Saturday, August 31, 2019

History of Nature and Nurture Essay

Abstract Nature vs. nurture has been discussed by philosophers in the past and by scientists most recently. Philosophers such as Plato argued that all knowledge was inherited through your parent and when you were told something you didn’t learn it you were just reminded of it. Aristotle however argued that all humans were born with a blank slate and built on it with influence from there environment. In the 1700’s the empiricists and the internalists took over the argument. They fought through letters explaining there point of views and denouncing the others. This leads to Pavlov coming up with the idea of behaviorism in the early 1900? s. Behaviorism became the new wave of Psychology and influenced a lean towards the nurture side. It was not effectively argued against until 1928 when Watson published his book. This opened up the floodgates for environmental influences studies. Soon the idea of nurture was the popular excuse for behavior. Studies using animals were the most popular was in which scientists used to prove a theory, or disprove a theory. The newest studies use human twins to prove nature vs. nurture. An age-old question has been asked for generations before us. What is the reasons behind the development of human behavior? There have been many theories formulated to explain why humans behave the way they do. Explanations vary from demonology to magnetic fluids controlling people’s behaviors. Over time, two theories have remained popular in academic fields such as philosophy and psychology. The surviving theories for behavior stem from physiological and sociological explanations. However, the two explanations have not always been compatible with each other. The famous nature vs. nurture debate over human behavior resulted from conflicting views between proponents of the physiological (nature) and sociological (nurture) explanations. Throughout history, research has swayed popularity back and forth between the theories. Yet, theorists have broken down the line separating nature and nurture. Today, people us both explanations in research to advance the knowledge of human behavior. Thousands of years before the field of psychology, philosophers pondered on human behavior. As early as 350 BC, such philosophers as Plato and Aristotle tried to understand behavior. The question of nature or nurture as the primary drive can be traced to these times. Plato believed behavior and knowledge was due to innate factors. Author Fiona Cowie states, â€Å"The claim that the character of our mental furniture is to a large extent internally rather than environmentally determined found its first substantive defense in the works of Plato†¦ † (Cowie, 1999, p. 3). Plato theorized, and Descartes later agreed, that all knowledge is present at birth. Plato also believed that the environment played a part in human processes, but he thought it had an unique role. He believed the environment did not teach people anything new, but its purpose was to remind people of information they already knew (Cowie, 1999). Although Plato’s views are not supported today, he laid the groundwork for other researchers to follow. On the other hand, philosopher Aristotle theorized a different idea about human behavior. He presented the idea that humans are born into the world with a â€Å"blank slate† and people’s behavior and thoughts are due to experience (Ashcraft, 1998). His tabula rasa explanation believed that the environment and experience were the important influences in human behavior. Unlike Plato, Aristotle hypothesized that humans were not born with knowledge, but they acquire it through experience (Ashcraft, 1998). Aristotle’s idea of the tabula rasa is not believed today. Nevertheless, his belief that the environment was a vital factor in behavior influenced many empiricists throughout history. During the late 1700s, the nature vs. nurture debate began to heat up between philosophers. Internalists (nature) and empiricists (nurture) wrote literature back and forth trying to prove their beliefs and disprove the other’s theories. Two philosophers, G. W. Leibniz and John Locke, were main representatives of their respected explanations. Leibniz promoted the internalism point of view. Cowie states, â€Å"†¦ Leibniz’s position on this issue is, of course, that the tabula is far from rasa: ? The soul inherently contains the sources of various notions and doctrines, which external objects merely rouse up†¦ ‘ † (Cowie, 1999, p. 7). Leibniz argued against Locke and other empiricists stated that â€Å"†¦ there is no way ideas which come into the mind from outside can be formed into beliefs and judgments without the operation of specific internal mechanisms† (Cowie, 1999, p. 17). At the same time, John Locke and his fellow philosophers campaigned for empiricism. Like Aristotle, the philosophers believed that humans’ thoughts and actions were determined not by innate factors, but by the their unique experiences (Ashcraft, 1998). Locke argued against the internalists by examining different human processes such as logic and reasoning. He would ask how it was possible to use logic and reasoning if people were born with all of the knowledge they would ever acquire (Cowie 1999, p. 19). The contrasting views of the two groups had begun the nature vs. nurture debate, which would linger in the fields of philosophy and psychology for decades. A point should be made that even though the interalists and empiricists felt strongly about their theories, the explanations were not entirely opposite of each other. Cowie explains, â€Å"? rhetoric aside, both empiricists and nativists are both internalist and externalists about the origin of what is in our minds†(Cowie, 1999, p. 17). Even Leibniz and Locke stated that the philosophies sometimes were only different by the choices of words they used to describe their theories. Leibniz once wrote that fundamentally their views were the same about the nature vs. nurture question (Cowie, 1999). Over the next couple hundred years, popularity was split between nature and nurture. However, in the early 1900s Ivan Pavlov accidentally discovered what eventually became labeled as behaviorism. Behaviorists believed that the environment was the greatest factor in shaping behavior. The theory quickly gained notoriety in psychology and swayed popularity to the nurture side. One of the leaders in behavioral research was John Watson, who is most recognized for his work in conditioning â€Å"Little Albert. † In 1928, Watson published a book that included his idea that infants were like clay. Watson stated that he could make an infant anything he desired by manipulating the environment (Barnet, 1998). Watson wrote, â€Å"Give me a dozen healthy infants†¦ and my own special world to bring them up in and I’ll guarantee to take any one†¦ and train him to become any type of specialist†¦ â€Å"(Amsel, 1989, p. 24). In the 1960s, Skinner also became well known for his research in behaviorism. Most of his work dealt with behavior modification with animals (Amsel, 1989). Probably Skinner’s most famous research is when he conditioned pigeons to guide missiles (Modgil, 1987). However, Skinner, and others in his field, began to receive scrutiny for ignoring the biology of humans. Yet, Skinner responded by saying, â€Å"The objection to inner states is not that they do not exist, but that they are not relevant in a functional analysis† (Modgil, 1987, p. 228). From the 1920s to 1950s, behaviorism and nurturism dominated psychology. The domination did not go without any challenges, and it did not last forever. As early as 1929, behaviorism came under attack by psychologists who believed genes were the key to human behavior. To begin, Arnold Gesell questioned the environmental view of Watson. Author Myrtle McGraw states, â€Å"Gesell contended that there was nothing one could do through training young infants to accelerate their development; one simply had to wait until the cells of the nervous system ? ripened'†(McGraw, 1995, p. 264). The biological research continued to build against behaviorism, and its popularity began to decrease. In 1959, the final attack that swayed popularity to the nature side of development originated with Noam Chomsky and other psycholinguists. Chomsky attacked behaviorism’s scientific empiricism, especially dealing with the acquisition of language (Amsel, 1989). Ashcraft (1998) explains, â€Å"†¦ Chomsky argued not only that the behaviorist account of language was seriously wrong and misguided, but that behaviorism was unable in principle to provide useful scientific knowledge of language† (p. 22). In addition, research developments in physiology and new studies involving genetics, such as adoption studies, and studies on twins, popularized genetic influence over environmental. The most resent studies that have been done on twins and adoption use both identical and faternel twins. This consists in the studying of twins that were separated at birth and grew up in separate homes. Identical twins are 100% genetically similar and offer exact genetic replicas to study, where fraternal twins are the same as any other siblings at 50% similar (Vanderbilt pg6). Some of the final results of these studies show astonishing similarities between identical twins, yet others show little evidence of these similarities. With fraternal twins there is some similarities but none that are complete evidence of the nature theory. These studies fuel the pot for both the nature and the nurture ideas. The nature vs. nurture debate over the last forty years has reached an agreement that they both influence the development of human behavior. In the 1960s, researchers from both theories began to study the interaction of the genes and the environment (Devlin 1997). Dr. Ann Barnet explains, â€Å"Even in an unborn baby, genes and environment interact almost from the moment of conception†(Barnet, 1998, p. 10). The interaction between nature and nurture can be summed up by the statements of Dr. Fausto-Sterling and Dr. Evan Balaban. Fausto-Sterling states, â€Å"People want simple explanations for hard-core problems. If there was an antitestosterone drug that we could to inject to make young boys nice†¦ it would be easier and cheaper than transforming schools†¦ or whatever is at the heart of the problem† (Barnet, 1998). However, Balaban replies, â€Å"†¦ don’t hold your breath if you think looking for genes to help you understand violence. I would put my money on some clever environmental manipulations, because in the end you’re going there anyway† (Barnet, 1998, p. 206). The nature vs. nurture debate has produced many research advances in the area of human development. Even though evidence proves that there is an interaction between genes and the environment, people will continue to study the effects of each in development. In these future studies, more groundbreaking advances will be made to aid humans in better understanding human behavior. In the end, that is what both sides of the nature vs. nurture debate intended to accomplish. Bibliography Amsel, A. (1989). Behaviorism, Neobehaviorism, and Cognitivism in Learning Theory. Hillsdale, NJ: Erlbaum,. Ashcraft, M. (1998). Fundamentals of Cognition. New York, NY: Longman. Barnet, A. (1998). The Youngest Minds. New York, NY: Simon & Schuster. Cowie, F. (1999). What’s Within?. Oxford: Oxford University Press. Devlin, B. (1997). Intelligence, Genes, and Success. New York, NY: Copernicus. Deutschmann, Linda B. (2002). Deviance and Social Control Third Edition. Scarborough, ON: Nelson Thomson Learning. Fujita, Frank. (2000). Nature vs. Nurture. 3/15/2002 from http://folk. uio. no/roffe/faq/node 11. html McGraw, M. (1995). Beyond Heredity and Environment. San Francisco, CA: Westview Press. Modgil, S. (1987). B. F. Skinner: Consensus and Controversy. New York, NY: Falmer Press. Myers, David G. (2001). Psychology Sixth Edition. New York, NY: Worth Publishers.

