Tuesday, December 31, 2019

Organizational Structure of Singapore Airlines Free Essay Example, 2750 words

Organizational structures exist in six types suitable for companies as they pass through different phases of growth. The first phase of operation requires the organization to adopt a simple structure. The company adopts a more complex structure in future to deal with different organizations. Singapore airline is a mature company that runs under a hierarchical organizational structure. The company does not adopt a single organizational structure but combines the Professional and machine bureaucracy structures. The operations of the structure provide strict company mottos in providing the idealistic structure while managing the organization. The human resource of the organization seeks to employ only specialized people in the organization. This is to assist the aviation company through set projects aimed at improving the external and internal operations of the organization (Nguyen 2007; Hooper Greenall 2005). The main determinant of the organizational structure of Singapore Airline s is the organizational goals. Organizational goals assist the company in runs towards meeting set objectives. The goals give motivation to the employees by avoiding a chaotic environment while conducting business. Singapore Airline ensures the set goals aid the management to know the exact strategies appropriate in acquiring the goals. We will write a custom essay sample on Organizational Structure of Singapore Airlines or any topic specifically for you Only $17.96 $11.86/page It is evident as in 2007; Singapore Airline became the first to run the largest commercial aircraft between Sydney and Singapore.

Monday, December 23, 2019

Influence of Corporate Governance on a Companys Performance Literature review

Essays on Influence of Corporate Governance on a Companys Performance Literature review The paper "Influence of Corporate Governance on a Company’s Performance" is a good example of a literature review on finance and accounting.  Corporate governance has a great role to play in determining the performance of any existing company. Maxwell (45) outlines that corporate governance is a key issue organization as it affects all the individuals that have an interest in the organization. All these individuals have a great role to play in the corporate governance of the organization. Johnstone (34) also states that corporate governance practices are mainly the central focus of an organization as it determines its performance as well as reputation. There are several principles of corporate governance that should be understood by every organization to enable them to survive in this very competitive corporate world.The company’s stakeholders, the board members, the audit committee and all the employees determine the manner in which the company is going to be governe d. The principles of corporate governance should be applied at all levels of management to ensure the company’s operations run without any interruptions whatsoever. The most important aspects of corporate governance are good communication channels, disclosure, and transparency among others. Johnstone (309) outlines communication as a key thing in a company hence the need to ensure that the communication channels are well defined and understood as well. A proper communication channel prevents unnecessary conflicts that may arise due to misunderstandings and misinterpretation of information.A company with good corporate governance has a lot of benefits that it enjoys as this puts it in a better position than its competitors. For instance, a company with good corporate governance earns itself a good reputation and the long term benefit of this reputation is that it attracts investors to the company. Another benefit of good corporate governance is that it eliminates the costs of dealing with legal issues. This is mainly because a company will comply with the law to avoid lawsuits and penalties. Good corporate governance also minimizes risks that come with fraud and other malpractices that are likely to occur (Johnstone, 345).There are some governance issues that mainly arise in organizations and they include conflict of interest, corruption, Poor decision making and Government interference. Johnstone (345) outlines that different organizations use different corporate governance systems depending on their preferences. For instance, some corporations use the stakeholder’s approach where the company’s employees are the most important to the organization. On the other hand, some organization uses the Shareholders approach where the company’s investors are the most important to the organization.An example of a company that uses the Shareholder’s approach is Nintendo Company which is a Japanese company that makes electronics and distri butes them worldwide. In this company the investors are the most valued and the top management is under close supervision to ensure that they act in the best interest of the company’s shareholders. The management is accountable and this ensures that cases of mismanagement are minimal. This kind of approach is the most common approach in Europe and the Middle East countries.Another example is Allergan is an American based company that produces neurological products in America. This company uses the stakeholder’s approach where the employees are the key focus of the organization. They ensure that the employee's welfare is well taken off and it well known for retaining its employees for a long period. It rarely lays off its employees, unlike other companies. In conclusion, irrespective of the approach that a company should ensure that it has good corporate governance is upheld. This ensures that the company becomes the most preferred by both investors and other key stakeh olders such as the customers, suppliers and even the company’s partners.

