Wednesday, September 2, 2020

Free Essays on Vegetarianism

As we should return to our birthplaces, our beginnings, the â€Å"Garden of Eden† of our own individual lives so as to get a handle on truth and in this manner gain section into the Kingdom, so should we embrace the uncorrupt amazement, marvel and regard for our non-human brethren which can be found in the disposition of a youngster toward a creature before the person in question has been ruined by the inculturated standards of dread and strength. Similarly as we may watch the child’s common fondness toward creatures and their initial, natural feeling of being in connection with them, we may likewise watch the child’s most punctual response to the eating of meat. On first being acquainted with the eating of meat in early stages, the characteristic reaction of a child is to disdain its taste. Most youngsters intuitively stop people in their tracks from this new, noxious proposal on the spoon. The infant must be educated to eat meat through every day molding. A com parable reaction is rehashed later when a more established kid discovers that the principle seminar on their plate was before a dairy animals or a pig or a chicken. The speedy and solid response is one of aversion acknowledgment coming just through rehashed confirmations of the commonality of this training in the grown-up world. With regards to ‘becoming as children’ it is significant that Isaiah utilizes pictures of kids in connection with creatures in his well known vision of the serene realm. As Via notes in his investigation of the pericope in Mark, (Mark 10: 13-16) the arrival to this honest position includes a specific measure of hazard taking in the deserting of mentalities that the grown-up has come to acknowledge. As the kid must surrender security so as to turn into a grown-up and face challenges, so the grown-up must backtrack those early strides in the relinquishment of the educated security of adulthood and the dismissal of certain social standards. The mistaken yet socially imbued conviction that meat protein is important to continue life must be surrendered, and with it the general mentality of the commonality ... Free Essays on Vegetarianism Free Essays on Vegetarianism As we should return to our roots, our beginnings, the â€Å"Garden of Eden† of our own individual lives so as to get a handle on truth and subsequently gain passage into the Kingdom, so should we receive the honest stunningness, miracle and regard for our non-human brethren which can be found in the demeanor of a youngster toward a creature before the person has been ruined by the inculturated standards of dread and predominance. Similarly as we may watch the child’s common liking toward creatures and their initial, natural feeling of being in connection with them, we may likewise watch the child’s most punctual response to the eating of meat. On first being acquainted with the eating of meat in earliest stages, the characteristic reaction of a child is to detest its taste. Most kids naturally blow some people's minds from this new, noxious proposal on the spoon. The infant must be instructed to eat meat through every day molding. A comparable reaction is rehashe d later when a more established youngster discovers that the principle seminar on their plate was at one time a cow or a pig or a chicken. The speedy and solid response is one of aversion acknowledgment coming just through rehashed affirmations of the regularity of this training in the grown-up world. With regards to ‘becoming as children’ it is essential that Isaiah utilizes pictures of kids in connection with creatures in his acclaimed vision of the quiet realm. As Via notes in his investigation of the pericope in Mark, (Mark 10: 13-16) the arrival to this honest position includes a specific measure of hazard taking in the relinquishment of mentalities that the grown-up has come to acknowledge. As the kid must desert security so as to turn into a grown-up and face challenges, so the grown-up must backtrack those early strides in the surrender of the educated security of adulthood and the dismissal of certain social standards. The wrong yet socially imbued conviction that meat protein is important to support life must be deserted, and with it the general disposition of the commonality ...

Saturday, August 22, 2020

Nestle malaysia safety and health free essay sample

1. The reason for this task is to upgrade learners’ capacity to assess the significance of area 15 (OSHA act 1994) and segment 24 (OSHA act 1994) in overseeing word related security and wellbeing at the working environment. Area 15 (OSHA act 1994). 2. In this area the demonstration weight on the General obligations of businesses and independently employed people to their workers. It include : a. The obligation of each business and each independently employed individual to guarantee, so far as is practicable, the security, wellbeing and government assistance at work of every one of his representatives. b. The arrangement and upkeep of plant and frameworks of work that are, so far as is practicable, safe and without dangers to wellbeing. c. The creation of game plans for guaranteeing, so far as is practicable, wellbeing and nonappearance of dangers to wellbeing regarding the utilization or activity, dealing with, capacity and transport of plant and substances. d. The arrangement of such data, guidance, preparing and oversight as is important to guarantee, so far as is practicable, the wellbeing and wellbeing at work of his representatives. d. So far as is practicable, as respects wherever of work heavily influenced by the business or independently employed individual, the support of it in a condition that is sheltered and without dangers to wellbeing and the arrangement and upkeep of the methods for access to and departure from it that are protected and without such dangers. e. The arrangement and support of a workplace for his representatives that is, so far as is practicable, safe, without dangers to wellbeing, and sufficient as respects offices for their government assistance at work. 3. What is says, as the business, you are dependable to shield your representatives from work environment related dangers and risks. You should keep them educated regarding what they are really going after. What's more, in an occasion of a mishap, you and your workers must recognize what to do. Area 24 (OSHA act 1994). 4. In this segment the demonstration weight on the general obligations of representatives at work. It will be the obligation of each representative while at work :- a. To take sensible consideration for the wellbeing and strength of himself and of different people who might be influenced by his demonstrations or oversights at work. b. To co-work with his boss or some other individual in the release of any obligation or necessity forced on the business or that other individual by this Act or any guideline made there under. c. to wear or use consistently any defensive gear or dress gave by the business to the reason for forestalling dangers to his wellbeing and wellbeing. d. To conform to any guidance or measure on word related wellbeing and wellbeing founded by his manager or some other individual by or under this Act or any guideline made there under. 5. It additionally expressed that if an individual who negates the arrangements of this area will be liable of an offense and will, on conviction, be obligated to a fine not surpassing one thousand ringgit or to detainment for a term not surpassing three months or to both. Settle HISTORY 6. In Vevey, Switzerland, our organizer Henri Nestle, a German drug specialist, propelled his Farine lactee, a mix of cow’s milk, wheat flour and sugar, sparing the life of a neighbour’s kid. Sustenance has been the foundation of our organization from that point onward. 7. â€Å"Henri Nestle, himself a settler from Germany, was instrumental in turning his Company towards worldwide extension from the very beginning. We owe more than our name, our logo and our first newborn child food item to our organizer. Henri Nestle encapsulated a large number of the key perspectives and qualities that structure a vital part of our corporate culture: realism, adaptability, the ability to learn, a receptive outlook and regard for others and societies. † Peter Brabeck-Letmathe, Nestle Chairman 1905 8. The Anglo-Swiss Condensed Milk Company, established by Americans Charles and George Page, converged with Nestle following two or three decades as savage contenders to shape the Nestle and Anglo-Swiss Milk Company. 9. Settle has a Board of Directors, drove by the Chairman Peter Brabeck-Letmathe, who was the previous Nestle CEO. There are 14 individuals from the Board of Directors. The everyday administration of the Nestle business is dealt with by their Executive Board. The 13 assigned Board Members oversee different pieces of the worldwide business. 10. The Nestle Group is overseen by geologies (Zones Europe, Americas and Asia/Oceania/Africa) for a large portion of the food and drink business, with the exemptions of our universally overseen organizations, which incorporate Nestle Waters, Nestle Nutrition, Nespresso, Nestle Professional and Nestle Health Science. We likewise have joint endeavors, for example, Cereal Partners Worldwide and Beverage Partners Worldwide. 11. Nestle’s destinations are to be perceived as the world chief in Nutrition, Health and Wellness, trusted by the entirety of its partners, and to be the reference for money related execution in its industry. 12. They accept that administration isn't just about size; it is additionally about conduct. Trust, as well, is about conduct; and we perceive that trust is earned distinctly over an extensive stretch of time by reliably conveying on our guarantees. These destinations and practices are embodied in the straightforward expression, â€Å"Good Food, Good Life†, an expression that summarizes our corporate desire. Settle IN MALAYSIA. 13. Nestle’s promise to giving quality items to Malaysian’s goes back very nearly 100 years prior. Settle started in Malaysia in 1912 as the Anglo-Swiss Condensed Milk Company in Penang and later, development and extension made a transition to Kuala Lumpur important in 1939. 14. Since 1962, with its first processing plant in Petaling Jaya, Nestle Malaysia currently fabricates its items in 7 production lines and works from its administrative center in Mutiara Damansara. One of their industrial facility is in Shah Alam, Selangor Darul Ehsan. 15. Settle itself as a major organization has their own statement of purpose which is Nestle is the biggest food organization on the planet. Be that as it may, increasingly critical to them is to be the universes driving food company†. 16. Mr. Alois Hofbauer is the Managing Director of Nestle Malaysia successful first February 2013. He accepted his situation on the Company’s Board of Directors on 22 February 2013 and is additionally answerable for the Singapore Region. 17. As we probably am aware, Nestle has been creating a ton of item particularly in Food Industries, for example, Baby Foods, Breakfast Cereals, Beverages, Bottled Water, Chocolate Confectionery, Dairy Products, Food Services, Ice Cream, Prepared Foods, and furthermore Pet consideration Pharmaceuticals Cosmetics.. 18. As a mindful corporate resident, Nestle Malaysia makes, imports and circulates just Halal items which have been guaranteed by the Department of Islamic Development Malaysia (JAKIM) and the significant perceived Islamic specialists. They are solidly dedicated to guarantee the significant serenity of every one of their buyers. Jobs AND RESPONSIBILITIES UNDER SECTION 15 AND 24. 19. To be at the bleeding edge of mishap counteraction in the business, Nestle has been executing in all locales the obligatory of Nestle Occupational Safety and Health Management System, which meets or surpasses the necessities of the wellbeing and security laws appropriate in the nations in which they work including Malaysia. 20. The following are the jobs and obligations under Section 15 in the association that has been actualizing by Nestle. a. Solid Safety and Health Organization. Settle accepts that mishaps are preventable and accordingly â€Å"One mishap is one too many†. To propel a solid security culture that viably forestalls mishaps, Nestle set up nearby wellbeing and wellbeing associations that give authority guidance to directors and representatives. b. Consistent Improvement. Settle improve continually their exhibition by planning and adjusting forms, work practices and frameworks toward better ergonomics and more prominent security. They record the enhancement for the observing of security and wellbeing execution just as on the examination of occurrences that produce wounds and of working environment exercises whose aggregate impacts may prompt sicknesses. c. Correspondence, Education and Training. Settle assembles a proactive security culture by:†I. Driving the usage and persistent improvement of the Nestle Occupational Safety and Health Management System through correspondence with representatives, temporary workers and different partners. ii. Instructing, preparing and preparing workers to guarantee that they are engaged to maintain a strategic distance from perilous circumstances and to react quickly to surprising occasions. iii. Impacting preparing and training of contractual workers, providers, representatives and network. d. Offices and Welfare at Workplace. Settle has been giving a great deal of offices and dealing with the representatives government assistance. This is significant so as to give a sheltered and solid condition at the work environment for models: I. Latrine and Shower room. ii. Bottle. iii. Smoking room. iv. Representatives storage. v. Individual Protective Equipment (PPE). vi. Wiped out compensation. vii. Staff shops all things considered destinations. viii. Organization reward conspire. ix. 25 days occasion. x. Wellbeing screening at site. 21. The following are the jobs and obligations under Section 24 in the association that has been actualizing by Nestle. a. Challenge any dangerous demonstrations they see or see. The representative should challenge any dangerous demonstration that they have seen or see for instance, report the perilous demonstration to the suitable position. b. Answerable for working in a sheltered way. The representatives likewise ought to have the liable for working in a protected way so as to forestall injury to themselves, individual laborers and different people. c. Effectively associated with security programs. This is significant so as to improve wellbeing and security execution in the work environment. d. Wear a legitimate PPE. The worker should wear the best possible PPE so as to forestall any mishap that may happen at the work environment. e. Co-work with the business. They should co-work with the business so as to improve security and wellbeing matters at the work environment. f

