Wednesday, October 30, 2019

Therapeutic Recreation Essay Example | Topics and Well Written Essays - 1250 words

Therapeutic Recreation - Essay Example Suffering, it is thought, is reducible through objective solutions to health problems. The author believed naively that one day, every known problem to medicine would be addressed by an objective fix—which is a belief now breaking up in all areas of medical treatment. Unfortunately, the commitment to an objective, universal set of fixes is a false medical model for how things work in reality. Instead, the author believes human consciousness to be a tool of vast complexity to remember, contemplate, process, and think, which precludes a simplistic model of medicine. In contrast to the idea of suffering as an objective phenomenon with objective causes, the author points to extreme cases of hypochondriasis, in which a person’s suffering is entirely self-caused, and those who live with extreme levels of suffering, but overcome it to live joyfully. Given this wide range of how people deal with suffering, the author concludes that suffering transcends traditional medicine. Acc ordingly, â€Å"suffering is a spiritual experience, intensely personal, and full of paradox and mystery† (O’Keefe, 2008). At the other end of this spectrum is the idea of leisure, which is taken to be the opposite of suffering. In leisure, one finds joy with one’s activities, which is also a deeply personal and subjective issue. For both leisure and suffering, the author believes that â€Å"therapeutic recreation has a wonderful gift† appealing both to the suffering and the joyful in the whole human being. It is objectionable, according to the author, that therapeutic recreation is treated by some as a distraction from the apparent seriousness of a patient’s situation. A patient’s experience in a medical ward is full of objective news—good and bad—that ignores the suffering and leisure of the individual patient. An apparent implication of therapeutic recreation’s â€Å"diversion† from objectivity is the thought t hat therapeutic recreation does not know or care about the seriousness of a patient’s situation. This, in turn, leads to an attempt by some in the field to bring therapeutic recreation on par in objectivity to the medical field that specializes in problem-solving diagnoses. At this point, one can see the author take issue with the language being used in therapeutic recreation—language that is depersonalizing people and making it more difficult to understand suffering (and joy) at a humanistic level. The author predicts that patients will demand that the language being used is more accessible and humanistic: an idea that supports the theory saying therapeutic recreation should carve out a place for itself as a humanistic practice that acknowledges the spiritualistic aspects of human life. Suffering, after all, represents a very spiritual experience, given that it is represented as such in so many world religions as redemptive and necessary for meaning. Suffering, whethe r it is embodied in homelessness, oppression, poverty, starvation, or violence, affords an opportunity for experiencing emptiness (O’Keefe, 2008). From redemption and emptiness, human beings have the chance to experience the highest form of joy, which comes from giving oneself to a saving power (which, the author notes, is not necessarily religious â€Å"but certainly spiritual†). In addition, this suffering can be communal. Following the September 11th terrorist attacks, entire groups of people felt shared emotions. Some of these shared emotions were put at ease through

Monday, October 28, 2019

Morality Play Essay Example for Free

Morality Play Essay * Popular from the early 1400s to the 1580s. * Morality plays were about the fate of a single individual’s soul. * The main character represented all men and often had a name such as Mankind or Everyman to demonstrate their allegorical function. * They include vice and temptation characters attempt to corrupt the Everyman figure. * Allegorical characters also represent virtues. The ‘Everyman’ character listens to them and takes note of warnings, often returning briefly to his ‘good’ lifestyle. * A reform/relapse pattern is repeated several times. * Through a series of blunders and moral lessons the hero is gradually educated into an understanding of the difference between right and wrong and the nature of god. * At the end, the main character settles his accounts with God and either lives or dies forgiven and Christian. He is wiser and better at the end of the play. * A chorus, such as the Messenger and Doctor characters in Everyman, is used to comment on and explain the action for the audience. Elements of Renaissance plays. * Contain soliloquies in which a highly distinct self reflects upon his own desires and actions. * Celebrate the scope of human powers while acknowledging their boundaries; there is a duality at work which praises man’s creative powers (by implication also those of the poet, or author) but concedes that man is not God and that ultimately all his powers derive from God. * They begin to refer to the new countries and things being discovered by explorers, mentioning exotic settings and transporting their audiences around the world. Renaissance ideas * The body and soul are separate and linked with different elements and humours. * Catholicism was banned in England and the Pope was considered the antichrist by some. * Renaissance scholars studied classical literature, including Roman and Greek philosophy. Discussion of what it meant to be human centred on reason, balance and dignity much more individualistic than medieval scholastic thinking. * The humanist attitude to the world was anthropocentric: instead of regarding humanity as fallen and corrupt, their idea of truth and excellence was based on human values and experience; people openly questioned religious theology and teaching. * The world was dynamic, changing and exciting. Plays explored the many contrasts between how people should behave and how they actually do, and the questions and contradictions thrown up by a changing world.

Saturday, October 26, 2019

Industrialization and Immigration Essay -- Industrial Immigrants Essay

An outburst in growth of America’s big city population, places of 100,000 people or more jumped from about 6 million to 14 million between 1880 and 1900, cities had become a world of newcomers (551). America evolved into a land of factories, corporate enterprise, and industrial worker and, the surge in immigration supplied their workers. In the latter half of the 19th century, continued industrialization and urbanization sparked an increasing demand for a larger and cheaper labor force. The country's transformation from a rural agricultural society into an urban industrial nation attracted immigrants worldwide. As free land and free labor disappeared and as capitalists dominated the economy, dramatic social, political, and economic tensions were created. Religion, labor, and race relations were questioned; populist and progressive thoughts were developed; social Darwinism and nativism movements were launched. The influx of immigrants created availability for cheap labor, which in turn led to corrupt business practices, urban political machines, and "white slavery". To curtail these "evils" present in society, progressivism was developed. The goals of progressivism were simple: to decrease poverty levels, to establish local charities, to fight for social justice, and to bring back good government practices.   Ã‚  Ã‚  Ã‚  Ã‚  Between 1870 and 1890, in just 20 years, the population increased from 40 million to 60 million. Part of this increase was due to the high birth rate, but a significant portion of the increase was due to immigration. A handful of capitalists and entrepreneurs saw profit from heavy industrialization. However, the success of their companies resided in the availability of a working class. Immigrants to the United States, willing to do anything to set a foothold in the nation, accepted cheap labor as employment.   Ã‚  Ã‚  Ã‚  Ã‚  Large corporations used this to their advantage. Profit oriented leaders did little to make suitable working conditions. With the aid of Muckrakers, journalists who exposed the underside of American life, the nation began to understand the "evils" of industrialization (599). More and more did Americans escalate their concern for reforms. The reformists promoting the ideals of Progressivism were moralists and championed the ideals of human rights. Progressivism embraced a widespread, many-sided effort after 1900 to build a better soc... ...strialists would continue as long as the industrial sector pervaded, in turn, the industry would continue to grow as long as their was a consistent supply of cheap labor, hence the influx of immigration by increasing industrial activity evoked Social Darwinism. With the startling growth of immigration, in what seemed like overnight, immigrants were met with hostility as they were the target of religious differences as well as labor unrest, the promoted sentiment was termed, nativism. As the continuation of industrialization and urbanization sparked an increasing demand for a larger and cheaper labor force; an influx in immigrants from all over Europe, migrated in pursuit of higher wages. As the industrial revolution progressed, the country evolved from a rural agricultural society into an urban industrial nation. Capitalists now dominated the economy, sparking dramatic social, political, and economic tensions for immigrants. Although, the progressivism movement assisted immigrants by alleviating work conditions, immigrants were still left to face social and economic tension as they became the new competition for low wage earners and were ostracized for religious differences.

Thursday, October 24, 2019

The Client by John Grisham     :: The Client John Grisham    

The main character of my book was Mark Sway. Mark Sway is a bad little eleven year old boy with a huge burden on his hands. Mark smokes ciggaretes, uses foul language, and picks on his little brother, Ricky. Mark grew up in a trailer, with an abusive father, a mother who is hardly around, and his little brother Ricky who annoys him plenty. Mark was a very strong character who did not take anything from anyone! The trouble Mark ran into with Jerome Clifford only made him stronger. All he cared about was protecting his little brother, and his mother. Jerome Clifford was a heavy set man, who was trying to commit suicide, because of a dangerous secret he knew. Mark and his younger brother Ricky, stumbled upon Jerome one day, as he was trying to commit suicide. Jerome revealed the dangerous secret to Mark, which made Mark a major target of the mafia. Mark was pushed around and overlooked, but as soon as people found out Mark knew this dangerous secret, they all wanted a piece of him. Mark knew he was in trouble so he did t! he only thing he knew possible, which was get a lawyer. The lawyers' name was Reggie Love, a woman. Mark despised Reggie at first, knowing that a woman was not capable of fullfilling his needs, like a man could. Then something happened where Reggie grew on him, he got more used too her, and he found himself telling her personal things, spending tons of time with her, and starting to care for her. She was like the mother figure he never had. Mark and Reggie were in the tangle of mess together. Mark realized through the whole ordeal he could not do everything by himself, he also realized how vulnerable he was by being independent. Mark and Reggie became bestest friends, right up to the point where he would have to leave into the witness protection program. I liked the way Mark was so rowdy, and uncontrollable. He was so young, yet so smart and mature. He knew how to protect himself, and he knew the importance of his family members and friends, and how important it was too protect them. No matter what the mafia did to Mark, he made sure his family was safe first, than he took care of himself. Â  I could not really find anything I did not like about Mark, I did not like at the end how he had to relocate into the witness protection program.

