Thursday, October 31, 2019

Motivation At Work Essay Example | Topics and Well Written Essays - 2000 words

Motivation At Work - Essay Example IKEA has somewhere around 12,000 products available on their website, which is very near to their products range. In 2005 a survey was conducted and it was reported by the company that they had over 275 million hits on their website. The motto of the company is that are trying to create a better life for many people through their products. Ingvar Kamprad founded IKEA in Almhult, Sweden by in 1943, when he was a17 years old boy. The work IKEA is the abbreviation of Ingvar Kamprad Elmtaryd Agunnaryd. IKEA started out by selling all kinds of products like pens, runners, wallets, photo frames, watches, jewelry, furniture and stockings etc. anything that Kamprad thought that would sell at a reduced but reasonable price. It is the business idea of IKEA that they offer a wide range of home furnishing products at process which are affordable by many people. (IKEA) In 1948 IKEA introduces furniture in their range. The furniture was produced by the local manufactures in the forest closest to Ingvar Kamprad’s home. The response to the furniture was a positive one. Kamprad first started to sell the products out of his home and then he used mail order to deliver the products to his customer’s homes. In 1951 Kamprad saw an opportunity to sell his products through a catalog. The IKEA catalog which we know today was introduced to the world. 1n 1953 the first IKEA showroom was opened in Almhult, Sweden. In 1952 the concept of flat packing takes place and when one of the employees of the company took of a table’s leg so that it would not be damaged in the delivering process and it can also fit in the car. After discovering this, the flat packs and self assembly products were included in the IKEA’s range of products and they became an instant hit. In 1958 IKEA opens its first outlet in Almhult, Sweden. This outlet had 6700 sq meters of home furnishings displayed in that store and that was the largest

Tuesday, October 29, 2019

Isotoner Case Brief Essay Example for Free

Isotoner Case Brief Essay Facts of the Case: LaNisa Allen appealed the original judgment in favor of Totes/Isotoner Corporation on the issue of whether the Ohio Fair Employment Practices Act, as amended by the Pregnancy Discrimination Act, prohibits an employer from discriminating against a female employee because of or on the basis of lactation. Relevant law associated includes whether Allen established a prima facie case of â€Å"sex discrimination on the basis of pregnancy,† or whether she â€Å"was simply and plainly terminated as an employee at will for taking an unauthorized, extra break. † Allen’s original complaint was termination attributable to discrimination, based on pregnancy and related conditions, even though Isotoner claimed to have released her for failure to â€Å"follow directions.† Evidence admitted in Allen’s disposition of taking unauthorized breaks for a two week period, which constituted the failure to follow directions, confirmed the trial courts summary judgment. As the trial court granted judgment to Isotoner, the Twelfth District Court of Appeals followed suit, as Allen admitted to ignoring directions and failed to establish a prima facie case of sex discrimination on the basis of pregnancy and it’s after effects. Issues: Although the lower courts concentrated upon the apparent facts of the case, especially â€Å"Whether Allen’s unauthorized breaks to pump her breast in order to avoid lactation constituted as sex discrimination†; a more superior issue arises from this case. Assuming a proper prima facie case was established, â€Å"Is purported discrimination due to lactation included within the range of Ohio’s employment-discrimination statute, R.C. 4112.02, as sex discrimination under R.C. 4112.01(B)?† Decision s: Ruling of the initial appeal of judgment in favor of Totes/Isotoner Corporation for discrimination Allen was affirmed. Subsequently, the Supreme Court of Ohio did not touch the issue of whether purported discrimination due to lactation is included within the range of Ohio’s employment-discrimination statute, R.C. 4112.02, as sex discrimination under R.C. 4112.01(B). An opinion of whether they thought this discrimination did fall in that range was included in Judge O’Connor’s judgment. Reasoning: Rationale leading the judges in a majority opinion to affirm the initial judgment, stemmed from the failure of Allen to develop a record from which a jury could find in her favor. However, several  of the judges felt â€Å"lactation is a physical condition associated with pregnancy and childbirth, hence the FEPA, as amended by the Ohio PDA, prohibits discrimination against females because they are lactating.† It is proposed that the Supreme Court of Ohio should reach the merits to clarify the laws. Separate Opinions: Judgment was affirmed by Judges Lundberg Stratton, O’Donnell, and Cupp, JJ. , as they believed Allen was discharged for taking unauthorized breaks from her scheduled employment. Since Allen failed to present evidence of a discriminatory motive from Isotoner, or that reason for releasing her from employment was a ground for discrimination, Lundberg Stratton, O’Donnell, and Cupp, JJ. felt only the issues presented by the facts of Isotoner discharging Allen due to ‘unauthorized breaks’ should be decided on, while issues of the facts not directly placed on issue should only be responded to with advisory opinion. Judges Moyer, C.J. and O’Connor J. concurred in the foregoing judgment only. They assert lactation to fall within the scope of R.C. 4122.01(B) and that the statute prohibits employment discrimination against lactating women. Also, they oppose the claim of opinions regarding issues not directly placed on issue to be strictly advisory. â€Å"A cause will become moot only when it becomes impossible for a [***627] tribunal to grant meaningful relief, even if it were to rule in favor of the party seeking relief.† Moyer, C.J, and O’Connor J. claim these indirect issues to be live, not as remote possibilities or based on controversies that may never occur. Their assertion that â€Å"lactation is a physical condition associated with pregnancy and childbirth, hence the FEPA, as amended by the Ohio PDA, prohibits discrimination against females because they are lactating† is fully discussed. Dissent is issued by Judge Peifer, J. as he declares the question needed answered by Ohioans was not resolute. Peifer, J. claimed â€Å"the court should analyze the case by asking (1) whether the plaintiff stated a cognizable cause of action and (2) whether the facts support the alleged cause of action.† Emphasis was placed by Peifer, J. on the circumstance of unclear facts of the case such as why Allen’s unscheduled restroom breaks outside of scheduled break times were different from restroom trips made by coworkers outside of their scheduled break times. Also, Judge Peifer argued that cases should be accepted not because of how the result might affect the parties in the individual case, but because of how a holding might affect other persons similarly situated. Peifer held â€Å"employment discrimination due to lactation as unlawful pursuant to R.C. 4112.01(B), that clear public policy justifies an exception to the employment-at-will doctrine for women fired for reasons relating to lactation, and that LaNisa Allen deserves the opportunity-due to the state of the record-to prove her claim before a jury.† Analysis: The significance of this case relates to the importance of establishing suitable evidence for a prima facie case and also to ruling on issues brought forward by cases. Although the affirmed judgment in favor of Isotoner was applicable due to Allen’s failure to provide evidence of sex discrimination related to after effects of pregnancy, it is important for courts to reach a decision on such cases the holding will/has affected other persons similarly situated. Similar cases of discharge or unpaid circumstances have been previously governed, including Fejes v. Gilpin Ventures, Inc. 960 F. Supp 1487and Martinez v. N.B.C. Inc. 49 F.Supp.2d 305l, among others. Therefore sex discrimination due to the aftereffects of pregnancy affects many individuals in Ohio and throughout the United States, and therefore a ruling of whether purported discrimination due to lactation is included within the range of Ohio’s employment-discrimination statute, R.C. 4112.02, as sex discrimination under R.C. 4112.01(B) is vital in reducing sex discrimination in the workplace.