Saturday, December 14, 2019

Epo in Sport Free Essays

string(34) " available in a variety of forms\." Competitive athletes are constantly in search of ways to get better, seeking a slight edge over their closest competition. They are willing to practice for countless hours, put themselves through rigorous training and follow a very strict diet. Those who are passionate about their sport are willing to do just about anything to improve performance, but just how far are athletes willing to go? With recent advancements in sports science, it has become possible to alter some elements of human physiology. We will write a custom essay sample on Epo in Sport or any similar topic only for you Order Now The human body has been meticulously studied over the years, and as a result we are able to comprehend how complex systems function enabling the human body to perform simple everyday functions, as well as, impressive athletic performances. Science has discovered there are ways to improve the physiology of the human body to enhance athletic performance. By carefully tailoring specific functions to enhance a specific task an athlete will most likely be able to get the â€Å"one up† on the competition. Science has also discovered there are dangers associated with tampering with these complex systems that keep the human body alive and well. Unfortunately, some athletes ignore the physiological risks/ professional repercussions and indulge in enhancing some physiological processes in order to gain a slight edge against the competition. Today, as well as in the past, various sporting organizations have had to deal with performance-enhancing issues through testing of their athletes, yet these people continue to seek out ways to sneak under the wire, undetected. One example of athletes trying to beat the system is that of the recently publicized performance-enhancing dispute with blood doping in the sport of cycling, namely the use of recombinant human erythropoietin (Robinson, Mangin, and Saugy 2003). The following will discuss the function of erythropoietin, its uses in medicine and athletics, the benefits and risks of artificial along with testing methods for detection of illegal use. In order to perform in endurance sports, efficient oxygen delivery from lungs to muscles is crucial. The cells responsible for oxygen delivery are erythrocytes, or red blood cells. The functional portion of the red blood cell that acts as an oxygen carrier is the protein molecule hemoglobin (Kraene, Fleck and Deschenes 2012). Hemoglobin is a four part haem-iron containing protein, with two alpha and two beta subunits associated with each molecule. Hemoglobin accounts for 99% of the protein composition of an erythrocyte (Lippi, Franchini, Salvengo et al). Circulating blood contains approximately 40-45% red blood cells in its composition (Kraene, Fleck and Deschenes 2012). The hemoglobin associated with each red blood cell has a specific mechanism for pick-up and delivery of oxygen. This mechanism depends on varying physiological body conditions during which oxygen has differing affinity for the hemoglobin molecule. The conditions at which affinity for oxygen is high include lower body temperature, low carbon dioxide, and low 2,3-diphosphoglyerate (Elliott 2008). As these are the conditions found in the lungs, plentiful oxygen will bind to the hemoglobin for transport to the tissue cells in the body. In the tissue where carbon dioxide concentrations are high, body temperature increases, higher hydrogen ion and ,2,3-disphosphoglycerate concentrations, oxygen affinity for hemoglobin is reduced, resulting in the delivery of oxygen to tissues (Elliott 2008). During physical exercise, the body’s consumption of oxygen is increased due to the demand of working muscles. As a result of this process, the carrying capacity of hemoglobin is adjusted automatically to deliver adequate oxygen to the muscle tissues (Lippi, Franchini, Salvango et al 2006). Applying this principle of supply and demand, to an endurance sport, one can see how an athlete’s aerobic training regime aims to peak the efficiency of the process of oxygen delivery from lungs to muscle tissue. To maximize the process of oxygen delivery, a high number of circulating erythrocytes is desired, resulting in more available hemoglobin and therefore more oxygen can be delivered to working muscles. Red blood cell (RBC) production, called erythropoiesis, is carefully controlled and monitored by the body (Lippi, Franchini, Salvango et al 2006). This monitoring system involves oxygen-sensing cells to detect hypoxia (low oxygen concentration) in the body. During oxygen deprivation, a nerurosecretory mechanism is activated through chemoreceptors found in the carotid body ( in the carotid artery found in the neck) and in the lungs. If out of balance, the body undergoes rapid cardiopulmonary adjustments to compensate for the current stress of hypoxia (Kraene, Fleck and Deschenes 2012). One of the factors present during hypoxia is the hypoxia inducible factor, HIF-1. This molecule acts as a transcription factor for controlling several genes (Lippi, Franchini, Salvango et al 2006). When oxygen levels are low, the enzymes that normally inhibit HIF-1 cease their activity. The HIF-1a molecule becomes available is now capable of binding with HIF-b to cross the nuclear membrane of the cell and promotes gene transcription (Lippi, Franchini, Salvango et al 2006). One of the main coding events that occurs as a result of the gene transcription is production of erythropoietin (Epo). This endogenous Epo is then produced in the body, specifically in the peritubular capillary-lining cells of the renal cortex of the kidneys, with minute amounts produced in the liver and brain (Kraene, Fleck and Deschenes 2012). When the Epo molecule is synthesized, the composition is initially a 193 amino acid molecule that eventually is released as a 165 amino acid protein with much of the total molecule composed of carbohydrate (Lippi, Franchini, Salvango et al 2006). The release of Epo from the kidney to the blood then stimulates erythropoiesis in the bone marrow (Kraene, Fleck and Deschenes 2012). Science advancements in the 1980’s have led to a synthetic form of Epo known as recombinant human Epo (rHuEpo) (Spedding and Spedding 2008). It was first introduced by a team of researchers at the Northwest Kidney Centres, who conducted clinical trials that resulted in the first successful artificial form of this hormone (Eichner 2007). The production of rHuEpo, from mammalian cells to treat anemic patients was approved by the U. S. Food and DrugAdministration in 1989 (Elliott 2008). Today human recombinant erythropoietin is available in a variety of forms. You read "Epo in Sport" in category "Papers" It is synthesized with an amino acid sequence identical to that of endogenous erythropoietin, with slight differences in composition of carbohydrate portions of the molecule (glycosylation) (Lippi, Franchini, Salvango et al 2006). Alpha and beta erythropoietin are produced from Chinese hamster ovary cells with the only differences being a slightly longer half-life and slight difference in molecular weight (Lippi, Franchini, Salvango et al 2006). Another form of Epo is Erythropoietin gamma. It is produced from a different host cell and as a result has a different glycosylation pattern (Lippi, Franchini, Salvango et al 2006). Erythropoietin delta, yet another variation of the synthetic hormone, is the most recently introduced form. This type is produced from human cells, and has identical amino acid and glycosylation patterns as endogenous Epo, with a longer half-life of 18-20 hours compared to the 7-12 hour range of alpha and beta forms (Lippi, Franchini, Salvango et al 2006). The current research is clinically testing a protein called Continuous Erythropoietin Receptor Activator (CERA). This protein has a half-life of 133-137 hours, which equates to less frequent dosing. CERA unlike other synthetic forms of this hormone, has very mild side-effects and has yet to produce any serious adverse effects (Lippi, Franchini, Salvango et al 2006). This type of synthetic Epo may be the best option available for patients who require treatment for anemia (low hemoglobin levels). Unfortunately, some people suffer anemia due to various medical issues such as kidney disease, chemotherapy for cancer, HIV, blood loss, et cetera (Kraene, Fleck and Deschenes 2012). The body’s demand for Epo becomes more significant when such medical conditions arise. Often times Epo needs to be artificially supplemented to compensate for the lowered hemoglobin production/ hemoglobin loss (Catlin, Fitch and Ljungqvist 2008). Originally, recombinant human erythropoietin was developed as a substitute for endogenous Epo for those who suffered from abnormal blood conditions. It is highly effective in increasing hemoglobin levels, and as a result has numerous benefits such as, reduction in required blood transfusions, restoring energy levels, increase in exercise capacity, improves cognitive function and overall quality of life improvement (Elliott 2008). When administering this hormone, the dose, frequency of administration, the rate of rise of hemoglobin and target hemoglobin levels are strictly controlled (between 10-12g per 100mL), slightly lower than the range for normal range of 13-15g per 100mL. The lower range is maintained in order to keep the risks and side effects of the rHuEpo minimal (Lippi, Franchini, Salvango et al 2006). Careful monitoring and control is used to maximize the benefits for patients while minimizing the risks. Recombinant Epo not only benefits those who are suffering a blood condition but it has significant benefits to athletic performance (Elliott 2008). It is used illegally as an ergogenic aid primarily in endurance sports, such as cross-country skiing, track, swimming, and most notoriously, cycling (Bento, Damasceno, Neto 2003). One study, as noted in Exercise Physiology (Kraene, Fleck and Deschenes 2012), that involved well-trained male endurance athletes administered recombinant human erythropoietin 3 times a week for 30 days or until hematocrit levels reached 50%. The following resulted: an average hematocrit increase of 18. 9% (range of 42. 7-50. 8%), cycling time to exhaustion had increased 9. 4% (12. 8-14. 0 minutes longer), and cycling VO2 peak had increased 7% (range of 63. 8-68. 1 ml/kg/min). Another study also noted in Exercise Physiology (Kraene, Fleck and Deschenes 2012) gave low-dose subcutaneous injections of rHuEpo over a 6 week period to moderately to well-trained athletes and what resulted was a 6-8% increase in VO2 peak, time to exhaustion on a treadmill increased 13-17%, and hemoglobin concentration and hematocrit both increased by approximately 10% each. The use of recombinant human erythropoietin is found to have clear benefits in athletic performance, with higher trained individuals exhibiting enhanced results. At an elite level, where competition is so close, it is tempting for athletes to gain an edge over their competition though the use of rHuEpo. There is a certain amount of pressure on athletes in cycling to use ergogenic aids due to the fact that so many of the sport’s top competitors are using it to boost performance (Vogel 2004). In cycling, the abuse of this ergogenic aid has recently come to light in the media. Although many benefits can be reaped in athletic performance from recombinant erythropoietin, it is not without risks. When synthetic forms were first introduced, many of the risks were unknown to athletes and use was not medically monitored as would be the case with an anemic patient. As a result, sudden heart attacks occurred that led to more than a dozen deaths of Dutch and Belgian cyclists (Vogel 2004). Their deaths were connected to inappropriate administration of rHuEpo. This form of Epo had not yet been clinically studied from an athletic perspective. The combination effect of increasing hemoglobin to well above normal range along with other factors associated with endurance sports, makes tampering with the body’s natural blood physiology dangerous and potentially deadly (Robinson, Magin and Saugy 2003). Myocardial infarction, cerebrovascular disease, transient ischemic attack and venous thromboembolism were all found to be potential events associated with the misuse of rHuEpo (Catlin, Fitch and Ljungqvist 2008). Due to the increase of red blood cells, the blood becomes more viscous and leads to an increased frequency risk of thrombotic events. There have also been proven reports of increased risk for migratory thrombophlebitis, microvascular thrombosis and thrombosis of cerebral sinuses, retinal artery, and temporal veins. The increased blood viscosity also increases systolic blood pressure during sub-maximal exercise and increases platelet reactivity resulting in risk of more blood clotting (Bento, Damasceno, and Neto 2003). One of the most serious risks found to be associated is that of red cell aplasia in which red blood cell formation ceases. Although rare but ife-threatening, this condition was found to be linked to the use of subcutaneous alpha-Epo (Lippi, Franchini, Salvango et al 2006). Anemia may also develop in individuals who mis-use rHuEpo after they discontinue the hormone, as it causes progressive erythroid marrow exhaustion due to prolonged periods of use. Some other risks and side effects include headache, muscle cramps, incomplete deviation of red blood cells, convulsion, and upper respiratory tract infect ions (Kraemer, Fleck and Deschenes 2012). The risks of using rHuEpo are more significant for athletes than average patients who are using for treatment. Athletes pushing to increase hemoglobin outside of a normal range run the risk of life-threatening circulatory/blood abnormalities. Testing for the use of banned erythropoietin in sports has been an ongoing challenge. As quickly as testing laboratories can produce testing methods for banned substances, new ways to slide under detection are being found (Cazzola 2000). It is difficult to directly identify rHuEpo as it has a relatively short half-life in most forms, for example an administration of 50 IU/kg given subcutaneously has a half-life of approximately 35. hours, and intravenous administration has a half-life ranging from 4 to 7 hours (Lippi, Franchini, Salvango et al 2006). Athletes could selectively time the administration of Epo and combined with concealing strategies to slip under the wire. As a result, laboratories are required to look at specific biomarkers that indicate past or current use of rHuEpo (Delanghe, Bollen and Beullens 2007). Human recombinant erythropoietin wa s initially a challenge to detect as various forms are extremely similar to that of endogenous Epo (Skibeli, Nissen-Lie and Torjesen 2001). As it is a rising issue in sport, laboratories are required to find better ways to detect the illegal use of rHuEpo. Initially as a measure to deter doping and identify usage, cutoff levels of hematocrit (the percentage of red blood cells in the blood) were established in some sports (Adamson and Vapnek 1991). For example, the International Cycling Union established cutoff hematocrit levels of 47% for women and 50% for men. This method was flawed, as it sometimes produced false positive results in athletes with naturally high hematocrit levels (Casoni, Ricci, Ballarin et al 1993). Currently, there is no foolproof testing method to detect the use of recombinant human erythropoietin. A combination of indirect and direct testing is currently the most effective method to identify blood dopers (Cazzola 2000). Indirect testing uses a blood sample and is based on the analysis of hematological parameters, including measures of hemoglobin, hematocrit, soluble transferrin receptors, serum Epo, percent reticulocytes, and macrocytes (Delanghe, Bollen and Beullens 2007). Changes observed in the above measures are often a result of introducing recombinant Epo to the body and can be used as an indirect marker to detect the substance (Skibeli, Nissen-Lie and Torjesen 2001). There is a reference range of parameters set for this form of testing, one indicating current use of Epo while the other can indicate recently discontinued use of Epo (Parisotto, Wu, Ashenden et al 2001). Indirect testing has the advantage of being able to detect Epo use several weeks after it has been administered, however the disadvantage of possibly producing false-positive results (Delanghe, Bollen and Beullens 2007). Changes in the measuring parameters used in indirect testing can also be the result of the body’s natural modifications from training methods such as altitude training (increasing RBC levels due to lower oxygen at higher altitude, a naturally occurring body compensation) (Kraemer, Fleck and Deschenes 2012). Indirect testing is useful in being a primary indication of recombinant erythropoietin use, yet it is not completely reliable. If use of Epo is suspected after using indirect testing methods, direct testing will follow to confirm or deny the results (Birkeland and Hemmersbach 1999). Direct testing for recombinant Epo involves the collection of a urine sample. The urine sample needs to be fairly large (20ml) and strongly concentrated (between 700-1000 fold) (Elliott 2008). The approved test that uses the direct approach is based on differences in glycosylation between endogenous Epo and artificial forms (Elliott 2008). The recombinant and endogenous forms of erythropoietin have varying isoelectric points (pI). Using isoelectric focusing (IEF), the isoelectric points can be determined (Skibeli, Nissen-Lie and Torjesen 2001). The normal range for the pI of endogenous Epo is 3. 7-4. 7, while alpha and beta Epo have a slightly higher range of 4. 4-5. 1. The Aransep form of Epo has 2 extra N-glycosylaton sites in order to increase its stability, resulting in a pI range of 3. 7-4 (Parisotto, Wu, Ashenden et al 2001). In order to see the isoforms of Epo, double immunoblotting is used in combination with monoclonal anti-Epo antibodies. The interaction of the antibodies with the recombinant forms of Epo shows if illegal forms are present in the urine (Skibeli, Nissen-Lie and Torjesen 2001). The purpose of the double immunoblotting technique is to avoid secondary antibodies interacting with proteins in urine and affect the test. A technique known as chemiluminescence is used on the blot to image the Epo (Skibeli, Nissen-Lie and Torjesen 2001). Direct testing can detect most forms synthetic Epo. When a test is found to be positive for an illegal form of Epo, a second test is performed due to the fact that occasionally enzyme activity causes a shift in the electrophoretic banding pattern of the molecule (Parisotto, Wu, Ashenden et al 2001). Additional stability testing is performed where the urine sample is incubated overnight in an acetate buffer and rHuEpo. If a banding shift is observed during the isoelectric focusing, it can be determined that the sample is negative for rHuEpo (Parisotto, Wu, Ashenden et al 2001). The direct testing method is currently the most reliable and approved approach and can be used during competition and off-competition periods (Elliott 2008). The development of recombinant human erythropoietin was originally an approach to treat low hemoglobin levels in anemic patients. The athletic gains that can be exhibited through introducing rHuEpo have caused abuse at the elite level in many sports. Other than disqualification and loss of credibility as an honest athlete, there are also medical risks associated with tampering with the blood’s physiology in artificial ways. A combination of testing methods is currently used to identify those using rHuEpo as an ergogenic aid, as there is no single test that can clearly deny of confirm use. New ways to slip under the wire with testing are being discovered and used by athletes and laboratories are constantly working to keep up. The use of recombinant human erythropoietin is a serious issue of misconduct in sport and needs to be ended in order to keep competition ethical and fair. How to cite Epo in Sport, Papers