Wednesday, October 23, 2019

One share one vote Essay

In 30% of Europe’s major companies, inadequate capitalist equality has strengthened middle power-holding groups and limited alternative shareholders’ kingdom of action. That is the close of a study by research firm Deminor, equipped on behalf of the Association of British Insurers (ABI). The study condemn the reality that 35% of all companies in the choose FTSE Eurofirst 300 index have some kind of method in position for defensive themselves next to the standard of ‘one share, one vote. Business reformers who want to put off corporate scandals have not embark upon this dilemma, in spite of the fact that parity is the most basic principle in politics. In Europe, this breakdown is a particularly solemn problem since the majority governments have opted to take out the proposals of the European Union, by means of the method of ‘obey or give details. ’ This classification has allowed them to keep away from writing set of laws that wrap all the ins-and-outs of good quality governance. As a substitute, companies that fall short to obey with a corporate principle have to clarify why they are doing so, and depiction themselves to likely penalty by their shareholders. If the ballot vote rights of minorities are limited, a comparatively useless reprimand is functional. â€Å"The formula of ‘obey or explain’ is merely feasible if all shareholders can work out their rights,† warns Mary Francis, general manager of the ABI, in the opening to the study. In her view, if authority holders in a high proportion of companies carry on to accumulate more power than they deserve, they could countenance lawful penalties from Brussels. Though, Vicente Salas, professor of economics and business organization at the University of Zaragoza, doesn’t consider it will be likely to inflict such penalties. Whilst empirical data is missing, Salas argues that this kind of behavior â€Å"will not be regulated until we arrive at the point where the standard (‘one share, one vote’) is severely imposed on every openly traded company in each country of the European Union. † (Guido 16-18) When voting rights are concerted in the groups that sprint the company, it distorts the actuality of the soak. Along with the 300 major companies in Europe, 35% of every voting right is given to those who possess 22% of the total shareholdings. There are more than a few ways this is gifted, and it depends on the country. Though, the preferred means to attain this attentiveness is to generate shares that have manifold voting rights. That occurs in 20% of Europe’s most important companies. Fairly a small number of companies (10% of the total) choose to border voting rights, and 5% of all companies favor to impose confines on share ownership. With that kind of loom, shareholders need to own a least amount number of shares [previous to they can vote. ] In contrast, â€Å"Golden Shares† [a golden share gives its shareholder refusal authority over changes to the company’s charter] have been trailing fame because they have frequently been fated by Brussels. In spite of the resistance of European regulators, a few companies uphold this method. Examples comprise BAE Systems and Rolls Royce, in which the British decision-making has a Golden Share. Similarly, the Portuguese chief executive has a Golden Share in Portugal Telecom. In Spain, the government does not have its own â€Å"Golden Shares. † though; it has maintained the authority to veto definite activities in Endesa, Repsol-YPF, and Telefonica, in spite of the reality that the European Court of Justice in Luxembourg affirmed such vetoes against the law in May 2003. Study demonstrates that there is still an extended road in front before there is a self-governing system for all shareholders in European markets, director of investments at ABI. In his view, if companies make growth beside this road, they will shun the jeopardy of being subjected to stricter set of laws, such as those in result in the U. S. The solution to achieving this objective is to admiration the rights of shareholders, and build up just one market for [all] European shares,. Jean-Nicolas Caprase, a partner of Deminor, is not sure that companies will respond fast. There are a lot of exceptions to the standard of ‘one share, one vote,’ and the circumstances are altering too slowly. That marginal shareholders’ aptitude to take act is the principal bludgeon for avoiding the mistreatment of authority by groups that are in control. â€Å"The basic thing is to get better the performance of shareholder groups since that is one of the lone places where corporate directors are feeble. Bebchuk and Hart 11) Justifications and Exceptions Salas defends the idea of impending this from the point of view of self-regulation. Though, he recommends â€Å"prescribing standards that, as maintaining the liberty of companies, as well defend the interests of minority shareholders. When companies issue shares, they should be compelled to notify shareholders, in a completely translucent way, about the relationship between control over corporate incomes (where the parity principle applies) and have power over decision-making (where there may be a short of fulfillment because voting is biased. This association derives from the constitutional norms that each company establishes when it issues its shares. Formerly a company has gone public; any changes in pertinent statutes have to be approved by the general meeting of shareholders. Just then, if a transform is approved by preponderance, the company should offer to purchase out its dissenter shareholders, contribution them a fair price. † Companies protect their rights to carry on intent additional voting rights in just a few hands. They say this practice gives stability to their company’s shares, and prevents conjecture [in their shares]. Though, if we should inquire ourselves if insiders are more truthfully owners than alternative shareholders are, from a business point of view. After all, in many cases, minority shareholders invest today and put up for sale tomorrow. We should even ask ourselves if they are owners in terms of their obligation. (Edwards 7) Gratitude to a 1959 law, the German state of Lower Saxony controls 20% of the voting rights in Volkswagen, in spite of the truth it owns just 14% of the automaker’s shares. To promise shareholder constancy in the company, 80% of all votes were necessitate for adopting significant decisions. Additionally, the law set a 20% boundary on the voting rights of any single shareholder. Effectively, this guaranteed that no shareholder has a larger voice than lesser Saxony. Although this rule might have made sense 47 years previously, it has been fated by Brussels, which suppose that the state is using the innovative justification to assurance its control over the company. Companies offer another good reason for deploying mechanisms that set confines on corporate democracy. They say these requirements make investors more faithful to the company. For instance, in France, where 69% of all companies have some type of restraint, quite a few companies offer double voting rights to those investors who have held their shares for more than two years. The objective is to formulate these investors more faithful. Nevertheless, the Deminor study is decisive of this practice, at variance that it is being used to strengthen the position of groups that hold authority. Still if they want to alter, there are almost certainly some factions surrounded by the companies who fall short to fulfill with the principle, and protect the status quo, â€Å"One great example of disobedience with this principle is the survival of shares that have no voting rights. No one questions this put into practice, and no one qualm they can survive. † Shares with no voting rights are common between companies that are family owned; where the founders carry on to manage the majority of the shares, or a large portion. In such a case, the main goal of issuing shares is to gain right of entry to capital, with no altering managerial power of the company. Though, there are a number of economic reimbursements from owning shares that have no voting rights, together with special access to extra payments. (Berglof and M. Burkart, 172) Countries economic analysis All over Europe scholars have been discussing and researching on pros and cons of economic benefits, many have explained the positive side of it. In the economic side the public and private values are very important of any company. We can take an explain of it, as if a company has share ratio of 50 half of that relates to private value and half goes to public value, but public value becomes 40 if there is less competent team deficient. When Even though the in general landscape is fairly negative, there are important differences from country to country. Belgium provides the best instance of corporate democracy. No company in that country compel restrictions on minority voting rights, in spite of the fact that Belgian law recognizes some customs that such a objective could be achieved. Neighboring Holland is one of Europe’s most translucent countries, and a title holder of good governance. Though, Holland is the country that imposes the most limits on minority shareholders; 86% of every Dutch company has a number of systems for preventing minorities from imposing their views. They do this, very frequently, by issuing shares with manifold voting rights. Sweden, wherever 75% of all companies are â€Å"equipped† next to minority shareholders, is between the slightest democratic countries when it comes to corporate governance. In adding up, every Swedish company that sets restrictions on voting rights also has shares that have manifold voting rights. Germany is an individual case. German companies have two councils. One is composed of executives of the company. In the next council, partially of the members represent the workers. This set-up explains, in part, why no German company apart from Volkswagen sets limitations on voting rights. In most cases, this is because employees are also shareholders in the company. The United Kingdom, measured the example of good governance in Europe, is also one of the countries with the majority corporate democracy. This is true in spite of the information that 12% of all companies have some sort of restraint, largely from side to side limitations on ownership. We consider that if you make a market based on business governance, as caring the interests of minority shareholders, it is a superior thing for each entity market; for the European financial system, and for the millions of entity savers whose money we use yet, wouldn’t it be promising to validate limitations on voting rights beneath a few circumstances? (Gilson 29) Pros and cons The primary suppositions in the law and economics literature concerning shareholder voting and the one-share/one-vote rule are faulty in many ways. The typical outlook is that share possession is essential and enough to make voting rights and those rights should be straight relative to share possession. We display that this supposition is groundless, both for shares that are economically burdened (supposed by investor who are not pure left over applicant; e. g. , a investor who owns one share and is as well tiny one or more shares) in addition to shares that are lawfully laden (alleged or connected with more than one investor; e. . , shares that are loaned to a little, who put up for sale that share to a new buyer). The one-share/one-vote rule is not merely economically sub-optimal, but grades in considerable harmful cost. Quorum and dogmatic needs are distorted; mergers and acquisitions are also effortlessly accepted; securities class performance are undervalued and at the same time under- and over-recompense; insolvency distributions are over- and under-broad; and fixed-ratio stock offers are favoured over economically greater alternatives. These consequences all get from a groundless dependence ahead the one-share/one-vote standard and the faith that yet economically or lawfully laden shares are allowed to vote. On the other side the public value side has been flawed by the system in its depth, which has already been mentioned above. Conclusion Since the enactment of the federal securities laws, the number of public investors who directly own equity securities in this country has grown to over 47,000,000, and the additional number of individuals who own stock indirectly through pension plans, life insurance policies, and other accounts exceeds 133,000, 000. These public investors have relied on a congressional policy that links fair corporate suffrage to the trading markets for equity securities. An increasing number of publicly-held corporations have determined to break this link to foreclose takeover threats. Differing sets of listing standards have permitted companies to engage in regulatory arbitrage, moving from one exchange to another in a search for the least regulatory environment. The resulting competitive pressures felt by the exchanges and the NASD have caused a deregulatory crisis over stockholder voting rights, a crisis that ultimately may extend to other qualitative standards imposed on listed companies) Although the SEC believes it has the authority to act, EU has provided no clear guidelines for the implementation of its fair corporate suffrage policy. The resulting lack of certainty could be harmful to corporate enterprises, the investing public, and the markets EU has sought to protect. Substantial damage already has occurred, but that harm is inconsequential when future prospects are considered. Presently, only 200 of the 6500 publicly- held corporations have undertaken to break the link between voting and trading. One exchange official has predicted that â€Å"the floodgates will open. † Another commentator has warned that â€Å"eventually all companies will be controlled by some small, inside group; public stockholders will not have any role or significant voting rights† if the one share, one vote rule is taken away. In the words of a former SEC Commissioner, we should â€Å"question the legitimacy of vesting so much of our nation’s wealth in the hands of what would be self-perpetuating managements. † (Kraakman 95) The idea of a federal corporation law has been suggested since the beginning of the Republic. James Madison recommended the idea during the Constitutional Convention. ’ Presidents Theodore Roosevelt and William Howard Taft promoted the idea in the early part of this century as a way to combat monopolistic practices. In the 1970s, Ralph Nader and others urged federal chartering as a means to effect social reforms)