Sunday, October 27, 2019

Strains of ESBL Producing E. Coli | Investigation

Strains of ESBL Producing E. Coli | Investigation Introduction Background of Study Extended Spectrum Beta- Lactamases (ESBL) are beta lactamases which are mainly produced by family members of Enterobacteriaceae derived from mutations of the previous broad-spectrum beta-lactamase (Sharma et al., 2010). This enzyme works by hydrolysing and destroying the ÃŽ ²- Lactam ring of all cephalosporins, penicillins and monobactams (Sharma et al., 2010). In recent years, the emergence of ESBL producing Escherichia coli has posed a very serious problem to the management of diseases caused by this organism as only limited choice antibiotics can be given to patients. Carbapenems are the drugs of choice for the treatment of ESBL producing E.coli, however, carbapenamase resistance has recently been reported (Paterson and Bonomo, 2005). Prolonged use of antibiotics was suggested as the main cause of the emergence of ESBL E.coli and the fact that the genes coding for ESBLs are easily transferred from one organism to another organism via conjugation, transduction and transformation ma ke the spread even quicker (Vaidya et al., 2011). ESBL producing organisms were first reported from a patient in Germany in 1983 and since then , several outbreaks have been reported worldwide usually one particular â€Å"super† strain has been involved presumably combining not only the capability to produce ESBLs but also possessing various other virulence factors that contribute to their pathogenic success. (Harada et al., 2013). These pathogenic ESBL producing Escherichia coli in recent years have become a major concern and their emergence is now become alarming in clinical fields and subjected to comprehensive studies worldwide. The most common infections caused by pathogenic ESBL producing E.coli are urinary tract infections (UTI), bloodstream infections, gastrointestinal infections (Fatima et al., 2012; Bekat et al., 2002). According to Petty et al., (2013), globally, E.coli sequence type ST131 is the multidrug resistant clone strain which is responsible for ESBL CTX-M15 bearing genes, and it is the most alarming pathogenic ESBL producing E.coli associated in causing UTIs and septicaemia in hospital community acquired infections. ? in UK or worldwide? As genes coding for ESBL in Escherichia coli are known to be transferable this raises further fear of the spread of these genes to other strains, continuous monitoring of the predominant strains of E.coli which carry the ESBL genes is therefore important. Problem statement Studies of ESBL producing Escherichia coli in the South Manchester population have been carried out previously. This study will investigate strains of ESBL producing E. coli currently circulating in the Stockport Population of South Manchester and compare them to those delineated in the previous studies using a molecular typing and pulse-field gel electrophoresis. Objectives The objectives of the project are: Screen for ESBL Escherichia coli clinical isolates Identify strain using PFGE Assess the relatedness of the strains by PFGE analysis Determine Escherichia coli plasmid profile Identify Escherichia coli phylotyping group 1.0.4. Significance of study Finding from this study will contribute to the existing data and the body of knowledge on the molecular relationship of predominating of E.coli isolates from South Manchester populations. 1.0.5. Scope and Limitations There are no data on the antibiotics consumed by the patients in which the clinical isolates originates from. The availability of this data might help in understanding relationship between an exposures of certain antibiotics to the emergence of ESBL producing E.coli strain. PFGE also has several limitations in which the method assess visual relatedness of an isolates and not using a phylogeny relationship which provide more accurate molecular relationship between an isolates. Escherichia coli Escherichia coli is a motile gram negative rod, facultative anaerobe, non- spore forming bacteria taxonomically belong to the family of Enterobacteriaceae. It is considered as a normal inhabitants of gut and intestine in almost all warm blooded mammals and found as a faecal contaminant in the environment (Brennan et al., 2010; Darnton et al., 2007; Diniz et al., 2005). Most varieties of E.coli are harmless and do in the most part contribute to the normal and healthy intestine condition, while a few cause limiting abdominal cramp associated with diarrhoea. However, there are some serotypes that becoming a major threat to the human health, because they have acquired certain genetic material and virulence factors which enabling them transformed into pathogenic E.coli causing broad spectrum of disease (Clarke et al., 2003; Kaper et al., 2004). Pathotypes of E.coli are classified by specific mechanism in which they causing a disease, presence of certain virulence genes and their clinical manifestations (Chang et al., 2004). Growth requirements E.coli are non- fastidious bacteria, thus it can be cultured in artificial media with various altered physical and nutritional growth factors. It can be isolated easily from clinical samples by culturing into culture media and incubated at optimum temperature of 37 ºC anaerobically or aerobically as it is a facultative organisms (Yunlin et al., 2004) Uropathogenic Escherichia coli According to Pitout et al., (2005) E. coli is a frequent cause of the urinary tract infections (UTIs) of a hospitalised and non- hospitalised patients. UTIs are usually self- limiting but untreated lower urinary tract infections such as simple cystitis (bladder infection) can lead to much more severe illness known as pyelonephritis (renal infections) mainly among adult women (James et al., 2011). Infections occur by ascending movement of E. coli up the periurethral area colonising the bladder or infections by movement down from the intestinal tract. Due to anatomical complexities in women, they are more prone to be diagnosed with UTIs for at least once in their lifetime (James et al., 2001) 1.3  Escherichia coli typing 1.3.1  Plasmid profiling Multidrug resistant bacteria including ESBL producing Escherichia coli acquire their resistance by various gene transfer mechanisms which include transformation, horizontal transfer either by transduction, and conjugation, transposon and most often, are plasmid mediated (Carattoli et al., 2005) Plasmids are an extra chromosomal fragments of self- replicating DNA present in most of the bacterial species. Plasmids contain genes that are an essential for the replication of genes that promotes resistance to agents such as antibiotics, ultraviolet radiation, metals and bacteriophages. 1.3.2  Pulse-field gel electrophoresis PFGE was developed and described first by Schwartz and Cantor (1984). It is a molecular technique of typing a bacteria especially pathogenic Escherichia coli 0157:H7, non 0157: H7, Salmonella serotypes, Shigella sonnei and Shigella flexneri. PFGE uses a gel electrophoresis- based technique that allows separation of large molecular weight DNA up to 2Mb- 10Mb using a standard PFGE method (CDC, 2013; Hansen et al., 2002; Vimonet et al., 2008) PFGE is different to conventional gel electrophoresis as the large genomic DNA is digested with restriction enzyme that recognise and cleave specific sequences of DNA known as restriction site in an organism to produce a multiple DNA fragments which differ in size of their molecular weight (Van der Ploeg et al., 1984). The fragments are then run through constant changing electric field of PFGE resulting in a formation of DNA at various discrete size bands. This typing method has also been shown to have more discriminating power and reproducibility between laboratories than the newer molecular typing method such as ribotyping and multi- locus sequence typing (MLST) which confer more on the global epidemiology and revolutionary relationship between bacterial species (Vimonet et al., 2008) 1.3.3.  Escherichia coli phylogenetic group 2.0  Materials and Methods 2.0.1  Bacterial Isolates Bacterial isolates used in this study were Escherichia coli clinical isolates which was collected from Stepping Hill Hospital. Isolates undergo an anonymisation numbering of 1 to 20. 2.0.2.  Bacteriological Media The media used in the study were a selective differential medium for UTI Escherichia coli which is Chromogenic agar and nutrient agar which was used as a medium for growth and maintenance of isolates. 2.0.3  Antibiotic disks Table 1: Antibiotic disks used in this study was obtained from Oxoid.Ltd. Antibiotics Antibiotic Group Gentamicin (10 µg) Aminoglycosides Ciprofloxacin (5 µg) Quinolone Amoxicillin (25 µg) Penicillin Cefpodozime (10 µg) Cephalosporin Mecillinam (10 µg) Beta lactam Trimetophrim (2.5 µg) Bacteriostatic ESBL Disk kit (Mast Diagnostics) 2.0.4  Buffers and solutions Tris Borate EDTA (TBE X1 and X0.5) (Sigma) pH 8.2 was used as a running buffer in agarose gel electrophoresis. 2.0.5  Commercial kits The commercial kit used in this study was QIAprep Spin Miniprep Kit (Qiagen) and DNeasy Blood and Tissue Kit (Qiagen) 2.1.  Screening for multidrug resistance and potential ESBL producers in Escherichia coli clinical isolates Antibiotic susceptibility of Escherichia coli to six antibiotics (Table 1) were tested using the Kirby Bauer disk diffusion method. A 24 hour cultures from Nutrient agar was used. Then, a single colony was taken and transferred into 5ml Mueller Hinton Broth. It was then incubated at 37 °C to develop a heavy suspension of overnight cultures. A sterile cotton swabs were used to streak onto the Mueller Hinton agar and the rotation were repeated for three times. A final sweep was made around the rim of the agar. The plates were allowed to dry for several minutes. Using antibiotic dispenser, the disk that has been impregnated with a fixed antibiotic concentration was placed on the surface of the agar surface. After 24hr of an incubation period, the plates were checked for the presence of inhibition zone. Each recorded inhibition zone was compared with antimicrobial susceptibility testing disc chart provided by The British Society for Antimicrobial Chemotherapy (BSAC). The inhibition zon e of each antibiotic was reported as ‘sensitive’, ‘intermediate’ or ‘resistance’. Isolates showing resistance to three or more classes of antibiotics were considered as multidrug resistance (Falagas, 2007). ESBL producers were detected by testing sensitivity of isolates against a pair discs (cefpodoxime 10 µg and cefepime 10 µg) with and without clavulanic acid placed oppositely on an agar. According to manufacturer (Mast diagnostics), isolates were considered as an ESBL if there is a presence of 5mm larger inhibition zone in disks with clavulanic acid rather than the disks without the clavulanic acid. 2.2. Determination of plasmid profiles in MDR and ESBL Escherichia coli 2.2.1  Plasmid Extraction Prior to Plasmid DNA extraction, a fresh overnight cultures of E.coli after an incubation at 37 ºC in a Mueller Hinton broth were harvested. Plasmid DNA extraction was carried out using QIAprep Spin Miniprep Kit (Qiagen) following the manufacturer’s instructions. Extracted plasmid DNA was stored at -20 ºC until use. 2.2.2  Detection of plasmid by agarose gel electrophoresis The profiles of the plasmid DNA was determined on a 0.7% agarose gel electrophoresis which has been carried out at 70 Vcm-1 for 120 minutes. The size of DNA bands was estimated using Hyper ladder 1 (Bioline) as a reference molecular weights marker. The bands were visualized under UV transilluminator and photographed with digital camera connected to visualisation unit (Alpha Innotech) and the size of the plasmid were measured by visual comparison to the reference marker. 2.3  Escherichia coli pathotypes determination 2.3.1.  Genomic DNA extraction Primary cultures on the nutrient agar was inoculated into 3ml Mueller Hinton broth for 24 hours at 37 ºC. The cells was then harvested by centrifugation at 12, 000 for 3 minutes. Genomic DNA extraction was carried out using DNeasy Blood and Tissue (Qiagen) kit following the manufacturer’s instructions. Final volume of 150 µl genomic DNA were collected and kept at -20 ºC until needed. 2.3.2  Multiplex PCR for Escherichia coli phylotyping PCR reaction mix preparation must be carried out on ice. PCR was performed in 0.2ml PCR tubes on a GeneAmp PCR System 9700 thermocycler (Applied Biosystems ®) with a total 25 µl of reaction volume as described in Table 2 and PCR condition according to Table 3. The negative control reaction lacking the DNA was included. Table 2:  PCR reaction mix Components Required concentrations Volume ( µl) per reaction Biomix Red 2X 12.5 Primer (forward) chuA yjaA tspE4.c2 20pmol 20pmol 20pmol 1 1 1 Primer (reverse) chuA yjaA tspE4.c2 20pmol 20pmol 20pmol 1 1 1 DNA 2 Ultrapure sterile water 4.5 Total volume per reaction 25 Table 3: Conditions for PCR gene amplification Genes Primer sequence PCR condition chuA Forward 5’-GACGAACCAACGGTCAGGAT-3’ Reverse 5’-TGCCGCCAGTACCAAAGACA-3’ Initial denaturation: 94 °C for 4 mins Denaturation: 94 °C for 25 secs Annealing: 52 °C for 40 secs 30 cycles Extension: 72 °C for 50sec Final extension: 72 °C for 6 mins yjaA Forward 5’-TGAAGTGTCAGGAGACGCTG-3’ Reverse 5’-ATGGAGAATCGGTTCCTCAAC-3’ tspE4.c2 Forward 5’-GAGTAATGTCGGGGCATTCA-3’ Reverse 5’-CGCGCCAACAAAGTATTACG-3’ 2.3.3  Detection of by agarose gel electrophoresis After completion of the multiplex PCR, the amplification product were separated by dry electrophoresis system. 15 µl of amplified product was mixed with 5 µ 5X DNA loading buffer (Bioline) and loaded onto 2% agarose gel incorporated with SYBR green dye. After electrophoresis, the gel was visualised by exposing the gel under UV light and was photographed with a digital UV camera connected together with the visualisation unit (AlphaInnotech). The size of the amplicon were measured by visual comparison to the 1kb DNA marker (Bioline). Phylogenetic typing analysis were carried on the basis of the presence or absence of an amplicon sized 279bp, 211bp and 152bp which belong to chuaA, yjaA and tspE4.c2 genes respectively. 2.4.  Pulse- field gel electrophoresis (PFGE) 2.4.1.  DNA extraction Each isolates was inoculated into 5ml Mueller Hinton Broth and incubated overnight at 37 ºC with gentle agitation. Cells were then harvested by placing 1ml of culture into 1.5ml microcentrifuge tube and was centrifuged at 13, 000 rpm for one minutes. The supernatant was discarded and the process was repeated until all the 5ml of culture finished. The supernatant was again discarded and pellet of cells was resuspended in 500 µl of 0.5M EDTA buffer (see appendix) and was centrifuged at 13, 000rpm for one minutes to removes broth debris that might be interfering with the extraction processes. The washing step was repeated twice to ensure complete removal of debris. The supernatant was discarded once again and pellet was resuspended in 500 µl of suspension buffer. 2.4.2.  Preparation of low melting point (LMP) agarose To prepare the LMP agarose, 3g of SeaKem PFGE agarose (BioRad) were dispensed into 100ml of TE buffer (see appendix) in a universal bottle. It were then heated to dissolve. Agarose was transferred to a 56 ºC waterbath until needed. 2.4.3.  Preparation of the bacterial plugs The wells of PFGE plug molds were numbered. 3 plugs was prepared for each isolates. Then, 750 µl of LMP agarose was added immediately into each cell- buffer suspension and carefully mixed by pipetting up and down several times and be careful not to induce any formation of bubbles. The mixture of cells and agarose was quickly pipetted into the well of a plastic PFGE plug molds (BioRad). The wells was filled to the rim and plugs were allowed to solidify at room temperature or chilled for 5 minutes in the refrigerator. 2.4.4.  Lysis of the cells The cells were lysed by adding a mixture of 1ml of proteolysis buffer with 10 µl of Proteinase K stock solution (50mg/ml) (see appendix) into a 1.5ml new labelled microcentrifuge tube. The plugs were removed from the plug molds by peeling the sealant tape below the wells until all tape was removed. The PFGE plastic arm was used to push the plugs out of the molds into the microcentrifuge containing the mix of proteolysis buffer-proteinase K solution. All plugs for one isolates were transferred into the same tubes. Care was taken while pushing the plugs out of the molds as not to tear the fragile plugs. Tubes was then incubated in a heating block at 50 ºC for 24 hours for digestion to take place. 2.4.5.  Washing of the plugs After completion of an overnight incubation, the proteolysis buffer and Proteinase K activity were eliminated by carefully pipetting out the volume, care taken not to tear the plugs. The plugs were then washed with TE buffer. The washing steps was repeated three times, for every half an hour and were held at room temperature to equilibrate the plugs. 2.4.6.  Restriction enzyme digestion After completion of the washing steps, wash buffer was removed in the final wash leaving only agarose gel in the tubes. Then, 300 µl of 1X restriction enzyme buffer specific to the enzyme used was pipetted in each tubes containing the agarose plugs and was let to equilibrate at room temperature for 10 minutes. The restriction buffer was then discarded, taking care not to tear the plugs. Next, 300 µl of restriction buffer containing 50U of Xbal enzyme was added into the tubes and was incubated in an incubator for 24 hours at 37 ºC specific to the optimal temperature for Xbal enzyme. 2.4.7.  Pulse- field gel electrophoresis 2.4.7.1.  Electrophoresis gel preparation. After incubation, restriction enzyme reaction was stopped by addition of 200 µl of 50mM EDTA. Plugs were cooled at 4 ºC until needed. Then, a (1%) agarose gel was prepared by heated to dissolved 3g of PFGE grade agarose (BioRad) into 300ml of 0.5X TBE buffer over magnetic hot plate with constant stirring or in the microwave and swirl to dissolved. The agarose was then poured into a casting tray that has been placed with PFGE comb and let to solidify at room temperature. The enzyme- buffer was aspirated and one plug of each isolates was loaded into the gel. Care was taken not to tear the plugs. Then, a thin slice high range and mid- range lambda molecular weight marker (New England Biolabs) was loaded into the wells next to each other. After all samples was loaded into wells, the wells were sealed with melted LMP agarose. 2.4.7.2.  Electrophoresis Run The electrophoresis was performed by using a CHEF mapper (BioRad) which subsequently was filled with approximately 3 liters of 0.5ml TBE buffer. The running buffer was let to cool approximately at 14 ºC before turning on the pump. The run time was set for 24 hours at 6 Vcm-1 with 120 º angle using switch time of 2.16 sec to 54.17 sec. 2.4.7.3.  Gel staining Once the run was complete, the gel was stained with 3X Gel red nucleic acid stain (Biotium) with approximately 200ml distilled water and was gently agitated on rotary shaker for 20 minutes. The gel was then visualised under UV transilluminator and a picture was taken once optimal image obtained.

