Monday, September 30, 2019

King Arthur as ideal representative of the middle ages Essay

Although there is no absolute proof that King Arthur lived, the historical and literary information has made him an ideal representative of the middle ages. The Middle Ages have always been an intriguing field of study for historians and archeologists around the world. Because of historians and archeologist, we have a history foundation that goes back to the beginning of time. However, the issue that is under debate and gives historians the most controversies is in era of the Middle Ages. The topic of debate that gives historians bring up the most about the middle ages is the legend of King Arthur. Over the past millennium, the story of King Arthur has been past down from generation to generation. From the movie Excalibur, to the famous Broadway plays about King Arthur, he has always been portrayed as the gallant king who saves the day and is undefeatable in battles. But the truth about Arthur has come under much criticism, many of historians have argued about if he really existed or was he just a myth. In fact, there have been rumors that three Arthur’s that lived during that time frame, but which one was the true king Arthur? This is the reason why he has come under so much criticism in the past decade. Another reason why historians are skeptical to the true existence is that the dates when he had been known to live do not add up. There are different periods for battles the he supposedly fought in and had he fought in them, he would have been over a hundred years old. Historians have said that this would have been impossible due to the Black Plague and numerous other plagues going on during that time. There is truth behind the legendary King Arthur and there is support to show that he did live, but historians are having a hard time piecing together the facts that are known. Many of writers who have dared to write about him have had to do intensive research about the legendary Arthur, with little or unknown evidence to support the truth about him. Historians have had to deal with little known information, only able to piece part of what little known fact that there are. The truth about King Arthur will be under debate long after I am gone but I would like to know the truth about the legendary King Arthur, Merlin and the truth to the lady in the lake and Excalibur. The earliest accounts of King Arthur were discovered in the Celtic, Latin, and French resources. They show that he was from a royal bloodline. Latin sources show that his real father was King Uther Pendragon. The story tells how King Urther fell in love with Queen Igraye of Cornwall who was married. And with the aid of Merlin a Celtic magician, Uther took the form of the Duke of Cornwall and seduced Queen Igraye and so conceived Arthur. He was raised without the knowledge of his true royal ancestry and grew up as a knight’s squire. Until one day, he was required to go fetch the knight’s sword where he came upon the sword in the stone and pulled it out of the stone. The story behind the stone is that Authur’s true Dad died and Britain was without a true king and so Merlin the magician put the sword in the stone, saying that the true king of Britain will pull the sword from the stone. † Arthur succeeded the throne at the early age of fifteen after proving his royalty and chastity by drawing the famous magic sword, Excalibur, from the stone. In his first major conquest he subdued the Saxons and expanded his control over Scotland, Ireland, Iceland, and the Orkneys, and established a period of peace for over twelve years. There is much in the pursuit of the issue if Arthur was of historical value to the middle ages. There is no absolute evidence, but it is possible that Arthur was Briton or Roman-Briton king who led the Celtics against the Anglo-Saxons in the early 8th century.† (Americana, Arthurian Romances, 1972) The kings of the medieval period were warlords that protected a particular area of land; they surrounded themselves with knights who swore allegiance in battle in exchange for gifts of gold, armor, and land. There have been three basic charter descriptions of Arthur, which detail the characteristics of the â€Å"real† king Arthur. In the earliest descriptions he’s portrayed as a fierce, feared warrior, capable of tremendous prowess in hand to hand combat. Described by the Welsh priest, Nessius in his Latin Historia Brillonum, Arthur was â€Å"chosen twelve times to lead the Celts, Arthur carried the image of the Virgin and won twelve battles, the last being at Mt. Badon in which he killed 960 of the enemy singly handedly† (Americana). The second image of Arthur is that of a â€Å"peripheral figure whose presence is felt mainly as a social force of arbiter of chivalric excellence†(Americana). A Welshman named Goeffrey of Monmouth was the first to describe the characters and stories we are familiar with today. In the Historia Rogum Britanniae, Geoffrey tells of Arthur’s siring through and adulterous relationship between Uther Pendragon and Igraine. He also introduces the magician Merlin and describes Arthur’s eventual resting-place on the isle of Avalon. In later treatment of Arthurian legends such s Thomas Mallory’s Le Morte Darthur, Arthur is depicted as a more two dimensional character. There is a naive side portrayed be the king, like when he refuses to see the romance between Guinevere, his wife, and Lancelot, a knight, although there are many warnings. For instance, when the affair is revealed, Arthur’s impetuous actions begin the downfall of his court. He condemns Gueniverer to death, forcing Lancelot to save her. In rescuing Guenivere, Lancelot inadvertently kills Gwain, brother and creator of the feud between Gwain and Lancelot. Throughout it all, Arthur is blind and naive and is swept up by events outside his control. There is evidence that Arthur is lost without the advice of the magician Merlin. Arthur does not always understand the implications of the events and is unable to draw his own conclusions without Merlin’s help. Arthur is without full understanding of his actions and causes the end of Camelot and of his reign. Arthur was killed by his illegitimate son Mordred, whom Arthur fathered in an ancesturous relationship with his half -sister Morgan Le Fay. As is presented in many of the later Arthurian stories, Arthur is duped by Mordred’s magical powers, and showing his susceptibility to trickery. The cause of it was when the Roman ambassadors arrived in Camelot demading tribute. Rejecting their offer, he set sail to confront the Roman forces, leaving his son Mordred as vice regent. After conquering the Romans, Arthur heard of news that Mordred had an uprising and his goal was to over through King Arthur. Arthur returned to Camelot where a bitter battle was fought between the rebels and the loyal subjects. The king killed Mordred, but was severely wounded himself. He was carried away secretly to the secret aisle of Avalon, the Celtic Mythology island of the blessed souls, to be healed of his wounds. Arthur returned to Camelot, but legend says he will someday come back to rule over England again. Merlin first appears in the Middle ages as a mere prophet, but his role gradually evolved into that of a magician and advisor, active in all phases of the administration of Arthur’s kingdom. He was apparently given the name Ambrosias at his birth in Caer-Fy Riddin (Carmorthen). He later became known as Merlin a Latinized version of the Welsh word Myrddin, taken from the place of his birth. Geoffrey of Monmouth was thought to have invented the name Merlin, most likely because he invented everything else in his stories. Merlin’s was the illegitimate son of the royal princess of Dyfed. His father was Kind Meurig, who was not found in the traditional pedigrees of the kingdom and was more than likely a sub-king of the region of Coredigion. Merlin’s father was known to be an angel who had visited the royal nun and left her with a child. Merlin’s enemies claim that his father was an evil spirit that had sex with women while they were sleeping. The evil child was to provide a counter weight to the good influence of Jesus on earth. Merlin was baptized when he was young, which is said to have negated his evil nature. The original story was presumably invented to save his mother from the scandal which would have occurred had her liaison with one Morfyn Frych, a minor price of the house of Coel, been made public knowledge. Legend has it that when Merlin grew up that he inherited his grandfather’s kingdom, but instead abandoned his land in favor of the mysterious life he has become so well known for. He was known for his aiding of Unther Pendrogon in his deception of changing him into Gorloris the Duke of Cornwall who then seduces Queen Ygerna and she conceives Arthur. After Arthur’s birth, Merlin became the young boys tutor. In his defining moment of Arthur’s career, Merlin arranged for the Sword in the Stone contest by which Arthur becomes king. Later Merlin meets the mystic Lady of the Lake at the Fountain of Barenton and persuaded her to present the king with the magical sword Excalibur. In the Romances, Merlin’s the creator of the round table and is closely involved in aiding and directing the events of the king and the kingdom of Camelot. In the book by Geoffrey of Monmouth he is pictured at the end of Arthur’s life accompanying the wounded Arthur to the Isle of Avalon for the healing of Arthur’s wounds. According to Geoffrey’s â€Å"Vita Merlini†(c.1151) Merlin was a sixth century prophet living in the north of Britain where his career extended beyond Arthur’s. These same scholars believe that there were two Melin’s, Myrddin Emrys and Myrddin Wylt. The fact the Merlin apparently lived from â€Å"the reign of Vortigern (c420) to the reign of Riderech Huel (c580)† would certainly support this view. Cadbury Castle is the best known and most interesting of the reported sights of Camelot. Cadbury is an absolute hill of limestone and sandstone. The summit is about 500 feet above the sea level with a wide view of central Somerset, including the Four at Glastonbury, which is12 miles away, and in clear weather Brent knoll and beyond. It had four lines of bank and ditch defense. The first known to refer to Cadbury as Camelot is John Leland in 1542. He says â€Å"At the very south, end of the church of South-Cadbri standith Camallate sometimes a famous town or castle†¦.The people can tell nothing there but that they have heard Arthur much resorted to Camelot†. Skeptics have agrees that there was no real local tradition, or perhaps a vague tradition of Arthur only and that the evocative name is a guess of Leland prompted by the Queen Camel. Yet he speaks of Camelot without any discussions as a recognized fact, and his spelling with an A instead of an O in the last syllable may echo a local pronunciation. Whatever the people of the neighborhood were saying in 1542 they have certainly cherished Arthurian lore since then. Cadbury hills has it’s legends, one midsummer eve or midsummer night ( opinions differ and some say it only every seven years) Arthur and his knights ride over the hilltop and down through the ancient gateway, and their horses drink at a spring besided Sutton Montis Church. Whether or not they can be seen, their hoof beats can be heard. Below the hill are traces of an old track, running toward Glatonburg, called Arthur’s lane or Hunting Causeway where a noise of spectral riders and hounds goes past on a winter’s night. Cadbury never had a castle; the fortified hill itself was the castle. The Rev. James Bennett of south Cadbury carried out the first small excavation of Cadbury Hill. In a paper published in 1890, he told how he had cut a trench through the top rampart and judged that it was built up in layers over a long time. This was found true. In 1913, H. St. George Gray excavated again, chiefly near the southwest entrance, finding objects that showed that people were on the hill in the late Iron Age just before the Roman Conquest. The crucial step from the Arthurian point of view did not come until the middle 1950’s. Part of the enclosure was ploughed; and a local archeologist named Mrs. Mary Hartfield picked up flints and potsherds, which appeared on the surface in the upturned soil. Among these Dr. Raleigh Radford recognizes pottery of the type he had found at Tingel, which proved that somebody had lived here at about the time of Arthur, and most likely a person of wealth, who could import luxury goods. The interest thus aroused led to the formation of the Camelot Research Committee. It became clear that British Celts of the Iron Age had not only built the earth works defense, but reconstructed the top bank several times as Bennett suspected a village flourished on the plateau for hundred of years. In a central and commanding position on the high part of the hill called Arthur’s Palace, the foundation of a timber hall came to light. It was 63ft. by 34ft. Their walls were marked by postholes cut in the bedrock. In outline, it resembled the hall of Castle Dore, but there were grounds for inferring more skillful workmanship quality rather than size. In this building the chief warriors would have assembled, feasted, listened to minstrels, planned campaigns, most important of all was the discovery which was made in the bank. The three quarter mile perimeter of the hill, cuts through it in several places, now refilled like the entrance, revealed across section like layer cake, with strata one above another showing how the ram art had been rebuilt at various times over the centuries. The defensive system surrounding the hill made an impression in keeping with the period. The wall itself, with its timber bracing and super structure, was very like what the British Celts were building before the Roman Conquest. It incorporated fragments of Roman masonary, salvaged from derelict buildings but it was strictly a national piece of work. The truth about the real King Arthur, is an issue that will be around until the truth is revealed about him. Historian and archeologist have debated this issue for over a millennium with no were getting to the truth about him. They have found that he did exist, but will they ever come to the agreement about him. For know we will have to live with folklore to the existence of the true King Arthur.

