Saturday, December 28, 2019

Analysis Of Lauren Becker s If I Would Leave Myself Behind

Review Lauren Becker’s If I Would Leave Myself Behind Verbosity is an illness many writers struggle to keep in remission. Writing about human components and sensations must require some form of complicated, convoluted thought or idea—or does it? Straddling a line between pompous and simplistic can be a difficult feat when trying to compile a new and exciting story. Few accomplish their desired effect, be it to educate or move a reader. However, great author’s understand the significance of finding which words and meanings are significant, and which area not. Lauren Becker’s use of prose is impeccable in her 2014 novella. Lines such as, â€Å"You really should pay attention because you’ll forget the important things,† hold some weight singularly, but fill the reader with a deep sense meaning when read in the context of her book. Becker, author of the well-composed collection of short stories and a novella entitled If I Would Leave Myself Behind straddles the line beautifully with her simple prose and profound significance. Her minimalistic writing doesn’t reduce the impact of her collection. Whether it be the emotions we strive to understand, or idiosyncratic, abnormal behavior we endure in those we love, If I Would Leave Myself Behind is a fit read for avid readers, and those who can only stand reading for a short meme, a twitter post or a half page blog. A deep seeded search for reason behind human behavior can be found in each story. Opening her novella with modern

Friday, December 20, 2019

The Significance Of Brand Identity For Company Success Book Report/Review

Essays on The Significance Of Brand Identity For Company Success Book Report/Review ï » ¿The Significance Of Brand Identity For Company Success Alina Wheeler’s Book, talks about branding identities. Branding is an oft confused word with corporate identity and corporate image. The meanings of both these words are remarkably different. Corporate identity refers to logo creation, the company’s name, tag, the visual expression and it gives and the looks it depicts. Corporate image on the other hand, is what the public perceives of the company. If the perceived image is what the company wants it to be like it or not. Thus, corporate branding is an entire process. It has to be planned, strategized and aligned with the goals of the organization. Wheeler also highlited brand identity and the process involved in her book. Brand identity is essentially the visual expression of a brand which is communicated to the world outside. It includes the corporate name, its logotype or mark, the communications and visual appearance. It is important for the brand identity of a brand to be strong. This because the brand plays an important role in establishing an emotional connection with the consumer and reflects the brand position and the desired image. (Wheeler n.d.) The brand identity creation process is a five stage process as explained in the book. It comprises of the following steps: 1. Conducting research 2. Clarifying strategy 3. Designing identity 4. Creating touch points, and 5. Managing assets. The entire process begins with an analysis of the business needs and ends with the application of the brand identity to different pieces of marketing communication. Step 1 revolves around market research and analysis. In this a document is made which takes into account the marketing situation. Step 2 builds on the marketing strategy behind the brand identity development. Steps 3-6 Is where the creative work is done and it involves exploring and working on the logo mark and logotype. The Process Phases and Deliverables: 1. Conducting Research: In the first step, the details of the project are thrown into perspective. All the minute details regarding the project are learnt in this step. All the current information as well as that information which is needed to bring the branding elements forward is brought to light. The vision for the project is clarified and so are the strategies and goals established. The needs and perceptions of various stake holders are critiqued and analyzed. Different types of audits are conducted in this phase. These include the technology, legal and language audits. Existing brands, their profitability and curativeness along with the brand architecture is evaluated here. 2. Clarifying Strategy: Clarifying strategy is the second phase and in this phase whatever has been learned is eventually synthesized and a strategic plan is formulated. The brand strategize is clarified here and a positioning platform is developed. The brand attributes are co-created, a brand brief is written and so is a creative brief written. 3. Designing Identity: In this third phase, the future is visualized. Everything is done in accordance with expected future trends. Any ideas are brain stormed and the best ones filtered out. A design for brand identity is created, various applications are explored and brand architecture is also finalized here. A visual strategy is present and an agreement point achieved. 4. Creating Touch points: The design decided upon in third stage is finalized in this stage. Trade protection is initiated and prioritization of design applications is done. The brand architecture is finally applied in this stage. 5. Managing Assets A synergy revolving around the brand is built in this phase. The launch strategy and plan is also developed. It is an accepted practice to launch internally first and then go for an external launch. Any standards and guidelines are developed in this phase. Book 2: What Kids Buy and Why Dancuff in this book of his discusses the Product Leverage Matrix. This tool projects the big picture to us and gives us an idea of all the things we need to be aware and to be informed of, in order to integrate all aspects of a product or program. Leverage denotes power. This means that the character, the product and the program not only attracts the attention of the targeted child consumer but also meets his needs at a certain level. It is important to provide that this power associated with each program varies substantially for every product. The product leverage matrix is an important tool for getting down to where exactly the power is coming from and is a comprehensive model that determines the analysis of an existing product or program and for the development of a new one. (Cuff 1998) The variables as explained by Dancuff of a Product Leverage Matrix are as following: 1. Medium/ Products: What is the product category? Is it software, is it a book, is it a TV show, and is it a food outlet? How is product packaging being taken care of? 2. Concept: What is the concept of the product. Around what ideology does the product revolve. 3. Point of View: What would be the psychological perception that the product would create. What is the opinion like out there regarding it. Is it anti social? Is it social?Is it fun frolic filled. What exactly is the message being relayed through the product. Moreover, how will the product impact the company’s image. Will it trigger a good word of mouth, would be indifferent or would it strike negative publicity for it. 4. Content: What is the verbal and visual content of the program? How will it be relayed to the consumer? How will it be manifested into its verbal and visual forms eventually? 5. Context: Context is the geographical setting of the product and the time frame in which product is set. What are the surroundings of the product like? What is the social environment like? What are the competitors products like? What position do they command in the market? What areas have been left untapped by them? Thus it is about what is competing environment or the context of the product. (Cuff 1998) 6) Process: How does the program/flow works. What is the process like? 7) Character(s)/Personality: What fantasy based characters have been incorporated in the program? Are there any archetypes. 8) Attitude/Style: What is their attitude and style like? How should they be depicted? TOP OF MATRIX - Essence: What is the central essence of the brand? What is it depicting? - Point of Difference: What is our edge in the brand against competitor? What is that one different thing that will make the brand stand out? - Promise: What promise are we making to the customer? Are we delivering the promise? - Competition: What is the competition like out there? How many competitors are there? - Positioning: How has the brand been positioned in the minds of the consumer. THE BIG PICTURE The Center of the Matrix - Age: What is the target age of our brand? - Gender: What gender are we targeting? Is it just male or female or is it both. - Stage: What stage of development is the target child in? What is his age bracket? - Structure: What is the structure of the brain of the target audience like? Are they in their development phase or have they developed logical and reasoning skills. - Dimension: A child’s life can take place in a myriad of dimensions. The child can experience her life in various ways. It can be physically, emotionally, socially and even morally. - Style: What is the learning style of the child? Is it visual? Is it cue based? THE NEEDS AND WANTS OF THE TARGET CHILD A product is successful if it is able to satiate either the long term or the short term needs of a child. This has to be understood. For instance before the age of 6 children are more keen on accumulating toys and stuff, but after the age of 6, they become more keen on cumulating things. They start paying more attention to the details, become pro at comparisons. Thus, it is important that whatever product is made, keeps into perspective these details of a child’s development stage. In the Ages 8 through 12 part of the paper, Cuff discusses the neocortical developmental focus which has critical implication on product and program development alongside the ways in which they should be marketed and advertised to kids in the age bracket of 8 to 12. At this point, the child is no longer a fantasy oriented child. He is developing fast and has started developing reasoning skills and has now opened up more to brain oriented activities. So any marketing drive, as Cuff points has to be designed keeping this in perspective. Bibliography Cuff, Dan. What Kids Buy and Why. Simon and Schuster, 1998. Wheeler, Alina. Designing Brand Identity.

