Saturday, August 31, 2019

Waste banana plant (Musa sp.) Trunks as an Alternative source of pulp for paper making Essay

Edible Banana (Musa sp.) the plant is a gigantic herb that springs from an underground stem, or rhizome, to form a false trunk 3–6 meters (10–20 feet) high (Encyclopedia Britannica, 2006). Bananas cannot be grown anywhere because they are very sensitive to strong winds, hence, if planted on open areas, one must use windbreakers for the banana plant not to be harmed, the plant can be also planted on dry lands provided that there is a stable irrigation (Department of Agri-culture, 2010). Paper is a material made of cellulose pulp, derived mainly from wood, rags and certain grasses, processed into flexible sheets or rolls by deposit from an aqueous suspension (Encyclopedia Britannica, 2008).It is the most widely used material by mankind since its discovery in China. The average dimensions of a letter sized paper is 8.27*11.69mm The aim of this study is to find out if the pulp from trunk banana is suitable for paper production. Statement of Problem General Objective This study primarily aims to find out if pulp from the banana tree trunk is a better alternative than wood pulp Specific Objectives: 1.) This study aims to find out if paper produce using banana plant trunk’s pulp is more economic than the commercially used tree trunk pulp; 2.) And to find out what is better: 100% banana plant trunk pulp of banana tree trunk pulp plus recycled paper. Hypothesis The paper made in this study will be more cost efficient than paper mass produce by companies using commercial grade wood pulp Significance of the study The paper made from the waste banana plant trunk pulp will Increase the income of the Banana farmers here in the Philippines because instead of simply discarding the Banana plant trunks after harvesting the ripe bananas, they could sell it to factories for added income Scope and Limitation of the Study This study is only limited to the use banana plant trunks and recycled paper in the creation of paper that will be produce by this study. Definition of terms Banana-a treelike tropical palm with large leaves and flower clusters that develop into a bunch of finer shaped fruit which are yellow or red when ripe(Webster’s New Encyclopedic Dictionary, 1999). Wood Pulp-a material prepared by chemical or mechanical means chiefly from wood and used in making paper and cellulose products (Webster’s New Encyclopedic Dictionary, 1999). Review of Related Literature and Review of Related Studies Banana (Musa sp.) Name for several species of the genus Musa and for the fruits these produce. The banana plant-one of the largest herbaceous plants-is said to be native in tropical Asia, but is now cultivated throughout the tropics (The Free Dictionary 2010). Wood Pulp Pulp from wood used in making cellulose derivatives (as paper or rayon) Mold and Deckle A mold is a wooden frame with wire mesh stretched on it while a deckle is just a wooden frame the same size as the mold but is has no wire mesh stretched over it. Related Studies There is a study conducted by the students of University of Cordoba and University of Pablo, Spain (2012) to characterize the banana plant residues and use it in pulping and combustion processes. Another study conducted by the North East Science and technology Institute (2008) which aims to make grease proof paper out of banana pulp fiber. Methodology Tools and Materials The waste banana plant trunk that was used in this study were taken from Brgy. Punta Tabuc, Roxas City, Capiz. The materials that were a machete,3 pcs lower banana plant trunks, a deckle, 3 pcs 10Ãâ€"7 silk screen and mesh wire screen molds, a large stainless steel pot and sodium hydroxide.

Friday, August 30, 2019

Living Together Is Not Wrong

Chanut Tipphanawadee 155 100 5877 SECTION 5153 Assignment 2 : ————————————————- There is nothing wrong with people living together before they get married. It seems undeniable that living together of couples and marriage of them are totally different of what they did in past. The amount of divorce rate, abortion rate, abandoned children are unstoppable increase. The reason is people in this era have been changed the concept of marriage and living together. Moreover, the rights of human has affected us. Especially, women in this epoch have more powerful than the past.Therefore, I strongly agree with the statement â€Å"There is nothing wrong with people living together before they get married†. There is more than one reason why living together before get marriage is not wrong and should be accepted by our society. Firstly, the couples that living together before they get married is able to look how life would be like with the person who lives with. For the reason is when two peoples whether men or woman living together the conflicts might be occurred because of the different of each other’s behavior such as spending habits, cleaning ,and time.These are important to the couples getting along in the long terms and they can only be learned by proximity when they live together for a period of time. Furthermore, they have to learn to be more responsible and take care of each other like what marriage couples do. Moreover, we are in the new generation where the society is liberal. So, if they can live together before they get married their marriage and couples’ life are more tend to be perfect marriage . That why there is nothing wrong with living together before marriage.

Thursday, August 29, 2019

Bruno - Boy in the Striped Pajamas Essay Example for Free

Bruno – Boy in the Striped Pajamas Essay Bruno is portrayed as talkative in the novel The Boy in the Striped Pajamas because when he went exploring he found a boy, named Shmuel on the other side of the fence he was not afraid to not only talk to him but, to have a bit of a conversation with Shmuel, although he had never met this boy before. Here is some of the conversation the two young boys carried on the first time they had met: â€Å"Hello,† said Bruno. â€Å"Hello,† said the boy. â€Å"I’ve been exploring,† he said. â€Å"Have you?† said the little boy. â€Å"Yes. For almost two hours now.† â€Å"Have you found anything?† asked the boy. â€Å"Very little.† â€Å"Nothing at all?† â€Å"Well, I found you,† said Bruno after a moment (page 106-107). Bruno is described as creative in this novel because when he let it slip to his sister that because of the rain he hadn’t been able to go and see Shmuel for a few days he was quickly able to make up an excuse that Shmuel was his imaginative friend: â€Å"I have a new friend,† he began. â€Å"A new friend that I go see everyday. And he’ll be waiting for me by now. But you cant tell anyone.† â€Å"Why Not?† â€Å"Because he’s an imaginary friend,† said Bruno trying his best to look embarrassed, just like Lieutenant Kotler had when he had became trapped in his story about his father in Switzerland. â€Å"We play together everyday† (page 155) In this novel Bruno is showed as curious because he loves to explore even though it is off limits at the new house, ‘Out-With’, Here is an example of a time when Bruno went exploring: ‘Before heading of in that direction, though, there was one final thing to investigate and that was the bench. All of these months he’d been looking at it and staring at the plaque from a distance and calling it ‘the bench with the plaque’, but he still had no idea what it said. Looking left and right to make sure that no one was coming, he ran over to it and squinted as he read the words. It was only a small bronze plaque and Bruno read it quietly to himself. ‘Presented on the occasion of the opening of†¦Ã¢â‚¬  He hesitated. ‘Out-With Camp,’ he continued, stumbling over the name as usual. ‘June nineteen forty’ (page102). Bruno is defined as caring throughout the book because he doesn’t recognize the various barriers presented, between him and Shmuel, Bruno is also very caring as he treats Shmuel as an equal unlike the soilder’s and many people around him. ‘Perhaps you can come to dinner with us one evening,’ said Bruno, although he wasn’t sure it was a very good idea. ‘Perhaps,’ said Shmuel, although he didn’t sound convinced. ‘Or I could come to you,’ said Bruno. ‘Perhaps I could come and meet your friends,’ he added hopefully (page 132). This specific reference from the novel shows two different barriers between Shmuel and Bruno, one being the fence between them and the other being the families when they go to supper together. Bruno – Boy in the Striped Pajamas. (2016, Nov 12).

Wednesday, August 28, 2019

Amy Kollar Anderson painting Essay Example | Topics and Well Written Essays - 1000 words

Amy Kollar Anderson painting - Essay Example The colors that Amy Kollar Anderson has chosen are interesting because they are mostly red and green. This gives the setting a dark feeling and makes the viewer think that something else is going on in the painting. There seems to be too many leaves on the tree, but perhaps the artists deliberately did this because she wanted to enclose the space above the little girl. The small pieces of the sky that are shown are swirly and made up of colors that do not usually belong with the sky. The designs in the sky appear to be in the form of snakes, and this shape can also be witnessed in the leaves of the tree and also at the base of tree. Maybe the author did not intend to give the viewer a feeling that snakes were hanging from the tree, but that is the first impression that I got from looking at this picture. Moreover, the ground appears to either be made up of rocks or very large snakes. This also spells danger for the girl in the picture, and maybe this is why she has a worried look on her face. I found it interesting that the artist chose not to include any grass in the painting. Grass can be considered as a symbol of peace, and the artist is not trying to convey that message through this painting. I think that the reason why the artist made the little girl’s environment so harsh is so that the viewer would feel sympathy for her. If she had been in a nice pleasant environment, then it would have been hard to understand about her present situation. In fact, the setting of this picture is more important.