Friday, August 21, 2020

Critically discuss how ratio analysis can help in the prediction of Essay

Basically examine how proportion examination can help in the forecast of liquidation - Essay Example t based on budgetary proportions and utilized for anticipating company’s liquidation are: calculated relapse, numerous discriminant investigation, and probit models (Ramana, Azash, Ramakrishnaiah, 2012). By investigating and deciphering budget reports utilizing various proportions and procedures investors, potential speculators, brokers, examiners and all other potential partners can increase significant data about the money related status of an organization, its obtaining influence and dissolvability position (Yap and Yong, 2010). Budgetary proportion factors are utilized for surveying the money related data and verifiable patterns of monetary execution of a business, which thusly fill in as great markers of money related difficulties ahead (Yap and Yong, 2010). Be that as it may, there are additionally a few reactions of bookkeeping proportion based models. A few specialists propose that the bookkeeping proportions have restricted limit with regards to anticipating insolvenc y as bookkeeping data is generally planned to depict the budgetary state of the organization, accepting that it won't fail (Hillegeist, Keating, Cram and Lundstedt, 2004). In this manner, for instance, Hillegeist, Keating, Cram and Lundstedt (2004) have presumed that conventional bookkeeping based measures, (for example, bookkeeping proportion investigation) are not adequate enough for anticipating the likelihood of chapter 11. Ramana N, Azash S, Ramakrishnaiah K, 2012. ‘Financial execution and foreseeing the danger of chapter 11: An instance of chosen concrete organizations in India’, International Journal of Public Administration and Management Research, vol. 1(1), pp. 40-56. Yap B, and Yong D, 2010. ‘How well do money related proportions and numerous discriminant examination anticipate organization disappointments in Malaysia’, International Research Journal of Finance and Economics, 54,