Friday, December 6, 2019

Does membership of the EU inevitably undermine national sovereignty Essay Example For Students

Does membership of the EU inevitably undermine national sovereignty Essay Does membership of the European Union inevitably undermine national sovereignty? Table of contents: 1) Introduction 2) Treaties 3) European Institutions 4) European Monetary Union 5) Conclusion 6) Appendix 7) Bibliography Introduction 2-3 3 8 9 10-11 12 The establishment of the European Union (ELI) has its foundations of integration belonging to an economic community: the European Coal and Steel Community (ECSC) 1950. 1 There has been a cycle of support, peaking in the 1990 at 71% and the lowest of 48% in 2004, as measured by the Eurobarometer 2. There is a clear divide between people who support the EIJ and Eurosceptics. Support for the EIJ can be encapsulated by Herman Van Rompuy, president if the European Council, The age of the nation state is over and the idea that countries can stand alone is an illusion and a lie3 Eurosceptics on the other hand argue for the remodelling of the EIJ or the rejection of. Most notably the United Kingdom Independence Party (UKIP) have stated in their manifesto that they wish to exit the EIJ as, It does mean the end of Britain as an independent European state. It means the end of a thousand years of history. 4 This is a case of hard euroscepticism, as Taggart and Szcerbiak established, as pposed to soft euroscepticism which focuses upon remodelling. Therefore integration of the EIJ has caused a larger rift between those who support and those sovereignty. But what is national sovereignty? As former British Secretary, Sir Geoffrey Howe, stated, Sovereignty is not like virginity, which you either have or you dont it is a resource to be used, rather than a constraint that limits our capacity for action. 5 Thus, sovereignty is perceived to be the ability for a nation to act however it deems fit politically, economically and socially within its territory. The progression of he EIJ from an economic union to a multinational political entity is the constraint that limits action. Therefore, I intend to explore to what extent membership of the EIJ undermines national sovereignty, conducted through an analysis of: different treaties, institutions of t he ELI, and the European Monetary Union at how they impact national governments. Treaties The EIJ is based upon two treaties: The Maastricht Treaty (MT) 1992/1993, creating the new European Union, and The Lisbon Treaty (L T) 2007/2009. The MT created the three-pillar structure: European Community (EC), Common Foreign and Security Policy CFSP) and Justice and Home Affairs CHA). What this meant for national sovereignty was that two thirds of the EIJ would be intergovernmental whilst one third would be supranational- EC governed by the commission. Primarily the MT created the idea to, promote economic and social progress in particular through the creation of an area without internal frontiers. 6 The LT abolished the three-pillar structure, in favour of unifying institutions, which gave certain institutions greater power, e. g. the European Parliament gained budgetary control. The powers of the Community remained almost nchanged, as national governments can be co-ordinated and supported on policies, e. g. economic, employment and social issues. But health, culture, e ducation and tourism remain with member state governments. So what do these treaties, more recently L T, mean for national sovereignty? It is clear the EIJ has a great deal of economic control over certain member states, as seen in the creation of the EMIJ. However, most policy areas still remain with national governments. European Institutions Since the establishment of the ELI, institutions have gradually increased their powers and broadened their policy area scope. This can be associated with the movement away from intergovernmental, like the United Nations, and more towards a supranational, such as the United States of America. The EIJ is supranationalist in the sense that there is an internationally recognised external border, its own law, and a capital city Brussels, Luxembourg, where most EIJ headquarters are situated- similar to Washington DC. However, there are still elements which make the EIJ an international organisation: membership is voluntary, member states still have national governments and any decisions made are negotiated. The degree in which ifferent institutions incline towards either intergovernmentalism or supranational will determine the extent national sovereignty is undermined. Also, it is crucial to look at the structure of such institutions: are all member states equally represented? Can states oppose EIJ rule/ legislation? Each member is equally represented- totalling to twenty seven commissioners, who serve a five year term. The European Commission is the bureaucratic arm working to promote EIJ interests. In many ways it is supranational; as it has the power of initiation, implementation, management of finance and external relations. Margaret Thatchers famous statement addressing the EIJ spotlights the supranational intentions of the European Commission, The President of the Commission, Mr Delors, said at a press conference the other day that he wanted. the Commission to be the No! No! No! 7 Eurosceptics further dislike the institution as it is too big, expensive, has too little public accountability, and an undemocratic process of appointment as no elections are held. However, supporters of the EIJ point out two percent of the EIJ budget is spent on this institution, commissioners are appointed by ational governments and confirmed by the European Parliament, somewhat leading to an element of public accountability. Although the Commission does have the power of initiation its main role is executing already approved decisions by member states. Gangs are violent reality EssayThe initial creation of the EMU was a compromise. Frances view- a minimum, in which a fixed exchange rate would eventually progress into an economic union, whilst Germanys maximum is one where there would be one economic policy which would lead to an economic union. However, ever since the 1970s the EMU has slowly rogressed towards Germanys maximum economic union based upon fiscal conservatism. This Franco-German dominance has characterised the EIJ since its establishment and even more so with todays current economic climate, returning to the initial compromise of the EMIJ. The EMU officially started in 1999, in conjunction with the Growth and Stability Pact. This stipulated the requirements for entry (reformed in 2005), e. g. 3% for budget deficit and 60% for public debt. This meant that countries could Join the Euro. However, Britain and Denmark voted for an opt-out of the Euro. Reasons behind this re well founded in reasons which protect national sovereignty, e. g. The Bank of England would lose all power, fatal impact on the banks, and conversion criteria- would mean cutting our deficit by more than half by cutting spending further. 2 Furthermore, as the ECB, based in Frankfurt, it cements the notion that the EMU is essentially Germanys creation, thus undermining every member states sovereignty. The Euro itself shows the struggle between suprnationalism and intergovernmentalism, as one side has the EIJ symbol and the other is left to the national government. Conclusion sovereignty by Joining the ELI. However, it is primarily limited to a few areas a nd/ or institutions, and member states are usually willing to seed some of their national sovereignty in order to reap the benefits. Although the LT has allowed for the broadening and expansion of EIJ institutions it can be seen that most policy areas are still left for national governments. Although since the 1960s there has already been a considerable movement towards political integration, so it almost seems inevitable that treaties may become more and more supranational. Bearing in mind membership is voluntary, it is important to remember, that renouncing by member tates their economic sovereignty has been done voluntarily in the face of enormous economic advantages. 13 In todays society where globalisation is a common theme, with twenty seven nations within the EIJ it creates an economic superpower. In light of represented member states two fifths of the institutions had unequal representation and this meant there is some a loss of national sovereignty, particularly to smaller members. However, three fifths of the institutions were equally represented, allowing for national sovereignty to remain, and also any laws and regulations had to be agreed to be implemented within a member state, again nsuring no undermining of national sovereignty. The EMU undermines national sovereignty most, e. g. in return for Greece receiving bailout funds they have had their national sovereignty infringed heavily in the form of austerity measures. With the current Eurozone crisis there is a divide between further integration leading to more of a supranational European Union, argued for by Angela Merkel, or weaker political integration being more of a intergovernmental European Union, argued for by David Cameron. Appendix 1) http://ec. europa. eu/public_opinion/archives/eb/eb76/eb76_first_en. pdf 2) http://en. euabc. m/word/442 Members of the European Parliament Country Current Allocation Election penod 2009-2014* Lisbon Treaty Germany France 78 72 74 United Kingdom 73 Italy Spain 54 50 Poland 51 Romania 35 33 Netherlands 27 25 26 Greece 24 Belgium Portugal Hungary Czech Republic Sweden 19 20 Austria 18 17 Bulgaria Slovakia 14 13 Denmark Finland Ireland Lithuania Latvia Slovenia 7 Estonia 6 Cyprus Luxembourg Malta 5 Total 785 736 751 * In December 2008, Government leaders of the EIJ countries decided in a declaration on how to shift to new numbers of MEPs. There will be a pause after the Lisbon Treaty enters into force. The number of MEPs in the 2009-2014 election period will increase to 754, equal to that of the Lisbon Treaty + 3 Members from Germany (99 total). 3) http://4. bp. blogspot. com/_H6xw_a4Tyus/Si1 R5LYEfil/AAAAAAAAA30/18ZQDmHSJ24/ s400/european+parliament+2009. bmp Bibliography Caporasso, J and Cowles, M. G and Risse, T (2001). Transforming Europe. Cornell university : corneli university pas. 1-13, 198-237. cowles, M. Dinan, D (2004). Developments in the European Union, Palgrave Macmillan. p. 7. Keohane, R. O (2002). Ironies of sovereignty: the European Union and the United States. JCMS 40(4), pp. 8-749. McCormick, J (2011). Understanding the European Union. 5th ed. London: Palgrave Macmillan. 74-101. Munch, R (2010). European Governmentality. Devon: Routledge. 38-90. wetler,J. H. H, and Kocjan, M. (2004/5). EUROPEAN COMMUNITY SYSTEM: THE HISTORICAL PERSPECTIVE AND THE BASICS OF ECONOMIC INTEGRATION. P. 14, Article B. casey, Theo. Should Britain JOtn the Euro? NO, NO, No! Should Brita in Join the Euro? No, No, No! (2008) http://www. rogerhelmer. com/ fleetstreetletter. asp GAITSKELL. H. On Britain Joining the European Community. Labour Party conference speech, Oct. http://quotes. yourdictionary. com/britain