Tuesday, October 22, 2019

An Introduction and Guide to Real Business Cycle Theory

An Introduction and Guide to Real Business Cycle Theory Real  business cycle  theory (RBC theory) is a class of macroeconomic models and theories that were first explored by American economist John Muth in 1961. The theory has since been more closely associated with another American economist, Robert Lucas, Jr., who has been characterized as â€Å"the most influential macroeconomist in the last quarter of the twentieth century.†Ã‚  Ã‚   Intro to Economic Business Cycles Before understanding real business cycle theory, one must understand the basic concept of business cycles. A business cycle is the periodic up and down movements in the economy, which are measured by fluctuations in real GDP and other macroeconomic variables. There are sequential phases of a business cycle that demonstrate rapid growth (known as expansions or booms) followed by periods of stagnation or decline (known as contractions or declines). Expansion (or Recovery when following a trough): categorized by an increase in economic activityPeak: The upper turning point of the business cycle when expansion turns to contractionContraction: categorized by a decrease in economic activityTrough: The lower turning point of the business cycle when contraction leads to recovery and/or expansion Real business cycle theory makes strong assumptions about the drivers of these business cycle phases. Primary Assumption of Real Business Cycle Theory The primary concept behind real business cycle theory is that one must study business cycles with the fundamental assumption that they are driven entirely by technology shocks rather than by monetary shocks or changes in expectations. That is to say that RBC theory largely accounts for business cycle fluctuations with real (rather than nominal) shocks, which are defined as unexpected or unpredictable events that affect the economy. Technology shocks, in particular, are considered a result of some unanticipated technological development that impacts productivity. Shocks in government purchases are another kind of shock that can appear in a pure real business cycle (RBC Theory) model. Real Business Cycle Theory and Shocks In addition to attributing all business cycle phases to technological shocks, real business cycle theory considers business cycle fluctuations an efficient response to those exogenous changes or developments in the real economic environment. Therefore, business cycles are â€Å"real† according to RBC theory in that they do not represent the failure of markets to clear or show an equal supply to demand ratio, but instead, reflect the most efficient economic operation given the structure of that economy. As a result, RBC theory rejects Keynesian economics, or the view that in the short run economic output is primarily influenced by aggregate demand, and monetarism, the school of thought that emphasizes the role of government in controlling the amount of money in circulation. Despite their rejection of RBC theory, both of these schools of economic thought currently represent the foundation of mainstream macroeconomic policy.

Monday, October 21, 2019

CORE DEMOCRATIC VALUES essays

CORE DEMOCRATIC VALUES essays Core democratic values are the fundamental beliefs and constitutional principles of American society, which unite all Americans. These values are expressed in the Declaration of Independence, the United States Constitution and other significant documents, speeches, and writings of the nation. These values do not always co-exist happily. Below is definition of some core democratic values and the reasons why they dont always co- exist happily: The government and citizens should not lie; the search for truth becomes an important aim of democracy. Democratic constitutional government is the only form of government in which every citizen has the obligation not only to tell the truth in personal matters but also to play a part in determining what the truth is in political affairs. Truth-telling sometimes conflicts with personal privacy, national security, the need for secrecy in war and with the freedoms of speech and the press itself. But the important principle in a democracy is that truth-telling serves good while lying does not. Citizens who do not insist upon the value of truth-telling of those who represent them and who do not try to distinguish the significant truth from misinformation told in news conferences, political campaigns, or other public statements put their freedom at risk. And a government that lies to its citizens as a matter of policy cannot expect to serve justice and equality, maintain its legal power, or even command the loyalty of its citizens. All people should be treated fairly in getting advantages and disadvantages of our country. No group or person should be favored. In a just democratic society, all people are entitled to participate equally in the necessary political liberties and to a fair share of the distribution of the social and economic benefits and burdens. Justice should not be seen as something one alone is permitted to, but as something to which all people are entitled. Distributive j...

Sunday, October 20, 2019

Butterflies essays

Butterflies essays The Danaus Plexippus, belonging to the family Danaidae, more commonly known as the Monarch Butterfly, is one of Nature's most beautiful and well-recognized insects. This elaborate creature is classified, according to its (1) large wingspan (approximately 10 centimeters across at times) and proportionally smaller body, (2) shingle-like scale covering on these wings, (3) a pair of antennae on its head, as well as (4) having mouth parts which resemble drinking straws; in the 4th largest order of insects (along with Moths) known as Lepidoptera (Greek lepis, "scale"; ptera, "wing"). The Monarch Butterfly is an insect, which, (like most other insects) has a hard outer skeletal structure known as an exoskeleton and a body divided into three segments: the head, thorax and abdomen. The Monarch (like all other butterflies) has two knobs or clubs at the tips of its two antennae, which protrude from its head, as well as drinking-straw-like mouthparts. These physical features, as well as the blazing orange-reddish tones, highlighting the wings and emphasizing the sporadic white spots on the black body of the butterfly, are the main features depicting the Monarch Butterfly. The Butterfly in general is found almost everywhere on the glove except the Antarctic and Oceanic regions. The Monarch being one of these creatures is found primarily in North America throughout diverse biomes such as forests, grasslands, deserts, and alpine highlands. Monarchs' habitats vary from flowery meadows and fields, along stream banks, roadsides, edges of woods, and in clearings, glades, and nature reserves of all sorts. The Monarch as described, prefers open, sunny settings, and is often found on prairies, and in deserts following spells of rain. Monarchs also generally prefer undisruptive habitats, places where humans don't reside, or in populated areas where gardeners have planted flowers, herbs, and shrubs that are attractive to the Monarch. Th ...

Saturday, October 19, 2019

Rhino Versus Grizzly Case Study Example | Topics and Well Written Essays - 500 words

Rhino Versus Grizzly - Case Study Example The Grizzly seems eminently more useful for tackling difficult terrain and for crossing steeper hills. ATVRiderOnline.com (2008) gives a detailed review of the Grizzly in which it was put through very difficult terrain yet it floated over downhill areas, handled steep climbs with ease and had a light steering which was very easy to use. With glowing praise for the machine, the review concluded that â€Å"A recurring theme among the testers was how light and neutral it felt in the really hairy stuff, a quad that, in most cases, you could ride like an extension of yourself (ATVRiderOnline.com, 2008, Pg. 1). The ease of riding this machine over almost unsurpassable terrain makes it a winner when compared to the Rhino. However, the Rhino scores better when it comes to safety since it has a roll cage which many other ATVs such as the grizzly lack (Chicas, 2003). DuneGuide.com, (2007) explains why such cages may not be necessary while traversing dunes but the safety advantages gained by having this cage are certainly appreciated. The reviewers also noted the presence of cup holders and things such as passenger grab handles which can help create a more comfortable riding experience for the passenger as well as the driver. This makes the Rhino a better bet for dealing with flat surfaces and driving over sand dunes but it lacks the power to carry a full load of two passengers and their gear over steep gradients or tricky terrain. While the Rhino appears to be easier to drive and to use since it is comparable more to a mini SUV than an all-out ATV such as the Grizzly, the Grizzly is a more capable ATV since with similar engine sizes, it carried a far lighter load which can allow the engine to go further as compared to the Rhino. Essentially, it is quite clear that both of the vehicles are quite capable in their own right.

Friday, October 18, 2019

SWOT Analysis and Table Essay Example | Topics and Well Written Essays - 1500 words

SWOT Analysis and Table - Essay Example Strengths in this market environment is an internal organizational quality that enables the business to survive and compete against other similar stores, e.g. good positive cash flow. A weakness is also an internal organizational problem that affects it negatively while giving an opportunity to rivals such as accumulating bad debt. An opportunity comes basically from the external environment such as a rival’s inability to meet demand. Finally a threat is also a basically external matter, e.g. a rival’s sales promotion campaigns. SWOT analysis enables the organization to plan and execute its programmes of action with a degree of certainty about the external environmental factors that influence its own existence. A baby store would necessarily be faced with a number of external economic influences such as the government policies on taxation, interest rates, inflation, money supply, balance of payments, Gross Domestic Product, National Income, foreign governments’ protectionist policies and so on. Imported baby-care products would be more expensive if the government imposes a higher import tariff on them. The government might impose higher corporation taxes in order to control inflation. This would affect the business in a number of ways. For instance a baby store which depends much more on imported products would find that higher tariffs to be a threat to its survival, especially in the long run. It might find it difficult to reduce prices to match its rivals’ prices. Rivals might be selling domestic products that are not subject to taxes except some GST or BTT. This gives them an advantage over rivals that sell imported products. Higher sales taxes imposed on baby care products by the government in order to control inflation also could affect them. Baby stores are affected by such taxes because now people buy less (McIntyre-Mills, 2004, p.373). Next

Chimpanzee and the close relations to humans Research Paper

Chimpanzee and the close relations to humans - Research Paper Example Besides the genetic coding, which explains how we are similar genetically, there are also other factors, which could indicate a direct relation. The first is the way in which chimpanzees live socially with one another. They often live in cluster societies being lead by an alpha male as they hunt for food. They also form highly complex social relationships, which then takes the form of courtship and mating behavior. Like in human cultures, the alpha male gains support through the other members of the community (Power 37-51). Chimpanzees also have intelligences, which are comparable to that of humans and are highly intelligent in the animal kingdom. They have a social psychology in that they understand the organized roles in society. They are also capable of analyzing problems and solving them. One of these ways, which correlates extremely strong to human behavior, is through the creation of tools. Chimpanzees are one of the very few organisms that can create tools besides humans. Chim panzees also have an extremely complex form of language. This includes both nonverbal and verbal forms of communication as well as hand gestures and movements. So far, there have been over 500 different signs, which have been identified by scientists (Cohen 116-18). Besides the social components, which make chimpanzees similar to humans, there are genetic and biological components, which connect both species. There is less than a 2% difference in the genetic coding and variation of the gene sequence. This is due to minor changes in the genetic code. In addition, certain genes were removed while others were kept. It is hypothesized that these small mutations in the genetic code are what allowed humans to gain their adaptive features and since then has explained why humanity has prospered (Reeve, and Black 53-6). It is, however, pertinent to point out the differences that separate homo from pan. The first is the primitive method of locomotion. While humans now have the capability to w alk upright, chimpanzees still walk on all fours. Specifically, they walk on their knuckles, which has limited the development of the full range of motor functions in the hand. Even though they have a highly evolved social structure, it still operates on the premises of instinct and primal power, which is exerted through the use of force. Some of these are the result of biological evolution and some of the traits are the result of years of learning and knowledge accumulation as well as the passing down of traditions and skills. There is definitely a link between both chimpanzees and humans. The exact link and common ancestry has not been identified yet. As explored, there are many social and learning characteristics, such as the organization of communities, which are similar to both species. The undeniable facts of science show that genetically, we share similar coding which can only mean the result of a divergent evolutionary process, which occurred. There has also been a great dea l of research, which has been done in order to show the relationship between how chimpanzees and humans can interact with each other. There has also been research done into understanding the communication skills that chimpanzees possess. In order to find the definite link between the ancestry of humans and chimpanzees, not only must the genetic code be identified, but also do the fossils which would show the link. Works Cited Cohen, Jon. Almost Chimpanzee: Searching for What Makes Us Human,

Thursday, October 17, 2019

The Impact of the Peace Pact between Palestine and Israel Research Paper

The Impact of the Peace Pact between Palestine and Israel - Research Paper Example Moreover, Hamas in the eyes of Israel is the perpetrator of violence on Israelites (Gilbert 84). Â  3. Israelites feel that Palestinians should refrain from terrorism because it adversely affects the chances of a successful peace pact between Israel and Palestine. In essence, it makes Israelites mistrust Palestinians regarding their willingness to strike a peace pact and implement it. Â  1. The Palestinians believe that their course against Israel is an act of claiming what is rightfully Palestinian’s. In other words, the destruction of Israel is part of reclaiming their land which was grabbed by Israelites. Â  A. The peace agreement between Israel and Palestine will improve the security of both sides of the conflict. In relation to this, there are various benefits that are dependent on the peace pact. For instance, the peace pact could lead to a decrease in military inventions from both sides. However, for a decrease in a military intervention to become a reality, there are various conditions inclusive in the peace pact process that ought to be.