Friday, May 29, 2020

The Power of Imagination in The Thought-Fox - Literature Essay Samples

In ‘The Thought-Fox’, Ted Hughes explores the transformative power of the imagination through the extended image of an imagined ‘fox’’ roaming through foliage post-midnight. Indeed, the poem might be read as an ode to beasts through putting a tender and gentle spin on descriptions of a ‘fox’- an animal generally perceived as beastly and intensely violent. Nonetheless, upon further examination the poem reads as a testament to the power and creativity of the imagination which is able to conceive of vivid images that are, in fact, faux. Throughout ‘The Thought-Fox’, Hughes challenges perceptions of animals as primitive and aggressive through the extended description of a ‘fox’ which is described with a tone of both beauty and tenderness. Such is immediately demonstrated through the simile ‘delicately as the dark snow/ A fox’s nose touches twig, leaf’, with the plosive alliteration of ‘delicately’ and ‘dark’ mirroring the careful and lithe movements of the fox. Furthermore, the brief syndetic list of ‘twig, leaf’ conveys the onlooker’s perspective of rapidly trying to digest the wondrous sight from his window. Indeed, alliteration links much of the language throughout from ‘sets’ and ‘snow, to ‘midnight’ and ‘moment’, to ‘body’ and ‘bold’, which echoes the fox’s actions of gently padding through the forest, whilst also conveying the speaker’s desire to remember such a moment through articulating it so concisely. Highlighting this is the declarative that ‘warily a lame/ Shadow lags by stump’ with the metaphor of a ‘shadow’ when reinforced through weakening adjective ‘lame’ erasing any connotations of danger of fear that might have been associated with the fox; through implications that it is as harmless as a shadow. Indeed, the even number of six stanzas paired with the even number of four lines within each stanza suggests that the actions of the fox are logical, are tentative therefore it should not cause any harm. Nonetheless, it could be argued that the dynamic line which begins the final stanza, describing ‘a sudden sharp hot stink of fox’; breaks from such tranquility with the triple use of dynamic adjectives and sibilance. Furthermore the diction ‘hot’ most notably holds connotations of violence and passion, perhaps undermining the speaker’s previous descriptions of the fox as tentative and gentle. Yet, we can understand the point being made by the poet that passion and gentility do not have to be mutually exclusive characteristics and are both contained within the fox; thus encouraging an audience to challenge their steadfast beliefs condemning foxes as terrifying creatures. Further sympathy is evoked for the animal through adjective ‘Cold,’ w hich is distinguished from the remainder of the line by a caesura to suggest that the fox has been stripped of its aggressive power and is now both meek and mild. Additionally, the poem might be read as an ode to the capacity of the imagination to create beauty and awe in a setting in which there is none. Indeed, the poet’s frequent use of free-verse paired with the lack of fixed rhyme scheme throughout highlights the fact that the imagination can always surprise both the poet, and the reader alike. Reinforcing this is the gradual build up of the descriptions of the fox, who we gain an image of from a number of synecdoches including the ‘fox’s nose’, ‘two eyes’ and then ‘prints’, until we finally gain a sight of ‘a body’. That we gain merely snatches of the fox heightens the sense of wonder as the fox remains somewhat elusive, and can only be perceived wholly in the imagination. This is mirrored structurally; with the poet’s decision to begin and end on descriptions of a ‘page’ suggesting that the image of the fox cannot truly enter into reality, and must rem ain trapped within verse. The speaker’s desperation to retain the image of a fox reaches a climax midway through the stanzas through the asyndetic listing of ‘And again, now, and now, and now’ with the repeated temporal diction placing emphasis on the existence of the fox in the current moment. Thus, reality is diminished in comparison to the wonders of the present. Furthermore, the epiphoric patterning of ‘now’ as closing the final two lines additionally convey’s the speaker’s disappointment with his knowledge that the moment will eventually pass. This is demonstrated by the monologue form of the poem and use of personal pronoun to begin the poem- ‘I’- suggesting that despite his efforts to conjure an animalistic companion, the speaker remains painfully alone. Nonetheless, the power of the imagination is shown to shatter such feelings of isolation and replace them with a sense of wonder as demonstrated by the catalogue of adverbs used to describe the fox’ eyes, from ‘widening’ to ‘deepening’, and then the adjectives ‘brilliantly’ and ‘concentratedly’ to suggest that the speaker’s imagination is growing in its power to conceive of the fox. Furthermore, we are not generally allowed to see what a fox’ eyes look like, and so Hughes here considers the capacity of the imagination to allow for the impossible to become true. Indeed, that the two adverbs are separated by the caesura of a comma implies that the speaker is savouring each glimpse of the fox and is extending the time in which he can view it. The frequent use of enjambment throughout further conveys the speaker’s unbridled excitement in his imaginative image of a fox, and additionally represents his action of struggling to write all the words down before the animal vanishes. Nonetheless, the poem ends on a tone of satisfaction conveyed by the dual declarative as use of comma and end stop which break from the enjambments as ‘The window is starless still’ and ‘The page is printed’, suggesting that the speaker feels satisfied in this mission to find a topic to write about. Indeed, use of end-stop and plosive alliteration of ‘page’ and ‘printed’ further heightens the sense of finale as if he has returned from a joyous adventure. Nonetheless, the personification of the clock in the line ‘the clock’s loneliness’ perhaps suggests that the speaker’s adventure into the wonders of his imagination has not reached a close, as even mundane objects can be imagined with a degree of magic through being considered to have human characteristics. In ‘The Thought-Fox’, Ted Hughes challenges the idea of animals as violent and inhumane through the imagine of a gentle and tender fox that moves through the forest. Hughes’ poem might also be read as a testament to the wonders of the imagination. In this poem, and in the conditions of life that it addresses, it is possible to create beauty out of surrounding darkness.

Saturday, May 16, 2020

Whats So New about the New Terrorism

The term new terrorism came into its own after the September 11, 2001 attacks, but the phrase itself is not new. In 1986, the Canadian news magazine, Macleans, published The Menacing Face of the New Terrorism, identifying it as a war against the perceived decadence and immorality of the West by Middle Eastern, mobile, well-trained, suicidal and savagely unpredictable...Islamic fundamentalists. More frequently, new terrorism has  focused on a perceived new threat of mass casualties caused by chemical, biological or other agents. Discussions of new terrorism are often highly alarmist: it is described as far more lethal than anything that has come before it, a terrorism that seeks the total collapse of its opponents (Dore Gold, the American Spectator, March/ April 2003). The UK writer is correct in thinking that when people do make use of the idea of a new terrorism, they mean at least some of the following: The new terrorism aims at destruction as an end in itself, while the old terrorism used violent destruction as a means to a political end;The new terrorism aims, therefore, at as much destruction as possible, whether through devastating forms of weaponry or techniques such as suicide terrorism, whereas the old terrorism sought to create a dramatic spectacle with as little damage as possible;The new terrorism is organizationally distinct from the old terrorism. It is heterarchical (has many equally authoritative points of authority) and horizontal, rather than hierarchical and vertical; it is decentralized rather than centralized. (You might notice that corporations, social groups and other institutions are also frequently described in new terms, these days);The new terrorism is justified on religious and apocalyptic grounds, while the old terrorism was rooted in political ideology. New Terrorism Not So New, After All On its face, these simple distinctions between new and old terrorism sound rational, especially because they are tightly bound to  discussions of al-Qaeda, the most highly discussed terrorist group of recent years. Unfortunately, when held up to history and analysis, the distinction between old and new falls apart. According to Professor Martha Crenshaw, whose first article on terrorism was published in 1972, we need to take a longer view to understand this phenomenon. In the March 30, 2003 edition of the  Palestine Israel Journal she argued: The idea that the world confronts a new terrorism completely unlike the terrorism of the past has taken hold in the minds of policy makers, pundits, consultants, and academics, especially in the US. However, terrorism remains an intrinsically political rather than cultural phenomenon and, as such, the terrorism of today is not fundamentally or qualitatively new, but grounded in an evolving historical context. The idea of a new terrorism is often based on insufficient knowledge of history, as well as misinterpretations of contemporary terrorism. Such thinking is often contradictory. For example, it is not clear when the new terrorism began or the old ended, or which groups belong in which category. Crenshaw goes on to explain the flaws in broad generalizations about new and old terrorism. Speaking generally, the problem with most of the distinctions is that they arent true because there are so many exceptions to the supposed rules of new and old. Crenshaws most important point is that terrorism remains an intrinsically political phenomenon. This means that people who choose terrorism act, as they always have, out of discontent with how society is organized and run, and who has the power to run it. To say that terrorism and terrorists is political, rather than cultural, also suggests that terrorists are responding to their contemporary environment, rather than acting out of an internally coherent belief system that has no relationship to the world around it. If this is true, then why do todays terrorists often sound religious? Why do they speak in divine absolutes, while the old terrorists spoke in terms of national liberation, or social justice, which sound political? They sound that way because, as Crenshaw puts it, terrorism is grounded in an evolving historical context. In the last generation, that context has included the rise of religiosity, the politicization of religion, and the tendency to speak politics in a religious idiom in mainstream circles, as well as in violent extremist ones, both East and West. Mark Juergensmeyer, who has written much on religious terrorism, has described bin Laden as religionizing politics. In places where political speech is officially muted, religion can offer an acceptable vocabulary for voicing an entire range of concerns. We might wonder why, if there isnt really a new terrorism, so many have spoken of one. Here are a few suggestions: The first efforts to describe a new form of terrorism, in the 1990s, were generally by professional students of terrorism attempting to make sense of phenomena that did not fit into the model that evolved in the 1970s and 1980s out of left-leaining national liberation movements. Attacks such as that of the religious cult Aum Shinrikyo did not make sense without a reconsideration of the model;Clear schematics such as old and new make complex phenomena seem simple, which is intellectually satisfying and emotionally comforting in a complicated world;When people do not know the historical or cultural context of a phenomenon, anything that they do not recognize may indeed look new. In reality, it is simply new to them;Although individuals who write about new terrorism after 9/11 may not be aware of it, their claim of unprecedented lethality is a political argument that favors putting more resources into terrorism (which does not kill as many people as heart disease, or poverty) precisel y because it is so lethal;It is difficult for any cause to draw attention in crowded media space. Claiming newness is one way to distinguish a phenomenon, and it is easier to digest than explanations of complicated historical facts;Identifying a new phenomenon can help a writer gain attention or build a career.

