Wednesday, August 26, 2020

Dairy Industry in Pakistan Free Essays

While contrasting the estimation of milk and other money crops, it was referenced that milk had an incentive about 60% higher when contrasted with both wheat and cotton together. The place where there is Pakistan is profited with both flooded fields through powerful Indus waterway with its tributaries and desert regions like Scholastic and Thereafter. Pakistan is used from costal range zones in the south to the high fields in the north and has fluctuation in geology, precipitation, resistance, temperature, plant and creature species, social and social legacy. We will compose a custom paper test on Dairy Industry in Pakistan or on the other hand any comparable theme just for you Request Now So Larry improvement Is not just name to meet ten developing methods AT creature protein however for financial reasons as dairy creatures give ordinary money salary, monetary use of family work, make government managed savings and gracefully developing markets. Milk creation is an incredibly work concentrated occupation, notwithstanding, in numerous nations of the world including Pakistan, it is the most profitable method of changing over harvest deposits and agro modern squanders into significant food. Yet, because of organic and specialized obliges like deficiency of feed, high death rate, poor emetic potential and so on; financial requirements like high information cost, shortage of sources, deficient showcasing frameworks, business feed industry and strategy limitations render this part lacking and really in a hopeless condition. The primary target of this article is to audit the possibilities, issues and arrangements relating to dairying in Pakistan. Primary highlights of dairy segment in Pakistan. Dairy industry in Pakistan has comparable attributes, as other creating Asian countries, which incorporate little group, poor hereditary capability of creatures for milk, low quality deeds, high dangers of pandemics, ill-advised showcasing channels, absence of specialized labor for dairy industry, high natural anxieties, regenerative disappointment and high udder irregularities, conventional administration rehearses, poor augmentation administrations and absence of business apportions. In spite of every single above issue, dairy creatures, basically wild ox and steers are delivering 26. 4 million tones of milk in Pakistan (Agriculture Statistics, 1999-2000). Per capita accessibility of milk in Pakistan is 82. 4 Keg yearly. This amount of milk gives the greater part of the 17. 4 g of creature protein accessible or every Pakistani day by day. Be that as it may, Pakistan despite everything needs to import dry milk and other milk items e. G. Margarine, cheddar, yogurt, cream, whey and so forth. Consistently to satisfy the regularly expanding requests for milk and milk items. During year 1999-2000 Pakistan used around 1213. 5 million rupees of significant remote trade to import the milk and milk items (Agricultural Statistics, 1999-2000). The expanding requests for dairy items are ascribed to high populace development rate and fast mediation. Populace of wild ox and steers. Pakistan claims around 23. 3 million heads of wild ox Agriculture Statistics 1999-2000). The bison populace expanded around 14. 7% during the most recent 6 years from 1996 to 2001 in Pakistan. Populace patterns show that their number is probably going to additionally increment in future (Khan, 1998) Punjab, Kinds, NFW and Balloonists regions contribute 64, 28, 7 and 1%, individually, to the all out bison populace of the nation (Livestock Scenes, 1996). These figures show that the vast majority of the bison are available in flooded zones and along riversides of the nation. About 60% of the all out wild ox stock is, female bison stock, of over three years old. It is assessed that 8. 7 million heads of wild ox are in milk, remaining either in dry stage or not yet calved. Around 0. 42 million wild ox bulls are accessible either for reproducing or for work purposes. As per Economic Survey (1999-2000) of Pakistan around 22. 4 million heads of dairy cattle are accessible in Fig. 1. The most effective method to refer to Dairy Industry in Pakistan, Essays

Saturday, August 22, 2020

The Tarahumara People and Running :: Run Sports India Indians Essays

The Tarahumara People and Running For the individuals to whom running is a way of life, ultra long distance race running appears to be an old wonder, one that has been a piece of day by day life since its beginnings. Running more than twenty-six miles daily appears to be a humble errand to a Tarahumara, an every day task, while to the Americans running close to them it is an all consu ming accomplishment. These individuals, referred to worldwide as the running indians have as of late showed up in the ultra world and are demonstrating everybody how simple running truly is for them. As they breeze by any semblance of Ann Trason and numerous good others, the inquiries mount. Who are they and how would they run so quick? There are as of now around 50,000 Tarahumara living in the Sierra Madre Occidental in northwestern Mexico. They live in little secluded bunches with most the populace gathered in the Barranca del Cobre, or the Copper Canyon. The Tarahumara indians are a piece of the Uto-Aztecan indian ancestry and are firmly identified with the Apaches of the Southwestern United States. The territory of Northwest Mexico that the Tarahumara lives in is rough and unforgiving. The Barranca del Cobre is a chain of five exceptionally profound ravines encompassed by extremely tall mountains that arrive at just about a mile and a half above ocean level. Three of the five gorge are more profound than the Grand Canyon of the United States. The zone is unique however in light of the fact that it gets considerably more precipitation and is secured with more vegetation. The landscape is extremely tough, to such an extent as to prompt the way that the zone has never been completely mapped or investigated (Lutz 66 ). The territory is one of th e coldest in Mexico and soil conditions are extremely poor. It is a direct result of this that the Tarahumara are semi-itinerant and are cavern tenants for part of the year. The explanation that, The Tarahumara might be the best normal separation sprinters on the planet, made by University of Arizona prehistorian Michael Jenk inson, offers some understanding into exactly how great the indians are at running (Lutz 21). The Tarahumara routinely run separates just secured by just the most progressive ultramarathon sprinters today. To these indians, running is more than sport, running is actually life. The Tarahumara live in extremely rough land and travel by wagon or ponies is generally illogical. Along these lines, foot travel is as a general rule the best choice for getting starting with one spot then onto the next and it is typically the speediest.