Friday, November 29, 2019

Health Care Issues Right or Privilege Essay Sample free essay sample

â€Å"America is the technological world power. the wealthiest state in the universe. and spends significantly more of its gross national merchandise. and spends more per individual. than any other state in the universe on wellness attention. So where. so. does America stand on wellness? † ( Lerner A ; Loman. 2005. p. 1 ) . The intent of this essay is to discourse and research whether U. S. wellness attention should be a right or a privilege. Many Americans feel that although the United States leads most of the universe in medical progresss and engineering. the health care system is broken. A great figure of people go without the attention they urgently need. due to a deficiency of equal insurance. Uninsured Americans Lack of wellness insurance coverage for 46 million Americans is one of the nation’s most urgent jobs. While most aged Americans have coverage through Medicare and over 60 % of non-elderly Americans receive wellness coverage through employer-sponsored programs. We will write a custom essay sample on Health Care Issues: Right or Privilege Essay Sample or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page many workers and their households remain uninsured because their employer does non offer coverage or they can non afford the cost of coverage. The Center on Budget and Policy Priorities ( 2011 ) reported that the â€Å" per centum of kids under 18 who are uninsured rose from 10. 8 per centum in 2004 to 11. 2 per centum in 2005. while the figure of uninsured kids climbed from 7. 9 million in 2004 to 8. 3 million in 2005† (  ¶ 2 ) . Lack of insurance is much more common among people with low incomes. â€Å"Some 24. 4 per centum of people with incomes below $ 25. 000 were uninsured in 2005 ; about triple the rate of 8. 5 per centum among people with incomes over $ 75. 000† ( Center on Budget and Policy. 2011.  ¶ ) . African Americans and Hispanics were much more likely to be uninsured than white. non-Hispanic people. As a consequence. 1000000s of Americans go without wellness insurance. The High Cost of Healthcare Healthcare costs are driven. in portion. by Medicare and private insurance payment policies that encourage physicians to order more trials and processs. The larger handiness of specializers and infirmary beds besides leads physicians to direct patients to infirmaries more often than provides any value for patient wellness. Harmonizing to The American Council on Exercise ( 2006 ) . â€Å"the Health and Human Services Department reported that U. S. concerns pay more than $ 74 billion in wellness attention costs each twelvemonth for employees who smoke and an excess $ 82 billion per twelvemonth in lost productiveness. American industry loses $ 32 billion and 132 million working daies a twelvemonth due to employees’ premature deceases associated with cardio vascular disease ; lowered productiveness due to sickness and disablement cost one million millions more† (  ¶ 2 ) . There are many factors that are responsible for the high cost of wellness attention in the U. S. One of the taking drivers of the growing in wellness attention costs in the U. S. is the manner in which suppliers are paid ; chiefly. a fee-for service by insurance companies. When suppliers are paid for the volume and concentration of delivered services why should anyone be surprised when that’s precisely what they deliver? Another taking factor is the debut of new medical engineerings and prescription drugs of all types that drives up patient costs. When combined. the cost becomes astronomical to both the insured and non-insured. These factors continue to be an engine for the jobs that employers. insurance companies and patients face sing costs. To do health care affordable the cost has to travel down. In order for the cost to travel down physicians. infirmaries. and pharmaceuticss would hold to bear down less for their services and the cost of medical specialties. Health Care: The Largest Industry of Employment â€Å"As one of the largest industries in 2008. health care provided 14. 3 million occupations for pay and salary workers. Ten of the 20 fastest turning businesss are healthcare related. Healthcare will bring forth 3. 2 million new pay and salary occupations between 2008 and 2018. more than any other industry. mostly in response to rapid growing in the aged population† ( U. S. Bureau of Labor Statistics. 2011 ) . Most workers have occupations that require less than 4 old ages of college instruction. but wellness diagnosis and treating practicians are extremely educated. The Bureau of Labor Statistics ( 2011 ) besides stated that approximately 595. 800 constitutions make up the health care industry ; they vary greatly in footings of size. staffing forms. and organisational constructions. About 76 per centum of health care constitutions are offices of doctors. tooth doctors. or other wellness practicians while infirmaries constitute to merely a little per centum of all healthcar e constitutions ; using 35 per centum of all workers. Healthcare: A Right President Obama stated the undermentioned â€Å"I think it should be a right for every American. †¦ for my female parent to decease of malignant neoplastic disease at the age of 53 and have to pass the last months of her life in the infirmary room reasoning with insurance companies because they’re stating that this may be a preexistent status and they don’t have to pay her intervention. there’s something basically incorrect about the wellness attention system in America ( Jinchi. 2008 ) . Polls show that 64 % of American say wellness attention should be a right ( Healthcare. procon. org ) . Oppositions argue that utilizing revenue enhancement gross to supply wellness attention to all Americans sums to socialism and would diminish the quality and handiness of wellness attention for those who work hard to acquire medical coverage. They besides argue that it is non the government’s duty to vouch wellness coverage. Health attention cost start with the physicians. infirmaries. and drug companies. The job with Healthcare is that it can non be solved without go againsting the Constitution. If wellness attention is a right. it will besides be a duty and an duty to the authorities to guarantee every individual receives proper and equal medical attention at any medical installation regardless of race. faith. position. preexisting conditions or age. Public proposals of cosmopolitan health care for every citizen have been the focal point of much political argument. Children do non hold the right to take an insurance program for themselves. and many parents do non desire or measure up for insurance. Clearly. justness for these kids and others in a similar state of affairs demands a wellness insurance program that covers them. even if their parents take non to be covered. Healthcare: A Privilege Health attention in America is non a right. Health attention is a merchandise that can be purchased by an person or by an employer for an employee. Most of the absurd labeling of it being a right is merely another tactic to do the on the job revenue enhancement paying citizens wage for those who can non or will non supply for themselves. Many times people who are shouting aloud about their rights are those who want others to supply them free services and goods. Everyone has entree to wellness attention ; nevertheless. non everyone is willing to pay for it. Bing hapless or old is non an alibi. Medicare and Medicaid already cover those groups. It is non the working taxpaying citizen who is shouting for wellness attention rights – they by and large are provided subsidised insurance through their employer. Small concerns may non offer wellness attention insurance but an person still has the privilege to buy every bit much insurance or take to pay for services straight as he or she see fit. Healthcare around the universe Healthcare varies around the universe. Almost all affluent states provide cosmopolitan wellness attention ( the US is an exclusion ) . â€Å"Health proviso is disputing due to the costs required every bit good as assorted societal. cultural. political and economic conditions† ( Golbalissues. org ) . The costs of Healthcare around the universe are really interesting in comparing to the U. S. â€Å"In Australia. the one-year cost of wellness attention per capita is $ 2. 886 ; in Canada ; $ 2. 998. in France ; $ 3. 048. in Germany ; $ 2. 983. in Japan ; $ 2. 249. in the United Kingdom ; 2. 317. and in the United States. the one-year cost of wellness attention per capita is $ 5. 711. ( Pbs. org ) . While many factors contribute to how wellness attention is provide around the universe. population. economic strength and political sentiments are cardinal in act uponing the type of wellness attention system that would work best for a peculiar state. There isn’t any ground think that the United States can non follow in the footfalls of other states and assure decent wellness attention to all of its citizens. Universal wellness attention does non hold to be â€Å"socialized medicine† . In drumhead. the wellness attention market could run much more expeditiously and efficaciously if persons were purchasing their ain coverage or set uping service programs straight with physicians and non with insurance companies ; an unneeded jobber. The insurance companies are the dictators who set policies. monetary values and force an addition in costs. Health attention is best when the physician and patient are the lone 1s in the room and non the pharmaceutical or insurance companies. Health attention should be made accessible and low-cost for everyone. The state can accommodate to alter. if leading demands alteration ; but people are diffident of how this alteration should be approached. Leting people to hold complete independency in footings of health care is American as baseball and apple pie. Mentions hypertext transfer protocol: //www. Photius. com/rankings/healthranks. hypertext markup language Johnson. Nancy J. ; Johnson. Lane P. ( Eds. )1st Edition. . 2010. Seventeen. 285 P.