Friday, August 30, 2019

Philosophy of an Slp

Danielle Williams SPED 299 My Philosophy of Speech-Language Pathology My Philosophy of Speech-Language Pathology I believe that babies, toddlers, teenagers, adults, and elderly, many of them are afflicted with a speech impediment, there often seems to be a little hope. Many of these individuals are children, or cast out of society as young adults. Many are sent to doctors and specialists who try to determine what is wrong with them. On occasion, they will meet a person who can help them, and ultimately, change their life for the better.This person is a Speech-Language Pathologist. I want to help individuals that have speech disorders. Many individuals believe that speech-language pathology it has its merits; however there are a few noisy people who believe that speech pathology is a useless ambition. They believe that children suffering from a speech disorder will eventually grow out of it. Children will not eventually grow out of an speech disorder. My heart is with this particular profession.I want to help the kids and adults that has a speech disorder, care those individuals, and make sure they get the proper treatment needed for their disorder. The patients often suffer from a wide variety of problems: late development, cleft palate, hearing loss, mental retardation, brain damage, stroke, or emotional problems. I am very compassionate about this profession. An SLP work in early intervention is complex, challenging, and rewarding. In many ways, each day is different from the next.They have several roles and responsibilities, including (1) participating in assessments to determine whether or not a child is eligible for early intervention services, (2) home visits — working with infants and toddlers and their families in their natural environment (usually their home), and (3) leading a therapeutic play group two mornings a week. The children that I work with are all under the age of three years old. They are eligible to receive early intervention servic es either because they have significant developmental delays or because they and/or their families have at least four environmental risk factors.These environmental risk factors include â€Å"child characteristics,† such as extremely low birth weight, extended hospital stays, and chronic feeding difficulties, and â€Å"family characteristics,† including homelessness, substance abuse in the child's home, and violence in the home. Most of the children that an SLP work with have significant developmental delays. These include, but are not limited to, receptive and expressive language delays, autism spectrum disorders, hearing loss, Down syndrome, and Global Developmental Delay.An SLP generally see about five families per day for home visits and assessments. They collaborate with co-workers during assessments, because they do those in groups of three in order to have a multi-disciplinary team. A typical assessment would include (an SLP), a social worker, and a special educ ator. On the days that an SLP lead the therapeutic play group, that takes up the entire morning, and They usually schedule a couple of home visits or an assessment in the afternoon.

Thursday, August 29, 2019

English Contemporary Historical Fictions Essay Example | Topics and Well Written Essays - 2500 words

English Contemporary Historical Fictions - Essay Example Romance is for each character a state of mind and emotion that dominates the women’s affections toward another person; even one of the same sex. In each of the works, the protagonist’s perception of romance is subject to the views formed by each woman based on her own experiences. It is secondarily formed by the environments that each woman lives in. The notion of romance changes on the whole as the protagonists move from adolescence, into young womanhood, and into maturity. This essay examines the notion of romance, and the experiences of the protagonists in each of the works as their perceptions on romance evolve with their own sexual and family experiences. In Atwood’s book, Alias Grace, the story opens with a lengthy poem/song about the young servant girl, Grace Marks, who, along with her lover, James McDermott, murdered their employer, Thomas Kinnear and his housekeeper/lover, Nancy Montgomery (pp. 11-15). It is a poem/song that is typical of the day, when tepid and sordid and often gruesome gossip was turned into poetic sing-song, which would survive in infamy down through the ages. Much like the poem about Lizzy Borden: These kinds of poems or sing-songs become obscure as to their origins, but the stories with which they were born out of are pieces of American history. This is the case with Lizzy Borden, and this is the premise upon which Atwood built her story of Grace Marks. The story that is about to unfold is told in the poem: For Atwood’s story, the experience of unrequited love that leads to the double murder of Thomas Kinnear and Nancy Montgomery at the hands of Grace and McDermott relies upon the reader’s interest in the tabloid-like story that surrounds the arrest and trials of Grace Marks and James McDermott. However, the attention, like the poem, is more focused on Grace because any time

Wednesday, August 28, 2019

Aquinas's Five Proofs for the existence of God Essay

Aquinas's Five Proofs for the existence of God - Essay Example The first proof as often called the Argument of the Unmoved Mover. According to it, there are many things in the world that are in motion; yet, the latter is always cased by a mover1. Keeping in mind that the infinite regress of mover is not possible, one will have to agree that ultimately there will be the mover that was not moved by the outside force. In other words, the above mentioned mover is unique since it was unmoved and yet became moved all other things in the Universe. It is quite understandable that this peculiar mover is God. The next proof is referred to as the Argument of the First Cause. It is somewhat similar to the previously mentioned one; however, it places emphasis on a different aspect of reality. According to it, there is a net of causes which connects things in the Universe. In other words, everything is causes by something else2. However, it is absolutely impossible to regress this process infinitely. In other words, there will ultimately be a cause which wasn’t caused by something else. One would make no mistake that this definition fits the idea of God as the supreme cause that is not caused by anything. The third proof it called the Argument from Contingency. As it has already been pointed out, this is another form of the cosmological argument since it involves a logic that is similar to the previous two arguments. According to it, the key aspect of proof of existence of God is contingency of things. Aquinas points out that that everything in the Universe is contingent that would mean that there would be time when no thing exists and, consequentially, no thing would appear3. That is why God is surely a being that is not contingent on other beings. As a result, the very existence of the Universe should be seen as proof of His existence. The fourth argument employs a completely different approach towards the procedure of proving

Tuesday, August 27, 2019

History of African Americans Essay Example | Topics and Well Written Essays - 2500 words

History of African Americans - Essay Example In order to represent the black population, a number of terms have used in the history of United States such as Blacks, Africans, Afro- American, colored, Negro and the African American. Actually the accurate proportion of these African Americans is not known in the existing population of United States. During past three centuries a remarkable racial mixture took place in United States, not only with the people having African ancestry but with other ethnic backgrounds as well such as Europeans and Indian descents. In times gone by, the major approach about ethnic group association within the United States was that people bearing some colored African descent were believed to beAfricanAmerican. Laws have also been formulated in some parts of United States just like in antebellum South, in order to define ethnic association in this regard, by and large, to the disadvantage of non- Caucasian. Notably, though, those physical traits and descent backgrounds are merely a fraction of actual r easons that have placed African Americans separately as a diverse group. (Gilbert, 2009) Over a period of about 350 years, from the early 1500's to the mid-1800, slave traders forcibly transported approximately 12 million Africans across the Atlantic Ocean to the Americas. Of this number, about 8 percent, or approximately 1 million, were brought to North America (after 1619). The rest went to the islands of the Caribbean and the shores of Central and South America. European slave traders working out of western Africa collected the slaves. They took millions of Africans in exchange for guns, iron, beads, silks and other cloths, knives, basins, mirrors, and the like. The slaves were sold to colonial plantation owners in the Americas. (Baldwin, 2008) Outcomes The outcome of this phase was that even without the legitimate status and negative impacts of the local trade of slaves, the African American Families managed somehow to retain the conventional aspects of the ways which arranged the relationships between the elders and children. The influences of the African religious beliefs, customs and traditions were quite obvious, which were reflected by a prominent level of religious activities among the slaves, this also helped to distinguish their point of view about themselves from their owner's. These deep rooted relations with the religion enabled the blacks to establish a number of churches outside the South and later created the black Baptist churches due to the further divisions within Protestantism. Apart from the above the another significant quantifiable measure was the African Methodist Episcopal Church, founded by Richard Allen in Philadelphia and 1787, which was previously referred to as the Free African Society. (Baldwin, 2008) Religious Intolerance The religion in 17th century was a comprehensive power that assisted community to suffer the adversities and forfeits of everyday living in community. Moreover, colonial religiosity

Monday, August 26, 2019

Aspects of intercultural communication in international business Essay

Aspects of intercultural communication in international business - Essay Example At the same time it is not easy to engage in effective international communication because of the cultural, social, political, environmental, legal and communal differences between the countries. Verbal and nonverbal communication aspects are different between countries and the organization planning for internationalization must give proper training to their employees for effectively communicating with the people of the target country. In order to analyse the importance of intercultural communication in international business this paper evaluates probable intercultural communication strategies an American company needs to adopt in China, with the help of cultural dimensions of international communications formulated by Hall, Hofstede, Trompenaars and David A Victor It is possible to communicate using the mother tongue. But, even using mother tongue, it is difficult to communicate effectively. Communication is a complex process which is associated with so many parameters. Communication occur both in verbal and nonverbal forms. In fact most of the communication occurs in nonverbal format compared to the verbal format. Body language, gestures, facial expressions etc can communicate lot of things. Fox (2004), has pointed out that even the dresses can communicate so many things about a person or culture (Fox, 2004, p.275) Cross cultural communication is an existential necessity (Wierzbicka, 1997, p.21). Especially in the current globalized era intercultural communication is necessary for international business and cultural integration. Intercultural communication is the most difficult one because such communication can lead towards misunderstanding if not controlled properly. Berger (1996) has mentioned that intercultural communication continually involves misunderstanding, misperception and misevaluation (Berger, 1996, p.72). Desire to understand and connect with the host population, self knowledge, self assurance and control,

Sunday, August 25, 2019

Beauty by Jane Martin Essay Example | Topics and Well Written Essays - 750 words

Beauty by Jane Martin - Essay Example Such a vision makes the individual become jealous. Consequently, the jealously consumes them and makes the unhappy with the characteristics and the assets they possess. At times, individuals can become discontent with their own lives such that they are very much willing to give up everything they own. This is in an attempt to take a different life or start over with different issues or problems. In the play, Beauty by Jane Martin, the main characters portray their lives as not desirable, and they wish to change their present status. Their actions clearly indicate how individuals tend to be not content with their lives despite what they have (NY Essay 1). The play Beauty is about two girls, Bethany and Carla. Their lives and personalities are developed through dialogue. Bethany is intelligent, and Carla is a beauty, and each has her own troubles. Bethany desires to become a beauty just like Carla, and her dream comes true through the assistance of a magic genie. Carla is a beauty, and she is the center of attraction by the men. She is always busy going to dates and having telephone conversations. However, she is not very good at studying and this can be ascertained by the fact that she cannot even remember what she has read previously. Bethany, on the other hand, is outstanding in school. She earns $40,000 from her job, and she has published several short stories. However, she is not as beautiful as Carla, and this makes her desire to become a beauty (Fryfreely 1). As mentioned before, Beauty by Jane Martin is a play, and she introduces the main characters through a dialogue. The first, main character is Carla, and she is seen speaking on the phone with a casual suitor that she had met at the bar, and she seems not to remember the suitor. From this scenario, it is evident that Carla possesses some form of beauty that grabs male attention even without any real interaction. Her beauty can be ascertained when she mentions that she has to attend a modeling meeting w ith Ralph Lauren. The second main character is Bethany; she is one of Carla’s friend and apparently a very good friend because she minds less interrupting Carla on the phone. She does this despite the fact that Carla requests her to be quiet. Bethany is a public accountant, and her job is very demanding. This makes her decide to take a break from work and go to the beach where comes across a lamp containing a magic genie (NY Essay 1). Bethany is granted three wishes and three chances by the magic genie to get something she would not have gotten in her normal life. The magic genie is used by Martin, to uncover Bethany’s discontent and hidden desires in her life (NY Essay 1). After testing the magic genie, Bethany races, to inform Carla that the genie is real. She requires assistance in deciding what her last (third) wish should be. For Carla, it is all about the money but for Bethany, it is the desire to become like Carla. She desires her glamorous life style and beauty . Bethany tells Carla that beauty is the actual deal and that she, (Carla) is the center of any moment in her life; people stare and men flock at her (Christian 27). Carla responds by saying that she cannot engage a conversation without men coming to her. She suggests that she possesses no privacy and that she is hassled on the streets. She further says â€Å"Well, it’s not what I want.† â€Å"I have never read a whole book.† â€Å"I leave dinner parties right after the dessert because I’m out of conversation.† â€Å"I barely exist outside a mirror! You don’t want to be me† (Christian 27). Bethany is begged by Carla not make this despicable wish, but it is already overdue. In the end, they switch positions and become each other. Both Carla and Bethany had

