnaà ®tre. Subjunctive Conditional Pass Simple Imperfect Subjunctive je reconnaisse reconnatrais reconnus reconnusse tu reconnaisses reconnatrais reconnus reconnusses il reconnaisse reconnatrait reconnut reconnt nous reconnaissions reconnatrions reconnmes reconnussions vous reconnaissiez reconnatriez reconntes reconnussiez ils reconnaissent reconnatraient reconnurent reconnussent The French imperative  drops all formality and skips the subject pronoun. When using  reconnaà ®tre  in direct statements, you can simplify it from  tu  reconnais  to  reconnais. Imperative (tu) reconnais (nous) reconnaissons (vous) reconnaissez

Thursday, November 21, 2019

Functional, Matrix and Pure Project Organizational Structures Essay

Functional, Matrix and Pure Project Organizational Structures - Essay Example A well-defined organizational structure makes the employees and the managers aware of their roles and responsibilities regarding completion of the missions. Let us now discuss three primary project management organizational structures in order to get a better understanding of the situations in which each of these structures serves best to manage the project teams. Functional Organizational Structure Functional organizational structure is the most commonly used form of structures in which the decision-making authority remains at the top management level and the projects are assigned to the functional units based on the types of the projects. In functional organizational structure, there is the strong concept of subordination and the focus of the management is towards jobs. The function-based jobs, which are similar in nature, are grouped together in such a way that they form a separate department. In functional organizational structure, the employees of each department have a unique s et of roles and responsibilities, which make their duties different from the employees of other departments. For example, the employees of the human resource department perform the tasks of hiring and training, whereas the employees belonging to the operations department deal with different types of business operations, activities, and functions. Some of the main characteristics of the functional organizational structure include a well-defined chain of command, the formation of separate departments, strong concept of subordination, centralized decision-making, concentrated leadership, professional similarities between the employees belonging to any specific department, well-defined progress path for the employees, and clearly defined roles and responsibilities. Along with many considerable benefits, there also exist some negative aspects of the functional organizational structure. Some of the most negative aspects include the bureaucratic style of decision-making, inefficient proble m solving among the employees, lack of client focus, the ineffective flow of communication between any two departments of the company, narrow vision of organizational goals and objectives. The situation where the functional organizational structure can be the best method to manage a project team is one in which increased efficiency of the workforce is required. This type of organizational structure works best in stable work environments where the managers do not change the business strategy or approach towards the completion of mission very frequently. Therefore, if managers of a company need to complete a project by the given deadline without changing the business strategy, functional organizational structure can be the best option because in this situation, employees of all departments are aware of their roles and responsibilities and the hired specialists can share their knowledge and experience for the completion of the projects. Matrix Organizational Structure The matrix organi zational structure is the most commonly used form of organizational structures for the project-based teams. It is basically the merger of functional and pure project organizational structures.

Tuesday, November 19, 2019

Macroeconomics Essay Example | Topics and Well Written Essays - 2500 words - 3

Macroeconomics - Essay Example The outcome of these models is a comprehensive understanding of the business cycles and the economic growth in the long run and the short run respectively. These results in turn help the government and the central bank of the economy to determine the policies that would be ideal for an economy in a particular scenario. The government of a country and the central bank act as the major policy making bodies in an economy and thus their roles in the molding of the economic system of a country are quite significant. This essay analyses some of the popular macroeconomic models that have been widely discussed over a long period of time. The analyses have been supported by the relevant figures, graphs and mathematical representations. However, before discussing the macroeconomic models it is essential to enumerate the basic concepts that would come up in any macroeconomic discussion. The most important macroeconomic variable is the national income of a country. It is the value added of the total goods and services produced in the specific duration of time. The total output translates to the income and therefore the national income is identified with the Gross Domestic Product of the economy (Arnold 113). The progress of an economy depends on the growth rate of this GDP. But there may not be a consistent level of growth in an economy. The variation in the growth rates are caused by the changes in the business cycles. The fall in the national product during any such cycle can be termed as recession. The other important variables include the rate of unemployment. This is the number of people in the economy who have the potential to get employed but have remained unemployed. On the other hand the increase in the price level of the economy is termed as inflation (Rossi 121). The monetary policy of an economy is a measure to control this

