Thursday, October 31, 2019

Exam Q 3 Essay Example | Topics and Well Written Essays - 750 words

Exam Q 3 - Essay Example These methods include SWOT analysis, Porter’s five forces, and balanced scorecard. The SWOT analysis is an evaluation method that can be used by a privately owned food manufacturing company to help in the identification and prioritization of both the internal and external impacts that affect it. Strengths and weaknesses show the internal factors that may affect a business while weaknesses and threats are external factors (Sun, 2012). The company will develop strategies to make use of its strengths and opportunities, and eliminate its weaknesses and threats. The company will prepare a list of these areas that will later be evaluated to determine the top contributing factors for all of them. The SWOT will help the company to be aware of all the factors that may affect strategic planning and  making decisions. Strengths and Weaknesses refer to the resources and experience that are available to the company. The company will be in a position to identify its financial resources (income and investments), physical resources (facilities and equipment), and human resources such as software systems (Sun, 2012). SWOT analysis helps the company identify the external forces that influence it. The external forces include economic trends, demographics, political stability, and economic regulations. The Porters Five Forces will help the company to identify where it powers lies in a given situation (Grants, 2012). The company will be able to understand the strength of its current competitive position, and the strength of a position it considers moving into. The analysis argues that there are five forces that decide competitive power in a situation. The five forces are (Grants, 2012): Supplier Power: The Company will evaluate how it is easy for suppliers to set prices. The price is directed by the number of vendors of all inputs, the exceptionality of their products, and the

Tuesday, October 29, 2019

3 global economics online reasarch questions Assignment

3 global economics online reasarch questions - Assignment Example It offers technical and knowledge assistance through policy analysis and research. There are some barriers to achieve this goal. Violence against women, child marriages, and early pregnancy are major barriers. Then poverty is also a major reason behind unequal education mainly at the secondary school level. Also, women are demoted to go for more conciliatory forms of employment like spending hours fetching water. Another barrier is lack of sanitation facilities in many schools which resist the girls to attend the schools. 3. The hearing signifies the important role Fed has played in facilitating maximum employment, stable inflation, and a well-grounded financial system. Specifically, the deepest recession of the past six years led by the financial crisis was intelligibly handled by Fed and the result is a stronger American economy in the today’s era with the boost in production, sales, and employment, and the price stability. Though, unemployment is still yet to drop down to its initial level and inflation is yet to rise up to the targeted level of 2 percent. Fed’s monetary policy has been effective to help it move towards these goals. The transparency of Fed to transmit its goal of 2-percent inflation has helped anchor the publics expectations of stable inflation in future. Fed has also overcome the weaknesses of our financial system of which resulted the worst ever crisis. Now the regulatory gaps are closed, capital requirements have been improved, and banks hold more capital and liqu id assets to reduce any potential threat of another financial crisis. However, there is still a long way to go and Fed is considering the goal of financial stability more earnestly as an important part of its monetary

Sunday, October 27, 2019

How Do the Media Shape Public Attitude to Welfare Provision?

How Do the Media Shape Public Attitude to Welfare Provision? How do the media shape public attitudes to welfare provision? Research has shown that in previous spells of economic crisis that the public’s attitude to welfare provision grows more sympathetic (Taylor-Gooby, 2004, as cited in Clery, 2012: 2) and, therefore, during the current economic crisis within the UK, we would expect that this trend would continue. Clery (2012: 17), however, found that the public are more sceptical about the welfare system and that there is ‘less enthusiasm about public spending on all types of benefits and an increasing belief that the welfare system encourages dependence’. The media is widely cited as being a cause of this shift in public attitude to welfare provision. The ubiquitousness of the media gives potential to ‘educate, raise consciousness and shape public attitudes’ (Kinder, 1998 as cited in Bullock, 2001: 229) on issues, such as welfare, particularly when there is no personal experience or background knowledge of the issue. There are many news stories which highlight a high proportion of fraud within the welfare system, primarily focusing on single parents, unemployed and disabled. Benefit fraud has always been an issue but ‘there is very little evidence to suggest that fraud is a major problem.however, there is a widespread belief that the system is riddled with fraud’ (Spicker, 2011). Evidence from DWP (2014) suggests that official and claimant error is actually higher than benefit fraud within the UK (see Figure 1.1) and fraud by unemployed claiming Jobseekers allowance is at the lower end of the scale (Figure 1.2). Figure 1.1: Estimated percentage of expenditure overpaid due to fraud, claimant error and official error since 2005/06 Source: DWP Fraud and Error in the Benefit System: 2012/2013 (Great Britain) Figure 1.2: Which Benefit has the Most Fraud and Error Overpayment Source: DWP Fraud and Error in the Benefit System: 2012/2013 (Great Britain) Another frequent story within the British media is that of single mothers abusing the welfare system, thus labelling all single mothers and attaching a stigma of the ‘welfare queen who exploits the system to live a lavish lifestyle’ (Lipset, 1990, as cited in Bullock et al, 2001: 230). Wilthorn (1996, as cited Bullock et al, 2001: 234) demonstrated that welfare recipients are one of the most hated and stereotyped groups in contemporary society and a series on poverty by Parisi (1998, as cited in Clawson and Trice, 2000: 54) illustrated how the ‘media perpetuate stereotypes of the poor as lazy, sexually irresponsible and criminally deviant’. Larsen and Dejgaard (2013: 288) argue that such stereotypical images created by portrayal of welfare recipients in the media are difficult to remove and that they have a significant impact on the public determining whether they perceive claimants to be deserving or not. Stereotyping these groups ‘acts both as a justificatory device for categorical acceptance or rejection†¦to maintain simplicity in perception and in thinking’ according to Allport (1954; 1979: 192). Sotorovic (2000: 269) demonstrates, however, that journalists believe they accurately report on issues which are important and reflect the public’s point of view, however the opinion of Jones (2014: URL) contradicts this: ‘The Government and†¦the media have fed us a relentless, poisonous diet of â€Å"skivers† and â€Å"scroungers†, of the feckless and workshy hiding behind blinds, subsidised by you, the hard-working taxpayer, who have to get up in the morning and slog your guts out. It was the behaviour of those at the top of society which led to a surge in unemployment†¦ and hundreds of thousands driven to food banks in one of the richest countries on earth†¦. it is the behaviour of those at the bottom of society that has been scrutinised, poked, criticised, and demonised’. There are some claimants who take advantage of the system and live off the taxpayer, however the minority who do are thrown into the public’s eye through competitive truth-stretching headlines, selective reporting and pictures to provide ‘texture, drama and detailed images’ which illustrate the ‘taken for granted’ and the ‘goes without saying’ FIGURE 2: NEGATIVE VOCABULARY IN NEWSPAPER ARTICLES ON WORKING AGE BENEFITS: CONSISTENT TITLES, 1995-2011 Source: Turn2Us (2012: 41) (Clawson and Trice, 2000: 55), giving the perception that the UK has a culture of worklessness. The idea of ‘worklessness’ could be dispersed by the results of a survey conducted by the IFS on the UK benefit system where it was found that the majority of the welfare budget was paid to the elderly (42.3%), and only 2.57% paid to the unemployed (IFS, 2012: URL). Respondents in a poll carried out by the TUC wrongly believed that 41% of the welfare budget was paid to the unemployed (TUC, 2013: URL). There has been an increase in negative language used by the media over the past 10 years (Figure 2) with language referring to non-reciprocity/lack of effort escalating at the time of New Labour’s third term reforms and the Conservative’s ‘Broken Britain’ agenda. It could be argued that this marked a shift in the public discourse of welfare in the UK to an ‘essentially individualistic ethic of responsibility’ (Dean, 2004: 78). The negative language seen within media in the UK does not appear cross-nationally. Larsen and Dejgaard (2013) argue that this is due to institutional models of welfare and the UK’s move from a soft social democratic regime to a harsh liberal one which creates deservingness discussions in the media, often highlighting laziness as the cause of poverty which may be due to the liberal ideologies of individualism and responsibility. The study found that media within the contrasted Nordic social democratic countries tended to focus on welfare in a more positive light referring to the ‘deserving poor’, with no blame on the claimants. It would appear that the high levels of perceived undeservingness and the negativity towards the poor and welfare recipients may be due to the means-tested and non-contributory welfare system in the UK (Larsen, 2006, as cited in Larsen, 2013). Larsen (2013: 298) also suggested that political orientation may be reason for the negative depict ion within the media, particularly given the scandals surrounding the Murdoch Empire. At the time of the Conservative’s election manifesto, The Sun Newspaper publicly announced that they had lost faith in the Labour party and would support the Conservatives in the upcoming election (Brook and Wintour, 2009: URL) to fix the broken society which we live in. This support of one of the largest newspapers within the United Kingdom may have had a large impact on their reader’s opinion, shaping their belief that society was broken, and a change in government with subsequent welfare reform was required to make it better, rather than looking at the real broken Britain: the reasons for the economic crisis rather than focusing on the vulnerable, the reasons for high unemployment and the  £25b outstanding from wealthy tax dodgers. It leads to an argument whether the media should be able to publicly support any governmental party or whether they should remain impartial rather than inflict their political ideology onto the public. Liberal ideology and social class also had a strong influence in the reporting of two missing girls, Madeleine McCann and Shannon Matthews. Whilst both girls were around the same age, their different class backgrounds demonstrated media bias in the reporting of the two cases and there was belief amongst the media that Madeleine was worth more as she was from a middle class background and a substantially higher reward was offered for her safe return. On the other hand, Shannon’s disappearance was used as a political tool on ‘scroungers’ and ‘to fix broken Britain’ (Jones, 2012). The signs are that the media is and will become more dominated by the most privileged (The Sutton Trust, 2006) which will create further bias and inequality within the industry, therefore The National Union of Journalists need to toughen up, ensuring that journalists operate ethically and morally and not as they did in the Matthews case. The media has been the most widely cited cause of influencing public attitudes, it is however clear that there are other factors: ‘the image of claimants as social parasites was evident long before the press became a major factor influencing opinions; the rejection of the dependent poor goes much deeper’ (Spicker 1984, as cited in Turn2Us, 2012: 54). The media, policy and the public are interconnected and they can influence each other, however the media has the opportunity and the power to reach the widespread public through newspapers, television, social media etc. It stands that if the media continue to use their ideological-driven partisan reporting to fuel misconceptions rather than give facts, the era of welfare cuts and austerity will prolong with the eventual demise of the welfare state, as believed by almost 60% of voters in a survey by commissioned by Christian Think Tax, Theos (Press Association, 2014: URL). A healthy media would stand up to the powerful and we althy to change the myths and prejudices (Jones, 2014) and protect the vulnerable as the modern welfare state intended. Word count: 1478 References Allport, G W (1954/1979). ‘The Nature of Prejudice’. Cambridge, MA. Perseus Books. Brooke, S and Wintour, P (2009). ‘Sun turns its back on Labour after 12 years of support’, available at http://www.theguardian.com/media/2009/sep/30/sun-ditches-labour-for-tories [accessed 18 February 2014]. Bullock, H E (2001). Media Images of the Poor, Journal of Social Issues, 57(2): 229-246. Clawson, R A and Trice, R (2000). ‘Poverty as we know it: media portrayals of the poor’. The Public Opinion Quarterly, 64 (1): 53–64. Clery, E (2012). ‘Are tough times affecting attitudes to welfare?’, British Social Attitudes: the 29th report, available from http://www.bsa-29.natcen.ac.uk/downloads.spx [accessed 27 December 2013]. Dean, Hartley (2004). Popular discourse and the ethical deficiency of Third Way conceptions of citizenship. Citizenship studies, 8 (1). pp. 65-82. Department of Work and Pensions (2014). Fraud and Error in the Benefit System: 2012/13 Estimates (Great Britain), available at https://www.gov.uk/government/uploads/system/uploads/attachment_data/file/271654/fraud-and-error-in-the-benefit-system-2012-13_estimates-160114.pdf [accessed 12 February 2014]. Institute of Fiscal Studies (2012). A Study of the UK Benefit System, available at http://www.ifs.org.uk/bns/bn13.pdf [accessed 16 February 2014]. Jones, O (2014). ‘Benefits Street: A Healthy media would stand up to the powerful and wealthy. Ours targets the poor and voiceless’, available at http://www.independent.co.uk/voices/comment/benefits-street-a-healthy-media-would-stand-up-to-the-powerful-and-wealthy-ours-targets-the-poor-and-voiceless-9046773.html [accessed 12 January 2014]. Jones, O (2014). ‘Owen Jones: My latest battle to stop the demonisation of people on benefits’, available at http://www.independent.co.uk/voices/comment/owen-jones-my-latest-battle-to-stop-the-demonising-of-people-on-benefits-9136123.html [accessed 18 February 2014]. Jones, O. (2012). ‘The strange case of Shannon Matthews’, Chapter 1 in Chavs. The demonization of the working class, London and New York: Verso. Larsen, C A and Dejgaard, T E (2013). ‘The institutional logic of images of the poor and welfare recipients: A comparative study of British, Swedish and Danish newspapers’, Journal of European Social Policy, 23(3): 287-299. Press Association (2014). ‘Voters gloomy on future of welfare’, available at http://money.uk.msn.com/news/voters-gloomy-on-future-of-welfare [accessed 20 February 2014]. Sotirovic, Mira (2000). Effects of Media Use on Audience Framing and Support for Welfare. Mass Communication and Society, 3(2-3): 269-296. Spicker, P (2011). ’How social security works: An introduction to Benefits in Britain’. Bristol, The Polity Press. The Sutton Trust (2006). ’The Educational Backgrounds of Leading Journalists’, available at http://www.suttontrust.com/public/documents/2Journalists-backgrounds-final-report.pdf [accessed 2 February 2014]. Trade Union Congress (2013). YouGov/TUC Survey Results: Welfare Poll, available at http://www.tuc.org.uk/sites/default/files/Welfarepoll_summaryresults.pdf [accessed 16 February 2014]. Turn2Us (2012), ‘Benefits Stigma in Britain’, available at http://www.turn2us.org.uk/pdf/Benefits%20stigma%20Draft%20report%20v9.pdf [accessed 27 December 2.014].