Retail store selling hearing aide opening for the first time Essay

Retail store selling hearing aide opening for the first time - Essay Example In order to ensure that customers have an ample interaction with the website, I will ensure that it has easily navigated layouts. The strategy is proposed because websites are easily accessible to people with aiding devices and places no cost on the audience. The medium also allows for easy feedback from the audience and this allows for product renovation and diversification in order to meet customers’ needs. The strategy targets the universal market and extends beyond New York City. Some of the major market segments that the strategy targets are schools for students with impaired hearing that might refer the students to the business. People with hearing impairment, together with their friends and relatives, especially in the digital generation, are another targeted audience because of their ability to respond to the communication and establish our market. The website will contain all the necessary information that customers may need ranging from the type of hearing aids available, types to be added in future, to forms of sale applicable. The website will provide information on how to use products offered by the business as well as feedbacks from customers who have used these products (Andreas, 2011). Another strategy that I will use to promote my business is printing business cards and distributing them to potential customers. This involves presenting information on cards that are then distributed to a target audience. The cards will be simple and well designed to ensure that they appeal to customers. Additionally, information contained in them will be short and precise .In order to ensure that the cards reach many customers, stocking them in several strategic places will be important. Among the strategic places in which I will place them are entrance to the business office, entrance to schools that train people with hearing disability, and strategic social places such as in restaurants and

Wednesday, October 16, 2019

The Impact of the Peace Pact between Palestine and Israel Research Paper

The Impact of the Peace Pact between Palestine and Israel - Research Paper Example Moreover, Hamas in the eyes of Israel is the perpetrator of violence on Israelites (Gilbert 84). Â  3. Israelites feel that Palestinians should refrain from terrorism because it adversely affects the chances of a successful peace pact between Israel and Palestine. In essence, it makes Israelites mistrust Palestinians regarding their willingness to strike a peace pact and implement it. Â  1. The Palestinians believe that their course against Israel is an act of claiming what is rightfully Palestinian’s. In other words, the destruction of Israel is part of reclaiming their land which was grabbed by Israelites. Â  A. The peace agreement between Israel and Palestine will improve the security of both sides of the conflict. In relation to this, there are various benefits that are dependent on the peace pact. For instance, the peace pact could lead to a decrease in military inventions from both sides. However, for a decrease in a military intervention to become a reality, there are various conditions inclusive in the peace pact process that ought to be.

Tuesday, October 15, 2019

IT Project problems Essay Example | Topics and Well Written Essays - 500 words

IT Project problems - Essay Example The project was a good example of organizational problems leading to failures in IT projects. The key stakeholders were Deloitte and the state. Deloitte was to blame for the mishap due imminent organizational issues as will be discussed. There was lack of clear communication of what would be termed as the deliverable. In such a case, it was possible to deem the project as a success without much questioning. Krigman (2013) states that the Deloitte group simply understated the problems as â€Å"issues and challenges† and that the systems were in a working condition in other states. This was a technical lapse owing to the fact that the project at hand was actually cancelled, after the long time and expenses. Success in an IT project depends on a number of factors, which lie under the realm of the management. Amongst these are time, budget, value, quality, professionalism and satisfaction to the stakeholders. It is upon the project manager to ensure that these factors are met in order to deem a certain project as successful. In view of the case project, none of this was meant, meaning that the project was a critical failure. As part of the ten factor model of project implementation, management support is a crucial agent in distinguishing success from failure in projects. Project management is deemed to depend on the management for authority and direction and also as a channel for implementation of the goals and plans of the organization. The manner in which the management supports a project determines the degree to which the clients will accept e same project. Thus, top management support is a combination of the resources allocated for the project, as well as the support available when a crisis occurs. In order to successfully implement projects, the management should be strict in standard guidelines of the project lifecycle. After the concept is adopted, proper planning should ensure that all necessary requirements are put in place.

Good teacher Essay Example for Free

Good teacher Essay If I were to describe one of my teachers that I have had throughout these years, the one who I considered a good teacher is my present English teacher. The reasons why I would like to characterize my English teacher are various. Firstly, she’s well to take responsibility. She came to teach punctually. Especially, she always keeps in touch with us to try hard to study by her homework for every day. She speaks English fluently, and her voice is so loud that can make students in the class easy to listen. Actually, when we tired, she always tells jokes that always keep us smiling. Secondly, she’s been teaching for long time, so she’s got many experiences. I like the way she pronounce clearly. Moreover, I could say she is a good explainer but she also gives her best in order to help students to improve their knowledge in English. She likes to correct us each time we make mistakes both in pronunciation and grammar. Thirdly, she’s a work hard teacher. She always do a research more new documents for  the students to easy to get understand. And she also got some music lyrics, puzzle, or any other to relax at the weekend or after exam. Sometimes, she looks strong-mined to make us to try hard to study but I know that inside shes very kind, polite and honest. In conclusion, I can say that, her lectures are well organized, interesting and her methods of teaching us demonstrate the desirable teaching method for our use. I thought that I’m very lucky that I’ve met a very good teacher like her.