Monday, November 25, 2019

How to Write a College Research Report

How to Write a College Research Report As a student in college, you will often be required to write a couple of research reports before completing your course. It is therefore important that you know how to write a good research report, so you can get good grades and graduate with impressive grades. The first step in writing a research report is to decide on the topic which you want to explore in the report. While lecturers always give a topic for the other kinds of academic papers, when assigning a college research report, most lecturers let the students decide for themselves the kind of topics on which they are comfortable enough to write. When selecting the topic, you should always make sure that the topic that you select is manageable, meaning that you can comfortably and fully explore the topic that you choose. Also, ensure that you find the topic interesting, as it can be very difficult to create interesting papers from a topic that you already regard as boring and dull. Once you have your topic, the next step to take is to brainstorm the selected topic. Brainstorming basically entails thinking of as many ideas that you can about an issue, before all these ideas can be narrowed to a single line of thought. Normally, students are supposed to use the theme that they have chosen for the report to brainstorm for more ideas. The brainstorming session should enable you come up with numerous ideas, all of which you may not be able to cover in the research report. The next step is to therefore, think of the idea that interests you the most and to use this as the main idea about which you will write in the research report. It is often said that two heads are better than one and this saying is best illustrated during brainstorming because, when you work in groups, it will be much easier to generate many ideas that you find interesting. The brainstorming session should result in narrowing down the topic to an idea, on which the writer can comfortably and compre hensively elaborate, in the research report. With the main idea already identified, the research process can now begin. Many lecturers insist that when writing academic papers assigned by them, library sources should be used, although others allow the student to use any peer review sources. The Internet, magazine articles, newspaper articles, periodicals and journals, are some of the sources commonly used to get the information used to write academic papers. In some cases students come across certain ideas that make them further narrow down the topic. While researching, it is important that students take note of every important information that they come across and after collecting the data, the student should sort the information according to the outline that they had already written, or which they can then write while organizing the information that they have collected. Writing the outline is a great way of organizing the academic paper, so it is easier to write for the student and very easy to understand on the part of the r eader. Once the outline is done, the student can then begin the writing process which many lecturers recommend should start with the first draft. After completion, the student can then revise and write the final draft. If you need a custom research report feel free to buy research paper at our service CustomWritings.com.

Thursday, November 21, 2019

Wooden truss Assignment Example | Topics and Well Written Essays - 1000 words

Wooden truss - Assignment Example Materials In selecting any material, it is necessary to put into consideration a number of factors including cost, performance, safety and regulation. The following materials are needed during the construction of a wooden roofing truss. Wood Truss plates Nails Hammer (claw hammer) Tape measure Marking pen Saw (cross saw and tenon saw) The step-by-step construction process Step I: A research should be conducted to ensure that the designed truss suits the project or building. In addition, the truss should not violate local and international codes. Moreover, it should be designed to meet wind load, snow load and any other load associated with building structures. Figure 1 shows basic truss members Figure 1: Basic wooden truss members Step 2: Truss design The selected truss design should suit the building. Measure and cut materials for a truss using the recommended measurements taking into accounts allowances.fit the pieces together using nails and using correct dimensions. All connectio ns should be tightly fitted Select the best quality for top cord and the bottom cord. These areas bear the highest stress. Figure 2 shows various forces acting on a bridge that an engineer should consider while making a design. Figure 2: A representation of a truss under the compression and tension forces. Nail all truss connections on a solid, level ground. Nails must penetrate all gussets and plates The amount of load that a timber can sustain for a given period is determined using the modification factor table shown on appendix III. Step 3: select appropriate lumber for the truss Softwoods are most preferred for making lumbers. The following factors are considered while selecting the lumber for a truss; Size of the lumber Quality of the lumber Straightness It should be kiln... Wooden trusses the most common types used in building and construction industry today because they are cheap and requires less labor and experience to construct. Roofing materials are designed to support various building loads. In addition, trusses come in various shapes and sizes In selecting any material, it is necessary to put into consideration a number of factors including cost, performance, safety and regulation. The following materials are needed during the construction of a wooden roofing truss. A research should be conducted to ensure that the designed truss suits the project or building. In addition, the truss should not violate local and international codes. Moreover, it should be designed to meet wind load, snow load and any other load associated with building structures. Figure 1 shows basic truss members. The size/shape of a wood truss is requires that some field assembly be done. The installer should ensure proper field assembly is done. In addition, the building compo nent safety lists all details that guide a field installer on how to place a truss on the wall.

Wednesday, November 20, 2019

Commentary on Endo Shusakus When I Whistle Essay

Commentary on Endo Shusakus When I Whistle - Essay Example When Ueda finally mentions a teacher that he knows will make Ozu recognize him, he touches him, a gesture considered an affirmation to reaffirm the recall of what transpired. At the mention of the teacher ('old Rat Hole'), Endo has slowly started to weave a tapestry of events by which Ozu will recall his past. Ozu's "half pleased and half pained smile" elicits questions from the readers - was he half pleased to realize he actually remembered, or that he was meeting someone from his past Was he half pained because he realizes how distant it was Ozu's pronouncement that he does not attend any of the reunions reflects his personality as a simple man. Reunions are not a special event for him, especially with those who did not contribute much in his life and therefore weren't actually given a special place in his memory; the same does for him during reunions. He was not within the capacity nor is he the type to spend time to mingle and socialize. Of the three characters, Ozu is the most interesting. He is indeed the main protagonist, but rather have the entire novel revolve around him, the first part starts with the narration of how special people and events in Ozu's life was guaranteed to last a lifetime. Endo plainly presents the setting and environment by which his novel is to start - a time when industrialization was sure to stay in Japan. The train passed Lake Hamana. Smoke flowed slowly from the factor chimneys. In the distance, the white buildings of a housing development stretched out in the afternoon sun. (Endo 2) It was during the 1970s that Japan experienced a tremendous shift since the arrival of manufacturing, where industrialization became widely implemented, and a new way of life was slowly being suggested and eventually superseded the traditional way of life in Japan. Settlers in the cities grew in number as jobs in industrial factories also increased. Upon mentioning by Ueda that their former school, Nada Middle-School, has now become the topnotch education institution in their country, Ozu recognizes the immense change - it used to be a place that housed "a lot of the students who couldn't make it into any other middle school" (1). Ozu was not ignorant; he has already heard of the news about their former middle-school, even learning that some parents move near the school in order to have their children attend the school. Such efforts just so parents can support their children as they attend the brightest school in the country affirms the notion of how attaining a grand education has now become the primary goal of families inculcated from parents to children to grandchildren, forgetting the simplicities of a basic life that used to be what Japan had, usually traditional way of life that is content with produce from the farm or from fishing. When Ozu's son tells him , "I just can't believe you went to Nada, Dad," (2) Endo introduces us to this new character who, as we learn through the novel, was a young struggling doctor with desires constituting the Western concepts of life, particularly skilled workers and industrialization, at a time when investing on securing children a good education to declare their social status as somewhere up the

Monday, November 18, 2019

Key microeconomic Essay Example | Topics and Well Written Essays - 500 words

Key microeconomic - Essay Example CPI should not pose a threat to firms such as Proctor and Gamble. The firm can be position in a segment of the market where it would not have to compete directly with the market leaders. The best way to achieve that goal is by implementing a differentiation strategy. A variable that can help the company achieve a differentiation strategy is the quality of its products. A second important economic variable that CPI has to consider is pricing. The pricing strategy is very important because price determines the ability of a company to achieve superior profits. Products that are underpriced may sell well but its overall effect in the profitability of a company is not optimum. CPI has to study the market prices of all the products it sells. In a pricing study the firm should analyze the market price of each product in the US, internationally and online. Selling the products at a premium price can help the firm differentiate from low cost producers. The price structure of the company shoul d be sufficient to pay off for all variable and fixed cost while at the same time leaving a hefty surplus of profits. The profit margin of the enterprise should be equal or better than the industry average.