Tuesday, August 27, 2019

The Impact of Afterschool Programs within California High Schools Research Paper

The Impact of Afterschool Programs within California High Schools - Research Paper Example This report declares that in the study of the impact of after school programs within California high schools, the variables were debate, church, track, football, baseball, basketball, swim team, lacrosse, soccer, karate, volleyball, tennis, cheerleading, gymnastics, dance, no after school activities, students’ academics and community involvement. Variables are the factors or elements which make up a given argument as they act on each other in various ways. They are the determinants of how a given phenomenon shall turn out to be. There are different types of variables. Generally speaking, there are the dependent variables and the independent variables. The independent variables are those which do not change regardless. This paper makes a conclusion that doctors and psychologists concur that indeed at the high school age, the students have a young body and brain all of which are growing at a very fast rate. There are very many changes that are taking place in the body of the students at this point in time and putting too much stress on them is a recipe for disaster. In this regard, considering the fact that the academic content in high schools is one of the toughest and nerve racking, it is very recommended that a way is devised for taking the stress away from the students. There is no better way than engaging the students in after school programs on a daily basis. It is a source of comfort that is effective in the restoration of sanity to the young minds of the high school students. In the study of the impact of after school programs within California high schools, the variables were debate, church, track, football, baseball, basketball, swim team, lacrosse, soccer, karate, volleyball, tennis, chee rleading, gymnastics, dance, no after school activities, students’ academics and community involvement. Variables are the factors or elements which make up a given argument as they act on each other in various ways. They are the determinants of how a given phenomenon shall turn out to be. There are different types of variables. Generally speaking, there are the dependent variables and the independent variables. The independent variables are those which do not change regardless. They are not affected by any other factors or variables. They are usually factors which are either permanent or are changed by supernatural factors. In this case, they are the students’ academics and community involvement which are always invariable. On the other hand, dependent variables are those which rely on other variables so as to act in a given fashion. They cannot stand on their own as changes which occur on other factors would alter them to behave

Monday, August 26, 2019

Examination Essay Example | Topics and Well Written Essays - 500 words

Examination - Essay Example The issue to be settled is whether or not Joan, Jake, and Johnny are guilty of violating the Securities law prohibiting insider trading – Johnny in his capacity as officer of the firm, and Joan and Jake who acted on tips from Johnny. Sec 16 (b) of the Securities Exchange Act of 1934 directly addresses insider trading, while Sec 10(b) indirectly does so. Insiders refer to the officers, corporate directors, or beneficial owners of more than 10% of a firm’s shares.1 The case law is SEC v Texas Gulf Sulphur Co. (1966) which ruled that anyone in possession of inside information must either disclose the information or refrain from trading. Dirks v SEC (1984) ruled that tippees (receivers of second-hand, non-public material information) are liable if the tipper was in breach of fiduciary duty, and he/she and the tippee personally benefitted from the disclosure. Illegal insider trading â€Å"involves the theft of valuable information about corporate plans that properly belongs to the corporation and its investors.† 2 Its vigorous prohibition is necessary to protect the intellectual property rights that rightfully belong to the corporation and its shareholders.3 Illegal trading is done when the purchase or sale of securities is conducted in breach of fiduciary relationship on the basis of non-public, material information, in such a way that the price of the security is affected. It is also illegal for the person enjoying such relationship of trust and confidence to tip such material, non-public information for them to trade on such basis. Aside from appropriating the information in violation of property rights, insider trading also reduces the incentives of legitimate market participants to make discoveries of information, by unjustly appropriating trading profits on undisclosed information. It robs investors of many benefits of

International intervention and Pathways to Peace in Kashmir Essay

International intervention and Pathways to Peace in Kashmir - Essay Example In 1947, the British dominion of India came to an end with the creation of two new nations. Each of the 565 Indian princely states had to decide which of the two new nations to join, India or Pakistan. Jammu and Kashmir, which had a predominantly Muslim population and a Hindu ruler, was the largest of these autonomous states and bordered both modern countries. Its ruler was the Hari Singh. Hari Singh preferred to remain independent and sought to avoid the stress placed on him by either India and Pakistan by playing each against the other. But under pressure he decided to accede to India which created this dispute. The Indian claim centers on the agreement between the Maharaja Hari Singh, Jawahar Lal Nehru and Lord Mountbatten according to which the erstwhile Kingdom of Jammu and Kashmir became an integral part of India through the instrument of accession. Even though more than 80% of India's population practices Hinduism, the President of India, A.P.J. Abdul Kalam, is a Muslim while the leader of the ruling Congress Party is a Catholic. Indians also maintain that Kashmiris would be better off in India because they claim that Muslims are better off in India than in any other non-Muslim nation. India says Kashmir its integral part on the basis of following reasons: 2. 1. For a UN Resolution subscribing Plebiscite monitored by any third neutral party, Pakistan should first vacate its part of Kashmir. 2. India does not accept the Two Nation Theory that forms the basis of Pakistan, rather India says that majority is authority and any nation in India can get power through democratic institutions, hence there is no need of plebscite. 3. The state of Jammu and Kashmir is made autonomous by the article 370 of the Constitution of India. 4. India alleges that most of the terrorists operating in Kashmir are themselves Pakistanis from Pakistan administered Kashmir and that Pakistan has been involved in State sponsored terrorism. First Pakistan should control that cross border terrorism then India would go towards any acceptable solution of the dispute. 5. India regard Pakistan's claim to Kashmir based largely on religion alone to be no longer correct because now India has more muslims than Pakistan. Pakistani view Historically, the Pakistani claim on Kashmir has been based on the fact that the majority of Kashmir population is Muslim and, if given the option, most Kashmiris would vote to join Pakistan or seek independence. Since 1951, Pakistan has been demanding India to hold a plebiscite in Kashmir as agreed by both nations in 1951 at UNO forum. Pakistan claims that Kashmiris took a violent path to independence only when they became hopeless and disillusioned about their future in the late 1980s. Pakistan claims that India is now using excessive state forces to suppress the freedom struggle of Kashmiris and in doing so, is causing severe human rights violations in the disputed territory of Indian occupied Kashmir (Peter 2006). This is also documented by several human rights groups. Pakistan further claims that: 1. According to the two-nation theory by which Pakistan was formed, originally Kashmir should have been with Pakistan, because it has a absolute Muslim majority. Pakistan believes that given a choice, almost all Kashmiris will vote. 2. India has shown disregard to the resolutions of the UN, by not holding a

Sunday, August 25, 2019

President Barak Obama and the Health Care Bill Essay

President Barak Obama and the Health Care Bill - Essay Example When it comes to employers, the healthcare bill would excuse some employers. The bill would form independent departments through which start-up businesses can get insurance. However, there have been a lot of current reports criticizing the healthcare recommendation of President Obama. Both the Democrats and Republicans are fearful that it will negatively affect the future generation. The lower- and middle-class feared that being obliged to purchase a healthcare plan will give much pressure on their limited resources, since they will not be qualified to the ‘low income pass’ (Planinz 2009, para 2) of President Obama. Also, conservative health supporters are discouraged that the plan of the president does not involve insurance for a lot of kinds of similar medicine (ibid, para 2). Backers of the healthcare bill of the president say that millions of Americans with no health insurance are now being a burden to the economy of the government (Haddy 2010). As said by National C oalition on Health Care, â€Å"The United States spends nearly $100 billion per year to provide uninsured residents with health services, often for preventable diseases or diseases that physicians could treat more efficiently with earlier diagnosis† (Planinz 2009, para 6). The plan of the president only includes the uninsured. ... Most known is an urgent need for policy. Anyway, going back to the employer-based healthcare insurance, there are lots of findings showing that the purpose of generating profit has a part in creating healthcare expenses (Morman 2010). Insurance companies looking for revenues will try to cover individuals who are not sickly. Employers and doctors will, with no payment rules, try to give the highest amount of service they can give for the maximum price (Kinney 2010). There are lots of facts saying that all individuals involved in healthcare will and do act in response to payer regulations intended to lessen costs. Individual suppliers and providers will act towards appeals to create profits without interests to public policy (Haddy 2010). Regulations are developed to lessen price and use. The fact that is not sufficiently reported is how patients are influenced by the minimization in imaging services (Morman 2010). Questionably doctors had less evidence on which to make health-related choices. The major concern is whether they had adequate evidence. There are lots of facts showing the problematic business techniques of all persons involved in healthcare and that these techniques do a lot to ruin an active market for the goods and services of the healthcare sector. Under no situations should the sector of the economy so greatly supported by the taxes paid by the public be permitted to turn into a ‘cash cow’ (Kinney 2010, 407) for businesspeople who are not capable of giving first-rate goods and services at a cheap price in a highly competitive market. But, all the parties concerned appear to be facing lots of difficulties when it comes to agreeing on what actually should be done. Internet

Saturday, August 24, 2019

Optional Essay Example | Topics and Well Written Essays - 3000 words

Optional - Essay Example It is, therefore, necessary that the government implements a tax-cuts with caution and one of the ways of achieving this is letting the tax cut on the rich expire and extent AMT at a permanent way. In lieu of turning around the living standards of individuals, family and society through promoting economic activity, different national administrations around the world have brought together economists and lawyers to draft government policies whose principal pillar is tax cuts. The most notable of all is that tax cut polices are the ones proposed and enacted by The President George W. Bush’s administration in years 2001-2003. The basic tenet of this ideology is the macro-economist approach of supply-siders that, according to the Laffer’s curve, a reduction in the tax rate especially for the middle class increase their spending, which in turn increases demand that forces supply to increase by the law of demand and supply. Eventually, this leads to an increase in economic activity. Increased economic activity means that the labor market absorbs many people and at a better pay, people pay low prices for commodities, business have more capital to invest, and government c an broaden its tax base by closing tax breaks and other tax leaks. However, there is no empirical backing to this claim, by the respective governments, even after adopting tax cuts on temporary terms. This is explained by the fact that reducing the tax rate actually increases government debt in the long-run, which may cause budgetary problems in the future. The best way of dealing with this is to reduce tax rates and simultaneously reduce government spending in response to reduced government revenue. However, in an effort to ensure equality, welfare and improved living conditions/standards for all, some essential services are not an obligation or mandate of players such as the corporate world, but the responsibility of the government. In this view,

Friday, August 23, 2019

Two Requirements of Mental State Essay Example | Topics and Well Written Essays - 1500 words

