Monday, September 30, 2019

Studying: Then and Now

Studying: Then and Now One June day, I staggered into a high school classroom to take my final exam in United States History IV. I had made my usual desperate effort to cram the night before, with the usual dismal results—I had gotten only to page 75 of a 400-page textbook. My study habits in high school, obviously, were a mess, but in college, I've made an attempt to reform my note-taking, studying, and test-taking skills. The first thing I tried to improve in college was note-taking. I took notes in high school classes but I often lost interest as compared to my note- taking at college.Note taking in high school classes often began with doodling, drawing Martians, or seeing what my signature would look like if I married the guy in the second row. Now, however, I try not to let my mind wander, and I pull my thoughts back into focus when they begin to go fuzzy. In high school, my notes often looked like something written in Arabic. In college, I've learned to use a semi-print writing style that makes my notes understandable. When I would look over my high school notes, I couldn't understand them.There would be a word like â€Å"Reconstruction,† then a big blank, then the word â€Å"important. † Weeks later, I had no idea what reconstruction was or why it was important. I've since learned to write down connecting ideas, even if I have to take the time to do it after class. Taking notes is one thing I've really learned to do better since high school days. Another area that I needed to concentrate on was my method of studying. Ordinary studying during the term is another area in which I've made changes. In high school, I let reading assignments go.I told myself that I'd have no trouble catching up on 200 pages during a 15-minute ride to school. College courses have taught me to keep pace with the work. Otherwise, I feel as though I'm sinking into a quicksand of unread material. When I finally read the high school assignment, my eyes would run over the words, but my brain would be plotting how to get the car for Saturday night. Now, I use several techniques that force me to really concentrate on my reading. I also changed the way of study for taking testsIn addition to learning how to cope with daily work, I've also learned to handle study sessions for big tests. My all-night study sessions in high school were experiments in self-torture. Around 2:00 A. M. , my mind, like a soaked sponge, simply stopped absorbing things. Now, I space out exam study sessions over several days. That way, the night before can be devoted to an overall review rather than raw memorizing. Most important, though, I've changed my attitude toward tests. In high school, I thought tests were mysterious things with completely unpredictable questions.Now, I ask instructors about the kinds of questions that will be on the exam, and I try to â€Å"psych out† the areas or facts instructors are likely to ask about. These practices really work, and f or me they've taken much of the fear and mystery out of tests. Since I've reformed, note-taking and studying are not as tough as they once were, and I am beginning to reap the benefits. As time goes on, my college test sheets are going to look much different from the red-marked tests of my high school days. Outline Introduction:Thesis Statement: My study habits in high-school, obviously were a mess, but in college, I’ve made an attempt to reform my note-taking, studying and test-taking skills. Topic sentence 1: I took notes in high school classes but I often lost interest as compared to my note- taking at college 1. Interest 2. Note writing 3. Connection Topic Sentence 2: Ordinary studying during the term is another area in which I've made changes. 1. Pace 2. Concentration Topic Sentence 3: In addition to learning how to cope with daily work, I've also learned to handle study sessions for big tests. 1. Spacing 2. Attitude Conclusion

Marcus Ang Is A Member From The Field Sales Section Essay

Marcus Ang is a member from the field sales section. His sales performance in the recent months has been below target in contrast to his outstanding sales in the past years. Marcus blames it on the poor economic situation, however the other sales staff seem to able meet their target. How should Madam May May attribute Marcus’s performance? First of all, Madam May May has to know about what happened to Marcus. What causes him to blame the poor economic situation while the other sales staff still be able to meet their target. As we learn from the organization behavior, we know that employee’s behavior will affect the performance of an organization. According to Fritz Heider and H.H. Kelly, they stated that people’s behavior is affected by internal and external factors. On the other hand, Kelley’s attribution theory refers to three types of factors which are distinctiveness, consensus and consistency. Distinctiveness is about whether the subordinate’s behavior occur during the performance of this task only? Next, consensus is like whether this behavior unusual for the subordinate’s peers? Then, consistency is about if this behavior unusual for the subordinate in other situations? In this situation, Madam May May should first consider about the factor of consensus. As Marcus cannot be able to hit the target while other are able to reach their target. Next Madam May May should consider about locus of control dimension, which mean whether the primary cause of the behavior is a characteristic of the subordinate, or a characteristic of the situation. Second ,stability dimension whether the subordinate is likely to remain stable or unstable? The crossing of the locus of control and stability dimensions produces four casual factor that a leader can utilize to explain a subordinate’s behavior, ability , task difficulty , luck ,chance, effort.

Saturday, September 28, 2019

Seasonal Allergens

In Austin many people suffer from seasonal allergies which are triggered by mold spores and pollen grains mainly during spring and fall. Mold spores are responsible for causing seasonal allergic rhinitis also known as hay fever. Molds did not have a specific bloomy seasons but their presence in the air is affect by weather conditions such as rain, temperature, humidity and wind. There numbers increase during warm humid summer months and reach their peak during fall. O the other hand pollen grains have specific pollination period usually depending on the origin of the plant.When allergen substances and pollen grains enter the body, they cause the immune system to respond through an allergic reaction. During seasonal allergens people who are allergy sufferers should be encouraged to avoid the allergens by staying indoors. Allergy sufferers should learn to avoid early morning outdoor activities mainly because this is when pollen grains are being transferred from one tree to another. Pol len Allergy Pollens grains are protective sacks that certain male gametes that are necessary for plant fertilization.During pollination time, these male gametes are transferred to female plant for fertilization. Wind loving plants now rely on the wind to transfer their pollens grains. This is the main cause of allergic problems because the pollen grains of wind loving plant are very light in weight and air borne particles. In Austin, Texas trees like oak and elm pollinate during spring and therefore cause seasonal allergies in early spring. Ragweed plant is disastrous to allergy sufferers because it pollinates from mid August to October.The pollen grains of this plant are very light weight and can travel to a distance of 400 miles from the plant. Mold allergy Micro-scoping mold spores are present all year round floating in the air just like pollen grains, but they peak during summer and fall. Mold air borne allergies are both found indoors and outdoors and include cladosporium and a spergillus. The most common sign of these season allergens are sore throat, itchiness, running nose, sneezing and congestion. During seasonal allergic periods, pollen grain and mold spores are very high and they stick on clothing, hair, skin and pets.Pollen grain transfer usually takes place during the early morning period Cedar fever Cedar fever is also referred to as mountain cedar allergy which seasonally starts from December all the way to February. This allergy is caused by the mountain cedar tree and tree of the cypress family. The mountain cedar tree grows naturally to a maximum of 30 feet. It is an evergreen tree which the most allergenic tree in Austin Texas. The tree has both male and female plants and it pollinates from October to May. During this period, the male plant transfers its pollen grain to the female plant.This occurs mainly during the windy seasons when the branches of this tree are disturbed and its pollen grains appear like smoke in the air. Oak allergy Oak t rees shed allergen amount of pollen grains starting from February to late May. The sufferers of oak allergy usually reach the peak of their symptoms during mid April. Oak tree allergies can range from moderate to severe allergic reaction. Austin has a great diversity of oak tree are yellowish in colour will stick on house roofs, cars and outdoor furniture’s. Seasonal allergensAustin is rated among the top five worst places hit by allergies. It has three unique pollen seasons which occur during the Fall, the Spring and Winter. In the Fall, the ragweed plant and other weed are responsible for releasing their pollen grains usually from mid August all the way to early November. In Austin, this season last for a long period than in any other part of the country. During the Spring, the oak tree, Elm and Ash trees transfer their pollen grains starting from February to early June. In the winter, the mountain cedar tree releases its pollen from December up to February.Pollen counts fr om the central Texas are the highest pollen counts of any type of plant in the world. During days of high cedar pollen counts, people who are allergic to cedar cannot go outdoors without having serious allergenic symptoms. (Guyton, AC, and Hall, JE, 2006). Scientific review of human allergies Abstract Allergies are disorders of the immune systems that occur as a reaction to environmental substances. An allergic response also known as immediate hypersensitivity is characterized by excessive activation of mast cell by immunoglobulin E.Allergic responses can be divided into two pathophysiological phases including the acute response and the late-phase response. The acute or immediate response occurs immediately after being exposed to a particular allergen. Allergic responses consist of primary responses and secondary responses. A primary immune response occurs after a first encounter with an antigen. Human allergies have two major risk factors which include environmental and host factor s. Host factors include age, heredity and race while environmental factors vary from exposure to infectious diseases, dietary changes, allergen counts and environmental pollution.Allergic symptoms could be moderate or severe depending on the immune system of the affected person. Human allergies Scientific research studies suggest that allergies are the fifth leading chronic disease and affect more than 50 million people in the United States. There are various types of allergies ranging from allergic rhinitis to food allergy. Allergic rhinitis causes swelling of the nasal mucosa and respiratory discomfort such as running nose and sneezing. Skin allergies cause blisters and itchy rashes that rise from touching allergic substances.Allergy swelling can cause swallowing difficulties. Anaphylactic allergies cause severe symptoms such as bronchoconstiction, skin reaction and sometimes lead to death. Scientific studies show that children who have allergic parents have a higher likelihood of developing similar allergies. The human’s immune systems is developed in such a manner that it can detect a foreign organism in the body. If a foreign substance such as pollen is identified the body defence mechanism came into action to fight the foreign substance. The body produces immunoglobulin E to fight the detected foreign organism.(Leznoff. A. , (1999). Allergic symptoms usually occur when a sensitive person is exposed to a substance that could be harmless to other normal people. Allergic symptoms are mainly inherited but could also develop at any age depending on the time of exposure to allergens. There are three major categories of allergens including inhalants such as pollens, mold and dust. The other categories are ingestions and injected substances such as drug, beverages and vaccines. Allergies are disorders of the immune systems that occur as a reaction to environmental substances.An allergic response also known as immediate hypersensitivity is characterized by excessive activation of mast cell by immunoglobulin E. most allergic substances are airborne particles especially dust and pollen grains. Hay fever is an allergic reaction that occurs in response to airborne pollen and it causes sneezing, irritation of the nose and the redness of the eyes. Inhaled pollen grains could also cause asthmatic symptoms trough bronchoconstriction, shortness of breathe, wheezing and excessive production of mucus in the lungs.Allergic reactions can also result from food, medication and insect bites. Food allergies may cause symptoms such as vomiting, abdominal pains, swelling of the skin or diarrhea. Insect bites and medication cause a systematic response that is also known as anaphylaxis which affects multiple systems of the body. Human allergies have two major risk factors which include environmental and host factors. Host factors include age, heredity and race while environmental factors vary from exposure to infectious diseases, dietary changes, allerge n counts and environmental pollution. (http://www.setel. com/~allergy/Products/allergy) Seasonal allergy responses and how human health is affected Abstract Seasonal allergens have very adverse reactions on different people depending on the type of allergen and the immune system of each individual. Seasonal allergies could interfere with a person’s ability to perform their daily duties. In the United States, up to 35million people suffer from seasonal allergies and as a result, an average of 4 million workdays are lost each year. A majority of allergy sufferers have reported that they have difficulty sleeping or working effectively.Seasonal allergic responses During seasonal allergens people who are allergy sufferers should be encouraged to avoid the allergens by staying indoors. This method is effective when they limit outdoor activities especially when the pollen counts are at their peak. If one cannot afford going outdoors, they must take a shower and change clothes immedi ately after, because pollen grains stick to hair, clothing and skin. Allergy sufferers should learn to avoid early morning outdoor activities mainly because this is when pollen grains are being transferred from one tree to another.In cases where one must work outdoor, they should wear a dust and pollen mask that helps to prevent inhaling pollen grains, mold spores and dust. Allergy sufferers could respond to seasonal allergens through immunotherapy, whereby they get allergy vaccines which lead to reduction in allergic symptoms. After taking shots for a period of 3 to 5 years, allergy sufferers experience reduced symptoms and thus need less medication. Allergy shots are more effective for inhalants and insect bite allergies. other people can respond to allergens by taking medication to control the allergic symptoms.The common types of medication used include lung inhalers, nasal sprays and oral medication. Allergic symptoms could be moderate or severe depending on the immune system o f the affected person. Allergies are overreactions of the immune system to foreign substances such as pollen grains, peanuts, insect bites and certain medications. Allergic symptoms usually include sneezing, running nose, itching, skin rashes and wheezing. On many occasions allergic reactions could lead to asthma, which occurs when the airways are temporarily blocked or even narrowed due to exposure to certain allergens.Symptoms of an asthma attack mainly include difficulty breathing, wheezing, shortness of breathe or coughing. (http://allergies. about. com/od/alternatives/Alternative_Allergy_Treatment_Options. htm) Allergic responses Allergic responses can be divided into two pathophysiological phases including the acute response and the late-phase response. The acute or immediate response occurs immediately after being exposed to a particular allergen. Allergic responses consist of primary responses and secondary responses. A primary immune response occurs after a first encounter with an antigen.This type of response is small and has a long induction phase. On the other hand, secondary responses occur after a second exposure to a particular antigen. The acute allergic response occurs within minutes following an allergen exposure caused by the release of histamine and mast cell granules. This acute allergic response is referred to as type 1 allergic reaction. The type 1V allergic reaction may occur within a period of 6 hours to 12 hours after an exposure to an allergen. On detecting a foreign substance in the body, the immune system reacts to the antigen in two responses which include cellular response and antibody response.In cellular response, the immune system produces special white blood cells which are referred to as T lymphocytes, which have the capability of binding to the foreign antigens and destroying them. In the antibody response, the immune system reacts by producing and releasing blood proteins known as antibodies into the bloodstream. (Levinson , W. , (2004). When allergen substances and pollen grains enter the body, they cause the immune system to respond through an allergic reaction. The immune system produces antibodies which have mast cells attached to them.These antibodies bind to the allergen substances either on the skin, in the nose or in the respiratory system. On binding with allergens, mast cells become activated and release histamine, a substance that produces most of the symptoms associated with allergic reactions. The symptoms include wheezing, itching, sneezing and nasal congestions. Although these symptoms are meant to assist the body in fighting off the foreign substances, they could sometimes be very severe and fatal on some people. References Allergies, (2006a), Alternative Allergy Treatment Options, [Online], retrieved from Internet on 10 January 2007, http://allergies.about. com/od/alternatives/Alternative_Allergy_Treatment_Options. htm Allergy, (2006), What is Allergy, [Online], retrieved from Interne t on 10 January 2007, http://www. setel. com/~allergy/Products/allergy Guyton, AC, and Hall, JE, (2006), Textbook of Medical Physiology-11th Edition, Published by Elsevier, Pa. , ISBN 13-81-8147-920-3 Levinson, W. , (2004), Medical Microbiology & Immunology, 8th Edition, McGraw Hill Companies, ISBN 0-07-143199-3 Leznoff. A. , (1999), Provocative challenges in patients with multiple chemical sensitivity, J Allergy Clin Immunol 1997 Apr; 99 (4):438-42