Thursday, December 12, 2019

Beef Customer Satisfaction Essay Example For Students

Beef Customer Satisfaction Essay NOVEMBER DECEMBER 2004 ISSUES UPDATE 45 I S S U E SUPDATE2 0 0 4by Rick McCartyExecutive Director, Issues Management NCBASummaryThe checkoff-funded beef safety tracking survey conductedin November 2004 found that fresh beef steaks/roasts remainedthe protein with the highest consumer confidence in safety. Thesurvey asks consumers to give grades to foods for being safe toeat and 76 percent of survey respondents gave steak/roast an Aor B for safety. BackgroundThe beef safety tracking surveys are quarterly telephonesurveys of a national, random sample of U.S. adults. Vegetarians do not answer the survey. The margin of error forsurvey data is plus/minus 3.2 percent. General food safetyThe percentage of Americans giving U.S. food in general anA or B for safety has remained relatively stable with some smallfluctuations in the past year. However, this survey found thepercentage of A/B grades (70%) significantly lower than inNovember 2003 (74%) and at the lowest score since November2002 (69%). The November 2004 score is much lower than the77 percent measured during the last survey in May 2004. Safety of specific fresh foodsThe safety ratings for specific fresh foods remained stableduring the past year with no significant differences in theratings in November 2004. Fresh fruits and vegetables areconsistently at the top of the list when it comes to safety gradesgiven to specific fresh foods one might buy in a grocery store. Fresh beef steaks and roasts receive the highest meat productsafety grade (76%). Tied for second place with 70 percent of consumers gradingA or B were fresh pork chops and microwaveable foods. Foodswith lower consumer safety grades were fresh ground beef(64%), fresh chicken (63%), fresh fish (60%), fresh ground pork(56%) and pre-prepared foods from the deli (52%). Specific concerns regarding food safetyThe safety tracking survey asks consumers to rate their levelof concern about specific safety issues on a 5-point scale, withone being not concerned and five being extremely concerned. The percentage of top two scores (4-5 ratings on the scale)indicate the issues of greatest concern. Safety issues tend not to be top of mind with consumers,evidenced by the fact that safety issues barely register whenconsumers state reasons for eating less beef. However, whenasked to think about specific safety concerns, bacteria (62%)and pesticides (62%) top the list. Consumer concerns aboutchemical additives (58%) and mad cow disease (57%) make upa second tier of safety concerns. Concerns about mad cowdisease did not increase significantly as a result of the first U.S. case of Bovine Spongiform Encephalopathy (BSE) in December2003, and in fact, currently are significantly lower than the 61percent concern level measured in November 2003. Other issues rated as lower concerns include hormones(50%), genetically modified foods (46%), antibiotics (45%) andirradiated foods (40%). The only issue that has shown asignificant increase in level of concern in the past year ischemical additives which increased from 50 percent inNovember 2003 to the current 58 percent. Specific food product safety concernsThe survey asks respondents to choose, from a list of sixfoods, the one food they are most concerned about in terms ofbeing safe to eat. Typically, only about 15 percent of consumerschoose beef as their food of highest concern. However, drivenby the intense media coverage surrounding the first U.S. BSEcase, the percentage choosing beef as their highest safetyconcern jumped in the first half of 2004. That concern moderated in the second half of the calendaryear. While the checkoff-funded BSE tracking research showedthat consumer confidence did not drop as a result of the BSEcase, the safety track surveys indicate that consumers weremore concerned about beef than usual. .ue19fc4b53b3f1aed9b27ab1bc225e28f , .ue19fc4b53b3f1aed9b27ab1bc225e28f .postImageUrl , .ue19fc4b53b3f1aed9b27ab1bc225e28f .centered-text-area { min-height: 80px; position: relative; } .ue19fc4b53b3f1aed9b27ab1bc225e28f , .ue19fc4b53b3f1aed9b27ab1bc225e28f:hover , .ue19fc4b53b3f1aed9b27ab1bc225e28f:visited , .ue19fc4b53b3f1aed9b27ab1bc225e28f:active { border:0!important; } .ue19fc4b53b3f1aed9b27ab1bc225e28f .clearfix:after { content: ""; display: table; clear: both; } .ue19fc4b53b3f1aed9b27ab1bc225e28f { display: block; transition: background-color 250ms; webkit-transition: background-color 250ms; width: 100%; opacity: 1; transition: opacity 250ms; webkit-transition: opacity 250ms; background-color: #95A5A6; } .ue19fc4b53b3f1aed9b27ab1bc225e28f:active , .ue19fc4b53b3f1aed9b27ab1bc225e28f:hover { opacity: 1; transition: opacity 250ms; webkit-transition: opacity 250ms; background-color: #2C3E50; } .ue19fc4b53b3f1aed9b27ab1bc225e28f .centered-text-area { width: 100%; position: relative ; } .ue19fc4b53b3f1aed9b27ab1bc225e28f .ctaText { border-bottom: 0 solid #fff; color: #2980B9; font-size: 16px; font-weight: bold; margin: 0; padding: 0; text-decoration: underline; } .ue19fc4b53b3f1aed9b27ab1bc225e28f .postTitle { color: #FFFFFF; font-size: 16px; font-weight: 600; margin: 0; padding: 0; width: 100%; } .ue19fc4b53b3f1aed9b27ab1bc225e28f .ctaButton { background-color: #7F8C8D!important; color: #2980B9; border: none; border-radius: 3px; box-shadow: none; font-size: 14px; font-weight: bold; line-height: 26px; moz-border-radius: 3px; text-align: center; text-decoration: none; text-shadow: none; width: 80px; min-height: 80px; background: url(https://artscolumbia.org/wp-content/plugins/intelly-related-posts/assets/images/simple-arrow.png)no-repeat; position: absolute; right: 0; top: 0; } .ue19fc4b53b3f1aed9b27ab1bc225e28f:hover .ctaButton { background-color: #34495E!important; } .ue19fc4b53b3f1aed9b27ab1bc225e28f .centered-text { display: table; height: 80px; padding-left : 18px; top: 0; } .ue19fc4b53b3f1aed9b27ab1bc225e28f .ue19fc4b53b3f1aed9b27ab1bc225e28f-content { display: table-cell; margin: 0; padding: 0; padding-right: 108px; position: relative; vertical-align: middle; width: 100%; } .ue19fc4b53b3f1aed9b27ab1bc225e28f:after { content: ""; display: block; clear: both; } READ: Airplane Warfare During World War I EssayTable 1 shows research results from the past five quartersregarding foods of highest safety concern to consumers. Consumers rate beef steaks and roasts topsamong proteins for safetyRESEARCH CH BRIEFSNOVEMBER 46 ISSUES UPDATE DECEMBER 2004 I S S U E SUPDATE2 0 0 4Key PointsAs indicated by grades given for safety, consumer confidence in beef steaks and roasts (76%) is higher than theconfidence in U.S. food in general (70%). In addition, beef steaks and roasts are in third place, behind only fruits andvegetables, in consumer confidence rankings of fresh food safety. Confidence in ground beef is significantly lower (64%) but relatively steady and hit highs for the year of 69 percent inMay and 67 percent in September, two months that bookend the seasonal grilling period. It may be significant thatE. coli O157:H7 recalls of ground beef were not a big news item in the summer of 2004. Consumer concerns about beef safety have declined to year-ago levels since being heightened by extensive mediacoverage surrounding BSE in the first half of the year. RESEARCH BRIEFS

Wednesday, December 4, 2019

Hamlet Essay Madness Vs Sanity Example For Students

Hamlet Essay Madness Vs Sanity Hamlet is mad, feigns madness or his pretense turns into real madness. Outlinearguments for all three and discuss. 1.Hamlet begins with guards whose mainimportance in the play is to give credibility to the ghost. If Hamlet were tosee his fathers ghost in private, the argument for his madness would greatlyimprove. Yet, not one, but three men together witness the ghost before eventhinking to notify Hamlet. As Horatio says, being the only of the guards to playa significant role in the rest of the play, Before my God, I might notthis believe / Without the sensible and true avouch / Of mine own eyes. (I.i.56-8) Horatio, who appears frequently throughout the play, acts as anunquestionably sane alibi to Hamlet again when framing the King with hisreaction to the play. That Hamlet speaks to the ghost alone detracts somewhatfrom its credibility, but all the men are witness to the ghost demanding theyspeak alone. Horatio offers an insightful warning: What if it tempts you towardthe flood, my lord, Or to the dreadful summit of the cliff That beetles oerhis base into the sea, And there assume some other horrible form Which mightdeprive your sovereignty of reason, And draw you into madness? Think of it. (I.iv.69-74) Horatios comment may be where Hamlet gets the idea to use a pleaof insanity to work out his plan. The important fact is that the ghost does notchange form, but rather remains as the King and speaks to Hamlet rationally. There is also good reason for the ghost not to want the guards to know what hetells Hamlet, as the play could not proceed as it does if the guards were tohear what Hamlet did. It is the ghost of Hamlets father who tells him,but howsomever thou pursues this act, / Taint not thy mind. (I.v.84-5) Later, when Hamlet sees the ghost again in his mothers room,her amazement at his madness is quite convincing. Yet one must take intoconsideration the careful planning of the ghosts credibility earlier in theplay. After his first meeting with the ghost, Hamlet greets his friendscheerfully and acts as if the news is good rather than the devastation it reallyis. Horatio: What news, my lord? Hamlet: O, wonderful! Horatio: Good my lord,tell it. Hamlet: No, you will reveal it. (I.v.118-21) This is the first glimpseof Hamlets ability and inclination to manipulate his behavior to achieveeffect. Clearly Hamlet is not feeling cheerful at this moment, but if he letsthe guards know the severity of the news, they might suspect its nature. Anotherinstance of Hamlets behavior manipulation is his meeting with Ophelia whilehis uncle and Polonius are hiding behind a curtain. Hamlets affection forOphelia has already been established in I.iii., and his complete rejection ofher and what has tr anspired between them is clearly a hoax. Hamlet somehowsuspects the eavesdroppers, just as he guesses that Guildenstern and Rosencrantzare sent by the King and Queen to question him and investigate the cause of hissupposed madness in II.ii. Hamlets actions in the play after meeting theghost lead everyone except Horatio to believe he is crazy, yet that madness iscontinuously checked by an ever-present consciousness of action which never letshim lose control. For example, Hamlet questions his conduct in his soliloquy atthe end of II.ii, but after careful consideration decides to go with hisinstinct and prove to himself without a doubt the Kings guilt beforeproceeding rashly. Even after the Kings guilt is proven with Horatio aswitness, Hamlet again reflects and uses his better judgement in the soliloquy atthe end of III.ii. before seeing his mother. He recognizes his passionatefeelings, but tells himself to speak daggers to her, but use none,as his fathers ghost instructed. Again, when in the Kings chamber, Hamletcould perform the murder, but decides not to in his better judgement to ensurethat he doesnt go to heaven by dying while praying. As Hamlet tellsGuildenstern in II.ii., I am but mad north-north-west: when the wind issoutherly I know a hawk from a handsaw. This statement reveals out-rightHamlets intent to fool people with his odd behavior. This is after Poloniusenlightened comment earlier in the same scene, though this be madness, yetthere is method int.Shakespeare

Thursday, November 28, 2019

Impact of Technology on Business free essay sample

Impact of Technology On Business Q) What is the impact of technology on business? Explain with the suitable example of financial service sector. Ans) Introduction Technology affects almost every aspect of our lives. Just look around you and youll see how wired we are. Thanks to the Internet, virtually anything you desire can be delivered to your door in a matter of days. You can even trade stocks or file taxes online. But as much as our personal lives have changed, the business world has revolutionized almost beyond recognition in the past few decades. Technology and the advances in communication and information technology have changed the face and the pace of business. As communication and information travels faster and faster, the world seems smaller and smaller, and this has large implications for the way we conduct business. Storing important in files on a computer rather than in drawers, for instance, has made information easily accessible. We will write a custom essay sample on Impact of Technology on Business or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page Using e-mail allows businesses to communicate and send these files quickly to remote locations outside of an office. Wireless Internet, Video Conferencing and BlackBerries have made it easy to work from home or for that matter, from the beach. The fact that its easy to work from the home compels people to do so. In this way, technology has made life easier. So, exactly how has technology changed the way we do business? In countless ways, but well highlight the major ones as under. Effects of Technology on Business Businesses have been at the forefront of technology for ages. Whatever can speed production will draw in more business. As computers emerged in the 20th century, they promised a new age of information technology. But in order to reap the benefits, businesses needed to adapt and change their infrastructure.