Wednesday, May 6, 2020

Mr. Holliday And The Treatment Program - 1079 Words

Mr. Holliday reported that he does not see a need to change. Mr. Holliday reported that he is â€Å"not a big drinker and a social drinker†. He stated that he want to be free of legal trouble. He stated that he does not want to consume or get drunk again. Mr. Holliday stated that he will only consume alcohol at his house. Mr. Holliday reported that he will eventually stop consuming alcohol. He stated that he does not have a problem. It seems that he is in the precontemplative stage of change. VIII. ASAM-DIMENSION 5 – Relapse, Continued Use or Problem Potential Mr. Holliday stated that he considers his wife to be a part of his support system. He stated that she encourages an environment of sobriety. Mr. Holliday reported that there are not†¦show more content†¦3. Have you ever been arrested or taken into custody even for a few hours, because of other drunk or stoned behavior? XI. SUBSTANCE ABUSE TESTING REPORT Mr. Holliday was asked to submit to a Urinalysis Drug Screen (UDS) at the time of this evaluation. The results were as follows: The Diagnostic and Statistical Manual V (DSM 5) describes the essential feature of a substance use disorder as a cluster of cognitive, behavioral and physiological symptoms indicating that the individual continues using the substance despite significant substance-related problems. Specifically, the DSM V describes diagnostic criteria as a problematic pattern of alcohol use leading to clinically significant impairment or distress. Mr. Holliday manifested the following: Alcohol Use Disorder, Unspecified 1. Substance use is continued despite knowledge of having a persistent or recurrent physical or psychological problem that is likely to have been caused or exacerbated by the substance. This is evidenced by Mr. Holliday’s self-report that he has continued to consume alcohol after the accident in spite of his hospitalization from a car accident. Mr. Holliday presents a moderate level risk of continuing to progress into the disease of addiction. Mr. Holliday presents a moderate-level risk of continuing to use drugs. He has developed a maladaptive pattern of substance abuse evidenced by his recent legal problems. There areShow MoreRelatedEthical Decisions For Social Work Practice Essay2113 Words   |  9 PagesMr. Pilsudski To begin with, the client whose name is Mr. Sam Pilsudski has an obstructed airway secondary to cancer of the larynx. He is a 67-year-old widower, and a father of one son and two daughters, who is unconscious and terminally ill, if not for a much-needed operation to remove both his cancer and larynx to save his life. However, one of Mr. Pilsudski’s daughters has adamantly refused to consent to the surgical procedure despite the physician explaining that although the operationRead MoreEssay about Three Approaches to Coping with School Violence2647 Words   |  11 Pagescourse, some of us may interpret such suggestions as merely dark, stoic, and cynical—â€Å"scare† tactics quite in keeping with the current national mood about many social issues these days. Yet, as a profession (and a society) maybe a little shock treatment now and then is good for us, especially if we ourselves work in relatively â€Å"safe† schools and communities. Maybe it’s time to remind ourselves that one school’s problem can become every school’s problem if the profession at large is not watchfulRead MoreThe Studio System Essay14396 Words   |  58 PagesArzner * Actresses: Marlene Dietrich, Mae West, Claudette Colbert, Sylvia Sidney Actors: Maurice Chevalier, Marx Bros, Gary Cooper, Cary Grant, Ray Milland, George Raft * Typical Films: Trouble in Paradise , Dr. Jekyll and Mr. Hyde, Death Takes a Holiday, Easy Living Warner Brothers --------------- * Known For: Working-class grittiness; also, musicals and biopics * In Charge: Jack Harry Warner, Hal Willis * Directors: Michael

Tuesday, May 5, 2020

Major Barriers of Innovation Magna Closures and Magna

Question: Discuss about theMajor Barriers of Innovation at Magna Closures and Magna. Answer: Introduction Magna International Inc. is one of the largest industrial houses of Canada. Based at Aurora in Ontario, the organization operates in the field of automobile parts production and is considered as one of the global leaders of the said domain (Magna.com 2016). The various operational groups of the organization include the Magna Powertrain, Magna Steyr, Magna Exteriors, Magna Closures, Magna Seating, Magna Electronics, Magna Mirrors and Cosma International. This paper is aimed at identifying the factor that are acting as a barrier to organizational innovation of the said group. Organizational silos. Researchers Lee et al. (2012) are of the opinion, that the very first factor that need to be considered while finding out the reasons for the lack of innovation within an organizational infrastructure is that of the hierarchical nature of the administration. Researchers Gnyawali and Srivastava (2013) second their opinion, claiming that interests of the organizational heads in creating their individual identities, get recognized, maintaining the sustainability of the organization and protect their own interests forces them to create boundaries and define specific roles and responsibilities for all. Such division of responsibilities leads to the development of organizational silos. On the other hand, author Laforet (2013) is of the opinion that innovation, by nature defies all organizational barriers and boundaries, and creates new categories within an organization. The information available from the official website of Magna Closures indicates that the organizati onal heads run the company in a bureaucratic fashion (which denotes existence of silos): this indeed is one of the major factors restricting innovation in the organization (Magna.com 2016). Risk avoidance. On the other hand, experts in the domain of organizational management uniformly agree on the point that the organizational heads of most larges sized industrial houses tend to avoid situations that might lead to loss of finances or reputation of the organization (Lee et al. 2012). Researchers Purcarea et al. (2013), further claim that the implementation of innovative ideas and process are generally stalled as soon as the risks associated with such ideas are identified. The official website of Magna indicates that at present, the organization is currently conducting business in a stable manner: thus, the tendency of the organizational heads towards avoiding risky situations in their business in justified (Magna.com 2016). Other factors. Researchers DEste et al. (2012) have pointed out several other factors that restrict the incorporation of innovative ideas within an organizational infrastructure. The authors are of the opinion that the lack of urgency is indeed one such factor that does not motivate the organizational heads to incorporate innovative ideas. The financial records of the organization (as released officially) claim that the company had been gaining profits steadily for the last few years: thus it can be concluded that the lack of any market threat or urgency is the actually hindering the inclusion of innovation in Magna. Authors Gnyawali and Srivastava (2013) , on the other hand, argue that the concept of innovation is essentially conceptual and not concrete: thus the mere lack of inclusion of significant innovative ideas within an organization in the recent past does not imply the fact that no efforts are being made in the said direction. But at the very same time, the official website of the organization does not provide enough information that can support the fact that the stakeholders internal to the organization are working on innovative ideas (Magna.com 2016). Existing good examples. However, an important point that demands mention in this context is the fact that the organizational heads of Magna International Inc. are aware of the fact that the incorporation of new ideas and concepts is important to maintain the sustainability of the organization (Magna.com 2016). This is evident from the fact that the newsletters posted on the web pages announce of contests for submitting innovative ideas that could be utilized for enhancing the safety of the customers. Besides this, the publication of the said newsletter is indicative of the fact that Magna has started utilizing innovative management policies within the organizational infrastructure, even if a small scale. According to experts DEste et al. (2012), the existence of the above mentioned features within an organization deserves special mention and appreciation. Conclusion In the light of the discussions made in this paper, it can thus be concluded that the existence of the o organization silos in Magna closure is the first and primary reason behind the lack of innovative ideas in the organization. On the other hand, a tendency to avoid any risk is yet another significant reason for the said state of the business. However certain efforts being made by the organizational heads are truly appreciable and would indeed lead to the inclusion of innovation in Magna. References DEste, P., Iammarino, S., Savona, M., and von Tunzelmann, N., 2012. What hampers innovation? Revealed barriers versus deterring barriers.Research Policy,41(2), 482-488. Gnyawali, D. R., and Srivastava, M. K. ,2013. Complementary effects of clusters and networks on firm innovation: A conceptual model.Journal of Engineering and Technology Management,30(1), 1-20. Laforet, S. (2013). Organizational innovation outcomes in SMEs: Effects of age, size, and sector.Journal of World business,48(4), 490-502. Lee, S. M., Olson, D. L., and Trimi, S. , 2012. Co-innovation: convergenomics, collaboration, and co-creation for organizational values.Management Decision,50(5), 817-831. Magna.com,. 2016. Magna: Home. Magna.com. Retrieved 23 June 2016, from https://www.magna.com Purcarea, I., del Mar Benavides Espinosa, M., and Apetrei, A., 2013. Innovation and knowledge creation: Perspectives on the SMEs sector.Management Decision,51(5), 1096-1107.