Friday, September 27, 2019

Forensic Evidence Analysis Research Paper Example | Topics and Well Written Essays - 750 words

Forensic Evidence Analysis - Research Paper Example The primary goal is to distribute the dissimilar and criteria based key search process to every workstation on the network. Likewise, users will not complain for any issue related to operating system performance, as DNA client only consumes the unused processor time (Decryption & password cracking software, n.d). Likewise, if more than one or many processors are used at the same time, result will come fast. Moreover, if a processor has two or more cores, performance increases accordingly. DNA has two modes i.e. dedicated or non-dedicated and these modes are applied on the workstations. The dedicated mode requires a workstation that will exclusively utilize DNA network with no other tasks incorporated except the DNA password recovery that is a primary job. On the other hand, non-dedicated mode requires a workstation that will be used for other tasks as well. For instance, after working hours, workstations are available for use. These workstations can be assigned to DNA for contributin g valuable computational efforts that are required for password recovery. If many workstations contribute to a password recovery process, a single workstation has the capability of analyzing 1000000 passwords per hours, and 24000000 passwords in 24 hours respectively. Let’s suppose, DNA is using only 10 workstations on a non-dedicated mode for just 14 hours per day, the results will be 140,000,000 passwords for the same 24 hours with the increase of approximately six times than the previous one. Moreover, if more machines are added, a result for password recovery improves. However, workstation must be on the network and will be able to resolve the IP address so that the DNA server can establish connectivity to the DNA client. Workstations connect to the DNA server via DNA client and form a cluster for testing more passwords in less time. Products related to DNA provide statistical information in the form of graphs and has the capability to add user dictionaries and customize them according to the requirements. Moreover, customization is also available for password attacks in explicit languages. Furthermore, DNA products also possess the feature of stealth client installation functions and automatic updates on DNA client from the DNS server. File formats that are supported includes spread sheet formats, PDF, data compression formats etc. Network security audit Vulnerabilities or weaknesses that is probable to disrupt network services can be categorized in to interception, availability and access points. The interception category focuses on the data that is transmitted by utilizing a carrier or equipment over the network (Approach to auditing network security , n.d). The transmission conducted by these carriers and equipment can be interrupted and produce a risk of adverse discovery that can be related to breach in integrity of data. Secondly, availability is concerned with the expansion of networks and more remote sessions are created to the internal app lications, any disruption in availability of network services will impact business operations. Thirdly, access point is related to weak access point will allow a threat to penetrate within the network and disrupt or destroy confidential information available on mission critical systems (Approach to auditing network security , n.d). Focusing on the 3 categories, auditors will examine aspects of physical security

Two Sides of the Same Coin of Revenge Essay Example | Topics and Well Written Essays - 1250 words

Two Sides of the Same Coin of Revenge - Essay Example ngeling.â€Å"Such readings may speak to a wish to construct the violence of revenge as a purely â€Å"male† problem or an effect of patriarchy† (Willis 22). Shakespeare and Middleton turn the tables by using a female revenger, Tamora and Beatice-Joanna, in their plays. These two characters are two sides of the same coin. Tamara is the â€Å"imagery of [a] womb, tomb, and pit† (21) while Beatrice-Joanna is the image of sight; both these qualities are fuel for their revenge. Hunger’s role is to gain more power while the sight is blinded by the end goal, both on a verge of destruction. Both female characters seek out revenge and use their influence and position to obtain their desired vengeance through indirect, coercive, and manipulative channels. These characters seek revenge only to leave a trail of lies, blood, and deception, which follows them to their graves for truth cannot be hidden for long. Titus Andronicus and The Changeling highlighted the many ways in which the plays are informed by gender ideology (21). It maybe said that tragic plays revolve around a masculine character. â€Å"Men had a vested interest portraying vendettas as â€Å"grand struggles[s]† highlighting masculine traits of bravery, daring, and fighting skill† (24). The beginning of the play is started off with Saturninus and Bassianus fighting over who should be named Emperor. They chant their speeches but Marcus steps in to announce the â€Å"returns the good Andronicus to Rome† (Shakespeare 1.1.37). Men would use their strength to gain power and authority, while women â€Å"appeared as idealized figured of chastity to be protected, or more darkly, as vulnerable vessels of the enemy to be raped and despoiled. But in many of Shakespeare’s plays, as well as in those by other Elizabethan and Jacobean dramatists, women are sometimes active participants in revenge plots† (24). For revenge to be there, first a crime must be committed and for one reason or the other the law cannot punish the

Thursday, September 26, 2019

Terrorism Enforcement Research Paper Example | Topics and Well Written Essays - 2000 words