Sunday, September 29, 2019

Enta

Are entrepreneurs born or created? New Zealand needs more successful entrepreneurs and much thought has been given to how that may be encouraged. C an we create entrepreneurs? Is the ability to see a business opportunity and take the risks necessary to exploit it endowed by nature or is it a result of nurture? I had always thought it was nurture. But recently I learnt more about my own family history and it made me question whether genetics has a bigger influence than I thought.My Hillock ancestors can be traced back eight generations to Edward Hillock who was born in 1687 and lived in the small Essex village of Shades. He was a carpenter and commercial property owner (leasing out the land and building occupied by one of the village's many public houses). That combination of being self-employed and owning property has since been shared by eight generations of Hillock men spread over more than 300 years. During that time there have been carpenters, farmers, millers, a brewer (Hillocks Karol Ale was popular in the sass) ND a pioneer developer of New Zealand farmland.Perhaps something in our shared genes encouraged this strong legacy of enterprise? To find out more I read Danish writer Lone Franks 2012 book My Beautiful Genome. She summarizes the 52 NOVEMBER 2013 latest research on how our genes influence our health and behavior. Among many issues, she discusses the L variant of the MAO gene, which has been linked with aggression. This variant is known as the â€Å"warrior gene† and is carried by an unusually high proportion of male prison inmates. Most men who carry the warrior gene are not, however, involved in crime.It seems to influence different people in different ways. Carriers of the MAO-L gene appear more willing to take risks in general while also being better at assessing their chance of success in high-pressure situations. That's useful in battle but the gene also seems to influence characteristics that favor entrepreneurship. A California Insti tute of Technology study in 2010 tested this possibility in a financial simulation. The 83 men tested had to choose between a safe option and various other options which offered higher risks along with a range of identically higher returns. .. It seems more likely that a shared family culture and perhaps resources handed down from one generation to the next is what sustains these family traditions of business success The men carrying the MAO-L gene were much more likely to take financial risks but only where the odds were in their favor – they were good at assessing risk while also being prepared to take on the risk to generate the return. Those men who did not carry the MAO-L gene typically chose the lower risk and lower return option and were tryingly averse to any potential downside.This research shows there could be a genetic influence on entrepreneurship – at least in Menlo . The warrior gene (perhaps in time it will also be called the â€Å"entrepreneur geneâ₠¬ ) cannot, however, explain multiple generations of fathers and sons starting and running businesses. That's because the MAO gene is linked to the X-chromosome. Men inherit their single copy of the gene from their mother, not their father. Around one-third of all men of European descent carry the MAO-L variant so there is still a good chance that several f my male ancestors carried it, or that I carry it today.With the rapid advances being made in genetic research it is possible that some other gene will be linked with entrepreneurship and help explain why some families (including the Hillocks) have such strong records of entrepreneurship. But unless that occurs it seems more likely that a shared family culture and perhaps resources handed down from one generation to the next is what sustains these family traditions of business success. Lone Frank explains that the expression of many genes is influenced by such environmental factors.It appears that aggressive outcomes for those ca rrying the MAO-L gene are triggered by conditions such as mothers who smoke or drink during pregnancy or childhood trauma. In a different and more positive environment the gene variant could influence business success. Such an environment would of course also encourage success in those without the MAO-L gene. While there is evidence that some people have greater natural affinity for entrepreneurship it is likely that it is the environment in which people live or work that has the greatest influence.For now we can't alter our genes but we can create the environment in which more people are encouraged to set up new businesses and be more likely to succeed. . I am not aware of any similar research done on women who carry the MAO-L variant John Hillock is Director at Absolute Certainty Ltd. He can be contacted at [email  protected] Com Plan your success in the CA Program with our comprehensive PREP Workshops and Exam Coaching dad Leaders in accounting education Pass your exams and bec ome a chartered accountant in 2014! See preparers. Co. NZ Daniel hunt

Saturday, September 28, 2019

Accountant's case Study Example | Topics and Well Written Essays - 1250 words

Accountant's - Case Study Example He was advised that it would be possible to have his existing machines upgraded so that they could perform more complicated programmes and decided to go ahead with this. In March Blake received a circular from Watt A. Racket plc, a company specialising in computer maintenance and upgrading of a variety of different computers including his Apropex X18s. This circular contained details of the cost of upgrading and at the bottom of the first page there was a picture of a small red hand together with the words "see last page" in feint black print. On the final page of this six page circular, in a central position, there was a box containing the following words:"The Company undertakes no responsibility of any kind for any loss damage, injury or depreciation in value arising (regardless of cause) during maintenance or upgrading operations. Customers are advised to take out independent insurance". Blake was impressed at the reasonable charges quoted and failed to notice this clause. He imme diately telephoned Racket plc and engaged their services to upgrade three computers. He was told that a confirmation of his order would be sent immediately. The confirmation, which Blake read, arrived the following day and stated that "All work is subject to conditions set out in the company's circular". When Racket plc came to collect the computers, one of them was dropped onto Blake's foot by a Racket employee. The second computer was destroyed by a fire at the warehouse, which was started inadvertently by another Racket employee, and the third computer was returned with an irreparable defect and cannot be used by Blake. According to general rules of contract law pertaining to offer, acceptance and consideration it can be said that if A makes a proposal to B it will be considered as an offer extended from A to B and if B says yes to the offer made by A then the offer will be considered as accepted. The offer will now be called as a Promise in contractual terms and 'A' will be called the 'promisor and 'B' who has accepted the offer/proposal will be called the 'promisee'. According to Atiyah,Essays on contract(1986) 'Consideration is the doctrine to establish which promises should be legally enforceable'. Also in 'Currie v. Misa(1875)L.R.10Ex.153,at p.162' Lush J. stated: A valuable consideration, in the sense of the law, may consist in some right, interest, profit, or benefit accruing to the one party, or some forbearance, detriment, loss, or responsibility given, suffered, or undertaken by the other. Every promise and every set of promises, forming the consideration for each other, is an agreement; and afterwards it culminates in to contract. Consent given should always be free consent in terms of that it should not have been obtained through any fraud, by employing coercion, exerting undue influence or through misrepresentation of facts. These basic rules of offer, acceptance and invitation to treat etc are amply illustrated in the cases 'Pharmaceutical Society of Great Britain v. Boots Cash Chemicals Ltd.(1952)2 Q.B.795' and 'Felthouse v. Bindley(1862)6L.T.157' and also in 'Fisher v. Bell (1961) 1Q.B. 394' The acceptance must assent unequivocally and without qualification to the terms of the offer. The acceptance may also be qualified by reference to the preparation of a more formal contract or by reference to terms, which have still to be negotiated. In this case as it appears on the face of it that Blake on the sending of circular by Watt A that can be taken as invitation to treat offered them to buy computers from them, that the company accepted subject to some terms and conditions. So broadly construing the terms of the contract it seems that they bind Blake. Especially in view of Thompson v. London, Midland and Scottish Ry. Co. [1930] 1

Friday, September 27, 2019

Case study for nursing-heart disease-myocardial infarction Essay

Case study for nursing-heart disease-myocardial infarction - Essay Example This is an emergency situation and she needs immediate medical attention. An appropriate dose of bronchodilator, preferably in combination with a corticosteroid can reverse the condition. This is the rationale for the administration of 3 doses of salbutamol through a metered dose inhaler. This is aimed at reducing the bronchospasm. Salbutamol is a selective ÃŽ ²2 adrenergic receptor agonist which predominates in lung tissue. When administered in inhalant form, the drug exerts immediate action on the bronchial smooth muscles. It hastens the relaxation of the bronchial smooth muscles. Oxygen therapy has been suggested as she has suffered this exacerbation for quite some time now and although the SpO2 and SaO2 levels are within normal limits; oxygen therapy will hasten her recovery as lung efficiency is presently compromised. This will also prevent any ongoing imbalance within the arterial blood gases and aid in better oxygenation of the blood which is to be carried to the vital organs. Patients in status asthmaticus usually have elevated plasma antidiuretic hormone levels and this can disturb the water and electrolyte balance. This is the reason for the suggested administration of N/2 saline. Fluid therapy will restore the electrolyte balance and bring about homeostasis in the body. Ipratropium is a mast cell stabilizer and will prevent the further release of histamine and other mediators which contract the respiratory smooth muscles. Prednisolone is a potent corticosteroid which has a marked anti inflammatory action and is therefore prescribed for three days in order to suppress further inflammation within the respiratory tract. The dosage needs to be continued for a short period of three days or more and can be suddenly stopped although corticosteroids are known to suppress the normal synthesis and release of glucocorticoids by the