Friday, April 17, 2020

Superstition Or Truth Essays - Cultural Depictions Of Julius Caesar

Superstition or Truth Superstitions are thought to be irrational, and resulting from either ignorance, or fear of the unknown. Some believe that superstitions can take control of their life, for instance, if a black cat crosses you're path, you will have bad luck. Most regard this as folklore and witchcraft. In the play Julius Caesar by William Shakespeare, superstitions took hold and played an important part of many people's lives. The characters believed that they were getting a vision into their future. Each character dealt with the superstition differently, some feared them, and some disbelieved them. These superstitions not only gave the characters, but also the audience quick looks at what is to come. They are important, and help shape the way the play was performed, and interpreted. The first superstition, which was clearly visible, is the soothsayer, who in the first act tells Caesar beware the ides of March. This is a superstition, because it is irrational, and it comes from a situation of high risk, and involves influences, which are unseen. This also shows Caesar's arrogance, its not just that he is not superstitious, but he also does not even let the soothsayer explain himself. He laughs at the soothsayer, and says "he is a dreamer, let us leave him, pass." The soothsayer is warning him of his own death date, and he laughs at him. He does not believe in superstition, and this is clear by his reaction, many others in his situation would be fearful of the ides of March, from the warning and omen, he got. Caesar believes he is more powerful then destiny, and that he will have nothing to worry about. Caesar's arrogance cost him his life, and showed that superstitions sometimes do come true. The next superstition occurred the day of his death. Calpurina urges Caesar not to go to senate today. She tells Caesar of the horrible dream she had, the night before the ides of March. Caesar recalls the dream to the other men. "The cause is in my will. I will not come. That is enough to satisfy the senate. But for you're private satisfaction, because I love you, I will let you know. Calpurnia here, my wife stays me out home. She dreamt tonite she saw my statue, which like a fountain with an hundred spouts, did run pure blood; and many lust Romans came smiling and did bathe their hands in it. And these does she apply for warnings and portents and evils imminent, and on her knee hath begged that I stay at home today"(Shakespeare, 79-81) Caesar just recalled and foreshadowed his own death, and yet he still leaves for the senate. Caesar's arrogance is again showed. He does not believe in fortune telling, or superstitions, although everything is warning him of the upcoming danger he is about to face. His wife however, is the opposite of him, in that she is very superstitious, she fears her dream, and fears for her husband. There was also another warning Caesar received. When several men killed a beast, in the streets, they slaughtered him, and found no heart. This slaughtering of the beast was also a superstition, for the men believed they could use the beast to determine, if there would be danger today. This is an excellent example of a superstition, since it something to us that seems irrational, but to superstitious people, they would believe that a beast could foretell the future. Everyone, other then Caesar, and in the audience, could clearly see that he should have not left his home that day, but Caesar believed he was smarter then any omen, or superstition. This was his ultimate down fall. The other superstition that played part in this play, was when Brutus was confronted with the ghost of Caesar, before he entered battle. This superstition foretells of his own down fall. The ghost comes to him, as he is sitting up reading in his tent. "Ha, who comes here- I think it is the weakness of mine eyes that shapes this monstrous apparition. It comes upon me-Art thou any thing? Art thou some god, some angel or some devil, that makest my blood cold and my hair to stare? Speak to what thou art."

Friday, March 13, 2020

Geoglyphs - Worldwide Ancient Art of the Landscape

Geoglyphs - Worldwide Ancient Art of the Landscape A geoglyph is an ancient ground drawing, low relief mound, or other geometric or effigy work that was formed by humans out of earth or stone. Many of them are enormous and their patterns cannot be fully appreciated visually without the use of aircraft or drones, yet they are  found in isolated places throughout the world and some are thousands of years old. Why they were built remains a mystery: purposes attributed to them are almost as varied as their shapes and locations. They could be land and resource markers, animal traps, cemeteries, water management features, public ceremonial spaces, and/or astronomical alignments. What is a Geoglyph? A geoglyph is a human-made rearrangement of the natural landscape to create a geometric or effigy form.They are found the world over and are difficult to date, but many are several thousands of years old.They are often very large and can only be visually appreciated from high above.Examples include the Nazca lines in South America, the Uffington Horse in the UK, Effigy Mounds in North America, and Desert Kites in Arabia. What is a Geoglyph? Geoglyphs are known across the world and vary widely in construction type and size. Researchers recognize two broad categories of geoglyphs: extractive and additive and many geoglyphs combine the two techniques. Extractive geoglyphs (also called negative, campo barrido or intaglio) involves scraping away of the top layer of soil on a piece of land, exposing contrasting colors and textures of the lower layer to create designs.Additive geoglyphs (or positive or rock alignments) are made by gathering materials and piling them on the soil surface to create the design. This 365-foot-long (111 m) silhouette of a horse carved into the chalky side of a hill in the county of Oxfordshire, west of London, stands out clearly downhill from the ruins of Uffington castle. HOPE PRODUCTIONS/Yann Arthus Bertrand / Getty Images Extractive geoglyphs include the Uffington Horse (1000 BCE) and the Cerne Abbas Giant (a.k.a. the Rude Man), although scholars typically refer to them as chalk giants: the vegetation has been scraped away revealing the chalk bedrock. Some scholars have argued that The Cerne Abbas Giant- a big naked guy holding a matching club- may be a 17th-century hoax: but its still a geoglyph. Australias Gummingurru arrangement is a series of additive rock alignments which include animals effigies of emus and turtles and snakes, as well as some geometric shapes. The Nazca Lines Aerial View of Hummingbird Geoglyph, Nazca Lines. Tom Till / Photographers Choice / Getty Images The term geoglyph was likely coined in the 1970s, and it was probably first used in a published document to refer to the famous Nasca Lines of Peru. The Nazca Lines (sometimes spelled Nasca Lines) are hundreds of geoglyphs, abstract and figural art etched into part of the several hundred square kilometers of the Nazca Pampa landscape called the Pampa de San Josà © in coastal northern Peru. Most of the geoglyphs were created by people of the Nasca culture (~100 BCE–500 CE), by scraping away a few inches of rock patina in the desert. The Nazca lines are now known to have been begun in the Late Paracas period, beginning about 400 BCE; the most recent date to 600 CE. There are more than 1,500 examples, and they have been attributed to water and irrigation, ceremonial activity, ritual clearing, concepts of radiality like those expressed in the much later Inca ceque system, and perhaps astronomical alignments. Some scholars such as British archaeo-astronomer Clive Ruggles think some of them may be for pilgrimage walking- deliberately constructed so that the people could follow the path as they meditate. Many of the geoglyphs are simply lines, triangles, rectangles, spirals, trapezoids, and zigzags; others are complex abstract line networks or labyrinths; still others are spectacular humanoid and plant and animal shapes including a hummingbird, a spider, and a monkey. Gravel Drawings and the Big Horn Medicine Wheel One early use of geoglyph referred to a wide variety of gravel ground drawings at the Yuma Wash. The Yuma Wash drawings are one of several such sites found in desert locations in North America from Canada to Baja California, the most famous of which are the Blythe Intaglios and the Big Horn Medicine Wheel (built ca. 1200–1800 CE). In the late twentieth century, geoglyph specifically meant ground drawings, especially those made on desert pavements (the deserts stony surface): but since that time, some scholars have broadened the definition to include low-relief mounds and other geometric-based constructions. The most common form of geoglyph- ground drawings- are in fact found in almost all of known deserts of the world. Some are figural; many are geometric. Native American Geoglyph in Wyoming.   Christian Heeb / Getty Images Native American Effigy Mounds Some North American Native American mounds and mound groups could also be characterized as geoglyphs, such as the Woodland period Effigy Mounds in the upper Midwest and Great Serpent Mound in Ohio: these are low earthen structures made in the shapes of animals or geometric designs. Many of the effigy mounds were destroyed by farmers in the mid-19th century, so the best images we have are from early surveyors such as Squire and Davis. Clearly, Squire and Davis didnt need a drone. Plate XXXV from Ancient Monuments of the Mississippi Valley. Great Serpent in Adams County, Ohio. Ephraim George Squier and Edwin Hamilton Davis 1847 Poverty Point is a 3.500-year-old C-shaped settlement located on the Maco Ridge in Louisiana that is in the shape of spoked concentric circles. The sites original configuration has been a topic of debate for the past fifty years or more, partly due to the erosive forces of the adjacent Bayou Macon. There are the remains of five or six concentric rings cut by three or four radial aventues around an artificially raised plaza. 3,000 Year Old Poverty Point Earthwork.   Richard A. Cooke / Corbis Documentary / Getty Images In South Americas Amazon rainforest there are hundreds of geometrically-shaped (circles, ellipses, rectangles, and squares) ditched enclosures with flat centers that researchers have termed geoglyphs, although they may have served as water reservoirs or community central places. Works of the Old Men Hundreds of thousands of geoglyphs are known in or close to lava fields throughout the Arabian peninsula. In the Black Desert of Jordan, ruins, inscriptions, and geoglyphs are called by the Bedouin tribes who live the Works of the  Old Men. First brought to scholarly attention by RAF pilots flying over the desert shortly after the Arab revolt of 1916, the geoglyphs were made of stacks of basalt, between two to three slabs high. They are classified into four main categories based on their shape: kites, meandering walls, wheels, and pendants. The kites and associated walls (called desert kites) are thought to be mass kill hunting tools; wheels (circular stone arrangements with spokes) appear to be constructed for funerary or ritual use, and pendants are strings of burial cairns. Optically Stimulated Luminescence (OSL dating) on examples in the Wadi Wisad region suggest they were built in two main pulses, one in the Late Neolithic about 8,500 years ago and one about 5,400 years ago du ring the Early Bronze Age-Chalcolithic. Atacama Geoglyphs Llama Caravan Geoglyphs, Atacama Desert, Northern Chile. Paul Harris / Getty Images The Atacama Geoglyphs are located in the coastal desert of Chile. There were more than 5,000 geoglyphs built between 600-1500 CE, made by moving around the dark desert pavement. In addition to figural art including llamas, lizards, dolphins, monkeys, humans, eagles, and rheas, the Atacama glyphs include circles, concentric circles, circles with dots, rectangles, diamonds, arrows, and crosses. One functional purpose suggested by researcher Luis Briones is that of identifying safe passage and water resources through the desert: the Atacama geoglyphs include several examples of drawings of llama caravans. Studying, Recording, Dating, and Protecting Geoglyphs The documentation of geoglyphs is performed by an ever-increasing variety of remote-sensing techniques including aerial photogrammetry, contemporary high-resolution satellite imagery, radar imagery including Doppler mapping, data from historic CORONA missions, and historic aerial photography such as that of the RAF pilots mapping desert kites. Most recently geoglyph researchers use unmanned aerial vehicles (UAVs or drones). Results from all of these techniques need to be verified by pedestrian survey and/or limited excavations. Dating geoglyphs is a little tricky, but scholars have used associated pottery or other artifacts, associated structures and historic records, radiocarbon dates taken on charcoal from interior soil sampling, pedological studies of soil formation, and OSL of the soils. Sources and Further Information Athanassas, C. D., et al. Optically Stimulated Luminescence (. Journal of Archaeological Science 64 (2015): 1–11. Print.Osl) Dating and Spatial Analysis of Geometric Lines in the Northern Arabian DesertBikoulis, Peter, et al. Ancient Pathways and Geoglyphs in the Sihuas Valley of Southern Peru. Antiquity 92.365 (2018): 1377–91. Print.Briones-M, Luis. The Geoglyphs of the North Chilean Desert: An Archaeological and Artistic Perspective. Antiquity 80 (2006): 9-24. Print.Kennedy, David. The â€Å"Works of the Old Men† in Arabia: Remote Sensing in Interior Arabia. Journal of Archaeological Science 38.12 (2011): 3185–203. Print.Pollard, Joshua. The Uffington White Horse Geoglyph as Sun-Horse. Antiquity 91.356 (2017): 406–20. Print.Ruggles, Clive, and Nicholas J. Saunders. Desert Labyrinth: Lines, Landscape and Meaning at Nazca, Peru. Antiquity 86.334 (2012): 1126–40. Print.