Friday, October 25, 2019

Comparing Romeo and Juliet and Maxine Hong - Kingstons China Men :: comparison compare contrast essays

In Maxine Hong - Kingston's China Men a teacher meets students who perceive Romeo and Juliet very differently than is commonly accepted. These students see it as a horror story rather than a tragic love story. What they witness in their real lives (war, death, murder, etc.) affects how they view everything they encounter. Although these students may have a "colored" view, everything that they see in Romeo and Juliet is actually there. They have not imagined anything. They have gone beyond the commonly accepted reading of the play, and have found what lies underneath the surface of all the romance and poetry. However, because they have not examined the romance and poetry in addition to seeing what lies beyond the commonly accepted reading, the story is disturbing to them. The students read Romeo and Juliet and do not see the love story that society would have them see. Instead they examine what lies beyond this. They see a story of secrecy, sex, murder, suicide, and disease. All of these things are found within the play, but are masked by poetry and romance. For example, these students see Romeo and Juliet as a story of "whispering, tiptoeing, making love, and (children) driven mad in the dark." To the "normal" reader this is romantic. It is viewed as a story about the most amazing kind of love imaginable - true love ending in tragedy. What happens around them certainly must affect how the students understand everything. In these students' real lives they are surrounded by war, torture, and death. Horror is a part of their every day lives, and so it becomes a part of them. It manifests itself in their thoughts and ideas. It has even affected their reading of Romeo and Juliet despite their teacher's efforts to show them the other side of the story. Another reason that this play is so disturbing to the students is that the characters in the play are approximately the same age as the students. Because of this, anything that the characters do has a greater meaning to the students. The characters are their peers. Because of the student's everyday experiences they miss the poetry in the play. They have ignored the motive, the tremendous force that drives the characters Romeo and Juliet to do the things found within the play. This force is love. It is the main reason for all actions in the play. Comparing Romeo and Juliet and Maxine Hong - Kingston's China Men :: comparison compare contrast essays In Maxine Hong - Kingston's China Men a teacher meets students who perceive Romeo and Juliet very differently than is commonly accepted. These students see it as a horror story rather than a tragic love story. What they witness in their real lives (war, death, murder, etc.) affects how they view everything they encounter. Although these students may have a "colored" view, everything that they see in Romeo and Juliet is actually there. They have not imagined anything. They have gone beyond the commonly accepted reading of the play, and have found what lies underneath the surface of all the romance and poetry. However, because they have not examined the romance and poetry in addition to seeing what lies beyond the commonly accepted reading, the story is disturbing to them. The students read Romeo and Juliet and do not see the love story that society would have them see. Instead they examine what lies beyond this. They see a story of secrecy, sex, murder, suicide, and disease. All of these things are found within the play, but are masked by poetry and romance. For example, these students see Romeo and Juliet as a story of "whispering, tiptoeing, making love, and (children) driven mad in the dark." To the "normal" reader this is romantic. It is viewed as a story about the most amazing kind of love imaginable - true love ending in tragedy. What happens around them certainly must affect how the students understand everything. In these students' real lives they are surrounded by war, torture, and death. Horror is a part of their every day lives, and so it becomes a part of them. It manifests itself in their thoughts and ideas. It has even affected their reading of Romeo and Juliet despite their teacher's efforts to show them the other side of the story. Another reason that this play is so disturbing to the students is that the characters in the play are approximately the same age as the students. Because of this, anything that the characters do has a greater meaning to the students. The characters are their peers. Because of the student's everyday experiences they miss the poetry in the play. They have ignored the motive, the tremendous force that drives the characters Romeo and Juliet to do the things found within the play. This force is love. It is the main reason for all actions in the play.

Thursday, October 24, 2019

Analysis of the Feasibility of Cultural Relativity, Ethical Subjectivism

The cultural relativity argument is based upon the following premises. (1) Societies differ in their standards of rationality on both empirical and normative aspects. (2) What counts as an empirical fact and a social fact and the bases by which societies were able to judge them as such are said to vary across societies. (3) Rationality is deeply intertwined with our cognition of the world. (4) Facts do not go beyond our capacity to know.Such assumptions lead to the conclusion that there is no such thing as a common body of social fact that corresponds to a shared human standard of cognition. If such is the case, it therefore follows that there are several bodies of fact each relative to the standards valid to the society in question. In relation to this James Rachel contends that a minimum conception of rationality requires that â€Å"we try to guide our conduct by reason while giving equal weight to the interests of each individual† (qtd in McNiven 131).The possibility of suc h is evident if one considers that (1) moral judgments must be based upon good reasons and (2) morality requires â€Å"the impartial consideration of each individual’s interests† (McNiven 131). If such is the case, it thereby follows that since a relativistic world view is based upon a conception of relative standards for the validation of social views hence a relativistic framework assumes that the different conceptions of morality [since these must necessarily be based upon the structural framework of a culture].If such is the case, such a perspective thereby fails to adhere to the second provision of a minimal conception of reality, which gives credence on the aspect of impartiality. It follows from this that cultural relativism thereby fails to meet the standards of a minimum conception of morality.2. During the last twenty years or so, a number of ethicists have found some value in ethical subjectivism, despite its flaws. How might some of its assumptions be helpf ul in making moral decisions?Ethical subjectivism is based on the assumptions that (1) there are no valid grounds to support the notion of the existence of objective moral truths and (2) moral conceptions of right and wrong are relative in nature (Mills and Polanowski 134). In a sense, ethical subjectivism may thereby be seen as enabling the renunciation of moral absolutism, which is based on the assumption that reason stands as the grounds for he formation of moral judgments.David Hume contends that such a perspective fails to account for the influence of desire in the formation of moral judgment. In relation to this, Mills and Polanowski contend that such an assumption shows the manner in which â€Å"moral ideals achieve their reality only within consciousness as the subjective product of moral valuation† (137). The importance of such is evident if one considers instances wherein rationality decrees the elimination of life whereas subjective morality opts for enabling the c ontinuance of life [e.g. cases of euthanasia].3. Gregory Pence claims the arguments against SCNT are weak. Do you agree? Why or why not?Gregory Pence claims that creating an embryo through the process of somatic cell nuclear transfer (SCNT) is deemed as problematic due to the possible harm that it may cause. Such possible harms range from those considered as enabling â€Å"harms to society or the institutions of the family† (Pence 77). The main concern however lies in its effects upon the child [physical harm as a product of birth defect and psychological harm], which is a product of the aforementioned method.At the onset, it is important to note that such harms are based upon preconceived and invalidated conceptions of possible outcomes in the future. In a sense, they may be considered as somewhat fictitious projections of possible occurrences as a result of a particular methodology that has resemblance to other methodologies that enabled or caused physical or psychological harm upon an entity. Pence, thereby argues that he failure of the aforementioned criticism may be traced to their assumption of either of the similarity of SCNT to other methodologies [e.g. cloning] which has led to the harm of entities or to the assumption that such a process will scar a child. Such assumptions [against SCNY], however, as I reckon fails to consider Pence’s arguments.Works CitedMacNiven, Don.   Creative Morality.   London: Routledge, 1993.Mills, Jon and Janusz Polanowski.   The Ontology of Prejudice.   U.S.A.: Rodopi, 1997.Pence, Gregory.   Brave New Bioethics.   London: Rowman and Littlefield, 2002.