Thursday, September 26, 2019

Discourse community Essay Example | Topics and Well Written Essays - 1000 words

Discourse community - Essay Example All members in a discourse community have the required level of expertise in the common goal (â€Å"DePaul University† 1). A discourse community has an overlapping boundary, which allows most people to participate within and between various discourse communities (â€Å"DePaul University† 1). Various academic discourse communities exist in our schools that include mathematicians, engineers, and sportsmen, among other groups. Engineering Course Engineering is a defined discourse community where members have the required level of expertise in engineering to communicate and agree on certain goals and interests in the engineering field. Engineers have a unique language and genre, which helps them to communicate their common goals and unify their group. Moreover, engineers in the engineering discourse community have a common band that reinforces their relationships thus enhancing agreements on common goals and interests. The common band in engineering defines the difference b etween engineering and other discourse communities. Additionally, engineers share norms of "good writing" as a common goal in this discourse community. Notably, engineers use metaphors to unify and define this group. At the same time, the engineering discourse community uses specialized vocabulary in terms of jargons and terminologies to define this group and communicate the common goals in engineering. Only engineers can understand the vocabularies in this discourse community. The engineering discourse community also uses a specialized genre â€Å"verbal and non-verbal† to define this group, communicate the common goals and interests of this group, and unify the engineering discourse community. Specifically, metaphors and reports are the dominant genres and tools used in engineering discourse community to enhance communication among the members in this group. Indeed, the conduit metaphor is dominant among engineers where it basis communication on codes that allowing sharing of engineering information. The specialized genres in this discourse community are very important to engineers as they help them to communicate and present their ideas as well as organizing the data collected in this field. This helps engineers to pass engineering knowledge to future engineers. Engineers must follow certain guidelines in writing an engineering report. Notably, the norms of "good writing, vocabularies, and specialized genres help in bringing engineers together in this discourse community. Supervisor in Electronic Company An electronic company deals in the production and supply of electronic products like bulbs, circuits, vacuum tubes, and diodes. A supervisor in an electronic company will play the role of overseeing the operations in the company where electricians are the main members in the electrical discourse community. Members in the electrical discourse community have the required level of knowledge in electronics that allows them to communicate and agree on cer tain goals and interests in this field. The electricians adopt a common language, writing skill, and genres, which defines and unifies this group. This discourse community has a common band that defines this group and allows electricians to communicate their common goals. The band strengthens the relationships within the electronic company

Wednesday, September 25, 2019

Nursing mental health Case Study Example | Topics and Well Written Essays - 2000 words

Nursing mental health - Case Study Example I wondered why they wished to meet the physician in this department, as they both "looked" normal to me. I was present in the physician's consulting room when they arrived. He made them comfortable and then slowly ventured to the actual problem. Tim added that Annie was hesitant to go to a physician at first, as she did not think she had any mood swings at all. But Tim persuaded her to just accompany him. The other symptoms were noticed by Tim, and hence he had planned this visit. The physician thought it fit to perform certain medical examinations and selected investigations for Annie, before diagnosing a major depressive disorder. All the above symptoms were the same as that of clinical depression, which Annie might be suffering from, but these tests were necessary to rule out a medical illness. As expected, all the above tests had normal results. So any medical cause was ruled out. All this while, I had been observing Annie. She actually seemed to be just like any other woman you see on the road, but sometimes she suddenly became hyper and had a violent streak in her. I discussed about this with the physician, and I suggested that this case should be referred to a Psychologist. It would be better to handle this case in an interdisciplinary health care team comprising myself, a nurse, a psychologist, an occupational therapist and a social worker, if need be. I checked the schedule of the interdisciplinary team member... I discussed about this with the physician, and I suggested that this case should be referred to a Psychologist. It would be better to handle this case in an interdisciplinary health care team comprising myself, a nurse, a psychologist, an occupational therapist and a social worker, if need be. I checked the schedule of the interdisciplinary team members and requested for a meeting with the psychologist and occupational therapist. I also sent a formal request for a meeting to both the doctors prior to this. I had prepared myself with all the relevant details of Annie's case, and had put down my questions on paper. I carried a file containing the information of the symptoms and physical examination reports of Annie, so that it would be easy for the consultants to decide on the further course of action. (Ackley and Ladwig, 376) The requirement of interdisciplinary medical help was posted to all concerned. All concerned departments were informed officially that there help is needed in dealing with this particular patient. In the meeting, we discussed the possibilities that Annie could be suffering from, in an informal way. At this stage it is important to point out that interdisciplinary care was a must for this patient. As a nurse I had not only to look after the administrative issues but also needed to worry about the patient's health as well as coordinating activities to make sure she got all the right things at right places. (Katz, Carter, Bishop and Krayits, 54) Now we had a resourceful health care team, including the psychologist, occupational therapist and me, a nurse, and all of us were focused on Annie. I handed over the copies of Annie's documents to each one present, so that they could have a reference. The psychologist then

Tuesday, September 24, 2019

Artificial Intelligence Research Paper Example | Topics and Well Written Essays - 2500 words

Artificial Intelligence - Research Paper Example The basic aim of this paper is to discuss the use of artificial intelligence in medical devices such as Vinci Surgery Robot. This paper will analyze the da-Vinci Surgery system for the modern AI based medical surgery arrangement. Artificial Intelligence or simply AI is generally defined as the engineering of developing machines carry out various tasks that need intelligence when done by humans (Copeland, 2000). In other words, the artificial intelligence is the analysis of artificial computational machines and systems which can be prepared to take action in a way which we would tend to identify as intelligent. In the beginning, artificial intelligence buzzword was launched as an idea to imitate human brain and look into the real-world complex issues with holistic human capabilities. However, the scholars and scientists from all through the globe are very energized concerning developments in modernization that have emerged from an inborn aspiration to make modern and innovative tools and technologies that help mankind to hang over their own physical ability. The history of AI can be traced back to the early 1950s. However, the artificial intelligence has got a little accomplishment in limited, or basic, fields. Thus, the sixty years from the beginning of artificial intelligence have offered merely very slow development or growth, and untimely brightness regarding the accomplishment of human intelligence has given way to an admiration of the thoughtful solution of the difficulty. Possibly, the publication of a paper entitled "Computing Machinery and Intelligence" was the initial major happening in the history of AI, which was written by the British Mathematician Alan Turing. According to Alan Turing, if a machine is able to pass a definite test (that is now acknowledged as the 'Turing test') then that machine can be acknowledged as intelligent. Additionally, this way of testing a machine engages a person (identified as the reviewer) who is responsible for asking questions using a computer terminal with two other entities, in which one is a human and the other is a computer. However, if the reviewer frequently failed to properly differentiate the machine or computer from the human, then it can be said that the machine has passed the test. Thus, the artificial intelligence is a branch of science which involves developing intelligent machines, particularly intelligent computer applications. Additionally, it is linked to the identical job of utilizing computers to recognize human intelligence; however it is not necessary for the artificial intelligence to bind itself to techniques or rules that are physically visible. Though, sometimes it might be possible but not forever or even frequently. In addition, it can also be learned that how to build machines carrying out human jobs by analyzing our own ways of carrying out tasks or other people (McCarthy, 2001; Berkeley, 1997; Copeland, 2000; Kannan, 2010). AI allows the computers to be trained from skill, be familiar with patterns in huge amounts of complicated data and take difficult decisions derived from human knowledge and problem solving abilities (Hamrita; ThinkQuest, 1997). AI in Medical Industry The artificial intelligence has always been on the scope from practical fields to the thoughts in literature and movies. In this regard, the artificial intelligence mainly develops the capability to collect and perform operations

Monday, September 23, 2019

History analytical paper (modern asia) Essay Example | Topics and Well Written Essays - 1250 words

History analytical paper (modern asia) - Essay Example The book ‘Under the Black Umbrella’ explains in a better away about how Koreans had complex and terrible lives under the colonization of Japan. The Japanese colonialism in Korea hovered like a cosmic umbrella the Peninsula; this caused a lot of distrust, uncertainty and fear over every life and every action. This left the Koreans with no option but to only bask in the shadow cast by their colonial rulers. Colonialism is crime against humanity, this is so because the colonized state loses its sovereignty right to another country (Hane, 23). The colonized citizens are exposed to brutal and hopeless life. Koreans were exposed to forced labor in their own country, it is true that civilization could be handled in a peaceful way without use of force or killing the people who opposed it, for everyone has the right of choice. Koreans who were rich before Japan invaded their country were forced to become poor while living in fear (Dudden, 12). Colonization of North Korea made its citizens to lose all they had to a foreign country who were only not satisfied with what they had in their backyard. Exposing people to fear in their own country can be very terrifying and this was the life Koreans were living under the colonization of Japan. ... Torture, forced labor and killing innocent people should never be used as a way of making people feel they are being developed, rather than being destroyed. Japan left orphans and widows in Korea; the destroyed families were only left in total darkness confused about life. It is true Korea as a country gained economically from Japan but the harm done to Koreans cannot be compared to those economic gains (Kang, 18-19). This is because Japan and other colonizers could have economically assisted the countries they colonized in a more diplomatic and peaceful way. The first method Japan used to colonize Korea, subjugation was a harsh way of leadership compared to the other two, cultural accommodation and assimilation (Kang, 20). The Blue Swallow film was aimed in showing how Japan had some positive impact on the Koreans. It is based on Park Kyung-won who was thought to be the first Korean pilot. The truth was revealed that all this story was about Kwon Ki-ok of the republic of the China A ir force, this forged story proved that what Japan did to Korea was only torture and freedom denial in their own country. Japan leaving Korea was not enough for they had affected the Koreans both socially and emotionally living with wounds due to lose of their loved ones (Matray,30). The movie Emperor explains more of how colonial rulers were only interested in subduing nations through torture. The movie has some images of unspeakable cruelty exercised on Koreans. It shows most of the inhuman activities which the Japanese government practiced in Korea. The movie shows men being burned alive and women who had been gang-raped and horribly mutilated. According to my opinion; what is the point of doing such wicked activities in the name of, you want to change their