Saturday, August 24, 2019

See topic below Essay Example | Topics and Well Written Essays - 500 words

See topic below - Essay Example State-funded Medicaid costs appear to be an ever-present for state government in all of the fifty states of the United States, but some states seem to have a more difficult time dealing with the escalating costs and the lower revenue. These states have been forced to seek other methods of revenue in order to fund the Medicaid program. Given the scenario that I was the governor of such a state and I was had to find of forms of funding, other than allotting money from other state funded programs, I would seek certain choices. As in the example of what the state of Kansas is doing. "The State of Kansas is currently engaged in wide-ranging privatization efforts for services such as child support collection, foster care and adoption, and mental health services. These efforts, which have garnered substantial media attention in the state, have resulted in part from the governor's explicit agenda to reduce the size of the Kansas government and to shift service production to more efficient private contractors.(3) The terms "privatized" and "down-sized" are common in the vocabulary of current state leaders" (Johnston, and Romzek 383) Kansas has had a successful venture with this privatization and

Contribution of Facebook to Egypt revolution Research Paper

Contribution of Facebook to Egypt revolution - Research Paper Example In the year 1999, the government of Egypt initiatives was to ensure free internet, reduce the cost of computers, and implementation of many internet access centers. Researches indicate that in the year 2010, approximately 80 million Egyptian citizens had cell phones, which resulted to easy access to Facebook (Elsayed, 2013). How people communicated via Facebook during Egypt revolution In the year 2000, many Egyptian bloggers were able to tackle critical issue. The first blogs in Egypt were published using English, but following Arabic software development, which encouraged publication of more blogs, hence attracting a large domestic population. Following the growth of these blogs, journalists started using other communication technology such as Facebook. The initial Egyptian-instigated cyber activism trial was on April 2008 whereby, the programmers created the first Facebook page, which attracted approximate of seventy thousand supporters. The Facebook knowledge and experience gained power in social media and became an effective instrument to gather information in 2011 protests resulting to Egypt revolution (Elsayed, 2013). Perhaps, what is most effective resulting from the use of Facebook towards revolution of Egypt is the way it transformed the strategy of social mobilization. Perhaps, what is most effective resulting from the use of Facebook towards revolution of Egypt is the way it transformed the strategy of social mobilization. Facebook improved speed and interaction in traditional communication technology.... This really assisted in bringing Egypt revolution to existence. The expansion of the Facebook pages enabled many citizens to engage themselves in political discussions as well as attracting young politicians. Facebook members used this opportunity to spread information on the current faults of President Mubarak government. This discussion seemed to be of the frustrated citizens as the Facebook population portrayed (Marzouki, Skandrani-Marzouki, Bejaoui, Hammoudi & Bellaj, 2012). Many youthful social media journalists who spread political news via Facebook effectively assisted to initiate Egypt revolution. Egyptian youths, gave guidance on their country’s condition using Facebook technology to avoid regime surveillance, like their counterparts, Tunisian youths. During the 2011 Movement, a population that mostly relied on Facebook to gather political information was the major institutional resources of the movement. Two years later, the movement’s leaders introduced nonvi olent movement by designing the association’s logo to bear a resemblance to the Serbian movement logo, which assisted in toppling Slobodan dictatorship. The group members could pay visits to Serbian to meet up the activists. Facebook was the key tool for them to gather and exchange information for better preparations to launch the 2011 protests (Marzouki, Skandrani-Marzouki, Bejaoui, Hammoudi & Bellaj, 2012). Importance of Facebook towards Egypt revolution The main advantage of Facebook technology towards Egypt revolution was its faster means of exchanging information to a large group of both domestic and international Protesters. For example, as Egyptians carefully followed events spread out in Tunisia as they progressed the planning of their protest, the two groups could easily

Friday, August 23, 2019

Risk Involved in Foreign Direct Investment Essay

Risk Involved in Foreign Direct Investment - Essay Example Telecommunications Regulatory Commission (TRC) is responsible in regulating the telecommunications sector. The political aspect is also explored as it is the political system that drafts the rules that outline how business operations are run. In conclusion, I argue that multinational companies need to strike a consensus with the Sri Lanka government in reference to regulatory conditions. As it will become clear in this paper, the role of multinational corporations in the development of economies cannot be underestimated. However, some risks for example those related to the political aspect of governance may prove to be a big obstacle to multinational corporations seeking to invest in Sri Lanka. It is on this basis that this paper comes up to consider the response options available to multinational corporations that operate in the country. Through the use of questionnaires, data relating to the operation of multinational corporations and the risks involved is collected. Through the use of statistical means the data is compiled and analysed. The study finds out that indeed there are political and regulation risks that define operations of multinational corporations in Sri Lanka. This regulation becomes a critical aspect as the rules and regulations are not applied across the board. Through the use of econometric analysis, it is found that political and regulation risks are statistically significant as they influence investing patterns. The small inflow of FDI indicates the response by MNCs towards such regulation. It is however proposed in this paper that the firms should respond by negotiating with governments rather than such withdrawals. It is concluded on the basis of the findings that there indeed exist a connection between political and regulation risks and operations of MNCs in Sri Lanka (Akram 2003).

Thursday, August 22, 2019

Methods Poets Essay Example for Free

Methods Poets Essay Poets often use their work to express their thoughts, this is what the writers of ‘hour’ and ‘to his coy mistress’ have done to express their thoughts on time and love. In hour the poem is about time and how it is short lived when you are in love, whereas To His Coy Mistress is a poem where the man is trying to convince the woman to sleep with him and exploring the idea of living and enjoying your life whilst you’re young. Within both of these poems, the poets use different types of poetic techniques to show how time can affect the relationship of two lovers. The language used in the two poems is very different but they both show the same prospective of time. In ‘hour’ the language used is very blunt and in ‘to his coy mistress’ the language is more creative and imaginative. This is shown in hour when the poet says, â€Å"time hates love†, whereas in ‘to his coy mistress’ the poet says â€Å"we cannot make our sun stand still†. Both of the poets are trying to say that time is in control and it is very powerful. In ‘hour’ Duffy uses personification and simile; this is shown in, â€Å"love’s time’s beggar†. This suggests to us that time is loves enemy and love is begging time. The word beggar almost makes you feel sorry for love. The poet personifies time as loves enemy. In ‘to his coy mistress’ Marvell uses metaphors. For example, â€Å"Times winged chariot hurrying near†, this suggest to us that death will be near. There are lots of imagery used in the two poems. For example, in ‘hour’ Duffy says, â€Å"but even a single hour bright as a dropped coin, makes love rich†. This suggests to the reader that even one hour with your loved is very precious and should cherish the moment. We also see love being powerful than time for the first time. In â€Å"to his coy mistress† imagery is used in the first section of the poem, when the speaker says â€Å"thou by the Indian Ganges side shouldst rubies find; I by the tide of Humber would complain†. Ganges is thought be to be a sacred place India whereas the Humberside in north of England tend to be boring to Marvell. So this suggests to the reader that He is complimenting her as she is unique to him in a desirable way. She is the only person who fulfils the qualification in his vicinity. The both poets use different form and structure to the poems. In ‘hour’, Duffy only has one type of view which is time is always stopping love. This is followed the whole way through the poem. The first opening says, â€Å"Loves times beggar† and in the last stanza it says â€Å"time hates love â€Å". Duffy uses at the start and at the end to show straight away that time is the enemy of love. By structuring the poem like this, the reader will have the same opinion throughout the poem. Duffy also uses short sentences, â€Å"time slows, for here†¦Ã¢â‚¬ . Duffy has added a comma next to â€Å"slows† to show slowness. Some of the sentences in her poem run off, â€Å"summer sky and a grass ditch†, this suggest that she is excited. ‘Hour’ also follows the structure of a Shakespeare sonnet. In ‘to his coy mistress’, Marvell makes his point at the end this is because in the first stanza he talks about what if they had all the time in the world, in the second what would happen if she doesn’t sleep with him. Finally in the third stanza he tells her what she should do. By structuring his poem in that way Marvell shows the lover preparing his argument to his mistress to seize the day and not to hold back. In the first stanza Marvell doesn’t use violent words as he does to the second and third stanzas. Marvell has written the poem in rhyming couplets. Both of the poets show different feelings and attitude. In ‘hour’ the speaker wants a relationship which holds them together and wants nothing else but in ‘to his coy mistress’ the speaker wants a sexual relationship. In ‘hour’ the writer is frustrated with time and love being together. We see this when speaker says, â€Å"time hates love†. It also shows us that the speaker wants a simple kind of love meaning without material possessions, this is shown when the speaker says, â€Å"spend it not on flowers or wine†¦Ã¢â‚¬  In ‘to his coy mistress’ he is cynically flattering his mistress in order to get his own way. This is shows when he says, â€Å"two hundred to adore each breast†. The poem also suggests that the speaker wants a violent love this is shown when the poet says, â€Å"and now, like amorous birds of prey, rather at once our time devour†. Overall both poets have the same prospective of time but have different opinions on relationships. In ‘hour’ the speaker doesn’t want to waste time and wants to cherish every moment by being together. On the other hand ‘to his coy mistress’ wants a sexual relationship. So the speaker says that time is running out for them to have sex and that they do not have all the time in the world. Both of the writers say that time will go fast so don’t waste it. We will also feel time going fast when we are having fun or in love, so we should cherish every minute of our life as it will never come back once it is gone.