Friday, October 25, 2019

The Love song of J. Alfred Prufrock - Imagery, Literary Allusion, Struc

The Love Song That was Never Sung A love song or a profession of love usually includes a culminating point where the suitor finally professes his love toward the woman. However T.S. Eliot’s â€Å"The Love Song of J. Alfred Prufrock† is almost a guide on how to dissuade oneself from professing love to a woman. It does this by combining several different poetic methods to display a situation of desperation and trapped isolation. Basically, Alfred is clear on the fact that he wants to be a part of this woman’s –whom he loves- life, but he cannot bring himself to the complete the act, to say â€Å"I love you.† The poem itself consists of all of the reasons, going through Alfred’s head, why he should not profess his love. Imagery, literary allusion, and structure are prominent tools used by Eliot to convey the man’s feelings in the poem. Eliot’s criticism of the modern man of his time is another strong theme in this poem. A demonstration of this is clear when Eliot presents Alfred as a modern man, and then he criticizes modern men’s being with Alfred’s thoughts. The inability of taking action, or cowardice, is evidently the over arching theme in this presentation. One of the minor themes that play well into the all encompassing theme is Eliot’s interpretation of the modern man. The modern man, according to Eliot, is someone who lacks the ability to take a leap of faith or risk something no matter the importance. Prufrock is an extreme representation of the modern man and Eliot demonstrates this with these lines, â€Å"There will be time, there will be time...To wonder, ‘Do I dare?’ and ‘Do I dare?† (26, 38). Time and doubt create a barrier between Prufrock’s heart and his actions which yields him from displaying his tr... ...role of the â€Å"Fool† found in line 118. Once again, Alfred has found even more excuses for not taking any action by relating how he believes he will fail because of his lack of great status. Therefore, he never did take that leap of faith that he earnestly wanted to. No one can ever have courage without fear because then courage would not require so much heart and strength to muster. Even though Alfred possessed a certain fear, he did not have enough heart to be courageous and take a step bigger than those â€Å"measured in coffee spoons.† Therefore, with the use of, imagery, literary allusion, and structure, Eliot was able to create a poem that criticized the modern man that affected his heart. Just think--why men said to themselves--that they finally had a noble and courageous cause to fight for when The Great War began only a few years after this poem was published.

Wednesday, October 23, 2019

Melani McAlister

Culture and history are interdependent concepts that have always influenced and determined the path of human societies as time progressed.   The power of culture in determining the prevalence of an ideology or a specific society has never been most evident than when the human societies were progressing towards accelerated development in the 19th and 20th centuries. Melani McAlister’s â€Å"Epic Encounters† and Edward Said’s â€Å"Orientalism† demonstrate human societies’ preoccupation in uncovering the ‘truth’ and reality behind the seemingly accelerated progress of ‘developed’ nations over other ‘developing or underdeveloped’ nations.   The two authors expressed particular interest in understanding what set apart Western nations from Middle Eastern or Oriental nations, as conceptualized by McAlister and Said, respectively. In their discussion of the Western society and the ‘otherness’ of Middle Eastern and Oriental nations, the authors conducted researches utilizing different methodologies.   In understanding McAlister’s analyses of the otherness of Middle Eastern nations from the United States, she conducted research based on cultural artifacts, primarily mass media artifacts that chronicle the history of the US-Middle East relationship.   Said, meanwhile, looked into the history of the creation and development of Orientalism based on a meta-analysis of historical and cultural documents that can provide greater understanding and additional perspective in determining the specific point from which Orientalism sprang from. The central focus of this proposal is to provide a comparison of McAlister’s and Said’s respective concepts of â€Å"otherness,† as ascertained by their (1) conceptualization of the societies under study, and (2) methodologies adopted by the researchers (McAlister and Said) in coming up with their generalizations.   In effect, the researcher proposes a meta-analysis by looking closely into the two authors’ conceptualization and operationalization of the concept of â€Å"otherness,† in the context of Middle Eastern, Oriental, and Western societies. The first phase of the proposed study is to uncover how McAlister and Said developed their respective concepts of otherness, applied in the context of Middle Eastern and Oriental cultures, respectively.   The rationale for determining this first step of the meta-analysis study is to first determine whether the authors developed similar criteria in developing the concept, â€Å"otherness.† It is interesting to note that upon closer study of their works, McAlister’s concept of otherness is more culture-based, while Said’s was centered on history.   These differences in perspectives made their analysis radically different, while still maintaining one focus: the theme of Other versus Western society.   However, in the conduct of the meta-analysis of the otherness concept, it is vital to note that both authors subsisted to analyzing cultural products—mass media artifacts for McAlister, and historical documents for Said. A major influence that helped determine â€Å"otherness† in the authors’ works was the methodology they used in analyzing the different societies under study.   Analyses of their methodologies would provide more depth in the research’s interpretation of â€Å"otherness.† In fact, combining a meta-analysis on the concept of â€Å"otherness† and methodologies used to understand â€Å"otherness† provides triangulation in the study, giving the researcher more direction in determining which between McAlister and Said provided a more accurate and objective conceptualization of â€Å"otherness.†Ã‚   The last phase of the proposed study will integrate the findings from the first two phases of the study, giving an overall picture of the authors’ basis for focusing on the concept of otherness as determined by history and culture. References: McAlister, M.   (2001).   Epic Encounters: culture, media, and US interests in the Middle East.   University of California Press. Said, E.   (1979).   Orientalism.   NY: Vintage.