Monday, October 14, 2019

Industrial Revolution and Social Security

Industrial Revolution and Social Security Strengthen Social Security Up until the Industrial Revolution, economic security for most people was maintained by working until old age and then being taken care of by ones’ children and family members. This type of economic uncertainty drastically changed when President Roosevelt pushed for and signed into law the Social Security Act of 1935. During the ceremony for Social Security Act’s signing, President Roosevelt stated that it is â€Å"a law that will take care of human needs and at the same time provide for the United States an economic structure of vastly greater soundness† (Roosevelt, 1935). Roosevelt also states in his speech that while the program is not a safeguard against all economic problems in our future, we do need it to protect our citizens who are or would be unable to work. Since President Roosevelt passed the Social Security Act, there has been much debate in reforming Social Security with many seeking privatization of the program. This paper aims to show why we should not privatize Social Security but, rather, search for alternative means to strengthen it. We need to strengthen Social Security because it has and still protects future benefits against inflation, has proven to reduce poverty for our elderly, and is efficiently and soundly administered. Social Security appears quite similar to an employer-sponsored pension plan on the surface, but they are inherently different. The program calls for individuals to put part of their income aside in the form of a payroll tax while working in which they would receive monthly payments upon retirement. Balancing equity and adequacy is the primary benefit of Social Security. Equity allows people to receive more of what they put into Social Security. Hence, people with higher incomes would also put more into the program and also receive more benefits upon retirement. The Social Security plan, under the system of adequacy, dismisses periods of low income such as when a worker becomes disabled or unemployed. Instead, it uses an increased ratio of income for the poor than the wealthy. In addition, Social Security benefits are indexed against uncertainties regarding length of life and inflation and has proven to be America’s most beneficial program against poverty (Goda, 2011, pg.1). If we privatize Social Security, we would surely erode the basis of ensuring a sufficient base income for people whove struggled their whole lives. Low-income workers would not be able to make enough money to invest into their accounts in order to maintain their standard living for when they choose to retire (Heiger, 1997). Also at a larger risk to poverty during their old age are the people in the middle-class. They would not get equal returns because of the inherent nature of the financial markets, and those who receive negative returns would not be able to survive from other sources (Heiger, 1997). The financial markets fluctuate up and down, and some people would retire with meager returns during long economic downturns such as the Great Recession of 2009. For those who live to be very old, some well into their 80’s and 90’s, they would just outlive their investments. For example, if they dumped their savings into investment vehicles such as annuities during their r etirement, those investments would be greatly reduced by inflation the longer they live. Before Social Security, the highest rates of poverty were in the elderly age group. People dont realize these days that the program had reduced the poverty of elderly Americans from 35 percent to about 10 percent (National, 2012). This percentage falls under the 12 percent value of the American population (Poverty, 2013). Social Security provides for the potentially destitute millions of American elderly, who are no longer able to work and in retirement, the financial stability they need to sustain their lives. Since the elderly do not have to depend on their working children, Social Security also provides an indirect benefit to their off springs. There are two other benefits in which Social Security provides to people under age 65. The first benefit is income during long-term disability and income for a worker’s dependents who die before their retirement (ProCon.org, 2014). This type of benefit also doesn’t carry the stigma of similar programs such as welfare. For middle-class workers that have employer-sponsored retirement programs, Social Security was never meant be a singular source of income during retirement. Social Security’s value is clear when looking at it as a means of income of a retirement investment group. The benefits from Social Security maintain their worth since they are adjusted for the annual cost-of-living while other types of investment assets get eaten away and used up as a person becomes older into retirement. In addition, workers will come to acquire greater individual risks as companies continue to move away from pensions towards 401(k) plans and other types of programs with unreliable payouts (Cammack, 2012). Against that backdrop, the Social Security program carries much more protection against the sway of the economic markets. To denationalize Social Security would be to allow Americans the choice to withhold a small percentage of their pay as an investing into individual accounts, keyword being choice. So what is wrong with giving workers the choice to opt-in or not? This type of reform brings with it steep reductions for the younger workers who elect to stay in the program (Heiger, 1997). Wealthy individuals and workers who have higher incomes would not want to participate in the program but rather â€Å"choose the market-based system† (Heiger, 1997). While it may appear to be a choice, privatizing Social Security would make it such a bad investment for high-income people. They would just all bail out, so they don’t have to invest their earnings to balance the pool for the low-income workers’ retirement pensions (Heiger, 1997). In essence, without universal participation, the financially less-well off would be left to fend for themselves† (Heiger, 1997). There would be a gaping hole of future benefits for low income funders who choose to remain in the program, and this would completely defeat the purpose of the program and eventually dissolve it. The participation of individuals from all income brackets is the reason Social Security works and is sustainable. The program will be similar to welfare if the wealthy and high-income individuals choose to not participate. The participation of individuals from all age groups is another reason Social Security (Rose, 1990). For years now, the retirees of the program were paid by the taxes from workers which is the entire the basis of Social Security. Those workers would, in turn, be paid by the taxes in the next generation of workers for their Social Security retirement benefits. However, in 1983, an increase in age limit for benefits eligibility in addition to payroll taxes being increased were amended to the Social Security Act (Social, 2014). The tax increase brought in surplus money, more than the amount needed to maintain the Social Security benefits at the time. The purpose of the increase â€Å"was to have the Boomers prepay part of their old age benefits† (Johnston, 2012 , pp. 10). The extra money generated from the increased taxes were also used to â€Å"pay off federal debt† and purchase Treasury bonds (Johnston, 2012, pp 10). Essential, the government was lending itself money. This act generated controversy among proponents of Social Security privatization yet it is the same as workers using the money to buy the bonds themselves. The government is required to pay back what it owes and in this case, â€Å"Social Security is virtually risk-free because it is backed by the full faith and credit of the government† (Heiger, 1997). In the end, this principally articulates that the program’s future recipients need the taxes of the workers who come after them to keep the Social Security benefits ongoing. Since its inception, many people such as former Kansas Governor Alf Landon had outspoken views against Social Security (Landon, 1936). Landon and critics of Social Security have argued that the program is a fraud and that the overhead costs are too high to sustain the program. However, the program itself has only seen reductions in administrative expenses year after year and as of 2013 accounted for only 0.7% of the fund’s total expenditures (Kunkel, 2013). This percentage is still below the costs of the average 401(k) fees of 0.72% per year, with highs close to 2% per year, charged by plan administrators (Deloitte, 2009). With such a low overhead cost over private plan administration, the government clearly shows how efficiently it administers the Social Security program. Social Security has definitely provided Americans protection against destitution with adequate supplemental income and allowed people who have worked their entire lives to maintain their standard of living during retirement. While Social Security has undergone many reforms and continues to need improvement, privatization is not the key. In its proven history of increasing efficient, decreasing the poverty of our elderly, and hedging benefits against inflation, Social Security must continue to be strengthened with centralized government policies and administration. To privatize Social Security, to fundamentally take it away from the whole of our nation’s people, would be unconstitutional. Works Cited Cammack, R. (2012, January 5). From defined benefit to defined contribution: a systematic approach to transitioning retirement plans. Retrieved October 1, 2014, from http://www.shrm.org/hrdisciplines/benefits/articles/pages/transitioningplans.aspx Deloitte. (2009). Inside the Structure of Defined Contribution / 401(k) Plan Fees: A Study Assessing the Mechanics of What Drives the All-In Fee. Defined Contribution/401(k) Fee Study. Retrieved October 1, 2014, from http://www.ici.org/pdf/rpt_09_dc_401k_fee_study.pdf Goda, G. S., Shoven, J. B., Slavov, S. N. (2011). HOW WELL ARE SOCIAL SECURITY RECIPIENTS PROTECTED FROM INFLATION?National Tax Journal,64(2), 429-449. Retrieved October 1, 2014 from http://ezproxy.snhu.edu/login?url=http://search.proquest.com/docview/871907293?accountid=3783 Heiger, M., Shipman, W. (1997, July 22). Common objections to a market-based social security system: A response. Retrieved October 1, 2014, from http://www.cato.org/pubs/ssps/ssp10.html Johnston, D. C. (2012, May 12). Social Security is not going broke. Retrieved October 1, 2014, from http://blogs.reuters.com/david-cay-johnston/2012/05/04/social-security-is-not-going-broke/ Works Cited Kennedy, D. M. (2010). A NEW DEAL COMPROMISED.American Heritage,60(2), 26-28. Kunkel, S. (2013, January 28). Social Security Administrative Expenses. Retrieved October 1, 2014, from http://www.ssa.gov/oact/STATS/admin.html Landon, A. M. (1936). I Will Not Promise the Moon: ECONOMIC SECURITY, ADMINISTRATION BILL, REPUBLICAN PROPOSAL.Vital Speeches Of The Day,3(1), 26. Poverty. (2013). InThe encyclopedia of elder care: The comprehensive resource on geriatric health and social care. Retrieved October 1, 2014 from http://ezproxy.snhu.edu/login?qurl=http://search.credoreference.com.ezproxy.snhu.edu/content/entry/spenelderc/poverty/0 ProCon.org, Social Security. (2013, September 12). Privatizing Social Security Pros and Cons [Press release]. Retrieved October 1, 2014, from http://socialsecurity.procon.org/#Background Roosevelt, F. D. (Writer). (1935, August 14). FDR Social Security Act Speech [Television broadcast]. In FDR Social Security Act Speech. Retrieved October 1, 2014, from https://archive.org/details/fdrbig Rose, N. E. (1989). Work relief in the 1930s and the origins of the social security act.Social Service Review,63(1), 63. Retrieved from http://ezproxy.snhu.edu/login?url=http://search.proquest.com/docview/1290931445?accountid=3783 Works Cited Social Security (United States). (2014, October 1). In Wikipedia, The Free Encyclopedia. Retrieved 10:28, October 1, 2014, from http://en.wikipedia.org/w/index.php?title=Social_Security_(United_States)oldid=629217299

Sunday, October 13, 2019

Effects of Cocaine :: Papers

Effects of Cocaine Physical effects of cocaine use include constricted peripheral blood vessels, dilated pupils, and increased temperature, heart rate, and blood pressure. The duration of cocaine’s immediate euphoric effects, which include hyper-stimulation and mental clarity, is dependent on the route of administration. The faster the cocaine is absorbed, the more intense the high and the shorter the duration of action. The ‘high’ from snorting may last 15 to 30 minutes, whilst that from smoking may last 5 to 10 minutes. Increased use can reduce the period of stimulation. This euphoria is followed by depression and craving for more of the drug. Some users of cocaine report feelings of restlessness, irritability, and anxiety. In rare instances, sudden death can occur on the first use of cocaine or unexpectedly thereafter. There is no way to determine who is prone to sudden death. Short-term physiological effects include raised hear rate, hyperactivity and restlessness. Blood pressure of the user is also increased and the pupils dilate. There is a great risk associated with cocaine use whether the drug is snorted, injected or smoked. Prolonged cocaine snorting can result in ulceration of the mucous membranes of the nose and can damage the nasal septum enough to cause it to collapse. The injecting drug user is at risk for transmitting or acquiring HIV infection/AIDS if needles or other injection equipment are shared. Hepatitis is another danger from the use of needles to inject cocaine. Cocaine smokers suffer from acute respiratory problems including coughing, shortness of breath, and severe chest pains with lung trauma and bleeding. In addition, it appears that compulsive cocaine use may develop even more rapidly if the substance is smoked rather than snorted. Cocaine is a strong central nervous system stimulant that interferes with the reabsorption process of dopamine, a chemical messenger associated with pleasure and movement. Dopamine is released as part of the brain’s reward system and is involved in the high that characterizes cocaine consumption. An appreciable tolerance to the

Saturday, October 12, 2019

Exposing Pain in The Enormous Radio Essay examples -- Enormous Radio E

Exposing Pain in The Enormous Radio  Ã‚     Ã‚  Ã‚   In John Cheever’s short story, "The Enormous Radio," Jim and Irene Westcott are presented as average, middle-class Americans with hopes and dreams just like everyone else. They are described as "the kind of people who seem to strike that satisfactory average of income, endeavor, and respectability" (Cheever 817). Jim and Irene thought they were the epitome of the perfect American family that was free from trouble and worry. The only way that they differed from their friends and neighbors was a deep passion for serious music. This passion, through the enormous radio, brought to their attention the realization that they had just as many problems as the next family. Their reaction to the radio argues the fact that they were not perfect and did not have a worry-free life. The first sign that the radio was going to cause a problem was its physical appearance. Irene abhorred the radio: "She was struck at once with the physical ugliness of the large gumwood cabinet" (Cheever 817). The radio stuck out like a sore thumb in Irene’s perfectly arranged living room. The radio’s appearance resembled what it would eventually do, "bring a new ugliness into the perfectly arranged lives of the Westcotts" (Giordano 56). When the Westcotts first realize that they had possession of an eavesdropping machine, Irene becomes extremely paranoid about whether or not they are being overheard too, like they have something to hide. Irene quickly becomes obsessed with listening to others’ conversations, as Nathan Giordano points out "it was like tuning into a soap opera on television" (56). The Westcotts would stay up late at night to listen to others’ conversations; some nights they went to bed "weak wit... ...indeed have problems and that turning a blind eye to her problems doesn’t help solve them" (Smith 59). The enormous radio was a reality check for Irene. It was a lesson that all she can do is be the best person she can and that denial only represses guilt for a short time. Whether Irene understands this is uncertain, but the reader finally realizes that even the "average American family" may have problems that must be worked through, not forgotten. Works Cited Cheever, John. "The Enormous Radio." The Harper Anthology of Fiction. Sylvan Barnet. New York: HarperCollins, 1991. 817-824. Giordano, Nathan. "Illusions, Delusions." Ode to Friendship & Other Essays. Ed. Connie Bellamy Virginia Beach, Virginia, 1996. 55-58. Smith, TaVeta. "The Perfect Facade." Ode to Friendship & Other Essays. Ed. Connie Bellamy Virginia Beach, Virginia, 1996. 58-59.      