Wednesday, August 21, 2019

The Identifying Factor Of Azotobacter

The Identifying Factor Of Azotobacter It is all too easy to forget about the soil microorganisms that are so crucial to the health of the flora and fauna of an ecosystem. When speaking of soil microorganisms, this classification can be further broken down into three subcategories: fungi, protista and bacteria, with bacteria making up the largest portion of the microorganisms (Boyle et al., 2007, Pelczar et al. 1993). These soil microorganisms play a central role to the biogeochemical cycling of nutrients such as, Nitrogen, Phosphorus and Sulphur; elements which are detrimental for the growth and life of organisms (Bastida et al., 2007). In addition to their role in nutrient cycling, soil microorganisms largely contribute to soil structures by breaking down and decomposing organic matters, and are also an important food source for other organisms such as earth worms and amoebae (Bastida et al., 2007). Considering the impact of soil microorganisms on the environment and ecosystem, it is easy to see how soil microorganisms also impact human lifestyle and economy. In recent times, a flood of research has been conducted on the importance of microorganisms on agriculture, with interests in the ability of nitrogen fixing bacteria to substitute for nitrogenous fertilizers (Cakmacki et al. 2006). This lab focused on the bacterial portion of soil microorganisms, specifically, the isolation and identification of a single bacterium from a local soil sample using a number of aseptic laboratory techniques and Bergeys Manual of Systemic Bacteriology (1984). Materials and Methods The following methods were taken from the Biology 203 Lab Manual (Robertson 2008). Two soil samples were taken, the first from forest soil and the second, a coarse woody debris, from compost. These two samples were serially diluted to make solutions from 10E-2 to 10E-7, and from each sample pour plates, slants, streak plates and broths were inoculated using aseptic technique. The colony morphologies were observed and recorded and each plate was enumerated. From these samples 4 bacteria were chosen and subcultured onto streak plates and slants. After preparing and Gram Staining the slides the cell morphologies of the bacteria were observed and noted. The colonies were again subcultured onto streak plates and tested for the ability to hydrolyze starch by adding Iodine. The colonies were also cultured into Sulfide, Indole and Motility (SIM) deeps to test for the presences of the Sulfur cycle and motility. In addition Peptone broths were inoculated and the cultures were tested for ammoni fication. Ammonium sulfate broths and nitrite broths were inoculated and nitrification was tested for as well denitrification was tested for by inoculating nitrate broths. Aerobic respiration was confirmed when catalase tests were carried out by adding H2O2 to a sample of bacterium. Finally cultures were individually exposed to each of several different temperatures, salinities and levels of pH in order to determine their optimal environmental conditions. A single colony of bacteria was chosen to be identified: bacteria 1 from soil sample 2. Results The colony morphology can be described as a glistening opaque white color with a flat and irregular shape. The growth was smooth and soft. The diameter of the colony approximated 15mm. Under 1000x magnification it was revealed that the cells were bacilli, singlet and had a diameter of approximately 2ÃŽ ¼m. The cells stained Gram negative. Table 1: Summary of Results for Unidentified Bacterium 1 of Soil Sample 2 Test Result Starch Hydrolysis Positive H2S reduction Negative Motility Negative Aerobic or Anaerobic Aerobic Ammonification Positive Denitrification (NO3- to NO2-) Negative Nitrification (NH3/NH4+ to NO2-) Positive Nitrification (NH3/NH4+ to NO3-) Positive Catalase Positive Optimal temperature 22Â °C Optimal pH 5 Optimal salt concentration 0% The results of the remainder of the tests biochemical and environmental are summarized by Table 1. It was concluded based on the Iodine and starch reaction that this bacterium hydrolyzed starch as a source of Carbon. The Sulfur cycle did not occur as there was no black precipitate from the combination of Iron and hydrogen sulfide found in the SIM deeps. The SIM deeps did reveal that these bacteria were non-motile, growing only on the stab line. The proteins in the peptone broth were degraded to ammonia signifying that this bacterium is an ammonifer. Nitrification was also confirmed with the bacteria oxidizing the NH3 and NH4+ in the broths to NO2- and NO3. Denitrification however, did not occur; NO3 was not reduced. The addition of H2O2 led to bubbling as it reacted with catalase present in the cells. Optimal environmental conditions were found to be 22Â °C, pH of 5 and 0% salinity. Between the temperatures of 4, 15, 22 and 54Â °C, growth was strongest at 22Â °C, then 15 and wea kest at 37 and 4Â °C . Growth at pH was only slightly stronger than at pH 7 but substantially stronger than at pH 3 and 9 (refer to table 2). Growth in salinity was best at 0% and decreased with .05%, 2% and 5% respectively. Table 2: Growth of bacterium 1 at various pH based on absorbance levels at 580nm pH Bacterial Growth 3 .227 5 .692 7 .510 9 .147 Discussion Each of these steps aided in the possible identification of the bacterium as Azobacteraceae Azotobacter a genera of bacteria found in soil, water and roots (Bergeys Manual, 1984). Due to the thinner layer of peptidoglycan surrounded by a phospholipid outer membrane as opposed to a thick external layer of peptidoglycan this bacterium stained Gram negative (Prescot, Harley and Klein 2005). Of vital importance for identification was the presence of catalase, an enzyme present in aerobic bacteria that breaks down the toxic byproduct of electron transport: H2O2 (Wang et al. 2008). The search to identify Bacterium 1 began with these two broad criteria: Gram negative and aerobic respiration. This particular bacterium was non-motile, the bacterium grew only along the stab line in the SIM deep rather than spreading throughout the medium. This turned out to be an important factor while identifying as it as Azotobacter which contains both motile and non-motile bacteria (Bergeys Manual, 1984). T hese three qualities alone pointed in the direction of Azotobacter; the biochemical and environmental tests served to confirm that Bacterium 1 was indeed Azotobacter by matching the characteristics of this particular genera to the bacterium. Nitrification was a common characteristic between the two and was confirmed to occur in Bacterium 1 when the ammonia broth was oxidized to nitrite and nitrite was oxidized to nitrate (Bergeys Manual, 1984). Denitrification however, did not occur the nitrate was left intact and un-reduced. Ammonification, the breakdown of nitrogen containing compounds to ammonia, was also a common characteristic of Bacterium 1 and Azotobacter (Bergeys Manual, 1984, Roberts, 2008). Although the test for motility in the SIM deep was positive, the sulfur cycle test in the SIM had a negative result. The sulfur containing compounds were not reduced by the bacterium to produce H2S and, this result even as a negative, was an important factor in identification because Azotobacter also does not reduce sulfur (Bergeys Manual, 1984, Roberts, 2008). Bergeys Manual (1984) classifies Azotobacter as a heterotroph and, similarly Bacterium 1 was identified as a heterotroph when Iodine was added to the streak plate con taining starch and no color change occurred in the area under and around the colony. This was an indication of the bacterium breaking down and metabolizing the starch. Finally, the optimal environmental conditions of both Bacterium 1 and Azotobactera were found to be very similar. The optimal conditions were stated as: pH of 4.8 8.5, temperature of 15 37ËÅ ¡C and low salinity (Bergeys Manual, 1984). Bacterium 1 had very similar environmental conditions of: pH of 5, 22ËÅ ¡C and salinity of 0% NaCl. Considering the nitrifying and ammonifiying qualities of the Azotobacter, this bacterium plays an important role in the nitrogen cycle by breaking down proteins and converting the nitrogen into a form that can then be used by other organisms (Butenschoen, Marhan and Scheu, 2007, Cakmakci et al. 2006). Azotobacter, as one of the more common nitrifying soil microbes, is known to produce a great amount of usable Nitrogen, and therefore is closely linked to plant growth and health (Cakmakci et al. 2006, Prescot, Harley and Klein 2005). Interestingly, although many nitrifying organisms hold a symbiotic relationship with plant roots, providing Nitrogen in exchange for nutrients, Azotobacter, in particular, does not (Prescot, Harley and Klein 2005). Azotobacter also carries out starch hydrolysis, and therefore aids in the decomposition of organic matter in soil and the mineralization process (Smith and Smith, 2001). The identification of Bacterium 1 as Azobacteraceae Azotobacter is not definite and several other tests would have required in order to prove this statement as true. One test which would have been very helpful would have been a test for cyst formation; a key characteristic of the Azotobacter (Bergeys Manual, 1984, Prescot, Harley and Klein 2005). The Azotobacter are not rhizobacteria and therefore it would have been appropriate if there were some way of observing the bacteria in their natural habitat. In addition, the tests that were carried out had limitations to the amount of information that could have been gleaned from the results. The nitrification, ammonification, and denitrification tests were based on a simple color change, and there was no way of telling the process by which these functions, if present, occurred, nor were the tests specific to the concentration of the compounds present. All of these tests and techniques could also have been subjected to error, for example, m easurement errors under the microscope, errors in serial dilutions and even, contamination of cultures. From a simple compost soil sample it was possible to isolate and subculture a single bacterium species. Using various biochemical tests such as, tests for nitrification, ammonification, denitrification and the sulfur cycle, it was possible to determine the characteristic metabolic functions of the organism. These results, in addition to observation of cell and colony morphology, especially Gram staining, enabled the identification of the bacterium as Azobacteraceae Azotobacter.