Friday, August 21, 2020

What is an Employee Furlough, and Why Do Employers Use Them

What is an Employee Furlough, and Why Do Employers Use Them With the recent developments in the US government, people, even those who are not affected by the ongoing situation, are getting more and more interested in furlough politics, how and why it is used, what the consequences are, and so on.At the very beginning, it is important to know that furloughs are a measure taken to avoid even more drastic measures.Companies use them more often than you would initially think, but not always in such extremes that it becomes a worldwide sensation.The January 2019 United States Government furlough is not the first of the kind, there have been others (18 of them), equally serious during the years. WHAT IS A FURLOUGH?Furlough is essentially and mandatory leave from work issued by your company.The furlough is a cost-saving action and usually happens when a company experiences a reorganization, a financial setback and/or shutting down.It gives the company an opportunity to manage finances without having to resort to layoffs and RIFs.How?The idea is to a void laying-off or firing any employees, and instead, all the employees make a small sacrifice, enabling everyone to keep their jobs.There are different types and durations of furlough and they depend on the companys needs and even the nature of the business.As in any action, especially those relating to the people aspect of company management, furlough has its own advantages and disadvantages (we will examine them later in the text).The furloughed workers are usually informed of the furloughs duration and have their job waiting for them after the mandatory leave ends.Pay attention that furlough should not be and cannot be a long-term solution for the companys economic crisis, and as such, it cannot go on forever.If it goes on for over a year, companies might want to consider taking some more serious measures like layoffs or closing the company.WHICH COMPANIES USE FURLOUGH?As we already mentioned, there is not just one type of company which uses furlough.Most commonly, federal and g overnment employees are affected by them.The workers are divided into two categories: essential and non-essential workers.In government, the non-essential ones are usually employees working in for NASA, Labor Department, Environmental Protection Agency and so on.Those categorized as non-essential are furloughed i.e. they go on an unpaid leave of absence.However, not only the government employees get furloughed, it happens with other companies when they face a financial setback and when they want to avoid firing workers.Some companies and industries have scheduled furloughs due to the nature of the business.For example, hotels in seasonal tourist locations might want to use furlough during the months that are not a peak of the business season.Why would you keep a hotel on Santorini up and running November through March when there are no tourists, and inherently no revenue?In those and similar examples, the owner might choose to furlough the workers, cutting back expenses and prepare for the following season.Other businesses that could resort to furlough are for example lawn mowers, pool cleaners, companies responsible for clearing the snow off the roads and many others that are in some way connected to a certain season- either climate-wise or if related to a topic (Wedding season, Holiday season and so on)Note that there are other uses of the word furlough that is not related to employment and that can cause confusion.Those are prison and military furloughs, which grant a prisoner or a soldier some time to visit home and then return to the prison or service.With prisoners, those are usually occasions like family members funerals or weddings, and with soldiers after being on an assignment away from home for more than 2-3 years.HOW IS FURLOUGH IMPLEMENTED?The Importance of the Furlough NoticeOne of the first things that should be taken into consideration when you are thinking about putting employees on furlough is the way in which you plan on informing them.Makin g a mistake in this aspect can lead to employees losing confidence in the management, and create negative emotions towards it. In some, drastic, cases a lawsuit might ensue.The notice should be in a written form and issued at least 60 days prior to the start of the furlough.Sometimes, a notice can be provided orally or over the phone but it should be avoided as it can lead to miscommunication and misunderstandings.When in doubt, resort to the usual method which your company uses to issue statements and notices.Informing the employee about the furlough needs to be executed tactfully with the highest regard of the employees feelings and concerns, as the hit to the income can stress out and worry the employee.The management should be able to answer all the possible questions regarding the implications of the furlough and take time to do so.Explaining that furlough is not a punishment for the employee and that it does not reflect their value and performance is also a must.Doubting in yo urself and your competencies lead to the lowering of the morale which in turn leads to weakened productivity.What is the duration of a furlough?Another aspect of a furlough is its duration as well as a form it takes.It can be carried out in various ways depending on the companys needs, the industry it belongs to and so on. So there is not just one correct answer to the question of how long can an employee be on furlough.It can last for months (preferably not over a year) or weeks. In this situation, the employees do not come to work at all during this period of time and they do not get their paychecks.However, in some situations, like government jobs furloughs, the employees may receive their pay retroactively after the furlough had ended.Another option is that employees take one unpaid week off work during a month.For example, the employees are divided into 4 groups and each group takes a different week off (group 1 does not come to work on the first week, group two on the second w eek and so on).On the other hand, the employer may decide to have all the workers take the same week off, and temporarily close the company, saving money for electricity, heating and more.There is another alternative to that and that is sending employees on furlough one day of the week, or reducing daily work hours by one or two hours a day.During the furlough that takes these partial forms, the employees receive their paychecks but they are reduced for the hours they are not working.This brings us to the issue of the employee classification that affects calculating work hours.WHAT IS THE DIFFERENCE BETWEEN EXEMPT AND NON-EXEMPT WORKERS?The exempt and non-exempt employees differ in the aspect of overtime pay eligibility and the fact that they are receiving wages or salaries.In furlough situations, this can cause quite a mess since the payment is not carried out in the same way for both groups according to their contracts.What are they exempt or non-exempt from?The workers are exempt or non-exempt from the rules and regulations of FLSA Fair Labor Standards Act. (It establishes a minimum wage, overtime pay, recordkeeping and so on.)1.  Non-exempt WorkersA standard workweek consists of 40 working hours.Non-exempt workers comply with the rules and regulations of FLSA, they work a minimum of 40 hours per week, receive at least a minimum wage, and are eligible for overtime pay.This means that an increase in wage is calculated for each hour of overtime work.If a non-exempt worker is affected by the furlough, they have the right to be paid for each hour they worked during the length of it.For example, if the workday is shortened from eight to seven hours, the non-exempt workers must receive a recalculated amount according to the seven-hour workday, or if one day a week is a furlough day, they must get paid a regular amount for the other four days.Pay attention to the fact that each State has its own overtime pay policies, so employers must check those regulations wit h the States Department of Labor before calculating the pays during the furlough time.2.  Exempt WorkersOpposed to the non-exempt workers who receive hourly wages, the exempt workers receive weekly salaries.They are not eligible for minimum wage or overtime pay. The FLSA does not cover them in any way.However, companies themselves can offer some sort of an overtime work incentive or a benefits package, and this differs from company to company and is regulated by the employees contract.Exempt employees often have an executive, supervisory or a sales position.If an exempt worker is affected by the furlough, problems might arise, for example, If an employee in this category works even a little (as far as answering an e-mail or a work-related phone call) during the furlough, they are entitled to receiving a full weeks salary.Since the aim of furlough is to save money, this is definitely not a good thing, in fact, it is even worse since the employer would be paying for a lot more than th e actual work.This is why the employers introduce the no-work rule which means that the employees cannot work at all during that time.Sometimes they would even take away work phones and temporarily deactivate work e-mails in order to avoid such situations.Also, this is why it is usually scheduled that exempt workers go on furlough in blocks that last at least a week.RECEIVING BENEFITS AND FILING FOR UNEMPLOYMENTReducing the work hours opens a new set of questions regarding the possibility of having to file for unemployment and keeping the benefits such as health insurance.Even though the employees do not get their paychecks, most companies keep paying for their benefits such as health insurance and welfare.As it still draws money away from the budget, some companies may decide to revoke the benefits during the furlough, especially if it goes on for a month or more.Also, if an employees workweek is less than 35 hours, in some states, the said employee goes to the part-time worker cat egory and loses eligibility for benefits plan (states have their own policies about benefits so check the ones that are related to your location).In those situations, it can be solved by reconstructing the initial agreement for 35 hours workweek to 32 hours workweek, enabling employees to keep their benefits.In situations where furlough lasts longer, employees might qualify for unemployment benefits.The employee will be asked to submit evidence of how long they are not working, how much they earn and so on, and if they qualify they can file for unemployment.The requirements also differ from state to state but employees usually qualify if they are unemployed due to no fault of their own, such as long-term furlough or layoff.Filing for unemployment is not a permanent solution, but a temporary one as this is also regulated by the law.WHAT ARE THE ADVANTAGES AND DISADVANTAGES OF FURLOUGHS?Like any other action that you take regarding your business and towards its improvement, furlough h as some desirable outcomes, but also some less desirable ones.1.  DisadvantagesOne of the first disadvantages you could come across is not saving as much money as you initially thought. Your expenses will be reduced but not decimated.This can especially be seen if you make an oversight regarding benefits plans and salaried employees.Also, the employees who would have to pull their weight in preparing the company for reopening after a furlough are the ones that come from the exempt category, which means that their pay is substantial, and you will have to pay them.Morale is another thing that can go either way- it may stay up as your employees see that they are not being laid-off, however, if a furlough lasts for a long time, it can lead to losing faith in the companys management, existential worries and resigning the position in order to look for another job.This especially happens if the furlough is not scheduled so as to allow planning and if it happens suddenly without timely noti ce. Some of your best employees might resign in search of a more secure job that offers them the opportunity to improve their careers rather than allowing them to become stale.A furlough that lasts even a week provides them with enough time to schedule interviews and resign, leaving you with a necessity to hire and train somebody else for the post.Reopening also takes time and resources, since you need to prepare and allow the employees to catch up (if the entire company was not a subject of the furlough) and regain the momentum that was interrupted by the furlough and reach the degree of high efficiency again.2.  AdvantagesIn most situations, and if the furlough is conducted properly, your employees morale will stay high as they would realize that there are benefits to the situations.With the employers proper planning, the company may still meet the markets demands and not lose credibility and/or customers. Primarily, you avoid layoffs which are leaving the workers without jobs.The y are ready to disregard the fact that they are not receiving pay for that time since they get to keep their health insurance and are grateful to know that their job will be waiting for them after the furlough ends.They appreciate the opportunity to be able to keep their jobs and remain loyal to the company in return.The employees skills and expertise will remain sharp, if the furlough lasts for a short time, and they might even appreciate a little time off work if it does not affect their livelihood in a grave manner.After reopening, you will not have the need to hire new people to fill the emptied positions, as many will return after the furlough has ended.Hiring process takes time and retraining takes both time and resources, so with the furlough, you get your experienced employees back.If a furlough is scheduled, it allows both the company and the employees to benefit from it.For seasonal works, for example, the employer gets to reduce revenue during the low activity periods and gets time to gather strengths.On the other hand, the employees get to plan their own expenses and savings, or even decide to take up another part-time, or seasonal job to fill in the time on furlough.Planning makes the process less traumatic and allows for the possibility of returning to the post after the furlough.This does not relate only to seasonal jobs.If the furlough notice is issued in advance and in a timely fashion, your employees would have enough time to do all the required planning to go through the transition effortlessly.FURLOUGHS vs. LAYOFFSSo far, we have talked about furloughs in detail but we have mentioned layoffs more than once.In order to avoid confusion, let us further examine the similarities and differences between furloughs and layoffs.Layoffs are considered a more drastic and less desirable alternative to furloughs.The main reason for that opinion s the fact that in a furlough the employees get a guarantee that they will have their job waiting for them at the end of the furloughs duration, if they want the job back, of course   (since they can find another job during the time).With layoffs, that is not the case. The employees are laid-off without the guarantee that they will be called back when and if the company restarts its business, but there is a possibility.Layoffs are usually reserved for temporary leaves that are supposed to be longer than furloughs. (Note that it is also different from RIFs Reduction in Forces, which are almost exclusively actions of permanent termination of contracts.)Another point of difference is that in furlough the employees may be able to keep healthcare and dental insurances, while layoffs do not allow for that.Applying for unemployment is always possible with layoffs, and it is conditioned by work hours in furloughs.Severance packages and outplacement services are offered to the laid-off workers while the furloughed workers never get that option as they technically still have their jobs.So how do you choose the best tactic for cost-reduction for your business? Basically, the amount of resources decides that for you.If you are certain that you would be able to call back all your furloughed employees, go with the furlough.However, if you think that that may not be the case, and you end up prolonging the furlough time, it might be fair to lay-off workers and provide them with the opportunity to look for another job.Keep in mind that both actions may result in a bad reputation among the workers and the public.FINAL WORDSo, what is the bottom line regarding furloughs? Are they a good choice for your company or not?What you should do to answer these questions after you got acquainted with all the implications, downsides and upsides, is to carefully examine your companys needs for a cost-saving plan.Decide whether furlough is enough for your current situation or you need to bring more extreme measures to fix the ongoing financial issue.After you have made that decision, work up a furl ough schedule all the time keeping in mind your companys and your employees wellbeing, so that everybody could benefit from the furlough in the long run, as that is its main aim.Weigh in the advantages and disadvantages, work out a plan, categorize your employees, figure out the duration, calculate how much you want to save and figure out a support system for your furloughed workers so that they would remain loyal to the company.Furlough might be a productive and efficient solution for your company at a moment of financial crisis or reorganization but bear in mind that it is not and should not be considered a long-term practice because it will damage your brands name, discourage your employees loyalty, and, in that case, it will turn out to be a counterproductive move.