Sunday, November 24, 2019

Political parties goal and interest group goals essays

Political parties goal and interest group goals essays One of the Democrats goals is to support abortion rights as a fundamental constitutional liberty for all women. Second, they also oppose eliminating the affirmative action program. Third, they support balancing the budget by 2012. Furthermore, the Demarcate party endorses more charter school and more public school choices. However they do not support issuing vouchers for private school. Therefore, The National Education Association (NEA) interest group does have the same goals as the Demarcate party because they think that voucher would not help the Public School system. The NEA is supporting other programs like smaller class size of 15 students. On environmental issues the Democrats supports tax credits to preserve open spaces and create parks and to improve water quality. The Greenpeace an independent campaigning organization is suggestion that action is taken regarding genetically engineered food. I think this interest groups listed about try to influence public policy as a w ay to protect or advance their groups issues. I think sometimes their issues are to intense or to narrow to really impact all citizens. The Republican goal is to oppose abortion rights because the unborn child has a fundamental individual right to life. They also feel that affirmative would be achieving equality on the job by stressing equal opportunity without quotas or other preferential treatment. They support a constitutional amendment to require a balance budget. On education would like parents to take a share of federal education money to a school of their choice. The American Federation of Teachers (AFT) also supports focuses on academic achievement, student behavior and smaller classes. So the Republican get little support from educational interest group whose common causes is listed above. On the environmental issues the Republican would allow oil exploration in Alaska's Arctic National Wildlife Refuge. So his support from Sierra Club grassr ...

Thursday, November 21, 2019

Choose a global business and critically analyse the organisational Essay

Choose a global business and critically analyse the organisational structure adopted by the company since 2008. Investigate the - Essay Example Some of the key products of the company are pointer telegraph, electric train, electron microscope, automation system, the most powerful gas turbine of the world as well as cardiac pacemaker. Siemens has been named the largest electronics company in the Europe by Bloomberg (Thiel, 2007). Strong labour resource acts as one of the major strengths for the company and it heavily depends on its workforce. The structure of the organization has undergone a major change in the last decade. Initially, the company was segmented into five primary divisions, such as Industry, Energy, Infrastructure and Cities, Healthcare and Siemens Financial Services (SFS) (Siemens, 2013b). All these divisions were administered by the CEO of the company. Each of the primary divisions has a large number of subsidiaries operating in nearly 190 countries in the world, both developed nations and underdeveloped nations. The global presence of the company is the basis of its competitiveness in the industry (Siemens, 2013c). Siemens has maintained organizational value on the grounds of quality standard of the products offered by the company, technological excellence of the production process, reliability and trust on the employees and its undeviating focus on international expansion. With expansion of business organizational structure had become complex due to long hierarchies and large number of corporate units under each of the five segments of the company. In the last decade, the company has come across a rough business terrain. During 2007 Siemens was accused of a huge bribery case. Corruption was rooted deep into the transactions of the company. This has given rise to considerable public scrutiny on the company and drew the company into controversies. It hampered the smooth functioning of the company which led the organizational leaders to adopt a major structural change in the organization. The new organizational structure has been aimed at making the organizational framework lean and flex ible. This paper presents a detailed study of the new organizational structure of the company and the positive and negative impacts this change has cast on the company’s strategic management, its corporate culture and functional aspects. Methodology This paper looks into the effects of organizational structural change on the management of the company and its long term performance. The study has focussed on the structural change made by Germany based multinational Siemens. This is a qualitative study made on information collected through review of existing literature as well as information available on company website. Only secondary sources of information have been used for this study. Sources of information include books, articles published in journals and working papers and online sources of information. The changes made in the organizational structure have been presented at first followed by the investigation of positive and negative aspects of these changes on different f actors affecting organizational performance. Main Findings Siemens has brought about major changes in the company and has adopted an altogether new structure. The management of the company has decided to maintain prime focus on three sectors. These are the industrial sector, the energy sector and the healthcare sector (Siemens, 2007). The company aims at staying close to the customers and acknowledge customers’ feedback at all levels of decision making of the company. The strategy focuses on

Wednesday, November 20, 2019

Knowledge Representation - The true value of knowledge in an Essay

Knowledge Representation - The true value of knowledge in an organisation - Essay Example Learning as well as knowledge has been found to go together along with complimenting each other. It has also been learnt to involve numerous years for the comparatively developed nations to make approaches from agricultural form to knowledge-motivated and finally to industrial economies. This particular transformation is believed to keep constantly provoking the organizations towards enhanced performance (Benett & Benett, 2004). The notion of knowledge management was learnt to be quite fresh during the previous decade which resulted in creating significant degree of apprehension and enthusiasm. The subject of knowledge management also attracted noteworthy amount of attention and acknowledgment for its related prospective with regard to manipulate the freshly identified positive feature in terms of knowledge which in its course is believed to elevate the degree of effectiveness of the organizations. A definite notion was also deciphered during the century that organizations were competent of enhancing their proficiencies with the help of learning which was further observed as quite likely to lead towards dexterity as well as gaining enhanced competitive advantages (Benett & Benett, 2004). . From a similar perspective, this paper will intend to assess the significance of knowledge management in organizations with reference to its related strategies. This paper will also intend to focus on the imperativeness of knowledge management in organizations and the various strategies in relation to knowledge management. The idea of knowledge management is still regarded as a fresh field and thus, a noteworthy degree of learning in the way of trial and error is yet constantly taking place. However, knowledge management has been observed to emerge victorious in structuring quite an imperative number of processes that have proved to be successful and ascertained its worth in relation to quite a number of firms as they still keep exerting

Monday, November 18, 2019

Electronic Recruiting System Description Assignment

Electronic Recruiting System Description - Assignment Example EmployDIVERSITY, Inc. offer employers the job posting prices for members and non-members. A single job posting which will go online for 30 days is charged with $75.00. The company, however, offers more affordable packages for five or 10 or more job postings which charge recruiters $60.00 and $50.00 respectively for a one-month posting service (â€Å"Job Posting Rates,† n.d.). Basic and Plus membership plans, moreover, are offered for $199.00 and $499.00 per quarter accordingly with services like free 10 to unlimited jobs postings in the duration of four months as well as unlimited resume bank access, unlimited resume search agents, free corporate profile and a link to a corporate web site with specified user access for each (â€Å"Job Posting Rates,† n.d.). The site of JobMonkey, Inc., on the other hand, turns out to be more affordable for employers as it costs $5.00 less than the first company’s price and for a duration twice longer as the first while four and six-month-period single job postings are given for $117.00 and $156.00 respectively (â€Å"Post a Job,† n.d.). Additionally and on the contrary to the first, JobMonkey, Inc. offer non-standardized packages that are designed specifically to suit the individual company’s needs. Setting up of a company profile, banner advertising, and access to job seeker database services are also offered and for specified fees. Featured employer listing service which will be posted on their Featured Employer section which will be charged with a $300, $500, and $700-rate for a three, six and 12-month service period is also considerably advertised as the feature is seen to increase job seeker visits to the company’s employment webpage and thus, faster recruitment process (â€Å"Post a Job,† n.d.).