Tuesday, August 20, 2019

Aligning Operations and SCM with Other Functional Strategies

Aligning Operations and SCM with Other Functional Strategies 1. Discuss the importance of aligning operations and SCM with other functional strategies (e.g. Design, Marketing and Finance) in creating a viable business strategy. Skinner gives us a broad picture of how we look at the business as a whole moving away from sub optimization which he has criticised it and making choices that are sensible and how will compete on the market. Skinners work introduced the importance of the concept of trade-offs and the need to align the delivery systems to what market really require therefore the sub-functional trade-off choices are strategically aligned with key manufacturing tasks. Hill come with the concept of OWC and qualifying criteria and highlights the fact that focus should be on what important to the customer and a system require a common objective and everyone on the system is focus on common objective. Rumack Pharmaceuticals is an example of marketing strategy where they produce lots of variants of that ingredient, different pills, different potions, different bottle sizes, different packages because they little way of exploiting market opportunity. The cost of manufacturing is small compare to the value of the product because of the paten and the manufacturing was bottlenecked in this situation. In this case manufacturing means to be subordinate to the opportunity of the business and the nature of the product should be supporting the market opportunity. They end up with capacity problems and long setup times as they did not understood the implications of higher variety on that capacity. Higher variety means to go either for large batches but also inventory or smaller batches and where capacity is more absorbed thru setup. Tyndall B is another example where marketing influenced where company went. Manufacturing invested a lot of effort in chair and their process choice was to go for standard high volume but the demand was more than they would coop with. So marketing made them look at case goods but case goods would not give them so much return. They were not good in manufacturing producing case goods so the profits was declining. But why they did not invested more in tables and chairs rather than spending on galleries where marketing driven to produce a full range of products causing variety to go up and profits down. They was not paying attention of what manufacturing is capable of delivering. They werent aligned. Compare to Rumack there is no paten but there is capability which can be exploited. For both companies idea of alignment strategy was to be for volume and variety. Referring to Babcock Wilcox case study they mix up trade-offs choices because what is good for high volume is not good for low v olume and choices needs to be aligned. Regarding Finance operation strategy from Skinner point of view was all about avoiding local cost and local efficiency. Focus operations on delivery, speed, price and everyone work together to align themselves. Also he argue that quite often in factories every department try to optimise local cost and efficiency which encourage push and pull thinking. Local optimisation is not aligning with the system and we can see evidence of that at Rumack Pharmaceutical where basically in manufacturing you need to be align with the strategy thats being adopted which is all introducing new products resulting in new product capacity which should not happen as will require more capacity in the system. Going for higher variety will put more pressure on capacity because of the setups. Tyndall they had really good arrangements in terms of producing tables and chair colonial style lots of demand for them but they wont exploit it because they said that there is no capacity for that so they went for case goods. Problem was that case goods was providing throughput but no revenue. They were doing everything rather then bringing throughput per bottleneck/minute. There was no alignment to improve throughput per limiting factor or to understand what constraints are and if is a market or resource constraint. Coming to Design from an operation point of view we would like standardisation. From market point of view they want customization. So product have to be standardised as much as we can and have the ability to customise later in other words to postpone it and reduce variability and introduce the buffering options as late as possible. Postponement is used to achieve customisation and efficiency within one operating system. 2 Critically discuss how developing operational excellence can support and lead a business strategy. Porter argue that operational effectiveness is not a strategy and also Lean and TOC are not strategies because they can be copied. Lean, TQM, TOC are all about managing flow in organisation with the idea of cost, push and pull. The main question is how can we improve performance and rid away of trade-offs or how can we break them. Slack et al. (2004) argue that there are five operations performance objectives: cost, quality, speed, dependability and flexibility. The law of trade-offs states that no single plant can provide high performance in all dimensions simultaneously. We would expect to find support for this law if all competitors use similar technologies and are operating near the asset frontier. If all plants are far from the asset frontier, however, one plant can simultaneously provide higher levels of product quality, flexibility, and delivery at a lower manufactured cost if, through betterment, its management approaches create an operating frontier which is superior to its competitors. The theory of performance frontiers clarifies the impacts that assets and operating practices have on competitive advantage. However, the resource-based view took this thinking a step further through positing that competitive advantage can be sustained only if the capabilities creating the advantage are supported by re sources that are not easily duplicated by competitors. Both the asset and the operating frontier can be the source of competitive advantage but they are based on resources of different nature. Armed with an understanding of a firms operating position relative to both competitors and the performance frontiers, strategic planners are better equipped to evaluate and plan manufacturing initiatives. For example, a quality improvement initiative may well be more attractive than a new technology initiative to a firm that considers itself far from its asset frontier. Can operation not just follow business strategy and lead business strategy? Hayes and Wheelwright stage 4 evidence that.In 80s quality and lean was a paradigm shift. Operation capability can actually win the orders. Porter(96) argue that Japanese dont have a strategy as they have operational effectiveness which wins on short term but actually Toyota production system is still difficult to copy on long term. Thus, the process of strategy development should be based on a sound understanding of current operational capabilities and an analysis of how these could be developed in the future. This can then provide the basis for decisions about which markets are likely to be the best in which to deploy current and future capabilities, which competitors are likely to be most vulnerable and how attacks from competitors might best be countered (Hayes et al., 2005). organization fits with the resource-based view (RBV) .toc lean etc 3 Practically evaluate the means of enabling pull (e.g. production, project and distribution) referring to the design of a specific planning and control system. Lead time requirements of the customers tend to drive the OPP towards the customer whereas product variability and demand uncertainty drive it away from customer. The more product variables, less likely it is economically sustainable to keep every variable in stock. Therefore, often large and steady volume products are kept in stock whereas products with a lot of variance are either assembled- or made-to order. Thus, companies have often multiple OPPs depending on the product characteristics. MTS method of production reduces before demand is realise or before orders come in.This are some goods or builds based on capacity or forecast which more often are greater than current demand. This is the reason that stocks are made only to be stored or sold at some future date. MTO builds according to actual demand. This system wont produce stock as all outputs are consumed or sold immediately. MTO is a pull system since every station doesnt start processing unless pull by demand or next process. Therefore we can talk about a pull line or JIT line. This is a type of MTO system in which all working stations are strictly produce according to the takt time. JIT is also known as a lean system or Kanban system. Kanban system control the flow thru a form of electronic or physical signal which tell to start producing or deliver the next part. In the case of MTO the overall approach is termed Drum Buffer Rope (DBR). Pull means small batches and we try get as required by the system. JLR is a pull system because everyone is working at the pace of the system. They relishing car or raw material into the system at the plant rate and everyone is working at the management prescribed rate called takt time. Ohno didnt had physical restriction of space but he had this rule to do something only if you have a Kanban instruction, the signal. Fords moving assembly line physical space was the control, the signal. Kanban was the idea of inventory in the system and TOC BM was another signal: what do I do next? When do I expedite? When do I interfere with the process? Ford had pretty much a lean system that why Ohno quoted from fords book. There is a more complex environment but the principles are the same. planning of stock or raw materials or finished stock in excess is a waste(ford 1926,p99).Ford understood the importance of the flow. He forced everyone to work on the same pace and had the idea of flow line. Ford was applying principles of flow to an environment where it was not so much variety. Ohno had variety and apply principles of flow thru JIT and C.I. linked to law of variability and variability buffering and theory Theory of Swift and Even Flow. He put a lot of effort in minimizing the fluctuations, stabilizing the demand and reduce variability. Ford didnt had Jidoka but he had teams which responded fast. C. I. challenged the traditional trade-offs model. Batch size reduction was the key for lean (Schronburger 1982).Right from the beginning was all about how to reduce batch quantities and setup time which is interpreted like a source of variability in the process. Batches will be reduced till will create a bottleneck again. Reducing setup times will reduce variability. Kanban represents inventory but also time and they are interrelated. In JLR they have a fast response and they doing first order which is coming compare to buffer management. In the case of MTO the overall approach is termed Drum Buffer Rope (DBR) introduced by Goldratt(1990) to reduce variation and improve activity. In the next case study SDBR was used with time being the rope and drum the market demand. The drum previously was the roasting and char grill departments which were considered constraints. In the case of Freshcut Foods when it was to manage the flow they was releasing work in the system to early and cause quality issues and wastages. They had late demands but they were uncertain if they have the capacity to produce. So they needed a system to tell them if they have capacity to take the orders. Finally a system which can tell them how to prioritise what they should produce next and when to release the working to the system was put in practice. If is in the red zone they need to expedite if the red zone is growing means that they have a problem and they need to escalate it.. So Kanban is like an automatic system where everyone knows how to use it. 4 Critically evaluate the circumstances best suited to Kanban and Buffer Management pull systems. Benton (2014, 2) describe that the main objective of manufacturing planning and control function: is to ensure that the desired products are manufactured at the right time, in the right quantities, and meeting quality specifications in the most cost-effective manner. To illustrate the significance of BM in TOC, the functions of BM in TOC is compared with Kanban in TPS. Firstly, both BM and Kanban prioritise work orders albeit with different assumptions and mechanisms. For Kanban, there is a pre-planned quantity or WIP in buffers designed in between every work center. In addition, there is also a specific routing sequences or dedicated production line required for each product, which results in rigidity in responding to market requirements. In BM however, the priority of work is triggered by the percentage buffer penetration of completion time. As it is time-based, it allows each work center to have flexibility to react (or catch-up with time) to disruptions when Murphy strikes. Other than the function of prioritisation, both BM and Kanban have their own mechanism to monitor and control their production throughput. In Kanban, the deployment of distributed buffers in between work centers enables problems to be immediately surfaced and dealt without passing the problem to the subsequent work centers (Ohno, 1989:30). In TOC, aggregated buffer is deployed and thus has a certain delay as problems are only escalated and expedited for attention after entering into the Red zone of BM. However, as highlighted by Stratton and Knight (2010), though Kanban is more sensitive, the problems highlighted are mainly related to quality and process, whereas in BM, it also includes issues such as product volume and mix changes. In spite of these differences, both BM and Kanban advocates continuous improvement. This is seen in the final steps of both TPS: Pursue Perfection (Womack and Jones, 1996:90) and TOC: not to allow inertia to cause a systems constraint (Goldratt and Cox, 2004:307). In Kanban, continuous improvement is encouraged through reducing inventory to expose problems which then can be targeted; whereas in BM, causes of delay (Red zone penetration) are being targeted. 5. Critically evaluate the use of MTA and dynamic buffer management as a means of practically enabling a pull distribution system. VMI say communicate demand and stock levels thru the system and replenish them on the regular basis. Replenish on the stock target MTA is similar with VMI but give a priority code in terms of buffer penetration. DBM is less common as the buffer status signals whether the target level is too large or too small and this can be used to signal automatic adjustments. By monitoring how we are performing in terms of green,yellow and red we can determine whether we need to increase or decrease the stock target For example if we are in the green zone reduce stock target and if is in the red zone increase the stock target. It is the means of getting the system to work at the pace of the consumption where drum is the consumer so is signalling down to distribution system what we need to replenish and how fast which resulting in an idea of pull. In the case of Frozen Meals they replenish based on consumption on the 3rd party distributer so is very straight forward till the stock time. MTA will say if there are multiple orders in the system will give an indication what the priority is. If the consumption was high and replenishing the full quantity in the distribution depot will be less stock. This stock will have to be replenish very quickly so VMI will communicate consumption across the whole supply normally replenishing it within a day or couple of days. So all the demand in the distribution depot will go in the red zone. So VMI says communicate demand and stock level always thru the system and replenishing to the stock target. The problem come when Frozen Meals tried to replenish and couldnt because the warehouse was full. Analysing demands and orders there is obviously that demands are pretty stable and orders are more volatile in demand represented by the consumption of consumer in Weatherspoon. This difference was caused by 3rd party distributer which has his own warehouse and has more stock that he needed and fluctuating and planning orders ad hoc. Because placing order in ad hoc manors caused Frozen Meals to ask for 7 days delay of supply. The ordering system from 3rd party distributer was ad hoc. There was a stock target so why not just replenish this stock automatically communicate down the supply chain whats required. The solution was to go for VMI rather than 3rd party distributer placing orders on Frozen Meals. A pull system was created when the supplier is responsible for maintaining agreed target stock levels. 6 Discuss the strategic importance of postponement through configuration, packaging and distribution, making reference to the concept of an Order Penetration Point (OPP). In the first part I was discussing about focus factory and separating different orders. This can be also separate by postponing which means that will be 2 strategies. one at the first part of the supply chain which is looking to stabilise and standardise and a different strategy at the later stages with a decupling point. How can we design the supply chain to postpone the impact of variation and uncertainty? This can be done in the manufacturing process but distribution side as well. Skinner strategy is about how we take the system perspective and how we meet the needs of the market reducing variability in the process. With TQM the reason why ends up with variability in the process is that no-one consider how to reduce variation. This is what SPC done: to focus on variation which will bring the cost down. Unless will do that then the variability tend to be there which make the trade-off choices about quality and cost. So all of them are about reducing variability. Agility is about dealing with demand uncertainty and demand variability. Stability is associated with lean and uncertainty demand with agility. This table is similar with line vs jobbing looking for two extremes such as delivery speed and low cost. Skinner will argue that this should be two different factories because the owc are different Fisher model talking in the idea of Skinner operation trade-offs in terms of a supply chain. If we have variability in demand we need to buffer like any variation. The ideal efficient model will have flow, minimum variation in demand and process, minimum buffering. In contrast the responsive model demand varies and also product changes in the same time and we got demand uncertainty and we ll buffer with inventory capacity. Talking about lean and agile supply viewed in terms of dependency, fluctuation, buffer capacity and buffer inventory we can refer to law of variability, law of variability buffering, law of variability pooling. Talking about service it represents the customer input which can be put on MTS which can be a date, a forecast. MTA say that the priority of the order all depends on what stock level is, if the stock level goes down rapidly the priority goes up, if the stock level is not priority (demand is low) the priority goes down. In Lego case they was doing bad because they grow over the years resulting in too much variety as increasing number of elements, to many colours and they diversified to do other things(low of focus) As a start-up they cut the number of colours and elements (no elements to be unique to one product stated by the law of variability pooling).In manufacturing they segmented some of the machines as all machines should be able to do everything. They organised and streamlined how they going to manufacture elements. They rationalized the suppliers which is a lean thing. The distribution changed to a pull system and the they supply to one distribution centre in Europe in 3-4 days which is consider closer to the customer. In terms of packaging machines and capacity. By reducing the range of colours and elements setup process variability all this helped to reduce variation and uncertainty. Buffering packaging they postponed rather than holding stock in packets they opted for a centralized distribution centre and more frequent distributions. All this system was about flow. Production is lean if is accomplished with minimal waste due to unneeded operations, inefficient operations, or excessive buffering in operations. Production is agile if it efficiently changes operating states in response to uncertain and changing demands placed upon it ( Narasimban et al..,2006) References Benton, W. C. Jr. 2014. Supply Chain Focused Manufacturing Planning and Control. Stamford, Connecticut: Cengage Learning