Wednesday, October 23, 2019

Determining Causes and Effects Essay

The majority of blood donors are middle aged due to advertising not being effective among youth donors. Young prospective first time donors, with their long-term donation potential, are especially attractive targets for blood agencies. Youth are often underrepresented in donor pools, however; persuading them to give blood may require specifically tailored marketing communication. The first cause of not being effective in advertising towards youth is marketing communication. Blood collection agencies often emphasize altruism. Altruism is the philosophical doctrine that right action is that which provides the greatest benefit to others. Specifically, research demonstrates that established donors who have given blood several times report altruism and awareness of the need for blood as their main reasons for giving (Glynn S.A. 417). In other words, a regular blood donor gives because they want to help others in need, and they act altruistically without expectation of reward. Altruistic ads focus on the altruistic message of a blood recipient thanking individuals for giving blood to save his/her life. An appeal to self-interest may be more effective in heightening blood donation intentions among youthful donors. The second cause of advertising not being effective is not appealing to individual self-interest. Collection agencies often use a communal message strategy that you should donate because someone close to you may need it. A communal ad features blood donors asking others to join them to help save lives. This communal approach, often receives less attention from donors because people value incentives. There has been little academic research conducted in blood recruitment to further these recommendations and actually test the effectiveness of specific message types in relation to the established profiles. Another contributing cause is the selectivity model, attributes sex differences in information processing to traditional gender roles. For instance, the male or agentic gender role is characterized by concern for the self (ex., what helps me or is of interest to me?). It is associated with personality traits such as independence and autonomy. Men, who already attend to self-relevant information because of their presumed agentic gender role, should respond even more favorably to a self-benefit message that also  invokes a higher degree of self-referencing (Hupfer, 1004). The communal female role, which encompasses concern for both self and others (ex., what interests or helps both me and others?). The personality traits associated with the female are independent and giving. The female role is typified by sympathy, understanding, and sensitivity to others’ needs. These traditional role distinctions lead to sex differences in response to information that is self-relevant or other relevant (Hupfer, 1004). Gender roles, therefore, should be an important determinant of reaction to blood campaigns. They should indicate that giving blood helps me which is the agentic benefit (Fig 3). Or giving blood helps someone else which is the communal benefit (Fig 4). When an advertising message elicits attention by reflecting on negative outcomes it appears to be more favorable. When advertising message elicits attention by focusing on the positive outcomes it appears to be less favorable. One effect on the economy is when agencies paid people to donate it decreased the blood supply. Economists were skeptical citing a lack of empirical evidence. Since then new data and models have prompted a sea change in how economists think about incentives. Economists have found that offering to pay women for donating blood decreased the number of donators by half. However, letting society contribute the payment to charity reversed the effect. This psychology here has eluded economists, but it was no surprise to business owners. Rewarding blood donations may backfire; because it suggests that donor is less interested on being altruistic than in making a buck. Incentives affect what our actions signal, whether we’re being self-interested or civic-minded, manipulated or trusted, and they can imply wrongly what motivates the U.S. (Bowles) An increase in unemployment may mean people have more time to give blood, but I doubt it would cause an increase in supply. First, many blood donations are arranged by firms who agree to give employers time off work during the day. Secondly, it is possible that if you are unemployed you are likely to be stressed and don’t feel inspired to give blood. Findings indicate that when donors are eligible to benefit from the day-off incentive (i.e., when they are in paid employment) they make, on average, one extra blood donation per year, a substantial effect that represents a 40% inc rease (Lacetera). The decrease in blood supply affects those who have diseases such as sickle cell. There are more than 80,000 people in the U.S. with Sickle Cell, who require blood  transfusions. It also affects those who have cancer because chemotherapy consists of needing blood; sometimes on a daily basis. Also car accident victims can require as much as 100 pints of blood (American Red Cross). So if there are shortages of blood, there are not enough lives being saved. Hospitals haven’t had enough blood supply to care for patients with leukemia. It also affects newborns that are faced with having open heart surgery. Most patients who are hospitalized for serious complications and require transplants suffer because of the lack of blood supply in the U.S. In conclusion, collection agencies should consider appealing to young non-donors by suggesting that they give blood to make it available for themselves. Those who are capable of donating should do so with no questions asked. You never know when you will have a life-threatening event in which you need a blood transfusion to save your life. Researchers should continue to find theories on advertising to appeal to self-interest so that the blood supply in the U.S. will increase; however, the best approach in advertising is appealing to people’s emotion. If everyone would come together as one as they do in elections for blood drives the outcome would be greater. Fig. 3. Agentic Version of accident scene Fig. 4. Communal version of accident scene. Works Cited American Red Cross (2012). Blood Facts. www. Redcross.org Bowles, Samuel (March 2009). The Magazine; Harvard Business Review Glynn, S.A., Kleinman, (2002). Motivations to donate blood:. Transfusion, 42, 216-225. Hupfer, M.E. (2006). Transfusion 46(6), 996-1005, Visuals, DOI: 10.1111/j.1537- 2995.2006.00834.x Lacetera, Nicola (n.d.), Icentative Research Foundation. Time for Blood Article.

Tuesday, October 22, 2019

Free Essays on Eed Diagrams

An entity-relationship diagram, or ERD, shows the overall design structure of a database. The basic unit of an ERD is the entity. Each entity represents a particular kind of data. For instance, an employee training database might have an entity for employee data, and entity for department information, and an entity for the classes. One way to get a handle on entities is to remember that in a relational database there is generally one table for each entity. Recognizing which entities you need in a database is a skill that develops with practice. Nevertheless, some tips can get you started. When you were writing themes in junior high, your English teacher probably told you to have one paragraph for each topic or each point you wanted to make. In database design you have one entity for each data topic. In the example quoted above, you can see that employee information is different than class information. So often when you start detailing the specific pieces of information that need to be stored, those data topics naturally emerge. Another tip is to ask yourself what the purpose of the database is. For instance, an employee database will almost always have an employee entity. A parts inventory database will certainly have a parts entity. Start with that entity. Principles of good database design (chapter 5) will help you see what pieces of information don’t fit in that entity and so must belong to other entities. An Entity-Relationship Diagram shows the relationships among the various entities in a database. Each entity is shown as a rectangle. Where entities are related to other entities, the relationship is shown with a line. A diamond shape on the line is used to hold a word that describes the relationship. For instance, the ERD in Figure 3-1 shows three entities: Employee, Class, and Department. The diamonds describe the relationships between the entities: An employee belongs to a department; an employee takes a class. Note... Free Essays on Eed Diagrams Free Essays on Eed Diagrams An entity-relationship diagram, or ERD, shows the overall design structure of a database. The basic unit of an ERD is the entity. Each entity represents a particular kind of data. For instance, an employee training database might have an entity for employee data, and entity for department information, and an entity for the classes. One way to get a handle on entities is to remember that in a relational database there is generally one table for each entity. Recognizing which entities you need in a database is a skill that develops with practice. Nevertheless, some tips can get you started. When you were writing themes in junior high, your English teacher probably told you to have one paragraph for each topic or each point you wanted to make. In database design you have one entity for each data topic. In the example quoted above, you can see that employee information is different than class information. So often when you start detailing the specific pieces of information that need to be stored, those data topics naturally emerge. Another tip is to ask yourself what the purpose of the database is. For instance, an employee database will almost always have an employee entity. A parts inventory database will certainly have a parts entity. Start with that entity. Principles of good database design (chapter 5) will help you see what pieces of information don’t fit in that entity and so must belong to other entities. An Entity-Relationship Diagram shows the relationships among the various entities in a database. Each entity is shown as a rectangle. Where entities are related to other entities, the relationship is shown with a line. A diamond shape on the line is used to hold a word that describes the relationship. For instance, the ERD in Figure 3-1 shows three entities: Employee, Class, and Department. The diamonds describe the relationships between the entities: An employee belongs to a department; an employee takes a class. Note...