Tuesday, October 22, 2019

Ideal Gas vs. Non-Ideal Gas Example Problem

Ideal Gas vs. Non Problem This example problem demonstrates how to calculate the pressure of a gas system using the ideal gas law and the van der Waals equation. It also demonstrates the difference between an ideal gas and a non-ideal gas. Van der Waals EquationProblem Calculate the pressure exerted by 0.3000 mol of helium in a 0.2000 L container at -25  °C usinga. ideal gas lawb. van der Waals equationWhat is the difference between the non-ideal and ideal gases?Given:aHe 0.0341 atm ·L2/mol2bHe 0.0237 L ·mol How to Solve the Problem Part 1: Ideal Gas LawThe ideal gas law is expressed by the formula:PV nRTwhereP pressureV volumen number of moles of gasR ideal gas constant 0.08206 L ·atm/mol ·KT absolute temperatureFind absolute temperatureT  °C 273.15T -25 273.15T 248.15 KFind the pressurePV nRTP nRT/VP (0.3000 mol)(0.08206 L ·atm/mol ·K)(248.15)/0.2000 LPideal 30.55 atmPart 2: Van der Waals EquationVan der Waals equation is expressed by the formulaP a(n/V)2 nRT/(V-nb)whereP pressureV volumen number of moles of gasa attraction between individual gas particlesb average volume of individual gas particlesR ideal gas constant 0.08206 L ·atm/mol ·KT absolute temperatureSolve for pressureP nRT/(V-nb) - a(n/V)2To make the math easier to follow, the equation will be broken into two parts whereP X - YwhereX nRT/(V-nb)Y a(n/V)2X P nRT/(V-nb)X (0.3000 mol)(0.08206 L ·atm/mol ·K)(248.15)/[0.2000 L - (0.3000 mol)(0.0237 L/mol)]X 6.109 L ·atm/(0.2000 L - .007 L)X 6.109 L ·atm/0.19 LX 32.152 atmY a(n/V)2Y 0.0341 atm ·L2/mol2 x [0.3000 mol/0.2000 L]2Y 0.0341 atm ·L2/mol2 x (1.5 mol/L)2Y 0.0341 atm ·L2/mol2 x 2.25 mol2/L2Y 0.077 atmRecombine to find pressureP X - YP 32.152 atm - 0.077 atmPnon-ideal 32.075 atmPart 3 - Find the difference between ideal and non-ideal conditionsPnon-ideal - Pideal 32.152 atm - 30.55 atmPnon-ideal - Pideal 1.602 atmAnswer:The pressure for the ideal gas is 30.55 atm and the pressure for van der Waals equation of the non-ideal gas was 32.152 atm. The non-ideal gas had a greater pressure by 1.602 atm. Ideal vs Non-Ideal Gases An ideal gas is one in which the molecules dont interact with each other and dont take up any space. In an ideal world, collisions between gas molecules are completely elastic. All gases in the real world have molecules with diameters and which interact with each other, so theres always a bit of error involved in using any form of the Ideal Gas Law and van der Waals equation. However, noble gases act much like ideal gases because they dont participate in chemical reactions with other gases. Helium, in particular, acts like an ideal gas because each atom is so tiny. Other gases behave much like ideal gases when they are at low pressures and temperatures. Low pressure means few interactions between gas molecules occur. Low temperature means the gas molecules have less kinetic energy, so they dont move around as much to interact with each other or their container.

Monday, October 21, 2019

Dream Journal related to Psychology

Dream Journal related to Psychology When a situation becomes dangerous, the mind will figure out a way to make it safer. After the shooting in Platte Valley, many school officials are worried about how the students are handling this event. In "The Windsor Tribune", Chris Casey's article reviews just how chaotic all of these procedures can be. Every single one of the procedures can be a physical and mental strain on the all the school officials and students. The emotional strain was also another big worry that the weld county superintendent had.When a student has lived through that type of traumatic event, many things can be racing through their mind. Their behavior may change completely after this one event; they may feel as if it is better to be shy so that they do not attract too much attention. The student may do the complete opposite and be very outgoing because they feel as if they have nothing to lose anymore, or they feel invincible.English: Alexander Blok's poem 'Noch, ulica, fonar...I believe that the emotiona l strain that is put on everyone at this time will prevail and prepare us all for a very terrible possibility. I also believe that this emotional strain would be much less than that of someone losing a very close friend that was a victim of yet another school shooting.My MemoryI had to memorize "The Dreams," a poem written by Eugene Field, for my competition in speech debate. The first way I tried to memorize it was called "chunking." It is where I would separate the different stanzas so I could learn them separately and then put it all together at the very end. For me, this worked all the way up until I tried to put the entire poem back together. I could not remember what stanza went after the...

Sunday, October 20, 2019

Bated vs. Baited

Bated vs. Baited Bated vs. Baited Bated vs. Baited By Sharon The expression with bated breath is recorded as appearing for the first time in William Shakespeares The Merchant of Venice towards the end of the 16th century. It refers to having subdued or restrained breathing because of some strong emotion. The verb to bate, which means reduce the intensity of; take away; or lower in estimation or amount (an archaic usage), has long since disappeared from common use. So its no surprise that its often misspelled as baited. According to Merriam Webster, bait means to persecute, harass or lure. Heres an example to illustrate the two meanings: She waited with bated breath to see if he would take the bait. Here are some quotations illustrating their usage: the end of the year approaches, practically everyone in the fashion, beauty and interior design industries waits with bated breath to see what Pantone will proclaim as the official color for the upcoming year. (www.chicagotribune.com) the world - or at least, the American public - waited with bated breath on Thursday for the National Archives to release its final batch of records related to the assassination of (www.usatoday.com) Channel and blue catfish are good on hot dogs, shrimp, Spam, and frozen shad. Yellow catfish are good on juglines baited with live perch. (www.chicagotribune.com) Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Misused Words category, check our popular posts, or choose a related post below:50 Idioms About Talking"Gratitude" or "Gratefulness"?Present Participle as Adjective

Saturday, October 19, 2019

Cold War History Research Paper Example | Topics and Well Written Essays - 1250 words

Cold War History - Research Paper Example The world quickly turned into polarized and bipolar. Fourth, two superpowers appeared in the world with military and economic power which gave them a significant advantage over the others. Plus, the interests of Western countries in different parts of the globe began to come up against the interests of the Soviet Union. The new political conditions, formed after World War II, were quickly understood by Churchill, who announced the new realia and called them the Cold War1. The defeat of such powerful monsters as Germany and Japan testified that the balance of power in the world was changed. The Allied forces of the Four Powers - the Soviet Union, the United States, Britain and France occupied the territory of Germany and Austria in accordance with the decisions of the Potsdam Conference. The political influence of the Soviet Union extended to Poland, part of Germany, occupied by Soviet forces, Czechoslovakia, Hungary, Bulgaria, Yugoslavia and Romania. Though the country was exhausted by war, it badly needed to recover economic and human resources, it still had the most powerful and experienced army of about 11 million soldiers2. On the other hand, the U.S. became the dominant global power after the Second World War, which has enormous economic, air, sea and nuclear power. As a result of the effective strategy the United States increased the gross national product by 1.7 times (excluding inflation) during the war and lost only 300 thousand soldiers. The U.S. dollar became the most stable currency and New York - the largest financial market in the world. The country quickly overcame inflation, raised wages and had the world’s highest productivity. Economic power of the United States, its industrial and financial expansion, contributed to the fact that the United States got the role of global hegemon3. Growing distrust among the former Allies led to the fact that the countries of Western Europe and the U.S. joined forces against the USSR. The Soviet Union, i n an effort to protect its borders, created a kind of a buffer of the countries which formed pro-Soviet government after the war. Thus, the world was divided into two camps: capitalist and socialist. Both established the so-called systems of collective security - military blocs. On 4 April 1949 the North Atlantic Treaty was signed and the world saw a new military organization - NATO, which included the U.S., Canada and Western Europe. In May, 1955, the Warsaw Pact was signed as a countermeasure. It included (that year) Albania (later, in 1968, it denounced the pact), Bulgaria, Hungary, East Germany, Poland, Romania, USSR, Czechoslovakia. The polarization of the world was over4. The created coalitions, led by their leaders, began to struggle for influence in third world countries. One of the most memorable results of the Cold War is Arms Race Its start was related to atomic weapons. In 1945 the United States was the only nuclear power in the world. Hiroshima and Nagasaki got â€Å"i nformed† about that. That strategic superiority fostered the U.S. military begin to build a variety of plans of pre-emptive strikes on the Soviet Union. But the American monopoly on nuclear weapons remained only four years. In 1949 the USSR tested its first atomic bomb. This event was a real shock to the Western world and an important milestone of the Cold War.

Friday, October 18, 2019

Innovative Organizations in the UAE Essay Example | Topics and Well Written Essays - 250 words

Innovative Organizations in the UAE - Essay Example It also merged with GasCities to improve production and increase its presence in the market across Europe and America. The firm is also a top innovative organization because it engages in the acquisition, discovery and expansion of fuel concessions (Al, 238). The other top innovative firm is the Emirates Airline that operates cargo and passenger services. The company is engaged in sports sponsorship of top football clubs across Europe, such as Real Madrid, PSG and Arsenal among others (Wilson 32). This helps it with increasing its market base beyond the UAE borders with the aim of beating competition from Etihad Airways. The company also comes up with considerable offers that favor international passengers with its continuous commercial flights. Emirates Airline is a recognized brand that launches latest flights from the Boeing Company to enhance luxury, class and comfort (Wilson 56). It is significant to launch and diversify the products and services to create a distinction from the competitors’ products. As a result, Emirates Airlines and Crescent Petroleum are among the innovative organizations in the

Scientific Method Assignment Example | Topics and Well Written Essays - 250 words

Scientific Method - Assignment Example The Roman Catholic Church denied the heliocentric view and suggested that people that believed this view were heretics (Young, 2006) because it contradicted some of the passages in the Bible. Many of the new scientific discoveries were thought to be at odds with the teachings of Christ and therefore were not accepted in the eyes of many Christians at the time (and some are still not accepted). This made it very difficult for scientists to publish their works for fear of being ostracized from society. Spinoza believed that there was only infinite substance, in contrast to Descartes’ dualistic view that there is infinite and finite substance. He also rejected the thought that there is a ‘thinking substance’. Protestant values are thought to have encouraged the development of scientific thought by separating Church from state and therefore allowing these ideas to be published and spread legally and politically. The Catholic Church began to have less power and therefore science had the freedom to