Sunday, September 22, 2019

The conventions of the horror genre to create a vision of Victorian London Essay Example for Free

The conventions of the horror genre to create a vision of Victorian London Essay Robert Louis Stevenson uses the conventions of the horror genre to create a vision of London in the Strange Case of Dr Jekyll and Mr Hyde to great effect. Stevenson uses all the different conventions of horror together to create a disturbing tale of good an evil, and incorporates the features of mystery, crime and death, suspense and atmosphere. One of Stevensons most effective themes in Jekyll and Hyde is the use of mystery. Stevenson asks and sets up countless questions throughout the novel, but answers only a few. This means that the reader is continually having to answer questions for themselves, but before you have come to a conclusion, Stevenson has set out another for you to try and answer. The first question, one which lasts throughout the novel, is the background of the characters and what has happened in the past between them. At first Stevenson gives a small description of Mr. Uttersons appearance and some of his background: Mr Utterson the lawyer was a man of rugged countenance, and his few hobbies, but little background information is given about any of the characters. Utterson, Jekyll and Lanyon all seem to be close friends at the start, but throughout the novel Lanyon and Jekyll grow apart as Lanyon discovers the truth about Jekyll. Lanyon also says that what Jekyll had been prior to this had been unscientific balderdash, and that Jekyll had begun to turn wrong in mind. This shows that Lanyon thought that Jekyll may uncover something untoward. During the novel we are never actually told what Jekylls plans are, but we are able to assume that something extraordinary and peculiar is about to be revealed. We know that he is a doctor, but no specific information on what the areas of science that he practices in are, what he has achieved to make him so important, and what his current areas of work are. The Victorian audience at the time would have thought that Jekyll may have been doing something wrong ever since the mention of the door being connected to Jekylls house, as body snatchers brought dead bodies to scientists through secretive measures so that the scientists could do medical experiments. They may have thought that at the time, but is not something that comes to mind for the modern day reader, as this is a very rare event in modern times. One of the largest unanswered questions in Jekyll and Hyde is what was Sir Danvers Carew actually doing on the night he was murdered. We get the impression that Carew was intending to meet Hyde, but no definitive answer is given by Jekyll as to what both Hyde and Carew were doing there in the first place, and why it was necessary for Hyde to kill him. Carew was meant to be a kind and well respected MP, but we never know what he was doing in that disreputable part of London in the first place. As is normal in a horror novel, the use of crime and death is hugely prominent in Jekyll and Hyde, with the whole novel and interest in Mr Hyde beginning with a horrific act of violence. Mr Hyde is walking through London one evening, when he and a little girl ran into one another. This though is not the horrifying part, as after they had collided Mr Hyde trampled calmly over the childs body. Mr Hyde casually walks off, and justice is only done when Mr Enfield chases after Mr Hyde. If it had not been for Mr Enfield, then this hideous crime would have just occurred, and nothing would have been done about it. As it is, Mr Hyde pays the girls family a sum of one hundred pounds so that his name does not become disreputable. Possibly the most disturbing thing about this incident though, is the fact that Hyde shows no remorse for what he has done, and all that he cares about is his name and whatever honour that he may have had, which can also be said for many people in both Victorian times and modern day. Appearance and reputation is the most important thing, what is on the outside, yet their secret and evil side that is on the inside is overlooked. Another terrifying theme is the death of Dr Lanyon. At first Lanyon is described as a hearty and healthy man, who has a boisterous and decided manner. This though changes drastically as the novel unfolds. He is said to have grown pale, and he was visibly balder and older, yet this has only happened over a short period of time. We know that Lanyon has discovered something terrible about Jekyll, and that he is quite done with that person. We later find out what it is that Lanyon had found out, the terrible truth behind Jekyll, and his true feelings which are disclosed in Doctor Lanyons Narrative. Lanyon is so distraught after finding out the truth, that not only his mentality suffers, but his usually excellent physical state rapidly deteriorates and is shortly followed by his death. A different aspect of crime that is connected with Jekyll and Hyde is homosexual blackmail. Although Stevenson never specifically mentions homosexuality, it is fair to say that it is what the reader is meant to believe and if he had talked directly about it then he would have been thought of badly when it was first published. In Victorian times homosexuality was a crime, and was thought of a lot worse then than it is now, and it would have been thought that Jekyll was being blackmailed by Hyde and that he was homosexual. We find out that this is not the case, and that Hyde is in fact Jekylls evil side. As well as Lanyons death, there are also a number of other deaths. The first of these, Sir Danvers Carew, is described as Suspense is a very important horror them in Jekyll and Hyde, as it incorporates lots of other themes, and is what makes any horror story terrifying. Suspense is a build up of lots of different things, and the excellent use of atmosphere and mystery is what makes the novel so terrifying. Probably the greatest cause of suspense is that the reader only finds out the truth about Jekyll and Hyde towards the end of the novel. Mr Utterson is used as a cipher, as the story is told with the reader only finding out what Mr Utterson finds out. The reader is gradually able to piece bits together from what Utterson uncovers, but as facts are rarely given, only opinions, nothing is ever particularly clear. Due to all this personal opinion, we are unable to tell what is fact and what is just incorrect and what is just incorrect personal opinion. Throughout the novel we just get given what Utterson thinks and knows, and even with Lanyons and Jekylls statements, we are still unable to tell what is the truth, as both narratives contradict each other. Lanyon describes Jekylls transformations as horrific: , yet Jekyll says that they are: . Either way, the thought of the evil side of someone taking over their body is horrifying, but with this varying of opinions it leads us to think what other things described are inaccurate. Atmosphere and the descriptions of London used by Stevenson are very important aspects of horror in Jekyll and Hyde. It shows the importance for all of the different aspects, as they all closely link together. The atmosphere that Stevenson creates builds suspense and adds mystery, and the eerie atmospheric descriptions are metaphors for the crime and death that goes on throughout the novel. One of the most important descriptions of London and the positioning of places is Soho. In Victorian times Soho was an extremely disreputable part of London, and crime and indecent activities were widely linked to this part of the city. That is why it is strange that a place like Soho was positioned in the middle of the supposedly respectable west side of London. This is the same as with Hyde, as he is a bad and disreputable person among a group of important and well respected people. Throughout Jekyll and Hyde Stevenson uses vivid descriptions of the city of London to portray the eeriness of the people and events that occur. He regularly talks about the fog and mist that hung over the city, which some may say was because of the huge industrial changes that Britain was going through, but after looking deeper into the story you can tell that this is not the reason, and that Stevenson is cleverly using the idea of physcogeography. When bad and mysterious events are happening, this is shown in the weather and atmospheric descriptions that Stevenson uses. This is excellently shown by: The fog still slept on the wing above the drowned city, and: a pale moon, lying on her back as though the wind had tilted her. Both these descriptions of London are implying that the city is dead, but this is only a metaphor for the terrible events that are happening in the city. The second quote occurs when Poole and Utterson are preparing to break into Jekylls cabinet, which is shortly followed by the death of Hyde and Jekyll. The first is shortly after the death of Sir Danvers Carew, and illustrates the feelings of the characters being described, in this case Utterson and Mr Guest. From Jekyll and Hyde we can tell that all of the different conventions of the horror genre are required to create a truly terrifying novel. Stevenson uses these conventions to create a vivid and horrific vision of Victorian London, with not only its physical description but of the people inside it. Mystery, suspense, crime and death and atmosphere are all incorporated and closely joined to create a truly spine chilling horror novel.