Sunday, May 24, 2020

Calculating Concentrations with Units and Dilutions

Calculating the concentration of a chemical  solution  is a basic skill all students of chemistry must develop early in their studies. What is concentration? Concentration refers to the amount of solute that is dissolved in a solvent. We normally think of a solute as a solid that is added to a solvent (e.g., adding table salt to water), but the solute could easily exist in another phase. For example, if we add a small amount of ethanol to water, then the ethanol is the solute, and the water is the solvent. If we add a smaller amount of water to a larger amount of ethanol, then the water could be the solute! How To Calculate Units of Concentration Once you have identified the solute and solvent in a solution, you are ready to determine its concentration. Concentration may be expressed several different ways, using percent composition by mass, volume percent, mole fraction, molarity, molality, or normality. Percent Composition by Mass (%)This is the mass of the solute divided by the mass of the solution (mass of solute plus mass of solvent), multiplied by 100.Example:Determine the percent composition by mass of a 100 g salt solution which contains 20 g salt.Solution:20 g NaCl / 100 g solution x 100 20% NaCl solutionVolume Percent (% v/v) Volume percent or volume/volume percent most often is used when preparing solutions of liquids. Volume percent is defined as:v/v % [(volume of solute)/(volume of solution)] x 100%Note that volume percent is relative to the volume of the solution, not the volume of solvent. For example, wine is about 12% v/v ethanol. This means there is 12 ml ethanol for every 100 ml of wine. It is important to realize liquid and gas volumes are not necessarily additive. If you mix 12 ml of ethanol and 100 ml of wine, you will get less than 112 ml of solution.As another example, 70% v/v rubbing alcohol may be prepared by taking 700 ml of isopropyl alcohol and adding su fficient water to obtain 1000 ml of solution (which will not be 300 ml).Mole Fraction (X) This is the number of moles of a compound divided by the total number of moles of all chemical species in the solution. Keep in mind, the sum of all mole fractions in a solution always equals 1.Example:What are the mole fractions of the components of the solution formed when 92 g glycerol is mixed with 90 g water? (molecular weight water 18; molecular weight of glycerol 92)Solution:90 g water 90 g x 1 mol / 18 g 5 mol water92 g glycerol 92 g x 1 mol / 92 g 1 mol glyceroltotal mol 5 1 6 molxwater 5 mol / 6 mol 0.833x glycerol 1 mol / 6 mol 0.167Its a good idea to check your math by making sure the mole fractions add up to 1:xwater xglycerol .833 0.167 1.000Molarity (M) Molarity is probably the most commonly used unit of concentration. It is the number of moles of solute per liter of solution (not necessarily the same as the volume of solvent!).Example:What is the molarity of a s olution made when water is added to 11 g CaCl2 to make 100 mL of solution? (The molecular weight of CaCl2 110)Solution:11 g CaCl2 / (110 g CaCl2 / mol CaCl2) 0.10 mol CaCl2100 mL x 1 L / 1000 mL 0.10 Lmolarity 0.10 mol / 0.10 Lmolarity 1.0 MMolality (m) Molality is the number of moles of solute per kilogram of solvent. Because the density of water at 25 °C is about 1 kilogram per liter, molality is approximately equal to molarity for dilute aqueous solutions at this temperature. This is a useful approximation, but remember that it is only an approximation and doesnt apply when the solution is at a different temperature, isnt dilute, or uses a solvent other than water.Example:What is the molality of a solution of 10 g NaOH in 500 g water? (Molecular weight of NaOH is 40)Solution:10 g NaOH / (40 g NaOH / 1 mol NaOH) 0.25 mol NaOH500 g water x 1 kg / 1000 g 0.50 kg watermolality 0.25 mol / 0.50 kgmolality 0.05 M / kgmolality 0.50 mNormality (N) Normality is equal to the gr am equivalent weight of a solute per liter of solution. A gram equivalent weight or equivalent is a measure of the reactive capacity of a given molecule. Normality is the only concentration unit that is reaction dependent.Example:1 M sulfuric acid (H2SO4) is 2 N for acid-base reactions because each mole of sulfuric acid provides 2 moles of H ions. On the other hand, 1 M sulfuric acid is 1 N for sulfate precipitation, since 1 mole of sulfuric acid provides 1 mole of sulfate ions.Grams per Liter (g/L)This is a simple method of preparing a solution based on grams of solute per liter of solution.Formality (F)A formal solution is expressed regarding formula weight units per liter of solution.Parts per Million (ppm) and Parts per Billion (ppb)Used for extremely dilute solutions, these units express the ratio of parts of solute per either 1 million parts of the solution or 1 billion parts of a solution.Example:A sample of water is found to contain 2 ppm lead. This means that for every mill ion parts, two of them are lead. So, in a one gram sample of water, two-millionths of a gram would be lead. For aqueous solutions, the density of water is assumed to be 1.00 g/ml for these units of concentration. How To Calculate Dilutions You dilute a solution whenever you add solvent to a solution. Adding solvent results in a solution of lower concentration. You can calculate the concentration of a solution following a dilution by applying this equation: MiVi MfVf where M is molarity, V is volume, and the subscripts i and f refer to the initial and final values. Example:How many milliliters of 5.5 M NaOH are needed to prepare 300 mL of 1.2 M NaOH? Solution:5.5 M x V1 1.2 M x 0.3 LV1 1.2 M x 0.3 L / 5.5 MV1 0.065 LV1 65 mL So, to prepare the 1.2 M NaOH solution, you pour 65 mL of 5.5 M NaOH into your container and add water to get 300 mL final volume

Thursday, May 14, 2020

The Controversy Of The Salem Witch Trials Essay - 1548 Words

There is much one can learn about this tragic smear in our history as the United States of America. The Salem Witch Trials have been sensationalized as of late, becoming a popular show, and an event that many movies have been made of. Without doing the proper research, one would think that the trials were more violent than it became. There were no witches burning at the stake, or daily hangings, or drownings, but people of the time were frightened nonetheless. The acts of just a few key people drove a whole town to hysteria, and fear. Throughout the trials over a hundred people were accused of witchcraft, and nineteen people were executed solely based on the claims of others that they were using the Devil’s Magic, many without any evidence The fingers of two little girls, driven by the urging of one powerful man created a butterfly effect that caused a wake of destruction within the walls of Salem. It can be shown through research that the Reverend Samuel Parris was the drivin g force behind the hysteria that the townspeople of Salem were subjected to. The Salem Witch Trials began in the year 1692 and concluded in 1693, in the colony of Salem, Massachusetts. The start of the trials began in the aftermath of King William’s War when refugees were funneled down into Salem creating a strain on the people and the economy in the town. This helped to spread the belief that all of the problems they were facing was the work of the devil. The Reverend Parris used the church of SalemShow MoreRelatedThe Controversy Of The Salem Witch Trials1380 Words   |  6 PagesThe Salem witchcraft hysteria started because of personal jealousies, it targeted those who went against puritan beliefs, and it was an explanation of all the weird things happening. The events which led to the Witch Trials actually occurred in what is now the town of Danvers, then a parish of Salem Town, known as Salem Village. Launching the hysteria was the bizarre, seemingly inexplicable behavior of two young girls; the daughter, Betty, and the niece, Abigail Williams, of the Salem VillageRead MoreThe Controversy Of The Salem Witch Trials Essay1555 Words   |  7 Pages The Salem Witch Trials have been sensationalized as of late, becoming a highly popular television show, and an event that many movies have been loosely based upon. Without doing the proper research, one would think that the trials were more violent than they became. There were no witches burning at the stake, or daily hangings, or drownings, but people of the time were frightened nonetheless. The acts of just a few key people drove a whole town to hysteria and fear. Throughout the trials over aRead MoreThe Controversy Of The Salem Witch Trials Essay1557 Words   |  7 Pagesan outbre ak of hysteria began in Salem, Massachusetts. 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Trials were held in Salem Village, Ipswich, Andover and Salem Town of Essex County of Massachusetts, but accusations of witchcraft occurred in surrounding counties as well. Nineteen of the accused, fourteen women and five men, were hanged at Gallows Hill near Salem Village. Hysteria had swept throughRead MoreThe Hysteria Of The Salem Witch Trials1366 Words   |  6 PagesWalter Kirn, an American novelist and literary critic, stated that ‘‘Everyone loves a witch hunt as long as it’s someone else’s witch being hunted.’’ (Web. Walter Kirn Quote) Although the Salem Witch Trials took place over 300 years ago, in 1692, and we claim that we have come a long way since then, the truth is we have not. The hysteria that took place during the witch trials occurred because people refused t o take responsibility for their actions. The same thing is happening in modern day AmericaRead MoreSalem Witch Trials975 Words   |  4 Pagespeople of Salem, Massachusetts, however they struggled to do so. Salem faced a major change as a result of the Puritan ambition. Because of their thought on the ideal community as a straitlaced society, those who portrayed an imperfect model were to be isolated. Suspicion flooded the holy Puritan town, and led to accusations of innocent people. After a close analysis, it may be relevant to look at the Puritan belief system as a possible catalyst for the events that occurred during the Salem witch trialsRead MoreThe Salem Witch Trials Essay1369 Words   |  6 PagesThe Salem Witch Trials The witch trials of the late 1600s were full of controversy and uncertainty. The Puritan town of Salem was home to most of these trials, and became the center of much attention in 1692. More than a hundred innocent people were found guilty of practicing witchcraft during these times, and our American government forced over a dozen to pay with their lives. The main reasons why the witch trials occurred were conflicts dealing with politics, religion, family, economicsRead MoreSuperstition, Panic, And Rumor1042 Words   |  5 Pagesspurred by religious zeal. While the actual trials may have only lasted for less than a year, Salem was indeed previously entrapped in a dangerous illusion of their own making for decades. Such as the nature of superstition and rumor, they curate an atmosphere of distrust, breeding paranoia because they are puzzles waiting to be fully realized. If they are not, then the paranoia only festers into madness and panic—growing anxiety. The divided colon y of Salem devolves into a dramatic opera of fabrications