Under Armour Essay Example | Topics and Well Written Essays - 500 words

Under Armour - Essay Example The fact that Under Armour has fewer retail stores it means that it has fewer powerful buyers who can often dictate terms. In terms of competitive rivalry, the two companies do not pose a serious threat since Under Armour itself offers unique products. However, all the competitors have allocated a sizeable budget on research, meaning that they are likely to offer undifferentiated products and services that may reduce attractiveness of Under Armour. Under Armour doesn’t pose the threat of new entry since the other two corporations have the advantage of the economies of scale, and considering their budgetary allocations on marketing, Under Armour is less likely to capitalize on the threat of substitution. Under Armour has a major strength of manufacturing the most unique brand in the market. However, the weakness of fewer retail stores and the threat posed by other corporations like Nike and Adidas Group gives it a lesser advantage in the market. Broadening the company’s product offering to all athletes and increasing its sale, designing kits that can be worn under different weather conditions, marketing and product promotion (Thomson, 2012). All the three companies are engaged in sponsorships and endorsements for product promotion and marketing. They have also allocated sizeable amounts of resources on research and development of new products. On one hand, Under Armour has the advantage of its unique products in the market, and on the other hand, it has a disadvantage of unfavorable competition in terms of capital against the other two. He needs to address the issue of the growing number of individual items produced, uncertainties surrounding consumer demand that affects accurate projections of items to order (Thomson, 2012), and how to acquire the lion’s share of the market. Carrying out proper survey in

Thursday, October 17, 2019

Rhetorical Situation Essay Example | Topics and Well Written Essays - 500 words

Rhetorical Situation - Essay Example So, different writers write best in different environments. However, there are some similarities among these writers. They are acquire new ideas for writing. Moreover, they are also good readers of their own work especially when revising. Through these, they shape their writing styles and gain more experience as well. I different writers work best in different environment and time They say all writers write with a thought in mind that somebody will read their work. Experienced writers normally consider audience as one of the most crucial factors when compiling their works. They do this by keeping the audience in their minds and using language and tone accordingly. Inexperienced writers, on the other hand, write as if they do not expect other people to go through their work. When talking of audience, there are two types; an individual whom the writer may or may not know and a group that may include several people whom the writer does not know. The two audiences are particular audience and universal audiences. I say audience is a crucial factor for any writer. This is the motive or aim that a writer always hopes to accomplish through writing. Some of these aims are: amusing people, discovering oneself, conveying information, exploring ideas and evaluating something. However, the primary aim of all writers is to persuade readers. Writers normally begin with one topic and narrow it down. For instance a writer writing about abortion may narrow it down to effects of abortion. This is meant to give the readers more detailed information concerning some parts of the topic. Entering into a conversation is whereby a writer reads about a certain topic, understands the concepts and controversies that relates to that particular topic. The writer then becomes aware of a large communication going on. Therefore, he or she begins to see his or her own place in the conversation. He discovers his own ideas and stance on

The role of accounting in the collapse or failure of Allco Essay

The role of accounting in the collapse or failure of Allco - Essay Example Causes of the Collapse of Allco Corporate collapse of Allco occurred like many other collapses but reasons of other collapses had been different than with Allco, which collapsed due to duality of the positions of the chairman and the CEO, the two topmost positions in the company, i.e., one of the chairman and the other of the chief executive were managed by the same person, by late David Coe. Media identified Coe as the executive chairman although later Bob Mansfield was the chairman and David Clarke, the chief executive (Walters, 2013). Financial environment worldwide was particularly not conducive otherwise but Allco suffered from the deficiency in corporate mechanism as board of corporate governance behaved like a private company. Criticality of Board Independence Board independence is very critical factor in the scheme of corporate things. The Australian Securities Exchange (ASX) has very clearly advised not to lead the two roles of chairman and chief executive officer by the dit to person. There has never been any ambiguity over this recommendation. Freedom of the board has been from the very beginning the leading principle of good corporate governance, as defined in the preamble of ASX. This issue is linked to the sound health of the capital markets, which has been central to the Australian economy. Take for example the case of Enron where the positions of the CEO and the chairman were managed by Kenneth Lay. Enron collapsed because of cheating and corruption of 18 years in securities (Walters, 2013). The same cannot be said about Allco that it cheated and practised corrupt practices but members of the board were found to be in compromising positions when it came to the issue of loan to one of its associate companies, the Allco Principles Trust (APT). Corporate Mechanism at Allco Former chief executive of Allco, David Clarke revealed the complicated corporate mechanism of the Company, which at one time had a market value of $5 billion and in 2008 it came r olling down to owing above $1 billion, affecting 50 related companies, facing settlement. The fall back in structured finance reduced the share price to almost half in late 2007. An associate company APT was given a loan of $50 million to ensure that margin calls do not bring down Allco share price. The leading shareholders of APT were holding senior executive level positions in Allco with Allco shares as capital (Lannin, 2010). Connection between Stock Prices and Earnings The relation between stock prices and earnings inspire managers to practice earning management. Generally, it is observed that public firms show increased discretionary accruals. Managers are additionally inspired to fulfil the stock market expectations of shareholders. They are motivated to leverage income before listing in stock market, for securing investors’ interests and outcomes of earning management can reflect on the capital market (Soffer et al., 2000). Functions of Allco Board A company’s b oard caters to the stakes of its shareholders, as executives are too busy in day-to-day management of the company. It is the responsibility of the chairperson to ensure that shareholders’ funds are invested to earn nice dividends. In the present condition, shareholders felt very unrelated and ignorant where their funds were invested and what role their super funds were playing in corporate governance (Walters, 2013).

Wednesday, October 16, 2019

Under Armour Essay Example | Topics and Well Written Essays - 500 words

Under Armour - Essay Example The fact that Under Armour has fewer retail stores it means that it has fewer powerful buyers who can often dictate terms. In terms of competitive rivalry, the two companies do not pose a serious threat since Under Armour itself offers unique products. However, all the competitors have allocated a sizeable budget on research, meaning that they are likely to offer undifferentiated products and services that may reduce attractiveness of Under Armour. Under Armour doesn’t pose the threat of new entry since the other two corporations have the advantage of the economies of scale, and considering their budgetary allocations on marketing, Under Armour is less likely to capitalize on the threat of substitution. Under Armour has a major strength of manufacturing the most unique brand in the market. However, the weakness of fewer retail stores and the threat posed by other corporations like Nike and Adidas Group gives it a lesser advantage in the market. Broadening the company’s product offering to all athletes and increasing its sale, designing kits that can be worn under different weather conditions, marketing and product promotion (Thomson, 2012). All the three companies are engaged in sponsorships and endorsements for product promotion and marketing. They have also allocated sizeable amounts of resources on research and development of new products. On one hand, Under Armour has the advantage of its unique products in the market, and on the other hand, it has a disadvantage of unfavorable competition in terms of capital against the other two. He needs to address the issue of the growing number of individual items produced, uncertainties surrounding consumer demand that affects accurate projections of items to order (Thomson, 2012), and how to acquire the lion’s share of the market. Carrying out proper survey in

Tuesday, October 15, 2019

The role of accounting in the collapse or failure of Allco Essay

The role of accounting in the collapse or failure of Allco - Essay Example Causes of the Collapse of Allco Corporate collapse of Allco occurred like many other collapses but reasons of other collapses had been different than with Allco, which collapsed due to duality of the positions of the chairman and the CEO, the two topmost positions in the company, i.e., one of the chairman and the other of the chief executive were managed by the same person, by late David Coe. Media identified Coe as the executive chairman although later Bob Mansfield was the chairman and David Clarke, the chief executive (Walters, 2013). Financial environment worldwide was particularly not conducive otherwise but Allco suffered from the deficiency in corporate mechanism as board of corporate governance behaved like a private company. Criticality of Board Independence Board independence is very critical factor in the scheme of corporate things. The Australian Securities Exchange (ASX) has very clearly advised not to lead the two roles of chairman and chief executive officer by the dit to person. There has never been any ambiguity over this recommendation. Freedom of the board has been from the very beginning the leading principle of good corporate governance, as defined in the preamble of ASX. This issue is linked to the sound health of the capital markets, which has been central to the Australian economy. Take for example the case of Enron where the positions of the CEO and the chairman were managed by Kenneth Lay. Enron collapsed because of cheating and corruption of 18 years in securities (Walters, 2013). The same cannot be said about Allco that it cheated and practised corrupt practices but members of the board were found to be in compromising positions when it came to the issue of loan to one of its associate companies, the Allco Principles Trust (APT). Corporate Mechanism at Allco Former chief executive of Allco, David Clarke revealed the complicated corporate mechanism of the Company, which at one time had a market value of $5 billion and in 2008 it came r olling down to owing above $1 billion, affecting 50 related companies, facing settlement. The fall back in structured finance reduced the share price to almost half in late 2007. An associate company APT was given a loan of $50 million to ensure that margin calls do not bring down Allco share price. The leading shareholders of APT were holding senior executive level positions in Allco with Allco shares as capital (Lannin, 2010). Connection between Stock Prices and Earnings The relation between stock prices and earnings inspire managers to practice earning management. Generally, it is observed that public firms show increased discretionary accruals. Managers are additionally inspired to fulfil the stock market expectations of shareholders. They are motivated to leverage income before listing in stock market, for securing investors’ interests and outcomes of earning management can reflect on the capital market (Soffer et al., 2000). Functions of Allco Board A company’s b oard caters to the stakes of its shareholders, as executives are too busy in day-to-day management of the company. It is the responsibility of the chairperson to ensure that shareholders’ funds are invested to earn nice dividends. In the present condition, shareholders felt very unrelated and ignorant where their funds were invested and what role their super funds were playing in corporate governance (Walters, 2013).