Saturday, November 16, 2019

Violent video game Essay Example for Free

Violent video game Essay Violent video games are successfully marketed to youth and are easily obtained regardless of age and easily obtained by children and adolescents. Violent video games become top best sellers because violent video games are popular with male and female children, adolescent, and adults. Even the U. S. government sees through this point; they have created and distribute the violent game like America’s Army to youth without checking the ages of which whom can download this game from the internet or can be obtained from recruiting offices. The main factor studies of violent video games that conclude with a general discussion of several key issues, including: developmental issues, game effect on children, average time child spend playing video game, beneficial environmental effects, and bias towards violent video games. Video games have become a ubiquitous form of entertainment in the United Stated; they are behind only television in popularity. Video game first emerged in the 1970s, but it was during the 1990s, that violent games truly came of age. Starting in the late 1980s, video game producers experimented with what the public would accept in video games. Gradually it became clear that games sold better if the contained more violence, such as: a fighting game one-on-one like Double Dragon, Mortal Combat, or Street Fighter games became all time best sellers (Anderson 6). The second most popular from entertainment after television, video games have rapidly became the largest segment of the entertainment industry, taking in 6. 3 dollars to 8. 8 billion dollars in 1998, compared with 5. 2 billion dollars in Hollywood box office receipts. For now, video game can be played at home on a computer or a television, which more option choice to become top market in America (Espejo 9). For that reason, the violence in video games is cause for concern. Numerous studies have found a correlation between violent video games and increased aggression in children. In addition, several popular video games may be teaching children how to kill by simulating the techniques used to train soldiers for combat. The skills acquired from these games are tragically evident in recent school shootings perpetrated by teens who were heavy users of video games (Espejo 9). Therefore, the Federal Court of Appeals decided to ban the sell or rental the violent video games to minors. According to Kenny Knudson, twelve years old boy, said even the government or his parent did not allow him to rent or buy violent video games, but he would properly find it at his friend’s house (â€Å"Violent Video Games and Kids Ruling. ). To protect children from violence, parents should carefully consider a suitable rating game for their children. If parents and rating systems do not prevent these games from falling into the wrong hands then banning them is a step that needs to be taken. Video games can have both positive and negative impacts on children. According to Douglas A. Centie, the video games have both positive and negative effect on children and that parents need to be aware of each. The positive effect from games on children is highly motivating. Video games are natural teachers, and they provide repeated practice for skillful play. Video games have been shown to teach children the attitudes, skills, and behaviors that they were designed to teach. They also can have negative effect. According research by Centie, time spent playing video games has negative correlation with academic performance. Playing violent games has a positive correlation with antisocial and aggressive behavior. Content analyses show that a majority of games contain some violence. A majority of fourth to eighth-grade children prefer violent games (Hamilton 24-25). Parents need to set limits on the time their children spend playing games and make sure the content of games is suitable for the child. The average time children spend playing video games has been increasing since 1980. In the mid-1980s, children averaged about four hours a week playing video games, and in early 1990s, the average amount was still fairly low. In result, girls spent time about two hours of home play per week, and about four hours of home play per week for boys. By the mid 1990s, home use had increased for fourth-grade girls to 4. 5 hours per week, and to 7. 1 hours per week for fourth-grade boys. This same sample of fourth-graders reported that most of their favorite video games were violent. According to recent national surveys of parents, school-age children devote about seven hours per week playing video games. In a recent survey of over six-hundred eighth and ninth- grade students, children averaged nine hours per week of playing video game by averaging thirteen hours for boys and five hours per week for girls, and it seems to be increasing every year (Anderson 7). It became clear that both boys and girls are spending more time with video games. Video games are highly beneficial because they give children a unique interactive learning environment and far from harmful. The interactive element of video games benefits children because it imparts the fundamental thinking skills needed for creativity and problem solving. Playing video games is inherently similar to interactive activities such as chess or playing the piano except that video games are stigmatization of video games ultimately discourages children from learning (Espejo 53). David Deutsch believes games are far from harmful, he asked, â€Å"Why do so many adults hate them? What evidence is there that there is anything bad about them? (Espejo 54)† Violent video games have the correlations between video games and violent behavior can be explained by being attracted from violent entertainment. According to Ron Wilburn, he believes video game violence is harmless fantasy, and it is not a main factor in youth violence. Children raised in households where they are treated with respect are able to differentiate between fantasy and reality (Biscontini). In the following, Christopher J. Ferguson argues that violent video games do not cause people to be violent. According to his research, there is no good evidence linking violent video games with aggression, violent behavior or any other key word of â€Å"harm. † He consistently found that violent games are not related to violent criminal behaviors or aggression. Frequent players of violent video games are no more likely to commit violent crimes that non-gamers (Hamilton). In addition, if video games do cause juvenile to be violent, then violent crime should be more increased as youth play violent video games, but the rate for juvenile violent crimes has fallen 49. 3 percent between 1995 and 2008, while video game sales have became top in the same period(Video Games ProCon. org. ). Parents need to be involved with their children; it is good for he or she to think and learn to understand and teach his or her children to avoid and not to follow evil side that come with the game’s story. Violent video games have been blamed for school shootings, increases in bullying, and violence towards women. There are two example incidents in Japan that people put the blame on games when it came to violent action. Reported by BBC news in June 2008, Tomohiro Kato, a twenty-five years old guy, drove a large white van on the side of the road at a busy intersection in the Akihabara district of Tokyo, and he went after the crowd and tried to kill them. The second incident, at the same year in January, a sixteen years old boy attacked five people with kitchen knives. Two people injured from the attacking in a Tokyo shopping street. Reports say it is still a little early to say what provoked the attack, but the police point these incidents might be caused from imitation to action games because both of them like playing video game (Hogg). Does game really become a conclusion for violent action status? There is some limited evidence that explicit discussions with children and adolescents about the harmful effects of media violence and the inappropriateness of aggressive and violent solutions to interpersonal conflicts, and practice at thinking about potential nonviolent solutions to conflict, all guided by parents or other adult authority figures, might reduce the harmful effects of exposure to media violence. Furthermore, parents who merely play violent video game with their children are likely to make matter worse, rather than better. Additionally, suppose children are for some reason unhappy with their daily’s life. Playing video games is something they never get from real life. It is not the video game that is doing them harm, it is that they have been funneled down a blind alley and not let out. The thing to do is to let them out by not stealing his last remaining source of joy and learning. Parents should offer them something which they might prefer, try conversation, try anything; if that does not work, do not blame the video game. Be thankful that there is still something good in the children’s life, to tide them over. However, parents or guardians are responsible for knowing if their children are able to handle violent video games without resorting to violence in reality. Parents should use the right power to lead their children play the right rating video game because video game play can and does have effects of both positive and negative attitudes and behaviors. Works Cited Anderson, Craig Alan, Douglas A. Gentile, and Katherine E. Buckley. Violent Video Game Effects on Children and Adolescents: Theory, Research, and Public Policy. Oxford: Oxford UP, 2007. Print. Biscontini, Tracey Vasil. Youth Violence. Greenhaven Press: Detroit, 2007. Print. Haugen, David M. Video Games. Detroit: Greenhaven/Thomson Gale, 2008. Print. Espejo, Roman. Video Games. Greenhaven Press: San Diego, 2003. Print. Hamilton, Jill. Video Games. Detroit: Greenhaven, 2011. Print. Video Games ProCon. org. Video Games ProCon. org. ProCon. org. 13 Mar. 2012. Web. 05 Apr. 2012. . â€Å"Violent Video Games and Kids Ruling. Consumer Watch. KSBW. 9 Feb. 2009. Television. Hogg, Chris. Bewilderment in Tokyo after Attack. BBC News. 6 Aug. 2008. Web. 5 Apr. 2012.

Thursday, November 14, 2019

The Ambiguity in Hawthornes Young Goodman Brown Essays -- Young Goodm

The Ambiguity in â€Å"Young Goodman Brown†      Ã‚  Ã‚     The literary critics agree that there is considerable ambiguity in Nathaniel Hawthorne’s â€Å"Young Goodman Brown.† This essay intends to illustrate the previous statement and to analyze the cause of this ambiguity.    Henry James in Hawthorne, when discussing â€Å"Young Goodman Brown† comments on how imaginative it is, then mentions how allegorical Hawthorne is, and how allegory should be expressed clearly:    I frankly confess that I have, as a general thing, but little enjoyment of it, and that it has never seemed to me to be, as it were, a first-rate literary form. . . . But it is apt to spoil two good things – a story and a moral, a meaning and a form; and the taste for it is responsible for a large part of the forcible-feeding writing that has been inflicted upon the world. The only cses in which it is endurable is when it is extremely spontaneous, when the analogy presents itself with eager promptitude. When it shows signs of having been groped and fumbled for, the needful illusion is of course absent, and the failure complete. Then the machinery alone is visible and the end to which it operates becomes a matter of indifference (50).    When one has to grope for, and fumble for, the meaning of a tale, then there is â€Å"failure† in the work, as Henry James says. This unfortunately is the case of â€Å"Young Goodman Brown.† It is so ambiguous in so many occasions in the tale that a blur rather than a distinct image forms in the mind of the reader.    The Norton Anthology: American Literature states in â€Å"Nathaniel Hawthorne†:    Above all, his theme was curiosity about the receses of other men’s and women’s beings. About this theme he was always ambivalent ... ..., Nathaniel. The Complete Short Stories of Nathaniel Hawthorne. New York: Doubleday and Co., Inc.,1959.    James, Henry. Hawthorne. Ithaca, NY: Cornell University Press, 1997.    Lang, H.J.. â€Å"How Ambiguous Is Hawthorne.† In Hawthorne – A Collection of Critical Essays, edited by A.N. Kaul. Englewood Cliffs, NJ: Prentice-Hall, Inc., 1966.    Martin, Terence. Nathaniel Hawthorne. New York: Twayne Publishers Inc., 1965.    Melville, Hermann. â€Å"Hawthorne and His Mosses.† In The Norton Anthology: American Literature, edited by Baym et al.   New York: W.W. Norton and Co., 1995.      Ã¢â‚¬Å"Nathaniel Hawthorne.† The Norton Anthology: American Literature, edited by Baym et al.   New York: W.W. Norton and Co., 1995.    Wagenknecht, Edward. Nathaniel Hawthorne – The Man, His Tales and Romances. New York: Continuum Publishing Co., 1989.      