Saturday, September 21, 2019

African Corruption Essay Example for Free

African Corruption Essay This study intends to clearly show the extent to which Africa and Africans have been suffering from the ravages of corruption, fraud, and intentional mismanagement by their governments and their leaders, much to the disappointment and anger of the people. The impact of corruption on the lives of the people, the businesses, and the economy of any of the nations concerned has been studied by a number of authors, scholars, and worldwide institutions such as the World Bank, the IMF, and even donors (highly industrialized nations). Although Africa has a large share of the worlds raw material and mineral resources, African nations are by far the least developed and the poorest countries in the world. Robert Harris, in his book, Political Corruption In and Beyond the Nation State, (1990, p. 29,) introduced three themes. First, political corruption is an illegitimate extension of normal political activity. In trying to understand the central issue of corruption, one needs to understand the complex and intricate nature of corruption. If we ask, what is â€Å"corruption†? The American Heritage English Language Dictionary (Pickett, 2000) defines corruption as â€Å"the art or process of corruption, the state of being corrupt, decay, and rot.† As indicated above, corruption comes in many forms. In the least developed countries (LDC’s) such as Africa, all types of corruption are prevalent. The following brief case histories of these three companies will present the magnitude of the scandals, corruption, and deceit these companies perpetrated on the unsuspecting public and their business partners. Other countries of the world have similar problems of corruption, fraud, and mismanagement. From time to time, stories appear about the corruption trial of a government official, a banker, or corporate head in other parts of the world. Doing Business in Africa and Other Non-Industrialized Nations, the basic tenets of the guiding principles are that corruption, dishonesty, and unethical behavior among public officials represent serious threats to the basic principles and values of government, undermining public confidence in democracy and threatening to erode the rule of law. The aim of these guiding principles is to promote public trust in the integrity of officials within the public sector by preventing, detecting, and prosecuting or sanctioning official corruption and unlawful dishonest or unethical behavior. Monsanto Co.: Settled an SEC complaint in January alleging that the company funneled more than $700,000 in corrupt payments to Indonesian government officials between 1997 and 2002. ExonMobil, Chevron Texaco, Marathon Oil, Devon Energy, and Amerada Hess, as well as several other oil companies: These reportedly are involved in SEC investigations into bribes allegedly paid to government officials in Equatorial Guinea. Public perception of police corruption stems mainly from instances where the public has come face to face with the vice as they interact with police in their discharge of duty. My personal experience also left me with no doubt that police corruption in South Africa was daunting task for the new democratic government of South Africa. While police brutality in Kenya is much less compared to that of the apartheid South Africa, the police corruption in Kenya is much more widespread and open. Corruption in the police force takes various forms and in various degrees of sophistication. Corruption in Kenya and more particularly among the police has reached unprecedented levels. Thieves have been set free from police cells because of corruption. The ministry of public works: This is the second most corrupt institution in Kenya. Finding found that this is the Ministry that has the highest rent corruption in Kenya. A large population of the Kenyan people expressed disgust at the corruption in this ministry. The corruption at the ministry of public works is more sophisticated than meets the eye. It is also in charge of construction of government residential houses and offices. The ministry houses the largest number of government employed Engineers, professionals, and Architects. It is actually a key ministry in any government.   Millions of shillings are spent in purchasing goods and services for the government. There was no good will from the establishment to deal with cases of corruption. Where genuine outside companies have been awarded contracts, big bribes were paid to the committee before the award. In one case a contractor has given a job to put up some government circles. The author discovered that this was done just to get free money as penalties from the government. The poor jobs that we have seen on our roads are a result of corruption. This makes the land law in Kenya, one of the most complicated land systems in the world. The Crown Lands Ordinance (Cap. 280) passed in 1915 defined crown land as â€Å"All public land including all land occupied by the native tribes of the protectorate and all land reserved for the use of the members of any native tribe.† All the land rights of the natives were ignored. After all and without exception, African customs recognized land rights. African communities saw land as a gift of God to every individual. That has been the root cause of land problems in this country. Nowhere in Africa is land such expensive commodity as it is in Kenya. A Kenyan who has no land will always work hard to buy himself land. Land and Corruption in Africa The Ministry of Lands is one of the most corrupt institutions in this country. Land Cartels Land allocations, is the biggest single activity that goes on at the Lands office, Nairobi. Here, the people of Kenya will spend as much time and spend as much money, to ensure that they have been allocated land. Income tax department: African Revenue Authority is the main government agency for collecting all government revenue. No government can run on its own without taxes. Money collected from taxes is what the government uses to provide public services like Education, Health, Infrastructure, security and policing, a forestation, public service employment, defence and many others. (Transparency International Report, 2006) You cannot tax people so highly and yet fail to provide services. Over Kenya Shillings 250 billion taxes, (Transparency International Report, 2006), are collected annually by the Kenya Revenue Authority. The African revenue authority has some of the best professionals in the public service. Corruption at the African Revenue Authority is a matter of great concern. There is corruption in the organization both corporate and individual taxpayers. With the present economic situation most business people are stressed out and depressed. Research revealed that there is massive corruption in the import and export sector. Tax evasion is very high in this sector and the government loses millions of shillings through fraud and tax evasion. It was found that tax officers collude with importers and exporters to avoid tax and deny the government the badly needed revenue. This area has provided a good breeding ground for corruption in the income tax department. Officers in the Revenue Authority come across these businesses every day. The government is losing a lot of revenue by leaving these sectors out.

Friday, September 20, 2019

The Social Conflict Theory Sociology Essay

The Social Conflict Theory Sociology Essay Sociologists believe that there is four different ways of social conflict. Most sociologists will use the theoretical or perspective approach to help research. There are a multitude of approaches that are used by sociologist but, the mainly stick to three types of theories. The first would be the structural functional theory, then the social conflict theory, and finally the symbolic interaction theory. Within these three approaches are several more ways to gain research (Conflict Theories, 2011). The social conflict theory tries to show that society creates conflict due to the inequalities that are present in everyday life. Most sociologists will use the macro level orientation theory simply because it takes society as a whole and shows how it shapes our lives. It uses terms like inequality, power, authority, competition, and exploitation (Conflict Theories, 2011). Some of the examples that would be used in the social conflict theory are authority. Authority takes into account the family, patriarchy, race and ethnicity hierarchies of authority. In inequality there is family, health, and property. Inequality looks at how people are treated and how are perceived by others. Then there is competition which; can be anything from education, religion, to who will move over when you pass someone on the street. Competition is ingrained in all of us from the time we are born until the time we die (Conflict Theories, 2011). The power and exploitation can go hand in hand. The people that are in power or come to power got that way by exploiting citizens along the way. Power, if not kept in check, will make the honest of men corrupt. Once the corruption sets in they will use that power to exploit people along the way to gain more power (Conflict Theories, 2011). Karl Marx believed there two groups of people in society, the wealthy and the poor. He studied what would happen if one group decided to up rise against the other. He looks to see what would happen and what roles the people involved would take. Once the sides are chosen and the revolt has begun, Marx will study the inner workings of the dominate class to see how they retain their status after the conflict has ended (Conflict Theories, 2011). Social conflict can be either used for good or bad. Take any uprising against the local government. In Somalia the people have been fighting their government for equality and fairness. The government themselves are fighting its own people to keep the control or power. All across time there is human uprising against those in power. The earlier battles were fought for land, the later battles are fought for greed, power, and wealth. Some examples of bad social conflict are the recent increase in school shootings, bombings, and over all violence that is plaguing the country today. Unfortunately the innocent by stander is usually the one getting hurt or killed. This is not just limited to the United States; it is all across the globe. Those that are in power want more power and wealth to control those who are less fortunate. So, the social conflict theory is about those in power wanting to stay in power and those not in powers wanting to gain power. Throughout time there have been many battles waged in the desire to gain power. It all began with Karl Marx and has evolved over time to incorporate many other theories about crime and what causes it. There is also the realistic theory; this theory is about ones group gain, due to another groups loss. This can be brought on by limited resources, this can lead to conflict. This can lead to more friction within each group when they compete for resources. This theory is a social psychological theory thought to explain prejudice (Conflict Theories, 2011). An example for this would be immigration. With all the bombings, terrorist attacks, and violence from one ethnic group or religious group. With the recent Boston bombings, this will lead to a negative reaction to all immigrants of Muslim decent. It doesnt matter if they are of Middle Eastern decent, people will see just the color of their skin and automatically lump them into one category, terrorist. This theory can be traced back through history. It can be seen with the British and Native Americans, Whites and blacks, Japanese and American, and recently middle eastern and Americans. Most of these conflicts have happened over one ethnicity doesnt like what the other one believes, whether it is religion, politics, or moral standings. Muzafer Sherif did the famous study called Robbers Cave in 1954. He basically took two groups of teenage boys, put them in a camp, and had them compete against each other. He had 22 boys in the study, all middle class white boys. These boys all came from similar backgrounds and upbringing. He randomly assigned them to a group (McLeod, 2008). In the first week of the experiment, the two groups bonded with each other. The boys chose group names and stenciled them on their clothing and a flag. They bonded over hiking, swimming, and hanging out. This created and attachment that bonded the boys together (McLeod, 2008). In the second week he challenged the boys to competitions against the other group. He used activities like, baseball, tug-of-war and other games. The winning group would receive a trophy at the end of the competition. He also included individual prizes to create competition against the other group and within the groups (McLeod, 2008). The boys became physically, verbally, and mentally abusive towards each other. They burned each others flags, tore up sleeping areas, and had to be physically restrained by the researchers. This study showed that it doesnt matter where you come from, you can turn to prejudice (McLeod, 2008). Then there is the Game Theory which states investigates the strategic behavior of decision makers who are aware that their decisions affect one another (Skekel, 2013). The gaming theory believed that people interacted with each other similar to a game. This was done by strategic moves, winners and losers, rewards and punishments, or profits and cost. It was the first model used to describe how the human population interacts (Game Theory An Overview, 2013). So, with this theory you will have players, strategies, and consequences just like in a game. There are many types of games like zero-sum game, non-zero sum game, simultaneous move games, sequential move games, one-shot games, and repeated games. These games are used to study the gaming theory (Game Theory An Overview, 2013). A popular gaming theory is the prisoners dilemma. The prisoners dilemma shows why two individuals might not agree, even if it appears that it is best to agree (Game Theory An Overview, 2013). They use two people who have committed a crime and pit one against the other. The sentencing is done by how the criminals talk, or not talk. If one partner talks, they get sentenced and the other set free. If they both remain quiet they get a short sentence, if they both talk they both get a moderate sentence. They never reveal what the prisoners chose to do (Game Theory An Overview, 2013).