Friday, October 11, 2019

Remember the Titans Review Essay

The movie Remember the Titans is one of the most inspiring sports movies in recent memory.. This is due to the performances of Denzel Washington as well as others in the cast but   its success can also can be attributed to the fact that the story was based on real life events. As is the case with most movies, those that are based on fact, no matter how loosely, usually seem to add to the drama that mindless action movies which are big on special effects and small on acting and story. Remember the Titans is not one of those movies because the racial tensions that were associated with busing and school integration in the last 1960s’ and 1970’s was one of the divisive sources during that time. For a young, contemporary society, it may seem difficult to be able to successfully transplant oneself into that specific time and place and to wonder aloud, what the entire situation was all about. There were tensions that came from the mixing of the two teams, regardless of their color.   Many players at T.C. Williams were counting on a starting spot for the football team, only to have many of the positions challenged due to the integration of the school. Due to the fact that the school that is being meshed into T.C. Williams is a predominately African American school, with the setting of the story taking place in 1970 Virginia, only adds to the frustrations on the part of the athletes from both schools. This reality places a stress on the already fragile relationships that the white and black players as well as students have for each other. However, in the end, the story has a happy ending and the school not only successfully integrates, but has one of their most successful years on the football field.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   One of the major sources of debate within Titans is the way in which Herman Boone receives the head coaching job at T.C. Williams.   The school has been integrated and the football team, a bastion of relief and excitement for the masses in Alexandria, Virginia. Within the movie, it is plainly seen that the majority of white students and their families are not in favor of the integration of the school. What is the source of even more resistance is the fact that Herman Boone, not because of his merit but simply because of his race, is being made head coach over the current coach, Bill Yoast who has had his share of awards given to him for his splendid coaching record in the past. The school board feels that this is the appropriate choice to make as they believe that it will help the town to ease into the idea. This is not ethically right or proper. There is not way of knowing exactly how well the team would have fared if the coaches were picked on their merit instead of on race, but it seems that as long as starting positions on the field were earned by the physical and mental merit of the players, so too should the coaches be made to honor the idea of creating a meritocracy as well.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   What is not acceptable and is seen as the central aspect of the movie, are the relationships between the players from both of the schools. At first, many of the players on both sides did not want to befriend their competition with regard to the specific starting position that they were hoping to earn but also their competition in society as well. It is the efforts of Julies and Bertier, the leaders of their respective former schools and therefore, is divided by racial lines, which help to make the transition from two separate teams into one a bit easier. The two characters are very forceful on the football field as it is required to remain successful but they are also equally as forceful with regard to the integration of their fellow teammates. Both are resistant to the experiment by once they get on board with the idea, the rest are sure to follow. This is the true sign of a leader but also of the team recognizing the fact that they need to come together as a team in order to win. Cohesiveness of a team is what every coach strives to achieve. The second source of calm and rational thinking in the face of a situation that many on the team might respond to with hatred and bigotry, comes from Coach Boone and Coach Yoast. Yoast will eventually see the bigger picture and swallow his own feelings of mistreatment and submit to the will of the school board and usually, to the will of coach Yoast. He had such a stellar coaching record because he knew how to win. The same can be said about Coach Boone as well. He does not like the situation in which he was picked to coach T.C. Williams but he resolves that this is not only good for his career in the long run, but for the cohesion of the entire community as the football team serves as the center of life in Alexandria, Virginia. In the special features, the real coaches are shown talking as old friends and there is nothing to suggest that is not the case in real life. But the relationship of the two coaches, as was the case with the players, was a contentious one. Race obviously played a central role in the actions of the T.C. Williams football team. People are a product of their environment and Alexandria, Virginia expressed loudly, their feelings about the forced integration of their school as well as the football players did the same. But Coach Boone and Yoast as well as the majority of football players on the team realized what it took to win.   All had enjoyed winning seasons before the integration of the school. Had the teams never enjoyed victory and never yearned for success within their daily lives, there might have been little hope for this experiment to have succeeded. Only those living there at that time can accurately describe what life was really like during those times but the ethical behavior of the majority of players as well as their recognition of what it takes to win in this life, eventually became the paramount reason as to why the team went on to have a successful season and racial strife within the team unity could only be seen as a speed bump if they wished to continue to win. WORKS CITED Bruckheimer, Jerry.   Remember the Titans. Buena Vista. 2000

Thursday, October 10, 2019

Kantian Ethics concerning human Cloning Essay

Cloning is a procedure conceived to notion in the late 1960s, but it is only recently that it was fully understood and that scientists have started to figure out how to successfully copy the genetic composition of one organism to another. Since science already knows how to do this, the only problems and obstacles that remains is efficiency and the success ratio of each operation. The cloning process consists of taking the nucleus of an organism, and placing it, along with the DNA that contains all the genetic material, in place of the nucleus of the host egg. The egg then forms an embryo and matures into the same exact â€Å"copy†, at least genetically, as the original organism. Already done on mammals, cloning is something that can be extended to utilize humans as subjects. In the future it will be wholly possible to create human clones to serve whatever purpose they were conceived for. However, presently there are numerous ethical issues surrounding cloning and there are pro blems about the implications of the use of cloning for the purpose of medicine. This issue plagues us so much that the constant objections of bioethicists and political and religious leaders have caused the US Government to propose a ban on all research concerning human cloning until a conclusion is reached on the moral and ethical aspects of the process. (Macer, 2) In this paper, I will discuss how Kantian views and ethics help us understand whether it is morally ethical to clone for the purpose of bettering our lives. Two points have to be distinguished. How exactly will human cloning aid medicine and society, and the implications of human worth and dignity when applied to clones. Kantian ethics were proposed by Immanuel Kant in his critical writing of the â€Å"Groundwork of the Metaphysic of Morals†. Kant argued that â€Å"non-rational things have only a relative value as means and are consequently called things. Rational beings, on the other hand, are called persons because their nature already marks them out as ends in themselves†¦ for unless this is so, nothing at all of absolute value would be found anywhere†. (Britannica, 473) All persons are able to adjust their behavior to what they reason to be moral behavior, but in using this capacity that all humans possess, they must act upon a categorical imperative to treat all similarly situated  people equally. They must uphold to their moral maxims and make their actions universal law, extending it equally to all persons. Kant reformulates this idea and states that we should â€Å"act in such a way that you always treat humanity, whether in your own person or in the person of any other, never simply as a means, but always at the same times as an end†. (Britannica, 472) This means that we should never use people as only a means, and that because all persons have intrinsic human worth they should all be considered as ends in themselves. Kant’s vision involves only persons or rational agents. If no ‘person’ or rationality is present then it can be argued that the agent is simply a thing. Something that cannot rationalize and is not conscious of its existence cannot be argued as having human worth. So it is wholly possible, through some applications of science, to create â€Å"headless† clones that are not fully developed in the forebrain and who therefore cannot rationalize or exist consciously. (Friedman, 3) If able to be kept alive after their conception in order to mature, these clones can be used for harvesting of their organs for various medical purposes. Kant would not object to these kinds of clones because his concept of rationality is respected in accordance to the categorical imperative. If only rational agents are to be used as an end, and if no rationality exists, then whatever is left can be used only as a means to further some goal with no ethical wrongdoing involved. Developing a â€Å"headless† clone involves a process that prevents rationality and consciousness from ever being formed. This can be paralleled to other procedures that involve the same block of formation of rationality, particularly any form of birth control. Not allowing the development of â€Å"headless† clones because it is immoral makes any sort of birth control thus immoral too, because they also involve the preventing of the development of consciousness and rational thought. (Friedman, 4) If this imperative were to be upheld to a moral maxim, then we would need to be consistent in our actions and ban birth control just as human cloning is banned now. However, if human clones are developed as persons (with a whole brain and  fully functioning in every aspect) then our perspectives need to be changed to take a more moral view. Is it possible to morally clone a human to become an end in themselves? Suppose the case of a childless family where the mother is unable to conceive for whatever reasons. Somatic cell cloning can provide the family with a way to obtain a child through surrogate birth. (Friedman, 2) Even though copying the genetic composition of one parent and making the child a copy of them is somewhat strange, it is understandable from the parents’ point of view. If they are unable to naturally conceive, they should still be given some sort of chance to have a child. Cloning gives the parents this chance to have a child and have a somewhat normal family as an outcome. In this case the clone is treated as an end. He will grow up to be healthy and hopefully be regarded the same as a naturally conceived child. When he grows up, the clone will not denounce his existence. If asked the question of whether he would have rather not been born, the child would most likely thank cloning for his conception. The similar can be said for a clone that is used as a means for something but eventually becoming an end in themselves. Suppose the case of a family where a serious disease plagues an existing child and that only a specific blood type or a certain type of bone marrow will save him. If no donors are available, the child’s only ticket to survival might be a clone. Using the same genetic composition, his twin can be cloned in order to save his life. If this cloned twin is afterwards discarded, because he no longer serves a purpose or if he dies during the transfusion, this would in turn be highly unethical and immoral. However, if the parents exercise the human right of the clone as a person to exist, they are acting in accordance with the categorical imperative as stated above. They are extending the moral maxim to a universal law, and are treating the clone as a person, justly. The clone then becomes not simply a means to save a child’s life but an end in themselves also . The clone’s rationality and consciousness is not jeopardized. And in the same way as above, the clone would be thankful for having saved someone with his existence and would not regret his life. The immediately foreseeable problems with cloning for the purpose of childbirth might be seen when parents want to dictate the genetic makeup of  their child. They might not only want to eradicate genes that make a person susceptible to certain diseases, but they also might want to eliminate other unfavorable genes. Genes that control a person’s susceptibility to violence or other emotional factors, or genes that control a person’s appearance, such as height, hair and eye color and physical condition. In this way, parents might be able to mold genetically superior children to their liking. This would is most probable to eliminate uniqueness and individuality. There would be no randomness or pureness of nature in humans. Everything would be similar because certain specific qualities would be more favorable and popular. Also gene superiority would label clones as of higher value and might cause discrimination based solely on one’s genetic makeup. Only through tot al anonymity would this be preventable, and this condition is impossible. This problem can be directly related to the categorical imperative so crucial to Kant and Kantian ethics. Because morality must extended to be universal, it is imperative that both the superior clones and regularly genetically endowed humans are treated with similar regard. This however would seem to not be the case; the clones would always be favored in any situation. Therefore, this treatment would be immoral, as it would be immoral to clone human persons for such purposes, which are based only on vanity of people and discrimination of less favored genes. Many ethical issues and moral aspects of human cloning must be observed to get a larger picture of its implications. Kantianism gives us a way of differentiating in which situations will cloning be ethical or, the opposite, immoral. However, Kantian ethics is pretty specific in its situations and it can’t give a much more general and broad understanding of the ethics of cloning. It doesn’t tell us what to do, it only tells us whether something is moral or not. Kantianism is not a guide of morals but it is a very good understanding of them. Bibliography Friedman, Dan. â€Å"Cloning† Macalester Journal of Philosophy Vol. 9, 1999 Gardner, Jennifer. â€Å"To Clone or Not to Clone† http://pages.prodigy.net/darvi/clone.htm (12 Feb, 2001) â€Å"Kant, Immanuel† Encyclopaedia Britannica: In Depth Knowledge 1999 ed. Macer, Darryl R.J., Ph.D. â€Å"Ethical Challenges as we approach the end of the Human Genome Project.† N.p: n.p. 2000 Ruse, Michael, and Sheppard, Aryne. Cloning: Responsible Science or Technomadness? Prometheus Books, December 2000