Monday, November 11, 2019

Moving to the Foreign Contry

Abdurashid Abdukhamidov ENG-095 Gina Love Cause/Effect Paragraph 30th October, 2012 Moving to the Foreign Contry Nowadays, as a result of looking for better conditions of life many people have been moving from their own city to another cities or countries. People in all over the world are developing the necessity to find their happiness, education, and a better work. Changing the place of environment or basically just moving to another country can affect people in many different ways.The very first and one of the most common reasons is an education. Since, people are looking to a better education, they move to a country that can give them the possibility to be a good professional in the specific sphere of major/science. Also, the educational facilities and competencies of the schools in other countries may be better than the ones available in the hometown countries. There are some countries that have most developed and very famous universities in the world. Also read: Disadvantages of Foreign WorkersAlso, in some of the specific countries of the world, education is better improved and developed than the other ones. Younger generation nowadays, is mostly looking for the better and tougher way of gaining knowledge. Obviously, the qualified university is being the better choice for any student. Statistic shows that most of the immigrants made their immigration with the purpose of studying abroad. Also, the diploma of the foreign countries are more acceptable than the ones with lower rating and feedbacks.Foreign diploma gives students opportunity to get a better job, and make a way much better salary. Other most important advantages are self-development and learning the foreign language. Living away from hometown, makes people more confident and independent. People who moved to another country need to take care of every single thing by themselves. They are all responsible how to organize their lives, how to make a plans to achieve their goa l of immigrating from their hometown into another. Also, people should be able to communicate with others.In order to build the communication with others, immigrants should learn the language of that country, and be able to use that language in the correct way. Apart from that, the language has different grammar or pronunciation, so immigrants should study a lot of things. Thirdly, it’s important for immigrants to be adapted to the foreign culture and traditions. No one should ignore or stereotype the other’s culture and traditions, and showing respect and greeting are the most important responsibilities of every single immigrant. Immigrants need to develop themselves to an unknown condition of life.Making new friends, respecting other’s opinions, developing their own point of views, accepting cons and pros of the living condition in another country can be a key to achieve their goals and make their causes of immigrating realized. These all can also count as an example of a knowledge of the life in general. Living far from hometown, even for a short period of time, can be really hard at the beginning. From general point of view, all changes make difficulties, but most of the time, changes give people opportunity to understand the value of everything and be appreciated.

Saturday, November 9, 2019

Faith in Humanity

Faith in Humanity Essay Faith in humanity is when a person has a belief that humans cannot do something so terrible, like burning people in mass ovens, because they are humane. This belief was used against the Jews, as well as the public, in the time of the Holocaust for Hitler’s benefit to pull a blind over their eyes in early stages of the Holocaust. There are many examples of faith in humanity from what was presented during this unit as well as belief of faith in humanity in modern day Thailand.Faith in humanity was a practice that crippled the Jews into believing that the Nazis couldn’t, and wouldn’t, shoot mass numbers of people into mass graves. In Night, by Ellie Wiesel, the author talks about a person who disappears and comes back with injuries. The person tells a sad tale about his misfortunes in his disappearing. He tells of foreigners having to offer up their necks to the Nazis so that they may shoot it, little babies being torn from their mothers†™ arms, being tossed up into the air and shot down, as if they were just target practice and not actually living beings.In Night, also the author talks about being at the concentration camp and seeing the mass grave pile, patiently waiting in a heap for the incinerator, but at first, in the dark, he couldn’t and chose not to believe it because he didn’t think, even after the horrific cattle ride where an old woman was viciously beaten by fellow prisoners because she wouldn’t shut up, that that anyone could burn bodies that had been gassed or shot. He had a massive amount of faith in the Nazis’ hearts and consciences. The book Night and the book The Book Thief were both laced with faith in humanity.The Book Thief, written by Markus Zusak, has many forms of Faith in humanity intertwined through the pages. In the book, Liesel, the main character, has faith in the Nazis but when her family turns out to be storing a Jew, she hears stories that compromise her original faith. The Jew, Max Vandenburg, tells her stories of his family in hiding, some gruesome tales about when he was captured, what he saw when he was hiding within the shadows of an abandoned warehouse, and what forced him to hide. Her faith in the Nazis dwindled but she still went to Hitler Youth where she was subjected to the lies that she had put her faith in.She heard that all Jews that were not in hiding were deported and forced into horrible conditions when she got home but had to keep the picture of an innocent, oblivious German girl who goes along with the plan and keeps her faith in humanity. As well as Liesel, the main character in The Book Thief, and the Germans in the time of Holocaust, the Thai people also have a massive amount of faith in humanity in their own kind. The people in Thailand are, unless it has been committed near them, oblivious to the practice of sex and human trafficking.Many young girls every year are taken from their families and cities to be s old into slavery and bondage without knowledge of the public. The Thais have faith in the other Thais, so much that on the outside of the Reclining Buddha statue, there is a sign that says, â€Å"Warning: Not Thai Bandits and Pick Pockets around. † Thais are unknowingly giving up the younger generation of girls because they are hidden behind a curtain of faith in the wrong thing, humanity. Faith in Humanity is, and has been, practiced all over in the world. From the Holocaust to Thailand, modern day, it reins true, we cannot imagine life where anyone could be so cruel.

Thursday, November 7, 2019

Writing for research Essay Example

Writing for research Essay Example Writing for research Essay Writing for research Essay Prompt 1: It could be that the bathroom scale has not yet been properly calibrated. Based on personal experience, new scales tend to give more consistent readings than older scales because the mechanisms of scales tend to wear out over time. However if the scale is not yet calibrated, that means that it will likely give consistently wrong results. All that needs to be done is to calibrate the scale and then it should give accurate as well as reliable output already. Prompt 2: Yes, a measurement procedure can be reliable but not valid. However, a measurement procedure that is valid is automatically reliable as well. If the procedure is consistent but gives wrong output, then it is reliable but not valid (Brechner Brechner, 2008). However, validity means that the procedure is measuring what it intends to measure so that automatically assumes that the procedure is reliable as well (Brechner Brechner, 2008) since if it gives very diverse output, then it is obviously not measuring what it is supposed to measure.