Thursday, September 19, 2019

The Impact of Morality, Religion, and Law Upon Advertising Essay

The Impact of Morality, Religion, and Law Upon Advertising Religion and other value systems are certainly crucial in defining and sanctioning sex and decency. Moslem countries tend to frown upon all kinds of salacious displays and even indirect sexual references. Similar Christian standards operate in such countries as Ireland, South Africa, Mexico, and the Philippines. Other cultures may be considered rather tolerant in sexual matters (for example, French commercials on public television readily show live semi-nude models) but may prohibit any show of pubic hair (Japan), the promotion of contraceptives (France), or the lewd use of women (Scandinavia and the Netherlands) in advertisements. Values change, however. Thus, the spread of AIDS has reopened the issue of advertising condoms and other contraceptives in a totally different context, which transcends the older concerns about birth control and venereal-disease prevention. The law usually parallels religious and moral standards. There are often statutes dealing with public indecency (in Switzerland, Thailand, and the United Kingdom), the moral protection of minors, the restriction of violent displays (including sado-masochistic ones), and discriminatory job advertisements (particularly in Australia, the Netherlands, Norway, the United Kingdom, and the United States). Restrictions on the publication and circulation of "sexy" magazines of the Playbqy variety, with their usually more risque ads, also belong to this category (Argentina, Lebanon, South Africa, and Thailand). Reflecting concerns about "sexist" portrayals, a 1979 amendment to the 1972 Norwegian Marketing Control Law states: An advertiser and anyone who creates advertising matter shall ensure that the advertisement does not conflict with the inherent parity between the sexes, and that it does not imply any derogatory judgment of either sex or portray a woman or a man in an offensive manner." Similar provisions have been enacted in India, Peru, and Portugal to protect women against indecent or derogatory representations. Still, the matter of constitutional freedom of speech as applied to advertising has raised serious questions concerning control of sex and decency in advertising. Swedish courts, for example, have not sustained some initiatives of the Consumer Ombudsman in this matter; and the Swedish Parliament sta... ...and P.R. Parsons, "Self-Regulation and Magazine Advertising," Journal of Advertising, 18, 4 (1989): 33-40. Randall Rothenberg, Condom Makers Change Approach," New York, Times, August 8, 1988, p. D1. Colin Shaw, Sex and Violence, Plus Decent Research," Marketing Review (UK), February 1989, pp. 6-7. Sherry B. Valan, Broadcast Ad Standards for Personal Products," Advertising Compliance Service, December 21, 1987, pp. 5-7. Laurel Wentz, AIDS: Condom Advertising Charts Broader Course Overseas," Advertising, Age, March 9, 1987, p. 62. Aubrey Wilson and Christopher West, The Marketing of Unmentionables,"' Harvard Business Review, January-February 1981, pp. 91 102. World Federation of Advertisers, "The Portrayal of Women in Advertisements" (Brussels, April 1988). R.G. Wyckham, "Self-Regulation of Sex Role Stereotyping in Advertising: The Canadian Experience," Journal of Public Policy and Marketing, 6 (1987): 76-92. Jean J. Boddewyn is a professor of marketing and international business at Baruch College, City University of New York. Heidi Kunz is an assistant vice president and financial controller with FISERV, Inc., New York.

Wednesday, September 18, 2019

Importance of Philosophy in the Modern World :: Philosophy Religion Essays

The Importance of Philosophy in the Modern World Many of the philosophers we have been reading in class seem to me to be hopelessly dated (although some of them express useful ideas and/or make good points). Of course, it's easy to become trapped in writing only for the period a person lives in, and a philosophy is necessarily dependant on the historical situation and the extent of man's knowledge. And many of the philosophers who have existed over the course of the centuries have necessarily had to worry about governmental, church, or societal disapproval, censorship, or punishment. (Socrates, for instance, was sentenced to death by a court for the crime of explaining his ideas.) However, Victor Hugo said that if he were writing for his own time only, he would have to break his pen and throw it away (or something like that). As so it seems that, in order for a philosopher to be relevant for the future as well as the present, he must take into account all of the objections to his philosophy which can be anticipated at the present time. (Since we are not omnipotent, that's the best we can do.) And it seems to me that the most frequent objections to modern and premodern (but not postmodern) philosophers come from the incompatibility of their philosophies with what is considered to be established scientific fact. For instance, Plato's theory of forms does not, to me, seem to jibe with modern physics and cosmology. And although I can only vaguely glimpse the psychology which underlies Kant, it seems to be highly questionable. (In my view, application of Kant's epistemology and metaphysics could never produce an artificial intelligence capable of passing a Turing t est.) And so, it seems to me, the best way that a philosopher can keep from being dated (not in the romantic sense; many seem to have no problem with that) is to be aware of scientific knowledge, and integrate it into philosophy. Of course, this necessitates an independent evaluation of the merits and drawbacks of a given scientific idea, which necessitates, in turn, a thorough knowledge of that theory. After all, physics can (it seems to me) give us insights into metaphysics, since both seek different ways to do the same thing; psychology, sociology, anthropology, and archeology can give us insights into epistemology; various "soft" sciences dealing with comparative cultures can provide food for thought in ethics, and so on.

Tuesday, September 17, 2019

Homeless Bedford Reader

Joseph Papalexandrou The essay I am analyzing is homeless written by Anna Quindlen. The essay can be found in The Bedford Reader 10th edition. My curiosity it what brought me to this essay. The topic I am writing about is homeless citizens. What interests me about homeless people is that it never seems to bother them where there living. What also gave me interest is how do homeless people feed themselves with no money?I always wonder why homeless people don’t look for money on the streets and save what they find buys a pair of clothes and go for a job interview at McDonalds. The overall message in this essay is that people make what they have home. If it’s living in a box or on the street they will always call that place home. It doesn’t matter what you have but how you feel about what you have. If you’re ok with where you call home then that fine. The real message in this essay is that not all people depend on items or things they have to make them happy. The overall tone in this essay is subjective and personal. Anna is trying to do a story on homeless people, and she found women called Ann on the back of a bus. Quindlen tries to get some information out of the women at the back of the bus and she is having a hard time doing so. In the story Quindlen goes back and forth with how she doesn’t see the big picture in things. But she does bring up some personal information. There are no images in this essay although there the Quindlen likes to make a lot of understatements.She says that it’s not where you live or how big it is but that it’s the place you call home. So basically living in a box you can call home and it doesn’t matter because it’s your home. That is a very big understatement. A lot of people like stability to be able to feed themselves everyday and be clean. The details and evidence that I found to support the main message in this story was when quindlen wrote â€Å"They are not the home less.They are people with no home. (Quindlen 200) That pretty much gives me the feeling that she is saying that there is no right to look down on someone because they have no home and that it gives us no right to call someone homeless. In this essay there are logos & pathos. In the essay Quindlen started to do to a report on homeless people and she even mentioned that she never seen the big picture up until she met Ann on the back of the bus. Quindlen started to no longer call homeless people homeless she instead refers them to people without a home.

Monday, September 16, 2019

Macbeth and Macduff Essay

Macbeth explains that Lady Macbeth hates her weak self. â€Å"Make thick me blood. † (1:5:44). Lady Macbeth wants to feel no emotion; she wants to stop being a woman and become a more dominant factor. In this case she wants to become a man. Shakespeare supports his explanation by asking Lady Macbeth ask the spirits to change her, â€Å"Come to my woman’s breast/ and take y milk for gall. (1:5:48-49), she doesn’t want what she has because it is of no longer use to her â€Å"gall†. The author’s purpose it to inform that Lady Macbeth is the true killer and is using Macbeth as a puppet. The author writes in a dominant tone to show Lady Macbeth’s feeling toward change. First, Shakespeare portrays an ominous image in Lady Macbeth’s soliloquy, â€Å"The raven himself is hoarse. †(1:5:37-38). She talks of the future death of the king. The Raven being the messenger who announces death. The cacophonous word â€Å"hoarse† portrays the raven’s speech and harsh tone of voice. Then, there is a tip in the balance of the hegemonic structure in the play. â€Å"That my keen knife see not the wound it makes. †(1:5:51). Lady Macbeth knows hat she is not supposed to have a â€Å"keen knife†, perhaps not a knife at all. A woman, in her right place, should not be keen. She must submit and let her husband have all the control. Where as Lady Macbeth wants to be the one with all the power. The cacophonous diction that Shakespeare uses for the Lady Macbeth. That tend on mortal Ruiz2 thoughts† (1:5:40). Lady Macbeths uses the harsh â€Å"t† expresses her self loathing toward her self and her weakness. â€Å"Nor keep peace between† (1:5:45). There is an eerie â€Å"e† sound portrayed in this line. Shakespeare’s Macbeth portrays the dominance women have. The dominance and the plan that Lady Macbeth has over her own husband. She uses this power to her advantage. Throughout the play Shakespeare reveals through more images of Lady Macbeth’s dominant power.

Sunday, September 15, 2019

Police and Lethal Force Essay

Police work entails expectedly many opportunities for misuse of authority or the excessive use of force which is not necessary when in the line of duty (Strack 1994; ACLU 1991). This is a primary issue that concerns policing and the grave and abusive conduct of men in uniform whether they are in the United States or elsewhere in the world (Police culture and behavior 2008).   There are various factors that are usually pointed at whenever this happens; police officers already in the brink of burn out are a primary reason. However, the mental or psychological state of an officer is usually in question if this use of lethal force occurs.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Why is this considered an issue? It is a given usually, that a police officer is knowledgeable of the â€Å"force continuum† (www.policetest.info) which is a kind of scale that guides an officer in graduated level with which what method or approach will he resort to under any given circumstance (see appendix A).   This shows that by his mere presence alone, the officer realizes, the suspect may be alerted or threatened and succeeding responses by the two individuals (i.e., if it involves two people only) are then again graded and evaluated by the officer according to the force continuum. Precisely because reports are aplenty concerning police brutality which happens when a suspect is frisked and/or confronted with a criminal activity and many of these instances that the persons of interest or suspects do not even have any weapon of sorts with them, nor were they in the position challenging the person in authority. The case of Rodney King in 1991 became a platform for many of these reforms that were made eventually, to respond to public clamor for justice regarding perpetrators the like of which Rodney King had suffered from.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Studies show that in most organizations where reforms have been initiated, what was important was the regular monitoring of the activities of police officers ensures that these men minimize their propensity to exercise the capability of employing lethal or deadly force against any citizen or any suspect unless merited. This is not just to safeguard any suspect or citizen whether they are coming from the expected â€Å"marginalized groups† where the most likely victims are men of color, older or aging citizens, women and children but even these same men in uniform from their own tendencies to act with anger or rage and resort to these means (ACLU 1991). â€Å"To serve and to protect† can mean both ways when interpreted in the light of these reforms: it means serving and protecting the men themselves who are employed to do the same to the general public. Affirming their code of ethics now and then may be a small thing but it is still a major part of reminding officers why they are in the force and the accountability that is necessary in the deterrence of themselves committing a crime needlessly. Appendix A    The Force Continuum More Force    Deadly Force       Less Lethal       Pepper Spray, Baton, Taser       Empty Hand Control       Verbal Commands Less Force    Officer Presence Source: http://www.policetest.info/FORCE_CONTINUUM_POLICE_USE_OF_FORCE.htm    Works cited: Strack, Lorr M.1994. Personality profile of police candidates. Journal of Clinical Psychology; 50(2):200-7. www.pubmed.gov. _____ Police culture and behavior. Accessed March 12, 2008. American Civil Liberties Union. On the Line: Police Brutality and its remedies. New York. April 1991. Retrieved March 12, 2008 < http://www.aclu.org/police/gen/14614pub19971201.html> _______ Police Oral Boards and Use of Force Continuum. Retrieved March 12, 2008