Friday, November 15, 2019

The Relationship Between Mental Illness and Crime

The Relationship Between Mental Illness and Crime The relationship between mental illness and violence has long been a subject of debate and a general course of concern within the mental health profession, the public, correctional systems, and the criminal justice systems. As a result this has led to an increase in research being focused on the reasons why mentally ill people commit crimes. Debate about the need for, the nature of and care of people with mental illness is based on the idea that most of the individuals with mental illnesses are more likely to commit criminal and violent behaviors to themselves, their close family members, close friends and the public than those without mental illnesses, largely due to their state of mind. The relationship between mental disorder and violent acts cannot be exaggerated. Some researchers state that violence is linked to psychosis and that people who have mental illness also fall into the category and should reflect that connection (Lidz, Banks, Simon, Schubert and Mulvey, 2007). Some other researchers state that substance abuse accelerates violent acts among people with mental disorder (Lurigio and Harris, 2009). After a survey of researches the main question lies thus; what is the relationship between mental disorder and violence? How can you connect the dots between mental disorder and violent acts? In this paper, I shall review certain researches that buttress their points about the relationship between mental disorder and violence and after this, I shall also state researches that disagree with the idea that individuals with mental disorders engage in violent acts. I shall then put into consideration the Canadian Law in response to this issue. Then I shall draw a conclusion stating the relationship, if any, between individuals with mental disorder and violence or in the absence of any relationship state the need for further research. SUBSTANCE ABUSE, MENTAL DISORDER AND VIOLENCE. During the past decade, several researches have examined people with mental disorder and their participation in violence in order to see if there is any relationship. Out of all these, substance and alcohol abuse in relationship to mentally ill patients and their participation in crime have appeared to be pre-eminent. For example Lurigio and Harris (2009) proposed that substance abuse was a precondition for assaultive and violent acts among people with mental disorder; unemployment, perceived threats and past violent factors accelerated acts among people who were mentally ill. Although Felthous et al (2009) agrees with this relationship, they argue that in measuring the relationship between mental disorder and violence the nature of aggression should be put into consideration. In a study by Livingston et al (2003), carried out on individuals charged with the NCRMD in British Columbia, it was stated that 21.0% of their cohorts had previously committed an offence while under the influence of alcohol or non-prescription drugs. Furthermore, studies have shown that the association between mental illness and violence is often reduced or eliminated when substance and alcohol abuse is actually taken into account (Silver et al, 2008). If substance and alcohol abuse were the pre-determinants of violent beha vior among mentally ill patients, does it mean that the eviction of these two factors would reduce crime? Reports state that lifetime prevalence of severe domestic violence among mentally disordered patients ranged from 30%- 60% with higher rates reported for women than men in most studies (Howard et al, 2010). Felthous et al (2009) tells us to consider patients who act violently in response to commanding hallucinations and congruent delusions; this tells us that substance abuse may not always be a pre-determinant factor. PSYCHOLOGICAL SYMPTOMS, MENTAL DISORDER AND VIOLENCE The importance of psychological symptoms in explaining the criminal and violent behavior among individuals with mental disorder and their participation is an issue of major experimental complexity. Research has been conducted on the general population, incarcerated offenders, psychiatric patients and a cohort of new born babies. Yet these researches are still subject to questioning. A body of research has taken a stance that psychological symptoms such as delusions, hallucinations, medication compliance and treatment adherence are predictors of violence among people with mental disorder (Teasdale, 2009). Teasdale (2009) took into consideration the psychological factors, recent findings consider the gender nature of coping with delusional beliefs and that women and men may respond differently to the experience of psychopathological symptomatology and this may affect their participation in violent acts (Teasdale, Silver and Monahan, 2006). However in a retrospective longitudinal study conducted on prisoners convicted on the count of mental illness, Silver et al (2008) disagreed with the above analysis stating that alcohol and drug use are particularly important control variables because of their strong association with violence and mental illness. In analyzing the role of psychological symptoms in determining violence among individuals with mental disorder, John M.W Bradford (2008) identifies comorbidity as a common factor in the association between mental disorders and violence and proposed that there is a significant possibility of reducing the levels of violence by improved risk assessment and treatment intervention. Also in a research of 282 male patients with schizophrenia and 261 male patients with affective disorders, Modestin and Wuermle (2005) found that 34% out of 282 patients with schizophrenia and 42% out of 261 patients with affective disorder had a criminal record and more than half of a total of 543 patients (52%) had co-occurring substance abuse. They concluded that individuals with schizophrenia without comorbid substance abuse were at an increased risk of violent criminality than their affective disorder counterparts who had a greater probability of committing property offenses; this suggests that there is a menial link between psychopathology, mental illness and violence. Research on the effects of specific psychotic symptoms has also yielded opaque findings, for example in examining the role command hallucinations have to play in the violent acts of mentally disordered people, studies have shown that it does not generally predict violence, but that auditory hallucinations involving command of violent acts increased the likelihood of violence (Frank Sirotich, 2008). However the need for further research is needed in this field to unwrap the role psychological symptoms have to play in crime ( Bradford, 2008). HISTORICAL, SOCIOECONOMIC AND DEMOGRAPHIC FACTORS, MENTAL DISORDER AND CRIME In considering the effect of historical factors such as parental violence, parental crime, delinquency in prior to adulthood has to play on crime, Frank Sirotich (2008) stated that a history of delinquency prior adulthood has been found to be a significant factor in relation to violence and criminality. After reviewing the samples of mentally disordered individuals, he said that among mentally disordered people, juvenile delinquency, early arrests and young age at index offense have been found to be robust predictors of criminality and violence among mentally disordered people. ÃÆ'-ncà ¼ et al (2007) conducted a study in the psychiatric unit of a general hospital in Turkey to array the effects socioeconomic and demographic factors have to play in the violence of psychotic patients. The study included 70 male psychotic patients (excluding delusional and shared psychotic disorder) that were hospitalized in a forensic psychiatry unit for compulsory treatment and was compared to 70 mal e patients (also treated at the acute clinics of the same hospital) with a psychotic disorder but without a criminal history. They found out that independent of having a job, having social security that provides treatment opportunity, using their parents security or getting pay by the government, protects the patient from committing a crime; social security that provides treatment is an independent protective factor against committing a crime among people with mental illness. In analysing the reason for recidivism rates among incarcerated mentally disordered offenders Sirotich Frank (2008) found that parental crime was found to be related to violent recidivism among mentally disordered offenders and to self-reported violence among psychiatric patients discharged from hospitals. Also a study sample carried out on 145 male and female psychiatric patients showed that out of all the 145 patients, after a follow-up was done, 31 were stable, 67 were hospitalized and only 47 were arrested, out of the arrested, 37 had a history of violence (Yates et al, 2009). In a study done by Livingston et al (2003) on individuals with mental disorder and their history violence, it was shown 63% of their cohorts were involved with the justice system prior to their NCRMD adjudication, 33.8% had 1 to 4 convictions, 13.8% had 5 to 9 convictions, and 15.4% were convicted of 10 or more offences. This shows that having a history of violence also accelerates crime among people with m ental disorder. However the need to show the relationship between historical, socioeconomic and demographic factors in relationship to mental disorder and crime is still open for further research, as research carried on it proposes an ambiguous result. CANADIAN LAW AND NOT CRIMINALLY RESPONSIBLE ON ACCOUNT OF MENTAL DISORDER (NCRMD) As reinstated in this paper, people who have mental disorder are not criminally responsible for their crimes as they are suffering from mental illness. But how does the Canadian Law address this? The Criminal Code (NCRMD) pertaining to the crimes of the mentally disordered was an amendment to the law NGRI (Not Guilty By Reason Of Insanity) reasons were because the NGRI was in violation of Sections 7 and 9 of the Canadian Charter Rights of Freedoms. Now under Section 16(1) of the Criminal Code, offenders are now considered to be not criminally responsible than not guilty (Livingston et al, 2003). In the Canadian criminal laws and practice, the issue of mental disorder can be raised prior to trial if there are doubts about the defendants fitness to stand trial or criminal responsibility. There is a 5-day limit placed by the Criminal Code on assessment orders unless the litigant and the defendant agree to a period of no more than 30 days. According to Section 16(1) of the Criminal Code 3 of Canada, (Roesch et al, 1997) Every person is presumed not to suffer from a mental disorder . . . until the contrary is proved on the balance of probabilities(Roesch et al, 1997 p.510) For the NCRMD charge to be accepted as a defence the accused has to have committed the act and at the time of commission, be suffering from a mental disorder which makes it incapable for the offender to discern right from wrong i.e. the mens rea has to be absent. (Criminal Code, Part XX.1). But there are some suggestions that this law should be amended. For example, the criminal code does not authorize treatments for people with NCRMD, such treatment may or may not be provided under provincial law (Gray and OReilly, 2009) and there may be misconceptions or wrong application of sentence if the offender does not accept treatment. In a research done by Gray and Reilly (2009) on the Canadas Beautiful mind case, Scott Jeffery Schutzman, a.k.a. Scott Starson, diagnosed with schizoaffective disorder, had a past criminal record before he was charged again with two counts of uttering death threats in 1998 and was charged with NCRMD, he refused anti-psychotic medications according to the Crimi nal Code, the judge may directà ¢Ã¢â€š ¬Ã‚ ¦a medical practitioner, that a specific treatment should be administered to the accused for the purpose of making the accused fit to stand trial (Criminal Code, R.S.C. 1985, c. C-46, s. 672.58) After long years of court proceedings, Scott was not treated with drugs against his will. However he was still kept in detention because of the findings that suggested that he was not criminally responsible for making the death threats. This caused a lot of concern as to the amending of the Criminal Code concerning that field. Consider Scott who is now 52yrs old and has been detained in various institutions on the basis that he still poses a threat to normal safety. The Ontario Court of Appeal found that Scott still poses a real risk and psychological harm to members of the public by his threatening behavior which in the past included threats leading to death. It is also important to note that if he had been found guilty under the Canadian Criminal Code, his sentence would have been no more than 5yrs in prison yet because of the finding of the fact that he was charged with not criminally responsible, he has been detained in mental health institutions for more than 10yrs (McSherry, 20 08). This raises the debate, does the NCRMD support the mentally disordered offender, or is it better to be charged guilty for the actual crime? Cases like this have made researchers depict the importance of an amendment to be made concerning this law. In a follow up study carried out on persons found Not Criminally Responsible on Account of Mental Disorder in British Columbia, Livingston et al (2003) stated that during a 1yr period following the Criminal Code amendments, only 25% of persons who were found NCRMD were given immediate conditional discharge by the courts. Most researchers (Roesch et al, 1997; Livingston et al, 2003; Gary and OReilly, 2009; McSherry, 2008) are of the opinion that the Criminal Code concerning NCRMD should be amended and slight changes should be made to the law as it does not recognize the fact that most mentally ill people who commit crimes are not in the right state of mind when they participate in crime. In the analysis of the relationship between mental disorder and violence, it can be observed that the relationship is opaque. For the mentally ill offender who has just been labeled a psychotic, the abuse of alcohol and other harmful substances or hard drugs might explain why he commits crime, for another mentally ill offender who is constantly suffering from command hallucinations suggesting violent acts and stress, he might be seen as an abnormal person if he does not respond to these commands, exceptions are very rare because his reasons for his participation in crime may be binding on forces beyond his control. Countless more cases would probably spring up. Though the Canadian law addresses all these issues adequately, further research could aid proper handling of cases as they arise.

Wednesday, November 13, 2019

The Use of Steroids in Major League Baseball Essays -- Expository Essa

The Use of Steroids in Major League Baseball He walked into his hotel bathroom and cautiously closed the door. Clanging his 60 lb. dumbbell against the floor, he set his travel bag full of needles on the counter. While filling his syringe with THG, he began to think about the consequences of his actions; it is a serious problem, but he doesn't have the willpower to give up the success rewarded from it. As the needle slowly penetrated through the skin and half way through his muscle, he unloaded the syringe and felt the steroids settle throughout his leg. He took a deep breath as he removed the needle, letting the last bit of steroids squirt out of the syringe. Mentally blocking the pain, he began curling his dumbbell to pump the steroids through his system. The next day, only two days after previously breaking the single season home run record, he broke his own record, again. Barry Bonds, the left fielder for the San Francisco Giants, shook his head and shrugged his shoulders, almost in disbelief at what he has accomplished that season, but he knew it wasn't just talent; he had to ruin history, and he cheated to do it. The previous paragraphs are a possible scenario for two athletes that have obviously been taking steroids: Barry Bonds, joined by Jason Giambi. Barry Bonds' personal trainer was personally connected with BALCO, the laboratory that created Tetrahydrogestrinone. Of course he is taking the steroids; his trainer took part in making THG. But, if that is not enough convincing information, Barry Bonds broke Roger Maris' home-run record by twelve home-runs. Roger Maris' record held for 27 years and was unable to be broken by some of the best athletes in baseball, and possibly all sports. It is unnatural for a ju... ...004. 18 Mar. 2004. . "Online Drug Test." Online-drug-test.com. 20 Mar. 2004. . "Players Ask Questions; Owners Wait for Counteroffer." Espn.com. 20 Jun. 2002. 17 Mar. 2004. 1397288.html>. "Report: Steroid Abuse Growing in Major League Baseball." Espn.com. 11 Oct. 2000. 19 Mar. 2004. 812487.html>. "Side effects of Using Anabolic Steroids." Steroids.com. 2004. 19 Mar. 2004. . Steroids. Steroids.org. 18 Mar. 2004. . Steroidtips.com. 20 Mar. 2004. . "What is Androstenedione?" Total Fitness Nutrition. Tfnutrition.com. 21 Mar. 2004. .