Wednesday, October 9, 2019

African Athena Controversy Essay Example | Topics and Well Written Essays - 1500 words

African Athena Controversy - Essay Example In his first volume, â€Å"The Fabrication of Ancient Greece†, the author has attacked the nineteenth century notion that Greeks were basically Aryans from the North and he proposes to dissolve his ideas from the Aryan Model to Ancient Model and stated that the religion of the Greeks were derived from the East with Egypt in particular. The controversy is that the western ideological thinkers have criticized Bernal’s views of the Greek’s influence (p.1). Bernal argues that the widely influential books like Flaubert’s Salambà ´ (1862) suggested that the African cultures were pugnacious and uncivilized than that of the Greeks or the Romans. Bernal describes that Flaubert had originally meant to elucidate a historical novel about Egypt but later on fixed on ancient Carthage as his subject because the Egyptians were not sufficiently degenerated for his purposes. Bernal describes the authors’ work as a typical reflection of the western hypocrisy. â€Å" Flaubert implied that Europeans-with the possible exception of the English-were incapable of such things. In fact, the Romans outdid the Carthaginians in virtually every luxury and outrage while the Macedonians [i.e., Greeks] were not far behind† (p. 2). The paper focuses on the influence of the Greeks and the Phoenicians on the Greek society on the lines of Bernal’s elucidation in his â€Å"Black Athena† but at the same time criticizes his views and highlights the area of loopholes of his findings. From the initial findings of the book Black Athena project, Bernal saw the competition between the Aryan and the revised models in terms of competitive plausibility from the documents of the Late Bronze Age in terms of archaeology, language, culture and religious rituals and historical analogy and topology (p.3). In terms of the archaeology and documents the evidence hardly points out to the Revised Ancient Model but in terms of cult and language the evidence supports the very dominance of the

Tuesday, October 8, 2019

Evaluate the risk exposure to commercial bank whilst they endeavour to Essay

Evaluate the risk exposure to commercial bank whilst they endeavour to maximize their revenues within profitable lending - Essay Example It is the most common risk experienced by banks in lending. It occurs when customers are unable to meet their obligations, fall due and causes the bank to suffer a loss. Different bank transactions that cause the credit risk may result from the lending made to the governments, individuals, and companies. Second, it may result from lending money in exchange for security bonds. Commercial banks also exchange lending with shares, swaps, trade finance transactions, and other items. The probability of risk increased due to the different items that may cause the credit risk. The risk increase in the event, the bank fails to evaluate the customer credit worthiness. It is more probable to lose a huge sum of money when commercial banks offer huge loans to customers without proper credit rating. The risk results from market rate fluctuations. Normally, the banks allow customers to deposit money in the bank at a certain rate. Subsequently, banks give out the money in the form of loans at a rate higher than the one paid to depositors. Commercial banks risk a loss when the government control lowers the lending interest rates. If the lending interest’s rates decrease below the interest rate provided to depositor’s commercial banks may experience difficulties paying back the money to the depositors. The probability and the severity of loss increase when the government exercises serious controls in the monetary market. The interest rate risk affects the currents earnings of a firm and the present value of the future cash flows due to changes in the interest factor value. The depositors in a bank may withdraw their deposits from the bank any time as long as they do not violate the terms agreed. At the same time, the bank may offer huge sums of loan against few deposits made by customers. In case the customers decide withdraw their deposits, the funds will be unavailable. The liquidity risk is the probability that the bank will

Monday, October 7, 2019

Primary causes behind the start of the Cold War Essay

Primary causes behind the start of the Cold War - Essay Example Cold War is recognized as an era of extreme tension and hostility between Soviet Union and the United States of America. The War had its origins at the end of Second World War and ended in the early decade of 1990s. The fear of nuclear escalation did not allow the two economies to indulge into an active war therefore; this war is known as Cold War. This war is different from the other wars because it was not an active war and it was fought through propagandas, military clashes, economic clashes and diplomatic bargaining. Most of the world economies came under the impact of Cold War including the neutral economies, newly independent economies and others. Various factors contributed to intensify the conflicts between the two nations however, a few of them appeared as the primary causes of Cold War. The aim of this essay is to discuss the primary causes of Cold War. In general, there are three views about â€Å"who was to blame for the Cold War? (Johndclare)† The Traditional view is supported by western writers who blame Soviet Russia for the Cold War and they argue that Stalin was seeking to establish a Soviet empire. The Revisionist view is supported by western writers who blame America for the Cold War. They argue that Truman could not understand the impact of Second World War on Russia. Third view is the Post-Revisionists view which considers the hatred of both nations as the primary cause of Cold War. ... The historians have disagreements over the exact date of Cold War however; most of the historians agree that this war started when the President of the United States, Truman announced an anti-communist policy. The Second World War has its significance in the discussion of Cold War because the war started immediately after the Second World War. The ideological, political and economic differences between the United States and Soviet Union were not much prominent before the World War II however; mutual suspicions and distrust intensified the differences between the two nations and came on screen after the World War II. These differences and the factors intensifying these differences became the primary causes of Cold War. The defeat of Nazi Germany became the collapse of old Europe and appeared as a common victory of American and Soviet soldiers who celebrated the victory together in Germany in 1945. However, the conflicts between Soviet Union and the United States increased when it came to make a decision about the occupied Germany and the composition of a new Polish government. These conflicts intensified when the two nations failed to agree on a common plan relevant to the control of atomic energy and Soviets started communizing the lands under their occupation which threatened the United States on the division of Europe. The United States could see the spread of Communist State in the Western Europe whereas; the Soviet Union was threatened by American nuclear power and control. Fuller argues that the fear of democratic west about the Soviet Union was the primary cause of Cold War. If at one end, Soviet Union had a fear of western invasions of her new satellites, then at the other end, the western states were seeing the spread of Marxism.

Sunday, October 6, 2019

The Benihana Essay Example | Topics and Well Written Essays - 750 words

The Benihana - Essay Example In establishing Benihana’s unique market share the restaurant actually prepares the food in front of the customer’s eyes. This allows for a novel dining experience, and greatly contributes to the restaurant’s effective cost structure. As the restaurant found increased success, questions regarding whether to franchise the restaurant out emerged. While there were initial attempts to enact franchises, the company ultimately determined that franchising would not be successful, as the largely Japanese staff didn’t translate well into the American climate. The organization’s process flow occurs as customers are brought into the restaurant and then seated in the bar area. This element functions both to increase drink revenue and to give the customer’s an activity to occupy themselves during their wait period. When a table opens, the customers are then seated. After customers are seated the staff takes a drink order and gives them an option for soup, salad, or general appetizer. Upon returning their order is taken. The chef then arrives and prepares the order in front of the table. This is the essential aspect of the dining experience both for the restaurant and the customer. While one might believe that preparing the food in front of the table would result in an increased time, this process actually reduces labor costs while granting the customers insight into the process of food creation as well as a side-show environment. There are a number of considerations that can be made in developing the overriding strategic approach. In this context of understanding, the simulation permits users to explore a number of elements of profitability. The simulation also functions to inform the user of various aspects of operations management and allow them to better formulate strategic approaches. In this context of understanding, I experimented with a number of potential batching as a means of developing the most effective and efficient process approach. In terms of batching one of the most effective methods is to distinguish between peak and non-peak hours. In attempting a number of simulations, one of the most effective assortments is to consider the peak hours of 6pm till 8pm. Within this period it’

Saturday, October 5, 2019

Financial and Human Resource Management Essay Example | Topics and Well Written Essays - 2250 words

Financial and Human Resource Management - Essay Example The present study would analyze the case of Progres that is a ship manufacturing company engaged in manufacture of small commercial vessels. The Balanced Scorecard approach is a well crafted strategy in this regard that can help in the overall development of the organization. In this study an analysis of the literature would be done to identify the theoretical aspects associated with the Balanced Scorecard approach. The literature review would be followed with an analysis of the methods that would contain the framework of the Balanced Scorecard that would be designed for the organization.The present study would analyze the case of Progres that is a ship manufacturing company engaged in manufacture of small commercial vessels. The Balanced Scorecard approach is a well crafted strategy in this regard that can help in the overall development of the organization. In this study an analysis of the literature would be done to identify the theoretical aspects associated with the Balanced Sco recard approach. The literature review would be followed with an analysis of the methods that would contain the framework of the Balanced Scorecard that would be designed for the organization. An analysis of the implication of the Balanced Scorecard and its overall impacts on the business prospects of the organization would also be discussed in the study so as to help the company critically analyze the effects of its strategies on all the departments of the organization including the key stakeholders. ... aplan and Norton is a strategic management and planning system which can be used extensively in businesses, industries, government and all nonprofit organizations to align business activities with the strategies and visions of the organization and measure the performance of the organizations against its strategic goals. Recognizing the various weaknesses and vagueness’s of the previous strategic management approaches this score card was presented a clear prescription about the parameters which companies were required to measure to balance the financial perspectives. From the perspective of HRM also, a strategic management system has been designed and implemented based on the scorecard proposed by Kaplan and Norton. This HR balanced scorecard was implemented keeping in mind the new organizational dynamics. It provides the means of monitoring the performance of the workforce, analyzing the workforce statistics, diagnosing the workforce issues, calculating the negative impacts on the company finances and then providing solutions for the same and then finally tracking improvements (Walker & MacDonald, 2001). The project seeks to present the various issues faced by Shipyard Progres which was engaged in building of ships for Shortsea shipping. The first issue is the limitations issued on the shipyards along Winscotencanal on the dimensions of the ships. This meant that the ships which customers demanded could no longer be built among the coast and required to be completed at some other place. However, this means that the building costs would go up considerably. Some issues were also likely to arise from the employees as they would be reluctant to commute more. Moreover a radical change program such as the incorporation of a balanced scorecard are likely to be resisted by