Terrorism Enforcement - Research Paper Example Also, enforced sentences on international terrorists is not impressive given that by May 2006, the average sentence for individuals convicted dropped to 20 days from the prior 41 months. Terrorism Enforcement: 9/11 Aftermath Introduction September 11 is a day that marked great changes in relation to terrorism enforcement especially in the USA. A few months after the 9/11 event, the then Bush administration and Congress worked closely in putting up vital adjustments to the Department of Homeland security. The private and public sector agreed to work together where federal agents and airport security staff performed searches to individuals for explosives and weapons which could be used for terrorism activities. The then president of the United States of America issued secret orders to intensify surveillance programs headed by the National Security Agency (NSA). In the same period, the congress worked indefatigably to establish laws to enable terrorism enforcement. Majority of these law s controlled the flow of legal and illegal immigrants and visitors to the US as well as establishing systems critical to preventing terrorism. The following paper looks into the legal side of terrorism enforcement largely inspired by the act of terrorism in September 9th 2001 in the United States in New York City and the Washington, D.C. After 9/11, categories of terrorists were increased. This was done to enhance effective information gathering and analysis as terrorism enforcement is sort out for. The new bookkeeping system is aimed at diversifying activities of anti-terrorism as well as checking kinds of terrorism. The US government has categorized a considerably large number of individuals as terrorists and antiterrorists. The following table show categorized individuals between 2001 after the attacks and 2006. Source: Transactional Records Access Clearinghouse (TRAC, 2006) Federal prosecutors resolved that 64% of the total set of completions do not deserve prosecution. An addit ional 9% of the completions were either found not guilty or their cases were dismissed after prosecution. This means that approximately 27% of the total sets of completion were convicted. This statistics leads to a conclusion that of the total set of 6,472 people categorized as antiterrorist or terrorist, only one-fifth of the total number were convicted by 2006 since the 9/11 attacks. The table below shows the actual anti-terrorism and terrorism categories. Source: Transactional Records Access Clearinghouse (TRAC, 2006) The low rate of success in achieving conviction can be clearly seen by the attainment of only 1329 convictions from the 6472 individuals categorized by terrorism enforcement agencies. A look at the nature of convictions raises an even more interesting picture. Approximately one percent (14 individuals) of all convictions bares a substantial sentence of 20 and above years. 67 individuals received penalties of sentences longer or equal to 5 years. This represents only 5% of the total set of completions. It is worth noting that the rest of the individuals received minor convictions: 704 individuals were not imprisoned while 327 of the remaining had imprisonment periods less than a year. Simply put, the median imprisonment figure was zero. Countering International Terrorism Trends After the 9/11 attacks, an international terrorist was defined as â€Å"an individual suspected of having been involved in acts that are violent

Wednesday, September 25, 2019

Legal Process Paper Essay Example | Topics and Well Written Essays - 750 words

Legal Process Paper - Essay Example In filing a charge, John must provide his name, address and telephone number as well as similar details about his employer. He must also include information about the number of employees at the organization, if he is aware of this. A brief description of the event that occurred on the basis of which he wishes to file his compliant, must be included and John must also describe when it happened and why and how he believes it violates his rights. However, John must take care to file his complaint within a period of 180 days after the discriminating incident occurred, and if this time period runs out, then his rights may no longer be protected. If the nature of John’s charge is such that it also falls within the purview of anti-discrimination, whether local or state based, then an extension would be allowed on the time period of filing to 300 days. Such state based organizations are referred to as Fair Employment Practices Agencies (FEPAs), and the work on a charge that is filed m ay be shared between the EEOC and the FEPAs, so that John’s interests would be protected under both federal and State laws. If John is filing a suit for discrimination on pay issues, then this would fall under the purview of the Equal pay Act, in which case there would be no time limits for filing and John would also be entitled to directly file his suit in a court of law. However, in cases of discrimination on other grounds, John must first allow his case to be processed by the EEOC, which will determine whether a violation has occurred. In the event there is a violation, efforts will be made by the EEOC to suggest measures for conciliation with the employer. If the resolution proposed by the EEOC is not satisfactory to John or if the EEOC is unsuccessful in getting an employer to comply and compensate John, then he will be notified of his right to file the suit in a court

Tuesday, September 24, 2019

How did eugenics contribute to the final solution Essay

How did eugenics contribute to the final solution - Essay Example Eugenics is a movement that was planned before World War II in Germany in 1923 and 1933, which ultimately changed the lives of millions of people. Before World War II ever came along, there was a movement in Germany to rid society of undesirables. Undesirables fell into several categories later on, although initially the report that was issued seemed like a simple plot to rid society of disabilities by not allowing certain sectors of the populace to reproduce due to defects or detriments of some sort. â€Å"In May 1923, [physician Gerhard] Boeters sent a report to the government of Saxony in which he demanded compulsory sterilization for the hereditarily blind and deaf, the mentally handicapped, the mentally ill, sexual ‘perverts,’ and fathers with two or more illegitimate children.†1 Sterilization was the beginning of a regime change which began to discriminate against individuals that were different or â€Å"not normal† in some way.

Monday, September 23, 2019

Boston Tea Party Research Paper Example | Topics and Well Written Essays - 1500 words

Boston Tea Party - Research Paper Example The historical belief is that the Boston Tea Party was set into motion in 1765 by the Tea Act of the British parliament that was meant to aid the British East India Company that held a massive surplus of tea in its warehouses. The British decided to sell the tea to its colonies at undercut prices in order to help save the failing tea company. However, purchasing the tea would have fallen under the Townshend Duties which was not supposed to apply to the colonies. The colonies recognized the usurpation of power that was taking place due to the entry of the tea into the American market, causing the colony to resist purchasing the tea. The Boston Tea Party was the result of a near decade of indirect war between the colony and Britain. The actions of the British parliament in relation to the entry of the taxed British tea into the colony eventually led to the independence of America in 1776. It is interesting to note however, that the aforementioned history of the Boston Tea Party is but one of the many versions / reasons that has come out over time to explain the events leading up to the eventual independence of America from colonial rule. The most commonly accepted version of the Tea Party history is that it was an event that occurred in 1773 as a showdown between the â€Å"Friends of Government† represented by Governor Thomas Hutchinson, and the â€Å"Sons of Liberty† represented by Samuel Adams and Joseph Warren. When the ship The Darthmouth docked on American shores on November 28, 1773 it was unable to offload its cargo of tea. The colony refused to let the the ship go back to England and yet they refused to receive the tea as well. Both sides had 20 days to clear customs and resolve the issue. However, resolving the problem of the taxed tea proved to be futile. At this point, British warships, expecting trouble, stood guard in the nearby harbor. When all efforts are negotiation failed, The â€Å"Body of the People† that had gathered at the Old South Meeting

Sunday, September 22, 2019

Social Contract Theory of John Locke Essay Example for Free

Social Contract Theory of John Locke Essay Given the honored and extensive authority that the social contract theory upholds, the supposition still endures various assessments. The view that people’s ethical and political responsibilities are reliant upon a contract between them to structure a society is also precisely linked with current ethical and political theory. John Locke (b. 1632, d. 1704), a prominent truth-seeker among other professions of the 17th and early 18th centuries, is primarily recognized for the creation of his influential social contract theory. Censors dispute that most people are raised within an existing society and not presented with opportunity to opt a social contract; therefore, Locke’s social contract theory is considered invalid. Locke’s refute to the censors alleged that a keen understanding of how social contracts transpire must occur prior to the advancement of individuals in the social order. This paper will entail the social contract theory of John Locke and how the values identified are consistent with the criminal justice system (Uzgalis, 2007,  ¶11). The State of Nature. The social contract theory commences with the idea of a state of nature; the central idea that criminal justice systems are not in existence. The breakdown of effects result in the lack of protection provided; the inability to instill safety measures; and the neglect of civil rights pertaining to property and to individualized refuge. Public order is in disarray resulting in people relying on self-help methods to resolve differences of opinion. The individuality of existence within a state of nature is one of the primary areas under discussion that differences occur among social contract philosophers. Unlike Thomas Hobbes, John Locke’s colleague in philosophy, whom references a state of nature as a battle of everyone in opposition to one another, Locke references state of nature, not as a circumstance of warfare, but nevertheless a problem. Locke theorizes that a community not possessing access to a normal arbitrator would signify that each person would mediate individual cases. This style of adjudication would create recurrent heated discussions being settled by personal brutality. Despite the different thinking techniques of Locke and Hobbes, the agreement exists that the state of nature would generate a sadistic and apprehensive atmosphere (Reese, 2001,  ¶11-12). The State of Nature is a condition of ideal and inclusive autonomy to manage life in the best method one deems necessary, according to Locke. To add clarity, Locke’s proposal was not to include the freedom to do whatever one desires despite the consequences. Although the State of Nature presents a status that municipal influence and government does not discipline individuals for illegal indiscretions, doctrines remain in subsistence. Furthermore, the State of Nature assumes equivalency to others and is equally skilled to make determinations ensured by, what Locke claims, the foundation of decency; the Law of Nature. Locke’s viewpoint is that the Law of Nature was provided to mankind by God with the instructions not to cause injury to one another in regard to physical condition, independence, existence, and property. In Locke’s words, â€Å"Moral good and evil is only the conformity or disagreement of our voluntary actions to some law, whereby good or evil is drawn on us, from the will and power of the law-maker† (Laslett, 1967, p.18). Locke refutes Hobbes theory by making claim that because God owns every living creature, and every human being is considered equivalent, people are not at liberty to eradicate what belongs to God. The State of Nature works as a set of guidelines allowing people to pursue unreservedly happiness by following personal areas of interest and creating personal diplomacy (2001,  ¶3-4). In this observation the decree is established on God’s determination but strangely, the theory is not consistent with Locke’s assertion pertaining to the Law of Nature. Locke elaborates that because the State of Nature is reasonably passive; people are entitled to seek this happiness free from hindrance. Although the hypothesis is to some extent contradicting, Locke’s theory does add simplicity to the reasoning of why an unbiased criminal justice system is detrimental to society. Two Treaties on Government Locke surmised in the Two Treaties on Government, 1686, originally people agreed to a governmental social contract to ensure safeguarding of property rights and security from aggression. In lieu of defense, community members presented authorization to the government for verification that community members wished to be presided over. Locke made public the claim that any government official can justifiably be replaced if he or she neglects duties or takes advantage of the position. Locke’s view of righteousness is germane to the debate of the United States Criminal Justice System because initiators depended upon Locke’s words of wisdom to direct the assembly of an organization of self-governing supremacy. Undeniably, numerous pieces of the United States Declaration of Independence duplicate portions of Locke’s Second Treatise precisely. For example, citizens are gifted â€Å"with certain unalienable rights . . . governments come about to secure the rights and to gain just powers from the consent of the governed† (Laslett, 1967, p. 61). Locke’s statement pertaining to how disparaging the government can become and the entitlement the community members obtain is also noted in the Declaration of Independence. Locke’s dispute resulted as the starting point for structuring an admired government in addition to a validation for rebellion. Political convictions formerly sustained the proposal of community members providing government requirements. The concept of an innovative social contract in which the government subsisted to provide requirements of the administration created a novel reflection that upheld Lock’s thoughts, â€Å"a person surrendered to the authority of the state only the amount of freedom necessary to ensure protection of the rights of other citizens† (1967, p. 3-7). The fresh proposal concerning contractual association of the government to community members was a creation of an inventive, rising middleclass (1967, p. 15). Conclusion Based on the preceding theories of the highly regarded John Locke, the values identified within the State of Nature are noticeably consistent with the values of existing day criminal justice system. Although challenging, without the basis of Locke’s hypothesis on social contract, the criminal justice system would lack genuineness and compassion creating an unreceptive environment. Locke’s theory makes current the immeasurable array of associations and connections interlinking people. Social contract theory is undeniably a part of the criminal justice system at present and in the projected future. Locke’s theory, along with other reputable premises, will forever compel the reflection upon the nature of people and the connection to one another. Reference Laslett, P. (December 1967). Two treaties of government and the revolution of 1688. Locke: Two Treatises of Government. Cambridge Texts in the History of Political Thought. (ISBN- 13 : 9780521069038 | ISBN- 10: 0521069033). Reese, R. (September 2001). Social justice theory. Journal of Ethics and Justice. Uzgalis, W. (2007). Historical background and locke’s life. Stanford Encyclopedia of Philosophy.