Tuesday, November 5, 2019

Case Of Alyeska Pipeline Services Company V. Wilderness Society

When it comes to the Case Of Alyeska Pipeline Services Company V. Wilderness Society, Justia states that, â€Å"Under the American Rule that attorneys fees are not ordinarily recoverable by the prevailing litigant in federal litigation in the absence of statutory authorization, respondents, which had instituted litigation to prevent issuance of Government permits required for construction of the trans-Alaska oil pipeline†¦Ã¢â‚¬  (Justia, n.d.). The court’s analysis that the legislature needs to address is the lawyer’s fees because the legislature has a lot of power when it comes to enacting, amending, and repeal the public policy and can have more authority than any other aspect of the government. The legislature can have more authority on what laws to be passed that includes lawyer fees and the legislature can attempt to change the lawyer fees. There is some resistance when it comes to liberalizing lawyers’ fees awards because some individuals feel that i t should not be liberalized and that it is not the legislatures place to handle this issue and shouldn’t be concerned with the issue. Another approach to this would be the approach of proportionate responsibility. This proportionate responsibility will be best for everyone involved so that everyone involved does have some responsibility and that the responsibility does not just land on one persons shoulder but instead, everyone has a responsibility. The benefits in the long run of following the judges’ rules is that the individuals understands and knows what can and cannot be done according to the judges orders. The disadvantages of following the judges rules is that in most cases people have knowingly disobeyed a judges orders and has ended up paying for that by getting put in jail or being fined. Yes, on a personal level I feel litigation will not influence me in any way when dealing with cases despite the fact that the other side may have also began using the tactic. According to attorney-client privilege.org, attorney-client privilege is, â€Å"is a kind of ‘right to confidentiality’. This means that all the communications between a lawyer and his clients would remain confidential and would not be released to a third party, during or after the conversation is over.† (attorney-client privilege.org, 2014). The extent that the public records or open meeting laws should override the privilege is if there is a life or death situation involved then the public records and open meeting should be disclosed then and only then. I do feel that the need for lawyers to act zealously to win cases does explain why the lawyers can sometimes act in immoral ways when in a court and dealing with cases that they are a defense attorney for. These attorneys feel there is a certain reputation that he or she needs to uphold to the public, judge, and those who he is defending. However, some lawyers can get too far into their job that they may feel they have to act in an immoral way in order to get the results he or she feels needs to be accomplished or feels is desired by to those who he or she is defending. The lawyers’ fees should be handled by the legislation because the legislation has more power than any other aspect of the government as they can enact, repeal, or amend a law. This being said that is why the legislature should be involved with lawyers’ fees. Proportionate responsibility should also be taken care of as responsibility should not just fall on one persons’ shoulders. Attorney-client privilege should be available to the public only if there is a life or death situation at hand. Lawyer’s also sometimes act immorally as they may feel they have a reputation to uphold to the individual they are defending, the judge, and the rest of the public.

Saturday, November 2, 2019

STRATEGIC SUPPLY MANAGEMENT Essay Example | Topics and Well Written Essays - 4000 words

STRATEGIC SUPPLY MANAGEMENT - Essay Example The corporation has even created Emirates Engineering department for its strategic SCM structure so that this division can ensure that the operations of the company are effectively managed and the latest IT systems are integrated with precision as well. Hence, Emirates Airline has even capitalised on its value chain framework so that it can always remain ahead of its competitors by providing the customers with excellent quality travelling experience. Table of Contents Executive Summary 2 Table of Contents 3 Introduction of Supply Chain Management (SCM) 4 Findings and Analysis 5 Brief overview of SCM in Aviation Industry 6 Background of Emirates Airline 8 Detailed analysis of SCM framework at Emirates Airline 9 Â  SCM Network of Emirates Airline 12 Value Chain of Emirates Airline 12 Information Technology (IT) and SCM 13 Challenges encountered by Emirates Airline in SCM 14 Conclusion and Recommendations 15 Appendix I – SCM network of Emirates Airline 17 Appendix II – Va lue Chain framework of Emirates Airline 18 References 19 Introduction of Supply Chain Management (SCM) Globally, it has been observed that the trade barriers have been reduced, free markets have been created due to market liberalisation, financial markets have been integrated on international level and huge level advancements have taken place in the field of technology. As a result, globalisation has created intense competition in various countries and the customers are provided access to a wide range of product and service offerings. One of the most effective developments has been in the field of technology that has minimised the communication and business transaction gaps for the companies that have widespread operations across the world (Bhardwaj & Mitra, 2010). It has been stated by Seghal (2011) that majority of the large corporations such as Unilever, P&G, Colgate-Palmolive, Emirates Airlines, Sony, Apple, Microsoft, LG, Nokia, McDonald’s, Pizza Hut and others have expa nded their business operations in international markets. The crucial drivers of their robust expansion strategy are the declining trade barriers, easy movement of capital, people and goods across the countries and the latest IT systems that ensure proper integration of their operations. However, production, logistics and supply chain systems have become highly integrated and the companies are able to properly align their efficient supply chain strategy with the business strategy (Christopher, 2011). At times organisations are faced with unfair payment terms which leads to other problems. One such case is of the construction firm in which the latest payment terms announced by the firm is 65 to 120 days (Gilbert, 2013). These types of payment terms are unfair and can prove to be a major challenge. Supplier payment terms should be feasible and convenient for both the firm and the supplier, working on unfair terms and that too highly difficult terms may cause future work to be halted. E conomic crisis may be present in one region or the other and the economic crisis situation impacts the supply chain activities to a very large extent. The crisis may cause disruptions which may affect the business operations on a long term basis. According to a recent survey, it has been depicted that around 63 percentage of organisations that are considered to be large organisations have undergone supply chain disruptions,. This survey was

Thursday, October 31, 2019

Rebuilding Brand Equity of Nokia Essay Example | Topics and Well Written Essays - 1000 words

Rebuilding Brand Equity of Nokia - Essay Example 1). Nokia has been in the mobile market for around thirty years (Kolk & Rungi, 2013, p. 5). Nokia, a 147 years old Finnish company, became the pioneer of public mobile communications technology in the late 1990s when it pushed mobile phone usage onto the global scale (Lindholm & Keinonen, 2003). It was by far the largest mobile phone manufacturer in the early 2000s and produced most of the working class people’s very first mobile phones. In the underdeveloped world, as per D. Steinbock’s claim, the word ‘Nokia’ became synonymous with the word ‘mobile’ (Steinbock, 2001, p. 33). The company Nokia was one of the biggest beneficiaries of the so called ‘dotcom bubble’ (Panko 2008) but unlike the other manufacturing industries, mobile phone manufacturing has seen new market leaders emerge soon after the inception of the business. The apparent reason for this unseating of Nokia from the mobile manufacturing throne seems to be a progressio n of mobile handset technology – specifically from the standard or dumb phones era to the age of smart phones. Useless to say, the previous statement implies that Nokia has not been successful in commanding this shift. With the basic division of the handset technology between the old technology and the smart phone technology, Nokia has remained master of only the old technology. Smart phone sales surpassed the dumb phone sales in the second quarter of 2013, with smart phones accounting for fifty two percent of the mobile phone sales in that period (Shaer, 2013, p. 14). Decline Nokia occupied thirty five percent of the global mobiles business in 2003 (Bosch, 2005, p. 28); ten years later this figure had dropped to fourteen percent (Olson, 2013, p. 6). In October of last year, the company dropped out of the list of the five largest mobile phone vendors for the first time since the financial analyst IDC started maintaining the list (in 2004) (â€Å"Apple Cedes Market Share in S martphone Operating System Market as Android Surges and Windows Phone Gains, According to IDC†, 2013). The Korean consumer electronics corporation Samsung now leads the mobile manufacturing business, while Nokia has already given way (in 2010) in the smart phone platform race as well to Google (which boasts the Android Operating System for smart phones). Resultantly, Nokia has shrunk as an organization overall; it has fewer resources at its disposal and has become less profitable than how much it used to be. The cash reserves of Nokia fell from â‚ ¬4.2 billion at the end of the second quarter of 2012 to â‚ ¬3.6 billion at the end of the very next quarter (Scott, 2013, p. 2). Ever since the company appointed a new, and the first non-Finnish, CEO (Stephen Elop) in 2010, the company has been practising salary base reduction as one of its primary tactics for dealing with the continuous financial loss. The company currently employs only 44,630 people out of the 66,995 working at Nokia at the start of the previous year (â€Å"Nokia Lumia 525: Windows Phone Handset Put Up For Sale At $100 Price Tag In China†, 2014, p. 4). Revival Efforts Susan Sheesha, the head of Global Communications at Nokia, has been promulgating Nokia’s repositioning of itself as a ‘challenger’ brand (Schechner, 2013). She says that after letting go of the ‘market leader’ narrative, the company’