Two Requirements of Mental State - Essay Example In order to understand such concepts, this paper will use the case of a friend who was recently involved in an accident and cannot be allowed to leave hospital since the doctors are unsure of the student’s mental state. Doctors claim that her brain is not normal whereas she has a clear memory of the accident and behaves in the same way as before. In my opinion of whether the hospitalized friend ha mental states or not, I believe that one can have a mental state even without an organic brain. Moreover, behaving like a human being does not prove that one has a mental state. The hospitalized friend does not show a normal range of mental states, but she shows some mental states. All the doctors in the cases have different perspectives on mental state. Their arguments represent different philosophical theories. The first doctor claims that mental states are type-identical to states of the human brain and since the patient in our case lacks a normal brain, he cannot have mental states. Doctor two said that the patient had some mental states since he could behave exactly like others but insisted that the patient did not have all of mental states. Thus in doctor two’s view, right behavior is only a necessary condition of mental states. Doctor three believes that mental states required a Cartesian soul. Dr. four disagrees and claims that same behavior is sufficient for mental states. Dr. Five rejected that human brain is necessary for mental states. In addition, he claims that if what in the patient’s head is a digital computer, then he cannot have mental states. All doctors are represent some philosophical theories. Dr. #1 is an identity theorist, #2 believes functionalism and Dr. #3 is a Cartesian. Dr. #4 is behaviorist and #5 represents parts of John Searle’s view that against machine can possibly think. This paper will focus on discuss Dr #1 and Dr #5. It is important to understand what a mental

Thursday, August 22, 2019

Questions In E-Commerce Essay Example for Free

Questions In E-Commerce Essay Question 6 Resources are the financial, physical, human, technological, and organizational assets of a company. A distinctive competency is unique to a company and allows it to earn a profit rate that is above the industry average.   Distinctive competencies are the products and services that directly fulfill the organizations goals, and is what the company does uniquely well.   Therefore, resources used to create distinctive competencies are the fundamental building blocks of the company’s success.   A resource must be in demand, or scarce, or difficult and costly to imitate, or have no substitute to add to a company’s competitive advantage.    In addition, it is only those resources which directly contribute to the core competencies of a company that add to its competitive advantage. Question 7 The internet can both increase the difficulty of imitation for a company, and it can also make it easier for other companies to copy.   Some companies use the internet as a core resource.   An example is EBay, which would not exist if it were not for the internet. However, the fact that EBay functions via the internet remains one of its core resources.   It has proven incredibly difficult for competitors to imitate to provide the level of service and marketplace which EBay enjoys.   Of course, EBay is continuously improving upon this core resource.   On the other hand, the internet creates a basic platform for selling.   One of the impacts of the Internet on companies using barriers of imitation as a competitive advantage is that they must be constantly improving and developing their products and services.   The internet allows consumers to browse many companies offering the same services.   If a company is able to do something better, or offer a superior product, they must be able to show this over the internet.     A small fashion designer selling their products over the internet runs a great risk of being copied quickly.   This may provide greater incentive for the designer to be continuously creating new designs and styles. Question 8 The resource based view and market views of competitive advantage are complementary.   They can both be used by the same company to determine what its key competitive advantages are, and also help a company explore what new competitive advantages they may want to develop.   The resource based view looks at what the company has.   Its physical assets as well as it process assets.  Ã‚   What the company does uniquely well.  Ã‚   The market view of competitive advantage looks at the marketplace first.   It identifies the way the company markets itself or the consumer need it fulfills. When looking at a company from the market view, the question asked is â€Å"How is this company unique in the marketplace.†Ã‚   A company can benefit from taking both a resource-based view and a market view of competitive advantage.   A company can analyze its internal resources and identify the resources that are key to its success and fulfillment of the organizational goals.   When it performs this analysis, it knows which attributes it must keep in order to stay competitive.   It is able to identify its internal core competencies.   On the other hand, the company can analyze the marketplace.   It can identify its role ion the market.   Is it satisfying its customers?   In what ways?   What are the core strengths of the company in the market?    These are the core competencies of the organization on the marketplace.   The company may choose to develop these further, if greater competitive advantage would be gained, or perhaps focus on developing a new market capability if the external environment is shifting.  Ã‚   When the company then takes its external and internal analysis and put them together, a better picture of the company’s true core competencies is displayed.   The company can then see where it may need to make adjustments or where resources or markets should be developed to take advantage of strengths. Question 9 There are basically two ways the Internet can add to a company’s cost advantage.   One, it can reduce the operating costs for a company.   Two, if a company has a cost advantage, they can increase the volume of their sales.   First, selling goods via the internet allows a company to keep a virtual location.   In this scenario, the company may not need to keep its own inventory or staff.   The company could order products from its vendors as ordered by customers and not keep any inventory at all.   There are no physical displays that need maintenance, nor are there any salespeople on the floor who need to be paid.   This is a strategy pursued by Amazon.   They do not have any brick-and-mortar stores to maintain, so they have no displays to maintain, and no salespeople to pay.    The overhead for maintaining the website is less than the overhead for maintaining the shop.   This gives Amazon a competitive cost advantage over Borders.   Also, when consumers are shopping via the Internet they are able to compare prices over multiple suppliers very easily.   Search tools like MySimon and others search the internet for the product the user enters and returns the prices from various online stores.   In this way, the internet can increase the volume of shoppers buying from a particular company.   If the shopper is only concerned with price, they will often choose the company that has the lowest cost.   Therefore, if the company is able to provide the lowest price, they can gain a competitive advantage via the internet by increasing their customer base. Question 10 Effective differentiation is achieved by a company when they really stand out in the consumer’s mind as something different.   They have developed a unique attribute to a point where customers buy from them based on their unique image.   Two ways the internet can help a company achieve effective differentiation is through exploitation of niche markets and providing services and products in a real-time environment.   On the internet, the market for any one website is much larger than what a store can typically reach. In this way, the company has access to many more markets by using the internet than they would otherwise.   This allows for the flourishing of niche market products and services – or highly effective and differentiated services. An example of a niche product on the internet market is a flea collar for dogs that is safe for the whole family! It has a small chamber into which it draws fleas via scent. The fleas cannot escape from this chamber and die.   The price is high, but the market is environmentally sensitive dog owners. Via the internet, sufficient promotion can be done to make production of this item profitable.   It could be much more difficult to market this product via stores.   Another way the internet can be used to differentiate a company in the marketplace is in the speed and responsiveness of the company to the real world.   The best example that comes to mind is the news.   News companies on-line can present stories to consumers much more quickly than in print. Customers are able to choose their source for news based on how real-time the news source is able to present the information.   Businesses must actually focus on differentiating itself from its customers to effectively compete in the internet marketplace.   There are so many providers of the same service or product, that a company must create and emphasize its difference to gain customers.   Some focus on ease of use, some on reliability, some on image, and others on customer service.   There are many ways to create differentiation, but the company must be aware that simply being on the internet does not automatically create a competitive advantage.