Saturday, September 21, 2019

Friday, September 20, 2019

Radioactive Decay Coin Experiment

Radioactive Decay Coin Experiment Understanding radioactive decay by experimenting with coins. Abstract The aim of this report is to show how to simulate the radioactive decay process using coins as a safer method of learning, the report is divided into six parts: Introduction: radioactivity, radioactive decay, half-life and the main purpose of the experiments are explained here. Hypothesis of both labs are detailed here. Method: the method to carryout both experiments is in detail in this section, provided in a step by step style that a reader can replicate the experiment himself. Results and discussion: The results of Lab 1 and Lab 2 are thoroughly discussed and analyzed in this section, and my hypothesis is held against the final results of the experiment. Conclusion: the final thought on the results from the experiments and if they did prove the hypothesis or not. References: a full list of all the references that contributed to this report are provided. Appendix: all the final data from Lab 1 and Lab 2 are provided for reference. Introduction Radioactivity can be described as the particles which are emitted from a nuclei as a result of nuclear instability. Radioactive decay is when the isotopes are unstable they tend to discharge energy in the form of radiation. There are a total of three main types of radiation or radioactive decay this depends on the type of the isotope: Alpha decay When there are numerous protons in a nucleus the element will start to discharge radiation in the form of positive charged particles these are called alpha particles. Beta decay When there are numerous neutrons in a nucleus the element will discharge radiation in the form of negative charged particles, these are called beta particles. Gamma decay When there is an excessive amount of energy in the nucleus the gamma particles with no overall charge are discharged from the element. The half-life of an isotope can be explained as the average time that takes half of the total number of atoms in a sample to decay eventually. What this experiment aims to show is how probability is related to radioactive decay. We use coins in this experiment as a model that reflects the randomness of the radioactive decay process. Keeping in mind the randomness of the results from this experiment, one should expect to achieve the desired results eventually (it is a matter of time and trial and error). This experiment is divided into two parts: Lab1 where we deal with a greater number (195 coins in this case) and Lab2 where it’s a much lesser number (16 coins). Hypothesis of the experiments: Since Lab 1 uses a large number of coins (195) there is a probability of 50% that the coins will flip if all of them were to be shaken at once, and this can be a very good representative of how half the atoms in an isotope will decay (half-life). I think that the same can be said about Lab 2 as I expect 50% of the 16 coins to decay as probability is the same regardless of the number of coins. Method Lab 1: we put 195 five pence coins in a big black box shaped folder (all of the coins with their heads side facing up) and shook the box 20 intense shakes each attempt and then we proceed to open the box and count how many coins flipped to their tails side (this represent decaying) and the result gets recorded (number decayed each attempt, accumulated no. decayed and coins left) at the end of each trial the decayed coins are removed from the box. We keep doing this experiment until all coins are flipped to their tails side (decayed). Lab 2: This time we are using less number of coins (16 five pence coins) and we put them in a plastic cup, for each attempt we shake the cup then we flipped the cup upside down on a table, then we check how many coins flipped to their tails side (decayed) for this first throw and we record them, then we put back the heads facing coins back to the cup and we repeat the process of shaking the cup and flipping it on the table until we have 2 heads facing coins or less, and we record how many attempts it took us to have 2 heads coins or less. All of this count as one trial, we do this process for up to 50 trials. Each trial gets recorded separately (Number of coins decayed first throw and number of throws to get 2 or less). An alternative way to do the experiment if it is difficult to do physically is using this online coin toss simulator: http://nrich.maths.org/7220 Results and discussion The results for lab 1 were similar to what I had in theory, approximately 50% of the coins decayed in the first trial and second trial, then the percentage became lesser and more random as the trials goes by. Figure 1: number of coins left (shown as circle markers) and the accumulated number of decayed coins (shown as square markers) against the number of trials. It can be observed in figure 1 that the more coins we have (starting at 195) the higher the decay rate (that can be observed), but the lesser number of coins left the less obvious probability of the coins decaying even though the probability is the same (as the randomness of the decaying process is not related to a certain number of coins) as to make the decaying more obvious in smaller number of coins we did Lab 2: Figure 2: Frequency of the decayed coins in the first throw. As shown in figure 2 the frequency of the 16 coins decaying in the first throw in each trial of the 50 trials is 9 which is still approximately 50% of the total number of coins, this proves my point that the probability of the coins flipping to their tails side (decaying) is the same regardless of the number of the coins in each experiment. Furthermore, the total number of coins decayed out of 16 coins in all of the 50 trials has been calculated and the total percentage was 47.75% again this is approximately 50% of the total number of coins in all of the 50 trials. Figure 3: Frequency of the number of throw to get 2 or less In figure 3 which show the frequency of how many throw of coins we need to reach 2 non-decaying coins or less in each trial (we stop at 2 rather than zero because it will take unnecessary large number of throws per trial), it further proves my hypothesis of the probability of 50% coins decaying as the most frequent number of throws to reach 2 or less was 3, we explain this by saying because 9 coins will mostly flip in the first throw (approximately 50% of the 16 total coins) it will take mostly 3 throws to reach 2 coins in the end because 50% of the coins will probably decay in each throw: 16 Coins > 50% Decay rate (In the first throw) > 8 Coins > 50% Decay rate > 4 Coins > 50% Decay rate > 2 Coins or less = 4 total number of throws going at a decay rate of approximately 50%, 3 throws to reach 2 or less is the most frequent number (also to back up this claim a calculation has been made by calculating the most frequent number of throw to get 2 or less over the total number of 50 trials and the average was 3.08 as provided in the appendix). The decaying process is random in its nature so even if it is likely for the coins to have a 50% decay rate in the experiment done, it cannot be taken for granted. Despite the fact that this final results for this experiment were satisfactory there was still some room for human error in this case, this can vary between simply not counting the coins correctly, to actually losing some of the coins. The experiment could easily be improved by doing the two labs two times between two students and they can compare the results afterwards. Another improvement can be done to the equipment that was being used as the box folder used in lab 1 had some holes in it that was not perfect for shaking the coins inside. Otherwise the coins themselves were all of the same kind (five pence) all of them having the same size and shape helped greatly in avoiding any confusion for the students doing the experiment. Obliviously since this is a student level experiment the equipment and method used were humble but satisfactory, but if this experiment were to be replicated by a higher level institution for a more serious cause then a machine should be used for tossing and counting the coins to get more accurate results. Conclusion The final results of the experiment were satisfactory and have proven my hypothesis and were helpful in understanding the randomness of the radioactive decay process, but as mentioned before, we can achieve better and more accurate results using more advanced methods. References (Ducksters,2015) http://www.ducksters.com/science/chemistry/radiation_and_radioactivity.php (Physics.org) http://www.physics.org/article-questions.asp?id=71 (Mini Physics) http://www.miniphysics.com/radioactive-decay.html (Probability Formula,2011) http://www.probabilityformula.org/ Appendix Table 1: Lab 1 results Table 2: Lab 2 results Table 3: A frequency table of the number of coins decaying in the first throw of each of the 50 trials. Table 4: A frequency table of the number of throws to get 2 non-decayed coins or less throughout the 50 trials.