Tuesday, October 29, 2019

Transformational and Transactional Leadership Essay

Transformational and Transactional Leadership - Essay Example In other words a contingency model is a near approximation of an otherwise intractable continuum which lacks definable contours and a logical conceptual framework of reference. (Antonakis, Cianciolo and Sternberg, 2004).While theoretical constructs underlying the two leadership styles have been presented as a comparative analysis there is very little attention being focused on the qualitative paradigm shift caused by the a priori and a posteriori catalytic changes. Thus the comparative/contrast study is essentially based on these outcomes and the latest calibrations and/or benchmarks enunciated by researchers to establish a conceptual framework for analysis. According to Burns (1978) and Bass (1985) transformational leadership has a set of category constructs such as values, morals, farsightedness, long term goals, principles, acute awareness about the dividing line between causes and symptoms, mission statements, strategic perspectives and human resources. Similarly they identify a set of category constructs in the transactional leadership also. ... Analysis Business organizations operate in their respective environments as determined by organizational structure, culture, leadership, strategic competitive environment and a host of other internal and external influences such as the regulatory framework, PESTEL and SWOT environments. (Gill, 2006). Given the degree of influence under these circumstances, each organization adopts its own leadership style with a view to achieving these organizational goals such as profits, market share growth, higher share prices, quality improvements, brand loyalty, sustainability, benchmarks and so on. These organizational goals can be divided into short term goals and long term goals.Transformational leadership is primarily and immediately concerned with winning the support of those subordinates to achieve predefined organizational goals. (Jones, 2003) While many such objectives are not realized in the short run due to a variety of reasons such as inadequate planning and wrong forecasts about cash flow, s ales revenue and profits, there can be some recovery in the long term. Transformational leader seeks with fervent hope to inculcate a sense of responsibility and pride in achievements among the subordinates while on the other hand transactional leader seeks to inculcate a sense of reciprocity among his subordinates based on realizing mutually beneficial goals such as productivity, performance and target outputs. In return the transaction leader rewards the subordinate with pay, recognition and praise. A critical theoretical perspective that has been developed on this particular aspect looks at the transformational leader's attitude towards hisher subordinates as power-sharing partners whose contribution to the productive process is rewarded with

Sunday, October 27, 2019

Central Giant Cell Granuloma (CGCG) Case Study

Central Giant Cell Granuloma (CGCG) Case Study ABSTRACT: Central giant cell granuloma (CGCG) is an intraosseous lesion which occurs as an uncommon benign condition in jaws. WHO defines this intraosseous lesions as â€Å"a lesion that contains multiple foci of haemorrhage, consisting of cellular fibrous tissue and there is trabeculae of woven bone. It may become aggressive leading to expansion and perforation of the cortex. Mobility and displacement of the involved teeth and root resorption are often observed. Here is a case report of an 18 year old female patient who is diagnosed with an aggressive type of CGCG. KEYWORDS: Central giant cell granuloma, granuloma, giant cell granuloma, giant cell lesions. Introduction Central giant cell granuloma (CGCG) is a benign proliferation of fibroblasts and multinucleated giants cells that almost exclusively occurs within the jaw. It commonly occurs in young adults showing a female predilection.1 CGCG rarely occurs in areas elsewhere other than the jaws, like maxillary sinus, temporal bone, cranial vault and other bones of the craniofacial complex.2 It was thought that CGCG is a reparative lesion as it develops in response to intrabony hemorrhage and inflammation secondary to trauma. However, it can be considered as an aggressive lesion because of its aggressive behaviour as seen in the present case. Case report A 18 year old female patient, presented with a painful swelling over the lower border of mandible of 3 months duration. The patient had a history of trauma 6 months back with fractured 31. On extra oral examination, gross asymmetry of face was seen with a diffuse swelling of approximately 34 cm size on chin. Lymph nodes were not palpable. Local examination revealed a diffuse swelling extending mentolabial sulcus, inferiorly below the lower border of mandible and antero-posteriorly extending from the midline to the level of corner of mouth both side extending 1.5cm size. Colour over the surface appeared normal; no ulceration or discharge from the swelling was seen. Surface of the swelling was smooth, consistency was hard. The swelling was non – fluctuant; No rise in temperature, no pulsations were felt. The swelling was tender on palpation. On intraoral examination, tenderness on palpation was evident in relation to left mandibular canine and first premolar. No lingual expansio n. Based on the history given by the patient and the clinical examination, a provisional diagnosis of traumatic bone cyst in relation to anterior lower border of mandible was given. However, radiographic examination was suggested to confirm the provisional diagnosis. Orthopantomographs demonstrated normal anatomic hard tissue structures with a diffuse radiolucency seen in the mandibular anterior region crossing the midline , measuring approximately 3 cm x 3.5 cm, extending medio-laterally from 34 to 44 and supero-inferiorly from the apex of mandibular anterior extending to 1.5 cm below the level of inferior border of mandible suggestive of expansion of inferior border of mandible with sclerotic border on superior aspect and no sclerotic border inferiorly. Based on the clinical and the radiographic examination, differential diagnosis of odontogenic keratocyst, ameloblastoma, osteosarcoma and central giant cell granuloma were considered. Histopathological evaluation of the excisional biopsy specimen showed the presence of connective stroma containing numerous young fibroblasts as well as multinucleated giant cells. Trabeculae of osteoid and woven bone were also seen in the periphery. Numerous extravasated RBCs were present within the connective tissue stoma. These findings are suggestive of CGCG, but in order to differentiate this from brown tumor of hyperparathyroidism, we carried out blood investigation, to find the serum calcium, serum phosphorus and alkaline phosphatase levels, which are found within normal limits. Based on the above histological and investigational findings, a diagnosis of CGCG was given. Discussion Central giant cell granuloma is a benign intraosseous lesion of the jaws. Jaffe in the year 1953, described this intraosseous lesion as â€Å"central giant cell reparative granuloma†.1 Since there is not reparative process, the name â€Å"reparative giant cell granuloma† was denominated. The etiology and pathogenesis of CGCG is unknown, but the granulomatous process is induced by an exacerbated reparative process due to trauma and haemorrhage.3 Giant cell granuloma is considered as a benign proliferation of fibroblasts and multinucleated giant cells that occurs almost exclusively within the jaws. It is seen in all age groups ranging from 2 to 80 years, but more than 60% of the cases occurs under the age of 30 years.5 Although Sex distribution varies in different reviews, CGCG show female predilection with a prevalence of almost twice that of males.4 It commonly occurs in mandible ,anterior to the first molar ,often crossing the midline. It occurs in the short tubular b ones of hands and feet and also in the other bones of facial skeleton and cranial vault but rarely occurs in craniofacial bones. 6 It may be peripheral or central. The peripheral lesions occur as pedunculated or sessile lesions where the central lesion is endosteal. Females, children and young adults have more predilection since the female male ratio is 2:1.7, 8 The main etiological factor for this lesion is trauma. The lesion progresses by accumulation of tissue which due to slow and continuous haemorrhage of multicentric nature as a result of trauma and defect in the capillaries. 9 Though the CGCG is a benign lesion, it occurs as aggressive and non-aggressive types. The aggressive type shows painful and rapid growth occurs in younger patients and often involves cortical perforation and root resorption and may recur. The non-aggressive type is of slow growing, asymptomatic, without any resorption or perforation of the involved teeth and it never recurs.10 The signs of CGCG are a painless swelling, which causes facial asymmetry, where the radiological investigations reveals that there is unilocular or multilocular radiolucency, which is well or ill-defined with variable expansion along with destruction of cortical plate. Since the radiological appearance of this lesion is not pathognomonic, it is usually confused with the other lesions of the jaws. But the final diagnosis is based on its histopathology, though the clinical and radiological features are not specific.11 Histopathological features reveal that it is comprised of dense proliferation of oval or spindle shaped cells with varying number of multinucleated giant cells containing 20 nuclei. There is a deposition of hemosiderin, extravasted RBC’s, foci of osteoid material dystrophic calcification around the periphery of the lesion.12 Though multinucleated giant cells are in more in number, they cannot be considered as proliferative cells, since the macrophages, mesenchymal cells and fibroblasts are accountable for the growth of the lesion. Hence these cells release cytokines that stimulate the proliferation and recruitment of blood monocytes to become osteoclast like cells.13 The multinucleated giant cells may be large or small in number and they may be irregular or round cells that contains more than twenty nuclei which are responsible for bone resorption and local progression of lesion.14 The giant cells containing more nuclei and dese cellular stroma are found to be more aggressive and may relapse after surgical treatment.13 Some studies reveal a significant difference in the number of giant cells in aggressive and non-aggressive lesions where other studies reveal only few differences in the cell size in histomorphic analysis. Some of them found that the aggressive lesions show the higher number of giant cells with more irregular shape, where the giant cells are larger. There is a an increase in the mitotic activity along with a difference in histomorphic analysis which indicates increase in the fusion of resident macrophages and recruitment of monocytes and also there is higher metabolic activity of multinucleated giant cells that shows an aggressive clinical behavior.15 According to the differential diagnosis of the central giant cell granuloma , based on radiological investigation, being a small unilocular lesions it may be confused with granulomas and periapical cyst and the large multilocular lesions it may be ameloblastoma or lesions the resemble PGCL ,aneurysmal bone cyst, central odontogenic fibr oma, brown tumor of hyperthyroidism, giant cell tumor. The CGCG and brown tumor of hyperparathyroidism resembles each other histologically, in having an intense endogenous brownish pigmentation of hemosiderin. The additional test that help in diagnosis are serum calcium, phosphate, parathyroid hormone and alkaline phosphatase levels which are normal in CGCG, but increased in brown tumor of hyperparathyroidism. The CGCG usually occurs in both maxilla and mandible but the giant cell tumour more commonly occurs in the epiphyses of long bones. But both the lesions appear as osteolytic defects radiographically but can be differentiated histologically. Evidence reveals that the giant cells are larger, numerous and more round in giant cell tumor in CGCG, with a higher number of nuclei and eventually dispersed. There is fewer foci of osteoid material, areas of haemorrhage and there is deposition of hemosiderin and fibrosis and the stroma contains large and oval cells. The aneurysmal bone cyst can be differentiated from CGCG in having a network of multiple cystic cavities fill with blood within thin walls. Depending on the clinical and radiographic findings, if there is a well-defined lesion, curettage can be done where there is low recurrence, but if it is extensive lesion with perforated cortex, the radical excision is mandatory. Sometimes even partial maxillectomy or mandibulectomy and jaw reconstruction plates or placement of bone grafts can be done. Conclusion Based on the clinical, radiological, histopathological features, it is considered as an aggressive variant of CGCG, which is rare in occurrence. More clarification is needed regarding the pathogenesis and nature of giant cell lesions.