Sunday, November 10, 2019

Differences Between Juvenile & Adult Justice System

Differences between Juvenile and Adult Systems Criminal Justice Systems, CJA302, Module IV – Case Assignment Dr. Gregory Herbert March 8, 2009 History of Criminal Justice System: Differences between Juvenile and Adult Systems When we talk about a juvenile being considered an adult for the purpose of administering justice, there are a multitude of factors that need and should be taken into consideration. First, is the age of the juvenile.Secondly, it depends on the type of crime or crimes that the juvenile has committed. Next, is the extent to which the juvenile will benefit from services through the juvenile court system versus the adult court system. Then, the system will examine the degree of criminal sophistication exhibited by the minor. Also, in some instances, a fitness hearing must be held to determine if the minor is â€Å"a fit and proper subject to be dealt with under the juvenile court system†.The District Attorney’s office has 48 hours to decide wheth er or not to request a fitness hearing. After a fitness hearing is requested, the juvenile (defendant) will usually waive their rights to a speedy trial so both counsels can prepare their arguments for the fitness hearing. All entities will refer to California Welfare and Institutions Code 707 and use the following criteria to determine the juvenile’s fitness.Beginning with the juvenile’s degree of criminal sophistication, whether the juvenile can be rehabilitated prior to the expiration of the juvenile court’s jurisdiction, previous delinquent history, success of previous attempts by the juvenile court to rehabilitate the juvenile, along with the circumstances and gravity of the offense alleged in the petition to have been committed by the juvenile. There are waiver laws that provide a waiver of juvenile court jurisdiction under certain circumstances, allowing for the transfer of a juvenile’s case from the juvenile system to the criminal court system.The re are three types of waivers used in determining whether a juvenile will be tried as an adult. First there is a Legislative Waiver which states; by law, the juvenile’s case must be held in the adult criminal court, based on the offense committed under WIC 602(b)(A) through (G) and the minimum age to be tried as an adult is fourteen years. Some of the offenses that fall under WIC 60(b)(A)-(G) include: murder, rape, forcible sex offenses, forcible lewd and lascivious acts on a child under the age of fourteen, and forcible penetration with an object.The second type of waiver is the Direct File Waiver (formerly known as a Prosecutorial Waiver). The Direct File Waiver allows for the prosecutor to file a criminal claim against a juvenile ‘directly’ in adult criminal court, eliminating the need for a fitness hearing. But, judges may transfer a juvenile to an appropriate juvenile court if the judge deems it to be fair and just. The third type of waiver is the Judicial W aiver. The Judicial Waiver states that in order for a juvenile to be transferred to the adult criminal court, it requires the juvenile to be found â€Å"unfit† for the juvenile system in a fitness hearing.The minimum age of the minor is fourteen years of age. In an effort to fight against juveniles from committing serious crimes, the voters of California in March of 2000 passed Proposition 21 (Gang Violence and the Juvenile Crime Prevention Act). Proposition 21 increased a variety of criminal penalties for crimes committed by juveniles and incorporated many juvenile offenses into the adult criminal system. There is increased punishment for gang related felonies, death penalty for gang-related murder, indeterminate life sentences for home-invasion robbery, carjacking, drive-by shootings, and many other crimes.This Proposition also requires adult trial for juveniles fourteen or older charged with murder or specified sex offenses. Informal probation for juveniles committing felo nies was also eliminated and registration was required for gang related offenses. Legislation like that of Proposition 21 shifts the focus of juvenile justice from rehabilitation to punishment as the number of waivers continues to increase nationwide. The juvenile justice system traditionally individualized its decisions due to its rehabilitative nature and perception that juveniles do not have fully developed concepts of what is right and wrong.Also, Proposition 21 shifts the discretionary power from judges to prosecutors. As with most problems in our society, juvenile justice could be more effective as a whole.References Cruz, J. (2002). Juvenile Waivers and the Effects of Proposition 21. Law and Society Review. Retrieved March 3, from www. lawso. ucsb. edu/rreview/issues/2001-2002. Unknown. (2000). California Proposition 21. Retrieved on March 6, 2009 from http://en. wikipedia. org/wiki/California_Proposition_21_(2000) Unknown. (2005). The Juvenile Justice System. Retrieved on Ma rch 3, 2009 from www. csustan. edu/socialwork

Friday, November 8, 2019

7 Advisories About Abbreviations

7 Advisories About Abbreviations 7 Advisories About Abbreviations 7 Advisories About Abbreviations By Mark Nichol Abbreviations are useful, but they can be wickedly tricky little widgets. Keep these points in mind when you truncate words and phrases: 1. a/an This entry refers not to a or an as abbreviations but to which of the two indefinite articles should precede a given abbreviation. The choice depends not on the first letter of the abbreviation itself but on the sound of the first letter. Therefore, for example, you’d write â€Å"an MD after her name,† rather than â€Å"a MD after her name,† because the first letter in that abbreviation is pronounced â€Å"em† and should therefore be preceded by an. 2. Initials as Adjectives â€Å"I went up to the ATM machine and put in my PIN number to check my IRA account.† And in relating this event, I made three errors. In each case, the last letter of the abbreviation stands for the noun following the abbreviation. This is a job for the Department of Redundancy Department! 3. Metric Abbreviations Abbreviations for metric measurements either immediately follow the associated numeral (100m for â€Å"100-meter dash†) or follow a letter space (â€Å"2.2 kg = 1 lb.†); the latter style prevails especially when, as in the example given here, references to both metric-system and English-system measurements occur. But note the absence of periods following the metric abbreviations. Metric abbreviations are always lowercase with one optional exception: Because of the resemblance of the letter l to the number 1, the abbreviation for liter is often uppercase or italicized, or, when handwritten, styled in cursive writing. 4. Periods In abbreviations, periods are passe. Period. (Except not: e.g., i.e., etc. But mostly, yes.) 5. Plurals Omit apostrophes with plural forms of abbreviations: â€Å"He has two PhDs,† â€Å"It lists various NGOs,† â€Å"They’re all NIMBYs.† Of course, if the style for the publication in question retains periods (but see the previous point), retain the apostrophe as well: â€Å"Several R.N.’s failed the test.† 6. Postal Symbols Postal symbols are a prescribed set of two-letter abbreviations for states that are sometimes used as shorthand in nonpostal applications. In 1963, to make room for an innovation known as the ZIP code (which phrase has its own entry below), the US Postal Service advocated a two-letter form (CA, for example), but many people persist in incorrectly styling such abbreviations uppercase/lowercase (e.g., Ca.) or appending an extraneous period (CA.). 7. ZIP Code Those clever folks at the USPS selected this name to imply that mail would arrive at its destination more speedily if the five-digit code was supplied, but ZIP actually stands for something Zone Improvement Plan so treat it with all caps. Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Style category, check our popular posts, or choose a related post below:70 Idioms with HeartSelect vs. Selected50 Tips on How to Write Good

Wednesday, November 6, 2019

Colonization of Egypt essays

Colonization of Egypt essays What is a good country? Is a good country a country with a cheerful population? Is a good country a country which controls more land than the next? Is a good country a country whose government and economic system has absolutely no problems? Or is a good country a country that has a delicate balance of benefits and problems. Well, we are here today to discuss the corruption of Egypt, a good country, by Britain, a huge and powerful country. Although Britain was not the first, Britain has retained control of Egypt for nearly 40 years and I am here today to ask for the freedom and decolonization of Egypt from Britain. This problem all started in 1882 when the British forced Napoleon Bonaparte, the leader of the French Army, out of Africa. Instead of leaving the land of Egypt to its rightful owners, the Egyptians, Britain decided to colonize Egypt and control them through a protectorate. The protectorate allowed the British government to control Egypts economic and political decisions without intervention from the Egyptians. In other words, The Egyptians had completely lost control of their own country. Well, some of you might ask, Why would Britain want to keep Egypt? The response to this is more simple than you might think. Was it the fact that Egypt was such a weak country at the time? Or was it that Egypt was just waiting to be colonized? No, it was greed, pure British greed, that caused the corruption of Egypts balanced culture. The economic situation of Egypt before its colonization was quite good. The working and owning class maintained the industrial aspect while the upper class maintained the government and political prospect. Through the colonization of Egypt, Britain gained control of the Suez Canal, a major part of the world trade routes. With this advantage, Britain decided to heavily tax the ships which passed through. This brought mass amounts of money of which the Egyptians never saw. Instead of ...