Tuesday, August 20, 2019

Alternative Sources of Toxicology Tests

Alternative Sources of Toxicology Tests Careful analyses of the community of insects encountered on a decomposing body, combined with knowledge of insect biology, ecology, and local environmental conditions, can often provide valuable forensic insights. These can include the estimation of time since death, movement of the remains after death, indication of antemortem injuries, and the presence of drugs or toxins. Over the past two decades, there has been an apparent increase in the incidence of drug-related deaths reported within the United States and other countries. Decedents in such cases are, in many instances, not discovered for a substantial period of time (days or weeks). The resulting state of advanced decomposition and environmental recycling typically encountered in these situations often dictates the employment of various entomological methodologies. The entomological techniques most frequently utilized are based on comprehensive analyses of the insects and other arthropods associated with the remains, their development, and patterns of succession (Goff and Flynn 1991, Goff and Odom 1987, Lord et al. 1986). The accuracy of entomological estimates in deaths involving narcotic intoxication has been subject to debate in recent years, as few available studies have explored the effects of drugs contained in decomposing tissues on fly colonization and ovipositional behavior, or on the rates of development of carrion-frequenting insects feeding on such food sources (Goff 1993). Additionally, relatively few studies have examined the effects of other tissue contaminants, such as toxins or environmental pollutants on these behaviors or the developmental patterns of the insects colonizing such tissues. In recent years, interest has also focused on the potential use of carrion-frequenting insects as alternative toxicological specimens in situations where traditional toxicological sources, such as blood, urine, or solid tissues, are unavailable or not suitable for analysis. The use of anthropophagic fly larvae (maggots) as alternate toxicological specimens is well documented in the entomological and forensic science literature (Miller et al. 1994). Detection of various toxins and controlled substances in insects found on decomposing human remains has contributed to the assessment of both cause and manner of death (Lord 1990, Goff and Lord 1994, Nolte et al. 1992). With the development of hair extraction technologies, attention has recently focused on the analysis of chitinized insect remnants that are frequently encountered with mummified and skeletonized remains (Miller et al. 1994). In such cases, the standard toxicological specimens are often absent. Studies of the use of carrion-feeding arthropods as alternative toxicological specimens, and of the impact that tissue toxins and contaminants have on the development of immature insects feeding on these substances, currently comprise the major avenues of exploration in the emerging field of entomotoxicology. The potential value of larval and adult carrion-feeding insects, and their chitinous remnants, as alternative sources of toxicological information has been clearly demonstrated. As with other emerging technologies, however, great care must be taken in the interpretation and use of such data, particularly within the forensic arena. Given recent advances in analytical procedures, it has become more practical to use even decomposed tissues for analysis (Tracqui et al. 2004). The situation may still be encountered where for various reasons there are no tissues remaining and the arthropods remain the only available material for analyses. In these instances, a qualitative analysis will be of value, but any attempt at quantitation must be viewed with skepticism. Much more research is required before the full potential of this discipline can be recognized. Forensic toxicologists qualitatively and quantitatively identify drugs and poisons which may be relevant to cause and manner of death. In most cases, toxicological specimens are collected at autopsy. Alternatively, if a body is badly decomposed, bone, hair, and insect larvae and pupae are collected and analyzed. The use of insects and insect remnants as toxicological specimens is well documented. Insect tissue or remnants (pupal cases, frass, etc.) can be used to identify drugs and toxins present in decomposing tissues. Literature to date has cited the use of arthropods as an alternative toxicological source since 1980. Beyer was one of the first to use maggots to qualitatively assess drug presence in a suspected suicide case. A body of a 22-year old female was found skeletonized except for the skin. Larvae were collected and homogenized with the proteins precipitated out of solution. Gas chromatography was used to identify a phenobarbital concentration of 100 ÃŽ ¼g/g in larval tissue. The larvae were identified as Cochliomyia macellaria (Beyer et al. 1980). Levine et al. (2000) described a case in which an unidentified male was found by a river and was decomposed and skeletonized. An empty bottle of secobarbital was found near the body. Calf muscle and maggots were sent for toxicological analysis. No substances or drugs were detected in the calf muscle, but secobarbital was identified in the maggots by electron ionization gas chromatography/mass spectrometry. In a similar study, Wilson et al. (1993) reared Calliphora vicina on human skeletal muscle from suicidal overdose victims of co-proxamol (propoxyphene and acetaminophen) and amitriptyline. Third instars were transferred to drug-free muscle or allowed to feed on drug-laden muscle for two more days prior to harvesting. The drug concentrations in the muscle food source were 0.48 ÃŽ ¼g/g amitriptyline, 0.38 ÃŽ ¼g/g nortriptyline, 0.99 ÃŽ ¼g/g propoxyhene, and 14.3 ÃŽ ¼g/g acetaminophen. The mean ratios of drug concentrations in larvae to the food source were 0.5, amitriptyline; 0.5, nortriptyline; and 0.06 for propoxyphene. In all stages no drugs or metabolites were detected in puparia, pupal cases, or adults (Wilson et al, 1993). Malathion, an organophosphate insecticide, was identified in larvae found on a decedent thought to be a suicide victim. Malathion was detected at a concentration of 2,050 ÃŽ ¼g/g of larvae in specimens collected from the decomposing remains. Malathion exhibits low toxicity in mammals, yet a high toxicity to adult insects. In this case, the maggots were developing normally despite concentrations of malathion that were toxic to rats and adult species of blowfly (Gunatilake and Goff 1989). This case illustrates the importance of studying the effects many drugs and toxins have on insect species since drugs and toxins may affect insect development, mortality rates, and PMI. The effects of various drugs and toxins to carrion-feeding insects have been investigated, but this area of study is still expanding. Tracqui et al. (2004) examined 29 necropsies in which various organic compounds (including benzodiazepines, barbiturates, antidepressants, phenothiazine, opiates, cannabinoids, meprobamate, digoxin, and nefopam) were detected in arthropod larvae sampled from human corpses. Larvae were collected from multiple sites on the cadaver, weighed, washed, and dried. The larvae were mechanically homogenized and then extracted using solid or liquid phase extraction procedures. Sample extracts were then analyzed by gas or liquid-chromatography. The results indicated that the concentrations of the drugs in insect tissues tended to be lower than those of cadaveric samples, and that concentrations varied between anatomic sites (i.e. within anatomic sites when larvae were grouped according to their site of sampling). Tracqui et al. (2004) also found only weak correlat ions between the concentrations of drugs in biofluids at the time of death and those in the larvae sampled from the cadaver at a later time. Goff has conducted a number of entomotoxicology experiments with various drugs (Goff et al. 1989, Goff et al. 1991, Goff et al. 1992, Goff et al. 1993, Goff et al. 1994). When Goff did his studies he administered the drug to a living animal. He did this so that known and reproducible concentrations of drugs and metabolites in animal tissue could be used to approximate amounts normally encountered in human fatal overdoses. Hà ©douin et al. (1999) established concentrations of morphine in an animal model before rearing larvae on tissues. Morphine, a metabolite of heroin, was injected intravenously into rabbits. The kinetics of morphine elimination from blood after a single intravenous injection of morphine and the concentrations of morphine in tissues following a continuous perfusion were established. Morphine concentrations were determined using radioimmunoassay techniques. The rabbits that received a single injection received 2 mg/kg of morphine hydrochloride. Three rabbits received 2 mg/kg of body weight of morphine hydrochloride per hour for a period of 3 h using a continuous perfusion through a plastic catheter in the ear. Results from the continuous perfusion showed that the concentrations of morphine differed according to the organ analyzed, but were reproducible for organs between animals. This study permitted known and reproducible concentrations of morphine in the rabbit to be used as a subst rate for rearing of larvae in entomological studies. Goff used rabbits in his entomotoxicological studies of cocaine and heroin on Boettcherisca peregrina (Goff et al. 1989, Goff et al. 1991). The rabbits in the heroin study were given 6, 12, 18, and 24 mg of heroin by cardiac puncture. Boettcherisca peregrina were allowed to feed and develop on liver tissue containing heroin. From hours 18 to 96, larvae feeding on liver tissue containing heroin developed more rapidly than those feeding on the liver from the control. Time required for pupation was also greater for larvae that fed on tissue from heroin dosed rabbits than for the control larvae. The rates of development were sufficient to alter PMI estimates based on larval development by up to 29 hours (Goff et al. 1991). In a similar study, three domestic rabbits received dosages of 35, 69, and 137 mg cocaine in 5 mL saline via cardiac puncture in the cocaine study. The dosages represent one-half the LD50, the normal LD50, and twice the LD50. Boettcherisca peregrina were allowed to feed and develop on tissues containing cocaine. From hours 30 to 70, larvae developed more rapidly on tissue containing cocaine from rabbits injected with 69 mg and 137 mg of cocaine than on tissue from rabbits injected with 35 mg of cocaine or no cocaine. Total development times required for pupation and adult eclosion were also shortened. Differences between larvae developing on cocaine-dosed rabbit tissue compared to a control were sufficient to alter PMI estimates based on larval development in decomposing human tissues by up to 24 h (Goff et al. 1989). Goffs results indicate that an opiate (e.g., heroin) and a stimulant drug (e.g., cocaine) can both increase the rate of development in the Boettcherisca peregrina (Goff et al. 1989, Goff et al. 1991). Bourel et al. (1999b) administered morphine chlorhydrate to three rabbits each at a different concentration. The three concentrations were 12.5, 25.0 and 50.0 mg/h of morphine chlorhydrate via ear perfusion. A fourth rabbit was used as a control. Following administration of the drug, rabbits were sacrificed and 400 eggs of Lucilia sericata were placed in the eyes, nostrils, and mouth of each rabbit. Larvae were sampled daily to determine growth rate and weight. Puparia and emerging adults were also sampled. In this study, the larvae reared on the control and the rabbits that received 12.5 and 25 mg/h of morphine developed at similar rates from hours 41 to 69, while larvae reared on the carcass given 50.0 mg/h of morphine developed at a slower rate. From hour 91 to 165, the larvae from carcasses that received 12.5 and 50.0 mg/h developed at the same rate, which was slower than the control colony. Overall, the effects of morphine appear to be dose dependent as the larvae feeding on the rabbit that received the greatest dosage were the slowest to develop. Based on results from this study, between hours 91 and 165 estimations of larval age based on total length can be significantly in error if the presence of morphine in tissues is not considered. The error can be as great as 24 h for Lucilia sericata larvae measuring from 8 to 14 mm total length. In another case Bourel et al. (2001) used approximately 100 larvae of L. sericata reared on seven 250 g portions of minced beef combined with morphine hydrochloride solutions. After egg hatch, 10 specimens of second instar, third instar, post-feeding third instar and pupae were sampled and immediately frozen. After adults emerged, they were kept in a jar until they died and desiccated. Samples were homogenized, centrifuged, and the supernatant analyzed for morphine content using a specific radioimmunoassay. Concentrations of morphine were high in second and third instar larvae, almost proportional to concentrations in minced meat, but almost no morphine was detected in pupae. The results indicate that larvae excrete the drug during the post-feeding stage. A quantity of morphine is sequestered in the cuticle of pupae, but at minute concentrations. Morphine is sequestered in the cuticle during larval growth and in the formation of puparia (Bourel et al. 2001). Elimination of drugs or toxins prior to metamorphosis has been shown in other studies. Sadler et al. (1995) was able to detect trimipramine, trazodone, and temazepam, in the larvae of Calliphora vicina, but was unable to detect the drugs in the pupae. The fact that drugs do not bioaccumulate throughout the life of the larvae suggests that elimination mechanisms are present. Drug concentrations decreased when larvae were taken from drug laden meat and placed on drug free meat. The results of these studies indicate the importance of collecting larvae for toxicological analysis from those feeding actively on a corpse. Introna et al. (1990) reared Calliphora vicina larvae on liver specimens from 40 cases in which cause of death had been determined to be opiate intoxication. Analysis of larvae and liver for opiates (morphine) was accomplished by radioimmunoassay. The concentration of opiates for all cases was found to range from 8 to 1,208 ÃŽ ¼g/kg for larvae and 26 to 1,769 ÃŽ ¼g/kg for the liver specimens. A significant difference was found between the opiate liver and larval concentrations. Goff and Lord (1994) reviewed various studies in entomotoxicology and concluded that entomotoxicological testing was essential to accurate forensic entomology conclusions. Data indicating the presence of drugs allow for corrections to the data in cases when drugs affect insect development. Future trends in forensic entomology The precise estimation of PMI is the most important goal  of forensic entomology by refining the techniques used. Developmental and succession data, consideration of a  greater number of geographical regions and a range of  death scene scenarios are essential. Moreover there are  several parameters which need further attention. It is important to consider factors that might alter the  time of oviposition, such as covering corpses with  branches or tight wrapping with blankets, carpets or  plastic bags, and indoor placement, because these factors  may delay initial oviposition (Higley and Haskell 2001). Seasonal influences, such as cold and rainy weather, may  inhibit or even prevent fly activity and delay oviposition  (Erzinclioglu 1996). However, Faucherre et al. (1999)  observed flying as well as ovipositing Calliphora vicina  under extreme conditions in the Swiss Alps, colonizing a  corpse in a 10-m deep cave at a temperature of about 5_C. The generally accepted assumption that activity of  necrophagous flies ceases below an air temperature of  10_C (Williams 1984) or even 12_C (Smith 1986;  Erzinclioglu 1996) may be questionable (see also Deonier  1940; Nuorteva 1965). However, the case described by  Faucherre et al. (1999) occurred at an altitude of 1,260 m  and therefore a cold-adapted population of C. vicina may  have been involved. Blowflies usually show peaks of oviposition activity in  the early afternoon (Nuorteva 1959a; Baumgartner and  Greeenberg 1984, 1985; Greenberg 1990). These insects  are not active at night and generally do not lay eggs  during nighttime (Greenberg 1985). A postmortem interval  estimation based on that assumption has to consider  the possibility that a corpse which was found about noon  and was infested by recently hatched maggots, could have  been deposited there in the late evening of the previous  day. Hence, fly eggs detected on a corpse during the night  would lead to the conclusion that death occurred during  the previous day or earlier (Nuorteva 1977). Greenberg  (1990) presented the first experimental evidence of  nocturnal oviposition by three forensically important  blow flies, Calliphora vicina, Phormia regina and Lucilia  (Phaenicia) sericata. On the other hand, Tessmer et al.  (1995) reported that blowflies fail to lay eggs at night  bot h in urban (with lighting) and rural dark habitats. However, Singh and Bharti (2001) supported the findings  of Greenberg (1990). Hence nocturnal oviposition is a  possibility and should be taken into consideration. Diapause, the period during which growth and development  of insects is suspended, is still a challenge for the  forensic entomologist (see also Ames and Turner 2003). Depending on the insect taxa, the major influences on  larvae or pupae are photoperiod and temperature. Declining  day length and/or decreasing temperatures indicate  approaching winter and induce diapause, preventing  development under unfavourable environmental conditions. In many forensically important blowflies, diapause  is under maternal control and exposure of females to short  day lengths induces diapause in the offspring (Vinogradova  1991). Species with a large geographical range  have to face changes in day length throughout the year. The critical day length which induces diapause will be  longer in populations from a northern range than in  southern populations (McWatters and Saunders 1998). The forensic entomologist working in a temperate region  investigating a sample of dead maggots collected from a  corpse during late September has to consider the possibility  that these maggots had already entered diapause. Besides day length, temperature may also influence the  incidence of diapause (Vinogradova and Zinovjeva 1972). Unlike photoperiod, temperature is not a noise-free signal,  as it is subject to considerable variation both within and  between years (McWatters and Saunders 1998). Increasing  constant temperature is known to reduce the incidence  of diapause in forensically important Dipteran species,  such as Liopygia argyrostoma (Saunders 1975), Protophormia  terraenovae (Vinogradova 1986) and Calliphora  vicina (McWatters and Saunders 1998). The duration of diapause is another important parameter. McWatters and Saunders (1998) showed that in C. vicina kept at temperatures of 15_C and 20_C, respectively,  diapause was terminated in most larvae within  30 days. However, the diapause ended earlier in larvae  whose parents had been kept at 20_C than those whose  parents had been kept at 15_C. These observations should  be a caveat for the forensic entomologist and points to the  need for further studies on other species. Competition may affect development and growth of  the larvae. Smith and Wall (1997a, 1997b) presented data  which indicate that the larvae of Lucilia sericata in  carcasses experience significant levels of competition and that the intensity of this competition may be sufficient to  reduce the numbers of adult L. sericata able to emerge  successfully. Reiter (1984), Smith (1986) and Erzinclioglu (1990)  pointed to another factor which could complicate the  estimation of the postmortem interval-precocious egg  development in flies. In some female flies, eggs may be  retained in the oviduct, having been fertilized as they pass  the spermathecal ducts in advance of the act of oviposition (Wells and King 2001). In cases where a suitable  oviposition site is not available, the eggs may remain  inside the fly until they have completed embryonic development. It has been reported for several species of the tribe Calliphorini, including the forensically important  Calliphora vicina, that the larva hatches from such eggs  immediately following oviposition (Erzinclioglu 1990;  Wells and King 2001). Precocious eggs are more likely to  be found in bluebottles (Calliphora spp.) than in other  lineages of carrion-feeding blowflies and the proportion  of wild flies carrying an egg that is about to hatch can be  quite high (Wells and King 2001). Parasitoid larvae feed exclusively on other arthropods,  mainly insects, resulting in the death of the parasitoids  host (Godfray 1994). The majority of parasitoids are  either members of the order Hymenoptera or Diptera,  representing an extremely diverse group and constituting  about 8.5% of all described insects (LaSalle and Gauld  1991; Godfray 1994). They also attack necrophagous taxa  and therefore could appear on carrion. Fabritius and  Klunker (1991) listed 83 parasitoid species, mainly  wasps, which attack the larval and pupal stages of  synanthropic Diptera in Europe. There are few reports on  the use of parasitoids in forensic entomology (Smith  1986; Haskell et al. 1997; Amendt et al. 2000; Anderson  and Cervenka 2002; Grassberger and Frank 2003b). The  life-cycles of the common parasitoid species are known  (e.g. Geden 1997) and, even if the adults have already  emerged and left the host, the pupal exuviae of the  parasitic wasps can be identified for a long time  afterwards (Geden et al. 1998; Carlson et al. 1999). The  parasitoid developmental times can then be calculated and  added to the time of development of the blowfly host. Pupal parasitoids of blowflies may play an especially  important role in the estimation of the postmortem period  because their time of attack is often restricted to a small,  well-defined window of time at the beginning of the pupal  development of the host insect (Anderson and Cervenka  2002). An example of the practical application of these  wasps involved a case where the early colonizers,  individuals of the blowfly Protophormia terraenovae,  had finished their development and already left the scene  but adults of the parasitoid Nasonia vitripennis (Hymenoptera:  Pteromalidae) were just about to emerge. These  wasps need, at a constant temperature of 25_C, 350  accumulated degree days, equating to about 14 days, to  reach adulthood (Whiting 1967; Grassberger and Frank  2003b). By contrast the host P. terraenovae needs about  9 days at this temperature to reach the stage appropriate  for the parasitoids oviposition (Marchenko 2001; Grassberger  a nd Reiter 2002a). It can therefore be assumed that  the flies had access to the body for at least about 23 days  before the corpse was found. The calculation of developmental  times for the host and the parasitoid allowed the  estimation of a greater minimum postmortem interval  than the estimated development time of Protophormia  terraenovae alone. This enabled the criminal investigators  to disprove the testimony of a witness who claimed that  he had seen the victim alive 20 days before the corpse was  found. However, when thinking about the potential  influence, especially of larval parasitoids, it is important  to remember that this specialized group might also create  significant problems for forensic entomology. Holdaway  and Evans (1930) described, for example, the change in  developmental times for Lucilia sericata after the attack  of its parasitoid Alysia manducator, which resulted in  premature pupariation. The role of freshwater and marine fauna in forensic  investigations has received very little attention (Payne  and King 1972; Nuorteva et al. 1974; Goff and Odom  1987; Haskell et al 1989; Catts and Goff 1992; Vance et  al. 1995; Sorg et al. 1997; Davis and Goff 2000). Knowledge about the role of aquatic arthropods during  decomposition is still scanty (Keiper et al. 1997;  Tomberlin and Adler 1998; Hobischak and Anderson  1999, 2002; Anderson 2001; Merrit and Wallace 2001;  Anderson and Hobischak 2004). Compared with terrestrial  habitats, decomposition in an aquatic environment is  completely different. It occurs at a rate roughly half that  of decomposition on land, mainly due to the prevention of  insect activity and cooler temperatures (Knight 1991). Merrit and Wallace (2001) have distinguished six decompositional  stages ranging from submerged fresh,  floating decay to sunken remains. Aquatic insects of  forensic importance belong to the Ephemeroptera (mayflies),  Trichoptera (caddis flies) and Diptera (true flies);  the latter are mainly represented by Chironomidae  (midges) and Simuliidae (black flies). However, these  insects, unlike their terrestrial counterparts, are not  obligatory saprophages, but instead use the submerged  carrion both as a food source and a breeding site. The use of these insects for estimating the time of death is  therefore more difficult and depends on the season and on  other conditions of the aquatic systems. No successional  insect model exists which describes the different waves of  colonization of a corpse in aquatic habitats (Merrit and  Wallace 2001). Finally, forensic entomology may help in investigations  dealing with living, but ill, people by revealing  neglect. The occurrence of maggots in the wounds or  natural orifices of living persons may indicate such a  neglect. Estimating the age of these maggots can reveal  how long the neglect has been happening (Benecke 2003).