Friday, October 25, 2019

How to Get Completely Lost :: Essays Papers

How to Get Completely Lost The ability to get yourself lost may seem like a rather simple task. You may think this is as easy to do as just throwing the road map out the car door window and simply taking whatever road seems most appealing at the present moment. But to really truly get yourself completely lost to the point that you could end up one thousand miles or more from your originally planned destination while thinking you were going in the correct direction in the first place is an extremely difficult event all in itself. If you are interested at all in learning how to become completely lost while traveling, then please follow the succeeding steps. The first step you would want to take in order to get completely lost is to lose all your common sense. You would have to be the type of person who is so dull in the area of rational thinking that even if the correct directions were to be lit up like a sign on the Las Vegas strip, you would not have enough deductive reasoning skill to think that these might be the correct directions. If the thought of becoming completely lost has made you interested after reading the first step, then the second step should leave you even more enthusiastic than the first. The second step in the process of getting yourself completely lost would require you to need not have a care in the world. In other words, if the world were to burst into a fiery mass of molten flames and death for the entire human race was unavoidable; you would most likely look away from the situation. Instead of panicking or worrying about loved ones or precious possessions, you would just simply pass it off as if it were just another daily occurance. With this care-free attitude, you would then continue with your daily life doing whatever had preoccupied you before being so rudely interrupted with the events of the world erupting into a giant torch. If you are still interested in the thought of becoming completely lost after reading the first and second steps, then the third step in the process will sell you on the idea of becoming completely lost. The third step in becoming completely lost