Monday, October 21, 2019

English Words Borrowed From the Chinese Language

English Words Borrowed From the Chinese Language Words taken completely or in part from another language are known as loanwords. In the English language, there are many loanwords that have been borrowed from Chinese languages and dialects. A loanword is not the same as calque, which is an expression from one language that has been introduced into another language as a direct translation. Many English-language calques also have origins in Chinese. Loanwords and calques are useful to linguists in examining when and how one culture processed its interaction with another. 10 English Words That Are Borrowed From Chinese 1. Coolie: While some claim that this term has its origins in Hindi, it’s been argued that it could also have origins in the Chinese term for hard work or è‹ ¦Ã¥Å â€º (kÇ” là ¬) which is literally translated as â€Å"bitter labor.† 2. Gung Ho: The term has its origins in the Chinese word Ã¥ · ¥Ã¥ Ë† (gÃ… ng hà ©) that can either mean to work together  or as an adjective to describe someone that is overly excited or too enthusiastic. The term gong he is a shortened word for industrial cooperatives which were created in China in the 1930s. During that time U.S. Marines adopted the term to mean someone with a can-do attitude. 3. Kowtow: From the Chinese Ã¥  ©Ã¥ ¤ ´ (kà ²u tà ³u) describing the ancient practice performed when anyone greeted a superior – such as an elder, leader, or emperor. The person had to kneel and bow down to the superior, making sure that their foreheads hit the ground. â€Å"Kou tou† is literally translated as â€Å"knock your head.† 4. Tycoon: The origins of this word comes from the Japanese term taikun, which was what foreigners called the shogun of Japan. A shogun was known to be someone who took over the throne and is not related to the emperor. Thus the meaning is typically used for someone who obtained power through might or hard work, rather than inheriting it. In Chinese, the Japanese term â€Å"​taikun† is Ã¥ ¤ §Ã§Å½â€¹ (d wng) which means â€Å"big prince.† There are other words in Chinese that also describe a tycoon including è ´ ¢Ã©Ëœâ‚¬ (ci f) and Ã¥ · ¨Ã¥ ¤ ´ (jà ¹ tà ³u). 5. Yen: This term comes from the Chinese word æ„ ¿ (yun) which means a hope, desire, or wish. Someone who has a strong urge for oily fast food can be said to have a yen for pizza. 6. Ketchup: The origins of this word are debated. But many believe that its origins are from either the Fujianese dialect for the fish sauce é ® ­Ã¦ ±  (guÄ « zhÄ « ) or the Chinese word for eggplant sauce èÅ'„æ ±  (qià © zhÄ «). 7. Chop Chop: This term is said to originate from the Cantonese dialect for the word Ã¥ ¿ «Ã¥ ¿ « (kui kui) which is said to urge someone to hurry up. Kuai means hurry in Chinese. â€Å"Chop Chop† appeared in English-language newspapers printed in China by foreign settlers as early as the 1800s. 8. Typhoon: This is probably the most direct loanword. In Chinese, a hurricane or typhoon is called Ã¥  °Ã© £Å½ (ti fÄ“ng). 9. Chow:  While chow is a breed of dog, it should be clarified that the term did not come to mean food because the Chinese hold the stereotype of being dog-eaters. More likely, chow as a term for food comes from the word è Å" (ci) which can mean food, a dish (to eat), or vegetables. 10. Koan: Originating in Zen Buddhism, a koan is a riddle without a solution, which is supposed to highlight the inadequacy of logic reasoning. A common one is â€Å"What is the sound of one hand clapping.† (If you were Bart Simpson, you would just fold one hand until you made a clapping noise.) Koan comes from the Japanese which comes from the Chinese for å… ¬Ã¦ ¡Ë† (gÃ… ng n). Literally translated it means common case.

Sunday, October 20, 2019

Amazon Cycles of Creativity

Amazon was incorporated in 1994 as an American e-commerce company, by Jeff Bezos. It is the largest online retailer in the world according to its sales and capital. The company earned an income of US$135.98 billion in the financial year of 2016 and on its peak days it sold more than 306 items in one second. The motive of selecting Amazon for this report is because the company has beat all of his completion in the market Management and become world’s largest online retailer with a high level of customer satisfaction. Amazon operates in online shopping and cloud computing industry. Along with their online retailing, the company provides several other internet-based services to its customers as well. Other services of Amazon include Amazon Prime, online book store, studio movie, app store, cloud drive and web services. Amazon keeps innovating their products and services according to their customer's requirements. The recent project of Amazon is â€Å"Alexa†, an artificial intelligence system that could connect to mobile, house or other electronic devices (Teece 2010). According to Mangalindan (2012), Amazon key strategy focused on cost leadership, as compared to other off-line retailers. The company’s enormous warehousing services and processing abilities, providing them cost advantages. The company is also focused on customer satisfaction and Bezos has implemented the consumer focus structure throughout the enterprise. The company uses these facilities to provide competitive pricing to its customers and other facilities such as one-day delivery, easy return, fast purchase process, and customer support. According to Forbes, Amazon is one of the world’s top three most innovative companies, with a market cap of US$427 billion and this strategy will help them sustain their growth in the future. Amazon’s business model focuses on enhancing growth by adopting a lower cost structure, as discussed by Bucherer (2011). The company provides lower cost products with high-quality services. Following is the criteria of Amazon’s business model: Amazon operates in more than 16 countries, and they might start selling in Australian as well. Before entering in Australian online retail market, the company required to assess their culture, administrative, geographic and economic factors. As discussed by Johnston (2017), Australian online retail market is a booming industry with more than 80 percent of population spending in online retailing, but around 64 percent of customers returned their purchases. Amazon required formulating faster delivery operations with easy return policy to capture Australian online retail market. Uber Technology incorporation is an American corporation operating in transportation and delivery services. The companies headquarter is situated in San Francisco, California. Uber provides its services in more than 632 cities globally. The organisation has revenue of US$6.5 billion in 2016 financial year. The purpose of choosing Uber is that company has changed the taxi industry without any significant investment. The organisation has created a monopoly in the transportation industry and worth more than US$63 billion. Uber allows customers to book a taxi through their mobile application. The drivers of Uber cabs have their own vehicles, eventually reducing the investment cost of Uber. The company has millions of vehicles to operate, for which they did not pay millions of dollars. Uber does not require maintaining full-time drivers or vehicles which reduce their costs. Uber operates in the low competitive market. There are other taxi drivers and organisation, but they did not provide customer services like Uber (Cramer and Krueger 2016). The customs choose Uber over taxi because they provide easy accessibility and facility through their application such as convenient booking, 24*7 service, and no cash transactions. According to Jonathan (2015), Uber hire world-class programmers and talented mathematicians that help in maintaining policies for the company by analysing the data. The company constantly update their policies to attract a high number of customers such as discounts, guaranteed prices, simplicity in the booking process and motive drivers to work longer. The innovative strategy helps Uber in gaining a competitive advantage and assist in sustainable future growth. Uber’s business model focuses on maintaining high standards of services management at lower prices. Following are its essential parts (Cohen and Kietzmann 2014): The business model of Uber assists them enhancing their operations worldwide. According to the research of Cannon and Summers (2014), the company is not affected by economic, geographic, and administrative and cultural factors of different countries since the company did not invest in vehicles. Uber provides a facility through their application and their drivers use their personal vehicles. The business approach of Uber increases their operations in more than 632 cities and sustained their future growth. Bucherer, E., 2011.  Business model innovation-guidelines for a structured approach. Shaker. Cannon, S. and Summers, L.H., 2014. How Uber and the sharing economy can win over regulators.  Harvard business review,  13(10), pp.24-28. Cohen, B. and Kietzmann, J., 2014. Ride on! Mobility business models for the sharing economy.  Organization & Environment,  27(3), pp.279-296. Cramer, J. and Krueger, A.B., 2016. Disruptive change in the taxi business: The case of Uber.  The American Economic Review,  106(5), pp.177-182. Culey, S., 2016. Building the Everything Store: Amazon’s Cycles of Creativity and Circles of Destruction. The European Business Review. Retrieved from < https://www.europeanbusinessreview.com/building-the-everything-store-amazons-cycles-of-creativity-and-circles-of-destruction/ > Forbes., 2017. The World’s Most Innovative Companies. Retrieved from < https://www.forbes.com/companies/amazon/ > Johnston, R., 2017. Yet Another Reason Amazon Australia Is Going To Be Huge. Gizmodo. Retrieved from < https://www.gizmodo.com.au/2017/08/yet-another-reason-amazon-australia-is-going-to-be-huge/ > Jonathan, T., 2015. Uber’s Use OF Data As A Competitive Advantage. Digital Innovation and Transformation. Retrieved from < https://digit.hbs.org/submission/ubers-use-of-data-as-a-competitive-advantage/ > Mangalindan, J., 2012. Amazon’s recommendation secret.  CNN Money https://tech. fortune. cnn. com/2012/07/30/amazon-5. Teece, D.J., 2010. Business models, business strategy and innovation.  Long range planning,  43(2), pp.172-194.

Friday, October 18, 2019

Marketing and consumer Essay Example | Topics and Well Written Essays - 1000 words

Marketing and consumer - Essay Example The marketers, through segmentation, aim towards precisely recognising the customers’ needs and thus considering the process as to how the customers decide to choose one alternative product or service from among several alternatives. On the other side, the customers are acquainted with segmenting themselves and generally do not observe the marketers’ segmentation of the market (Wedel & Kamakura, 2000). Aimed Market Segment of La! Radio The market segment aimed by La! Radio is that of male market segment. The Chairwoman at La! Radio claims that her company’s brand is ‘men friendly’ and mentioned that her radio station wants the men to listen to their on-air programs. Through the market survey that each marketer conducts before targeting a market segment, it has been found out by the chairwoman at ‘La! Radio’ that ‘men’ hold an urge to know more and more about ‘women’. This fact is evident from the huge number of male readership to famous women magazines such as that of the ‘Cosmopolitan’ and many others. For La! Radio, in the entertainment industry, this fact with regard to the male has instigated the prospect of the male market. Answer to Question No. 2 Definition of Stakeholder A stakeholder is an entity or a person of the organisation that has a concern or stake in the actions of the organisations. ... Possible Stakeholders of La! Radio with Justification There can be five probable forms of stakeholders for La! Radio: suppliers, customers, internal entities, external entities and other stakeholders. Suppliers are the providers of equipments required for a radio station and services related to the provision of the equipments. They would hold the stake in La! Radio because it is at its initial stage and would have purchased the equipments on credit for certain time period. The suppliers would keep a close watch at the radio station’s performance so that they can receive their term amount on time. Customers would consist of the listeners who love music and holds the habit of listening to radio programs and could not leave the habit even for a single day. The internal stakeholders would be the volunteers and paid staffs who are working for their respective purposes which can be earning needs or as a passion. The external stakeholders are the competitors, universities and schools . Competitors would always keep a close watch at La! Radio’s each step to avoid intensity in the rivalry and the universities and schools would be anxious so that the entertainment programs do not hamper the students’ educational activities. The other stakeholders consist of all those who presume themselves to be stakeholders even if the radio station does not think so. Answer to Question No. 3 With the help of PRESTCOM analysis of the environmental factors that can have an impact on the establishment of La! Radio, the following factors have been evaluated: As far as the political factors are concerned, the applicant or the La! Radio would have to be eligible for holding the license under the terms and conditions of Broadcasting Acts 1990 and 1996. La! Radio should