Monday, August 19, 2019

Essay --

As a review of techniques for working with students with learning disabilities, various journal articles were reviewed. For the purpose of the assignment, articles were chosen that discussed various aspects of education that a special education teacher would regularly address in their everyday work. Articles were chosen that spoke to suggestions for the teaching of academic as well as social skills for students with disabilities. Another topic central to the work of a special education teacher is collaboration with others. For this aspect, an article about collaboration with parents was selected. Finally, an article addressing the methods of teaching in both the special education as well as the general education classroom was selected. Each article spoke to a different and important aspect of the special education programs and how teachers work with both students and others involved in the education of students with exceptionalities. Academic Skills In addressing students with special needs, it is often beneficial to focus intensive interventions on students with specific difficulties. In the first study, Vaughn, et. al. (2012) investigated the benefits of an intensive intervention for students with sever reading difficulties. For the study, the selected students that had a very low Response to Intervention (RTI). These students did not respond to the general education interventions targeted at students with reading difficulties. In this study, the investigators developed an intensive intervention for those students not responding to the graduated interventions of RTI. For the purposes of the study, the split the group into two categories; a normal intervention of specialized instruction, and an intensive intervention group. Th... ...and go to work. However, my compliance with this rule of my employer allows me to continue employment and to reap the rewards of my job. Compliance to social norms as well as authority is an important social skill that many students need to develop. As the authors point out, â€Å"the cycle of inept social skills cannot be broken by chance† (Dobbins, et. al., 359, 2010). It is important for both special educators as well as their general education colleagues to assist students in the development of the important social skills necessary to become an active and productive member of society. This study points to the importance of explicit instruction in social skills and that it is possible to teach them to students that lack the necessary skills. This is very important for educators to recognize, especially considering the number of emotional disturbed students coming to u

Sunday, August 18, 2019

Personal and Social Struggles in The Crucible by Arthur Miller Essay

Although a strict society composed of high morality and disciplinary laws may be necessary for safety, it causes internal conflicts within the individuals. In The Crucible, by Arthur Miller a theocracy in Salem rules and guides the citizens into doing what is â€Å"right†, but eventually backfires due to issues of reputation and jealousy. Society has a lot of influence on the citizens, and with a bad reputation, it is nearly impossible to live in a Puritan society. Salem’s strict Puritanical social structure causes personal struggles for the individuals involved in the events of The Crucible, and then eventually these personal struggles affect the society overall. Abigail’s struggles come from many of her personal desires that are forbidden in her society, causing her to lie. However, this also creates further social problems, such as the initiation of the witch trials. After Betty is stuck in a coma, Reverend Parris questions Abigail about the night in the woods, because he is suspicious and she denies that it had anything to do with witchcraft. Abigail replies to Parris saying, â€Å" We never conjured spirits† (24). Abigail lies to Parris, denies the statement that witchcraft ever occurred, and says that all they did was danced. Witchcraft and dancing both are sins in the society, and she knows that her reputation is at stake and finds the need to lie to look innocent. Parris wants to be sure and calls Reverend Hale to look further into the issue. Once Reverend Hale comes into town, he questions Abigail about the night, and she once again denies everything he asks her. Abigail is being questioned by Hale, and once Tituba ente rs she screams, â€Å" She made me do it! She made Betty do it! She makes me drink blood!† (45). Abigail denies every... ...Proctor deals with issues based on guilt which eventually are brought up in court. Although the individuals’ personal struggles in The Crucible are brought by society, ultimately they affect society as well. Abigail’s personal desires were forbidden in society which brought her struggles, ultimately causing her to lie, and then initiating the witch trials. Mary Warren is unable to keep her personal commitment to John Proctor because of her fear of Abigail and the girls, eventually harming John Proctor. Lastly, John Proctor deals with his guilt over his affair with Abigail, and he confesses in court, but Elizabeth testifies he has not had an affair. All of these personal and social struggles are relevant to our society today because the witch trials are still a very controversial Works Cited Miller, Arthur. The Crucible. New York: the Penguin Group, 1995.

Cultural Diversity In Local Politics Essays -- essays research papers

Cultural Diversity in Local Politics Overview This paper explores the limits and potentials of ethnic and racial coalition building in Los Angeles. The demographic changes that have occurred in Los Angeles during the past twenty years have been extraordinary, both in scope and diversity. The area has witnessed a literal boom in population growth, increasing from 7 million in 1970 to 8.8 million in 1990. (US Bureau of the Census) However, it is the dramatic change in ethnic and racial diversity of the population which has caught most observers attention. Los Angeles has taken on a new form in terms of its racial diversity, moving from a biracial to a multiethnic setting. The non-Hispanic White population has declined from its 71 percent share in 1970 to a narrow numerical plurality of 41 percent of the county's population in 1990. Meanwhile, the Latino and Asian Pacific population witnessed a doubling -- from 15% to 39% -- and near quadrupling – from 3% to 11% of their population shares respectively. Meanwhile, African Americans, while slightly growing numerically, were a constant share of the county population (11%) during this period. (Oliver and Johnson:57-94) Thus, on the eve of the twenty-first century, Los Angeles has one of the most ethnically diverse populations of any metropolitan area in the country. What does this ethnic diversity mean for multiethnic coalition building in the politics of Los Angeles County? Does the changing demography increase the opportunity for ethnic cooperation? Or, has the ethnic changes increased rather than decreased the prospects of interethnic conflict? Introduction After the 1992 riots, a clarion call was issued from all corners for the emerging multiethnic majority to take its rightful place in the politics and leadership of the city. A multiethnic coalition, it ws suggested, could lead the city to a new multicultural future. This call was clearly built on the assumption that three divers groups – African Americans, Asian Pacific Islanders and Latinos – could come together and pursue a coalition built on their common interests. But what do we do know about the prospects of multiethnic coalitions? There is voluminous literature on urban politics. However, this literature has been shaped principally by the question of racial politics. (Browning, Marshall and Tabb) That is, how have traditional urban politics,... ... California Press, 1984). Carmichael, Stokely, and Charles V. Hamilton, Black Power (New York: Vintage Books, 1967). Horton, John. "The Politics of Ethnic Change: Grass Roots Responses to Economic and Demographic Restructuring in Monterey Park, California," Urban Geography 10:6 (1989): 578-592. LASUI (Los Angeles Survey of Inequality) Focus Group Interviews, 1992. Oliver, Melvin L., and James H. Johnson, Jr., "Interethnic Conflict in an Urban Ghetto: The Case of Blacks and Latinos in Los Angeles," Research in Social Movements, Conflict, and Change 6 (1984): 57-94; US Bureau of the Census.. op. cit. Oliver and Johnson, see above; Also by Oliver and Johnson, "Interethnic Minority Conflict in Urban America: The Effects of Economic and Social Dislocations," Urban Geography 10 (1989): 449-463. Ramos, George and Tracy Wilkinson, "Unrest Widens Rifts in Latino Population," Los Angeles Times, May 8, 1992. Sonenshein, Rafael J., Politics in Black and White: Race and Power in Los Angeles (Princeton: NJ: Princeton University Press, 1993). US Bureau of the Census, Census of Population and Housing. (Washington, DC: US Bureau of the Census, 1970).

Saturday, August 17, 2019

Causation of Crime- the Two Theories 1 Essay

The two theories I chose to compare and contrast are the Trait and Choice theories. These two theories explain why people commit crimes but differ in reasoning. I found that the main difference in between the two is that the choice theory states that if people want to commit a crime they will if the benefits outweighs the punishment. The trait theory differs because it deals with testosterone and whether or not people with lower IQ’s are more liable to commit crimes. When looking at the two theories you will see that the first theory is more straightforward and the second one leans more towards taking the blame away from the individual and placing it their traits. I like the fact that the choice theory states that if a person is going to commit a crime they are going to do it. Not only does this theory cover the fact that the person committing the crime weighs his or her options but might also do it out of enjoyment of act. The trait theory takes the responsibility away from the individual and places it on traits such as testosterone. I feel that this theory allows people to commit crimes and later on say that it was due to producing too much testosterone or use their IQ as an excuse to escape the fact that they committed a crime. Making the person accept responsibility for their actions it what should happen and the choice theory seems to lean more towards that as opposed to the trait theory. I would associate the guns and crime trend to the choice theory. The reason for this is because most people who commit crimes with guns already have the intention to use it. This means that they already made up their minds and have chosen to commit the crime. For instance gang crimes that involve guns, these individuals use guns, in their minds, to gain territory or even for retaliation. In a ten year span that covers 1997 -2007 there were 650 homicides (Krueger, 2007), this means that 650 times the people have made the conscious choice to kill someone. Out of those numbers, 290 of them have been by shootings (Krueger, 2007). That is some real food for thought when you add the choice theory into the equation. Gutierrez, K. (2007). Albuquerque metro area saw 54 homicides in 2007. Scripps Newspaper Group. Retrieved from: http://www. abqtrib. com.