Monday, August 19, 2019

The New Way to Book Your Travels :: essays research papers

The New Way to Book Your Travels   Ã‚  Ã‚  Ã‚  Ã‚  In December’s e-issue of 4 Hoteliers.com, the article â€Å"Give the People what they want – Airfare and Car Rentals from your Hotels website,† by Richard Getz, elaborates on the new selling techniques in which major hotel corporations are incorporating into their websites. The customer will be able to book his/her hotel room, airline ticket as well as their rental car all at the same time and on the same website as a package. Though you might think you are booking your package with that company, you are really booking it through a â€Å"middle man† company called AirDepartment.com. Really the hotels website is linked directly with AirDepartment.com, who is the real one booking the flight, your rental car and your lodging accommodations.   Ã‚  Ã‚  Ã‚  Ã‚  This incentive for the customer of having to book all of their travel arrangements at the same time has proved to be quite enticing because of the steady increase in internet sales for booking travel arrangements all at once. The â€Å"Big Dogs† of the hotel world such as Westin, Marriott, Sheraton, Four Points, St. Regis, and Holiday Inn to name a few, have this new service on their websites and the sales have been increasing steadily.   Ã‚  Ã‚  Ã‚  Ã‚  The company AirDepartment.com is also establishing itself in the travel world to be a partner, not a competitor for hotel corporations. As being a partner for hotels, the company hopes to seek the future contracts with other large dominating hotel chains such as Hilton, Best Western and Intrastate Hotels.   Ã‚  Ã‚  Ã‚  Ã‚  This article relates much to what we talk about in class because it is another strategy in which sales companies are enticing travelers. How they entice these travelers? They entice them because of the pure convenience of booking all travel arrangements at once on the same website.