Saturday, November 16, 2019

The Effects Of The Hawthorne Experiments Commerce Essay

The Effects Of The Hawthorne Experiments Commerce Essay The Hawthorne experiments were conducted at Western Electrics Hawthorne plant in Illinois, running from 1924 through 1932. These experiments were intended to examine how people would react to certain conditions such as light, heat, and humidity. These variables were altered and produced both expected and unexpected results. Further trials embarked as Professor George Elton Mayo brought an academic research team into the factory, which were among the most extensive social science studies ever conducted. These investigations have been heavily criticized for merely serving the interest of management. However, these accusations can be argued. The Hawthorne investigations did not only have enormous influence on the human factors to management but also on the development of industrial psychology and sociology. Some maintain their opinion that the human relations approach is misinterpreted, leading to major failures. The Hawthorne studies were initially undertaken to investigate the relationship between physical work conditions and employers productivity. But the experiments represented revolutionary work in the field of management and lead to the creation of the human relations movement. These studies broke the boundaries of the management theory of the time, Taylorism. Scientific management, developed by Frederick W. Taylor, was a concentration exclusively on the physical aspects of work, ignoring the psychological needs and capabilities of the worker. Taylors view of management became inadequate due to the findings of the Hawthorne researchers, who revealed that the physical work environment was one of the only many aspects which influence employee productivity. This style of management became known as authoritarian. The human relations school was concerned with the human aspect of work, meaning that interpersonal relations, especially the feelings within working groups were of importance. Gro up harmony, satisfaction of individual needs, and the care for people were vital. By the individual worker being able to participate and involved in the decision making related positively to the productivity. In other words, this represents a democratic way of leadership. Nonetheless, particular studies also point out that productivity is sometimes positively connected to the authoritarian style. Showing that certain people do prefer to be controlled and directed. The primary experiment for the Hawthorne studies was to examine the connection between the illumination intensity and employee productivity. It showed that as the lightning improved in the experimental room, production increased. But production also rose in the control room. Followed by a slight amount of light in the experimental room, production was still rising, while there was constant illumination in the control room However, the results by 1927 were so confusing, that Elton Mayo and an academic research team were invited to continue a variety of inquiries on productivity and the motivation of worker. The next experiment that took place from 1927 to 1933 was the Relay assembly test room. This engaged a small group of female staff taken to work in a Relay assembly room, away from the regular workforce, varying the number and lengths of breaks and working days. The women were cautiously studied and a total of thirteen periods with different rest pauses, hours of work, and breaks for refreshment were conducted. The result of this phase showed that regardless the changes, there was almost no persistent increase in output. This became known as the Hawthorne Effect. This effect refers to the tendency that people act differently when being observed during a research. The results were influenced by this reaction of the small group of women due to the observation of the researchers. The women were not motivated by the improvements of their working conditions or money, but a reason was that working in a group had increased their output. However, in the group work the productivity rose by 15 percent and management made rest breaks more common. Psychologists were especially interested in this particular study. They found it phenomenal that peoples attitudes changed as they were being watched since it seemed more important than changes to the physical work conditions. The Interviewing programme took place from 1928 until 1930. In this period of time 21,000 employees were interviewed. Interviewers began through asking highly structured questions on work and its conditions and then about non-related work issues, e.g. on family and social issues. The friendlier, the more interest the supervisors showed in the individual worker, and the less harsh discipline existed, the more increases in productivity and morale became significant. The researchers learned a great deal about the staffs attitude towards their job. This findings reveal that workers actually lacked social support and that placing individuals in groups had a positive effect. A famous psychologist, Rensis Likert, contended that organizations should be managed as a collection of groups, rather than individuals. The Bank wiring observations room experiments commenced in 1931 until 1932. This test was conducted without any alteration in the working condition. A group of fourteen workers were taken from the production line and observed for six months. Each employee had three different jobs but worked together in order to produce one output. During this time, the group developed its own procedures to defend its own interests. Productivity remained constant and was unaffected by work payments. The group had developed informal rules of behaviour and determined what was a fair days payment for a fair days work. The workers were afraid that if they produced considerably more output, that the daily unit output would be replaced by an increase of expected output. These results show that the social forces were far more important for the worker than the controls and regulations of the organization. Again stressing the meaning for the worker to belong to a group and not be isolated. Communication from t he superior to the employee would eliminate such misunderstandings. The Hawthorne studies did contribute an immense amount to management and served them enormously as we have seen from the various experiments discussed. It was a revolutionary research project at that point of time and discovered a whole new era in the human relations movement. Nevertheless, the Hawthorne reports did affect psychology and sociology. It affected especially the industrial psychology, meaning the observation of specific human behavior. Especially, the Hawthorne effect was in the interest of the psychologists and it became one of the best-known psychological results. The effect has been generalized to every kind of psychological study. However, recently the Hawthorne effect has been reanalyzed and considering it to be a myth. There is no solid evidence that the workers in the relay room felt better in response to personal attention by supervisors and the participation in a new programme. Criticisms always exist with each single new discovery; someone will always have something to declare. It is up to the manager to know how to handle its business. However, it may be true that Mayos conclusions of human relations movement cannot always be applied. Some organizations need more direction and a specific structure for their employees. Finding a midpoint with both the Taylorism and Mayonism would be an effective way of leadership. Further criticisms pronounce that the Hawthorne studies cannot be seen as an accurate research paper. They insist that there was a lack of adequate control in the study. There were rumours that Elton Mayo did not appear, accurately controlled the variables of the experiment, nor noted them down correctly. Supposedly, changes in the number of participants, misinterpretations, and inaccurate history of work circumstances during the study, provided false results. Adair said: In the first 15 experimental psychology textbooks I examined with reference to Hawthorne, not one had described the studies accurately Yet, these factors are minor when considering the real contributions the Hawthorne studies have brought to management and psychology. These are determents that exist but not make the study any less valuable to knowledge. Another ideological critique argues that the studies showed a pro-management bias in favour of manipulating the workforce. However, the key view of management at th at time was Taylorism, which entirely ignored the human element. No matter how many critiques and debates there are about the faults of the Hawthorne studies, the contributions well over take all assumptions. The discovery that physical work conditions were not the prime importance of the worker but also social factors was a break through. The main conclusions that can be drawn from Elton Mayos experiments are it is essential that work is a group activity, the necessity of recognition, need for security, and job satisfaction. Organizations are social systems, not just technical economic systems. It was proven that management requires social skills and not just technical skills. Only giving the employee specific instructions and demands will give the worker the wrong impression. It is necessary to have some contact in order to achieve knowledge of what is going on between the workers. This knowledge can effectively improve the bosss management skill and through this contact earn the necessary respect. Since, the Hawthorne studies are not methodologically precise, it does not reduce the importance of their findings. They were revolutionary, no one before had noticed that human relations were that important to organizational output. Humans were seen as machines until the studies came along. Then the well being of employee s became of significant and changed the way managerial style. In conclusion, it has become evident that there are various approaches to organizational efficiency. The first significant method was scientific management, where the main focus was on the physical aspect of work, also on the individual worker and not group work. Taylor furthermore ignored the importance of other rewards than money, such as achievement and job satisfaction. As the Hawthorne studies were conducted and moved away from Taylorism, which indicated a paradigm shift, redefining the field of management research. It had broken the traditional theory of Taylor and no study had ever had such an impact on management as the Hawthorne investigations. Elton Mayo was known as the main supporter of the human relations movement in management. He stated that in order to motivate people, meaning increase in output and efficiency, the individual worker has to believe that their corporation cares about them, is concerned, and willing to listen. The emotional and social sides were major at tributes of organizational behavior. These studies did have an enormous amount of influence on management but also on sociology and psychology. In spite of all criticisms, the Hawthorne studies still contributed a significant amount and redefined management. It also brought one of the most important results to psychology. Lloyd, Baird S., Post James E., Mahon, John F. Management, Functions and Responsibilities New York: HarperCollins Publishers Inc., 1990. P. 22 Huczynski Andrzej Buchanan David Organizational Behaviour, Fourth edition. Harlow: Prentice Hall Europe, 2001p. 281 Henderson, George Human Relations Issues in Management Westport: Quorum Books, 1996.p. 24 ibid p. 33 Huczynski Andrzej Buchanan David Organizational Behaviour, Fourth edition. Harlow: Prentice Hall Europe, 2001. p. 280 Warner, Malcolm, ed. International Encyclopedia of Business and Management Volume 2, England: Routledge, 1996. p. 1737. Kakabadse Andrew, Ludlow Ron Vinnicombe Susan Working in Organizations, London: Penguin Books, 1978.P. 191 ibid p. 191 ibid p. 192 Huczynski Andrzej Buchanan David Organizational Behaviour, Fourth edition. Harlow: Prentice Hall Europe, 2001 p. 282-283 ibid p. 283 Warner, Malcolm, ed. International Encyclopedia of Business and Management Volume 2, England: Routledge, 1996. p. 1793 ibid p. 1793 Huczynski Andrzej Buchanan David Organizational Behaviour, Fourth edition. Harlow: Prentice Hall Europe, 2001. p. 289 Warner, Malcolm, ed. International Encyclopedia of Business and Management Volume 2, England: Routledge, 1996. p. 1793 Leahley, Thomas Hardy, A History of Modern Psychology, Second edition. New Jersey: Prentice Hall, Inc. 1994. p. 364 ibid p. 367 Warner, Malcolm, ed. International Encyclopedia of Business and Management Volume 2, England: Routledge, 1996. p. 1740 ibid p. 1741 ibid p. 1740

Wednesday, November 13, 2019

The Innocence of Yesterday :: Ethnicity Race Racism Essays

The Innocence of Yesterday When my dad sees a black person, he always says, black dude. He says it with a bitter taste in his mouth. He utters it to me as if to make sure that I take note that the person is black and therefore also a dude. There is no purpose in his saying this, yet he says it without concern for what it reveals about his racial attitudes. Or rather he does not care what others think of his stereotypes. He may be the only person I know who speaks his mind so recklessly, but stereotypes are pervasive throughout society. All of us attach images and experiences to people we have never met. When I was a child, I absorbed negative views on every race and culture. Hispanics are lazy. Jews are untrustworthy. Blacks are inferior. Indians are dirty. Asians are cheap. When I discovered that I was Asian, I did not know what to think about that. Until elementary school, I did not notice the color of my skin. I, like everyone else I knew, was colorblind. The notion of race did not exist. My friends had brown, blonde, and black hair, and mine was black, too. Straight, poofy, and always gelled to a gleam, my hair should have tipped me off that I was not like everyone else. I assumed that everyone in my family just happened to be born with abnormal hair. There was no reason to think that my friends at school were different from the miniature community of my home. Before school, my mind was innocent of discrimination. I cannot recall one moment where I looked at a person of color and thought of a racist stereotype. I was in a protected state of naive bliss, unaware that the fragile shelter of my colorblindness was soon to collapse. Discrimination forced itself into my life. I remember the first time I felt discrimination. It caused my chest to ache. I was seven, and one of my friends put his index fingers on the corners of his eyes and tugged outwards. He said, "hey Dexter, look. I'm you." I laughed at first. Then the little gears in my head clicked into place, and I stopped. I turned to the mirror behind me and gasped in disbelief. Almond-shaped eyes stared back. It was true. I looked around me, and almost all the kids were white.