Friday, October 4, 2019

Why Evolution Is True by Jerry A. Coyne (Penguin Books) Published in Essay

Why Evolution Is True by Jerry A. Coyne (Penguin Books) Published in 2010 - Essay Example These evolution theories contradict with the concept of the creationists. The creation concept says that the human beings are not evolved rather they are created at once and that animals and the human beings are different from their origin. Both the concepts of evolution and the creation are very much opposite to each other. The subject of the book is very important to be clearly understood in our own life. In other words we can also say that â€Å"Why Evolution is true† is the summary of all the facts of Darwin’s evolution theory and also the natural selection process. Natural selection process is explained very well by the Darwin. This means that the one living organisms who strives for the life gets the chance to survive in the competitive environment. With the help of his arguments, Jerry Coyne has showed that the natural selection process do not destroy the beauty of life rather it enhances or give advancement to it in a gradual manner, because the nature itself selects the suitable living beings on its own behalf. The process of natural selection basically means to find out the proper resources to live the life. The one who find out the available resources would be included in the list of the naturally fittest organisms thus striving for saving the life. In other words we can also say that the natural selection means the struggle for the existence. For this struggle the living beings may change their traits and this would be called as the gene variation according to the environment. The changing of traits may help living organisms to grab the best possible resources. This gene variation would help them to survive according to the environmental conditions. Actually each and every individual is composed of different combinations of genes. Some of these genes traits are helpful or other might be less important in the survival. Therefore the individuals may change such kind of traits and also adapting to those which are more

Thursday, October 3, 2019

“Ethics in Policing” Essay Example for Free

â€Å"Ethics in Policing† Essay In The Ethics of Policing, John Kleinig presents a broad discussion of the ethical issues that overwhelmed existing police organization and individual police officers. This debate is set surrounded by others that bring in the reader to basic approaches at present in support among moral philosophers (social contract, neo-Kantian and utilitarianthough thought of the recent efforts to widen virtue-oriented ethical theories is regrettably absent) and to many of the significant questions posed in the swiftly growing subfield of practiced ethics (such as whether professional ethics are constant with or in clash with so-called ordinary ethics). The discussions are consistently even-handed, broad and extraordinarily rich in detail. Kleinig sets out typologies of the kinds of force used by the police as well as variety of dishonesty in which they occasionally engage range of distort exercise, alternative actions for holding police responsible, and the like. He offers wide-ranging debate of the role and history of police codes of ethics, the changes made on the personal lives of police, and the challenges to police management facade by unionization and confirmatory action. In short, this book is much more than a directory of police ethical issues with reference for their solutionit is that, of course, but it is also an beginning to professional ethics in general, a articulate staging of important existing moral theories, a outline of the key legal decisions affecting police work, and a rich representation, both understanding and essential of the police officers world. Kleinig concentrates on his topic with a large idea of ethics, one that runs from meticulous problems (such as police judgment and use of force), through common problems (such as the ethics of misleading tactics and the nature of dishonesty), to deliberation of the effects of police work on police officers moral fiber (such as the regrettable inclination of police to distrust and hostility), all the way to organizational difficulty (such as those about the arrangement of answerability and the status of whistleblowers). Right through his rich and caring conversation, it seems as if the difficulty of ethical policing is just that of how the police can morally carry out the job they are assigning and putting into effect the laws they are furnished to implement. Kleinig considers that many of the ethical problems facing the police have their cause in (or are at least supported and assisted by) the trend of police to appreciate their own role as that of law enforcers or crime-fighters. This promotes over trust on the use of force, predominantly lethal force and enhances police officers sense of hostility from the society they are sworn to serve. Furthermore, this self-image makes police doubtful of, hostile to, and commonly unhelpful with police administrations inspired programs such as community policingthat aim to redesign the police into a more comprehensible organization. Amusingly, the police self-image as crime-fighters continue in the face of practical studies showing that law enforcement per se, the engaging and catching of criminals, takes up only a small number of police officers work time. Much more time is in fact spent by the police doing things like crowd and traffic organizing, dispute resolution, dealing with medical tragedies, and the like. Consider Kleinigs argument of police dishonesty. Kleinig takes up Lawrence Shermans view that allowing police to agree to a free cup of coffee at a diner starts the officer on a slippery slope toward more serious graft because, deliberating he has accepted a free cup of coffee makes it difficult for the officer to stand firm when a bartender who is in action after legal closing hours presents him a drinkand this in turn will make it harder to resist yet more serious attempts to bribe the officer to not enforce the law. Sherman then suggests that the only way to fight corruption is to get rid of the kinds of laws, first and foremost vice laws that provide the strongest lure to corruption of both police and criminals. In opposition to Shermans view, Kleinig believe sthat of Michael Feldberg, who argue that police can and do differentiates between minor gratuities and bribes. Kleinig consent. Kleinig takes corruption to be a topic of its motive (to misrepresent the carrying out of justice for personal or organizational gains) relatively than of particular manners. This is a nice difference that allows Kleinig to detach corrupt practices from other ethically problematic practices, such as taking gratuitiesof which the free cup of coffee is an example. Quoting Feldberg, Kleinig writes that what makes a gift a gratuity is the reason it is given; what makes it corruption is the reason it is taken (Kleining, 1996, 178). Gratuities are given with the hope that they will encourage the police to frequent the organization that give them, and certainly, the police will often stop at the diner that gives them a free cup of coffee. Thus, Kleinig follows Feldberg in philosophy that recieving coffee is wrong because it will tend to draw police into the coffee-offering business and thus upset the democratic value of even-handed distribution of police protection. Kleinig takes up the question of entrapment by first allowing for the so-called subjective and objective advances to determining when it has occurred. On the subjective approach, entrapment has happened if the government has rooted the intention to commit the crime in the defendants mind. So implicit, the defence of entrapment is overcome if the government can show that the defendant already had (at least) the outlook to perform the type of crime of which he is now blamed. On the objective approach, anything the intention or disposition of the real defendant, entrapment has arised if the governments contribution is of such a character that it would have made a usually law-abiding person to commit a crime. Kleinig condemns the subjective approach by indicating that the behaviour of a government cause that constitutes entrapment would not do so if it had been done by a classified citizen. Thus, the subjective approach fails to clarify why entrapment only relay to actions performed by government means. For this grounds, some turn to the objective approach with its stress on improper government action. However, as Kleinig skilfully shows, this approach experience from the problem of spelling out what the government must do to, so to converse, create a crime. It cannot be that the government agent was the sine qua non of the crime since that would rule out lawful police does not entice operations; nor can it be that the government agent simply made the crime easier since that would rule out even undisruptive acts of providing public information. The objective approach seems based on no more than essentially controversial intuitive judgments about when police action is excessive or objectionable. The reason is that this account is susceptible to the same opposition that Kleinig raised in opposition to the subjective approachit fails to explain why entrapment only relates to actions carried out by a government agent. Certainly, the problem goes deeper because Kleinigs account supposes that government action has a particular status. As Kleinig point to, the same actions done by a private citizen would not comprise entrapment. It follows that actions done by a government agent can dirty the evidentiary picture, while the same actions done by a private citizen would not. But, then, we still need to know why entrapment refers only to actions carried out by government agents. To answer this, Kleinig must give more power to the objectivist approach than he does. When it does more s Kleinig notes but fails to integrate into his accountthe government becomes a tester of virtue rather than a detector of crime (Kleining, 1996, 161). Indeed, much practical crime fighting is wrong because it does not so much fight crimes as it fights criminals, taking them as if they were an unseen enemy who need to be drawn out into the unwrap and take steps. As with corruption, it seems to me that Kleinig has measured entrapment with active criminal justice practice taken as given and thus, by default, as not posing a confront to ethical policing. Kleinig suggests that as an alternative of law enforcers or crime-fighters, police ought to be consider and think of themselvesas social peacekeepers, only part of whose task is to put into effect the law, but whose larger task is to remove the obstruction to the even and pacific flow of social life. (Kleining, 1996, 27ff) Kleinigs disagreement for significant the police role as social peacekeeping has three parts. The first part is the gratitude that, while social agreement theories lead to the idea of the police as just law enforcers, the information is that we have (as I have already noted) always likely the police to play a larger role, taking care of a large diversity of the barrier to quiet social life. The second part of the quarrel is that the idea of the police as peacekeepers, in totaling to equivalent to what police essentially do, reverberates adequately with practice, in exacting with the idea of the kings peace, the organization of which might be thought of as the predecessor of modem criminal justice tradition. Kleinig thinks will flow from this preconceiving of the police role: a less confused, more helpful and pacifying relationship between the police and the society; a compact dependence on the use of force, particularly lethal force, to the point that force is sighted as only a last alternative among the many possessions accessible to the police for eliminating obstacles to social peace. The very fact that police are armed (and dressed in military-style uniforms) for law enforcement makes it just about overwhelming that they will be used for crowd and traffic control. Subsequently, if a small group of persons is to keep a large, volatile and potentially dodgy group in line, it will surely help if the small group is armed and in distinguishing dress. As for the other jobs allocated to the police, it must be distinguished that these jobs are not generally executed by the police for the community as a whole. Middle class and wealthier folks do not turn to the police for dispute resolution or help in medical emergencies. Ignored in this way, the poor call on the police when there is problem and reasonably so. The police are at all times there, they make house calls, and they do not charge. Practices that outcome from our negligent treatment of the poor should scarcely be lifted to normative position in the way that Kleinig in cause does by speaking of what we have allocated to the police. Only some have had the authority to assign the police these additional jobs, and even those influential few seem more to have deserted the jobs on the police than considerately to have assigned them. Most significantly, however, distinguishing the police as peacekeepers has the trend to cover over what is still the most important truth about the police, the very thing that calls for extraordinary good reason and for particular answerability, namely, that the police have the ability to order us around and to use aggression to back those orders up. For example, when Kleinig takes up the police arguments that they should be treated like proficiently and thus standardize themselves, Kleinig objects only on the position that It is uncertain whether police can lay claim to such focused knowledge not available to lay persons as renowned professions, such as medicine and law do. (Kleining, 1996, 40) Similarly, in explanation why police may correctly be focused to civilian review boards, Kleinig says that the police provide a society service at a cost to the society and thus ought to be answerable to the public they serve. (Kleining, 1996, 227) The police are precisely subject to remote review to a level that the local authority company is not, and the grounds are the particular authority and authority the police have and the suitably tense relation involving that power, essential as it is, and the free public it both defend and threatens. Conceivably, after all, the cops are right in opinion of themselves as law enforcers and crime fighters. Reading John Kleinigs book is an extremely good way for anyone to learn just how uncomfortable that situation is. References Kleining, John (1996) The Ethics of Policing, New York, NY: Cambridge University Press.