Julius Caesar Essay -- essays research papers fc

Julius Caesar Julius Caesar was said to be the greatest man in the Roman world. This man whos name alone commands power, success and respect. Born in 102 B.C., Gaius Julius Caesar. His aunt had married as a youth of seventeen to the daughter of Cinna, another leader of the fraction that was opposed to the aristocratic party under Sulla, Marius, great rival. A year or two later, when Sulla had become supreme in the state, the young man was ordered to put away his wife. He refused, and his life was saved only through the intercession of powerful friends in Rome. But though he had been reprieved, Ceasar was far from safe, and for a time he skulled in the mountains until he managed to get acrss the sea to Asia Minor, where he served in the Roman army that was campaigning against Mithridates, the king of Pontus. At the seige of Mitylene in 80 B.C. he first distinguished himself as a soldier when he saved the life of a hard-pressed cmrade. On the death of he kept himself at the bar. His politics and mad e a career for himself at the bar. His political learning were showwn clearly enought, however, when he ventured to act as prosecutor of one of Sulla’s principal lieutnants, who was charged with gross extortion and crueltu when he was governor of the Macedonian province. To improve himself in rhetoric, Casear went to Rhodes to take a course of lessons under a celebrated master of that art, and it was probably at about this time that he had his famous encouter with Mediterranean pirates. These rufians captured the ship in which he was a passenger, and put his ransom. While his messenger was away collecting the money, Caesar made himself quite at home with his captors. He told them amusing stories, joked with them, joined in their exercises, and, always in the highest good humor, told laughed and joined in the fun. But Caesar was as good as his word. As soon as his ransom had been paid some over and he regained his liberty, he went to Miletus, hired some warships, and made stra ight back to the pirates, and ordered them to be crucified as he had assured them that he would. He also got back the money that had benn paid as his ransom. Still on the fringe of the political arena, Caesar spent the next few years as a gay young man about town. His family wasn’t rich, but there were plenty of moneylenders who were glad to accommodate him. He spent money like water, on expe... ...ush them sway, and then struck at them with his meta stilus or pen. Then he saw Brutus was among his assailants. â€Å"what, you too, Brutus† as he said and convering his body with his robe so that he should fall decently, suffered himself to be overborne. He fell, with twenty-three wounds in his body, at the foot of the statue of his great rival Pompey, which, with characteristic magnanimity, he had allowed to be re-erected in the Capitol. Such was their mad fury, some of the murderers had wounded one another in their bloody work. Now they ruched from the scene, sxultingly shouting that the Tyrant was no more. Thy called upon the people who were there to rejoice with them, but the people hung their heads, or muttered a prayer or fled. So Caesar died â€Å"the noblest man†, to quote Shakespeare’s immortal lines again, â€Å"that ever lived in the tide of times Bibliography 100 Great Kings, Queens and Rulers of the World Edited by John Canning School Library Journal Audio Recording Drama Theater Julius Caear http://homepages.iol.ie/~coolmine/typ/romans/romans6.html Julius Caesar http:library.thinkingquest.org/17120/data/bios/users/caesar/page_1.html The Word Book Encyclopedia Julius Caesar Vol 3

Sunday, August 18, 2019

A Comparison of Two Advertisements :: Papers

A Comparison of Two Advertisements Advertisements are messages that are intended to influence and persuade their audience. Their purpose is to raise awareness of the existence of their product in the people whom they target and to promote the benefits of buying or using it. Adverts are paid for by the advertisers and is a major source of income for magazines - approximately 40% of revenues. Without money from advertising, much of the modern media would not exist. Therefore advertising is a commercial business as opposed to ‘free’ publicity like press releases and photo opportunities. A range of advertisers exist in the UK. Many of them are small companies who are trying to promote themselves. Bigger companies will buy in an advertising agency to create the messages in relevant media. Also, the Government spends considerable amounts of money on advertising. They produce two types of advertisements; information (i.e. tax returns) and persuasive (i.e. not to drink drive). I am going to compare and analyse two advertisements from magazines. Magazines have a ready-made pre-defined target audience, so they provide an effective point of contact for advertisers and their target consumers. Both of my chosen adverts are from ‘Bliss’, a teenage magazine aimed at girls roughly aged 11-19. It is the second biggest selling teen title and leads the market in editorial innovation and exciting new ideas. The messages of this type of mainstream magazine are dedicated to the ideal image of a teenage girl who is independent, sexy and looks after her appearance. Fashion, cosmetics and beauty tips take up 50 pages of the magazine, so a substantial part of it is devoted to the improvement of the body and looks. Because image dominates the magazine so much, it seems the ideal medium for advertising lip products. The first advert I have chosen to analyse is advertising a new lipstick. My second advert is promoting is a lip gloss. I am going to scrutinize each advertisement separately, examining how the techniques they have used persuade the consumer to purchase the product, and then

Saturday, August 17, 2019

Providing visual support Essay

Nancy is 24 year old women and a house wife by profession. She is disabled by birth and totally dependant on wheelchair. She stays with her husband, who is software professional and busy most of the time. Being a housewife, Nancy has vey little technology knowledge and finds it difficult to use technology spontaneously. Nancy doesn’t want her disability to become her weakness and wants to work like a normal housewife, like cooking for her husband, washing utensils etc. She wants a kitchen which is universally designed and where she should be able to work effectively like a normal person with ease of use and learning being her first priority. How should an interior designer design a universally designed kitchen keeping in mind people like Nancy? †¢ Making the height of the kitchen cabinet, Cook top, Microwave stand accessible by wheelchair. †¢ Having an adjustable-height cabinets, can help all users to use them effectively. Also customizable design which can be changed based on user preferences also makes design effective and more usable. †¢ Having a removable sink and drying rack will give sufficient space for food preparation. This can again be re-fitted as and when required. Thus giving flexibility to people like Nancy or old aged people, who can’t stand and cook. †¢ Foldable cabinet doors under cooktop, providing sufficient knee space. †¢ Providing visual support can also help users to use kitchen more easily and effectively. †¢ Voice based support in kitchen can also be a good idea, thus making design accessible for people with low vision. †¢ Automated dishwasher or microwave system can help them easily placing dish without much effort. Let’s see some examples of universally designed kitchens Persona 3. He is a retired professional and stays alone in his 2 bedroom apartment which is on the 10th floor. He finds it difficult to walk and climb stairs and also have sight problem. Rodney has very little technology knowledge and finds it difficult to remember things, due to his growing age. He depends on electronic wheelchair most of the time. He needs an elevator system in his apartment which can accommodate his wheelchair also, making his life easy at this age. How can we make a universally designed elevator? †¢ Increasing the width of the elevator hence giving ample space to use wheelchairs and thus making it approachable †¢ Big display screen, which displays the floor details big and clear, thus accommodating people like Rodney to use it with ease †¢ Voice based support system, which informs the user which floor the user is in, can also help the disabled user to use them effectively. Let’s see example of a universally designed elevator Conclusion: Irrespective of age, ability or disability and situations, every has the right to effectively use any products or services, hence designers should always be conscious about this fact and implement their design ideas to serve one and everyone. This is what universal design means. Bibliography http://idea.ap.buffalo.edu/ http://www. design. ncsu. edu/cud/about_ud/udprincipleshtmlformat. html#top Frascara J. , (1997), User-Centred Graphic Design: Mass Communication and Social Change, Taylor Francis, London

Friday, August 16, 2019

Status of Leader

Usually it is perceived that the status of leader always affect the communications within the group and people with a higher status always intimidate people with a lower status since leadership is the procedure by which a leader, by influence, persuades followers to track their objectives for the team. In simpler words, leadership is an act of influencing the activities of an organized group in its efforts toward goal setting and goal achievement or a specialized form of social interaction †¦ in which cooperating individuals are permitted to influence and motivate others to promote the attainment of group and individual goals. From each of these perceptions, leadership engages a course of influence whereby the leader has an impact on others by inducing them to behave in a certain manner. (Lussier, 2004) In order to influence the team members, the status of the leader plays very important role. People tend to listen and obey the people from higher status. Leadership involves the possession of qualities that lead others to want to follow the leader's directives, either because they feel obligated to do so, or because they desire to do so In other words, leadership is a characteristic that is voluntarily conferred upon a person by others and involves the ability of a person to engage the active and willing cooperation of followers. Leaders come in each size, figure, and temperament — short, tall, neat, sloppy, young, old, male, and female. However, they all seem to have some, if not all, of the subsequent constituents: †¢ The first fundamental constituent of leadership is a guiding vision. The leader has a clear idea of what one desires to get professionally and personally and the strength to persist in the face of setbacks, even failures. If not one knows where one is going, and why, one cannot possibly get there. †¢ The second fundamental constituent of leadership is passion — the underlying passion for the promises of life, combined with a very particular passion for a vocation, a profession, a course of action. The leader loves what he does and loves doing it. Tolstoy said that hopes are the dreams of the waking man. Without hope, we cannot survive, much less progress. The leader who communicates passion gives hope and inspiration to other people. †¢ The next fundamental constituent of leadership is integrity. There are three essential parts of integrity: self-knowledge, candor, and maturity.   (Leadership Qualities, 2005) Hence it is the status of leader always affects the communications within the group and people with a higher status always intimidate people with a lower status References Leadership Qualities, What makes a good leader? Retrieved on September 30, 2006 from http://www.teamtechnology.co.uk/leadership-qualities.html Lussier, R.N., ; Achua, C.F. (2004). Leadership: Theory, Application, Skill, Development, (2nd Ed.). Eagan, MN: Thomsen Southwestern. ;