Wednesday, February 26, 2020

Rural Telecom Industry Essay Example | Topics and Well Written Essays - 1750 words

Rural Telecom Industry - Essay Example Cities, towns, villages, remote interiors across the globe, are all getting connected through fixed landlines or GSMs. In this context, besides the basic issue of connectivity, network management has become a challenge. A few years ago, getting connectivity to rural areas was a huge task. Today, it is the management of data, which has taken precedence in the area. Here, we review the challenges faced by the rural telecom industry worldwide and the shifts that have taken place in the past few years. "Network managers tasked with managing their company's telecom budget are familiar with the fact that their bills are often incorrect. From charges for circuits that should have been disconnected years ago to using old, higher rates for current data lines, errors are not uncommon." Other companies, which outsource the software solutions, are also offering bill auditing and TEM services. As telecom companies grow to cater to the needs of the rural populance, the same business users may just find an increased need for TEM products or services. According to C. Jagadish*,,1, Vinod Kumar Jammula1 and Timothy A. Gonsalves2 in the paper Low-cost data communication network for rural telecom network management "the backbone networking infrastructure of rural telecom networks is often costly and is of limited bandwidth. ... According to C. Jagadish*,,1, Vinod Kumar Jammula1 and Timothy A. Gonsalves2 in the paper Low-cost data communication network for rural telecom network management "the backbone networking infrastructure of rural telecom networks is often costly and is of limited bandwidth. The availability of connectivity such as DSL or leased lines is scarce. In order to keep operational costs low, these rural telecom networks are often kept unmanned and are managed from a centralized network management station (NMS). This often requires a low-cost, efficient and reliable data communication network (DCN) between the rural telecom equipment and the central NMS. The conventional DCN used for telecom management consists either of leased lines or Internet connectivity. These are often costly and not freely available in rural areas." The researchers developed a new DCN model, based on dial-up, which is easily available. This DCN has been implemented in corDECT networks, which is currently in use in India and Tunisia, and is under implementation in other countries. It has been shown that this DCN meets the QoS requirements of a telecom network at an affordable cost. Today in India and other developing countries the telecom network is fast growing and considered to be critical for technological development. But the growth rate in urban and rural areas is asymmetrical. Telecom operators often neglect deployment in rural/undeveloped areas. The major discouraging factors are low population density, low affordability and lack of skilled personnel. Thus factors absolutely necessary for a rural telecom solution are low cost infrastructure and low operational costs. A centralized network management system (NMS) will ensure low infrastructure cost . A centralized NMS will

Sunday, February 9, 2020

Immigration in UK Essay Example | Topics and Well Written Essays - 4750 words

Immigration in UK - Essay Example This essay discusses that the level of immigration has risen considerably during the past 30 years: United Nation’s estimations of amount of individuals residing outside their own country go beyond 250 million. Yet the striking thing regarding these figures is not the number of individuals wanted to reside in a different country, â€Å"but how few†. Just a tiny fraction of the world's inhabitants migrates in any single year, mainly in their own countries. Global immigrants account now for merely about 3.5 percent of the world’s entire population. In addition, immigration is provisional in most cases. Until the year 1992, there was a â€Å"net outflow of immigrants from Britain†. Between the year 1992 and 2007 this drift upturned with an average net global migration of more or less 60,000 per year. It has increased quickly from 2005 to arrive at a maximum of 350 thousand during the year 2004. Net immigration during 2010 was 255 thousand. Population projecti ons imply that immigration is - and will carry on to be - a significant component of UK population alteration. Net immigration in the UK equals to more than half - that is 53 percent - of the entire population growth during the year 2007 in comparison with 62 percent during the year 2006 and 79 percent during the year 2001. The drift towards increased immigration is frequent to the majority of urbanized nations. In fact, regardless of current high degrees of immigration, the amount of the UK population born abroad is lesser than in several other nations. The UK has a lesser share of immigrants within its entire population (10.1 percent) in comparison to several other nations together with Australia (27.6 percent), Canada (21.3 percent), Germany (19.6 percent) and United States of America (14.1 percent). There are a number of explanations for the rise in immigration, together with financial issues, huge as well as continual variations in living patterns across nations, provincial fin ancial combination along with rising political unsteadiness all over the world. The previous two decades have as well witness the materialization of a migration market for expertise. â€Å"At the same time there has been a growth in demand for lower skilled migrants in countries - including the UK - with high economic performance, increased educational standards and ageing populations† (Stalker, 2008, p. 121). Even prior to European Union development, migration streams from Eastern Europe had risen subsequent to the descend of the Berlin Wall during the year 1989. The 1990s as well observed a considerable raise in the amount of shelter seekers. More lately, there have been major inflows of overseas learners coming to pursue education at British universities, and of immigrants moving to connect with their family units within the UK. Methods, which have been initiated to manage immigration, are mostly successful. A large number of individuals around the globe act in