Martin Bernal and describes Essay Example for Free

Martin Bernal and describes Essay Black Athena is the works of Martin Bernal and describes the Afro-asiatic roots of classical civilization in ancient Greece. Martin examines the perception of ancient Greece in relation to its African and Asiatic neighbours especially in West Europe. This occurred in the 18th century onwards and exhibits the denial by the western academia and the influence of the Greek culture on civilization. In his work Bernin does not support the Greek civilization as being founded by the Aryan settlers whose trace is Europe. He gives proves as to the arguments of the famous great Grecian thinkers like Plato, Socrates and Aristotle that Phoenician civilization originally colonized Greece. In this basis he comes up with a theory based on the methodology of these historians and this theory states that Greece was colonized by northern invaders with their existing colony established in Phoenicia. (Moore, 2001) He uses several examples to explain that countries of Africa like Egypt and those on the west are being admired by prominent European leaders because of their historical backgrounds. The current Greek language spoken in classical Grecian world has its roots in the proto Greek language and influence from other Anatolian languages that were spoken nearby. The culture in Greece is believed to have been developed as a result of comparison of unity of elements. Bernam puts great emphasis on the elements of Africa that shaped the Grecian history. He compares the 19th and 20th century eurocentrism with the development of the western appropriation culture and its development. He argues that the western world influenced the Modern Greek language terming the contact between the indo European languages and the culturally influenced Egyptian and Semitic languages as very key in the determination of the modern Grecian culture and language. He gives examples of some words being used in the modern language of Greece to have been from these origins. He estimates the introduction of the Greek alphabet to have been between the period 1800 and 1400 BC. (Moore, 2001) Bernal came to the conclusion that the relationship between ancient Greek and Egyptian influence should not be taken lightly. His background traces to the interests he had on Egypt since childhood and the inspirations by his father. He is further encouraged to take this direction by the discovery of the works of Cyrus Gordon and Astour. Afrocentrism which is now the most felt model in the North American primary and secondary schools has been noted to be the most significant and challenging developments in higher education systems and curriculums. It’s a model which encompasses both multi cultural and Afro Hellenic orientations. This simply means that it’s grounded in ethnic and cultural diversity and the aspect that it is attributed to Africa. In contrast with the black Athena which attributes the development of modern Greece to the western world, the Afrocentric model attributes it to be an abstract, intellectual civilization which is grounded in the traditional orientations of western civilization. Bernal’s discovery of the black Athena is the modern thinking of how the Greek world came into being but has been criticized as not with definite reasons as afrocentric movement. His was of a different order that racist and anti Semitic scholars only showed the historical facts from the Bronze Age onwards making the culture of Greece to be a product of only Egyptians and Levantines. He argues that for the complete concealing of the origin of the Greek culture we need to consider the north of Athens and the medditerenian island of Crete, civilizations which took place in the third millennium. Bernal’s case is different from the afrocentric models because it rests upon on legend and myth. It relies upon the stories told by the ancient Greeks like Aristotle and Aristotle. He interprets these stories as the memories of the Egyptian and Phoenician developments. There is a critic about this however because we need to ask ourselves ‘of what benefit is myths and legends? ’ (Bernal, 1987) Bernal attributes archaeology, myth and linguistic borrowings as evidence to the development in Greece. The history and development of Greece is of much importance to the culture adopted today in Greece. Without the historical base Bernal suggests that tracing of the Greek history and civilization would be very complicated. Bernal claims that approximately 30% of Greek is of Semitic origin, 20% from Egyptian origin and the rest from the ancient Greek origin. Critics however have suggested that his demonstrations is only based on the resemblance merely and not the principles of linguistic adaptation. Bernal takes the similarity of a few words and tries to generalize. The afro centric orientation is based on the western world and argues that linguistic development in Greek civilization has been natural like the development of any other language. (Bernal, 1987) The contention that the Egyptians were the greatest civilization in history is critically opposed by the Afrocentrists. Afrocentrists view the Egyptians as only blacks who cannot contribute anything to the civilizations which took place especially in Greece. Bernal regarded the developments of Greeks like the scientific and mathematical orientations as very important movements. It’s however criticized by the afrocentrics as a total disregard of the facts of chronology. Conclusion The black Athena and the afrocentric movements have had an influence to the history and civilizations of the current Grecian histories. In our study of the two models we need to understand the fact that the current ancient civilization is as a result of amalgamation of the two models. Bernal in his book Black Athena: The afroasiantic roots of Classical civilization addresses the issues which have made the Greek world today be the way it is. Reference: Bernal, M. (1987) Black Athena: Afroasiantic roots of Classical Civilization, Rutgers University press. Moore, D. (2001) Black Athena writes back, Duke University press.

Monday, October 14, 2019

The role of the family in mental health recovery

The role of the family in mental health recovery CHAPTER 1 INTRODUCTION Family is a small social system made up of individuals related to each other by reason of strong reciprocal affections and loyalties, and compromising a permanent household that persists over years and decades.It is the most significant primary unit of human society. It is the earliest institution of humankind that is mainly depends upon man’s biological and psychological needs. Without family, no other social institution like religion or government can exist. The sustainability of family is vital to the development and progress of the society. The term family has been derived from the Latin word ‘familia’ which means a house hold establishment.It indicates to a number of individuals staying and living together during important phase of their life time and they are bound to each other by biological, social and psychological relationship. It may be the joint family or an individual family in the modern society. Famous sociologist M.F Nimkoff defines family ‘as a joint effort of husband and wife either with child or without child’. The existence of family is very significant. Family plays a major role in the society. Family generates human capital resources and also it has the power to influence single individual, each household and the behaviour of the community (Sriram, 1993).Hence family is being studied as the most basic unit in the different branches of social science. Human developments, Psychology, anthropology, economics, social psychiatry, social work are examples. Family is a major resource for the various needs of human beings. It is the family plays a major role in the nourishment of children and meeting their most basic needs such as emotional bonding, health, development and protection.There is enormous potential lies within the family and it proves it during the trouble times by providing stability and support.The growth of an individual and the society mostly dep ends upon this basic unit of the society. (Desai, 1995a). Culture to culture and society to society, families and family dynamics varies and they cannot be interpreted without the context of cultural factors. Culture determines the roles of family members and it explains families’ ways of defining problem and solving them. The family in India is known as an ideal homogenous unit with strong coping mechanisms. In a large culturally diverse country like India have plurality of forms in the families that varies with class, ethnicity and individual choices. Collectivism is an important dimension of Indian culture that affects the family functioning. In other words, the basic aspects of human life such as economic, philosophic are given the outlook of interdependence amongst persons. Family cohesion, cooperation, solidarity, and conformity are the major values of collectivistic society like India. Indian joint families are considered Strength, stability, closeness, resilience, and endurance are encouraged in the Indian joint families where family loyalty, family integrity is given priority than individual choices. These unique dimensions of Indian families help the families to overcome difficult situations that they face over the course of time. When an individual in the family is struck with a disease or a ny other troubles, the entire community helps that individual to face that situation. What is Family support? Family support can be defined as the benefits a person receives from the family and friends such as physical emotional and material benefits. Positive social support helps one to improve in the ability to make healthier choices in life. Family or social support would also means being able to access people that a person can rely upon if needed. In an individual’s life, family support is essential at all times. Good support from the family enhances the individual to excel in his or her field of interest. On the contrary, poor support results in poor performance. A person hailing from a lower socio economic strata s considered to be Mental Health and family support Health is the most important aspect of human life. According to WHO Health is a state of absolute physical, mental and social well-being and not only the absence of disease(World health Organisation,2001) Mental health is another area where family support is an inevitable factor. In a situation where resources for mental health are scarcely available families form a valuable support system. Mental health is defined as state of well-being in which every individual realizes his or her own potential, can cope with the normal stresses of life, can work productively and fruitfully, and is able to contribute to her or his community ( World Health Organisation, WHO includes social support as one of the key determinants of health. Mental illness is medical condition that affects an individual’s thinking, emotions, ability to relate with others and daily functioning. Just as any other physical conditions, mental illness are medical conditions which results in poor capacity for coping w ith the demands of life. Mental illness is considered the most pathetic condition of a human life. Indian traditions considered a mentally ill person as an outcast since he or she was labelled as cursed by gods. The presence of mentally ill in a family brings huge implications. There will be only a handful in the family who will be willing to take care of the patient namely the mother or wife. When one person is ill in the family, the entire course of the family gets changed. Because society would label the family as cursed and this would bring a wide range of problems especially if the family hails from a lower social and economic strata. On the contrary, Indian families are the key resources for the mentally ill. There are mainly two reasons for this position. First, it is mainly because of the traditional practice of collectivism and concern for the relatives in adversities. As a result, most Indian families do not hesitate to be significantly involved in all aspects of care for their relatives. The tradition of involvement of family in the care of mentally ill has always existed. Secondly, since there is a long gap between the need and thus the clinicians mostly depend on the family. Thus having adequate family support becomes the need of the patient, clinician and health administrators. INVOLVEMENT OF FAMILY IN THE MENTAL HEALTH SERVICES IN INDIA In the pre independence era, mental health care services in India were not organised. Usually persons with mental illness were taken care by family members or religious institutions. In other cases they roamed free.’ Mental asylums’ were introduced by Britishers where unwanted dangerous mentally ill were kept behind shut doors. Though it was initially for their soldiers, later Indian population also received the services. T was in Bombay in 1745 the first mental asylum was established. The second in Calcutta in 1781, the third in Madras in 1794 and the fourth in Monghyr, Bihar in 1795. Globally there were changes taking place in the mental health scenario, which involved ‘moral treatment’ and comprehensive community mental health approach. However, not all these changes in Europe and America made any impact on the Indian scene. Approach of the Government until 1946 was to establish custodial and no therapeutic centres. In 1957, there was a shift in the mental health field when Dr.VidyaSagar the then superintendent of Amritsar Mental Hospital, took initiative to involve the close relatives of the mentally ill in the treatment. The family stayed in the hospital campus along with the patients in open tents. This in fact aided the speedy recovery of the patients in comparison with those patients who did not stay with the families. Christian Medical College,Vellore established family wards in the psychiatric setting which followed many advantages such as accelerated rate of recovery, low relapse rates. Many family members started helping the community by identifying the psychiatric patients and providing the guidance. The close relatives of the patients were asked to stay with the patients in the open wards .at NIMHANS.Using family as a major resource in the process of recovery of mentally ill has the advantage of relieving the professionals.Community care has been a paradigm shift for psychiatric treatment worldwide. Recovery in mental health Recovery in mental health cannot be easily defined. This significant aspect depends upon many factors. A process of change through which individuals improve their health and wellness, live a self-directed life, and strive to reach their full potential (Samhsa, August 2011). Recovery from mental illness is a long term process. It involves the experience of healing and transformation and by which the person learns to live a purpose oriented life in the society. He or she would learn to make use of his or her potential in the very journey of healing. Bipolar disorder is a recurrent and long-term mental illness that can seriously affect the lives of patients and their families. Bipolar disorder is a common psychiatric disorder that includes periods of extremely elevated mood and periods of depression and periods of full or partial recovery. The cycles of high and low mood states and well periods may follow an irregular pattern. The treatment of Bipolar disorder cannot be limited to pharmacotherapy alone. Psychotherapy, psycho education, peer group support also play major role in the process of recovery. Bipolar affective disorder Bipolar disorder is a chronic, severe illness that can impose significant impairment on multiple aspects of a patient’s life including interpersonal relationships, occupational functioning and financial stability (APA, 2002). Globally it has been ranked the ninth highest cause of years of life lost due to death or disability and the 12th most prevalent cause of disability among individuals aged between 15 and 44 years (World Health Organization, 2004).The distress and impairment caused by bipolar disorder is a wide spread and important issue. Globally the lifetime prevalence of all forms of the illness, often referred to as bipolar spectrum disorders, has been estimated to be 5% in the general population. Ganguli (2000) reported that the national rate of affective disorder in India as 34 per 1000 population. This disorder significantly affects the functional capacity of the person. Apart from regular medication, support from the near and dear makes a large difference in the recovery process. The practice guideline of The American Psychiatric Association (APA) for Bipolar Disorder treatment suggests the use of certain psychotherapies which includes family therapy as well(American Psychiatric Association,2002) So there are high chances that by the sincere involvement in the care of these patients they may improve in their psychosocial functioning and also to cope with their own struggles due to the illness. Conclusion Unlike the institutionalized care, in the community based care for the persons with mental illness, the role of family is very important. The bio medical, socio economic, psycho- spiritual and every integral dimension of the society is necessary in the recovery process. Family being the smallest unit of the society therefore is of much importance in rebuilding the life of the persons with mentally ill. Family is pivotal to catering to the persons with mental illness as they function as the primary care givers. In short, The involvement of family is the need of the hour.