Thursday, August 15, 2019

Pay Equity In Labor Force Movement Essay

Debates about women’s rights at work and the gendered dimensions of employment inequality were notable and contested features of Canadian political discourse throughout the second half of the twentieth century. Concern about these issues took root during the 1940s, when women experienced dramatic shifts in their employment opportunities as a result of being drawn into and later jettisoned from the reserve army of wartime labor. Pressure to improve women’s employment conditions, particularly in the burgeoning public sector, recurred in the mid-1950s. However, it was in the 1960s, once the second wave of feminism took root in Canada, that women began to develop a sustained critique of the employment inequalities they experienced and pressure their governments to address the problem through policy innovation and change. (Westhues, 45-58) From the outset of second-wave feminism, women advanced analyses of employment inequality that took account of their labor in both the public and domestic spheres. As Brockman noted, activists â€Å"drew attention, as had never been done before, to the fundamental incompatibility between reproductive labor and child care, on the one hand, and paid work on the other, as well as to the profound consequences of this incompatibility. † (Brockman, 78-93) While liberal, radical, and socialist feminists approached this issue from different ideological vantage points, they shared a common belief that the causes of gender inequality in employment were not rooted solely in the workplace. Only, they claimed, if questions about women’s employment in the public sphere were addressed in tandem with questions about their labor in the domestic sphere would the gendered dimensions of employment inequality be fully understood. In particular, feminists thought that women’s maternal work had to be recognized in discussions about promoting gender equality in the workplace. As Westhues, a well-known socialist feminist, once argued, â€Å"As long as women have the primary responsibility for maintenance of the home and for child care, we will be less than able to pursue job opportunities and our domestic commitments will be used to justify discriminatory employment practices. † (Westhues, 45-58) Growing awareness of the need to link questions about production and reproduction in analyses of women’s economic position was by no means unique to Canadian feminism. It was, for example, well established in the early writing of second-wave feminists in Britain and the United States. What did, however, distinguish Canadian feminists from their counterparts in these other liberal democracies was an ability to work together, despite ideological differences, in order to advance this double-edged critique of gender inequality in employment. Right from the start of the contemporary women’s movement, Canadian feminists engaged with the state, demanding policies that recognized the link between women’s employment opportunities and the provision of child care. Canadian feminists lobbied both federal and provincial governments about the need to improve women’s employment opportunities and expand the provision of child care. It was in the federal arena, however, that women (outside Quebec) focused their demands for the development of policies that acknowledged the link between these two issues. In some respects, this federal focus was surprising. After all, only one-tenth of the Canadian labor force is regulated by the federal government, and even at the start of second-wave feminism both federal and provincial governments had been involved in employment opportunity and child care initiatives. Moreover, even though the federal government has the constitutional capacity to use its spending power to underwrite the provision of state-subsidized child care, it is the provinces that retain constitutional control over the delivery of this service. The federal focus of women’s campaigns was encouraged by the fact that the renaissance of Canadian feminism occurred within the context of a broader social project to achieve universal welfare guarantees, assured by the Canadian state. It was reinforced by the government of Canada’s decision to establish the 1967 Royal Commission on the Status of Women (RCSW) to inquire how best the federal government could ensure that women enjoyed â€Å"equal opportunities with men in all aspects of Canadian society. † It has since been sustained by the work of activists in national organizations, in particular the National Action Committee on the Status of Women (NAC), founded in 1972, and the Canadian Day Care Advocacy Association (CDCAA), established in 1982 and renamed the Child Care Advocacy Association of Canada (CCAAC) in 1992. However, despite a long history of feminist engagement with the federal state, women’s repeated campaigns for the development of policies to address the double-edged nature of gender inequality in employment, and the clear recognition of these demands in reports of royal commissions and task forces, the federal policy response has been uneven. Policies to eradicate sex discrimination at work and promote women’s employment opportunities have been developed and implemented in the federal policy sphere. By contrast, the federal government has not developed policies to promote a publicly funded system of child care in order to enhance women’s employment opportunities, save as emergency measures during the Second World War or as an element of broader initiatives to get â€Å"welfare mothers† out to work. Instead it has treated child care as a fiscal issue for which parents can receive subsidies through federal taxation. This paper examines why a double-edged interpretation of women’s employment inequality, which recognizes the public and domestic dimensions of women’s work, has not been fully absorbed into federal policies to promote gender equality in the sphere of employment. The analysis follows the development of debates about women’s rights at work from the period of reconstruction after the Second World War, when questions about eradicating employment discrimination against worker-citizens first emerged in Canadian political debate, through to the close of the twentieth century. It examines federal policy developments under Liberal and Conservative governments, showing that even though the reports of federal royal commissions and task forces encoded feminist demands for a double-edged attack on employment inequality, questions about promoting women’s employment equality and child care were continually driven apart in the federal policy process. Women’s Paid and Caring Work  While this is by no means the first time that scholars have considered the relationship between Canadian women’s work inside and outside the home, it is noticeable how the link between these two aspects of women’s labor was explored by historians and sociologists before being addressed by analysts of public policy. In the late 1970s, members of the Women’s History Collective at the Ontario Institute for Studies in Education and the Clio Collective in Montreal pioneered research in Canada on how women’s labor had shifted from the unpaid domestic sphere into the world of paid employment. In the process, they unearthed textual and oral histories that demonstrated how, despite this transition, women still faced the double bind of a double-day in which they went out to work for pay and home to work for love. Their findings were reinforced in late 1970s and 1980s by sociological analyses of women’s work arguing that because women so often entered employment while maintaining primary responsibility for the care of their children, they frequently found themselves concentrated in low-paid, low-status employment. Despite the fact that historians, sociologists, and feminist activists drew attention to the â€Å"double ghetto† of women’s working lives, discussions about policies to promote women’s employment opportunities and improve the provision of child care evolved as distinct scholarly debates. The literature on policies to promote Canadian women’s employment opportunities emerged within the context of broader discussions and debates about the development of policies to root out discrimination in the workplace. By contrast, the literature on Canadian child care policy evolved around questions about the development, cost, and politics of implementing public policies to promote the welfare, education, care, and development of young children. In recent years, however, policy analysts have paid much greater attention to the link between women’s paid and caring work. Jacobs, 120-128) Nonetheless, no one has yet considered why Canadian government policies to promote women’s employment opportunities and improve the provision of child care have been developed at such different rates and, despite repeated calls to the contrary, not linked in the design of public policies to promote gender equality in federally regulated employment. This pattern of inquiry is understandable, given the discrete historical development of policies concerned with child care and those concerned with women’s employment. However, it unduly limits our understanding of the gendered dimensions of employment inequality in Canada and fails to capture the empirical reality of many women’s working lives. Double-Edged Nature of Women’s Employment Inequality Why did women’s double-edged demand for equal employment opportunities and child care emerge in Canada in the 1960s and 1970s? After all, from the mid-1950s Canada experienced one of the fastest rates of labor force feminization in the Western industrialized world. The decline of manufacturing industries and the concomitant growth of the tertiary sector in the 1950s and 1960s meant that while industries that had traditionally attracted men closed down, those demanding support skills that had long characterized women’s traditional domestic roles expanded. Moreover, in countries like Canada, where welfare states were being established, the growth in women’s employment intensified most quickly. The much trumpeted rise in female labor force participation rates did not, however, mean that women engaged in paid employment on the same terms as men. The occupational segregation of Canadian men and women persisted in both horizontal and vertical forms. In fact, this process intensified with the increased participation of women in the paid labor force. As a result, the vast majority of women found themselves working in poorly paid occupations, situated in the lower echelons of private companies and public sector organizations. Moreover, as Jacobs have noted, although the creation of welfare states meant that â€Å"women as a group had more employment opportunities open up for them than men† in the mid-twentieth century, the growth in women’s employment was in the part-time sector of the labor force, which was increasingly dominated by women in all OECD (Organization for Economic Co-operation and Development) countries. Jacobs, 120-128) This simply intensified the inequalities of employment opportunity that women experienced because part-time work is concentrated in the least-skilled, lowest-paid, and most poorly organized sections of the labor force, where benefits are usually more limited than in the full-time sector. The rapid growth in women’s participation in part-time rather than fulltime employment reflects two other factors about the feminization of the Canadian labor force. On the one hand, it relates to the type of work that the service sector has generated and to the increasing flexibility demanded of its employees. On the other hand, it reflects the fact that the greatest increase in female labor force participation rates since the 1960s has been among women with young children. In the early 1960s, most female employees in Canada would leave the workforce when their first child was born and return only when their youngest child had entered school. By the mid-1980s most women with young children went out to work. Indeed, as Pendakur have noted, â€Å"By 1991 all traces of the reproduction function had disappeared with female labor force participation rates peaking in the major family-rearing age categories†. The double burden that women experience from juggling their employment while continuing to care for their children has been reinforced by the limited provision of subsidized child care spaces in Canada. In the late 1960s, when women began to pressure the federal government to address the minimal provision of child care for working women, federal subsidies for child care were limited to support for welfare mothers under the 1966 Canada Assistance Plan. This pattern changed very little in the course of the twentieth century, although federal subsidies to support child care for low-income families became increasingly tied to efforts to get mothers receiving welfare out to work. Although recent federal publications on the status of day care in Canada boast â€Å"a twenty-five-fold increase† in child care spaces since the government first gathered these data in 1971, in fact the proportion of children of working mothers who have access to regulated child care remains very low. As a result, most working parents remain highly dependent on informal, unregulated child care. Indeed, as Brockman noted, in the mid-1990s â€Å"children in informal child care arrangements accounted for eighty per cent of all child care used by parents in Canada. † (Brockman, 78-93) The federal state in Canada has addressed questions about promoting equal employment opportunities for men and women in the public sphere with relative ease but has failed to recognize that this project cannot be achieved without addressing the questions of child care that affect so many women’s working lives. While the reasons for this are complex, some insights from feminist theory may help us to begin this exploration. In recent years, a number of feminist theorists have discussed how the concept of worker-citizenship that took root as welfare states were developed in countries such as Canada did not take account of the different contexts in which women and men often assumed employment. (Pendakur, 111-120) As a result, when questions about promoting equal employment opportunities for men and women began to emerge in the 1950s and ’60s, they were framed in terms of women achieving the same opportunities as men. Indeed, Canadian have tried to develop a more nuanced concept of worker citizenship that not only respects the objective of equality of opportunity but also takes workers’ particular circumstances into account and, in the case of women, enables them to integrate their paid and caring work better. In the process, women have argued that a state that upholds the principle of gender equality must develop policies that take account of the interconnectedness of the public and domestic spheres and recognize the different contexts in which men and women often assume employment. Conclusion Nonetheless, although Canadian feminists have a long history of active engagement with the state, developed through a â€Å"visible and articulate women’s movement† that has successfully placed issues on the political agenda, the result, more often than not, has been that their demands have been contained within a limited set of reforms. As a result, those aspects of gender discrimination in the workplace that concern practices within the public sphere have been acknowledged through the introduction of anti-discrimination and employment equity policies. By contrast, women have had more difficulty getting their proposals for policies that transcend the public/ private divide, by linking questions of equal employment opportunity with those of child care, acknowledged in the federal policy arena. Despite their efforts to forge these links through two major royal commissions and other government inquiries, problems of gender inequality in employment are still primarily defined as issues located within the public sphere of employment. Without doubt, over the past thirty years there have been clear improvements in the position of women in the federally regulated section of the Canadian labor force. Nonetheless, women continue to cluster in the lower echelons of companies and organizations and remain under-represented in more senior positions. While this persistent pattern of inequality has many causes, paper shows how it reflects a federal policy process that concentrates on ensuring the comparable treatment of male and female employees once they have entered the labor market, yet, for complex reasons, repeatedly stalls on developing a more expansive approach to child care. As a result, federal policies to promote gender equality in the sphere of employment neglect the inequalities of access and participation that many women experience as they continue or resume employment once they have dependent children.