Thursday, January 30, 2020

Kant Moral Law Theory Essay Example for Free

Kant Moral Law Theory Essay â€Å"Two things fill the mind with ever new and increasing admiration and awe the oftener and more steadily we reflect on them: the starry heavens above me and the moral law within me.† – Kant (1788), pp, 193, 259 Immanuel Kant introduced and initiated his ‘moral law theory’ in the late 18th century. The doctrine in question sought to establish and constitute a supreme or absolute principle of morality. Kant disputes the existence of an ‘ethical system’, whereby moral obligations are obligations of ‘purpose’ or ‘reason’. The accuracy of actions [i.e. the rightness or wrongness of an individual deed] is determined by its configuration and conformity with regard to ‘moral law’. Evidently, according to Kant, an immoral transaction is invariably contemplated as an illogical or unreasonable occurrence or action. The supreme moral principle is a consistent working criterion that proves to be practically helpful and theoretically enlightening when used by rational agents as a guide for making personal choices (Kant VI). A supreme guiding moral principle must carry with it an absolute necessity and be done out of duty to the moral law in order to be free from corruption. Kant believed in a fair and impartial law. He accredited and affirmed the presence of an objective moral law that we, as humans, were/are able to identify with through the process of reasoning. Kant argued that we are able to recognise and distinguish moral law, without making reference to the possible consequence or outcome. Immanuel Kant declared a differentiation between statements [i.e. posteriori and priori] that he believed to coincide with moral law. A posteriori statement is one that is based on experience of the material world. In opposition, a priori statement requires no such knowledge; it is known independent of the phenomenal world. Furthermore, Kant continued to make additional distinctions with regard to analytic and synthetic statements. An analytic statement, he claims, is one that by its very nature is necessarily true, as the predicate is included within the definition of the subject. Example: – [â€Å"all squares have four sides†]. The previous statement is of an analytic nature, as the predicate, i.e. the square having four sides, is implicit and is part of the definition of the subject – [â€Å"square†]. An analytic statement is necessarily true – true by its own authority, and is purely explicative, as it tells us nothing new about the subject. In contrast, a synthetic statement is one in which the predicate is not included in the definition of the subject, and thus is not necessarily true. A synthetic statement also tells us something new about the subject. Prior to Kant, it was widely accepted that there were only two types of statement: a priori analytic and a posteriori synthetic. Kant accepted these two statements although believed there to be a third: a priori synthetic statement. These are statements that are known independent of experience that may or may not be true. Kant claimed that these priori synthetic principles are inherent within us and therefore subsequently form the basis of all moral decision making. Kant’s theory is based on and is primarily concerned with the aspect of ‘duty’. Kant believed and promoted the notion that to act morally is one’s ‘duty’, and one’s ‘duty’ is to act and proceed in accordance to the principles of moral law. Due to this, Kant’s theory is categorised and distinguished as a ‘deontological argument’. A deontological theory is one that maintains the moral rightness or wrongness of an action and depends on its fundamental qualities, and is independent of the nature of its consequence – â€Å"Duty for duty’s sake†. This perspective can be viewed in contrast to the beliefs and ‘rules’ associated and belonging to teleological arguments, i.e. utilitarianism. Immanuel Kant argued that moral requirements are based on a standard of rationality he dubbed the â€Å"Categorical Imperative. The categorical imperative has derived from the initial belief and notion that humans base their moral judgment on pure reason alone. This view can be viewed in contrast to a ‘morality theory’, which assumed/s that human’s actions are guided by emotions or desires. Example: When deciding what I ought to say to a friend who is distraught. Rationale would dictate that I give sensible advice, whereas my emotions may impulsively tell me to give comfort and sympathy. The categorical imperative declares and differentiates between obligatory and forbidden actions, and places further emphasis on the notion of ‘duty’. This statement can be strengthened through the following quotation – [â€Å"All in imperatives command either hypothetically or categorically†¦ If the action would be good simply as a means to something else, then the imperative is hypothetical; but if the action is represented as a good in itself†¦ then the imperative is categorical.†]. Example: If someone tells me that they will buy me dinner if I give them a lift into town, then this is a conditional action and would fall into the hypothetical imperative category. Conversely, if I think that I should give my friend a lift into town with no other agenda (i.e. she will not buy me dinner because of it), then this is a categorical imperative because it is independent of my interest and could apply to other people as well as myself. There are three principles of the categorical imperative: * Universal law; * Treat humans as ends in themselves; * Act as if you live in a kingdom of ends. 1. The categorical imperative is [â€Å"Do not act on any principle that cannot be universalised†]. In other words, moral laws must be applied in all situations and all rational beings universally, without exception. 2. [â€Å"Act that you treat humanity, both in your own person and in the person of every other human being, never merely as a means, but always at the time as an end.†] – The previous statement declares that we must never treat people as means to an end. You can never use human beings for another purpose, to exploit or enslave them. Humans are rational and the highest point of creation, and so demand unique treatment. 3. The quotation [â€Å"So act as if you were through your maxim a law-making member of a Kingdom of ends†] states Kant’s belief in the fact that humans should behave as though every other individual was an ‘end’. In conclusion, it is arguable that the categorical imperative possesses a sense of authority with regard to what actions are permitted and forbidden under Kant’s moral law theory.

Wednesday, January 22, 2020

Women in Shakespeares Much Ado About Nothing and Taming of the Shrew E

During the early modern period, despite Queen Elizabeth’s powerful rule in the mid-sixteenth century, women in England had very few social, economic, and legal rights. According to the British system of coverture, a married man and wife became one person under the law, thus, â€Å"all the legal rights and responsibilities a woman had when she was single transferred to her husband upon marriage† (McBride-Stetson 189). Additionally, once married, the entirety of a woman’s property and wages came under the husband’s control; thus, in essence, women became the responsibility and property of their husbands (McBride-Stetson 189). Shakespeare, through his writings, illustrates the early modern period’s obsession with maintaining the legal subordination of women through marriage. Shakespeare’s leading lady in The Taming of the Shrew severely contrasts her obedient and demure sister and, in doing so, transcends the gender roles appropriated to her and , thus, must be tamed. In contrast, Much Ado About Nothing’s Hero plays the role of the ideal early modern woman until the nature of her chastity comes into question. Despite the fundamental differences between the characters of these two women, the financial and object-based language used to describe women as well as the institution of marriage in The Taming of the Shrew and Much Ado About Nothing demonstrate the early modern period’s view of women as pieces of property. The play introduces Petruccio as Katherine’s potential suitor before Petruccio, in fact, meets Katherine; however, Petruccio asserts, â€Å"I have thrust myself into this maze/ Happily to wive and thrive as I may† (1.2.52-53). Interestingly, Petruccio lists â€Å"wiving† as his first goal, followed by â€Å"thriving.† In a sense, the ... ...r to that of property and subject to male control. Clearly, the study of these plays serve as prime examples in demonstrating the effect of British common law during the early modern period as well as depicting the society’s anxieties in regards to maintaining the ultimate upper-hand in regards to women’s rights, or, lack thereof. Although Hero is, for the most part, painted as a virtuous character throughout Much Ado About Nothing, the question of her virtue is not only known to be a false-accusation to the audience, but her chastity is quickly restored at the end of the play. Likewise, Petruccio is able to remedy Katherine’s shrewish behavior into that of a young lady. Clearly, the plots of these plays as well as the repeated associations between women and one’s property overtly demonstrate a societal desire to maintain a sense of power and domination over women.