Monday, November 4, 2019

Summary of the Patterns Movie Essay Example | Topics and Well Written Essays - 1500 words

Summary of the Patterns Movie - Essay Example On the other hand, Ramsey was compelled to enter into an agreement with Staples due to the situation that made him kill Brigg. However, his moral grounds were based on what was best in accordance to nature in the prevailing circumstances. Rationale for Epictetus response to the proposed strategy adopted by Staples The main teaching of Epictetus is on ethics. On his discourse, he lays out his ethical principles, which were formulated in forms of arguments in order to cure human souls (Guthrie 122). In the case of Staples’ proposed strategy, Epictetus could have argued that one has to abandon the attitude of a private individual and fulfill the ideal of a man in a moral progress. In this regard, it is true to argue that Staples ought to have stood on his morals and do what was right without compromising it with the job offered to him by Ramsey. This should also have been in line with what Aristotle argued to be the practice of good actions. Although Staples could have decided to take Ramsey’s offer basing his take of the position by reasoning as a means to living a life of virtue, his caveats seemed to contradict his morals. However, his decision to warn Ramsey about what he felt concerning the death of Brigg was such a good move, which shows his virtues. Nevertheless, Staples can be argued not to be fully committed to his moral virtues. According to Aristotle, moral virtue is constituted by correct action and emotion (Guthrie 130). Although Staples’ emotions symbolizes his true moral virtues, that is, his caveats about his feelings towards Brigg’s death and what he felt about what Ramsey did, his actions were not compatible with that. He was offered a job by Ramsey, and this could have acted as a bribe, which compromised his moral virtues. Aristotle’s point of view on individual change of heart in the business environment was that individuals must make choices that have consequences. For example, these choices should be in line with their impact on the society, if the consequences of bad behavior remove the individual further from achieving and contributing ‘good’ which, by endowment, yields a positivity to humanity, then that choice is uncalled for. It is further believed that ne person’s action can infuse the whole society. It can be argued that Staple’s action to take the job offered by Ramsey could play two major roles. Firstly Ramsey’s deeds could be encouraged as long as Staples accepted the offer of taking the job. This has an implication in that, since the offer was a kind of a deal; Staples could not disclose what happened. This, therefore, means that a culture of impunity would gradually be developed. Secondly, Staples could be compelled to sealing of such deeds even in the future as long as there is a reward offered. According to Aristotle’s concept of telos (end purpose), which articulates on the professional practice of public administration, the good life for each person is based on the move towards the perfection (Haskins 120). In this regard, it can be argued that both Ramsey and Staples were trying to move towards perfection of their good life. However, the bone of contention is on the end results of their move towards perfection of their good life. That is, the evaluation of their human soul and if their actions brigs them joy, hope, grief, or fear. The summary of the twelve angry men In the case of the young man charged with the crime of patricide, the

Friday, November 1, 2019

Fiscal Policy and Its Implications in Belgium Assignment

Fiscal Policy and Its Implications in Belgium - Assignment Example The government may also choose to increase its own spending and with this, jobs are created, an element that lowers the unemployment rate. Briefly, Fiscal policy is a major driver of the nation’s economic performance. Government spending would include the purchase of goods and services. Since it has the power to lower or rise, real GDP It qualifies to be a fiscal policy tool. The government can influence economic output if it adjusts its spending. Apart from the effect of government spending on the economy, it also affects businesses dealing with goods and services bought by the government thus multiplying through the economy (Moller, 52). The GDP may be stimulated if consumers spend the paychecks they earn from their businesses. When those dealing with government vehicles receive large orders, their sales tend to increase. This makes them hire more employees who in turn earn paychecks from the companies. The employees then spend this money on goods and services thus increasing spending, leading to a much greater result. This effect is called the multiplier effect. The changes that occur in taxes affect the average consumer income, and changes in consumption leading to changes in real GDP. These make it a fiscal policy tool. The government can influence economic output by adjusting taxes. They can be changed in several ways, and these include raising or lowering marginal taxes. Secondly, the tax rules can be modified or eliminated (Modigliani & Johnson 34). These include social security, welfare or unemployment checks. On a monthly basis, the checks go out all over the country thus serving as the income for millions of consumers. As in taxes, changes in transfer payments also leads to changes in consumer income. When consumers spend most of their income, they influence the economic output. These three tools are the ones that the government mostly administers to the economy to help it in the short term.

Wednesday, October 30, 2019

Theoretical concepts of accounting Essay Example | Topics and Well Written Essays - 1000 words

Theoretical concepts of accounting - Essay Example Proponents of free market approach have also supported a wait and see approach in relation to economic and financial changes taking place all over the world. In fact, the free market proponents reject the idea of intervention by governments for the sake of adjusting the distracted economy, and have based their arguments on the claim that demand and supply forces interact to ultimately bring stability in the distracted economic conditions (Deegan and Unerman; Rankin, Stanton and McGowan). However, malpractices of those charged with the governance and misuse of authority often overrun the expected balances to be attained in a free market model through demand and supply interaction (Deegan and Unerman; Rankin, Stanton and McGowan). One of the most relevant and quotable example in this regard can be of the Enron Scandal, which obviously had nothing to do with the free market model and demand and supply forces, but government intervention to safeguard the interests of general public throu gh Sarbanes Oxley Act (SOX) was deemed appropriate (Deegan and Unerman; Rankin, Stanton and McGowan).... , under free market approach, shall be opted to enhance the role of market forces and when needed, government intervention, whether in the form of accounting regulations or other regulatory frameworks shall be introduced to ensure that no deviation from the objective of benefiting society and corporate entities takes place (Deegan and Unerman; Rankin, Stanton and McGowan). Certainly, after the recent experiences of financial crisis and the increasing debate regarding the lack of ethical practices towards corporate governance and corporate social responsibility, the need to bring regulatory measures have been felt as never before (Deegan and Unerman; Rankin, Stanton and McGowan). Before going into the details of differences between the assumptions underlying the capital market research and behavioural research, it is pertinent to understand what capital market research and behavioural research implies (Deegan and Unerman; Rankin, Stanton and McGowan). The capital market research evalu ates the overall impact of financial reporting on investors only; whereas behavioural research takes into consideration the responses towards financial reporting by separate individuals, which is reflected by the decisions made by different users of financial statements. The assumptions for each of the research type are based on the nature of these researches (Deegan and Unerman; Rankin, Stanton and McGowan). As for instance, under capital market research it is assumed that investors are the most important stakeholders who take into consideration the financial reporting by business entities to base their decisions upon them. On the other hand, the assumptions used under behavioural research are entirely contrasting to the capital market research, as it is assumed that every stakeholder,

Monday, October 28, 2019

Crime-free Children Today Essay Example for Free

Crime-free Children Today Essay Open a newspaper or switch on the radio for news and you will no doubt see a number of horrifying crimes reported there murder, rape and robberies are no longer surprising or shocking news to the Indian citizens. But what can shock us is the fact that most, at least a third, of the crimes committed in a year are by youngsters below the age of 18. Juvenile delinquency is increasing rapidly. A large part of the world’s children are in India. Children are often perceived as the epitome of innocence and naivetà © by most people. But the phrase â€Å"child-like innocence† can no longer be used, because the adolescents are one of the most violent age categories in the world. There are many incidences of crimes committed by the adolescents these days. The number of juvenile court cases are increasing and the crimes become more horrifying by the minute. There are increasing evidences of road rages, crimes against women, violence in school etc. all committed by teenagers. Parents and others involved in a child’s life are equally responsible for the child’s hostile behavior. The amount of violence in the adolescent’s day-to-day life plays a large role in this issue, too. The child’s guardians have to take time to understand this complex problem and try to solve it; but what most of the Indian parents do is say to themselves, â€Å"He/she will grow out of it,† and simply avoid the issue, hoping it is just a phase. But this ignorant way of treating the problem is the start of a life-long trouble that will not only affect the family, but also the society, because in most of the cases of aggressive juvenile violence, the adolescent grows to be a criminal, thus delaying the development and progress of the nation.  The family does not bother to think of what may be the cause of the child’s behavior. Violent mannerisms in children can include a wide range of behaviors: explosive temper tantrums, physical aggression, fighting, bullying, homicidal thoughts, use of weaponry, cruelty towards animals, destruction of property etc. Most of this is caused by the problematic upbringing of the child – parents who pamper and spoil their children or agree to the child’s tantrums are endangering the child’s future. The television and the media can also increase a child’s violent tendencies. A child tends to imitate what he observes and this is a huge problem in India, because Indian cinema often has its heroes resort to violence to bring down their opponents. This makes the child think that using assault and bloodshed to achieve one’s needs is fine. Video games lessen the child’s value for a human life, as most of them involve killing animated characters. Being a victim of sexual abuse, presence of firearms in the house and even head injuries during childhood can cause adolescent violence. Remember, violence always leads to violence. Now that most of the people and the Government of India are starting to recognize and address this issue, solutions have to be found and made accessible to the citizens. Parents have to look out for signs of intense anger, impulsiveness, irritability and cruelty in children and look for the reason. Feelings of revenge and vengeance should be discouraged; tell them what the Father of our Nation once said, â€Å"An eye for an eye makes the whole world blind.† Make it clear to them that violence does not solve anything. Only clearheaded thinking can lead to good results. The amount of violence that the child is exposed to through media has to be restricted, but the media can also help by raising awareness and to show the children the adverse affects of violence. Developing a reading habit is also highly helpful in curbing a child’s hostility. Family conflicts, problems in school, discrimination by other children etc. should be found out and solved. Parents should not hesitate to consult a psychiatrist if necessary. Making the adolescent part of the Indian population is necessary because only calm and responsible children can grow into stable, responsible, patriotic citizens in the future. We should remember that it is the youth that will shape our country’s future. Every child is bright in his or her own way and it is the duty of the adults to keep the light burning, for the next generation will fulfill the dreams of our great leaders and lead our  nation to its victorious destiny only if our society is united, strong and nonviolent. Teach the children to follow the Mahatma’s policy, the motto that toppled the British, the strongest invading force of the past century: nonviolence.