Thursday, September 19, 2019

Doctor-Assisted Suicide Should be Legalized Essay examples -- Euthanas

â€Å"Dogs do not have many advantages over people, but one of them is extremely important: euthanasia is not forbidden by law in their case; animals have the right to a merciful death.† ― Milan Kundera, The Unbearable Lightness of Being One of the most controversial topics that is being debated today, both morally and legally, is assisted suicide, sometimes known as active euthanasia. Assisted suicide is the act of directly intervening in order to end the life of a terminally ill patient (i.e. administering a large amount of sleeping pills). The word "euthanasia", comes from Latin "eu" for "good" and "thanatos" for "death" (OCRT 1). Many people in this country are existing in a "living death", suffering on a day to day basis. The Declaration of Independence endows three basic rights to all Americans: Life, Liberty, and the pursuit of Happiness. Living in constant pain and agony is a violation of these most basic rights. Terminal illnesses compromise the well being of not only the patient, but also their families, friends, and doctors. People are entitled to request that their life be terminated through medical methods in situations which destroy any hope for quality of life. Many people are against an assisted suicide system. While religion plays a major role in the opposition of euthanasia (many religions, including Christianity and Judaism, are not only against assisted suicide but suicide altogether), the heart of their opposition is the fact that an elderly or poor patient may be coerced into choosing euthanasia by cost-conscious family members or their doctors (Klaidman 62). They feel that an exploitation of a euthanasia system is inevitable. However, these abuses and exploitations can be prevented through a strict regu... ... 1-2). Works Cited "Before the Court, the Sanctity of Life and Death." Various authors. The New York Times . 5 Jan. 2007. Bernards, Neal, ed. Euthanasia . Opposing Viewpoints Ser. San Diego: Greenhaven Press, Inc., 1989. "Euthanasia and Assisted Suicide." 2013. Web. 17 April 2015 http://www.nhs.uk/conditions/Euthanasiaandassistedsuicide/Pages/Introduction.aspx Flanders, Stephen A. Suicide . Library in a Book Ser. New York: Facts on File, 2011. Klaidman, Daniel and Reibstein, Larry. "Weighing the Right to Die." Newsweek . 13th Jan. 2013 Long, Robert Emmet, ed. Suicide . The Reference Shelf Ser. New York: The H. W. Wilson Company, 1995. "Doctor-Assisted Suicide." Web. 17 April 2015 http://endlink.lurie.northwestern.edu/physician_assisted_suicide_debate/what.cfm Van Beima, David. "Is There a Right to Die?" Time . 13th Jan. 2013: 60-61. Doctor-Assisted Suicide Should be Legalized Essay examples -- Euthanas â€Å"Dogs do not have many advantages over people, but one of them is extremely important: euthanasia is not forbidden by law in their case; animals have the right to a merciful death.† ― Milan Kundera, The Unbearable Lightness of Being One of the most controversial topics that is being debated today, both morally and legally, is assisted suicide, sometimes known as active euthanasia. Assisted suicide is the act of directly intervening in order to end the life of a terminally ill patient (i.e. administering a large amount of sleeping pills). The word "euthanasia", comes from Latin "eu" for "good" and "thanatos" for "death" (OCRT 1). Many people in this country are existing in a "living death", suffering on a day to day basis. The Declaration of Independence endows three basic rights to all Americans: Life, Liberty, and the pursuit of Happiness. Living in constant pain and agony is a violation of these most basic rights. Terminal illnesses compromise the well being of not only the patient, but also their families, friends, and doctors. People are entitled to request that their life be terminated through medical methods in situations which destroy any hope for quality of life. Many people are against an assisted suicide system. While religion plays a major role in the opposition of euthanasia (many religions, including Christianity and Judaism, are not only against assisted suicide but suicide altogether), the heart of their opposition is the fact that an elderly or poor patient may be coerced into choosing euthanasia by cost-conscious family members or their doctors (Klaidman 62). They feel that an exploitation of a euthanasia system is inevitable. However, these abuses and exploitations can be prevented through a strict regu... ... 1-2). Works Cited "Before the Court, the Sanctity of Life and Death." Various authors. The New York Times . 5 Jan. 2007. Bernards, Neal, ed. Euthanasia . Opposing Viewpoints Ser. San Diego: Greenhaven Press, Inc., 1989. "Euthanasia and Assisted Suicide." 2013. Web. 17 April 2015 http://www.nhs.uk/conditions/Euthanasiaandassistedsuicide/Pages/Introduction.aspx Flanders, Stephen A. Suicide . Library in a Book Ser. New York: Facts on File, 2011. Klaidman, Daniel and Reibstein, Larry. "Weighing the Right to Die." Newsweek . 13th Jan. 2013 Long, Robert Emmet, ed. Suicide . The Reference Shelf Ser. New York: The H. W. Wilson Company, 1995. "Doctor-Assisted Suicide." Web. 17 April 2015 http://endlink.lurie.northwestern.edu/physician_assisted_suicide_debate/what.cfm Van Beima, David. "Is There a Right to Die?" Time . 13th Jan. 2013: 60-61.

Wednesday, September 18, 2019

The Canterbury Tales :: Essays Papers

The Canterbury Tales Historical Background The Canterbury Tales were written in 1386 by Geoffrey Chaucer. In "The General Prologue," Chaucer introduces the Monk as a rebellious person who does what he wants and does not follow the rules of the monastery. However, in the Middle Ages, monks could not behave this way. They had to follow the rules of the monastery which were written by St. Benedict. They took vows as proof that they would follow these rules. In the Middle Ages, monks had to follow rules and be divided. The rules for the monasteries were written in 520 by St. Benedict. He was the leader of a monastery and wanted to write a set of rules "that were not so strict that monks would abandon their vocations"(Americana, p. 542). They were simple and allowed monks to exercise their minds and live stress-free lives. The rules said that monks had to pray, perform manual labor, and study. The studying was beneficial to the monks since they were able to become well educated. The knowledge gained from studying led many monks to write books. As part of their manual labor, they hand copied books because xerox machines were not invented yet. According to the Encyclopedia Americana, in the Middle Ages, monks in monasteries were divided into choir monks and lay brothers. This was a way of dividing the work because choir monks had to recite the prayer, the Divine Office, which was a requirement in the rules. The lay brothers did the manual labor. Hand copying books probably took a long time and they had a lot of other work to do, like studying and praying. Monks in the Middle Ages had to follow the rules and be divided. It was advantageous to be a monk because all they did was devote their lives to studying and praying. Since they led stress free lives, they were able to concentrate on their studies. The division of monks into lay brothers and choir monks seemed like an adjustment to the rule because the work was divided whereas before, all the monks had to recite prayers and do manual labor.

Tuesday, September 17, 2019

Esprit five forces Essay

Esprit faces competitors such as H&M, Uniqlo, Zara, Mango, Giordano, and Gap. Esprit’s goal is to make its own enterprise gain advantage relative to its competitors. So when they implement their plan to achieve their goal, conflict occurs with their competitors. Competition is often manifested in the price, advertising, products, services and so on. Many â€Å"Fast Fashion† brands have different product lines. Their products are more innovative and stylish. Also those brands can meet the needs of middle-class consumers. Therefore those brands can occupy the market share and gain the market value. In 2011, Esprit lost more than 90% income from 2007. It is because Esprit lost its brand positioning, continuously slipping in popularity, less consumer demand, lack of innovation and unable to meet diverse needs of consumers. To solve these problems, Esprit decided to exit its North American retail operation. They cooperate with new competent license partner instead. However, they did not give up on North America entirely. Because exit the competition is more costly than continue to participate in the competition. There are some reason will mainly affect Esprit such as economic factors, global strategy and emotional effects. Socio-political factors include asset specificity and costs of exit. Threats of Buyer’s Growing Bargaining Power Esprit exists in fast fashion industry and there are few competitors in the industry. The products of fast fashion industry have similar style. Therefore buyers would have lots of choices. Buyers would like to get higher-quality products at an affordable price and this will affect the profitability of companies in the industry. In China market, China has a huge market size and demographic differences among provinces. However, China is a â€Å"Red Sea†. Esprit cannot get a desirable profit because there are too many competitors. This affect the buyers in China have more choices to make their own decision. Threats of Suppliers’ Growing Bargaining Power Supplier bargaining power is the ability to influence the setting of price. Suppliers lower their material’s quality and value but raise up the price of  input factors in order to influence the existing industry in profitability and competitiveness. Different supplier’s materials have certain characteristics and distinguishing features. Therefore the retailer cannot change the supplier suddenly without planning because changing the supplier may higher the cost. Also the one of the important reason is retailer hard to discover a high quality to replace the material. The strength of supplier bargaining power is mainly depends on what materials or input factors they provide to Esprit. When suppliers provide the input factors that the value occupy Esprit’s large proportion of the total cost of product and the production process is critical or seriously affect the quality of the product, the potential bargaining power of supplier is greatly enhanced. Threats of New Entrants Barriers of entry include economies of scale, product differentiation, switching costs, capital needed, sales channels, natural resources, policies, geography, and so on. Some of these barriers are hard to breakthrough by means of copying or imitation. The possibility of new enterprises to enter the industry is depends on the entrant, estimated potential impact of interest rate and the required cost of the risk to take. Competitive access to the severity of the threat depends on two factors. One is the size and the other one is expected barriers to new areas of existing businesses respond to entrants. However, the fast fashion industry entry barriers are very low. Therefore there is a lot of competitors who almost sales the same products or services in order to gain the fast fashion market share. Esprit is being tough and very hard to survival in this market which has high competition of market share of raw materials and it may lower the profitability of a company in the industry. Th reats of Substitute Products Esprit and its competitor such as H&M, Gap’s products are very similar and their products are substitute products. The competitive of substitute products will affect the competitive strategy of the company in the fast fashion industry. The existing product prices and potential of increasing the profitability are limited by the user’s acceptability of the existing substitute products. Because of invades of substitute products, the existing enterprises must improve the quality of their products, reduce the cost in  order to lower the price or make the products be more unique in order to prevent the loss and frustrated of sales. The lower price and higher quality of substitute product will produce a strong competitive pressure to the enterprises. The intensity of competition from substitute product can specifically observe by examining the sales growth, factory production capacity and profit expansion.