Valuation of Nonlisted Companies in Emerging Markets Essay

Valuation of Nonlisted Companies in Emerging Markets - Essay Example Rapid changes are taking place in the economies of these countries and they provide a wonderful ground for investors to reap huge benefits. When compared to the developed world, the return on investment in these economies is higher and faster, as the rate of industrialization and growth in niche sectors is rapid. While we talk of investment, we have to distinguish between investment in listed companies and non-listed companies in these emerging economies. There is a difference in the way investments and returns are made in listed and non-listed companies. While listed companies are governed by stringent rules dictated by the respective governments, non-listed companies enjoy a certain degree of autonomy in their operations. There is a difference in the valuations of these non listed companies as compared to the listed companies. It is very important to critically examine the valuations of these non-listed companies in emerging markets, before a foreign or even a domestic investor puts in his capital. In the International Experts Meeting on Corporate Governance of non Listed Companies, held in Istanbul, Turkey on 19-29 April, 2005, a large number of policy makers, business leaders and other experts deliberated on the issues of corporate governance of non listed companies, namely different ownerships, sourcing of capital, transparency requirements, professional management and the role of the policy makers in ensuring the above-mentioned factors. This meeting was organized by the OECD and had participants from 36 countries1.The group concluded that there was a need for better corporate governance, meeting compliances, increase in size and capital ploughed in, transparency and working towards shareholders' benefit in non listed companies in the emerging markets to help the economy which, in many case was dependent on the success of these family-owned entities. In another study conducted in Chile, it was found that in some case, there is a conflict of interests between controlling and minority stakeholders. Pyramids seem to be an effective way of separating cash from controlling rights. This is an effective way for economic groups to exercise control over productive assets and to establish internal capital mechanisms that can compensate for poorly developed formal markets. However, establishment of pyramids could be detrimental to the market value of companies and to the economy of the country as well2. Research Process After reviewing the available literature, it seems logical to go about the research process by undertaking a study of non- listed companies in emerging markets, the main examples being China, India, Russia, Brazil. This would represent almost the majority of the developing world. A relative analysis of company ownership, cost of capital, cost of resources, market valuations, professional management, corporate governance and popularity on the local and international stock markets could be carried out. Two cases per country: one of a listed company and another of a non-listed company could be compared and the discussions and results arrived at. A study of each country's policies in the area of listed and non-listed companies would also have to be undertaken, and the need for improvement/change in

Midterm Examination Essay Example | Topics and Well Written Essays - 1500 words

Midterm Examination - Essay Example The paper will incorporate historical evidence to support this stance. Open door imperialism can be basically defined as the act of powerful nations controlling the lesser powerful nation in the world so as to primarily safeguard the powerful nations’ interests. America being the world’s superpower has applied the open door imperialism to most parts of the world where it can reach. Its military is crucial to the United States spreading open door imperialism. The Monroe doctrine was the first step towards American open door imperialism. The doctrine implied that the United States would consider any acts by European states to interfere or colonize lands in north and South America as aggression towards the USA. Also, the act stated that America in return would not interfere with the internal running or colonies of European nations. The Monroe doctrine subsequently became a defining element of the USA foreign policy. Later, the doctrine would be relied upon and invoked by various USA presidents such as Ronald Reagan, John F Kennedy, and Theod ore Roosevelt. Contained in the doctrine are two significant themes of manifest destiny and exceptionalism. These two themes refer to the power and right of America to interfere, correct or, exert its power and influence across the globe. This doctrine was therefore used by the United States in several instances to justify USA intervention abroad throught most of the 19th century. For instance, the USA was involved in the Hawaii annexation and the Spanish American war (McCormick, 1963). The Monroe doctrine consequently came to basically define the United States’ control sphere that very few countries dared or dare to challenge. Its definition expanded greatly as the United States gained more power. America enacted the big brother policy in the early 1880s with a major aim of rallying Latin American countries behind it.

Thursday, October 17, 2019

Answer Questions Part 2 Essay Example | Topics and Well Written Essays - 3750 words

Answer Questions Part 2 - Essay Example Each such attack, irrespective of the location from where it is initiated, would also have the server to server IP address access details and these should have been highlighted in the audit of log data.Morever the staring point of this investigation should have been the proof underlying the tip. Chat softwares normally keep record of the chat data and it is available time and date wise. Hacker chat site, where the alleged boasting was done by Jack Hasenpfeffer, should have been approached to obtain more substance to the claim of the theft of the marketing plan. This would have rightly set the investigation on the right course. As the investigations stand Trigraph side has proven that the recipient email address was that of Jack Hasenpfeffer; however until unless it is proven that the hack tool author was Jack Hasenpfeffer and that he alone had intruded the Trigraph systems using such a tool and that such a tool had sent the data file to Jack Hasenpfeffer; it cannot be concluded easil y that Jack Hasenpfeffer was responsible for the theft of the marketing plan. ... ack Hasenpfeffer's personal system; but the moot question here is if these addresses were the only ones available to Jack Hasenpfeffer and if there were no possibilities of using the hacking tool from any other address. In fact, Megagargantuan's investigations have left out the vital fact that they had examined all case of firewall intrusions in the under consideration time interval. However, one fact of Megagargantuan's investigation is a grave point that stands against their own case; they have conceded that a copy of the disputed information was found on Megagargantuan's servers. This still leaves us at the above conclusion that the marketing software was accessed and received at Megagargantuan's servers; however, the act cannot be readily attributed to Jack Hasenpfeffer. Question 2: (1/3 page answer) Assuming that both you and T. William Stoat testify in the trial of the case presented in Fact Set 1, is the expert testimony based on sufficient facts or data Is the testimony the product of reliable principles and methods Have the principles and methods been applied reliably to the facts of the case The testimony of both the experts cannot be considered to be based on reliable principles and methods. In fact in Trigraph investigations-which have given rise to testimony facts- it is already pointed out that they picked the thread from one step ahead of the step required to be taken up. They totally bypassed the collecting information and data on the chat room boasting by Jack Hasenpfeffer. This would have provided circumstantial evidence to Jack Hasenpfeffer's involvement even if the use of hacking tool could not be attributed to him. Moreover, the tools used to obtain system images are labeled as popular public software in Trigraph investigations.

In the past thirty years or so, which approach has proven more Essay

In the past thirty years or so, which approach has proven more successful for development neoliberalism or neostatism - Essay Example State interventions in markets once developed must be maintained at a bare minimum because according to the philosophy, the state cannot possibly own enough information to doubt market signals and because powerful groups with vested interests will eventually bias and distort state interventions especially in democracies for their personal benefit (Jessop 2007). The neo-statist model seeks to explain the role of the state in the growth of and industrialization process, directly and explicitly. Many of the neo-statist models position the state as having an overarching impact on the social and economic system that fundamentally impacts upon the economic development, through economic factors play one of the key parts. To determine whether neo-liberalism is has been more successful than neo-statist over the past 30 years or so, it is crucial to first investigate their impacts in several parts of the world where they were applied. To begin, lets starts by examining the impact of neo-libera lism on the distribution and production of some basic commodities in Mexico. Mexico is mainly an interesting country in which to scrutinize neo-liberalism, for many reasons (Snyder 2001). First, the present neoliberal reforms in Mexico are not its first experiment with such policies. It is 19th century incursion which concentrated wealth into the hands of few individuals, created such misery and poverty among workers and peasants that it led to the Mexican revolution. Due to the revolution, the country adopted social policies that were aimed at safeguarding the interests of the workers and peasants which included the naturalization of water, land and mineral rights and enacted policies that sought after to enhance industrialization by safeguarding national industries from foreign competition. Second, the present enactment of neoliberal policies symbolize a deep of policies enshrined by the Mexican revolution, this history and vivid spin make Mexico an attractive milieu within which to evaluate neo-liberalism. The World Bank and IMF have used many neoliberal actions and policies tried in Mexico across developing countries. Mexico’s experiment with neoliberal policies holds a vital example not only for budding countries but also for urban ones also. The neoliberal conversion for Mexico has been deep. The Mexican state has been forced to unlock its markets, leave its social programs and privatize most of its state run industries and community land. While this process has been beneficial to some people, it has also proven to be costly to others. Rural small holders have been amid the losers in general as the uprisings, ensuing insurgence and difficulties attest. While small holders were given individual titles to the parcel they worked on state administered community lands, neoliberal policies also eliminated subsidies and credit that made the smallholders productive. Facing increasingly unstable livelihoods many people left the country side to look for wor k in burgeoning cities. The number of undocumented workers increased tremendously due to this migration. While the United States benefited hugely from this cheap labor, migrant worker have become remittances have become Mexico’s second largest source of foreign revenue. Neoliberal policies have also had a profound effect on Mexico’

Wednesday, October 16, 2019

Discrimination in Employment Essay Example | Topics and Well Written Essays - 250 words