Wednesday, May 6, 2020

Mac Flecknoe - 1091 Words

Sashanka S. Das, 4028, B.A. (H), English, IInd year Q. Write on John Dryden’s ‘Mac Flecknoe’ as a satire. A. John Dryden’s Mac Flecknoe, as part of his corpus of satirical verse, is a short piece, and not as overtly political as, say, Absalom and Achitophel. It does aim to censure through indirect ridicule rather than direct condemnation, but, being a censorious poem directed specifically at an individual subject, Dryden’s literary rival Thomas Shadwell, it seems more a lampoon, as defined in Samuel Johnson’s Dictionary, than a proper, high satire. The object of this essay will be, therefore, to locate Mac Flecknoe, in the tradition of late 17th-century satire. Mac Flecknoe revolves around the succession of Richard†¦show more content†¦Michael Seidel calls this assertion that â€Å"bad art is bad succession† the greatest satirical strength of Mac Flecknoe. The subtitle of the poem, which calls Shadwell a â€Å"True-Blew Protestant Poet†, introduces the issue of Protestant-Catholic tensions, and through association, makes radical Protest antism â€Å"a code for vulgar art†. The three main issues that Mac Flecknoe deals with are thus established to be literature, politics and religion. Dryden had idealized a satiric structure of one main argument, with others complementing it, in his Discourse Concerning the Origin and Progress of Satire, and so he makes Shadwell’s literary character the foremost concern of Mac Flecknoe, with the other two underlying it. The chosen idiom for its mockery is that of the mock-heroic; the familiar panegyric use of the heroic style is turned to satiric purposes. From the sententious opening couplet onward, the mock-heroic conception of the poem is clear. Dryden goes about â€Å"comparing small men to giants† – Flecknoe is compared to Augustus Caesar, John the Baptist and the prophet Elijah, and Shadwell to Arion, Ascanius, Romulus, Elisha and even Christ. These, and other instances of dignified, laudatory imagery, are used in the most undignified contexts, and as praises of the most unflattering characteristics. The use of the heroic couplet is central to this: its structure allows the sharp, ironical comparison of the solemn and theShow MoreRelatedImagery in Mac Flecknoe787 Words   |  4 PagesThe title of Dryden’s poem Mac Flecknoe initiates the theme of familiar succession thus presenting many father/son or successor pairs. The poem begins with a mock sentential in the ponderous, aphoristic manner of a heroic poetry, gradually unveils the pathetic monarch of â€Å"Nonsense Absolute†. The first four lines which open the poem are in the high style with a delicate Horatian irony controlling the mock heroic inversions of terms. In the opening twenty lines of the poem Dryden introduces the readersRead MoreMac Flecknoe as a Satire2412 Words   |  10 PagesWritten about 1678 and   published in 1682 Mac Flecknoe  (full title:  Mac Flecknoe; or, A satyr upon the True-Blew-Protestant Poet, T.S.[1]) is a verse  mock-hero ic  satire  written by  John Dryden. It is a direct attack on  Thomas Shadwell, another prominent poet of the time. As an English poet, John Dryden is classified as classic writer. When compared to romantic verses, Dryden’s poems, found lacking that love of nature. His verses are commonly simple. He loved to apply intellectual approach. BrowerRead More Similar Attitudes Toward Machinery, Language, and Substance in Wordsworth, Pope and Dryden1262 Words   |  6 PagesWordsworth, Pope and Dryden William Wordsworth’s â€Å"Preface to Lyrical Ballads† is from the Romantic Period of British literature, while Alexander Pope’s â€Å"The Rape of the Lock† and John Dryden’s â€Å"Mac Flecknoe† are both from the Neoclassical Period; â€Å"The Rape of the Lock† is from the Augustan Age, while â€Å"Mac Flecknoe† is from the Restoration (â€Å"Literary†). Despite these discrepancies in the time periods that their respective works were produced, however, Wordsworth, Pope, and Dryden express similar attitudesRead MoreThe Changing Face of Love in English Literature1528 Words   |  7 Pagesthe writings. The works of this time seem to center themselves upon more academic subjects. While Swift is very concerned with politics and social class, other authors are analyzing and satirizing the works of other authors, as Dryden does in â€Å"Mac Flecknoe† and as Pope accomplishes in â€Å"The Rape of the Lock† in whic h he satires the epic poem. The writers of this era have begun to write about writing and many of their works are nonfiction pieces. Unlike their predecessors, who created characters andRead MoreThe Age Of Dryden By Charles Dryden1323 Words   |  6 Pagesof others. Yet picking up a hint here reading between the lines there one can see what the temperament was that made this passion the thing by which he lived (dobree 289) Dryden s greatest achievements were in satiric verse: the mock-heroic Mac Flecknoe, a more personal product of his Laureate years, was a lampoon circulated in manuscript and an attack on the playwright Thomas Shadwell. Dryden s main goal in the work is to satirize Shadwell, ostensibly for his offenses against literature but