Monday, September 16, 2019

Corporate Social Responsibility in India Essay

The basic principle of the sustainable development and Corporate Social Responsibility is the combination of needs important both from the point of view of an institution, as well as a group of entities operating in its environment (employees, shareholders, stakeholders, borrowers, local society) within its business policy. Thus, the goal of a contemporary organisation should be to maximise its shareholders’ value satisfying, at the same time, expectations of other stakeholders (stakeholders’ value) by integrating economic, social and environmental operations. There are many factors that make us interested in Corporate Social Responsibility 2: †¢ †¢ †¢ †¢ New problems and expectations of citizens, customers, public authorities and investors in the context of globalisation and significant industrial changes; Social criteria have bigger and bigger influence on investment decisions made by units and institutions playing both the role of consumers as well as investors; Bigger and bigger care for damages caused to natural environment by business activities; Transparency of business activities supported by media and IT technologies. Corporate Social Responsibility principles, as well as the quality of information in their web sites and annual reports, the main sources of knowledge about the company for potential investors, counterparties and local communities. In the near future, we should also expect that as a result of the globalisation of financial markets, Polish listed companies will meet investors that are more aware of Corporate Social Responsibility and consumers that invest and co-operate better with companies supporting environmental and social development. The analysis of awareness rates and progress in implementing the concept of Corporate Social Responsibility in the sector of Polish companies covered all joint stock companies listed in the Warsaw Stock Exchange4, excluding listed banks (covered in the analysis of the banking sector) and national investment funds. Results of the study are based on information disclosed and presented in web sites and annual reports of the analysed companies and they refer to the following aspects: †¢ †¢ †¢ reporting on Corporate Governance principles adopted by the company, including audit rules; reporting on the company’s environmental policy, reporting on the company’s social policy. The study covered possibilities of an access for investors, local communities, potential business partners to the information about the company’s financial standing, and strategies in progress. The principles for reporting on Corporate Governance were stipulated in the resolution of the Stock Exchange Council of October 16, 2002 (58/952/2002) on best practice in public companies in 2002. Pursuant to this document, companies were obliged to publish and deliver, by July 1, 2003, their first statement confirming their will to observe the newly introduced rules. The study carried out by the Institute shows that over 90 percent of companies publish their reports on incorporating (adopting) principles of Corporate Governance in their business strategies. However, we have to point out that the quality and availability of the information presented in web sites and in annual reports of companies for potential investors and society is relatively low. 4 The analysis was carried out from August – October 2003. 5 The Gdansk Institiute for Market Economics Among the listed companies under the study, only 40 percent disclose and publish detailed information about the structure of their Corporate Governance, and mostly in web sites, where companies present the information about the composition and structure of their management board (74. 4 %) and the composition and structure of their supervisory board (62. 2 %). Chart 1. 1. 1 Do domestic companies publish detailed information about the structure of their supervisory bodies? 100% 90% 80% 70% 60% 50% 40% 30% 20% 10% 0% Board structure Supervisory board structure Responsibilities of board member Definition of independence 25,6% 37,8% 51,7% 87,2% 99,4% 99,4% 74,4% 62,2% 48,3% 12,8% 0,6% Any supervisory board Commities 0,6% Individuals responsible for implementation, oversight and audit of economic, social and environmental policies YES NO Source: Own study based on research carried out by the Gdansk Institute for Market Economics. The Institute’s studies on the companies’ informing about the structure and responsibilities of their main bodies in charge of Corporate Governance also show that: †¢ domestic listed companies have not appointed persons in charge of implementing and supervising their policy related to Corporate Social Responsibility, yet (only 0. 6%), †¢ companies usually do not disclose the information about the existing committees at their supervisory boards. Potential investors and business partners willing to establish co-operation with a given entrepreneur want to know external auditors analysing the company’s financial statements and know whether they are reliable. 6 The Gdansk Institiute for Market Economics The Institute’s study shows that 88 percent of domestic public companies presents information related to their audit policy in their web sites. The companies usually give procedures for selecting external auditors, principles for rotation (changes) of external auditors and point out that external auditors are independent of the company. Nevertheless, in Poland, companies still do not present statements on audit costs and costs of other services performed by auditors. The Institute’s analysis also shows that most listed companies under the study (86. %) have undertaken to respect such shareholders’ rights specified in the Best Practice like: †¢ †¢ right to express their opinion and make motions to the company’s management board; right to see minutes and reports from previous meetings (usually available to the shareholders at the company’s office); †¢ publishing information on future General Shareholders Meetings and their agenda. Chart 1. 1. 2 Do domestic companies publish information about audit, shareholders’ rights, implemented principles of their Code of Business Conduct / Code of Ethics? 100% 90% 80% 70% 60% 12,8% 13,3% 98,9% 50% 40% 30% 20% 10% 87,2% 86,7% 1,1% 0% Does the Company disclose audit related Does the company disclose its policy on information? shareholder rights? Does the company disclose and report on its internal Code of Business Conduct/ Code of Ethics? YES NO Source: Own study based on research carried out by the Gdansk Institute for Market Economics. Assessing the awareness and progress in implementing the concept of Corporate Social Responsibility by Polish listed companies, it is worth underlining that still a small percentage of companies has developed and adopted the Code of Ethics and the Code of Business Conduct, 7 The Gdansk Institiute for Market Economics where the companies define, for example, principles for social, environmental policy, issues related to the protection of human rights, employment policy. The managements have to guarantee that the Code of Business Conduct is effectively implemented, monitored and improved. Therefore, the European Commission promotes companies which adopt and implement the Codes of Business Conduct prepared by international corporations. In the opinion of the European Commission, the Code of Business Conduct should 5: †¢ Be based on guidelines of the Convention of the International Labour Organisation, defined in the Declaration on Fundamental Principles and Rights at Work from 1998 and OECD’s guidelines for international companies related to social partners and their stakeholders; †¢ †¢ †¢ Incorporate mechanisms required to assess and verify the Code implemented; Involve social partners and other groups of stakeholders influencing the company’s operations in the dialog about the shape of the Code; Expand the experience related to best practice in European companies. The concept of Corporate Social Responsibility also assumes that the company should purposefully get involved in environmental protection. The study shows that domestic listed companies do not find it purposeful to present information about actions taken to protect t e natural environment. On the one hand, it h results f rom the fact that the companies are not aware of potential benefits they could obtain, according to the assumptions of Corporate Social Responsibility, for example if their environmental actions are positively perceived by their stakeholders. The research carried out by the Market and Opinion Research International (MORI) under the CSR Europe campaign on the sample of 12 thousand citizens representing 12 countries shows that around 70 percent of consumers buying a product or a service take into account the level which a given producer is involved in social and environmental activity to. At the same time, every fifth consumer is ready to pay more for goods produced by a socially responsible company. On the other hand, the lack of information about environmental actions taken by the companies results from relatively low financial expenses borne by these companies for environmental purposes.

Sunday, September 15, 2019

Medieval Ireland the Coming of the Normans, 1167â€1185

By the 12th century, Ireland was divided politically into a shifting hierarchy of petty kingdoms and over-kingdoms. Power was concentrated into the hands of a few regional dynasties contending against each other for control of the whole island. The Northern Ui Neill ruled much of what is now Ulster. Their kinsmen, the Southern Ui Neill, were Kings of Brega (Meath). The kingship of Leinster was held by the dynamic Ui Cheinnselaigh dynasty. A new kingdom rose between Leinster and Munster, Osraige, ruled by the family of Mac Giolla Phadraig. Munster was nominally controlled by the Mac Cartaig, who were however in reality often subject to the Ui Bhriain of Thomond. North of Thomond, Connacht's supreme rulers were the Ui Chonchubhair. After losing the protection of Tyrone Chief, Muirchertach MacLochlainn, High King of Ireland, who died in 1166, Dermot MacMurrough (Irish Diarmait Mac Murchada) , was forcibly exiled by a confederation of Irish forces under the new High King, Rory O'Connor. Diarmait fled first to Bristol and then to Normandy. He sought and obtained permission from Henry II of England to use the latter's subjects to regain his kingdom. By 1167 MacMurrough had obtained the services of Maurice Fitz Gerald and later persuaded Rhys ap Gruffydd Prince of Deheubarth to release Maurice's half-brother Robert Fitz-Stephen from captivity to take part in the expedition. Most importantly he obtained the support of the Earl of Pembroke Richard de Clare, known as Strongbow. The first Norman knight to land in Ireland was Richard fitz Godbert de Roche in 1167, but it was not until 1169 that the main forces of Normans, Welsh and Flemings landed in Wexford. Within a short time Leinster was regained, Waterford and Dublin were under Diarmait's control, and he had Strongbow as a son-in-law, and named him as heir to his kingdom. This latter development caused consternation to King Henry II of England, who feared the establishment of a rival Norman state in Ireland. Accordingly, he resolved to visit Leinster to establish his authority. The Papal Bull and Henry's invasion: Pope Adrian IV (the first English Pope, in one of his earliest acts) had already issued a Papal Bull in 1155, giving Henry authority to invade Ireland as a means of curbing ecclesiastical orruption and abuses. Little contemporary use, however, was made of the Bull Laudabiliter since its text enforced papal suzerainty not only over the island of Ireland but of all islands off of the European coast, including England, in virtue of the Constantinian donation. The relevant text reads: â€Å"There is indeed no doubt, as thy Highness doth also acknowledge, that Ireland and all o ther islands which Christ the Sun of Righteousness has illumined, and which have received the doctrines of the Christian faith, belong to the jurisdiction of St. Peter and of the holy Roman Church†. References to Laudabiliter become more frequent in the later Tudor period when the researches of the renaissance humanist scholars cast doubt on the historicity of the Donation of Constantine. Henry landed with a large fleet at Waterford in 1171, becoming the first King of England to set foot on Irish soil. Both Waterford and Dublin were proclaimed Royal Cities. Adrian's successor, Pope Alexander III ratified the grant of Irish lands to Henry in 1172. Henry awarded his Irish territories to his younger son John with the title Dominus Hiberniae (â€Å"Lord of Ireland†). When John unexpectedly succeeded his brother as King John, the â€Å"Kingdom of Ireland† fell directly under the English Crown. Henry was happily acknowledged by most of the Irish Kings, who saw in him a chance to curb the expansion of both Leinster and the Hiberno-Normans. This led to the ratification of the Treaty of Windsor (1175) between Henry and Ruaidhri. However, with both Diarmuid and Strongbow dead (in 1171 and 1176), Henry back in England and Ruaidhri unable to curb his nominal vassals, within two years it was not worth the vellum it was inscribed upon. John de Courcy invaded and gained much of east Ulster in 1177, Raymond le Gros had already captured Limerick and much of north Munster, while the other Norman families such as Prendergast, fitz Stephen, fitz Gerald, fitz Henry and le Poer were actively carving out virtual kingdoms for themselves.