Discrimination in Employment - Essay Example Sec.2000e-2. [Section 703] has clearly mentioned the following guidelines on discrimination issues. 1- If any employer fail to discharge or hire any individual or refuse to discriminate against any individual in terms of compensation, employment condition due to individual’s religion, race, color, sex, and national origin then it will be classified as unlawful employment practice. 2- If any employer segregate or classify any employee based on individual’s religion, sex, race, color and national origin then it will be termed as unlawful employment practice. Employer should not limit any individual from employment due to race, sex and nationality (U.S. Equal Employment Opportunity Commission, n.d.). In the other case, the sentence can be judged on the ground of common employment practice. They are using the advertisement to invite female candidate for employment opportunity without any intention to create discrimination in terms of age, sex and nationality. They employer might need female employee to handle Hispanic customers in customer relationship management department. Hence the advertisement is more situation specific rather than intention driven in terms of employment

In the past thirty years or so, which approach has proven more Essay

In the past thirty years or so, which approach has proven more successful for development neoliberalism or neostatism - Essay Example State interventions in markets once developed must be maintained at a bare minimum because according to the philosophy, the state cannot possibly own enough information to doubt market signals and because powerful groups with vested interests will eventually bias and distort state interventions especially in democracies for their personal benefit (Jessop 2007). The neo-statist model seeks to explain the role of the state in the growth of and industrialization process, directly and explicitly. Many of the neo-statist models position the state as having an overarching impact on the social and economic system that fundamentally impacts upon the economic development, through economic factors play one of the key parts. To determine whether neo-liberalism is has been more successful than neo-statist over the past 30 years or so, it is crucial to first investigate their impacts in several parts of the world where they were applied. To begin, lets starts by examining the impact of neo-libera lism on the distribution and production of some basic commodities in Mexico. Mexico is mainly an interesting country in which to scrutinize neo-liberalism, for many reasons (Snyder 2001). First, the present neoliberal reforms in Mexico are not its first experiment with such policies. It is 19th century incursion which concentrated wealth into the hands of few individuals, created such misery and poverty among workers and peasants that it led to the Mexican revolution. Due to the revolution, the country adopted social policies that were aimed at safeguarding the interests of the workers and peasants which included the naturalization of water, land and mineral rights and enacted policies that sought after to enhance industrialization by safeguarding national industries from foreign competition. Second, the present enactment of neoliberal policies symbolize a deep of policies enshrined by the Mexican revolution, this history and vivid spin make Mexico an attractive milieu within which to evaluate neo-liberalism. The World Bank and IMF have used many neoliberal actions and policies tried in Mexico across developing countries. Mexico’s experiment with neoliberal policies holds a vital example not only for budding countries but also for urban ones also. The neoliberal conversion for Mexico has been deep. The Mexican state has been forced to unlock its markets, leave its social programs and privatize most of its state run industries and community land. While this process has been beneficial to some people, it has also proven to be costly to others. Rural small holders have been amid the losers in general as the uprisings, ensuing insurgence and difficulties attest. While small holders were given individual titles to the parcel they worked on state administered community lands, neoliberal policies also eliminated subsidies and credit that made the smallholders productive. Facing increasingly unstable livelihoods many people left the country side to look for wor k in burgeoning cities. The number of undocumented workers increased tremendously due to this migration. While the United States benefited hugely from this cheap labor, migrant worker have become remittances have become Mexico’s second largest source of foreign revenue. Neoliberal policies have also had a profound effect on Mexico’

Tuesday, October 15, 2019

Effective Speakers Essay Example for Free

Effective Speakers Essay President William Jefferson Clinton, the 42nd President of the United States is a prime example of what it means to be an effective speaker. Although George H. W. Bush and Bob Dole were highly qualified opponents in the 1992 and 1996 elections, it was Clinton’s presentation skills and ability to work an audience that earned him his back-to-back terms in office. President Clinton â€Å"owned the room† from the beginning of his first presidential debate. Upon being asked his first question, Clinton walked up to the lady seeking answers, squared his shoulders toward her, looked her straight in the eye, and asked her to repeat her name. As soon as she responded with her name, Clinton repeated her name back to her and answered her question passionately and confidently. (Koegel, 2007, p. 06-07). Effective speakers can walk into a room, take the audience by surprise, and deliver a presentation that is both passionate and natural. A presenter does not have to be perfect, nor does the audience expect him or her to be so. According to Henninger (2010), making a mistake, forgetting a segment of your speech, or falling speechless for a moment is okay as long as your presentation has value. An effective speaker knows how to avoid gestures and facial expressions that point out his or her mistakes. Public speaking skills are not inherited. It is a talent and a technique that has become second hand to a speaker through a great deal of practice. Can anyone be an effective speaker? The answer to this question is yes; with sufficient knowledge, tools, and practice, anyone can stand up and â€Å"own the room. † Be Organized An exceptional presenter is one who is organized and an organized presentation is one that has a developed structure. The average human being has a very small attention span; therefore a speaker’s best speech is one that is short and to the point. At most, a good presentation only needs two or three main points. That’s really all the audience wants to hear anyway (Henninger, 2010). The audience is also more obligated to listen to a presenter who looks organized. First impressions are crucial when a presenter is trying to sell his or her ideas, services, or products. Thirty seconds of floundering before the audience can send a negative signal that suggests that the presenter is unprepared and can also create question as to whether or not the presenter is even confident in what it is he or she is trying to promote (Koegel, 2007, p. 45-46). A speaker only gets one impression, so he or she should strive to make it a positive one by looking and being organized. Speak Passionately A presenter must be passionate about his or her topic in order for the presentation to be persuasive. If a presenter is not passionate about the topic, then why should the audience even care about it? Many presenters are guilty of delivering lengthy presentations that painstakingly reinforce their topic. According to communication experts, the time on a presentation should be slimmed down and the energy should be boosted up (Layman, 2011). A presenter should be aware of his or her voice when delivering a speech. If one’s tone is droning and monotone, then the presenter can likely expect to look out into an audience that is either asleep or captivated with something other than the presentation on point. Speak up, speak from the heart, and speak with conviction. In keeping with Koegel (2007), a presenter’s voice is an outward expression of his or her passion. Engage the Audience A powerful speaker is one who can engage his or her audience. People do not particularly care to sit silently through an exhaustive presentation. Most audiences want to participate and be a part of it. One way to engage with the audience is to encourage audience participation. Meet with the audience before the presentation, learn a few of their names, and listen to comments that are being made. When delivering the presentation, the presenter can address these comments and call on audience members by name. Addressing the audience’s issues and demonstrating that time was taken to know them by name builds a relationship with the audience. It is significantly important to make eye contact with the audience as well. By looking people in the eye, a presenter enhances two-way communication as well as encourages and establishes trust and a congenial give and take relationship (Downey, 2011). Many speakers have been given the advice at one time or another to find an inanimate object, such as the wall in the back of the room, and focus in on it when delivering a presentation. By looking over the audience, the presenter can alleviate the anxiety that he or she may be experiencing, correct? Unfortunately, the wall in the back of the room is not going to be the one making the business decisions that day. The audience makes the decisions and if a speaker cannot talk to the audience, then the audience will more than likely seek business with someone who can. Act Natural An exceptional speaker always appears natural. If the speaker looks confidant and relaxed, then the audience will be relaxed. A presenter should stray from giving formal presentations overflowing with facts and statistics; try leaning towards a style that is more conversational, engaging, and full of illustrative stories and current events that relate to one’s topic. Telling a story or beginning a presentation with an anecdote is a good way to break the ice, ease a presenter’s anxiety, and engage the audience at the same time because telling stories is something that comes naturally to humans. However, be sure that the story or anecdote flows with the topic on point. An effective presentation should not sound scripted. Writing out the presentation is okay, but the speaker must then fight the temptation to read it word for word. The written word does not flow nor does it have the same approach as the spoken word. If a presenter feels obligated to write out his or her presentation and follow scripts, then he or she should be sure to lose the official tone and write in the manner that he or she speaks (Koegel, 2007, p. 122). Understand the Audience An effective speaker is one who can connect with his or her audience. According to Koegel (2007), understanding the business, issues, and concerns of the audience is an excellent way to achieve this goal. Before pitching a sales presentation, a presenter should research and thoroughly understand his audience. There are a number of ways one can achieve this, such as researching the company’s website to understand a firm’s morals, beliefs and objectives or another option would be to speak with employees within the organization prior to a meeting. As you present, you should look for opportunities to add value. Researching and understanding your audience is imperative and can present opportunities in which value can be added. An organization is more likely to listen and do business with a speaker who has demonstrated his or her knowledge of the company more so than a salesperson whose only preference is to acquire another sale. Once a speaker becomes familiar with the wants and needs of the audience, the presentation becomes much easier to craft (Mackay, 2011). Practice to Improve Humans are creatures of habit. The human body seeks comfort when placed in an uncomfortable situation. An example of this can be putting one’s hands in his or her pockets or looking down towards the floor. These minute gestures speak on behalf of the presenter and inform the audience that the speaker is uneasy about something. Without practice, a speaker cannot improve on these habits. There are many opportunities during the day to put into practice various speaking techniques. These skills should be practiced during one’s daily routine and not in â€Å"live† win-or-lose situations (Koegel, 2007, p. 6). If a speaker is in need of further assistance, he or she can hire a presentation coach. Effective speaking is not something one inherits at birth; it is a talent that is achieved through hard work and consistent practice. There is no reason to feel ashamed for asking for external help. Baseball great Hank Aaron batted cross handed until a batting coach corrected his style that led him to break Babe Ruth’s home run record. To Aaron and his colleagues, his hitting style before was satisfactory, yet it is often easier and beneficial to receive constructive criticism from outsiders instead of one’s own employees or colleagues (Porro, 2011). The point of this story is that even when someone is good at something already, that person is still not perfect. Practice, whether it is on one’s own time or through the assistance of a presentation coach, may not make a presenter a perfect speaker, but it opens the door for improvement and will make delivering a speech second nature to the presenter. By allowing one’s self to practice these techniques, it is then that the speaker becomes effective.