Tuesday, May 5, 2020

Value of Shareholders in Australian Institute of Company Directors

Question: Discuss asbout the Value of Shareholders in Australian Institute of Company Directors. Answer: Introduction: The Australian Institute of Company Directors (AICD) is a non-profit organization that is intended for directors. It is a founding member of the Global Network of Director Institutes (GNDI). AICD is said to have a business unit, which is international and includes seven divisions that are state level. The board of directors also includes national directors, divisional representatives, CEO, and MD. The AICD is said to provide excellent governance education and development for director role and advocacy thereby making a positive impact on the economy and society. This report discusses about the board of directors of AICD. The directors associated with this institute consider the shareholders more than they consider their stakeholders and thus this report will reference that fact by providing certain examples and explanations for implementing that idea. Discussion: Description of the organization: The AICD is a non-profit organization intended for directors. The origins of AICD track its course to the Institute of Director (IOD) in United Kingdom, which was formed in 1906 by the Royal Charter. AICD is said to have a business unit, which is international and includes seven divisions that are state level. The board of directors also includes national directors, divisional representatives, CEO, and MD (Ali, Ng Kulik, 2014). AICD members are based on six categories depending on their professional network, events and personal development. These categories include the affiliate, member, graduate member, and fellow, life fellow and international. The national organization AICD has seven territory and state divisions. The governing body of AICD is made up of 12 directors. The national office is in Sydney, Australia. It is made to deliver detailed courses and events. It also develops director issue policies and is responsible for publishing magazines on Company Directors and practice books. The office is also used to represent the views of the members nationally. Stakeholders: Stakeholders are individuals who show an interest in the activities of the company. They can be directly affected or affect the company. The basic stakeholders are the investors, employees and customers of the company (Torres et al., 2012). The modern theory also includes the community, trade activities and the government as the additional stakeholders. Stakeholders are either internal or external depending on their relationship with the company. If they are directly related to the company, which includes employment or investment, then they are internal stakeholders. If the stakeholders are not directly connected to the company, then they are called external stakeholders. They are the customers and the community. Shareholders: Shareholders are any individual, other company or institution that owns a minimum of one share of the company. As they are directly related to the stocks of the company, they will enjoy the benefit of increasing stock value during the good performance of the company (Kieschnick, Laplante Moussawi, 2013). In case the company performs poorly, the loss will also be shared with the shareholders. Shareholder rights allow them to inspect the records of the company and sue them during any misdeed recorded. They will also get a right to vote in case of any corporate policies. Perspective: In a market economy based country, organizations and companies work to get economic profitability. Though many people think that a company must have social responsibilities, responsibility and profitability should be combined for the success of the company. The shareholder perspective aims to think only about economic profitability (Gifford, 2012). They only think about the company as an instrument to generate profit. The success of the company is defined by share price, dividends and profit. They believe that companies should not focus on their social responsibilities but only focus on the means to generate profits. Thus, by pursuing the self-interests and by maintaining the relationship between the company and the stakeholders, targeting to shareholders need will help in maximizing the societal benefits. On the other hand, stakeholder perspective is aimed towards responsibility over profitability and aims to serve all parties equally (Fleischmann Stary, 2012). Stakeholder manageme nt is not instrumental but is normative which means that stakeholders do not see the company as a source of income but as a method to get shared benefits. By maintaining high level of trust among all parties, aiming the interests of all stakeholders equally can result in maximum societal health. Jack Welch once criticized that the shareholder interest model is a very dumb idea to be accepted by a firm (Chabrak, 2014). He believed that the employees, products and the customers who together form the stakeholders are most important in terms of priority than the shareholders. However, it is seen that to strive in the market, the capital gains of the company are the major driving force that will benefit the company more than the societal helps of the stakeholders. The interests other stakeholders get their rights from these organizations where the needs of the shareholders are also aligned. Thus, the interests of the stakeholders are reflected by the interests of the shareholders. The suppliers and the vendors are also considered in a same way. Any changes in the product cost that will reduce the cost incurred by the company will also be reflected by the vendors as well. The interests of the consumers or buyers are also taken into account, as they are the ultimate potential profit makers that help to grow the company (Hui, Klasa Yeung, 2012). The reputation of the company also helps to make a good relation while poor performance is reflected by affecting the relationship it makes. For example, the management of a professional sports team is relevant to the fan of that team. The teams are definitely indulged in making higher profits for themselves and to making strong relationship with their fans (Ksenne, 2014). This is the reason why they care about their fans who would buy their merchandises by making them more customer centered. In a similar way, they also think about their fans by broadcasting their matches in the television and radio so that their fans will enjoy the matches. These fans are the stakeholders who do not have a direct decision-making power on the team but will have reflected desires by the decisions made by the team. Disadvantages of stakeholder perspectives: Thus, it can be seen as the stakeholder rights precedes the shareholder rights where the decisions are imposed over the decision of the owner. In case of any violation of the shareholder policies, stakeholders often turn to aggression or violence to claim their rights (Jones Harris, 2012). The claims of the stakeholders beyond necessary are termed as Ex Post. They wait for the proposition of a valuable policy by the shareholder and then try to leverage themselves to that policy even if they had no contribution for that policy. The claims of the stakeholders are one-sided. These asymmetrical claims makes the stakeholders claim their rights of decision making over the owners or the leaders. However, in theories it can also be stated that the company will have equal decision-making rights over the stakeholders. The stakeholder approach also decreases the profitability of the evaluation of the managers (Erman, 2012). In places of submitting works that enhances and protects the shareholder rights, the managers often work by siding with the stakeholders to protect their rights. This unjust way of working not only allows the managers to survive in the business inefficiently but also makes them to see themselves as business representatives or philanthropists. By considering both the approaches of the policyholders, the approaches seem to have several flaws to make it less persuasive. For the shareholder perspective, it is not true to state the fact they are the only person to claim the rights in a company, especially during good performance. They are not the sole reason of success made by the company by providing capital investment, the employees and suppliers have suffered for every performances of the company. For the stakeholder approach, the main problem lies with power balancing during conflicts. The stakeholders often consider the company responsible for any policies implemented and this is the sole reason for not getting acceptance by the company. Separate legal entity: A separate legal entity is an individual with unattached accountability. A business can be run as a separate legal entity to separate it from its owner. If a business exists as a separate legal entity, then they will enjoy their rights as an individual (Chaddad, 2012). This means that they will be able to get ownership or sue rightfully. This doctrine came into light with Salomon v Salomon (1897). Many executives all over the world believe that a company needs to accept the shareholder rights above all. A research made on the boards duty to accept shareholder perspective is rejected in many countries. Working as a separate legal entity, the main objectives is to survive and to thrive. Shareholders are said to be the outcome of a decision and not the objective. While shareholders invest large capital in the company, they are just a part of the whole audience of the company involved in business (Napoli, 2012). The audiences mainly include the stakeholders that may range from financial like bondholders to non-financial like employees, suppliers and customers. During times of financial crisis and limited resources, the directors of the company must take actions, which take into consideration the outcomes affecting these audiences. Duties of an organization: In some countries like the United States, the duty of the director to separate corporate persons is equal to the shareholder duty. In some countries like the Brazil, the duty includes the obligations to stakeholders who are non-financial (Burke, 2017). The board of a company has many obligations to their audiences and thus it is required for a companys board issue the Statement (Statement of Significant Audiences and Materiality) annually regarding their perceived audiences. These include those who are relevant as well as those who are not relevant to the board. These audiences may include employees, shareholders, bondholders and organizations representing the society. The Statement allows the board to think of their material issues and its addressing to the intended audiences over a period. The benefits are intended for corporate reports in material issues (Eccles, Youmans, 2016). For example, if a company decides that the most significant audience are the short-term shareholders, then the material issues are only those issues that addresses the short term results. The developing need to make a statement to know the financial and non-financial aspects made many companies adapt to these needs by making Statements. For example, the management board of Aegon, a Dutch insurance company, is the first one to complete the Statement (Strau, Vliegenthart Verhoeven, 2016). It includes several aspects including the financial and non-financial ones and its impact on various stakeholders. Their Statement made the role of the company clear in the society concerned and made the stakeholders realize their role in the company. Advantages of having shareholders: The most important advantages for a company to have shareholders are the gaining of capital investment. Companies need capital investments to do business properly. Small companies who need regular equity investments require the presence of shareholders. The shareholders are likely to take risks regarding certain investments that bank or bondholders will not (Kieschnick, Laplante Moussawi, 2013). For a public traded organization, capital requirement is not always met by shareholders but the liquidity provided in the market. Although, the presence of buy and sell share marketers is a good thing to get funds, the most can be made by short-term investors. The shareholders are also occupied in providing information to the directors of the company regarding the stock market (Collier, 2015). Shareholders who are too involved in the market about the prices provide adequate data that will help them to get results by implementing them. However, the price of the stock in the market does not always remain constant and there comes a time where intended price of the stock becomes different. For example, there is evidence that a group of companies whose stock prices dropped suddenly in the market after the naming of a new CEO. Recommendations: The Enlightened Shareholder Value (ESV) is a concept that is followed by a company that is based on siding with the shareholder perspective and devoting themselves to the success of the company (Keay, 2012). This approach has been successfully implemented by many companies across the globe. The ESV approach was adopted in the Companies Act (2006) after the inclusion in the Company Law Reform Bill in 2005. In the section 172(1), it is clearly stated that the companies need to act in a way to interest the ways of the shareholders. Thus, it can be said that the ESV approach provides societal benefits to a company as the company implementing this approach is also considering the ways of giving success to other groups called shareholders. The company also is considered to make effective corporate decisions. Thus, the ESV approach is said to combine the shareholder perspective with the stakeholder theories. Conclusion: The control of shareholders on corporations is followed by accepting the private property rights and by living up to the contractual requirements. The firms or corporations need to live up to their contractual requirements to the shareholders as well as the customers, employees and suppliers, which will help in benefitting of all of them. An organization must think about those resources that are the most influential in their business. The most important resources may be the stakeholders or shareholders, which can be determined by adopting various approaches. Considering all of the above points mentioned in the report, it is not possible to determine the most important aspect in an organization. Stakeholders are obviously the most import part in the company at certain times but it does not mean that they will be important every time. However, the shareholders are definitely the right choice as the company gets their main reasons of success through funding from them, which helps them to grow their business and get new stakeholders. References: Ali, M., Ng, Y. L., Kulik, C. T. (2014). Board age and gender diversity: A test of competing linear and curvilinear predictions.Journal of Business Ethics,125(3), 497-512. Burke, W. W. (2017).Organization change: Theory and practice. Sage Publications. Chabrak, N. (2014). The shareholder value mythology and the market communion.Law and Financial Markets Review,8(1), 27-38. Chaddad, F. (2012). Advancing the theory of the cooperative organization: the cooperative as a true hybrid.Annals of Public and Cooperative Economics,83(4), 445-461. Collier, P. M. (2015).Accounting for managers: Interpreting accounting information for decision making. John Wiley Sons. Eccles, R. G., Youmans, T. (2016). Materiality in Corporate Governance: The Statement of Significant Audiences and Materiality.Journal of Applied Corporate Finance,28(2), 39-46. Erman, E. (2012). Unsettling Stakeholders: Deliberative Governance and Problems of Democratic Agency.European Journal of International Relations, 1354066111426622. Fleischmann, A., Stary, C. (2012). Whom to talk to? A stakeholder perspective on business process development.Universal Access in the Information Society,11(2), 125-150. Gifford, J. (2012). Effective shareholder engagement: The factors that contribute to shareholder salience. InThe next generation of responsible investing(pp. 83-106). Springer Netherlands. Hui, K. W., Klasa, S., Yeung, P. E. (2012). Corporate suppliers and customers and accounting conservatism.Journal of Accounting and Economics,53(1), 115-135. Jones, F., Harris, S. (2012). Benefits and drawbacks of using multiple instructors to teach single courses.College Teaching,60(4), 132-139. Keay, A. (2012).The enlightened shareholder value principle and corporate governance. Routledge. Ksenne, S. (2014).The Economic Theory of Professional Team Sports: An Analytical Treatment _. Edward Elgar Publishing. Kieschnick, R., Laplante, M., Moussawi, R. (2013). Working capital management and shareholders wealth.Review of Finance,17(5), 1827-1852. Kieschnick, R., Laplante, M., Moussawi, R. (2013). Working capital management and shareholders wealth.Review of Finance,17(5), 1827-1852. Napoli, P. M. (2012).Audience economics: Media institutions and the audience marketplace. Columbia University Press. Strau, N., Vliegenthart, R., Verhoeven, P. (2016). Lagging behind? Emotions in newspaper articles and stock market prices in the Netherlands.Public Relations Review,42(4), 548-555. Torres, A., Bijmolt, T. H., Trib, J. A., Verhoef, P. (2012). Generating global brand equity through corporate social responsibility to key stakeholders.International Journal of Research in Marketing,29(1), 13-24.

Saturday, April 4, 2020

Sexism is a very controversial topic in our countr Essays - Feminism

Sexism is a very controversial topic in our country and all over the world. It was believed that sexism was typically against women, however with feminists on the rise, men are becoming victims of sexism too. Researchers (Russell and Oswald, 2016) found that past studies have focused primarily on prevalence, incidence and attitudinal correlates of male-to- female harassment. However, it is less known about the number of men that have been sexually harassed. The Equal Employment Opportunity Commission (EEOC) has recorded increasing rates of men's claims of sexual harassment over the past fifteen years from 11.6% in 1997 to 16.3% in 2011. Male harassment continues to be a lesser known occurrence but these targeted men are equally as devastated (Russell and Oswald, 2016). Sexism is huge when it comes to marketing and the media. More specifically women, but also men, tend to look a certain way in advertisements. Women are very tall, skinny, tanned skin, long silky hair, and usually wearing something provocative. Similarly, men usually are shirtless having very large muscles, a defined abdomen, and tanned skin. Researchers (Plakoyiannaki, Mathioudaki, Dimitratos, and Zotos 2008) found that advertised images from the internet may act as agents that reinforce societal norms regarding gender equality and depiction of sexuality. This claim confirms that online advertising bestows consumers with an identity by communicating role stereotypes of women. These stereotypes are also a matter of discussion in advertising in television and print ads, where body images are distorted and accepted as normal. This is a primary means for introducing female role stereotypes and promoting sexism. Gender identities are socially constructed and advertising suggests forms of self- presentation that people use to define their roles in society (Plakoyiannaki et al., 2008). Even in other countries, sexism is still around. In Italy, (Piano, Marino, Brustia, and Rolle 2014) the women do not suffer from any form of deficiencies, as in living conditions, education, or health care, however they lack opportunity. Females born in Italy do not have the power to express their thoughts and actions. Their opportunity to control their own lives are lower than if Italy was a country with a real social equality. With much research over the last century, women today have exceeded men in education and training, however they are still very much excluded from the opportunities to hold power. Women are clearly underrepresented and under the mark of gender stereotypes when it comes to career opportunities. Even women who study more and are more active in the labour market remain a quarter compared to men, especially in management positions (Piano, Marino, Brustia, and Rolle 2014). There are Spanish organizations that have been focusing on the problems of sex discrimination and gender equality (Royo- Vela, Aldas-Manzano, Kuster, and Vila 2008). Men were typically known as the "bread winners" but this has been greatly modified due to women's effect of decision making. Because of this, it's important that cultural portrayals are kept up with societal changes. At the end of last century, Spanish women had a high unemployment rate which highlights that taking care of the family at home continued to be a woman's responsibility. However, the last two decades have had notable changes in that there was a departure from the traditional family model. These changes were due to both men and women having easier access to educational facilities (Royo- Vela, Aldas-Manzano, Kuster, and Vila 2008). It has been noted that there is sexism towards men, sexism in marketing and the media, sexism in other countries, however the only thing more controversial than sexism itself, is sexism in the workplace. Women have gone from stay-at-home-mothers to lawyers, doctors, police officers, and have even ran for president of the United States. Though, are women being properly compensated for all of their hardwork? Researchers (Fraser, Osborne, and Sibley 2015) found that in 2011 the average gender pay gap estimated at 14.8% which is equivalent to women earning 85 cents for every dollar men earn. Furthermore, it's been reviewed that women are still viewed as incompetent in the workplace compared to their male equivalent. This sexist stereotype hinders women's ability to advance in what is typically male-dominated fields. This discrimination against women in the workplace is an occurrence that greatly delays the chance for a world with gender equality (Fraser, Osborne, and Sibley 2015). As stated, sexism is a very controversial topic. The purpose of this research project is to investigate the effects of sexism by creating a scale to measure sexism. It was predicted that males would probably score higher on the scale than females, but would