Sunday, October 13, 2019

Frogs :: essays research papers

Frogs   Ã‚  Ã‚  Ã‚  Ã‚  Frog is the common name for a species of amphibian that also includes toads. A very common question is â€Å"whats the difference between frogs and toads?† , the answer: none, except for the fact that toads lack the powerful legs that frogs have. â€Å"Where can frogs and toads be found?†, one might ask. They live in all parts of the world, except for Antarctica, but are mostly found in tropical areas. Frogs are small animals with smooth moist skin, and big eyes that can see in almost any direction. Most species have webbed feet and powerful legs making them good jumpers, and excellent swimmers. A frogs tongue is attached to the front of it’s mouth instead of the rear, and most frogs are very vocal, especially the male frogs.   Ã‚  Ã‚  Ã‚  Ã‚  As a frog grow, it goes through many changes. Starting out as a tadpole, and morphing into a frog. Most frogs lay their eggs in water. Others will lay their eggs some where safe, then carry them to water where they hatch into tadpoles. At this stage they have gills, no legs, and a tail. As they mature, their gills and tail disappear, and they develop lungs and legs. This period of tadpole life can be divided into three stages. The first stage, called â€Å" premetamorphosis,† lasts about 50 days (Patent 54). The second stage, in which the hind legs grow, is called â€Å"prometamorphosis,† and lasts about 21 days. When the legs are about as long as the body, the third stage, which is called â€Å" metamorphic climax,† and takes place very rapidly, begins. During this last stage, which lasts about a week, many great changes occur. They lungs complete their development, and the gills disappear. The skin gets thicker, nostrils form, and the tail is completely resorbed.   Ã‚  Ã‚  Ã‚  Ã‚  Most frogs prefer moist regions, and many kinds live in the water. Because frogs absorb oxygen in water through their skin, they can stay underwater for long periods of time. A frogs body temperature depends on it’s surroundings, and during cold weather, frogs dig burrows in mud and hibernate. During hibernation, the frog needs little oxygen and no more food than is already in it’s tissues. During intense heat, a frog might estivate, or in other words, lie in a state of torpor during the heat, after burying themselves in sand and clay.   Ã‚  Ã‚  Ã‚  Ã‚  Frogs are carnivores. They eat just about anything smaller than then that moves. A frog thinks like this: If it’s smaller than itself and moves, eat it. If it’s the same size, mate, or attempt to mate (this gets some frogs

Saturday, October 12, 2019

My Educational Philosophy :: Philosophy of Education Teaching Essays

My Educational Philosophy Education is diverse. Due to the various natures of knowledge and students, it is difficult to place my educational philosophy in one category. Each student is unique; curriculums vary depending on many factors. I feel that many educational philosophies are beneficial to education. The nature of students reflects many things including heredity, home life, and society as a whole. Through my experiences working with Americorps/Energy Express, I learned children from lower income families tend to lose three months of education during the summer break. The students never regain these losses. While lower income children lose learning, children from higher income families gain a month of learning. This demonstrates the importance of home life in the nature and education of students. When teaching, one must always consider the aspects that may affect the students’ nature along with the nature of knowledge. Knowledge is both relative and absolute. Literature is an example of relative knowledge. Interpretation of books or poetry depend on the person reading the material, the place where the literature is read, and the time period in which the person is living. Science and mathematics are absolute. One plus one equals two regardless of the time, place, or person. Acquiring knowledge, whether absolute or relative, is the purpose of education. Public education is important to improving society and the future. Like Plato, I feel education gives people the ability to think critically instead of being blindly led by others. As a future teacher, I am idealistic in that I hope to encourage students to challenge themselves, I also hope to encourage students to continue learning throughout life, and prepare for college. To accomplish these goals, I will incorporate pragmatic methods like hands on activities through laboratory experiments and problem solving into my teaching. This also falls under experimentalism. The Socratic method of small group discussions, lecturing, and questioning will be used to help students acquire knowledge. Using many methods will help all students to understand the material presented. Discipline will play an important role in reaching my goals for the students. I plan to use pragmatic methods also in establishing rules.

Friday, October 11, 2019

Personal Finance Essay

Personal finance addresses the way an individual or families earn, budget, save, and spend money gained from employment, loans, or gifts. As a college student, my personal finances are based upon money I have obtained, seasonal employment and parental support. In creating my budget, I had to realize that my income was not the same each month so I had to make sure I had enough money to pay for my gas, phone bill, and entertainment. Sometimes I would go over budget due to unexpected bills so I would ask for help from my parents. I use a debit card through my bank City National Bank. I chose this bank because my parents also bank there and it’s a small personal bank. It makes it easier if I need my mom to transfer money to my account in case of an emergency. I do not use checks only my debit card and occasional cash, the debit card pulls money out of my account somewhat like a check. I do check my account online, and my statement looks similar to the on in The Money 101 Student Workbook. The format is a little different, but the same kind of information is given. I do not keep a register much to my mother’s dismay. Every Christmas, she gives me a register to keep track of my spending but I fail to use it. I do track my spending through balance inquiries that I receive via the ATM, as well as online. If I wanted to change banks, I would choose a bank that would be in Marshall and has the small town feel to it. I would also want one that might offer interest on my account. I didn’t find any new information concerning debit cards, but I do prefer a debit card to a credit card because it takes money out of your account instead of possibly spending what you don’t have. You can also abuse a credit card and use it unnecessarily. I did check on annualcreditreport. com to see if I had a credit report, but I do not because I don’t have any accounts in my name. The best card deal I found was on chase. com because if I put my name on my parents account then I could also have their 8. 99% interest rate. There were lots of credit card offers that had 0% introductory rates, but since I have no credit, then the interest rate would rise dramatically. Some insurance policies that would be important for personal finance would be disability insurance, car insurance, and health insurance. Identity theft insurance would probably be a good insurance protection. The thing that stuck out to me when Mike Brady came and spoke was the concept of â€Å"full coverage† insurance for your car, he said that it’s only an interpretation and not something that is written down, he also stated that there is no such thing as â€Å"full coverage. I would probably put my savings in the savings account in my bank since I would have access to it. My retirement plan would be to match whatever my company is putting into my 401K and putting money into stock that I can draw from when I actually do retire. The test that we took in the back of the booklet was fairly easy after looking through this so many times I answered a credit card would be the one to hurt you the most when in fact it says the student loans would affect your credit score more. My parents educated me very well on a lot of these subjects especially budget and checking account, my mom has preached to me about having a budget for as long as I can remember. The thing I learned from this unit, just to point one out, was the savings and retirement planning I didn’t realize it was such a priority because at my age you really don’t think about those things but I’ve learned that I do need to start early.