Saturday, September 14, 2019

Capacity planning Essay

WHAT IS CAPACITY PLANNING? Capacity can be defined as the ability to hold, receive, store, or accommodate; a measure of an organization’s ability to provide customers with the demanded services or goods in the amount requested and in a timely manner. Capacity planning is the process of determining the production capacity needed by an organization to meet changing demand for its products. The objectives of capacity planning are: To identify and solve capacity problem in a timely manner to meet consumer needs. To maintain a balance between required capacity and available capacity. The goal of capacity planning is to minimize this discrepancy. Capacity is calculated: (number of machines or workers) Ãâ€" (number of shifts) Ãâ€" (utilization) Ãâ€" (efficiency). THE NEED FOR CAPACITY PLANNING: Capacity planning is the first step when an organization decided to produce more or a new product. Once capacity is evaluated and a need for a new expanded facility is determined, facility location and process technology activities occur. Too much capacity would require exploring ways to reduce capacity, such as temporarily closing, selling, or consolidating facilities. Consolidation might involve relocation, a combining of technologies, or a rearrangement of equipment and processes. Capacity planning is done in order to estimate whether the demand is higher than capacity or lower than  capacity. That is compare demand versus capacity. It helps an organization to identify and plan the actions necessary to meet customer’s present and future demand. HOW IS CAPACITY MEASURED? For some organization capacity is simple to measure. General Motors Corporation can use â€Å"numbers of automobiles per year.† But what about organization whose product lines are more diverse? For these firms, it is hard to find a common unit of output. As a substitute, capacity can be expressed in terms of input. A legal office may express capacity in terms of the number of attorneys employed per year. A custom job shop or an auto repair shop may express capacity in terms of available labour hours and/or machine hours per week, month, or year. Capacity can be expressed in terms of input & output, depending on the nature of business. Organization Measure Output Automobile manufacturer Numbers of autos Steel producer Tones of steel Power company Megawatts of electricity Input Airline Numbers of seat Hospital Number of beds Tax office Number of accountants CAPACITY PLANNING DECISION: Capacity planning normally involves the following activities: Assessing existing capacity. Forecasting capacity needs. Identifying alternative ways to modify capacity. Evaluating financial, economical, and technological capacity alternatives. Selecting a capacity alternative most suited to achieving strategic mission. THREE STEPS OF CAPACITY PLANNING: Determine Service Level Requirements: The first step on the capacity planning process is to categorize the work done by systems and to quantify users’ expectation for how the work gets down. Define workloads Determine the unit of work Identify service levels for each workload Analyze current capacity: Next, the current capacity of the system must be analyzed to determine how it is meeting the needs of the users. Measure service levels and compare to objectives Measure overall resources usages. Measure resource usages by workload Identify components of response time Planning for future: Finally, using forecasts of future business activity, future system requirements are determined. Implementing the required changes in system configuring will ensure that sufficient capacity will be available to maintain service level, even as circumstanced change in the future. Determine future processing requirements Plan future system configuration STRATIGES FOR MODIFYING CAPACITY: After existing and future capacity requirements are assessed, alternative ways of modifying capacity must be identified. Capacity refers to a system’s potential for producing goods or delivering services over a specified time interval. Capacity planning involves long-term and short term considerations. Long-term considerations relate to the overall level of capacity; short-term considerations relate to variations in capacity  requirements due to seasonal, random, and irregular fluctuations in demand. Excess capacity arises when actual production is less than what is achievable or optimal for a firm. This often means that the demand in the market for the product is below what the firm could potentially supply to the market. Excess capacity is inefficient and will cause manufacturers to incur extra costs or lose market share. Short-term Responses- For short-term periods of up to one year, fundamental capacity id fixed. Major facilities are seldom opened or closed on a regular monthly or yearly basis. Many short-term adjustments for increasing or decreasing capacity are possible, however. Which adjustment to make depended on whether the conversion process is primarily labour-or capital-intensive and whether the product is one that can be stored in inventory. Long-term Responses- Expansion from World War II through the 1960s, the U.S. economy was one of abundance and growth. Since the 1970s the United States has encountered problems of scarce resources and a more competitive economy. Organization today cannot be locked into thinking only about expanding the resource base; they must also consider optimal approaches to contracting it. Example:- A warehousing operation foresees the need for an additional 100,000 square feet of space by the end of the next five year. One option is to add an additional 50,000 square feet now and another 50,000 square feet two year from now. Another option is to add the entire 100,000 square feet now. Estimated costs for building the entire addition now are $50/square foot. If expanded incrementally, the initial 50,000 square feet will cost $60/square foot. The 50,000 square feet to be added later are estimated at $80/square foot. Which alternative is better? At a minimum, the lower construction costs plus excess capacity costs of total construction now must be compared with higher costs of deferred construction. The operation manager must consider the costs, benefits, and risks of each option. WHAT ARE THE MODELS AND TECHNIQUES THAT ARE USEFUL FOR CAPACITY PLANNING? Present value analysis: It is used to evaluate the time of capital investment and fund flows. Aggregate planning models: it is useful for examining the way of using the examining the way of using the existing capacity in the short terms. Break even analysis: to determine the minimum break even volumes of production. Linear programming: this is helpful in determining the optimum product mix for maximizing contribution, considering the capacity constraints. Computers simulation: it is helpful to determine the effects of various scheduling policies. Decision tree analysis: this can be applied for long term capacity problems. WHAT ARE ECONOMIES OF SCALE? It is well known principle of economics. It indicates the relationship between cost and capacity in an operating system. When output increases in an operating system, the system is likely to experience cost advantages on account several factors. Due the following reasons the average unit cost begins to fall with the rise in output level : Spreading the fixed costs of capacity over a larger output Improved utilization of several resources in the system Cost benefit in procurement on account of increased volume. Efficient use of supervisory and management staff. The economies of scale cease to occur beyond a level of production or output. This is called ‘Diseconomies of scale’. There can be several reasons for this: Inefficient management due to largeness of operation and resultant lack of coordination. Overuse of machineries and break down of material handling equipments Over hiring of employees, or excessive overtime. Service slowdowns due to increasing complexities Increase in quality problems because of mismanagement and lack of focus. EFFECIENY AND UTILIZATION: Utilisation = Actual Output Design capacity Both measures expressed in percentage Example:- Design capacity= 50 trucks/day Effective capacity= 40 trucks/day Actual output= 36 units/day

Causes of the boom years in the 1920s Essay Example for Free (#1920)

Causes of the boom years in the 1920s Essay Employers were working fewer hours however were being paid more. This therefore meant industrial goods produced were also increasing. American’s had more time for leisure and more money so electrical labour-saving devices were being introduced becoming affordable by many people. Motor cars eased travel to and from work as well as for leisure pursuits. It was the golden age for cinema and sport attracted vast crowds. Reasons for prosperity: government policies Calvin Coolidge stated ‘the chief business of the American people is business. ’ This was his government policy to let business operate as far as possible, free of regulation. Andrew Mellon and him believed wealth filtered down naturally to all classes and to ensure increased living standards for all was to allow the rich to continue make money to invest in industrial development which therefore meant more job opportunities, more wage earners, more consumption etc. this policy was laissez-faire but the government intervened to support business in 4 ways: Fordney-McCumber Act 1922 à ¯ raised tariffs to cover difference between domestic and foreign production costs Cheaper to buy goods from USA than abroad Tariff level à ¯ foreign goods more expensive than USA even though produced cheaper in USA Foreign trade reduced = domestic demand for goods high Government reduced federal taxes – 1924, 1926 and 1928 (benefited wealthy) Aim à ¯ reduced national debt, federal tax cuts = meant little to poor as not able to pay taxes Federal Trade Commission à ¯ unable and unwilling to operate effectively causing businesses unhindered Coolidge à ¯ avoided involvement in foreign affairs due to budget cutting an recognition that Americans didn’t want to see troops getting caught up in foreign disputes. This meant that investors would favour profit ever over ethical concerns Technical advances in industrial production made increases in quantity and variety of products This industry grew dramatically in the 1920s. It was the largest for commodities. Previously cars had only been for the wealthy but Ford wanted the ordinary to be able to afford one Effects of growth in car ownership: Ford thought this would strengthen traditional American values but it led to: By 1929, motor industry employed 7% of all workers and paid them 9% of all wages Closure of Ford à ¯ factor to recession of 1927 Loss of business by companies providing components to Ford real problems in economy Breaking of laissez-faire à ¯ federal government expend on road building in 1920s Federal Highway Act 1921 à ¯ responsibility for road building to central government and highways. Construction = 10,000 miles per year by 1929 Chief Designer in Bureau of Public Roads 1936 à ¯ roads built unfit for use because of amount of traffic Motor vehicles à ¯ new service industries e.g. garages, petrol stations etc. Improved transportation = new opportunities for industry New technology = large scale development of labour saving devices as cheaper to produce Serious over production = problems in economy Large corporations manufacturing business = could invest in and exploit raw materials of USA on vast scale Large corporations could dominate industry by: Operating cartel (group of companies agreeing to fix output and prices to reduce competition and maximise profits). Although illegal, government accepted which involved exploitation of raw materials, retail outlets etc. Some organisations were able to adapt to holding companies which resulted in firms competing against each other Increased size of businesses à ¯ complex to manage = different management roles by different people in administration Management science, occupation for upper class = indication harder to start own company Advertising and salesmanship: Cinema Millions of cinema-goers to copy lifestyle of stars meant potential for advertising was enormous Began with KDKA station which announced results in 1920 elections Radio’s controlled by 2 companies with a vast audience Growth in industrial production needed a continuous market in order to fuel the boom as people needed to be convinced to buy things frequently. An aspect of a campaign needed to be bought in which would differentiate between one’s product and that of the competitors to promote unique selling point. Advertising techniques worked for many consumers. Massive consumer boom was financed largely by easy credit facilities 1929 à ¯ $7 billion goods were sold on credit – 75% of cars and half of major household appliances Availability of credit meant borrowers took on debts which they could not repay High tariffs were used to protect US markets however the government also encouraged businessmen to develop extensive interests abroad in terms of raw materials that fuelled technological developments. US exported vast amounts of manufactured products. In the 1920s with almost full employment, low inflation, high tariffs keeping foreign goods out of USA, benevolent government policies and a consumer boom the prosperity would go on forever. Causes of the boom years in the 1920s. (2017, Sep 01).