Sunday, March 8, 2020

FDR vs. Hoover essays

FDR vs. Hoover essays Was the Colonial Period aGolden Age? for Women in America? In general when one hears the wordscolony? andwomen? in the same sentence, one conjures up an image of a lowly, meek she-slave silently churning butter in the corner. Quite contrary to popular belief, it appears that women in colonial America did possess somewhat of a more important status than did their English contemporaries back home. However, anothre aopinion may argue that women, no matter race, were bound to their domestic lives of arduous, fatiguing work. Although I understand the first argument, I correspond better with the idea that the colonial period indeed was a time of independence and free will for women in America. The first opinion unflinchingly argues that sixteenth and seventeenth century, colonial women of various races all shared the same secondary, subservient positions in which they were confined to household duties, secluded from the company of other women, and denied any real opportunities of education or a voice in politics. Back then a woman's sole concerns were food preservation and cloth production, aside from cooking, cleaning, and washing. The more affluent women with servants didn't have to engage in such grueling labor, but they still had to know how to perform certain duties in order to make sure they were done correctly. Additionally, women had to make cloth by hand, a long and boring process involving spinning wool or flax threads, then weaving it into material for clothing. Women of other races had similar responsibilities; Native American women also made clothing by tanning and processing the hides of slaughtered animals. African women probably had the worst end of the deal, in that they were subservient to their white masters (which included white men, women, and even children) and were more likely to labor outdoors. Their labor ranged from being a cook or a maid to working in both field and house. Another issue affecting both whi...

Friday, February 21, 2020

Economic Impacts of the Multi Fibre Agreement expiration in the EU Essay

Economic Impacts of the Multi Fibre Agreement expiration in the EU Countries - Essay Example The essay focuses on the economic side of the MFA expiration, while examining the importance of international trade and the use of protectionist policies in a globalized world. The concept of aggregate demand and supply is used to measure the impact of the changes on products and factors in the textile market. The essay also considers European protectionist measures that can be taken in the nearest future. The essay presents different cases, where other forms of protectionism have been created in developed countries especially in the European Union and the gap between beneficiary and non beneficiary developing countries of the opening of the international textile market. The WTO admitted that the MFA was a special regime outside the GATT rules and that WTO members have committed to remove those quotas by 1st January 2005. Nevertheless, the MFA was not negative for all countries. The US, for example, imposed no restrictions on imports from the poorest countries like Bangladesh, benefiting to a massive expansion of the textile industry there. Since the end of the quotas, the gap between developed and developing countries is not very clear. When some could believe that the dismantling of the MFA could have been a relief and a real opportunity for Southern countries, it appears that the situation is much more complex. There is one main reason for the difficulties facing the textile market within developing countries: competition. Each of developing countries wants to be part of this profitable business. ... ist policies and we will use the concept of aggregate demand and supply to measure the impact of the changes on products and factors in the textile market. I. The consequences of the end of the MFA. 1. Among developing countries. Since the end of the quotas, the gap between developed and developing countries is not very clear. When some could believe that the dismantling of the MFA could have been a relief and a real opportunity for Southern countries, it appears that the situation is much more complex. There is one main reason for the difficulties facing the textile market within developing countries: competition. As the international market is now wide open, each developing countries wants to be part of this profitable business. However, not all of them can compete with giants like China. According to apublication from the OECD "A New World Map in Textiles and Clothing" when the MFA was still in place, smaller developing countries took advantage of the quotas because this system penalised the more competitive suppliers. When the quotas from a country like China was reached, importers turned to less competitive suppliers located in countries that had spare export quotas and whose only advantage was low wage. Today, the less competitive developing countries re not called as back up because countries willing to import textile can only be supplied by one and only exporter, the most competitive: China. As we stated before, the main issue here is competition. What separates China from other developing countries id not only the competitive advantages of low wages. In "China Shows the Way in a Quota-Free Market", Linda Lim presents six competitive advantages that China has over the other developing countries: First, Chinese workers are much more productive, probably

Wednesday, February 5, 2020

Difference between void contracts and voidable contracts Assignment

Difference between void contracts and voidable contracts - Assignment Example Voidable contract is a form of valid contract where all the four essential elements of a contract are present. According to Cross and Miller (2011, p. 752), a voidable contract is a contract which might be â€Å"legally avoided (canceled, or annulled) at the option of one of the parties.† In more generalized sense, the party/parties having the option to avoid the contract can avoid the contract altogether. Otherwise, they can also select which contractual duty is to be avoided. However, there is a process of ratification. If the contract is ratified by the contracting parties, then even a voidable contract will become strictly enforceable. Firstly, void contracts are itself a category of contracts. But voidable contracts are a subcategory of valid contracts. Secondly, void contracts are no contracts at all. However, voidable contracts are strictly enforceable contracts once they are ratified by the contracting parties. Thirdly, a void contract can never have all the four essential contractual elements in it. For example, if the element of consideration be missing in a contract, then that contract can be deemed as a void contract. However, this is not the case with voidable contracts. A voidable contract has all the four essential contractual elements in it 1. Suppose, A and B sign a contract on dealership of cannabis. However, selling or buying cannabis is banned in the US. So this kind of contract is a void contract since it violates law. (Schaffer, Agusti, and Earle 2008) 2. Suppose, A and B sign a contract to build a resort on an island in an active delta area. After a few days, there is a flood and the island is completely submerged under sea. Then, the contract between A and B will become void since the object of the contract cannot be achieved