Thursday, October 24, 2019

The Wife of Bath: a Symbol of Antifeminism

The Wife of Bath: A Symbol of Antifeminism Evelyn Cunningham, feminist advocate and journalist states, â€Å"Women are the only oppressed group in our society that lives in intimate association with their oppressors†, this quote was said by Evelyn Cunningham a feminist advocate and journalist. This quote still holds true not only in today’s society but in literature are well. It is no secret that women in literature are seen as less than equal to men. This is especially true about The Wife of Bath of Geoffrey Chaucer’s The Canterbury Tales.The Canterbury Tales tells the story of a group of people making a pilgrimage and tell stories to pass the time. The characters in The Canterbury Tales comment on society through the tales they tell. One of those characters is The Wife of Bath whose extended prologue is a fictional autobiography. The Wife of Bath’s prologue and tale display Chaucer’s antifeminist idea to society; Chaucer, the author behind The Wif e, uses her to demean women sexually, mentally, and socially.Chaucer writes The Wife of Bath to have no boundaries when talking about sex, and in the middle ages this was very much frowned upon. The Wife’s sexual forwardness can be seen in the prologue, Chaucer writes, â€Å"‘Experience, though noon auctoritee / Were in this world, were right y-nough to me / To speke of wo that is in marriage†(). The â€Å"experience† she is referring to is of course sex. Chaucer has her boasting about how much sexual experience she has. How much sexual experience one has is highly inappropriate for a woman of any time era to boast about.By showing off how experienced she is in the bedroom, Chaucer makes the Wife of Bath sexually objectify herself. Thus, Chaucer is making the statement that women should only be seen as sexual objects and should be placed submissively to men, and thus demeans the female race in a sexual manner. Chaucer has the Wife misquote the Bible in her prologue. During the middle ages the Bible was not translated so it was not widely known. The fact that Chaucer has The Wife misquote the Bible is making women into a joke because there is no way she would even have this information. Makes her look stupid and single minded. Trying to come up with arguments why its ok to have sex and marry multiple times. Twists it around to defend herself. Quotes half verses, distorts what little she knows. However, Chaucer writes so that The Wife of Bath completely misinterprets the Bible and therefore is humiliating women in a mental way; for instance, Chaucer writes, But this word is nat take of every wight, / But ther as God list give it of his might. I woot wel, that thapostel was a mayde; / But natheless, thogh that he wroot and sayde, / He wolde that every wight were swich as he, / Al nis but conseil to virginitee Because The Wife is publically announcing her misconception of the Bible it shows that Chaucer considered women to be mentally be low men and shows that he used The Wife of Bath to spread his antifeminist ideas to society. Chaucer uses The Wife of Bath to show women in a promiscuous light. In her prologue, The Wife of Bath says that she has been married five times and hopes to be married a sixth; for example, general prologue promiscuous quote.Wants to get married again for sex not companionship Chaucer wirtes, â€Å"For, lordinges, sith I twelf yeer was of age, / Thonked be God that is eterne on lyve, / Housbondes at chirche-dore I have had fyve;† The Wife of Bath does not marry for love, she marries so she can have sex. This can be seen as promiscuous behavior because she is casually marrying to casually have sex. Chaucer uses the Wife of Bath to socially demean women because he makes The Wife of Bath take part in promiscuous behavior.Throughout literature and history women have constantly been seen as less equal to the male race. This is evident in Geoffrey Chaucer’s The Canterbury Tales. Chau cer uses The Wife of Bath as a symbol for the female race and through his story he displays his antifeminist views sexually, mentally and socially. â€Å"Whether women are better than men I cannot say – but I can say they are certainly no worse†, this quotes should be kept in mind while reading The Canterbury Tales because Cahucer imposes his antifeminist views on his readers.Talks about husbands as being in control of them and brags about her faults of stereotype of women. Accused husbands of cheating when it was really me. Spent all their money. Fourth husband cheated on him. Fifth husband younger. ——————————————– [ 1 ]. â€Å" â€Å" lines 4-6 [ 2 ]. Golda Meir –feminist activist

Wednesday, October 23, 2019

Comparison of The Crucible and After Liverpool Essay

For this assignment I am going to be comparing two plays both of which I have studied and preformed. The first play, which I studied, was the crucible by Arthur Miller and After Liverpool by James Saunders. Each of the two plays are naturalistic but are set in two very different times. The Crucible is set in Salem Massachusetts in 1642 and After Liverpool is set in the 70’s. The two are quite contrary in how they were set out first of all After Liverpool was made up of 23 small scenes some only having a few lines some having quite a few but most of them were short. The main things used in the setting for each scene are very basic. The scene was made up of a coffee table, a few chairs and a sofa. It os so basic as everyone has these things and this type of thing could happen to anyone of us at any time. This produces the effect that relationships are similar and that in this performance the only thing that maters is the relationship between the actors whereas on the other hand The Crucible is quite different. This is made up of four long acts. This uses lots of sophisticated props for example detailed furniture and crockery. This is all needed to set the time in which the crucible is set. Whereas in After Liverpool the setting is not irrelevant but is not as important. After Liverpool was made up of two characters of not much significance and a series of duologues bar one. After Liverpool is about the lack of communication that can develop over time. The short scenes in this piece are somewhat symbolic to the nature of relationships today. The speed and the fact that long term relationships are not as common. Also most of them are based on sexual attraction, which is now an important thing when looking for a partner. The crucible has many different characters and each of the characters are described and are of quite significance. Compared to After Liverpool where there is no description of the characters. There is no description of characters as it is irrelevant of who you are in this piece as all people are involved or could be involved in a relationship. The crucible is based on a true story and some of the characters were real people. The crucible is an allegory and was written as Arthur Miller wanted to express his views but couldn’t so he uses The Crucible as an allegory to do so. Miller wanted to express his views about the McCarthy communist hunts in America. What he was saying was that if America is so great and believes in freedom why is it that you were killed or exiled for believing in a contrary government to Americas own. Also The Crucibles main theme was mass hysteria and the community being ruled by the church and religion. After Liverpool also uses symbolism in the apples by this is mean is that the apple is representing the forbidden apple from the story of Adam and Eve. Both of theses plays are similar as both are about gaining power in a relationship in the crucible Abigail gains power over John Proctor leading to his death. After Liverpool this is about relationships and communication between couples. It is preformed entirely in chronological order with no flash backs unlike The Crucible tells you about past events. In After Liverpool each scene is wholly about the couples relationship and the communication or lack of the couples lack any past and never refer to the future. The Crucible is very detailed in its explanation of characters, which gives you an idea when performing of how to play each character. In After Liverpool there is no indication and it is entirely down to the person performing the piece. So it is an indication of how the performer sees the scene happening and maybe an indication on how they view relationships. The fact After Liverpool is written like this is also symbolic in that everyone can be in a relationship that is why the characters are labelled M and W. The reason they are labelled M and W is that it can represent anyone, which is rue as anyone can be in a relationship. The scenes did not have to be in any order this is also symbolic that the relationships in the play do not get anywhere they always end up asking the same questions. They had no specific chronological order as everything was happening in the present. Having looked at both plays it has given me an insight of two very effective ways of portraying relationships both of them very different from each other. I preferred performing After Liverpool as I could use my own drama skills to play each character, which I think is a lot better, and I enjoyed it more. Also I found it easier to understand, as it used more modern language, which was easier to learn.