Friday, September 13, 2019

Persuasive Speech on Milk or Presentation Example | Topics and Well Written Essays - 750 words

Persuasive on Milk - Speech or Presentation Example These perspectives turn our world upside down. Preview: Today I will talk to you about the health risks and problems associated with drinking milk. I have four main points I would like to discuss: 1. What is commonly believed and claimed about milk 2. Debunking the myths—what is really true 3. The health risks posed by milk 4. Quitting milk—alternatives and effects To begin, let's look at what is claimed in the advertisements we see, such as those showing the â€Å"milkstache† and asking—got milk? II. Body A. Point 1: Got milk? The ads are everywhere: 1. They use celebrities and sports stars—this is trying to use public figures as a form of persuasive 2. They suggest that milk is integral to the diet, and thus it is a campaign to encourage drinking milk without in depth persuasion 3. They go unchallenged in public—considered common knowledge, and don't explain their facts B. Claims 1. Milk helps muscle recover after workouts 2. Milk cuts PMS symptoms in half 3. Milk reduces risk of bone disease 4. Milk reduces risk of bone fracture 5. Other minor benefits—healthy hair, skin, teeth, better sleep C. Why should we question these claims? 1. This information comes from a lobbying campaign 2. This information is meant to sell product primarily, not just inform 3. It is best to get information from multiple sources 4. Getting milk info from milk companies is like getting smoking information from cigarette companies—conflict of interest D. Point 2: What do others say about the Got milk? Claims? 1. A recent study by the US Department of Agriculture found that: a. Milk doesn't benefit sports performance b. No evidence says milk is good for bones or prevents bone disease 2. Dr. Walter Willet of Harvard School of Public Health says: a. Milk doesn't reduce fractures b. Less dairy means better bones c. Vitamin D is more important than calcium for preventing fractures d. Calcium has benefits, but dairy itself doesn't 3. Amy Lanou Ph.D., nutrition director for the Physicians Committee for Responsible Medicine in Washington, D.C says: â€Å"the connection between dairy consumption and bone health is almost nonexistent† 4. Essentially, Got milk? Makes dubious claims to support milk industry sales— and is not 100% accurate or true E. Point 3: Why milk is bad for you 1. Milk adds acidity to the body—the body weakens bones by taking calcium from them to protect kidneys from this acidity—hence milk drains calcium from bones 2. A 1994 study in the American Journal of Epidemiology said: â€Å"Consumption of dairy products, particularly at age 20 years, was associated with an increased risk of hip fracture in old age† 3. Dr. Amy Lanou again adds: â€Å"The countries with the highest rates of osteoporosis are the ones where people drink the most milk and have the most calcium in their diets† – so it is associated, and correlates with osteoporosis 4. Dr. Walter Willet found that high dairy intake increases risk of male prostate cancer 5. Milk is also full of saturated fat—linked to heart disease 6. Dairy aggravates irritable bowel syndrome 7. Dr. Mark Hyman says it may also contribute to allergies, sinus and ear infections, Type 1 Diabetes, and Anemia in children 8. Our bodies—

Thursday, September 12, 2019

Cognitive Development Theory Essay Example | Topics and Well Written Essays - 750 words

Cognitive Development Theory - Essay Example This test was adopted to be used in the United States in 1905 by a psychologist called Lewis Terman (Morra, 2008). The intelligent quotient has its scoring concept based on the mental age. In this test, the average intelligence of a child needs to match with his/her age. However, a gifted child has his or her performance compared to that of older children while the slow leaners are identified through comparisons with younger children. There are a number of theories of cognitive development, yet there is none that gives explanations to all the cognitive development aspects. The Jean Piaget theory is one of the most comprehensive and influential postulate. Jean argues that intelligence is an enabling agent for one to adapt to an environment. Ones intelligence is shown by his or her response towards a certain stimuli. He was interested in the reaction of children towards the environment (Morra, 2008). The knowledge of a child contains basic units referred to as schemas which organize ex periences acquired in the past and provide grounds in which new ones are understood. Piaget establishes four main stages of development and each of these stages build on the experiences a child acquires from the previous stage. These stages include; 1) Sensory or infancy stage: During this period intelligence is shown through the reflex activity that does not involve the use of symbols. The knowledge develops in a limited manner as a result of reduced physical, interactive activities and various experiences gained. Infants begin learning the world around them by using their senses. They mostly focus on the movement of various objects around them, separate pitch and sounds, perceive colors and anticipate events such as suckling once they see their mothers nipples. 2) Pre-operational stage also known as toddler or early childhood: Here, the child’s intelligence is demonstrated by the involvement of symbols. It is also associated by development of memory and imaginations, improv ement of language, and predomination of opportunistic thinking. However, thinking is demonstrated in an illogical or irreversible manner. Toddlers strive to be independent posing a challenge of their safety to the parents. They also show an understanding of what is appropriate or not. They are knowledgeable on the permanence and displacement of the various objects or people, and starts using different tools and instruments within their reach. 3) Concrete operational stage also referred to as elementary and early adolescence: This stage is characterized by logical interpretation and systematic analysis of symbols that relates to concrete events and objects (Morra, 2008). Reversible mental actions dominate while the egocentric thinking diminishes. At this stage, they acquire imagery, memorizing and social interaction skills. They learn negative actions such as lying, abusing and bullying. 4) Formal operational stage also known as adolescence and adulthood: Abstract concepts and logica l application of symbols describe the intelligence in this stage. Formal thinking and a slight demonstration of egocentrism characterize this people. Their judgments on various occurrences are based on their ability to analyze past experiences. School age children are able to think on what is possible and stop limiting their thoughts to what is real. Their thinking is hypothetical. They are able to comprehend abstract ideas in a logical manner,

Wednesday, September 11, 2019

Open Skies Essay Example | Topics and Well Written Essays - 1500 words

Open Skies - Essay Example The modern aviation sector has grown considerably in the past few decades and its emerging commercial perspective has led most people to question whether there should be more intergovernmental efforts and co-operation to respond to the new business environment. Air transport services have experienced the most dynamic recent growth of all sectors in the vitally important transport industry. With regards to the Open Skies Policy it has to be noted that Air transport is crucial to international trade.Eversice the year 1944(under the auspices of the Chicago Conference of 1944) it has been under a complex regulatory system . Overall there are little if any international agreements in this regard and so far the position has been that there have been a lot of bilateral agreements between countries dominating the aviation industry ever since. The success of these open skies agreements depends to a large extent upon the political relationships between countries.Few countries would want to see a rival country save fuel and expenses and attract more tourists and consumers at the cost of its own AirSpace.Therefore even though over the past few decades the some relaxation has taken place in a few countries, Commercial flights are still subject to heavy regulations on their air routes and subject to almost three thousand forms of Bilateral Agreements.This is particularly true with regards to the Pacific regions that poses a great challenges in providing basic transport services in terms of routes and fares.The use of such agreements would indeed eradicate the varying levels of infrastructure development, the high costs and other related problems in this sector.This is because all commercial carriers are facing diseconomies of scale due to not being able to use their air planes to their full potential and are facing increasingl y difficult conditions with competition putting pressure on fares, especially in traditional tourism markets. The cost of fuel and maintenance, and professional staff means that Air services to destinations outside the Pacific and other favourite tourist destinations will be have a volume tourist traffic which will demands long-haul direct routes and larger planes.Economically therefore ,the lack of an open skies agreement could cause a world wide crisis in the arena of the commercial airlines and eventually lead to high costs even for the short-haul services to island neighbours and airlines can be reluctant to make intermediate stopovers. The matter therefore is not economical or legal.The issue is purely political.Consider the tug of war that took place between EU and USA authorities over the recent Open Skies Agreement.The Agreement aims to liberalise transatlantic airspace yet European transport Ministers were reluctant to agree to it at first as they felt it gave the US an unfair advantage over European interests and its major airline and cargo.This was expressed in a statement by the EU commission which remarked that many Member States felt "that EU airlines should have more opportunities to access the