Tuesday, January 14, 2020

British IRA Interrogation

The increase of success of the west cork Brigade, part of the Irish republican Army was the leading factor to a spate of arresting and interrogating the suspects if the IRA volunteers in an effort to identify and ascertain the headquarters of those who were engaging in the guerilla war against the forces of the British. Through interrogation the British managed to break the IRA volunteers through torturing and this lead to discovering that the forces headquarters was in Ballymurphy.After discovering this, British army planned for an operation aimed at capturing the IRA column. This lead to mobilizing of more than 1200 British troops to attack the area from different directions. The operation was done early in the morning to attack the IRA unaware; this was thought to lead British to victory for there were about ten British commanders for one IRA member. As the British tried to encircle the IRA, they were caught by surprise as the IRA was aware of the British plans and they attacked a t the crossbarry roads which lead to having many British casualties.The IRA took British arms and set their vehicles on fire before they were attacked by other British troops but did not succeed even after stiff fire fight and they all retired. Impact of British actions to IRA in bringing peace to Northern Ireland The IRA had structural plans that were governing them through their endeavors. It was evident that the republican were to remain anonymous to every one except the members. No one could talk about the army and this made it hard to uncover the whole truth about the army’s missions and their plans.As their rules had restricted them not to talk about the army in public, not discuss anything concerning the army with anyone, not to go in a company of a known member and not to frequent to the houses of a known member, and the top most issue was not to drink alcohol excessively as this would lead to loose mouth and would reveal the republicans secrets. The army volunteers w ere made to believe that the army was legal and justified. They were taught that that was the only way to proclaim democracy in the whole Ireland.Commitment to the movement was legal and was the only way out to struggle for political justification and is a direct representative of the Dail Eirean parliament and by that was a legal and lawful government of the Irish republic and has right to pass law and to claim jurisdiction over the land, airspace, means of production all its people regardless of creed or loyalty. (Coogan, 1997) This impacted a negative attitude to the IRA members and the people of Ireland in an effort to bring peace.These beliefs made the British have difficulties in trying to restore peace in the country as they were regarded as intruders and were there for their own benefit. This is because the army had claimed to the sovereign government of Ireland and had all the rights to act in any capacity as a government. As the recruits were taught that British army, RUC, UDR and Gardai are occupying forces, were illegal and were completely unacceptable for that was morally wrong, ethnically inexcusable and politically unacceptable.Through the strengthening of these believes, the IRA members were completely resistance to the British armies in their efforts of any form in Ireland. (Hopkinson, 2003) IRA PREPARATION OF RECRUITS The IRA prepares their recruits in a distinctive manner. The recruits are taught on their importance to one another. This helps bonding together the recruits from different back grounds to strengthen the movement bond. As they are recruited they are motivated even they face harsh conditions should persevere for the sake of their nation.The IRA is form of ethnic terrorist seeking to influence the Irish people to reject the British governance. As usual to the ethnic terrorist, according to Byman (1997) they seek to create fear among the rival groups or armies by performing terrorist attacks and moderate movements. The recruitment of the army means entering in your total allegiance in life. This helps the movement to retain the recruited volunteers for they have to obey the commands and the rules set forth for the organization.The IRA recruits are forced to believe whatever allegation is put forward for them and strictly follow the rules. The recruits are trained to persevere any form of hardship they face during their work as armies until they combat the target group. Nationalism is another force that was driving the recruits. They were from all corners of the country and were much concerned over fighting for their nation. This aspect had more power as far as recruits were concerned over the belief system.On the other hand, nationalism can also display the general characteristic of a belief system by providing the recruits with adequate information and equipping their mind with an issue that they are to fight for their nation. (Hopkinson, 2003) Conclusion IRA movement was determined in salvaging the Ireland from the hands of British rule. The British solders effort to combat the IRA guerilla were rendered fruitless for the IRA was always ready for the attack even though they were less in number compared to British solders.The IRA recruits were equipped in their minds that the movement was legal and morally right to fight the intruders whore were settled in the country for their own good. The IRA movement sought to influence to moderators and other ethnic groups to reject the British governance. They were to follow strict rules to ensure the safety and welfare of the movements. Reference: Byman, D. (1997) The logic of Ethnic Terrorism, Washington DC, Rand Coogan, T. (1997) The IRA, New York, Palgrave Macmillan Hopkinson, M. (2003) Irish War of Independence, Journal, Vol

Monday, January 6, 2020

The History of the Zipper and How It Became Mainstream

It was a long way up for the humble zipper, the mechanical wonder that has kept our lives together in many ways. The zipper was invented with the work of several dedicated inventors, though none convinced the general public to accept the zipper as part of everyday life. It was the magazine and fashion industry that made the novel zipper the popular item it is today. Bettmann Archive / Getty Images The story begins when Elias Howe, Jr.  (1819–1867), inventor of the sewing machine, who received a patent in 1851 for an Automatic, Continuous Clothing Closure. It didnt go much further beyond that, though. Perhaps it was the success of the sewing machine, that caused Elias not to pursue marketing his clothing closure system. As a result, Howe missed his chance to become the recognized Father of the Zip. Forty-four years later, inventor Whitcomb Judson (1846–1909) marketed a Clasp Locker device similar to system described in the 1851 Howe patent. Being first to market, Whitcomb got credit for being the inventor of the zipper. However, his 1893 patent did not use the word zipper.   The Chicago inventors Clasp Locker was a complicated hook-and-eye shoe fastener. Together with businessman Colonel Lewis Walker, Whitcomb launched the Universal Fastener Company to manufacture the new device. The clasp locker debuted at the 1893 Chicago Worlds Fair and was met with little commercial success. Gideon Sundbà ¤ck / Public domain / via Wikimedia Commons It was a Swedish-born electrical engineer named Gideon Sundback (1880–1954) whose work helped make the zipper the hit it is today. Originally hired to work for the Universal Fastener Company, his design skills and a marriage to the plant-managers daughter Elvira Aronson led to a position as head designer at Universal. In his position, he improved the far from perfect Judson C-curity Fastener. When Sundbacks wife died in 1911, the grieving husband busied himself at the design table.  By December of 1913, he came up with what would become the modern zipper. Gideon Sundbacks new-and-improved system increased the number of fastening elements from four per inch to 10  or 11, had two facing-rows of teeth that pulled into a single piece by the slider and increased the opening for the teeth guided by the slider. His patent for the Separable Fastener was issued in 1917.   Sundback also created the manufacturing machine for the new zipper. The S-L or scrapless machine took a special Y-shaped wire and cut scoops from it, then punched the scoop dimple and nib and clamped each scoop on a cloth tape to produce a continuous zipper chain. Within the first year of operation, Sundbacks zipper-making machine was producing a few hundred feet of fastener per day. Naming the Zipper The popular zipper name came from the B. F. Goodrich Company, which decided to use Sundbacks fastener on a new type of rubber boots or galoshes. Boots and tobacco pouches with a zippered closure were the two chief uses of the zipper during its early years. It took 20 more years to convince the fashion industry to seriously promote the novel closure on garments. In the 1930s, a sales campaign began for childrens clothing featuring zippers. The campaign advocated zippers as a way to promote self-reliance in young children as the devices made it possible for them to dress in self-help clothing.   The Battle of the Fly A landmark moment happened in 1937 when the zipper beat the button in the Battle of the Fly. French fashion designers raved over the use of zippers in mens trousers and Esquire magazine declared the zipper the Newest Tailoring Idea for Men. Among the zippered flys many virtues was that it would exclude The possibility of unintentional and embarrassing disarray.   The next big boost for the zipper came when devices that open on both ends arrived, such as on jackets. Today the zipper is everywhere and is used  in clothing, luggage, leather goods and countless other objects. Thousands of zipper miles are produced daily to meet the needs of consumers, thanks to the early efforts of the many famous zipper inventors. Sources and Further Information Federico, P.J. The Invention and Introduction of the Zipper. Journal of the Patent Office Society 855.12 (1946).  Friedel, Robert. Zipper: An Exploration in Novelty. New York: W.W. Norton and Company, 1996.  Judson, Whitcomb L. Clasp locker or unlocker for shoes. Patent 504,038. U.S. Patent Office, August 29, 1893.