Tuesday, October 22, 2019

The Effects of Monetary and Fiscal Policy in USA

The Effects of Monetary and Fiscal Policy in USA The great recession that began in 2006 following the crumple of Lehman brothers, left the central bankers and superior economies in dilemma. The U.S government aggressively invented ways of curbing the devastating upshots of the depression. Among such outcomes were the disintegrations of the main financial marketplaces. Therefore, the government enacted numerous policies to curtail the vast recession (Yang 4).Advertising We will write a custom essay sample on The Effects of Monetary and Fiscal Policy in USA specifically for you for only $16.05 $11/page Learn More Sources indicate that, the policies would positively aid in diminishing the outcomes of recession. However, these guidelines would present some negative consequences to the state’s economy. This paper thus identifies the main policies enacted during that time, and explains the negative consequences emanating from such actions. A thorough examination on duty rates, in addition to â€Å"crowdi ng out† is vital in realizing the outcomes (Dennis 2). In February 2009, legislators enacted â€Å"The American recovery and reinvestment act (ARRA) of 2009† aimed at fighting the weaknesses in the country’s economy. The act reinforced numerous roles such as provision of finances to its states. The act aided in funding the edification and the transportation divisions. According to Dennis (2), the act funded projects and assisted the poor individuals in the society. Apart from the above functions, the act highly helped relief taxes imposed on commodities thus benefiting the business people and the consumers. However, the act led to numerous negative challenges. Sources indicate that, the act would have harmful effects on the economy and especially on micro economy. Dennis anticipates a reduction in the total output as estimated by â€Å"Congressional Budget Board† (CBO) (Dennis 2). The short-term economic stimulus proposed by different entities would finall y augment the total government debt. This would be due of the amplified in government outlay or returns reduction. Furthermore, during the recession session, individuals hold their wealth in a way not helpful in funding for private investment. It is probable that the increased debt would drastically lessen the amount of â€Å"productive private capital† (Dennis 2). Finally, the study suggests the â€Å"crowding out† of debt on the private ventures. According to CBO, each dollar for the arrears would â€Å"crowd out† to about a third of the total value of domestic capital (Dennis 2). Nevertheless, the CBO lacks the exact figures on the level of crowding out likely to occur in future. Therefore, while making the budget approximation, the CBO decides to incorporate both high and low levels of the crowding out. Additionally, the CBO anticipated amplification in employment opportunities but a decline in wages.Advertising Looking for essay on business economi cs? Let's see if we can help you! Get your first paper with 15% OFF Learn More The core reason behind the decline would be the inflated reduction in the GDP (Dennis 3). Furthermore, the ARRA would augment interest charges as the Federal Reserve tries to combat inflation. Although ARRA strives to counter the recession by combating the inflation levels, there exists a high possibility of its recurrence in future due to large amount of funds injected into the economy. In 2008, the U.S government endorsed â€Å"The Emergency Economic Stabilization Act† (Straus 4). This policy permitted the treasury department to provide more capital to the banks through procuring equities and mortgages from the distressed companies. It did not only accord the treasury the authority to provide the funds but also granted it additional powers. Even though the act played a striking part in reducing the effects of recession, it resulted to a number of limitations. These effects highly affected the executives of financial institutions selling the troubled possessions (Straus 6). The main types of limitations presented by the treasury were on home compensation usually rewarded by fiscal foundations selling the assets. Sources indicate that, direct buying of the troubled assets held by the organization took course instead of utilizing the bidding processes thus forcing the organization to satisfy certain compensation standards. Such standards fail to work in case of purchasing the assets through auctioning. The second limitation would arise from application of auction in purchasing the assets (Straus 7). The direct purchase also advocated for some limitations when compensating the executive officers. This would result to adverse effects to the financial institutions run by these bureaucrats. Furthermore, the act highly governed the process of parachute payments, compensation payments, thus an inflated tendency of recording losses that would result to slow growth of these institutions. In addition, the act prohibited any compensations provision to the employees’ wages (Straus 8). This to an extent would pose numerous challenges thus shortage of security for the cash. The â€Å"The Economic Stimulus Act (2008)† is a congress act enacted in 2008, a time when the effects of recession were at the peak (Yang 4). The congress realized the need to boost the American economy thus its implementation. It permitted the eligible taxpayers and married couples obtain high ratio of discount on the taxes.Advertising We will write a custom essay sample on The Effects of Monetary and Fiscal Policy in USA specifically for you for only $16.05 $11/page Learn More In addition, other individuals who never paid dues but earned $ 3,000 and above qualified for these remunerations. It also benefited specific businesses through tax reduction. Despite the taxes reduction, the resultant effects of the policy would be devastating to th e U.S citizens residing in native countries. A current study conducted by professionals indicates challenges for both professionals and immigrants residing out of U.S due to the taxation system (Yang 6). The act demands for imbursement of duties even if one is out of United States. Therefore, a great proportion of individuals result to jettisoning the citizenship thus becoming citizens of the host nation, in an attempt to avoid double taxation. However, in other developed nations, people working abroad are held as non-residents thus illegible for taxation. Studies show that innumerable applications for citizenship termination languish at many American consulates prior to their processing. This depicts the reasons for adopting the permanent residence for the emigrants (Yang 7). Furthermore, the fiscal guidelines results to barriers thus inefficiency in international trading. With the accelerating growth in globalization, the America’s future competitiveness is likely to halt d ue to such policies. The policies enacted during the great recession period are likely to cause long-term consequences. According to Gale and Auerbach (2), the U.S national expenditure would tremendously grow in the next ten years. The 2009 fiscal year estimates indicated a growth in the total fund utilized for medical care purposes thus the imbalances amid the revenues and spending in future. However, the CBO professionals argued that, cutting down the expenditure on medical care, would help reduce the fiscal gap (Gale Auerbach 2). After a detailed scrutiny of the above propositions, realization of the anticipated goals require elongated time duration. Therefore, it reckons obvious that the policies endorsed during Bush leadership contributed significantly to the fiscal gap. Additionally, the research confirmed that the elevated fiscal gap would not trim down soon because of the fall in government payments and the increasing rate of taxation. The resulting outcome would be a long- standing national debt to the GDP ratio. However, proposals by diverse entities advising for diminishing interest rates that help lessen the size of the national debts upsurge would not aid bridge the fiscal gap (Gale Auerbach 3). Contrary to people’s expectations, reduction in interest rates only reduce the costs incurred in checking the debt. The policies enacted all through the economic downturn enhanced the spending. Sources indicate that this would eventually result into augmentation of interest rates. The result would be a fall in investment, therefore, a condition referred to as â€Å"crowding out† (Melvin Boyes 185). Contrary to the diverse types of transactions, investment is highly sensitive to alterations in the interest rates thus greatly affected by the fiscal policy changes.Advertising Looking for essay on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Additionally, when the government incurs deficits, it resolves this through borrowing from other entities usually from overseas or issuances of bonds. Therefore, these bonds eventually result to the swell in interest rates. The boost in interest results to a decline in aggregate demand a condition highly contradicting the provisions of the fiscal policy. In addition, despite the government’s efforts of reducing inflation, it is apparent that time inconsistency would result. As predetermined by Melvin and Boyes (185), such policies would culminate into inflation due to the government’s efforts of increasing spending. Furthermore, the recent recession in the US resulted to tremendous job shortages (Melvin Boyes 196). To counter such challenges, most of the enacted policies aimed at creating more opportunities. However, such policies resulted to job scarcity because of inflation. Summarily, the government enacted numerous policies during the recession, which endeavored t o boost the economy growth. Despite the many benefits from these monetary and the fiscal policies, they also presented numerous short-runs as well as long-range challenges. Many of the acts formulated would result to low output, inflation and the rise in government debt. The amplification in interest rates on funds presents a decline in private investment. Furthermore, inflated government spending presented a dilemma on healthcare. However, despite the high proportion of consequences of the policies, the benefits associated with them are considerably more. Auerbach, Alan. Gale, William. The economic crisis and fiscal crisis: 2009 and beyond. 2009. Web. Dennis, Robert. Budget and economic outlook: Fiscal 2010 to 2020. Philadelphia, PA: DIANE Publishing, 2010. Print. Melvin, Michael. Boyes, William. Economics. New York, NY: Cengage learning, 2006. Print. Straus, Jacob. Lobbying the executive branch: current practices and options for change. Philadelphia, PA: DIANE Publishing, 2010. Print. Yang, Susan. Policies for increasing economic growth and employment in 2010 and 2011. Washington, DC: DIANE publishing, 2011. Print.