Saturday, October 26, 2019

IQ Tests Are Appropriate as a Part of a Job Interview Essay example --

William Stern in the 1912 took the mental age of an individual, divided it by the chronological age and obtained the ratio, which he called an intelligence quotient. Intelligence quotient (IQ) is a score used to express the relative intelligence of a person. In the modern society with high competition in different areas intelligence tests are widely used. IQ tests starting to appear in job interviews as a part of the application process as well. This is still a controversial issue about whether IQ tests should be included in the employability process, but due to the increasing rivalry for job placements worldwide, IQ tests are one of the options to be brought up. IQ tests are standardised tests, which signifies that the tasks appearing in the examination are the same for all participants, the conditions, given instructions and amount of time for completion are equal for each applicant. Standardised tests help prevent stereotypical errors, for example, there is no preconception related to ethnic or cultural background, age or appearance differences. Although it is argued that there are noticeable differences between genders’ performance on various tasks, it is widely acknowledged disparity, particularly in mental rotation of three-dimensional objects tasks (MRT). (Linn, 1985) Males tend to perform slightly better than women, although females tend to score to a greater degree at verbal skills, for instance linguistic reasoning. IQ tests are administered properly and being evaluated using means and standard deviations - normal distribution measures – which carries no effect on the performance of different genders. IQ tests are meas ured in a standard manner which allows to evaluate every individual retaining their anonymity and rely o... ...Mills, C. (1997). Gifted Children with Learning Disabilities: A Review of the Issues. Kaufman J.C., Plucker J.A. (2011). Intelligence and Creativity. The Cambridge Handbook of Intelligence. Cambridge University Press; Cambridge. Linn, M. C., & Petersen, A. C. (1985). Emergence and Characterization of Gender Differences in Spatial Abilities: A Meta-Analysis. Child Development, 56, 1479–1498. Roid, G.H. (2003). Stanford-Binet Intelligence Scales, Fifth Edition: Technical manual. Itasca, IL: Riverside Publishing. Sattler, J. M. (1992). Assessment of Children (3rd edition). San Diego, CA: Author. Wechsler, David (1939). The Measurement of Adult Intelligence. Baltimore: Williams & Wilkins. Wechsler, David (1944). The Measurement of Adult intelligence (3rd edition). Baltimore: Williams & Wilkins. Stern, William (1912). The Psychological Methods of Intelligence Testing.

Thursday, October 24, 2019

James Joyces Araby - Lack of Insight in Araby :: Joyce Dubliners Araby Essays

Araby – Lack of Insight  Ã‚   Readers of "Araby" often focus on the final scene as the key to the story. They assume the boy experi ­ences some profound insight about himself when he gazes "up into the darkness." I believe, however, that the boy sees nothing and learns nothing--either about himself or others. He's not self- reflective; he's merely self-absorbed. The evidence supporting this interpretation is the imagery of blindness and the ironic point of view of the narrator. There can seem to be a profound insight at the end of the story only if we empathize with the boy and adopt his point of view. In other words, we must assume that the young boy is narrating his own story. But if the real narrator is the grown man looking back at his early adolescence, then it becomes pos ­sible to read the narrative as ironic and to see the boy as confused and blind. The story opens and closes with images of blindness. The street is "blind" with an "uninhabited house†¦ at the blind end." As he spies on Mangan's sister, from his own house, the boy intentionally limits what he is able to see by lowering the "blind" until it is only an inch from the window sash. At the bazaar in the closing scene, the "light was out," and the upper part of the hall was "completely dark." The boy is left "gazing up into the darkness," seeing nothing but an inner torment that burns his eyes. This pattern of imagery includes images of reading, and reading stands for the boy's inability to understand what is before his eyes. When he tries to read at night, for exam ­ple, the girl's "image [comes] between him and the page," in effect blinding him. In fact, he seems blind to everything except this "image" of the "brown-clad figure cast by [his] imagination." The girl's "brown-clad figure" is also associated with the houses on "blind" North Richmond Street, with their "brown imperturbable faces." The houses stare back at the boy, unaffected by his presence and gaze. The most important face he tries and fails to read belongs to Mangan's sister. His description of her and interpretation of the few words she says to him can be seen as fur ­ther evidence of his blindness. He sees only what he wants to see, the "image" he has in his mind's eye.

Wednesday, October 23, 2019

Center of Pressure Essay

Introduction: The point in a body at which the resultant pressure acts when the body is immersed in a fluid. The apparatus for center of pressure. Objective: The object of this experiment was to calculate the hydrostatic force a fluid exerts on a submerged plane surface and then compare the experimental hydrostatic force to the theoretical hydrostatic force. Theory: The apparatus defining the physical dimensions, this nomenclature will be used throughout this theory. Whilst the theory for the partly submerged and fully submerged plane is the same, it will be clearer to consider the two cases separately. The apparatus can make the calculation center of pressure. A fluid at rest is said to be a static condition. the fluid particle experiences a constant pressure on all sides acting inward towards a single point at its center. The horizontal x and y components of the pressure are equal and opposite and have a net sum of zero. It can be said that the pressure does not change in the horizontal direction, The apparatus for center of pressure. Apparatus: * The hydraulics bench * The hydrostatic pressure apparatus * A set of weights * A jug * Calipers or ruler, for measuring the dimensions of the quadrant For siphoning * A measuring cylinder, or other container of water of similar height to the hydrostatic pressure tank. * A length of small bore flexible tubing. Method 1. Place the center of pressure apparatus on a level surface. This is important for obtaining an accurate force balance scenario. 2.

Tuesday, October 22, 2019

Is International Trade a Zero Sum Game

Is International Trade a Zero Sum Game Introduction International trade has of recent increased rampantly due to free flow of information across the borders majorly enhanced by good communication. With the rapid development of technology, many businesses have been endowed with the power to interact with overseas producers and consumers of different type of goods and services.Advertising We will write a custom essay sample on Is International Trade a Zero Sum Game? specifically for you for only $16.05 $11/page Learn More Benefits of international trade International trade has a number of benefits. First, many countries get the chance to acquire what they do not produce and sell what they have in surplus. Some countries also get the opportunity to buy products at cheap prices as compared to the cost of manufacturing the goods domestically (Bhagwati, 2004). This trade has majorly been supported by relaxations of some tight policies imposed by most countries. The late inclination in the strength of c ommunication through tools such as email address among others ensures business partners get in touch with each other in time. Delays caused by letters as for the ancient period is a history and no longer hold any logic. International trade also gains some benefits through its extension to the financial market (Fingerand Schuknecht, 1999). Financial market involves buying and selling of foreign currencies due to several reasons such as anticipation of the future rise in the value of the currency. The market also comprises investment in foreign market securities such as bonds and shares. A deep insight in the international trade reveals that some members have benefitted while others get hurt. Often, research reveals that developing nations have able to gain in terms of technology. The discrepancy that exists between developing nations and developed nations is quite wide and only international trade that can act as solution. Most of the technologies applied in the industrial sector by developing nations are acquired from developed nations (Bhagwati, 2004). These technologies are fundamental in production efficiency. This efficiency is what leads to high quality products. Technology has also helped to solve the time issue during production processes. With the launching of computers in developing nations, supervision and management of many businesses have been made easier.Advertising Looking for essay on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More On the other hand, developed nations are able to outsource cheap labor from developing nations. They additionally get the chance to dispose their surplus products. This has further enhanced their production capacity in their countries. Foreigners are also availed with the chance to invest in other countries economy. This has seen several multinational companies increase their level of profits. Disadvantages of international trade Recent confirmat ions have pointed out a number of setbacks concerning the international trade. Both developed and developing nations accused bodies that control international trade including World Bank, International Monetary Fund and World Trade Organizations for the exploitation by some countries. This has led to several debates of whether a nation gains or losses after participating in the international trade. Some countries such as the U.S.A. perceive international trade as weighing more on the negative than on the positive side. As much as it was able to sell its industrial goods to most countries, recently, many countries especially from Europe began to import cheap products from Asian countries such as Japan and China. With the help of cheap labor and latest technology, these Asian countries are able to produce cheaply. As a result, they give stiff competition to their U.S.A. counterparts. This consequently leads to the reduction of the U.S.A. exports to other nations. Noticeably, this autom atically reduces the U.S.A gross national income. On the contrary, the imports from other nations seem to be rapidly increasing. The strength of the U.S.A. dollar favors importation of goods and services especially from developing countries; but on the other hand, importation seems to be superseding exportation levels. Logically, the country would be making less money from exportation to enable easy of exports purchasing. Many will term it as â€Å"many goods chasing few dollars†. In short, there is no balance on the ongoing economical activities. Commonly, this is referred to as imbalance of trade. Such country might fail to meet its national budget outlay or forced to borrow loans from the international bodies such as World Bank and International Monetary Fund. This means the country will be operating in deficits. Restriction rules by the GATT and WTO What happens when the world is in the face of financial crisis? Will a nation gain or lose if it restricts itself to the rul es outlined in the World Trade Organization? This has been a major challenge for about 153 partners of the multilateral trade system across the world. Free trade advocates free trade across the member countries.Advertising We will write a custom essay sample on Is International Trade a Zero Sum Game? specifically for you for only $16.05 $11/page Learn More The member countries should operate within the limits of import duty taxes and tariffs levels laid down by the international bodies. However, do they keep to these promises? Anyway, most countries seem to deviate from these regulations. They resolve to protect their economy and this include their markets and industries thereon. In the case of financial crisis that took place in 30s, 70s and early 80s a country resolving to protection measures was not an issue to be addressed at international level unlike today. This was because international trade was not as free as it is today. Today, other members are k een to watch other countries actions during such economical hard times. International trade and economic crisis International trade has been the greatest contributing factor to the economic crisis that we recently experienced in the beginning of the year 2007. In the approach of this crisis, several companies that had some foreign subsidiaries went under. Enron and WorldCom had open business units in other countries such as the Power Plant in India. Indeed, operations of these subsidiaries are always dependent on politics that sometimes turns out to favor foreign companies (Fingerand Schuknecht, 1999). The fall of these huge companies, have impacts on other nations considering that their subsidiaries will fail to operate. This means losses of jobs and shares. For instance, the collapse of Lehman Brothers Incorporation had subsequent effect to whole the U.S.A. economy and the world in general. Other companies that had investment with Lehman were due to go under. It was only in the s upport of government in which congress passed a bailout package of 750 billion dollars that saw the economy stabilize to some extent. Otherwise, ripples of the economic crisis could have been stronger. Nevertheless, this was the strongest crisis ever since. The international trade volume contracted across all nations as most firms failed to operate. Protectionism measures The consequence of economic crisis is severe to individual countries. This is the time when economy is operating below the normal economic growth level. A country is faced with low GDP. This means the nation is under-producing given the economical resources available (Sachs Warner, 1995). A number of factors lead to this: first, the inflation rates are high and so the prices of commodities are somewhat high.Advertising Looking for essay on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More Therefore, industries are not able to produce many products to the consumers. Given that production costs are high and consumers’ income is constant, consumers will tend to buy less especially the so-called luxurious goods. As matter of fact, consumers are unable to save due to high cost of living. This forces financial institutions to lend at high interest rates and as a consequent, this pulls down the level of investments in the economy leading to the dragging of economical performance. In the midst of such problem, governments always seek new measures to intervene in the economy for its recovery. This may force the government to raise taxes for imports into the country with an aim of protecting domestic industries from the stiff competition of foreign companies. Raising taxes would make imports more expensive as compared to domestic products and therefore consumers will shy away from the foreign products. A country may sometimes put anti-dumping policies which will discour age import of cheap products from other economies. For instance, India had banned Chinese toys into its country for some period. Subsidies on the other hand, help industries to manufacture products at a lower operation cost than in the absent of subsidies such as loans. More so, the government will aim to apply labor-related measures to protect employment. The U.S.A. government was forced to reduce the stimulus taxes for the companies that had moved overseas with a view of maintaining jobs for its citizen. Some States will prefer to devalue their currency to encourage their export to other countries. Korean did it by allowing a depreciation of its currency by 19% against the USD. The Government might also come up with other measures such as quotas majorly on tariffs and export taxes among others. All these measures focus on protecting the economy from the harsh economic crisis. Protectionism measures and international trade agreements These measures of individuals’ economic p rotection are always against the agreement made at the international trade meetings (Sachs Warner, 1995). The G20 for instance had agreed on import taxes levels permissible for all the members. However, some member countries went against it in the year 2009 due to some negative implications resulting from such policies. As far as a country want to gain from the international trade, it also needs to protect its economy from the negative side of the international trade. Comparison of benefits and setbacks realized from participating in international trade The above discussions specifically points out advantages as well as disadvantages realized from participating in the international trade. This brings us to the topic of this piece of whether international trade is a zero sum game. Indeed, it is! This is because a country benefits on one side and loses on the other. A country gains in form of specialization. Any country would specialize in producing goods and services it can well. Thi s ensures it produces on large scale and therefore gains from the economies of scale such as low production costs. The nation is also assured of the market for its surplus. Nevertheless, this country is able to buy products it does not produce domestically from foreign countries at lower price than it would if locally manufactured. This advantage is mostly tagged as comparative advantage. Additionally, a nation is able to acquire imports from other countries at a low cost due to low taxes imposed by the foreign countries on the member states. It also avails a country with the variety of goods and services offered across the world (Bhagwati, 2004). Most importantly, developing nations are able to acquire technology from the industrialized countries. Conversely, international trade also suffers from a number of drawbacks. It is perceived to be unproductive especially during economic crisis. The free trade might harm ones economy. For instance, consider a country facing high production costs and at the same time, it is being dumped with cheap imports. Most probably its’ domestic industries would collapse because of the failure to keep up with tough competition emanating from foreign competitors. This would mean loss of jobs and the general contraction of the economic growth. Other disadvantages include loss of one’s culture through interaction of these nations during the trade. Conclusion Generally, international trade has both advantages and disadvantages that end up cancelling each other leading to almost zero benefit realization. Therefore, protectionism measures would not help, as other nations would take retaliatory measures. This might include high taxes on its exports among others. Moreover, having closed economy would be dangerous as country cannot be self sufficient in providing resources to its citizen. References Bhagwati, J. (2004). In Defense of globalization. New York, NY: Oxford University Press Fingerand, K. Schuknecht, L. (1999).Tr ade, finance and financial crisis, special studies 3. Geneva: World trade Organization Publisher. Sachs, J. Warner, A. (1995). Economic reforms and the process of global integration. Brooking Paper on Economic Activity, 2, 1-118.