Monday, October 14, 2019

American Court System: Design and Functions

American Court System: Design and Functions In the United States, in keeping with our bicameral system of government, we have a dual court system consisting of State and Federal courts. While each system is self-contained it is possible, though infrequent, for questions of State law to finish at the United States Supreme Court. The systems and functions of the state and federal courts roughly mirror each other. The state courts system serves both trial and appellate functions and in turn, the federal court system serves these purposes at the federal level. The Federal Courts may be divided into Article III courts, and non-Article III courts. Article III courts were established by/under Article III of the United States Constitution. The Court of International Trade, District Courts (94 in 50 states, the District of Columbia and Puerto Rico), Courts of Appeals (12 geographic-based and another for the Federal Circuit), and the U.S. Supreme Court are all Article III courts. Non-Article III courts include Bankruptcy Courts, Tax Court, decisions by U.S. Magistrate Judges and Administrative Law judges (ALS) in various federal agencies. United States District Courts are trial courts of original jurisdiction for federal cases with mandatory appellant jurisdiction over rulings by non-Article III courts. They adjudicate all federal crimes as well as some civil law cases. All federal felony cases are the responsibility of U.S. Magistrate judges. State Courts vary considerably from state to state. In a broad sense, they all follow the pattern, in ascending order, of state minor trial courts, state major trial courts, state intermediate appellate courts, state high courts of last resort (also known as state supreme courts), and the United States Supreme Court. State minor trial courts include Municipal courts, Justice of the Peace courts and Magisterial District Courts. These courts serve as original jurisdiction courts for misdemeanor cases, both civil and criminal traffic violations and small civil claims. State major trial courts, which may also be known as Superior Courts, Courts of common pleas and District courts, are trial courts of general jurisdiction. They are often arranged by county or groups of counties, to hear felonies and some civil cases. They sometimes have jurisdiction over minor trial courts. State Intermediate Appellate Courts are used in forty out of fifty states. They have mandatory jurisdiction over rulings by the states major trial courts. It is rare for criminal appellants to win on appeal here. State high courts of last resort have both mandatory and discretionary jurisdiction over decisions by lower state courts. This court is a major policy maker for the state due to its position as the final decider on matters of state law. The United States Supreme Court (the High Court of Last Resort in the United States) is arguably the most powerful court in the world. It has absolute control over the cases it hears via its discretionary appellate jurisdiction over decisions made by the U.S. Courts of Appeals. It has jurisdiction over the highest state courts when a question of federal law, to include federal constitutional law, is at issue. Typically, less than a third of the cases heard by the countrys highest court are criminal cases. There are eight courts in the state of Alabama and three Federal districts. Alabama Court of the Judiciary oversees judicial officers and is assembled to hear complaints of the Judicial Inquiry Commission. Alabama Probate Courts deal with matters of probate and the governance of estates. Municipal courts in Alabama handle violations of city ordinances. District courts may be either criminal or civil. District civil courts handle small claims suits. District criminal courts handle state law violations, felonies, and misdemeanors. They can also accept a guilty plea in felony cases. Alabama Circuit Courts are state trial courts of general jurisdiction and have jurisdiction to hear civil and criminal cases. The Alabama Court of Criminal appeals presides over appeals in criminal cases. Civil appeals are the domain of the Alabama Court of Civil appeals. At the top of the hierarchy is the Alabama Supreme Court, the states court of last resort. District courts in Alabama are in the 11th Circ uit. They trial courts of original jurisdiction over federal cases. A criminal case that goes to trial may end up using trial, appellant and supreme courts. This basic structure and sequence is the same in both state and federal courts. Trial courts of general jurisdiction hear felonies and non-small claims civil cases. They may also have appellate jurisdiction over a states minor trial courts. A case may end at this level if the defendant is convicted and does not appeal, or if he is found innocent. Appellate courts have jurisdiction over decisions made by the major trial courts. Appellate courts do not rule on guilt or innocence but rather on whether the trial was conducted properly. It is rare for a defendant to win at the appellate level. If the decision of the appellate court is challenged the case will proceed to the State Supreme court, also known as the State court of last resort. Typically, the State Supreme Court hears only a few criminal cases annually. In order to move ahead to the United States Supreme Court, a case must include a questi on of federal law or federal constitutional law. All states do not have the same court design. Part of the purpose of a dual court system is to allow states the freedom to govern themselves and to be separate and independent of the federal government. This being the case, each state has developed its own court system and terminologies that serve the people of that state. While the overall structures of the court of one state may be similar to another/others, the fact that each state has its own unique laws guarantees variations in their court systems.

Sunday, October 13, 2019

Explain Different Religious teachings on Life After Death :: essays research papers fc

Over two thousand years ago Saint Tiruvalluvar wrote that "Death is like falling asleep, and birth is like awakening from that sleep." The early Hindu’s did not believe in Heaven, nor did they ascribe to such desire. Their early teachings were that they would be reunited with Mother Nature. There was no yearning to live eternally – their prayers were for a healthy life. The notion of reincarnation and Heaven evolved over time. In the Hindu religion, righteousness and to be without sin is of paramount importance. They are the determining factors whether one goes to Heaven or Hell. The Hindu’s teach, â€Å"As it does and as it acts, so it becomes: The doer of good becomes good, and the doer of evil becomes evil†¦" Hindus moved onto believe in a cyclical time span. This means they believe people don not live and die just once but are reborn a number of times before reaching their final state. Hindus believe that after death the soul is reborn in this world to live a new life. What the person and into which caste they are reborn into is decided by there karma. Karma will try to increase their goof karma by keeping dharma which is their duty to the Gods. The process of being born growing, dying and being reborn is called samsara. It is the goal of every Hindu to be freed from this cycle in order to be in the presence of God or become on with God. The idea of reincarnation derives from the Bhagavad-Gita. There are three four verses imparticular, the first one talk about the soul not ever being born or dying that it is always alive and it is therefore the body which dies. â€Å"It (the self) is not born, and It does not die; nor is it ever that this One having been nonexistent becomes existent again. This One is birthless, eternal, undecaying, ancient; It is not killed when the body is killed.† - Gita Ch. 2 Verse 20 The second verse related to reincarnation states â€Å"As after rejecting (discarding) worn-out clothes a man takes up other new ones (clothes), likewise after rejecting worn-out bodies the embodied one (soul) duly attains new ones.† -Gita Ch.2 Verse 22. As if when the body is worn and grow as much as it can, the soul moves on. The third verse discusses that fact the reincarnation is a certainty.

Saturday, October 12, 2019

Harriet Tubman Essay -- biographies bio biography

Harriet Tubman (1820-1913) Harriet Tubman is probably the most famous â€Å"conductor† of all the Underground Railroads. Throughout a 10-year span, Tubman made more than 20 trips down to the South and lead over 300 slaves from bondage to freedom. Perhaps the most shocking fact about Tubman’s journeys back and forth from the South was that she â€Å"never lost a single passenger.† Harriet Tubman was born into slavery in Maryland around 1820. By the time Tubman had reached the age of 5 or 6, she started working as a servant in her master’s household. Approximately seven years after she began working as a servant, Tubman was sent to work out in the fields. While Tubman was still a teenager, she sustained an injury that would affect her for the rest of her life. One day, Tubman stood up for another slave and blocked a doorway in order to protect them from an upset overseer. The overseer threw a weight at one of the field hands, missing them and instead hitting Tubman on the head. Tubman was never able to fully heal from the wound she sustained from the overseer. This injury caused a chroni...

Friday, October 11, 2019

George F. Handel

George F. Handel Brittany Shellem March 11, 2013 Monday 6:00pm Shellem 1 George F. Handel, a man born in the same time as Johann Sebastian Bach, has been recognized as one of the most underrated Baroque composers. Handel was born in the same time as Bach and only 50 miles away. This could largely be related to the reason why Handel is so underrated. Handel spent a large part of his childhood sneaking away and playing instruments behind his father's back. With his mother's assistance, Handel learned how to play the organ and eventually won his father's consent to study music.Success in music as a child led him to compose pieces and write operas. In the early part of Handel's life he spent time playing the organ for the Calvinist Cathedral. After his stay with the Calvinist Cathedral, Handel played violin and harpsichord for the only opera company in Germany that existed outside the royal courts, and also taught private lessons. Having inspiration from playing in an opera, George Hande l wrote his first opera, Almira in 1704. Handel found great success in his opera. The opera was performed twenty times in total until its place was aken by Handel's next opera, Nero. After his newly found success Shellem 2 George Handel moved to Italy in 1706 where he gained a wealth of knowledge on setting Italian lyrics to voice. In 1710, Geoge Handel was appointed Kapellmeister at Hanover, but soon took leave to London. Then, in 1719, he became musical director of the Royal Academy of Music. Much of Handel's time during the 1720's and 1730's was spent composing operas. While in the midst of his operas, Handel found the time to compose many other works. During the last few years of the 1730's, Handels operas were not as uccessful. Facing his own mortality in the opera world, Handel responded by focusing more on oratorio. Handel is best known for his usage of oratorios, choral dramas that emphasize arias and recitations. His use of choruses and religious sentiment in these pieces e volved into a new form of musical entertainment. Similar to operas, but devoid of scenery, the oratorio became a genre of its own. George Handel's focus on composing paid off when he composed the wildly successful oratorio, Messiah which was originally sung by a choir of 16 and an orchestra of 40.Tickets sold for atrocious amounts and music lovers publicized it constantly. Handel left Dublin for the Shellem 3 premiere of the piece. Unfortunately, Messiah was unsuccessful as audiences could not acclimate themselves to Handel's use of prose instead of a poetic text. Handel was a unique musician who did not limit his life work to operas and oratorios. He wrote anthems, psalms, and chamber music as well. Handel endured changes in his public life repeatedly throughout his career. Unfortunately, towards the close of his life he suffered from aralytic strokes and cataracts that ultimately left him blind. Despite his inability to see, Handel continued to perform and conduct. He was an inspi ration to other composers and musicians and died shortly after a performance of Messiah. Beethoven admired Handel's strength and creativity. Beethoven is quoted as saying, â€Å"Handel is the greatest composer who ever lived. I would bare my head and kneel at his grave† (1824). It would seem as if the earlier saying of Handel being one of the most underrated composers would be untrue.How can one man who accomplished so much and who was admired by so many of his peers be pushed under the rug? George Handel was a great musician and a strong Shellem 4 human being whose commitment to music withstood the rise and fall of his popularity. Works Cited Lang, Paul H. George Friderick Handel. New York: Courier Dover Publications, 1966. Print. Burrows, Donald. Master Musicians Handel. New York: Oxford UP, 1994. Print. Barber, David W. , and David C. Donald. Getting a Handel on Messiah. Toronto: Sound and Vision, 1994. Print.