Saturday, September 14, 2019

Outline the Ways in Which Rubbish Can Be Said to Have Value in a Consumer Society

Since the latter part of the nineteenth century, contemporary UK society has been steadily changing. Where once we tended to define ourselves by our employment and the status in society that position may have given us, we now define ourselves much more by the goods we buy and choose to surround ourselves with (Hinchcliffe 2009). What we wear, the house we live in, the food we choose to buy and the experiences we create for ourselves all are thought to say more about us personally and as a society and have led to the creation of the term ‘consumer society’(Hinchliffe 2009). The rise in disposable income and the ability to acquire easy credit has enabled the vast majority of the UK population to buy goods more readily than at any time ever before and to fill our homes with an array of consumables. However this increase in affluence has generated a massive rise in consumer goods being manufactured and purchased and consequently is creating huge amounts of waste in return. Outdated and broken goods, massive amounts of packaging and waste created during manufacture are proving increasingly difficult to dispose of. The resources being depleted in order to create and transport goods are also having devastating consequences on the earth and the environment and are not sustainable (Brown 2009). This essay will look at some of the ways in which we can revalue this rubbish in our ever changing and evolving society. When we purchase goods today there are many factors that can eventually transform the item into what we would commonly term as ‘rubbish’, something of no value whatsoever to its owner. Goods are made increasingly cheaply and in quantity to allow for low selling prices and are not necessarily built to last. The cost of repair can be more than replacing the item itself with very few specialist repair services being offered on the high street nowadays. Ever changing fashions and trends altering every season can lead to everything from shoes to furniture being thrown away and replaced in order for one to stay ‘in trend’ in our modern consumer society (Brown 2009). One theory of how rubbish can be redefined and given new value is put forward by Michael Thomson (Brown 2009). His theory suggests that items can move from being valued into the category of rubbish and out again into something of value. Items can be ‘Transient’, in other words, not built to last and consisting of most of the consumer goods such as mobile phones and clothing we can purchase in our shops today. Their value will decrease with use and they will often be replaced as fashion and trend dictates and newer and more desired items come on to the market. Other items can be called ‘Durables’. These items are often more expensive to buy and gain value over time such as good jewellery, paintings and rarer items people may wish to invest in or collect. His third category is one of ‘Zero value’ such as completely broken items and worn out clothes (Brown 2009). Economic reasons can be one of the ways in which new value can be placed on an object. The rise in charity shops, car boot sales and online auctions enables some of the ‘Transient’ items to be given new value. One person’s rubbish may be of value to another (Brown 2009). The changing economic climate since the recent credit crunch and more unemployment may mean that people with more time and less money may find uses for the worn out clothes and other ‘Zero value’ items by repairing or recycling in some innovative way(‘Reflections on Material Lives’,2009). Transient goods can become out-dated over time until they apparently become almost worthless. Some of these goods may then become popular or appealing in some other way. For instance a new trend in retro items such as the current interest in ‘shabby chic’ goods gives the items a fashionable appeal. Old and outdated consumer goods can become of interest to collectors and as interest increases so does the value. If these goods are no longer being produced, demand will outweigh supply and thus increase their price and therefore their value (Brown 2009). Aesthetic revaluation is another example of how new value can be given to rubbish. Some contemporary artists such as Tracey Emin and Chris Jordan (Brown 2009) have created works containing junk and other waste such as plastic cups, circuit boards, empty bottles and cigarette ends. By making a statement about our wastefulness in our consumer society in their works, they are bringing new value to rubbish by transforming it into valuable objects of art (Brown 2009). Environmental concern is another aspect that is prompting the revaluation of rubbish. In 2008, the waste generated more quickly than could be disposed of, was said to be 40% greater than the earth’s available yearly resources (Brown 2009). The earth’s resources and its capacity for absorbing the waste we generate has become environmentally unsustainable. Disposing and recycling of rubbish is now huge international business and although there is great economic value in this for the companies involved the need to find ways to sustain the environment is also a major factor in this process (Brown 2009). Transporting rubbish around the world where it is recycled more cheaply and remanufactured into a usable commodity to be shipped back, highlights the new value of some of our rubbish. Waste plastics, paper, card and glass are now just some of the products collected, recycled and sold for profit. Previously they may have been simply landfilled at not only monetary cost, so of ‘negative value’, but as we are now discovering, great cost to our planet (Brown 2009). Revaluing rubbish can therefore come about in many ways. In an ever growing consumer society we are beginning to become more fully aware of not only the amount of rubbish we are generating, but the understanding that by revaluing this waste we are helping to sustain the planet. Where once we would have thrown it into the bin without thought, we now know the ‘value’ of our waste. The increasing demands to cease using plastic carriers in favour of supermarket ‘bags for life’; the prevalence of car park bottle bins and clothing banks; the household recycling bins are all constant reminders to us of the value of our rubbish. Economic value can be added to out dated goods due to new trends and fashions and as items become of interest to collectors. The less there may be of something and the more the demand is for it; the more likely the value will be raised creating further interest and higher prices. Taking junk and turning it into art also revalue’s rubbish. Many artists are seeing the possibilities of pointing out to us our wastefulness and by using rubbish in their art they are turning it into something of artistic merit and often considerable monetary value (Brown 2009). Moreover, even design students today are being taught to utilise used items and create something new and useful or aesthetically appealing from them. (Reflections on Material Lives’, 2009). Whether selling our old possessions on online auctions for profit or donating to the charity shop, we are giving new value to what we no longer feel has worth. Rubbish is becoming more and more valuable as our consumption as a society grows ; â€Å"at a time when we’re both short of materials globally as well as short of energy globally, we’re now looking to waste as a real resource† ( Reflections on Material Lives,2009).

Friday, September 13, 2019

Compare and Contrast Two Books Essay Example | Topics and Well Written Essays - 1000 words

Compare and Contrast Two Books - Essay Example The workers were immigrants at the beginning of the twentieth century and are still immigrants today. Only their nationality has changed. A hundred years ago they were Eastern European and Caucasian. They emigrated from the then economically troubled nations of Hungary, Lithuania, Poland, Czechoslovakia, Romania, and Germany on board passenger ships traversing the Atlantic, travelling third-class or steerage. They entered the United States legally through the main immigration gateway at Ellis Island outside the New York harbor. Some of their number included children and younger women. (Sinclair, p. xxi) Today, they are of Latin origins, predominately Mexican, travelling, more often than not, illegally across the southern border of the United States on foot or by car, truck, or bus. And far more of their numbers are women than one hundred years ago. (Schlosser, www.mcspotlight.org/media/press/rollingstone2.html) The manner in which the workers live has also changed only on the surface, but the deeper characteristics of their lives remain a constant. The location of slaughterhouses in the nineteenth century began in the midst of large urban areas such as Chicago. (Sinclair, p. xxxiii) In the latter part of the twentieth century it was discovered that moving them closer to the feedlots was more economically efficient, and thus they are now located close to stockyards and feedlots in rural, agricultural areas of the United States. (Schlosser, web book) However, moving the workplace did not change the location or living conditions of the workers. One hundred years ago they lived â€Å"Back of the Yards†, in substandard housing within walking distance of the plants. The rancid odor of the plant and the thick acrid smoke of the factory smokestacks were their daily air supply. Organic waste was daily pumped into the Chicago River which also

Thursday, September 12, 2019

The black market for body parts (human organs) Essay

The black market for body parts (human organs) - Essay Example Though there is the problem of waiting for the donors of organs, it is still heart-warming to know that so many lives are saved through such innovation. It provides a sense of security especially to older generation not to worry so much on the depreciation of their organs. It provides hope to all sick people to be cured from organ impairments. However, it is also alarming to note that in desperation of the families and those affected to prolong the lives of their patients they have become too impatient for donors and have become unmindful of the illicit trade of human organs. The society has become deaf and blind to the problem that confronts the world of medicine. Many do not even ask where the replacements for the 24, 900 organs must have come from. Not many are even aware that there is an illicit trade of human organs that dominates the world market today. It is the purpose of this paper then to discuss such shadowy organ dealings if only to enlighten the public what it takes for many people especially in the underdeveloped countries to provide the organs needed for the transplants. It is so unfortunate that out of the growing need of organ transplants, unscrupulous brokers also take advantage of the poor and the needy. This paper then intends to provide a picture on the widespread corrupt practices of organ traders in order to enlighten the public on the extent of the evilness of such trade. Why the donors are very much willing to sell their internal organs is another question. Could it be that these people feel so much compassion to the patients that they have to go to the point of risking their own lives just as they give their own internal organs? It is a known fact that there is an underground market of organs. Kidney largely dominates the selling as they are most in demand and because of the fact that a donor can survive without the other kidney. It has been reported that donors are willing to sell their internal organs

Critical Appraisal of Business Planning Process Essay - 1

Critical Appraisal of Business Planning Process - Essay Example This report describes the importance of strategy, market research and analysis, financials, competitive strategy and generating ideas as fundamental outcomes of proper business planning. Idea generation and strategy External market conditions change rapidly in certain industries, thus driving a need for innovation in order to compete with other businesses operating in the same market environment. Products and services both from an entrepreneurial business and the competitive environment have a specific life cycle by which it generates profitability and consumer adoption patterns. A product or service will move from growth to maturity, a period where sales decline and thus new product development becomes a critical internal activity of the organisation. This is why generating new ideas becomes a paramount objective in the planning process, usually requiring the input of executive leadership and managers to determine how best to introduce a new product whilst still recognising costs. I n generating new product ideas, the business leadership must determine whether compromises will be made, opportunity costs or trade-offs, in order to launch a new product or service on the market. ... Innovations, however, are critical to maintaining a stable market position. Strategy formulation determines the objectives necessary to achieve a long-term market position. Strategy defines sustainability over the long-run or whether growth is an expectation related to revenue-building. An entrepreneurial dimension of strategy is persisting to find a better fit in the competitive market or developing a vision by which the organisation founds its values and organisational structure against (Majumdar 2008). Developing a long-term orientation is necessary in business planning as it determines the strategic direction the business intends to pursue and thus resources are allocated toward meeting this purpose. Market analysis and competitive strategy Michael Porter identifies five competitive forces that impact business success, including threat of new entrants, the availability of substitute products, supplier and buyer power in the market, and concerns over what types of competitive stra tegies are being developed by other businesses operating in the same market (Porter 2010). It is necessary to scan the external environment in order to understand what socio-economic and socio-cultural trends are observable in key target markets in order to develop a service or product plan designed to properly fit these attitudes or financial predictors. Market analysis identifies all of the fundamental hindrances or advantages that are linked to strategic intention and competitive strategy, thus the planning process must include market research. Businesses that are heavily reliant on consumer revenues must understand what drives buyer behaviour, and this is best performed through surveys, questionnaires or focus groups. Consumers either favour or disapprove of a particular