Thursday, October 10, 2019

Spirometry Report Essay

Use your PowerPoint notes, lab book, text book, your data, and the Internet to answer the following questions. All reports must be typed and stapled. All reports must be in your own words. One student from each group should include the LabTutor-generated data tables and/or graphs. Exercise 1: Pulmonary function tests Respiratory parameterUnitsExperimental ValuePredicted Value* BPM14 TVL0.490L IRVL1.984L ERVL0.905L RVL1.45L   1. What is the residual volume and why is it important to normal respiratory function? – Residual volume is the volume of gas remaining in the lungs at the end of forced expiration – It is important to normal respiratory function because it helps to keep the alveoli patent (open) and prevent lung collapse. It decreases the efficiency of gas exchange by diluting the oxygen of the inspired air. 2. Briefly describe Spirometry. – Spirometry is the most common of the pulmonary function tests, measuring lung function, specifically the volume and the flow of air that can be inhaled and exhaled. – Spirometry is the most useful for evaluating losses in respiration function and for following the course of certain respiratory disease. 3. Explain why the residual volume cannot be determined by Spirometry. -Because pirometry can only measure how much air is moving out of or into the lungs, not how much is contained at a particular time. 4. You are a Nurse working a 19:00 to 07:00 shift. There are no attending physicians on your service and all the residents are sleeping. One of your patients is demonstrating signs of dyspnea. You call the respiratory service and an RT responds and conducts a PFT (Spirometry)  series on your patient. There is a â€Å"malfunction† with the equipment and the RT tells you that you can only have â€Å"one value†!! Which value do you choose and why? (3 pt). -I choose value the TV â€Å"Tidal volume†, because I would like to know the amount of air inhaled and exhaled with breath under resting conditions of the patients. Exercises 2 & 3: Pulmonary Function Tests: Compare the respiratory parameters between normal and simulated obstruction. Recall, we simulated an obstructive pulmonary disorder by covering the tube with duct tape and cutting an opening in it about the size of a pen’s diameter. Using the Horizontal Compression controls and the scroll bar, display the data for both normal pulmonary function tests (Exercise 2) and the simulated restricted airway (Exercise 3) for inclusion in your report. Normal: Respiratory parameterExperimentalPredicted FVC3.392L PIF214.55L/min PEF237.09L/min FEV12.438L FEV1/FVC71.88% Simulated Airway Restiction: Respiratory parameterExperimentalPredicted FVC2.101L PIF24.04L/min PEF26.24L/min FEV10.188L FEV1/FVC8.95% Study Questions 5.There are two major categories that lung diseases fall into: Obstructive and Restrictive. Construct a small table for each lung condition (obstructive or restrictive) and predict what spirometry parameters that we measured in lab would most likely be decreased, which parameters would most  likely be unchanged, and which parameters (if any) might be increased. (3 pt). ObstructiveRestrictive FVCnormal or minimally decreased decrease PIF PEF FEV1decreasenormal or minimally decreased FEV1/FVCdecreaseNormal or increase TLCNormal or increasedecrease 6. Explain the pathologies of Obstructive and Restrictive pulmonary diseases. Include in your discussion why these pathologies result in the signs and symptoms of each disease class. Also name at least two conditions associated with each major pulmonary disease class (i.e. Chronic Bronchitis-Obstructive) (3 pt). – Obstructive pulmonary diseases have shortness of breath due to difficulty exhaling all the air from the lungs. Because of damage to the lungs or narrowing of the airways inside the lungs, exhaled air comes out more slowly than normal. At the end of a full exhalation, an abnormally high amount of air may still linger in the lungs. * Two conditions associated with obstructive pulmonary diseases are: a) Asthma b) COPD which include the emphysema and chronic bronchitis. – Restrictive pulmonary diseases cannot fully fill their lungs with air. The lungs are restricted from fully expanding. * Two conditions associated with restrictive pulmonary diseases are: a) Pneumonia: b) Scoliosis 7. Describe the physiology of the FEV1/FVC ratio and what is the clinical significance of an abnormal ratio? DO NOT provide the definition of the ratio (3 pt). – The significance is that it describes the effectiveness of how well an individuals lungs can turn over its total volume in 1 second. – The clinical significance of an abnormal ratio is 8. What values have been affected by simulated airway restriction? FVC 9. Are these values the ones you would expect to be altered in â€Å"real† restrictive pulmonary disease? Why or why not? (2 pt). Yes. Because we would expect to know the value of the airflow is constantly decreasing, if it was restrictive the volumes and capacities would have been affected more than what it was. 10. Based on how the subject felt during this lab exercise, what â€Å"coaching† would you give to a patient having an asthma attack in an attempt to get them to move more air. Refer to your Physiology of Breathing lecture notes. This is one of the few times I want to see a direct reference (3 pt). – Using the quick relief inhaler (like the albuterol) as prescribed using a spacer, if it is available. * Shake inhaler, exhale, release one puff, inhale, hold breath for 10 seconds, exhale and wait 1 minute. Repeat till at directed dose. * Inhale slowly and deeply when using a spacer. – If the patients have no inhaler, keep the patients calm and encourage breath slowly. Let the patients sit up and breath in slowly through the nose and out through purse slip.

Wednesday, October 9, 2019

An Overview of the Non-Violent Direct Action, Liberty or Harm Principle, and Civil Disobedience

An Overview of the Non-Violent Direct Action, Liberty or Harm Principle, and Civil Disobedience Non-Violent Direct Action (King) Non- violent direct action according to Martin Luther King is to create a tension using the four steps listed below in the community so people cannot ignore the injustice that is happening. King lists four steps to non-violent direct action: 1. Collect facts determine if injustice exists and to what extent does it exist, 2. Negotiation: give the people who are doing evil to solve the injustice without any violence, 3. Self purification: don’t stoop low enough and do things like they are doing by justifying your action as being needed for change, 4: Direct action. The importance of non- violent direct action is to break or fix the unjust law that is placed on the minority by the majority. Also another importance of this is to create a civil disobedience without violence. King believes that people should break the unjust law in public to protest the injustice, which is to break the law openly and break the law lovingly, and to accept the consequence willingly. He says that show them that you are out there to fix the unjust law and not just breaking laws, and are out there to prove that your ideas are better without the use of violence. Liberty/Harm Principle (Mill) Mills definition of Liberty or harm principle is that people should be able to do whatever they want as long as their action is not harming others. Mill’s harm principle states â€Å"The only purpose for which power can be rightfully exercised over any member of a civilized community, against his will, is to prevent harm to others† if the individual is not harming others then the government should not be able to stop him from doing what he wants (Dimock, P.376). The only time that a government or the majority has power an individual is if that individual is harming others, as long as that is not the case then the individuals knows what is good for him and should be able to do what he is beneficial to him. The importance of the harm principle or liberty is to limit the power of the government or majority over the individual. Mill believes that individuals should be autonomous and free of the governments opinion as long as their action is not harming others in the process. The purpose of the harm principle is to ensure that the government is not controlling the liberty of an individual by means of physical force by using legal penalties, or by moral coercion or the public’s opinion. Mill believes that people should be the one to decide what is good or bad for them even if the decision they are making is not the right one as long as it cause no harm to others. So the majority should not have a say on what is good for the individual because the individual knows what is best for him. Civil Disobedience (Rawls) According to Rawl civil disobedience is a public, nonviolent, conscientious yet political act contrary to law usually done with the aim of changing the law in a nearly just society. Civil disobedience is associated with conscientious refusal that is noncompliance with a more or less direct legal order. Rawl believes that civil disobedience is justified if the normal appeal to the majority have failed, and if it is believed to be that there has been made a serious violations of the first principle of justice of the second part of the second principle of justice and there can not be so many groups engaged in civil disobedience that society breaks down. Rawl address that civil disobedience is political act because it address the people who hold the power as well as by the principle of justice. The importance of civil obedience is that it is used to bring or strength just institutions and treat everyone equally and just. It is also important because it prevents just institutions from becoming unjust institutions as well as to let the majority know that the â€Å"condition of free cooperation are being violated. We are appealing to others to reconsider, to put themselves in our position, and recognize that they cannot expect us to acquiesce indefinitely in the terms they imposed upon us†. Just Punishment Punishment involves purposefully inflicting pain on a potential or actual offender for an offense like moral or legal wrongdoings. Punishment is morally and legally justified because of the pain that it inflicts on the perpetrator of a crime that is inflicted on his victim. Since punishment is justifiable, philosophers give different justification of punishment depending on what their philosophical belief is. Retributivists approach to punishment is justified by linking it to the moral wrongdoing, because retributivist believe that punishment is justified because it gives people who have committed an offense what they deserve. Retributivist’s focus on the moral duties on individual has. For a person to behave morally the individual must be following moral duties, and if not then the individual is behaving immorally. Utilitarian attempt to justify punishment by showing the good over evil that is produced. Utilitarian’s believe on the consequence of the action produced. S o if the action of doing something inflicts pain for the majority then punishment is justifiable. Both retributivist and utilitarian believe that punishment is evil so there must be a reasonable justification for it. These theories have different approach to justification. Utilitarian’s believe justification is punishment is acceptable if it maximizes the benefit for more people while decreasing pain inflicted. Retributivists believe justification of punishment is acceptable it is done out of duty and rule. Jeremy Bentham as the consequentialist utilitarian theorist believes that the moral appropriateness of an action depends on the consequence; on the other hand Kant as deontological theorist believes the moral appropriateness of an action depends on the obedience to the rule or duty no matter of the consequences. Utilitarianism is a consequentialist theory. An action is wrong because the consequence that is produced by that action harms others, â€Å"Utilitarian’s believe that the morally right thing to do is whatever will produce the best consequences for all those affected by your action† (Dimock, 529). Jeremy Bentham as a consequentialist utilitarian theorist believes an action to be just if it accomplishes to generate the most happiness and least pain for most people that are being affected by that action. Utilitarianism use consequences of an action to judge if the action is right or wrong and the pain and happiness it produces to the majority. An example of this is demonstrated on page 529 about lying and telling the truth. Utilitarian’s believe if lying is the right thing to do for the good of the others then the lying is justified, even though it is morally wrong to lie. Then utilitarian approach to punishment is based on the benefit it produces to the community. The main point of the theory of punishment is to deter people from committing a crime and produce maximum pleasure for the community. The aim of punishment for utilitarian is to stop crime from happening again, convince offenders to choose a less costly offense, convince offenders to do a little harm as possible, and prevent offenses as cheap as possible because these actions produce the most benefit to the public as a whole. In order to prevent crime from happening again the value of punishment must not be less than what is sufficient to outweigh the profit of the offense. Punishment outweighs the profit of the offense then people will be less likely to commit crimes. Unlike Bentham and his belief in utilitarianism, Kant believes that our actions are ruled only by duty and not by consequence since we are not able to control the consequence of an action. His theory is that an action is just or unjust regardless of the consequence and is only determined by the obligation to one’s duty. â€Å"Good will is good quite independently of any consequences it does or is expected to have† people do good will because that is their duty and as citizens we should do our duty (Dimock, 541). Since we are individuals with brains and we know what is right and wrong and if we violate the rule or fail to do our duty then we deserve the punishment that is given to us. While utilitarianism believe that punishment should be used to deter future crime and rehabilitate the individual, Retributions believe that punishment should be used because the offender deserves to be punished for his action. Retributions have the idea of an eye for an eye. They believe t hat the purpose of punishment is to ensure the equality of citizens, and to publicly disapprove an act. From the perspective of morality or justice Bentham’s system of utilitarianism would be acceptable in some situations while not others and the same goes for Kant’s theory as well. For example: There is a situation where two people are in a fight and one person is very angry and wants to harm the other individual and he asks you if you know where the person is. In this situations Kant’s theory would say that we should tell where the person is hiding regardless of the harm because lying is morally wrong. Bentham in the other hand would say we should not tell where the person is because we are lying for the greater good. Another example is a situation killing one person could save ten or more people. Bentham would say that we should kill that one person in order to save the majority that is the benefit of the majority is more important than of that one individual. Kant would say no we should not because morally we do not have that power. If looking at it from the pe rspective of justice then it would be for the killing of one individual even though it is morally wrong. Both Utilitarian and retributivist believe that punishment is evil and that there should be a justification for it. And each use different methods of justification for punishment. Utilitarian’s believe that punishment is justified because it prevents future crimes. Since utilitarian’s believe that the consequences of an action is important in determining or justifying punishment, then punishment should be used to produced maximum happiness to majority. Retributivist believes punishment should be justified based on the rightness or wrongness of the act.