Friday, August 16, 2019

Education of Girl Child Is Burden Essay

The 2012 Summer Olympics, officially the Games of the XXX Olympiad[2] and commonly known as London 2012, was a major international multi-sport eventcelebrated in the tradition of the Olympic Games, as governed by the International Olympic Committee (IOC). It took place in London, United Kingdom, from 27 July to 12 August 2012. The first event, the group stage in women’s football, began two days earlier, on 25 July.[3][4] More than 10,000 athletes from 204 National Olympic Committees (NOCs) participated.[5] Following a bid headed by former Olympic champion Sebastian Coe and then-Mayor of London Ken Livingstone, London was selected as the host city on 6 July 2005 during the 117th IOC Session in Singapore, defeating bids from Moscow, New York City, Madrid and Paris.[6] London was the first city to host the modern Olympic Games three times,[7][8] having previously done so in 1908 and in 1948.[9][10] Construction for the Games involved considerable redevelopment, with an emphasis on sustainability.[11] The main focus was a new 200-hectare (490-acre) Olympic Park, constructed on a former industrial site at Stratford, East London.[12] The Games also made use of venues that already existed before the bid.[13] The Games received widespread acclaim for their organisation, with the volunteers, the British military, and public enthusiasm praised particularly highly.[14][15][16] Theopening ceremony, directed by Danny Boyle, received widespread acclaim.[17][18] During the Games, Michael Phelps became the most decorated Olympic athlete of all time, winning his 22nd medal.[19] Saudi Arabia, Qatar and Brunei entered female athletes for the first time, so that every currently eligible country has sent a female competitor to at least one Olympic Games.[20] Women’s boxing was included for the first time; thus, the Games became the first at which every sport had female competitors.[21] By 15 July 2003, the deadline for interested cities to submit bids to the International Olympic Committee (IOC), nine cities had submitted bids to host the 2012 Summer Olympics: Havana, Istanbul, Leipzig,London, Madrid, Moscow, New York City, Paris and Rio de Janeiro.[22] On 18 May 2004, as a result of a scored technical evaluation, the IOC reduced the number of cities to five: London, Madrid, Moscow, New York and Paris.[23] All five submitted their candidate files by 19 November 2004 and were visited by the IOC inspection team during February and March 2005. The Paris bid suffered two setbacks during the IOC inspection visit: a number of strikes and demonstrations coinciding with the visits, and a report that a key member of the bid team, Guy Drut, would face charges over alleged corrupt party political finances.[24] Throughout the process, Paris was widely seen as the favourite, particularly as this was its third bid in recent years. London was seen at first as lagging Paris by a considerable margin. Its position began to improve after the appointment of Lord Coe as the new head of London 2012 on 19 May 2004.[25] In late August 2004, reports predicted a tie between London and Paris.[26] On 6 June 2005 the IOC released its evaluation reports for the five candidate cities. They did not contain any scores or rankings, but the report for Paris was considered the most positive. London was close behind, having closed most of the gap observed by the initial evaluation in 2004. New York and Madrid also received very positive evaluations.[27] On 1 July 2005, when asked who would win, Jacques Rogge said, â€Å"I cannot predict it since I don’t know how the IOC members will vote. But my gut feeling tells me that it will be very close. Perhaps it will come down to a difference of say ten votes, or maybe less.†[28] On 6 July 2005, the final selection was announced at the 117th IOC Session in Singapore. Moscow was the first city to be eliminated, followed by New York and Madrid. The final two contenders were London and Paris. At the end of the fourth round of voting, London won the right to host the 2012 Games with 54 votes to Paris’s 50.[29] The celebrations in London were short-lived, being overshadowed by bombings on London’s transport system less than 24 hours after the announcement.[30] The 2012 Olympic and Paralympic Games used a mixture of new venues, existing and historic facilities, and temporary facilities, some of them in well-known locations such as Hyde Park and Horse Guards Parade. After the Games, some of the new facilities will be reused in their Olympic form, while others will be resized or relocated.[38] The majority of venues have been divided into three zones within Greater London: the Olympic Zone, the River Zone and the Central Zone. In addition there are a few venues that, by necessity, are outside the boundaries of Greater London, such as the Weymouth and Portland National Sailing Academy some 125 miles (200 km) southwest of London, which hosted the sailing events. The football tournament was staged at several grounds around the UK.[39] Work began on the Park in December 2006, when a sports hall in Eton Manor was pulled down.[40] The athletes’ village in Portland was completed in September 2011.[41] In November 2004, the 200-hectare (500-acre) Olympic Park plans were revealed.[42] The plans for the site were approved in September 2004 by Tower Hamlets, Newham, Hackney and Waltham Forest.[43] The redevelopment of the area to build the Olympic Park required compulsory purchase orders of property. The London Development Agency was in dispute with London and Continental Railways about the orders in November 2005. By May 2006, 86% of the land had been bought as businesses fought eviction.[44] Residents who opposed the eviction tried to find ways to stop it by setting up campaigns, but they had to leave as 94% of land was bought and the other 6% bought as a  £9 billion regeneration project started.[45]

Thursday, August 15, 2019

Breaking A Cultural Rule About Gender

It is important to note important terms in this paper such as gender, gender roles and patriarchal society. Gender is a distinguishing form used to differentiate between a male and a female. Although gender is mostly referred by us as sex there is still a noticeable difference between the two terms. This difference is basically more on the fact that gender refers more to a social construction wherein sex refers to a biological condition. Gender roles are most commonly found in a particular social group or system.Gender roles refer to a set of behavioral norms that are usually connected with males or females. Of course, gender roles differ from one place to another. In most countries females are treated almost as an equal to that of males. However, there are still countries which remain rigid with their beliefs that men are superior to that of women and they even support the Platonic view that women are incomplete men. Of course these kinds of beliefs are the primary reasons why many women are enraged and thus many movements are formed which aims to liberate women from their restricted roles in the society.One may wonder why it is the case that even though many feminists movement already emerged, the successes of these movements are still considered limited. On my own viewpoint, I think the reason lies on the numbers of feminists’ movements that emerged. With so many forms of these movements, they find it hard to solidify themselves into one movement which would liberate women once and for all. Due to different beliefs and contrasting viewpoints, women themselves argue with each other as to what they should be fighting about.However, one common belief between these numerous groups of women lies on the fact that the cause of repression and marginalization among women lies within the patriarchal society. Patriarchal society emerged from the belief that fathers should be the one to take good care of the welfare of their family. It is through this that the be lief that men should take the bulge of the responsibility for their community emerged. One can easily see the reason why women consider patriarchy to be the one to blame for their conditions.As for me, the only difference between a man and a woman lies on their biological differences, nothing more and nothing less. It is common knowledge that we are living in a society which is filled with rules and roles. There are things that only men can do as there are things that only women are expected to do. As a woman, the society expects you to be gentle and you should take care of your family in such a way that a woman must make sure that her family is well-feed, properly clothe and the like.Common expectations from men on the other hand lies on the fact that they are physically tougher than women and thus men are expected to act tough. Most men are afraid to show their weaknesses and they seldom cry even though they so wanted to. Men are also expected to take care of his family, though in a different way from that of a woman. The taking care expected from a woman is very minimal as compared to those from men. Women are expected to do the household chores, to cook the food that would feed her family and the like. Men on the other hand, are expected to provide the means or the resources needed by his family.Men should be the bread-winner in their family and this is primarily the reason why a man takes it hard when a woman feeds her family. This kind of scenario is most common in a family where the man can’t find a job and thus it fells on the woman’s responsibility to make sure that their family have the resources they need in order to survive. Most men can’t take this kind of living and their prides suffers great damage. Anyhow, such are most of the common gender rules our society are boxed in. It is from the examples stated above from where I got the idea of what kind of gender rule I should break.As a woman, if you want to be respected by the p eople around you, you should act the way a woman should. Of course there are many ways on which a woman can choose to act but a respectable woman is expected to act with finesse and she should not act loosely if she does not want to be treated like a slut. One can see how unfair it is that men can do what they want without worrying to what it could possibly cause them in most cases. For example, if a girl decides to have two or more boyfriends the society would brand her as a slut.If a guy on the other hand decides to have two or more girlfriends then he is considered great among his peers and it would not do much damage to his reputation as compared to the damage a similar act could inflict upon a woman. If a man was insulted he can easily take revenge by fighting back. A woman, on the other hand cannot do the same thing because it would be unwomanly to act in such a way. Of course women fighting each other are a natural phenomenon on slums and places of such sorts but women who ha d proper education are expected by their society to act in a more finesse manner.It was this kind of experience I would share in this paper. For this project I asked a friend of mine for her help. I asked her to pretend that we fell into a fight and that we should go on with our act for a number of days. This friend of mine which I would hide in the name Anne had been my friend for as long as I can remember and thus we have a common circle of friends. However, Anne is studying from a different school than mine and thus she’s got friends whom I don’t know as I do have mine.Now the scenario we decided to portray is to fool our friends into believing that we really fell into deep hatred with each other and this particular conflict could not be resolved in any way. The reason of the fight would be something really deep that both of us would not want to discuss with any of our friends. To make matters worse I would pretend that Anne has been doing things to me which I canâ €™t tolerate wherein Anne on the other hand would appear weak in front of her friends and she would tell stories of how badly I acted with her. On the first day of our fight nobody really believed that we have been fighting each other.However, as the time moved our fiends slowly got into believing that we really are fighting with each other. Our first approach had been exchange of hurtful words but these did not convince our friends and so on our third day of acting we tried to act a little harsher and thus we ended slapping each other. Of course the slapping happened in a public place of all places and it is needless to say that the experience had been really embarrassing. It had been such a hard task fooling our friends but we finally convinced them when Anne and I got a little physical.There are so many things I’ve expected out of what happened. I expected that some of our friends would side with her wherein some would side with me. However there are also a number of t hings which occurred which I haven’t expected. Some of Anne’s friends from her school convinced Anne to wait for me on my way home and in order not to drop our act Anne let her friends convinced her. It was only through a text message that I’ve escaped from an encounter with her friends. Another thing I did not expect is a friend of mine which I would hide in the name Toby really sided with Anne at first.Toby called me after learning about what happened and he asked me how I managed to act in such a way. He even went as far as to say that he didn’t expect it from me of all people to act in such a way. However, after explaining my self Toby apologized and decided to stay neutral. He later said that what made him act rashly is the fact that Anne had been very pitiful in recounting her story. Of all the things which I’ve expected the only thing which happened is that out group of friends really divided themselves between Anne and me. However, there ar e some who remained neutral and worked themselves hard to bridge the gap between Anne and me.Of the experience I have learned how society treats catfights differently from male fights. Of course if male friends fell into dispute similar thing could also happen (splitting of friends, etc. ). However, male fights are more common than catfights especially if things get physical. My mother winded up with what happened and she really boxed my ears after learning of my fight with Anne. She then went on to lecture that an educated woman does not act in such a way and that it is very childish and unladylike of me to get myself involved in such a fight.Many hurtful things and judgment also befell on me and Anne that I am glad that our acting is finally over. Upon experiencing this I have learned that though women appears to be equal to that of their male counterparts nowadays, such is still not really the case. Men can do most things without ruining their name and reputations wherein a woman would have to endure demeaning words, stares and the like if she decided to act contrary to what was expected of her. In terms of fighting a guy is more justified to defend his self to that of a woman. When you are a guy you can do almost anything and people wouldn’t say a thing about it.You can pick a fight whenever you feel like it and people would only consider it natural some would even went as far as to say that he’s a real and admirable man to be able to handle such a fight and the like. Such things got no place for women and thus catfights are considered as a form of entertainment by some (based from my experience). Besides when I tried to justify myself by asking a friend of mine how is he different from me when he himself fights for what he believes in he answered that he is a man and I’m a woman as if that alone is answer enough.Such is the unfairness of the patriarchal society we are living in today. No wonder many oppose this kind of society. Howeve r, I believe that if women really want to get out of the box society put them into they should do so by giving up the benefits they enjoy in this kind of patriarchal society simply on the basis that they are a woman. Reference: http://www. britannica. com http://education. yahoo. com http://www. infoplease. com