Monday, November 11, 2019

Civil War in Fort Sumter in American Essay

Fort Sumter is located in Charleston in South Carolina; the Fort was famous for its role that it played as a site where most shots that initiated the American Civil War were fired during the battle of Fort Sumter. This site was constructed using the slave labor from the year 1829 and unfinished in the year 1860, when the war started. This structure was designed to accommodate six hundred and fifty men and one hundred and thirty five guns arranged in three rows of gun emplacements, On April 12, 1861, there was a thirty four hour firing that was opened by the Confederate succession whereby a Gillmore Medal a special military decoration, was issued to the Union Service Members who performed their duties in Fort Sumter in the opening combat of the American Civil War. The battle in Fort Sumter was a conflict that ran for decades in America, the origin of this war was slavery in the new territories, which led to the negotiation of the year 1850 that was used to stop the political crisis, but it did not resolve the issue of slavery, slavery was considered by the Northerners as a national vice which was controlled by a number of Southern owners of large plantations who had the goal of spreading slavery. Under this, we find that the southerners were more worried about the growth of the North in terms of its population and industrial development. The development of both the North relied on free labor while the South relied on slave labor. There was a division of the United States in two regions that is, the North East and the Midway was recognized with its growing economy that relied on the farms owned by the families, the industries, and transportation, business with a high population in urban areas and in never encouraged its slavery outside the borders. While the Southern was controlled by a developed plantation system supported by slavery, the northern population was said to have grown quickly than the Southern population, this made it hard for the southern states to have control over the national government. Most of the slaves were not owned by many of the Southern whites who concentrated in subsistence farming, while the most of the salve owners were engaged in controlling the political and economical systems in the State. The northern states argued that the slavery was adverse for the nation, whereby in 1776 the north had to abolish slavery with a concern of maintaining unity in the states, within which politicians had a reasonable resistance to slavery, which led to negotiations such as the Missouri Compromise of 1820 and that of the year 1850. Under this the struggle to end slavery was not the main goal of the war, the war started with the need of expanding the territories of the slavery that was taken as a basic in economic, cultural and political differences that led to the rise of the control of the States’ rights and independence of the Southern States in the country. The attack of the Northern state at the Fort Sumter created Hostilities among the states whereby, the Northern States attempted to defend the nation, we find that Lincoln mentioned during his inaugural address in March 1861, that a National Unity to be put up, whereby there was already a withdrawal by the Seven States. This unity was to be used as a war goal to unite the democrats, Border States and the Republicans. In 1863, Lincoln included liberation that permanently removed the division factor that lead to independence of the other states, even though he proposed federal laws against slavery in the year 1858 where withdrawal was increased, the Slave-owning South and the Anti-slavery North, which made him express a concern to stop the expansion of slavery putting in mind the publics believe that the slave trade was in its way of extinction. In the 1850s, there was a strong political battle that focused on the expansion of slave trade in the territories which accelerated the Southern movement towards secession , under this we see that both the Southern and the Northern states were threatened by secession, whereby the Southern States had fears of losing its control of the central government to the forces that were against slavery-while the Northern States were fearing that the Southern had already taken control over the government, this led to this civic war. The Southern was supported by the election of the Republican Abraham Lincoln through which most regional leaders feared that he was put in a position which would enable him stop the expansion of the salve trade, we see that many Southern citizens thought that slavery would be abolished by either Lincoln or another person from the north and therefore they decided to split. Fear of racial and equality was also seen as a leading factor to this civic war whereby the Southerners expressed their fears for the loss of slavery that would thereafter lead to the economic losses. Also the fears of racial equality whereby, there was the probability of a doctrine of equality to be set through which all men regardless of race would be made the slaves of a particular region and this would make them demoralized and degraded in a way that they could fight against the slavery. The fear of modernization was seen as a leading factor to the civil war, where we see that the Northern States were becoming economically stable, with its strong knowledge of having aggressive, free labor capitalism, while the South remained in its traditional standards of living. The Northern was said to be having an industrialized economy whereby, it engaged itself in producing of arms, munitions supplies including monetary contributions and transportation while the confederate territory continued to shrink and its economy weakened. This led to the North having power over the shipments, steamships, river boats and the navy that made the North to come up with the construction of ships that led to the north to also take control over the river systems thus blocking the whole Southern coastline making its transportation slower and difficult to manage. Various international communities intervened in this civil war this included the Britain and France who, rather increased the Southern States chances of winning the secession from the United States. Under this we see that the Southerners decided to involve themselves in cotton consignment, in which they had an objective of making the economy of Europe to be inefficient thinking that it would have made Britain enter the war in order to get cotton, but this ideology did not work since Europe had to prove to have a productive supply of cotton to the British thus the Northern States gained exports at a more British import trade. The Southern failure in the cotton production came as a result of the control put on the transportation systems by the Northern states, which therefore hindered any transaction between any other countries with southern states. In the early 1820s and 1830s, the religious leaders were seen to come up with an idea of abolition as one of the methods they thought would help them resolve this war; these leaders were termed as abolitionists who attempted various social reforms extinguish the war, among them were Wendell Phillips and Frederick Douglas who insisted for the immediate abolition of slavery. Among the two, there were also other abolitionists like Theodore Weld and Arthur Tappan, who asked for an abrupt action against the war, though the action, was to be a gradual liberation program with a long system. This course was also supported by the Anti-slavery men, who were not abolitionists they tried hard to limit the slavery; they were seen to be ambitious to end the slave trade in their states this is best explained in the 1841 case, where we find that John Quincy Adams presented the Amisted African slaves in the United States supreme court, claiming that they should be set free. These abolitionists believed that all people were equal before God where, they came up with an argument that enslaving another person is a violation of the Higher law. The slave owners were angered by this movement and they defended this fact, saying that slavery was good and that it was authorized by God. We see that the southern came up with Biblical interpretations that directly disagreed with those of the abolitionists, under which they interpreted the case of the curse of Noah’s son Ham and his offspring in Africa, can be used as a validation for the slavery of blacks. In 1830s it was found that the General Post Master of the United States banned the mailing of pamphlets that were made to fight against slavery to the South. In this case we find that the Southern States refused to be termed as abolitionists. And anyone who was found rebelling against the slavery was charged with his actions, this is better explained in the 1859 case of, John Brown who attempted to start a slave rebellion which threatened the Northern States, Brown’s efforts were to fight against the slavery; whereby he seized the federal Harpers Ferry Armory at the Harper’s Ferry, Virginia in the year 1859, the ferry had carried many weapons to be used in the war, he was strongly supported by many Anti-slavery members of the Secret Six that provided the financial support for his raid. Among the supporters was, George Luther Stearns, Franklin. Sanborn, among others. As an effect of the raid Brown was captured by the army that was dispatched to put down Browns’ raid and he was tried for treason against Virginia and he was later hanged. At the end of the war we see that the South emerged as the winner of the war whereby it is said that the Union took advantage of the confederation in terms of industrial strength, population, and the objectivity of winning the war. Most people argue that the confederate action were only used to delay the defeat, but the confederacy was seen to have won the war by the survival of Lincoln where he defeated McClellan in the 1864 elections under which the aspiration of the southern victory was ended. With the success in the elections Lincoln was seen as a success in getting the support of the neighboring States, the conflict democrats, liberated slaves and Britain and France. We also see that Lincoln defeated the copper heads and their peace policy. He had found military leaders such as Grant and Sherman who took the advantage in battle over the Associate Militia through which the war was won by the generals who feared no bloodshed and by the end of 1864 the South had lost the anticipation to win the battle. Though, the Northern war leaders noticed that the victory over this war needed more than fighting. It decided to come up with ways of encompassing the two goals of the war, where by we see that the secession was to be renounced and all forms of slaves were to be eliminated. These leaders differed completely on the following: the criteria of the war and also on the degree at which the national control that were to be given to the South, and the process by which the southern was to be reincorporated into the union again. The war ended in the year 1877, which carried a complex and various series of federal and state policies. The civil war amendments were long-term results divided into three where the thirteenth amendments was that which abolished the slavery, the fourteenth one was that which extended federal permissible protections to the people not putting in mind the race, and the fifteenth one which abolished racial boundaries on voting. References Donald, D. E. (2001): The Civil War and Reconstruction:-latest edition 2001. 700 page survey Davis. W. C. (1983): The Imperiled Union 1861-1865 3v (1983) Fellman, M. E. (2003): This Terrible War- The Civil War and its Aftermath. 2003, 400 page survey Reach, J. P. (2005): Americans at War Society, Culture and the Homefront. Vol. 2: 1816-1900 Tulloch, H. (1999): The Debate on the American Civil War Era† 1999, historiography

Saturday, November 9, 2019

Writers differ in the purpose for which they write

Writers differ in the purpose for which they write. Some aim to entertain, but the more serious and skilled writers usually have the goal of expressing a serious idea. Writers such as Hariet Beecher Stowe and Alex Haley are writers who write for more than mere entertainment. Uncle Toms Cabin, written by Harriet Beecher Stowe, had a political purpose. Stowe intended to help America realize the inhumanity of slavery and the pain it brought upon African-Americans by writing a melodramatic novel. She despised the South for practicing slavery and the North as well for their prejudice against blacks. Roots was written by Alex Haley in search of his origin. His hunger for knowledge of who he was and who his ancestors were inspired him to carry out numerous years of research and countless interviews in order to finish his book. Although Alex Haley wrote Roots in search of his origin and Harriet Beecher Stowe wrote Uncle Toms Cabin for a political purpose, both authors lead readers t! o sympathize with the predicaments of African-Americans by putting a human face, as well as a racial one on the tragedy of slavery, thus involving all readers in the inhumanity of the institution. In Uncle Toms Cabin we are cordially introduced to Uncle Tom. He is a large, broad-chested, powerfully-made man, of a full glossy black, and a face whose truly African feature [are] characterized by and expression of grave and steady good sense, united with much kindliness and benevolence(Stowe 24). By her description of Tom, Stowe contradicts the common stereotype that blacks are savages and inhumane by giving Uncle Tom the characteristics of an ideal, honest man. He is described as being "kind" and "benevolent" as well as having an "expression of good sense". Stowe also portrays Uncle Tom as a perfect being. It seems as if his personality is without a flaw and seems too good to be true. By giving Uncle Tom this flawless characteristic...