Tuesday, January 28, 2020

Helicobacter Pylori Infection and Carcinoma of the Larynx

Helicobacter Pylori Infection and Carcinoma of the Larynx Association between helicobacter pylori infection and carcinoma of the larynx or pharynx JIAN ZHOU, DUO ZHANG, YUE YANG, LIANG ZHOU LEI TAO   Abstract: Background: Infection with Helicobacter pylori (H. pylori) plays a role in the development of gastric carcinoma. However, there is controversy as to whether H. pylori infection increases laryngeal or pharyngeal cancers. Methods: We managed a systematic review of researches related to H. pylori infection in laryngeal or pharyngeal carcinomas, distributed up to December 2014. Odds ratios (ORs) and 95% confidence intervals (CIs) were assessed by random effects models or  according to heterogeneity I2. Results: Eleven studies were involved in the meta-analysis. Overall, H. pylori infection was significantly higher in the study group compared with the normal control group (OR = 2.87; 95% CI = 1.71-4.84, I2 = 67.1, P 2 = 58, P Conclusion: This study supported the proposition that Infection with H. pylori was related to laryngeal carcinoma, specifically in the hospital-based control group and diagnosed by PCR or ELISA. Nevertheless, no significant relationship was discovered between H. pylori infection and pharyngeal cancer. Keywords: Helicobacter pylori, laryngeal cancer, pharynx cancer Introduction: Laryngeal carcinoma is one of the common malignancies of the upper aerodigestive tract. It accounts for 25% of all the carcinomas of the head and neck and 2-3% of the carcinomas of the entire body [1]. Tobacco smoking and alcohol consuming are major risk factors for laryngeal and pharyngeal cancer. The other risk factors for instance, microbes, viruses, occupational exposures, gastroesophageal reflux, and genetic inheritance have also been associated with the malignancy [2]. It has been verified that H. pylori has an important effect on the pathogenesis of duodenal and gastric ulcers, chronic gastritis, gastric lymphoma, and adenocarcinoma [3]. H. pylori immigration in the upper aerodigestive zone was proved by a previous study [4].There are some articles studying the association between H. pylori and laryngeal malignancy, the outcomes of which are still conflicting [5–11]. The purpose of this meta-analysis study is to determine whether H. pylori infection is related to cancers of the larynx and pharynx by summarizing proof from published studies. Material and methods Literature search We made a systematic literature search in Web of Knowledge, PubMed, and Embase for articles published up to December, 2014 by means of related keywords and combinations thereof: for instance, ‘laryngeal cancer,’ ‘larynx carcinoma,’ ‘pharyngeal cancer,’ ‘pharynx carcinoma,’ and ‘helicobacter pylori’. We followed PRISMA (Preferred Reporting Items for Systematic Reviews and Meta-Analyses) strategies. Inclusion and exclusion standards Inclusion standards were the following: (1) diagnoses of laryngeal or pharyngeal cancer, and sources of cases and controls, (2) clear evaluation of the relationship of malignances of the pharynx or larynx with H. pylori infection, (3) satisfactory data for pharyngeal or laryngeal carcinoma cases as well as controls, (4) unequivocal information on the H. pylori detection method used, (5) most updated and latest version of published articles. Exclusion standards were the following: (1) case reports, review articles, and studies not in English, and involving patients with benign sickness, (2) uncontrolled studies, (3) cohort studies, (4) animal studies, (5) and manifold articles providing outcomes from the same study. Data extraction The subsequent data were collected from every qualified article: first author’s surname, publication year, city and country of source, amount and type of controls, means of identification of H. pylori, and cases related to smoking or drinking, correspondingly. All studies were studied independently by two authors, and based on consensus. Statistical analysis Meta-analysis was managed using the random fixed effect model to pool individual study evaluations into an overall summary estimate of the associations between H. pylori infection and laryngeal cancer (or pharyngeal cancer). The results were given by 95% confidence interval (CI) and odds ratio (OR). The significance of the OR was decided by the Z test and p 2 was used to evaluate the heterogeneity between studies. Subsequently, stratified analyses were carried out with regarding to the features of the study (type of carcinoma, sources of controls, methods of diagnosis of H. pylori, and sample sizes). We assessed publication bias with Begg’s funnel plot. The random effects model introduces additional variation across diverse studies. We used the Stata 12.0 (Stata Corporation, College Station, TX, USA) to complete wholly statistical analyses. Results Study characteristics As displayed in Figure1, we identified 177 studies by database searches, with 57 containing overlapping details. After subsequent initial screening of the abstracts, 22 entitled articles were selected. Among these 22 studies, two articles were removed owing to absence of controls, and eight were short of necessary statistics. Lastly, 11 articles were involved in this study. Designated characteristics of cases and controls are displayed in Table I. All articles were retrospective in scope. The carcinoma cases were primarily confirmed histologically. Seven researches addressed laryngeal carcinoma alone, and four researches addressed laryngeal cancer or pharyngeal cancer. Hospital-based controls were involved in seven researches, population-based controls were used in two researches and clinic-based controls were included in two researches. The technique of identification of H. pylori varies with authors. Meta-analysis Generally, comparison of H. pylori infection for laryngeal cancer against a local control was statistically significant and favoured laryngeal cancer (OR = 2.87; 95% CI = 1.71-4.84, I2 = 67.1, random effects mode). Table II showed the separate risk assessments of researches assessed in meta-analysis. Selected researches supplied full data on H. pylori infection, by carcinomas, sources of controls, H. pylori diagnosis, and sample magnitude. The results of analyses stratified with these aspects were presented in Table II. Once stratifying for carcinomas, the pooled ORs for laryngeal cancer were 3.28 (95% CI =1.91-5.63; I2 = 58, random effects model) and 1.35 (95% CI = 0.86-2.12; I2 = 0, random effects model) for pharyngeal carcinoma. In the subcategory analysis founded on the basis of controls, significant relations were detected in the hospital-based researches (OR = 3.31; 95% CI =1.49-7.35; I2 =68.2, random effects model) and in the clinic-based researches (OR =2.60; 95% CI = 1.00-6. 76; I2 = 62.1, random effects model), but not in the population-based researches (OR = 2.05; 95% CI = 0.70-5.91, random effects models). Significant relations were also detected in the different ways of identifying of H. pylori infection and sample magnitude. In both overall and subcategory analyses, I2 values were 50% or greater and related p values were Sensitivity analysis and publication bias No publication bias was evident (Figure 2) in meta-analyses of the association between H. pylori and risk of laryngeal or pharyngeal carcinoma, this was established on the basis of Begg’s rank correlation test and Egger’s regression test (Begg’s test, p = 0.876; Egger’s test, p = 0.615). We researched the influence of a single study on the whole meta-analysis assessment. Figure 3 shows the outcomes of this study, in which the meta-analysis estimates were computed omitting one study at a time. The results show that the corresponding pooled ORs were not essentially changed, demonstrating that our results were statistically forceful. Discussion The impact of H. pylori in the pathogenesis of chronic illnesses and cancer of the digestive regions is well acknowledged [20, 21]. H. pylori infection has a prevalence of up to 90% in underdeveloped countries and around 30% in developed countries [22]. The potential for damaging epithelial and mucosal obstacles and inflammation could lead to chronic harm and epithelial cell proliferation resulting in larynx pathology [23, 24]. The possible relationship between H. pylori infection and carcinomas of the larynx or pharynx has been an source of argument for decades. Numerous studies have been performed to demonstrate this cause-and-effect association. This study combined formerly published data related to the association between H. pylori infection and cancers of the larynx(or pharynx) into a terse assessment of influence. The risk of developing laryngeal cancer is 2.87 times higher for the people infected with H. pylori, than for the control group (95% CI:1.71-4.84, P A previous (2008) meta-analysis of five studies showed that the risk of developing laryngeal carcinoma is two times higher for the people infected with H. pylori, than for those in the control group [23], providing an indication that H. pylori infection may be related to an increased risk of laryngeal(or pharynx) carcinoma. Our research studied and analysed the outcomes of 11 researches. Once the study was stratified by category of carcinoma, there is a higher rate of laryngeal cancer among patients infected with H. pylori than among the general population (OR =3.28, 95% CI = 1.91-5.63). No significant relationship was discovered in pharyngeal cancer, signifying that patients are perhaps more susceptible to laryngeal than pharyngeal neoplasm, or that the small number of pharyngeal cancer patients in this study resulted in such a result. Hospital-based researches (OR = 3.31, 95% CI = 1.49-7.35) reported a higher frequency of H. pylori infection than clinic-based researches (OR =2.60, 95% CI =1.00-6.76). No significant relationship was discovered in population-based controls (OR = 2.05, 95% CI =0.70-5.91, Table II). In the subcategory investigation by sample magnitude, the deviation of the pooled OR in large sample sizes (number of controls and cases≠¥50) was smaller compared to small-sized sets, signifying that a large sample size with adequate power was an essen tial to the strategy of meta-analysis. After the study was stratified by H. pylori diagnosis, we found that the best method for detection of H. pylori in the larynx (or pharynx) tissue is PCR with high specificity and sensitivity (OR=7.03, 95% CI = 4.19-11.79). This finding is similar to the research of Gong [16]. A well-controlled large-scale prospective study is important to completely realize the fundamental relationship between carcinomas of the larynx (or pharynx) and H. pylori infection. Finally, a number of important limitations need to be considered. Firstly, researches involved in this meta-analysis were published in English only, signifying that a possible language bias existed. Secondly, evident heterogeneity was detected in involved researches. Thirdly, the influence of smoking and alcohol consumption on H. pylori and laryngeal carcinoma was not removed from our study. Nevertheless, it is uncertain whether the H. pylori infection was causal or related to the tobacco and alcohol consumption among most malignancy patients. Fourthly, wholly studies were case-control researches, which are responsive to recall and information and selection bias, and this may influence the outcomes of the present research. Conclusion This meta-analysis favours the suggestion that H. pylori infection is related to laryngeal carcinoma, specifically in hospital-based control researches and when diagnosed by PCR and ELISA. Nevertheless, no significant relationship was found between H. pylori infection and pharyngeal cancer. Furthermore, the small number of studies involved in this study led to a large CI in this assessment. Acknowledgments This work was supported by the National Natural Science Foundation of China (grant no. 30801283), the Technology Project of Shanghai (grant nos 09QA1401000, 10QA1405900 and 14411961900), Shanghai’s Health System of Talents Training Plan (grant nos XYQ2011055 and XYQ2011015). Declaration of interest: The authors report no conflicts of interest. The authors alone are responsible for the content and writing of the paper. References [1] Koufman J A, Burke A J. The etiology and pathogenesis of laryngeal carcinoma[J]. Otolaryngologic clinics of North America, 1997, 30(1): 1-19. [2] Tutar H, Erdamar H, Kà ¶ybaÃ…Å ¸ioÄÅ ¸lu A, et al. Can bile acids be an etiological factor for laryngeal carcinoma?[J]. ORL; journal for oto-rhino-laryngology and its related specialties, 2010, 73(3): 156-161. [3] Malfertheiner P, Megraud F, OMorain C A, et al. Management of Helicobacter pylori infection—the Maastricht IV/Florence consensus report[J]. Gut, 2012, 61(5): 646-664. [4] Yokoyama A, Yokoyama T, Omori T, et al. Helicobacter pylori, chronic atrophic gastritis, inactive aldehyde dehydrogenaseà ¢Ã¢â€š ¬Ã‚ 2, macrocytosis and multiple upper aerodigestive tract cancers and the risk for gastric cancer in alcoholic Japanese men[J]. Journal of gastroenterology and hepatology, 2007, 22(2): 210-217. [5] Akbayir N, BaÃ…Å ¸ak T, Seven H, et al. Investigation of Helicobacter pylori colonization in laryngeal neoplasia[J]. European Archives of Oto-Rhino-Laryngology and Head Neck, 2005, 262(3): 170-172. [6] Aygenc E, Selcuk A, Celikkanat S, et al. The role of Helicobacter pylori infection in the cause of squamous cell carcinoma of the larynx[J]. OtolaryngologyHead and Neck Surgery, 2001, 125(5): 520-521. [7] Borkowski G, Sudhoff H, Koslowski F, et al. A possible role of Helicobacter pylori infection in the etiology of chronic laryngitis[J]. European archives of oto-rhino-laryngology, 1997, 254(9-10): 481-482. [8] Grandis J R, Perezà ¢Ã¢â€š ¬Ã‚ Perez G I, Yu V L, et al. Lack of serologic evidence for Helicobacter pylori infection in head and neck cancer[J]. Head neck, 1997, 19(3): 216-218. [9] Aydind A K L S A, Kalcioglua M T, Aydinb O O N E. Histopathologic examination for Helicobacter pylori as a possible etiopathogenic factor in laryngeal carcinoma[J]. Chemotherapy, 2006, 52: 80-82. [10] Rubin J S, Benjamin E, Prior A, et al. The prevalence of Helicobacter pylori infection in malignant and premalignant conditions of the head and neck[J]. The Journal of Laryngology Otology, 2003, 117(02): 118-121. [11] Titiz A, Ozcakir O, Ceyhan S, et al. The presence of Helicobacter pylori in the larynx pathologies[J]. Auris Nasus Larynx, 2008, 35(4): 534-538. [12]Guilemany J M, Langdon C, Ballesteros F, et al. Prognostic significance and association of Helicobacter pylori infection in pharyngolaryngeal cancer[J]. European Archives of Oto-Rhino-Laryngology, 2014, 271(9): 2539-2543. [13]Fellmann J, Weisert J U, Soltermann A, et al. Helicobacter pylori detected in pharyngeal and laryngeal pathologies in patients with proven gastric colonization[J]. Head neck, 2014, 36(11): 1562-1566. [14]Genà § R, ÇaÄÅ ¸lÄ ± S, Yà ¼ce Ä °, et al. The Role of H. pylori in the Development of Laryngeal Squamous Cell Carcinoma[J]. Disease markers, 2013, 35(5): 447-449. [15] Siupsinskiene N, Jurgutaviciute V, Katutiene I, et al. Helicobacter pylori infection in laryngeal diseases[J]. European Archives of Oto-Rhino-Laryngology, 2013, 270(8): 2283-2288. [16] Gong H, Shi Y, Zhou L, et al. Helicobacter pylori infection of the larynx may be an emerging risk factor for laryngeal squamous cell carcinoma[J]. Clinical and Translational Oncology, 2012, 14(12): 905-910. [17] Shi Y, Gong H, Zhou L, et al. Association between Helicobacter pylori infection and laryngeal squamous cell carcinoma in a Chinese male population[J]. ORL; journal for oto-rhino-laryngology and its related specialties, 2010, 73(6): 295-300. [18] Pirzadeh A, Doustmohammadian N, Khoshbaten M, et al. Is there any association between Helicobacter Pylori infection and laryngeal carcinoma[J]. Asian Pac J Cancer Prev, 2011, 12(4): 897-900. [19] Nurgalieva Z Z, Graham D Y, Dahlstrom K R, et al. A pilot study of Helicobacter pylori infection and risk of laryngopharyngeal cancer[J]. Head neck, 2005, 27(1): 22-27. [20] Selbach M, Moese S, Backert S, et al. The Helicobacter pylori CagA protein induces tyrosine dephosphorylation of ezrin[J]. Proteomics, 2004, 4(10): 2961-2968. [21] Hou P, Tu Z X, Xu G M, et al. Helicobacter pylori vacA genotypes and cagA status and their relationship to associated diseases[J]. World Journal of Gastroenterology, 2000, 6(4): 605-607. [22] Harrisons principles of internal medicine [M]. New York: McGraw-Hill Medical, 2008. [23] Zhuo X L, Wang Y, Zhuo W L, et al. Possible association of Helicobacter pylori infection with laryngeal cancer risk: an evidence-based meta-analysis[J]. Archives of medical research, 2008, 39(6): 625-628. [24] Ozyurt M, Gungor A, Ergunay K, et al. Real-time PCR detection of Helicobacter pylori and virulence-associated cagA in nasal polyps and laryngeal disorders[J]. Otolaryngology-Head and Neck Surgery, 2009, 141(1): 131-135.