Wednesday, September 11, 2019

BI - Business Intelligence Essay Example | Topics and Well Written Essays - 250 words

BI - Business Intelligence - Essay Example Rwanda’s main imports include foodstuffs, steel, machinery and equipment, construction as well as petroleum products. Their main trading partners include Kenya, Germany, China, and Belgium. GDP (PPP): $16.4 billion, 5.0% growth, 6.9% 5-year annual growth, and $1538 per capita. The rate of unemployment I Rwanda is 0.6%, inflation 4.2 %. Rwanda’s major industries are industries that process their agricultural produce for export to the foreign markets. In the past five years, Rwanda’s economic freedom has increased by 2.1. This has been contributed by 20-point improvement from corruption 15-point freedom investment (Rwanda, 2014). One of the key factors that have greatly contributed to fast growth of this country’s economy is the internet use in both local as well as international trade. Most of their imports especially construction and petroleum materials are ordered via the internet. They also get international markets for their products through internet use (Aspray, 2008). Rwanda has established several shopping sites that are used for local and international trade. Examples of these online sites include Gemeya.com, Gurisha.com, Shop4rwanda.com, Comfort Rwanda, and Beautyofrwanda.com. These sites are important to Rwanda’s economy because they are able to sell and buy via these sites and it saves time. These sites are affordable for most citizens and fewer restrictions are placed on their use (Black, 2002). After goods have been purchased online and imported to Rwanda, there are different taxes that the owner of purchased goods is supposed to pay. For goods like vehicles that have been purchased online, the owner is supposed to pay four types of taxes: value added tax (VAT) 18%, customs duty 25%, withholding tax 5%, and consumption tax that has different rates. Uses of technology in business are important because transactions are done within a short time. It is

Tuesday, September 10, 2019

Haydn's Baryton Trios Essay Example | Topics and Well Written Essays - 3000 words

Haydn's Baryton Trios - Essay Example This instrument is related to the bass viol, and besides the six or seven strings over its fingerboard has another set of strings attached underneath. These serve a double function: they sound in sympathetic vibration with the upper strings and may also be played pizzicato by the performer's left thumb, the neck of the baryton being open at the back. A viola, replaced by a violin in three works, and a cello supply the remaining voices. These trios in three movements are carefully elaborated and prove that Haydn knew how to produce works of art, even when forced to something like mass production. Quotations and arrangements from the composer's own symphonies and operas, and even from Gluck, may have amused his august patron (Brandenburg, 1998, p. 27). Contemporary sources vary in their estimates of the merits of the instrument. Whereas Friedrich August Weber, a physician who was one of the most spirited musical writers of the time, praised it saying, "One seems to hear the gamba and harp at the same time," and confesses that he "was moved to tears" by its sounds, Dr. Burney, in discussing the performance of the baryton virtuoso, Andreas Lidl, who had been in the service of Prince Eszterhzy before going to London, writes: "Mr. Lidl played with exquisite taste and expression upon this ungrateful instrument, which has the additional embarrassment of base [sic] strings at the back of the neck and he accompanied himself with these; an admirable expedient in a desert, or even in a house, where there is but one musician, but to have the bother of accompanying yourself in a great concert, surrounded by idle per- formers who could take the trouble off your hands, and leave them more at liberty to execute, express, and embellish the princi ple melody, seemed at best a work of supererogation" (cited in Elson, 1927, p. 43). Modern listeners, for their part, admire the characteristic features in these remarkable works: the occasional derivation of subsidiary subjects from the main ideas, intricate contrapuntal devices, interesting harmonic progressions, and delightful sound effects achieved with the baryton's peculiar pizzicato (prescribed by numbers in the score): the frequent attempts to arrange baryton trios for conventional string trio have unfortunately proved a failure, as the pieces need the baryton's distinctive sound. And what a failure. Historically speaking, the instrument was the favorite of Prince Nikolaus Esterhzy who demanded that his musical servant compose zillions of pieces for it. Curiously, it isn't so much the presence of the baryton that has prevented greater exposure for these delightful octets (the part can be played on any suitable stringed instrument of similar range), but rather the atrocious difficultly of the two horn parts. Haydn demands that his wind players execute insanely acrobatic figurations at both the extreme top and bottom of their range, and this extraordinary wind sonority gives these works much of their sonic allure (Wellesz & Sternfeld, 1973, p. 129). Nevertheless because of restricted usage, the baryton music was usually unpublished originally. Haydn's twenty-one works in SS/- or SA/bass setting, four of which are now lost, stem from his earliest creative periods. Called "divertimento" and "trio" in the source MSS, those that were published appeared chiefly as "Sonates en trio" These "trios" are relatively slight and objective, but as

Monday, September 9, 2019

Projectile Lab Report Example | Topics and Well Written Essays - 250 words

Projectile - Lab Report Example . The ball was then pushed into the back making sure it does not move forward. A test shot was then made to determine where the ball lands after which a carbon paper was placed on the white sheet. The ball was then fired 6 different times and the distance travelled by the ball from where the ball leaves the launcher recorded.The position of the launcher was made in such a way that the launcher launches the ball at 200 the steps in part A were then repeated and data recorded in table 2 If the velocity is increased, the time taken for the ball to reach the ground will be more than the calculated speed. Considering the velocity equation, it’s clear that velocity is directly proportional to time thus an increase in velocity consequently increases the time. Trajectory labeled C has the longest hang time. This is because the distance travelled by the projectile is longer as compared to the other two i.e. A & B since distance travelled is directly proportional to hang time The experiment was successful since from the measured distance, it was possible to calculate the both the time and the velocity of the projectile

Sunday, September 8, 2019

How And Why Childrens Play Has Changed Over the Last 50 Essay

How And Why Childrens Play Has Changed Over the Last 50 - Essay Example According to the research findings, the digital revolution in the world has brought along with it its related technologies such as the smartphone, digital cameras, video game consoles, e-book readers among others that have led to the decline of outdoor play and given rise to what has come to be known as digital play. While children of the 1950s and 60s would spend their play time outdoors in the fields and terraces interacting with nature, children in our modern era are more likely to be found holed up in their cozy homes playing their favorite video games or browsing on their smartphones. Thus, it is evident that the amount of play time outdoors and the rise of digital play are two related developments where the rise of the latter has led to the fall of the former. A third related development has been the reduction of the amount of time available for children’s play. This has been attributed to economic circumstances of parents where parents in the modern economies spend most of their time in the workplace and lesser time with their children at home. A related factor has been the fact that schools have decided to cut down on the time allocated to play in favor of more time for instructional teaching. These two factors have conspired to reduce the number of time children has left to play. The integration of digital media technology into homes, schools, workplace and other areas of life is now ubiquitous. Digital technology, in terms of smartphones, digital cameras, game consoles, et cetera has now transcended into almost every facet of the human life to such an extent that it would be hard to evade it.

Saturday, September 7, 2019

SOCRATES AND THE MEANING OF PHILOSOPHY Essay Example | Topics and Well Written Essays - 1750 words

SOCRATES AND THE MEANING OF PHILOSOPHY - Essay Example Socrates is the kind of man who will die for what he thinks is right. Plato’s Apology describes Socrates’ identity and philosophy through narrating his trial. Socrates dies for his philosophy because he knows that he is doing the right thing for society, not just for himself, where his interest is simply helping others to know the truth. He does the right thing for a society that needs a â€Å"gadfly† which will stir it to constant self-assessment (Plato, n.d., p.16). In the first section of the paper, I explain Socrates’ philosophy, specifically irony, method, and ethos, and how Socrates’ statement, â€Å"The unexamined life is not worth living,† is related to these three components. In the second section, I reflect on what I think philosophy is and why it is important. Socrates’ philosophy uses irony and logical methods to promote ethos, or the character of a good man with a good life, and his philosophy helps me define philosophy as the study of general and specific problems that can help people live a good life. Socrates’ philosophy is sometimes called Socratic irony, where the irony is that when a philosopher starts with the admission of his own ignorance, he actually exposes the ignorance of others. In Apology, Socrates criticizes the Sophists for using logos without examining the ethical value and consequences of their arguments. He says: â€Å"†¦but I know that their persuasive words almost made me forget who I was – such was the effect of them; and yet they have hardly spoken a word of truth† (Plato, n.d., p.3). He alludes to Sophists because they can be tremendously persuasive enough that some people overlook the weaknesses of their arguments. Forgetting oneself refers to forgetting one’s ability to think critically in response to the persuasive tactics of the Sophists. The verbal irony is that Socrates is not affected at all by the Sophists. Instead, the more that he ta lks to them, the more he exposes their ignorance through exposing the fallacies of their arguments. Socrates uses verbal irony to highlight that Sophists are not after the truth, and yet they ironically sound truthful to others who do not examine their lives anymore. Moreover, one of the greatest ironies in his philosophy is his argument on wisdom. Socrates does not claim to know everything, and yet by saying he does not know anything, he is wiser than the rest because it opens him to knowing more. He is right to compare himself to a â€Å"gadfly† because he exists for the main purpose of stirring the Greek society. He is like a gadfly that aims to stir the society which is â€Å"like a great and noble steed who is tardy in his motions owing to his very size, and requires to be stirred into life† (Plato, n.d., p.16). When the prophecy says that Socrates is the wisest of all, it does not mean that Socrates holds the most knowledge of all fields, but that he is open to l earning more through his critical and inquisitive approach to learning. As a gadfly, he is ironically a small being in society in terms of wealth and social connections, and yet, he has the ability to stimulate deep philosophical questions amongst his people. Another example of irony comes from Socrates’ accusers. They accuse someone of something that they know little of. Socrates provides the example of Meletus. He says that Meletus is the â€Å"doer of evil,† wherein â€Å"the evil is that he makes a joke of a serious matter, and is too ready at bringing other men to trial from a pretended zeal and interest about matters in which he really never had the smallest interest†