Thursday, October 10, 2019

Belonging Essay

Response A sense of belonging can be found in many different places. But for one to belong to self, group or place one must fully understand one’s past. Peter Skrzynecki’s â€Å"10 Mary Street† and â€Å"Migrant Hostel† are two poems that explore his past, showing his attitudes and his quest to belong. Another text that explores this author’s past is John J. Encarnacao’s short story â€Å"Coming of Age in Australia†. These texts all explore relationships and feelings of cultural isolation. Relationships can be found in all 3 texts. Whether they are in the past or the present, they still form a basis to belong. Skrzynecki’s poem â€Å"Migrant Hostel† depicts the ? rst place that Skrzynecki arrives in Australia. From the beginning, it can been seen that Skrzynecki belongs to a forever changing group, a group of migrants held in a hostel where â€Å"No one kept count – Off all the comings and goings. † These opening lines give a sense of insecurity and instability. However, the â€Å"Arrival of newcomers†, shows the positive side of the migrant group, all embracing each other, and belonging to each other. With out this experience, however negative it may seem, Skrzynecki would not have been able to retell this story, his story, and ? d the places, or groups that he belongs to today. Another poem of Skrzynecki’s that explores relationships is â€Å"10 Mary Street†. Throughout this poem, the reader watches young Skrzynecki grow up and develop. In the beginning of the poem, Skrzynecki is naive to the world around him, â€Å"For nineteen years we departed each morning – Shut the house – Like a well-oiled lock†. He is placed into a routine. He does not know his own way, only to do as he is told. This poem explores the lack of a relationship, this lack that could shape one and possibly damage one’s self. My Parents watered plants – grew potatoes and rows of sweet corn: Tended roses and camellias – Like adopted children†. Skrzynecki feels unloved, like his parents care more for their plants than for their child. Without this relationship of work between parents and child, it would not have developed Skrzynecki personality into the one it is today. A similar type of relationship is shown in Encarnacao’s â€Å"Coming of Age in Australia†. Encarnacao is lost in Australia, his new country, â⠂¬Å"It has taken me 36 years, six kids, a divorce and a dozen jobs to come of age in Australia†. He feels secluded as a child. THe only way that he felt he could belong was to ? ght, â€Å"Fighting was a part of life†, â€Å"you had to ? ght – and win. It was the only way of gaining respect. † Encarnacao was lost, unloved, and didn’t belong. For him to belong in today’s society, â€Å"An Australian will still call me dago – but most of the time, it is over a friendly beer†. He had to ? ght his way through the harm, and become immune to the torment to become a man in Australia. Like every person in the world, Skrzynecki and Encarnacao made judgements, some good and some bad, and some that isolated them from other parts of their new culture. This judgements can be what what shapes a person, the can make a child into a man. Encarnacao’s wrong judgement to ? ght may have helped him develop a sense of belonging to a darker side of the world, but without it he would not have become the man he is today. This can be found in Encarnacao’s â€Å"Coming of Age in Australia†. Encarnacao now understands that what he did, help build the society of today, â€Å"I was not to know that Australia was growing up along with me†. Skrzynecki was faced with similar problems in his childhood. In â€Å"Migrant Hostel† Skrzynecki is in captivity, belonging to a group of so called outsiders. He had only found hope on the darkest of places, â€Å"Needing its sanctions to pass in and out of lives – That had only begun – or were dying†. He thought his only way out was death. Similarly, in â€Å"10 Mary Street† Skrzynecki thinks he ? nds his place of belonging, to belong to Australia, â€Å"We became citizens of the soil – That was feeding us Inheritors of a key – That’ll open no house – When this on is pulled down. † but he has lost his pre-war identity and does not feel like he belongs to Australia. With the bene? t of their current lives, both Skrzynecki and Encarnacao now know that their possible bad judgements, that caused them pain, have helped them to ? nd a sense of belonging today. Skrzynecki and Encarnacao tell their past, a past of exclusion and pain. But without them understanding their past, they would not have been able to ? nd their place or group of belonging that they are a part of today. This is re? ected in Skrzynecki’s â€Å"Immigrant Chronicle† and Encarnacao’s short story â€Å"Coming of Age in Australia†.

Wednesday, October 9, 2019

Is There Such a Thing as Bad Art? Essay

Perhaps bad art closes oneself to it. One sees something one doesn’t like, and without giving it a further thought one turns away. Or when one does give it a further thought, one thinks only about how the piece of art was, but not about oneself in relation to it. But is having no response a response within itself. Perchance the judging of art cannot be decided by responses. But rather if one cannot speak negatively of an artistic statement, instead one can only speak of one’s inability to find artistic merit. And therefore, to speak negatively of art is really to speak negatively of one’s own lack of imagination or emotional responsiveness. Or maybe one simply does not understand what the function of art is. However, maybe good art IS only good when it provokes a response. And when one looks back at ones response it is only significant if one notices a change in oneself. Still, these feelings may or may not exist when viewing a piece of art. And if those feelings do not exist it is not because the art is universally bad or good. Instead it is because the piece is bad or good to you. Conceivably art’s sole reason for existence is to provoke emotion. But then what type of emotion? One may see a gory painting that makes one revolt, but is that good art? Is a piece of art only good because it is popular or trendy? And if so then does bad art become good art when it is decided popular. Perhaps a painting is considered good measuring by how much money it costs. Or maybe it can only be considered good by the qualifications of the artist who made it. If so, would a finger painting by a kindergartener automatically be considered bad art while a blank canvas by a distinguished artist be genius? That is if in fact a finger painting can be determined as art at all. What even is art? Is it only considered art if it is on a canvas? Or can art be on the walls of a building in graffiti form? Is doodling in your notebook when bored in Philosophy class art? Or are all these creative forms of expression meaningless because they do not have to professionalism of an art gallery? I can say in confidence that I take a reformed socialist view on this. There’s no such thing as bad art but in return there is no great art either. Everything is subjective. There are billions of people living in different worlds, bad only exists to the person and groups of like people. But to be fair so does good. Perhaps instead of questioning, we should simply just let art be. Acceptance that without yin there would be no yang and without bad there would be no good.

Tuesday, October 8, 2019

Business accounting Assignment Example | Topics and Well Written Essays - 500 words

Business accounting - Assignment Example Whole Foods Market, Inc.’s current ratio will not allow them to take more debt as compared to previous years. Although, Whole Foods Market, Inc. has made short-term investments but still there is no significant impact on the current ratio. The overall condition of current ratio reveals the fact that the current ratio which is not pretty stable and healthy as compared to the industry practice. Quick Ratio: Whole Foods Market, Inc. quick ratio is lower than the industry average. The reason behind this is the improper working capital management which makes the quick ratio more tentative in the last three years. The overall signal of Whole Foods Market, Inc. liquidity is not good and it sends a negative signal towards the debt holders and also on the debt market. Moreover, the liquidity crunch problem makes the performance of Whole Foods Market, Inc. slightly vulnerable. Debt to Equity: Dependency on debt financing is not a bad habit but it has consequences if you rely on more. Whole Foods Market, Inc. debt to equity ratio is lower in comparison with the previous year. The factors of business volume, Inc.rement in sales, fulfilment to pay the suppliers and acquisitions of fixed asset. Due to the expansion in business, Whole Foods Market, Inc. has plenty of financial obligations, most of which has been acquired through debt. In 2008, Whole Foods Market, Inc. reliance more on debt financing as compare to the previous years. Interest Coverage Ratio (TIE): This ratio suggests the fact that TIE ratio is higher in comparison with the industry because of company entertain its business with high proportion of debt financing. Although the company’s management runs business successfully and this is shown in the EBIT which suggest that the Company is keep improving in the EBIT year by year. In comparison with the ability of paying interest expense is fine in comparison with he industry

Monday, October 7, 2019

Human circadian rhythms Essay Example | Topics and Well Written Essays - 1500 words

Human circadian rhythms - Essay Example The circadian cycle includes 24 hrs of the day. A person usually sleeps approximately 8 hrs and is awake for 16 hrs. Throughout the wakeful hours, mental and physical functions are most active and growth increases but during sleep, voluntary muscle activities fade away and metabolic rate, respiration, heart rate, body temperature, and blood pressure are reduced. The actions of the digestive system rise during the resting period, the activity of the urinary system decreases. It is evident that hormones secreted by the body, such as the stimulant epinephrine (adrenaline), are released to its maximum just two hours before awakening to prepare the body for activity (Encyclopedia Britannica). Hypothalamus is the chief control centre especially the Suprachiasmatic nucleus (SCN), part of the hypothalamus; it receives signals about light and dark from the retina of the eye. Cyclical fluctuations of melatonin are essential for maintaining a normal circadian rhythm. Induction of sleep is gener ated when melatonin binds to receptors in the SCN (Encyclopedia Britannica). An understanding for the biological rhythms is fundamental part towards the perception of all aspects of life including death (Edery, 2000). Physiologic diurnal variation in cardiovascular system, heart rate and cardiac output plays an imperative role in finding the epidemiology of fatal cardiovascular events in the early hours of morning (Dunlap, 1999). It is manifested that diurnal variations are attributed to environmental stimuli or any kind of increase in sympathetic activity (Dunlap, 1999). It is evident that many features of cardiovascular physiology and pathophysiology involve alterations in the expression of genes regulating metabolic and contractile function of the heart and vasculature (Edery, 2000). In order to maintain homogeneous conditions of the body, all the biological processes must be maintained within physiologic boundaries. Failure to achieve a specific