Wednesday, August 14, 2019

American civil war

The South States of the United States dependent upon agriculture as a source of foreign and domestic exchange and therefore held a negative feeling about abolition of slavery. Nevertheless in order to save the image of the constitution as a legal binding document that granted freedom to all Abraham Lincoln together with the support of the Union states felt that liberal source of labour was much more profitable both to the economy and civilization of the United States.The cotton and tobacco producing states felt oppressed by the antislavery tactics of the federal government and promptly seceded since the federal government was acting beyond the provisions of the constitution in abolishing slavery and therefore in response decided to secede from the Union for independence since they considered the Union’s constitution less supreme to individual states’ constitution.Therefore the American civil war was about the issue of different views about free labour against slavery an d the subsequent supremacy of the Union’s constitution over individual states independence. The Union established the 13th amendment act that abolished slavery by allowing all men to be free and at liberty to and in order to preserve the constitution that formerly paradoxically upheld slavery, Abraham Lincoln had support the Union’s war against the pro-slavery south (Cornell University Institute, 2010).The federal government had its quarters at the Washington D. C. while the Confederation has it headquarter at Virginia’s Richmond. The Union’s economy was organized and well established through the promotion of industries and use of immigrants as industrial workers and the general population while the south cotton and tobacco states derived their economic subsistence from agriculture with over five million slaves.The Republican Party believed in democracy and justice regardless of ethnicity as a fundamental right under the auspice of the constitution-conseq uently in order to protect the supreme constitution’s aspirations to promote a coherent and democratic America the Union had to fight the southern militia that were against the Union control and abolition of slavery (Stampp, 1981, 144).Religious, cultural and intellectual freedoms were being undermined in the South against the Union government’s principle of the 13th amendment act and the allowed slavery was denting the image of US in Europe that widely perceived the presence of slavery to as a sign of inability within the Union’s government to act.Economically, the Union benefitted from the Union government economic policies and taxation more than the confederation. Therefore it was a mandatory economic issue that the United States had to be kept together despite the civil war through proper conflict resolution that would see the economic models of the North America spread to the south in order to end the former economic disparities between the two regions.The economic value of the United states in the international market was dependant on the union more than a divided America that would soon enter into worse civil unrest realities and fierce interstate rivalry of ideologies and religious views that would have torn American into pieces as the American enemies projected as a mechanism to further colonize and control the economic power of the vast continent. Lincoln as the president had the right to preserve the Union from disintegration due to diverse political views in order to look in control (Stampp, 1981, 192).Military aggression of the southerners was well advanced to inflict damage in courage and sustainable conquest tactics due to the recently concluded Mexican war experience to use the horse and the gun more effectively. Also, the North as the government knew that they were disadvantaged in military action and therefore the war had to be fought with a common ground that would help in enlisting more soldiers to defeat the south (McW hiney, 1984,170).Therefore the Union was aware that in any case the southern aggression had to be suppressed if the power of the Union government under the leadership of Abraham Lincoln was to be recognized with respect as a legally binding Union. Therefore President Lincoln referred to the 1863 Emancipation Proclamation as the â€Å"last card, and I [Lincoln] will play it and may win the trick.† And therefore â€Å"we must make that proclamation effective by victories over our enemies. † Since â€Å"It's a paper bullet, after all, and of no account, except we can sustain it† (Don, 1862)-thus the president and the union were exercising a crucial and political will by suppressing the southern insurgency that threatened to break apart the United State into meaningless defragmentation that would soon shrivel up in economic and political disparity.The south secede was politically seen as a form of annexation against the United States and Lincoln would have gone down the history as the president who broke the Union. Consequently, the Union had a political right to protect the US from becoming desolate in the face of the determined southerners who believed in offensive wars that â€Å"have many advantages; purely defensive ones will always end with submission† and that â€Å"the greatest minds in the South are coming to the conclusion, that our liberties are to be won by the bayonet.Those regiments or companies that most distinguish themselves in bayonet charges will march on the true road to honor and preferment† (McWhiney, 1984, 144); such propaganda in the general media put the Union government into task of either preventing the escalating confrontation by the Confederation or face imminent alienation. Therefore the preservation of the Union was quite dependant in the military power of the Union over the south as the civil war was already in progress. The south seceded from the war after the election of Abraham Lincoln as the pr esident of the United States.The southern economy was dependant on agriculture. With the large scale growing of cotton, slaves and land conservation was necessary. The slaves were needed since they were a source of cheap labor on the white farms. As opposed to the south, the north’s economy dependent on industrial production of finished goods thus the slaves was not needed in the production. This meant that the southern life was based on the plantation and firm system while the northern life was based in the cities.The southerners who benefited from agriculture were pleased to go to war with the aim of attaining independence as they thought the war would take a short time and they would come out victorious as they were better skilled fighters than the northerners. However, since the war showed no sign of coming to an end while the northern seemed to be taking all the advantages, the northern felt the need to guard and conserve their land against any force especially the north ern thus leading to most abandoning the fighting to and protect their properties at home.( Kelly 2010) The war of states versus federal rights led to the emergence of two camps within the government whereby each wanted to be in control over the other. After the American Revolution, a weak federal government formed by thirteen states called for a strong constitution since problems were on the rise. The frequent problems led to the secret creation of the US constitution by the leaders.Due to the absence of some key leaders like Thomas Jefferson and Patrick Henry during the constitution making, it was felt the constitution had failed to put in mind the states’ rights of acting independently whereby a state would decide whether to accept or refute federal rights. This led to the idea of nullification that would see the freedom for states to rule the federal act as either unconstitutional or not. The southern states were for the option of each state making its own law instead of t he central government. This was nullification as campaigned for by people such as John C. Calhoun who greatly advocated for the nullification.When nullification failed to succeed, the southern states felt disrespected and uninvolved in the government issues. The southerners then opted for the secession as an option (Kelly2010). Land gained from the Louisiana Purchase and Mexican war saw the Americans posses vast tracks of lands. This led to the big debate as whether the new states acquired could be treated as slaves or Free states. The 1820 Missouri compromise solved the issue by proclaiming that slavery was illegal while other alternates suggested several awareness programs for the slaves as the federal government was to compensate the slave owners.The south was left to rethink its alternatives on the issue of slavery where it picked on benefits versus cost in deciding the fight. (Michael 1996)Another conflict arose as to what would happen to the conquered lands after the war. The 1846 Wilmot Proviso by Wilmot David proposed that the land should be slave free a move strongly opposed in a debate. Kansas-Nebraska Act of 1854 that caused the freedom to have slaves or not in the two states led to a lot of blood shedding to the states.The wrangles led to the south withdrawal from the government as they felt they were being ignored. The growth of the abolition movements by the northerner’s against slavery while proclaiming the negative impacts of slavery led to the increase in number of anti slavery supporters especially from the outside nations who sympathetically joined in the slavery abolition movement thus favoring the north against the south to the extent of supporting the south in war that eventually saw the south loose over the north. (Kelly 2010).Though the victory of Lincoln in the elections saw the south in the state of South Carolina declare a secession thinking that Lincoln was who was a presidential candidate from the north was elected so as to favor the interests of the anti slavery people from the north thus he could not serve their interests . The southerners further thought that they could lose their land to the northern who were now in control of the whole state thus causing some men in the battle ground feign excuses to get back home and manage their possessions.States like South Carolina stated the reason for secession being constitutional violation under Lincoln to which the Union saw as a form of political annexation against the presidency and the founding fathers view about America (Michael 1996). In conclusion the war that was sparked off by the issue of slavery in order to protect the supremacy of the Union constitution against the literally annexation of the United states by the South was won and the servitude done away with.Remarkably, President Lincoln preserved the Union and established a better platform that allowed the integration of the economic value of the United States as one nation. References: Don E . and Virginia E. Fehrenbacher, editor, Recollected Words of Abraham Lincoln: Letter from Charles Sumner to John Bright. August 5, 1862 McWhiney, G. (1984). Attack and Die: Civil War Military Tactics and the Southern Heritage. University of Alabama Press. ISBN 0817302298, 9780817302290 Stampp, K. (1981). The Imperiled Union: Essays on the Background of the Civil War.Oxford University Press US. ISBN 0195029917, 9780195029918 Cornell University Institute. (2010). 13th Amendment. Legal Information Institute. http://topics. law. cornell. edu/constitution/amendmentxiii Michael B. (1996). Lincoln’s election and the south. Retrieved May 8, 2004 from http://www. h-net. org/~south/archives/threads/lincoln. html Kelly M. ( 2010)Top Five Causes of the Civil War Leading up to Secession and the Civil War Retrieved May 8, 2004 from http://americanhistory. about. com/od/civilwarmenu/a/cause_civil_war. htm