Monday, October 21, 2019

High Stake Testing Example

High Stake Testing Example High Stake Testing – Coursework Example High stake testing March 16, High stake testing Provisions of the No Child Left Behind policy that expanded regulations on education promises improved academic performance and achievement of the underlying goal of alleviating poverty. Changes that the policy induces, such as specified testing, defined expected improvements, and withheld federal funding to states that do not implement the policy, motivate realization of the goals. Offered approaches for defining Adequate Yearly Progress (AYP) and the possibility of integrating the approaches in assessments facilitate reliability and validity of assessment results. Even though each of the methods has disadvantages, advantages of one approach may counter a disadvantage of the other approaches. Integrating the fixed standards approach with the cross-sectional approach, for example, resolves insensitivity to differences between schools that the fixed standards suffers. The identified challenges of AYP are also practical to implementation of the policy. Goals that are too high or too low and ones that are not responsive fail to motivate stakeholders towards desired achievements. Insensitivity to special needs and existence of corruption are also likely to undermine objectives. Identified unintended consequences of high stake testing are also real and necessary measures for managing them are necessary. Developing too high standards high may shift educator’s attention to improving test results and not quality of education or may prompt corrupt practices for avoiding penalties. Moderating efforts such as informing stakeholders of the scope of large-scale tests, strategies for achieving desired results, and offering psychological support can however ensure integrity in implementation of the AYP provisions (Braden and Schroeder, N.d.). Based on the knowledge in AYP provisions, I believe that counselors should play multi-dimensional role that include communicating for awareness and offering leadership for ensuring t hat stakeholders’ acts are consistent with the provisions and expectations. ReferenceBraden, J. and Schroeder, J. (N.d.). High-stake testing and No Child Left Behind: Information and strategies for educators. National Association of School Psychologists. Retrieved from: nasponline.org/communications/spawareness/highstakes.pdf.

Sunday, October 20, 2019

Examination of The Little Matchstick Girl

Examination of The Little Matchstick Girl First published in 1845, The Little Match Girl by  Hans Christian Anderson  is a story about a young impoverished girl trying to sell matches on the street on New Years Eve who is afraid to go home without selling enough for fear of an abusive father. This tragic short story paints a dismal picture of life for the poor in the 1840s but also carries with it that grim hope of a fairy tale with visions of huge Christmas trees and shooting stars appearing before the young match girl- her dying wishes and dreams. The Harsh Realities of Poverty Andersons The Little Match Girl is not far from classic fairy tales by the Brothers Grimm- they both share a certain darkness to their content, a melancholic and an often morbid obsession with consequences for actions or for merely existing. Its an often studied piece in academic circles. In The Little Match Girl, Andersons titular character dies by the end of the piece, but the story is much more about the perseverance of hope. In these sparse, unforgiving lines, Hans Christian Andersen packs so much simple beauty and hope: The girl is cold, barefoot, and poor- without a friend in the world (it seems)- but she is not without hope. She dreams of warmth and light, of a time when she will be surrounded by love, and filled with happiness. Its so far outside of the realm of her current experience that most of us would have long since given up such dreams, but she holds on. Still, the harsh realities of poverty haunt the little girls reality- she must sell a match for fear of being beaten by her father upon returning home and this fear propels her to stay outside all night, which ultimately leads to her death by hypothermia. Lessons and Adaptations Thanks to its brevity and delicate approach to the topic of death, The Little Match Girl serves as a great tool, like most fairy tales, to teach children important lessons about the tougher topics in life like death and loss as well as social issues like poverty and charity. We may not want to think about the horrible things that happen every day, and its certainly hard to explain such things to our children. It does seem, though, that we can often learn the greatest lessons from the children- in how they deal with the most hopeless situations. In those final moments, this little girl sees visions of splendor. She sees hope. But, her passing- punctuated by the shooting of a star in the night sky- is tragic and troubling. Fortunately, there have also been many adaptations of this short piece by Hans Christian Anderson including several animated and live action short films which provide an easier way for children to access the themes of this brilliant short work of fiction.

Saturday, October 19, 2019

The Susquehanna Indian Tribe of Pennsylvania Essay

The Susquehanna Indian Tribe of Pennsylvania - Essay Example A great deal of the early history of the American continent has been lost thanks to the annihilation of great Indian nations such as the Susquehanna, forcing us to examine other tribes for clues as to their way of life. In early 17th century, three distinctive groups of Indian tribes, representing three different linguistic stocks, occupied the region that is now Virginia. Along the coast were many settlements of the Algonquian group, the Powhatan confederacy, enemy of the Siouan stock composed of the Monacan and Manahoac groups that spread from the banks of the upper James and the headwaters of the Potomac and Rappahannock Rivers to the Allegheny Mountains (UV, 2006). The bellicose and scattered Iroquoian stock was represented by the Conestoga or Susquehanna tribe of about 600 able warriors that lived in palisaded towns to defend themselves from the Massawomeckes. The six Susquehanna towns are Sasquesahanough, Quadroque, Attaock, Tesinigh, Utchowig, and Cepowig; the earlier names obviously conventionalized forms of the original native terms (AG, 2006). Ever since, the Susquehannock apparently had been in good alliance with the Huron. It was probable they migrated to the Susquehanna Valley from the north. The earliest town sites recognized as Susquehannock were sited on the upper Susquehanna River and date from about 1550, but they probably had occupied the region for at least four hundred years before this. Even though they inflicted a major defeat on the Mohawk shortly before 1600, conflicts with the Iroquois had by 1570 forced the Susquehannock south into the lower Susquehanna Valley. Toughened by years of constant warfare, they besieged the Algonquin tribes along the shores of Chesapeake Bay and began extending their control southward. The first European contact with the Susquehannock was in 1608 when Captain John Smith an explorer from Jamestown was traveling the northern end of Chesapeake Bay (Shovel, 2006). The Powhatan also knew the Susquehannock from painful experience, and when the English first established Virginia, the Powhatan had placed their villages well-inland to defend them from Susquehannock war parties that ranged the coastline by canoes. One basis the Powhatan were not completely conflicting to English settlement at first was that they provided additional defense, but the Susquehannock still attacked the Powhatan villages in northern Virginia during 1610 (Cadzow, 1936). III. During the early 1600s, drawn by the potential profits from furs, other Europeans came to the New World. Friendly dealings with the Susquehannock were particularily valuable to the French, not just for the purposes of trade, but because they fascinated the Iroquois between two powerful enemies. Unluckily, the new coalition alarmed Dutch traders on the Hudson River, and they vigorously supported the Mohawk in 1615 against the Susquehannock. Even though they were relatively few in number and isolated by their inland location, the Susquehannock managed to turn out to be an important trading partner with all of the competing European powers. As well handicapped by their