Wednesday, November 6, 2019

Find Out What Happened to the Mayan People

Find Out What Happened to the Mayan People The fall of the Maya is one of history’s great mysteries. One of the mightiest civilizations in the ancient Americas simply fell into ruin in a very short time, leaving many wondering what happened to the ancient Maya. Mighty cities like Tikal were abandoned and Maya stonemasons stopped making temples and stelae. The dates are not in doubt: deciphered glyphs at several sites indicate a thriving culture in the ninth century A.D., but the record goes eerily silent after the last recorded date on a Maya stela, 904 A.D. Many theories exist as to what happened to the Maya, but experts display little consensus. The Disaster Theory Early Maya researchers believed that some catastrophic event may have doomed the Maya. An earthquake, volcanic eruption, or sudden epidemic disease could have destroyed cities and killed or displaced tens of thousands of people, bringing the Maya civilization crashing down. These theories have been discarded today, however, largely because of the fact that the decline of the Maya took about 200 years; some cities fell while others thrived, at least for a while longer. An earthquake, disease, or another widespread calamity would have snuffed out the great Maya cities more or less simultaneously. The Warfare Theory The Maya were once thought to have been a peaceful, Pacific culture. This image has been shattered by the historical record; new discoveries and newly deciphered stone carvings clearly indicate that the Maya battled frequently and viciously among themselves. City-states such as Dos Pilas, Tikal, Copn, and Quirigua went to war with one another often, and Dos Pilas was invaded and destroyed in 760 A.D. Some experts wonder if they went to war with one another enough to cause the collapse of their civilization, which is quite possible. War often brings with it an economic disaster and collateral damage that could have caused a domino effect in the Maya cities. Civil Strife Theory Staying with a theory of unrest, some researchers believe civil war may have been a cause. As the populations in the large cities boomed, a great strain was placed on the working class to produce food, build temples, clear rainforests, mine obsidian and jade, and do other labor-intensive tasks. At the same time, food was becoming more and more scarce. The idea that a hungry, overworked working class might overthrow the ruling elite is not too far-fetched, especially if warfare between city-states was as endemic as researchers believe. The Famine Theory Preclassic Maya (1000 B.C.–300 A.D.) practiced basic subsistence agriculture: slash-and-burn cultivation on small family plots. They planted mostly corn, beans, and squash. On the coast and lakes, there was some basic fishing as well. As the Maya civilization advanced, the cities grew, their population growing much larger than could be fed by local production. Improved agricultural techniques such as draining wetlands for planting or terracing hills picked up some of the slack, and increased trade also helped, but the large population in the cities must have put great strain on the food production. A famine or other agricultural calamity affecting these basic and vital crops could certainly have caused the downfall of the ancient Maya. Environmental Change Theory Climate change may also have done in the ancient Maya. As the Maya were dependent on the most basic agriculture and a handful of crops, supplemented by hunting and fishing, they were extremely vulnerable to droughts, floods, or any change in the conditions that affected their food and water supply. Some researchers have identified some climatic change that occurred around that time: for example, the coastal water levels rose toward the end of the Classic period. As coastal villages flooded, people would have moved to the large inland cities, placing added strain upon their resources while losing food from farms and fishing. So...What Happened to the Ancient Maya? Experts in the field simply do not have enough solid information to state with clear-cut certainty how the Maya civilization ended. The downfall of the ancient Maya was likely caused by some combination of the factors above. The question seems to be which factors were most important and if they were linked somehow. For example, did a famine lead to starvation, which in turn led to civil strife and warring upon neighbors? Investigations havent ceased. Archaeological digs are ongoing at many sites, and new technology is being used to re-examine previously excavated sites. For example, recent research, using chemical analysis of soil samples, indicates that a certain area at the Chunchucmil archaeological site in Yucatan was used for a food market, as had been long suspected. Mayan glyphs, long a mystery to researchers, have now mostly been deciphered. Sources: McKillop, Heather. The Ancient Maya: New Perspectives. New York: Norton, 2004. National Geographic Online: The Maya: Glory and Ruin. 2007. NY Times Online: Ancient Yucatn Soils Point to Maya Market, and Market Economy. 2008.

Monday, November 4, 2019

Write summary Article Example | Topics and Well Written Essays - 1250 words

Write summary - Article Example Multi-level analysis can distinguish the impact of the teachers from the school environment and analyze the factors at each level. The study was conducted because of the significant role that technology plays in enhancing the learning experience. The study employed multi-level modeling to analyze data obtained from 3,652 teachers who specialize in handling students in grade 1-9. The study was conducted in 289 schools in Taiwan. According to the article, both school-level factors and teacher-level factors affected the integration of ICT in the process of teaching. The teacher-level factors identified by the study are the beliefs of a teacher and the amount of hours spent in training in the previous year positively influenced ICT Integration. The school level factors that affect ICT integration are hours of training and the way teachers perceive the support from the school. The other factors influencing ICT integration are internet access, quality of computers, number of projectors available and stability of the available computers. The results indicate the significant role that teachers and schools play in the integration of ICT to improve the quality of the learning experience. Teachers play a significant role in the process of ICT integration. Ayub, A. M., Bakar, K. A., & Ismail, R. (2012). Relationships between school support, school facilities, ICT culture and mathematics teachers attitudes towards ICT in teaching and learning.  AIP Conference Proceedings,  1450(1), 196-200. Doi:10.1063/1.4724139 The study examines the relationship between school support, facilities, ICT culture and attitudes of mathematics towards ICT integration in learning and teaching. ICT enables students to widen their sources of the information because of the web. Teachers have the opportunity to use the available technology to create a relatively more interactive and informative learning process. According to the study, the

Saturday, November 2, 2019

3BM070 Strategic Corporate Finance ASSIGNMENT 2 Essay

3BM070 Strategic Corporate Finance ASSIGNMENT 2 - Essay Example The ratio is seen to be as high as 30% (Damodaran, 2012). a) Whether making investments in the shares of BP is profitable or not, has been analysed on the basis of the above calculations in respect to p/e ratio and the share price value calculated using the dividend growth model. The p/e ratio aids investors to understand the market prospects of a given stock. A higher p/e ratio is generally considered to be better as it results out of higher earnings and market value existing for a share. It is also considered that firms having a higher p/e ratio is likely to give more dividends (Bakshi and Chen, 2005). The ratio helps investors to decide upon the price at which shares must be purchased based on the evaluation of its earnings. The ratio therefore aids in establishing a relationship between earnings and the market value per share. It is extremely essential that the ratio is studied by investors based on industry average and previous year’s values. The ratio can be interpreted wrongly if not suitably compared with the p/e ratios of previous years and the general ratio existing in the industry (Sharpe, 2002). From the calculations carried out it has been seen that the p/e ratio of BP in the 2013 has been lower than the general industry standards. The industry standards were at 12.8 while the ratio for BP was as low as 6.49%. This indicates that the market value of shares and the EPS values for the year 2013 of BP were lower than the general industry standards. On the other hand, it was seen that the p/e ratio for the year 20014 had risen to 30%. This was identified due to a fall in the earning per share (EPS) values, although the price of shares had experienced lower level of decline. Although a higher p/e ratio is considered to be better, it may be judged wrongly if not compared with the figures of the previous year. In case of BP, although the p/e ratio had risen, the cause behind it was a fall

Thursday, October 31, 2019

New Deal Essay Example | Topics and Well Written Essays - 1250 words

New Deal - Essay Example They could either develop programs from the bottom-up by federally generated job creation and welfare benefits thus forming social partnership with racial minorities and the working class including labor unions or they could give businesses freedom to correct the economy itself by expansion thus creating more jobs which would pump money back into the economy. Contrary to popular historic perceptions, the country was hardly moving in a socialist direction.   The New Deal represented the prevailing capitalist societal structure culture as, for an example, its policy continued the division between what was considered the worthy poor, mostly widows and their children and the ‘unworthy’ poor, which included just about anyone else, who were disregarded. The First New Deal (1933 to1934) decidedly orientated governmental policies toward big business.   The Second New Deal which began in 1935 was less pro-business in position, but in practice continued to support top-down economic growth.   Later in this stage of reform, the government increased its focus on antitrust enforcement and stronger regulations on business regulation but ultimately, big business maintained influence over essential decisions concerning investment, pricing and production. In addition, the government assisted industry by limiting competition. Rather than attempt to regulate businesses, New Deal advocates wanted to greatly increase the size and control of the government so that it could act as a counterbalance to private sector industries (Yantek, n.d.). When Roosevelt took office; the government was fairly simple in design with functions primarily limited to the necessities of administration. Afterwards, it was altered into a multifaceted agency controlling business and intruding into citizen’s liberties. â€Å"It is no exaggeration to say that he took the

Tuesday, October 29, 2019

Ethnography of Speaking Essay Example for Free

Ethnography of Speaking Essay The article â€Å"Ethnography of Speaking† towards a Linguistics of Praxis† by Alessandro Duranti provides thorough study of language use in everyday life of a particular speech community. Actually, the author discusses peculiarities of language use involving communicative competence, context, speech communities, speech events, speech acts and conversation analysis. This study is centered on a situation discourse meaning that linguistic performance is evaluated in terms of socio-cultural order and language. It is noted that ethnography of speaking (ES) is concerned with finding relations between â€Å"language use and local systems of knowledge and social conduct†. The author discusses the goals of the speech, attributes of linguistic code and provides definitions of main terms involved in the discussion of language use. The author admits that ethnographers of speaking are interested in analyzing language use. The author claims that â€Å"the notion of language use is strictly related to the view of sociolinguistics as merely a different methodology, a different way of obtaining data†. However, ES define language use as the use of linguistic code in terms of a particular culture or community. The author assumes that unity of language is only illusion and in order to interpret the sign it is necessary to analyze the context. The goals of ES are to establish social identities and relationships, to explain how it is possible to change the world, to provide frames for speech events and act and, finally, to break social and cultural barriers. It is necessary to notice that ethnographic study wants to describe knowledge required by participants to communicate successfully with each other. Therefore, speaking or not speaking is significant for all human interactions. The process of speaking is, thus, constitutive of reality meaning that speaking â€Å"makes something already existing present to the participants or creates something anew†. Finally, the author discusses the role of speaking in shaping people’s life. Why speaking is important for human interactions? Works Cited Duranti, Alessandro. Ethnography of Speaking Towards Linguistics of Praxis. Cambridge: Cambridge University Press.