Sunday, January 19, 2020

A Separate Peace - Symbolism Essays -- essays research papers fc

In John Knowle’s A Separate Peace, symbols are used to develop and advance the themes of the novel. One theme is the lack of an awareness of the real world among the students who attend the Devon Academy. The war is a symbol of the "real world", from which the boys exclude themselves. It is as if the boys are in their own little world or bubble secluded from the outside world and everyone else. Along with their friends, Gene and Finny play games and joke about the war instead of taking it seriously and preparing for it. Finny organizes the Winter Carnival, invents the game of Blitz Ball, and encourages his friends to have a snowball fight. When Gene looks back on that day of the Winter Carnival, he says, "---it was this liberation we had torn from the gray encroachments of 1943, the escape we had concocted, this afternoon of momentary, illusory, special and separate peace" (Knowles, 832). As he watches the snowball fight, Gene thinks to himself, "There they all were now, the cream of the school, the lights and leaders of the senior class, with their high IQs and expensive shoes, as Brinker had said, pasting each other with snowballs"(843). Another of the principal themes in this novel is the theme of maturity. The two rivers that are part of the Devon School property symbolize how Gene and Finny grow up through the course of the novel. The Devon River is preferred by the students because it is above the dam and contains clean water. It is a symbol of childhood and innocence because it is safe and simple. It is preferred which shows how the boys choose to hold onto their youth instead of growing up. The Naguamsett is the disgustingly dirty river which symbolizes adulthood because of its complexity. The two rivers intermingle showing the boys’ changes from immature individuals to slightly older and wiser men. Sooner or later, Gene and Phineas, who at the beginning of the novel are extremely immature, have to face reality. Signs of their maturity appear when the boys have a serious conversation about Finny’s accident. Finny realizes that Gene did shake the tree limb purposely so that he would fall. However, he knows that this action was spontaneous, and that Gene never meant to cause him life-long grief. Finny sympathetically says to his best friend, "Something just seized you. It wasn’t anything you really felt against ... ...iendship between Gene and Phineas is amidst themes such as lack of reality, low maturity levels, and false appearances. Their relationship deteriorates and leads to death because they fail to learn these valuable life lessons. The purpose of Knowles’ novel is to exaggerate the life of two young boys to the extreme in order to reveal the unfortunate things that can occur in a relationship when these themes are not taken seriously. As stated in Magill’s Survey of American Literature, "It (A Separate Peace) can be viewed, for example, as a tale of Original Sin, with the Devon School as an Eden enclosing the great Tree of Knowledge through which humankind falls far from innocence but is redeemed by the suffering of a totally innocent one. It may also be approached as a reworking of the classic tale of the need to accept the potential evil within everyone and thus make peace with one’s self." BIBLIOGRAPHY "A Separate Peace." Magill’s Survey of American Literature, Vol. 3. New York: Marshall Cavendish Corp., 1993. Beacham’s Guide to Literature for Young Adults, Vol. 3, pages 1186- 1192. Knowles, John. A Separate Peace. Prentice-Hall Literature, Platinum, 1996 ed.

Saturday, January 11, 2020

City and Country Living

City living and country living have a wide range of differences and similarities but every day new people enter each and call it there home. When living in the city you are an on-the go kind of person and enjoy the world at a fast pace. In comparison to a country living style when time stands still. It’s as though you watch as the seasons come and pass every year. Both have many positives and some negatives but it’s a very hard choice when you are talking about living in a jam packed city compared to a spacious in the country-side.While living in the city, you have numerous things to do the opportunities are endless. On any given night you can walk around and enjoy the wonders of the city the sights, sounds, and delightfulness takes your breath away at all times. In addition the city has other things that also are beneficial like numerous cultures that live there and how they are portrayed through the different clubs and restaurants throughout the city. Also a great thi ng about the city is its different array of foods you can eat an expensive dinner or you can stop on the corner and get a hot dog.The city also has many different bar like atmospheres where you can get a casual dinner, or you can have an alcoholic beverage and enjoy yourself. Being a city-dweller you are always around excitement and a great place to make-a-living seeming that there are so many opportunities for work. Although the city seems to have a lot of great things, the country can offer just as much excitement as the city does just in a different type of excitement. The country is a marvelous place to live it offers a very relaxing feel, and is filled with magnificent views.Even though you’re not living there you can still access the city via transportation. Also the country can maybe help you become a more self-sufficient person, growing your own produce and becoming more of an outdoors person often enjoying the voices of nature through the night with crickets chirping or the rooster crow in the morning nature and its occupants are surrounding you in the country. Another thing about the country is it offers a very safe community with very little chance of crime and the air quality is a lot less polluted then living in the city.Living in the country is awesome and has a wide variety of positives when setting up a family environment. In contrast to all of the great things the city provides, the city can have a downside. The noise level of a city can stress you out; rarely having downtime when there is constant commotion. Another negative about the city is thatitss such an expensive lifestyle without much money it would be hard to live in the city because it’s a much more extravagant lifestyle then the country.It’s a very hectic lifestyle and can sometimes prove to be too much for people; it’s also a very noisy place with the screeching of brakes or babies crying there is always something going on in the city. People in the city usually aren’t worried about you either there more worried about keeping up and on time for their self and they would much rather move along then stop and associate with you. The city does have a downside like everywhere else but can provide a very safe and stable home. Even though the country can be an awesome place to live and start a family there is, like the city a downside.Being in the country you don’t have such interesting things to do in your free time as the city. If you don’t have a car it may be hard to commute to work because there aren’t any buses that go that far away from the city. Another bad side of the country is the lack of entertainment because there aren’t many places to go, hangout and have a bite to eat at in the community you would have to travel to have that luxury. Even though there are negatives, the positives outweigh them and the country still provides a great place to live.Having to choose between these two places to live would be very tough. Although I think both places are great they both have some disadvantages that would represent problems. The country is for relaxing and enjoying the outdoors more suitable for the slow-paced people; while the city is more cluttered and people live for the nightlife and a much more fast-paced lifestyle. Your character and how you want to live are the only ways you will be able to make the choice on where you want to live; the city or the country.

Friday, January 3, 2020

The Homeless Population - 953 Words

There are many avenues one could choose when looking for a way to give back to the community. I decided to focus on giving back to the homeless population. For one week, a group of church members, and myself went to the state of California to serve the homeless population in Los Angeles, and San Francisco in more ways than one. We started the journey in downtown L.A.. That first morning we were given beaten-up clothing, and sent out the door of the hotel with no breakfast or money. In partners we headed toward skid row to seek out a corner for pan-handling before meeting at The Mission for lunch. Skid row is an area of L.A. that most do not venture into. The streets are filled to capacity with many different people that all have one thing in common, homelessness. The filth is outrageous, and the smell of different bodily fluids is unbearable. There are no smiles, or warm feelings; it is survival of the fittest. 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