Wednesday, August 14, 2019

Exam Study Guide Essay

Attitude is determined by beliefs on performance of the attribute and importance of that attribute To change their attitude on a brand/competing brand change their belief on attribute and their perception of the value of that attribute and add a new attribute to the mix. Classical Conditioning vs. Operant Conditioning vs. Psychoanalytic Research Classical Conditioning (Association) using an unconditioned stimulus to generate an unconditioned response which eventually becomes a conditioned response to a conditioned stimulus Pavlov’s Dog Operant Conditioning (Instrumental) behavior is followed by a positive or negative consequence which determines probability of behavior reoccurring Use positive reinforcement to encourage behavior Psychoanalytic Research (Freud) motivation to purchase is determined deep in subconscious mind Need qualitative research- in depth interviews, focus groups, etc. Source Attributes Power Ability to reward or punish recipient through their perception of source’s power based on recipients perceived control/scrunity/concern of the source over them Can induce to respond to their position Credibility Expertise (experience,skill) trustworthiness (honest) Attractiveness Similarity btwn source and recipient Familiarity through repeat exposure Likeability through affection for source caused by looks/behavior/traits Elaboration Likelihood Model Ways consumers change/form attitudes in response to persuasive messages Routes to attitude change Central highly motivated/able to process message, pays close attention Peripheral less motivated/able to process message, pays attention to peripheral cues not message Ex. An attractive endorser Meaning Transfer Model Celebrity effectiveness as endorser dependent on meaning culture has associated with them and how they are brought into the endorsement process Ex. Status, class, age Stage 1: Culture Objects/persons/context popular to culture transferred into meaning associated with popular celebrity Stage 2: Endorsement Cultural meaning of celebrity Celebrity transferred onto Product Stage 3: Consumption Product is consumed by consumer transfer meaning of product onto consumer Consumer Decision Rules Simplified Heuristics rule of thumb used to make quick decision Affect Referral Decision Rule overall impression instead of detailed comparison Non- Compensatory short cut to making a choice, a product with low standing on one attribute can’t compensate by being better on another attribute and is eliminated Compensatory allow product to make up for lack on one attribute by being better at another Response Hierarchies Traditional Hierarchy of Effects Alternative Response Hierarchy FCB Planning Model Traditional Hierarchy of Effects Model Stage 1: Cognitive Stage (Learn) Awareness Knowledge Stage 2: Affective Stage (Feel) Liking Preference Conviction Stage 3: Behavioral Stage (Do) Purchase Alternative Response Hierarchies Based on level of involvement in purchase and perceived level of differences in alternatives Learning Model High involvement, high differentiation- learn then develop attitudes then behave based on Cognitive (learn) Affective (feel) Conative (do, action) Dissonance/Attribution Model High involvement, low differentiation- behave first then develop attitudes then learn/process the behavior Conative(do) Affective (feel) Cognitive (learn) Low Involvement Model Low involvement, both high and low differentiation- learn first, then behave, then develop attitude Cognitive (learn) Conative (do) Affective (feel)

Health, pharmaceuticals, and citizenship Essay Example | Topics and Well Written Essays - 1500 words

Health, pharmaceuticals, and citizenship - Essay Example Cancers are usually realized when they become obvious in an advanced stage requiring mastectomy. Also in the US women are more likely to learn how to deal with breast cancer through friends with the disease, support groups, and fund raising appeals. In Botswana because of the absence of oncology there is no collective experience of the disease or knowledge of the biomedical therapeutic process required for cure. Recently there have been some attempts to disseminate public knowledge through posters and other means, but they do not resonate in Botswana as they are copied from ones in the West and recommend unavailable screening and are without cultural adaptation. On the other hand, diseases such as HIV, hypertension, diabetes and tuberculosis are well known, so Botswana patients have to learn to distinguish these diseases from cancer. Although Botswana has universal care it is geared to grappling with infectious diseases and mother-child health. Cancer is largely unknown by medical wo rkers except in a cancer ward in a public hospital. Furthermore, even in the hospital diagnosis and treatment are hampered by staff shortages and turnover, lack of modern functioning equipment, and appropriate drugs. There is also a high risk of co-infection with diseases such as HIV. Even when some women are told they have cancer, they may self deny until it advances and they are forced to deal with it. Also even many doctors in clinics and private hospitals deny the oncology because of ignorance of the disease and/or they don’t know how to deal with it. When arriving at the cancer treating hospital some patients are distrustful because they already had sought relief from Christian an Tswana prophetic leaders without success. Many do not understand biomedical explanations so it is better to talk in terms of analogies or say things like† you will hate my treatment, but

Tuesday, August 13, 2019

The World Trade Organisation Essay Example | Topics and Well Written Essays - 4500 words

The World Trade Organisation - Essay Example Considering the on-going trading between developed and developing countries, WTO is often accused of benefiting richer nations to the detriment of poorer ones. For this study, the advantages and disadvantages of joining the WTO will be discussed. Based on the evidences gathered during the research process, critical analysis will be applied in the study. Prior to conclusion, recommended ways in which the WTO could be transformed positively in terms of being able to help developing nations will be tackled. For the conclusion part, whether or not the WTO is benefiting richer nations to the detriment of the poorer ones will be answered as part of the conclusion. Thesis Statement â€Å"The truth behind the accusation that the WTO is benefiting richer nations to the detriment of the poorer ones† Advantages and Disadvantages of Joining the WTO Advantages Increases the Overall Economic Activities in Developing Countries WTO offers a better business opportunity on the part of developing countries. A good example is the case of China which signed the joining contract with WTO back in 2001. (Klapper, 2008; Mastel, 2001) Prior to China’s active participation in the world market, the country was considered one of the most underdeveloped countries due to lack of infrastructure, technology, and technical skills that could enable them to compete with developed countries. (Chow, 2006) Because of the huge market in China and cheaper labor costs, developed countries like the U.S., Canada and Europe among others began establishing their manufacturing companies in China.

Monday, August 12, 2019

Analysis Essay Example | Topics and Well Written Essays - 250 words - 2

Analysis - Essay Example Hence a nation could be conducting a ‘legal’ operation upon another nation without a legitimate basis for it. The ongoing occupation of Palestine by Israeli forces is a case in point, where the concocted legality betrays the lack of legitimacy of the occupation. The same analogy could be applied to the American occupation of Iraq, where even legality could be questioned. ’Triumph of the Will’ is a term used by politicians when a policy action succeeds against all odds. The term is mostly employed in the context of a military venture or an economic crisis, where much tenacity, resoluteness and foresight was required to meet the goal. The term is sometimes used alongside ‘legitimacy’ as a way of justifying the efforts and expenditure that went toward the fulfillment of the goal. In other words, the ‘legitimacy’ of the cause allowed a whole-hearted approach to meeting the goal. The term was adapted as the title of the film on Nazi Germany because the rise of the Nazi party to power and its near-completion of world domination is symbolically captured by the words. Given that the Nazi party did not even have one fifth of total vote share in late 1920s, it’s meteoric rise to highest office is nothing short of a Triumph of the Will. In the context of the contents of the documentary, the term denotes the legal means with which the Nazi party was able to achieve its illegitimate goals. In the end it proved ironic that the Allied Forces, under the leadership of Churchill, Roosevelt and Stalin were able to fulfill their legitimate cause – namely to defend their sovereign nations from the sweep of the Third Reich. Both the terms in discussion are useful in comparative politics because they highlight the subtleties and shades of meaning that official rhetoric imply. Politics being as much an art as a it is grounded on theory and