Saturday, August 31, 2019

Pro Choice IS Pro Life Essay

â€Å"No woman wants an abortion as she wants an ice cream cone or a Porsche. She wants an abortion as an animal caught in a trap wants to gnaw off its own leg.† Frederica Mathewes-Green In a perfect world, every pregnancy would be considered an utmost blessing. In a perfect world, every birth would involve a healthy, beautiful baby-born to absurdly giddy, loving parents- with the promise of basic needs met and creature comforts strived for. In a perfect world, there would be no such thing as an unwanted pregnancy or the hell of having to make the decision whether or not to terminate. Although the opposing sides will likely never be in agreement on the morality of abortion, both sides can surely agree that the world isn’t perfect and that, consequently, not every pregnancy can be cause for joy and happiness. Regardless of where our moral compass points on the issue of abortion, the fact remains that an estimated 40-50 million abortions take place worldwide each year and nearly half of them are illegal, unsafe procedures that result in severe disability and even death. Accordingly, in 1973, the United States Supreme Court ruled 7–2 that a right to privacy under the due process clause of the 14th Amendment of the Constitution extended to a woman’s decision to have an abortion. Some pro-life proponents bitterly objected to the landmark decision, known as Roe v Wade, as if they felt the ruling had â€Å"invented abortion† or somehow created the problem altogether. The unavoidable reality, however, is that the world is imperfect and so abortion happens. Chinese folklore from 500 BCE suggests the ingestion of mercury to induce abortion. It happened in 1550 BCE in ancient Egypt. Hippocrates is noted for having prescribed â€Å"jumping up and down† to his female patients suffering unwanted pregnancy! It happened in ancient Greece in 421 BC. It happened in the Bible in the book of Numbers. Even Plato proclaimed it the right of women to seek early terminations of pregnancies in â€Å"Theaetetus†, circa 360 BCE. Abortion will always happen, as it always HAS happened, and no amount of legislature or religious browbeating will ever change that fact. To be fair, most people who oppose abortion are well intentioned, pious individuals with a reasonable, valid, argument for favoring ‘pro-life’. They feel that abortion is the equivalent of murder; life begins at conception. Their religious faith compels them to believe that a fertilized embryo is a human being and, therefore, entitled to the right to live. This argument, however, is based on an mere assumption rather than factual evidence. Joyce Arthur, a contributing writer for The Pro-Choice Action Network, suggests that the belief that a fetus is a living human being with a right to live is simply irrelevant because â€Å"biology, medicine, law, philosophy, and theology have no consensus on the issue, and neither does society as a whole.† Admittedly, the thought of so many countless aborted fetuses, unborn and unnamed and unloved, is unsettling to even the strongest supporter of a woman’s right to choose. Even so, the pro-choice advocates don’t just see a fetus; they see the whole complicated, imperfect, often sad world where we can’t solve everything. â€Å"We really need to get over this love affair with the fetus and start worrying about children.† Joycelyn Elders Pro-choice advocates, in scenarios where abortion isn’t an option, see only neglected and abused children who are born to parents who didn’t want them in the first place. They see children who are hungry because their parents are unable to provide for them. They see children who will never know healthy love or feel any real and lasting sense of security. Ultimately, they see children who will be born against their mothers’ will, fully aware that they aren’t valued by the ones who should value them most, and will do little more with their own troubled lives than perpetuate the vicious cycle of a bent and broken society. The Quarterly Journal of Economics, in December 2003, backs this assertion: â€Å"We offer evidence that legalized abortion has contributed signiÂŽcantly to recent crime reductions. Crime began to fall roughly eighteen years after [Roe v Wade] abortion legalization.† The report concludes its study findings with this rather scathing, but factually based statement: â€Å"Roughly half of the crimes committed in the United States are done by individuals born prior to the legalization of abortion. As these older cohorts age out of criminality and are replaced by younger offenders born after abortion became legal, we would predict that crime rates will continue to fall.† â€Å"We’re pro-choice because we know that our faith cannot answer the question of when a fetus becomes a person. We also know that the whole question of fetal personhood is a disingenuous, & often malicious, attempt to distract us from the real issue-which is that the woman is a person. She is a person endowed by God, the U.S. Constitution, and common sense & decency with rights & responsibilities that she must exercise to the best of her ability, using her own best judgment.† -The Reverend Dr. Katherine Hancock Ragsdale Supporters of pro choice see the woman facing an unplanned, unwanted pregnancy in a more compassionate light than do pro life advocates. Those in favor of a woman’s right to choose have the open mindedness needed to recognize the unique and varied circumstances that lead a woman to opt for an abortion. They see rape victims who, after having had control of their bodies taken once, shouldn’t be expected to incubate, give birth to, financially and emotionally support, and somehow manage to love a constant reminder of violence and fear and sexual assault. They see victims of incest who, in reality, are only children themselves. They see loving parents who HAD planned a pregnancy, only to be given heart wrenching news: the baby will suffer extreme birth defects and have no quality of life. They see the straight-A student with a hard earned college scholarship who finds out that she’s pregnant the day before her high school graduation. They see desperate women who fear the judgment of their overly religious families. These are the women who, without access to a safe one, will attempt to perform abortions on themselves or seek the service of an untrained hand, using unsafe procedures, in a non-sterile environment; often with tragic results. According to the World Health Organization in Oct. 2006, â€Å"back-alley abortions cause 68,000 maternal deaths each year in the 33 countries where abortion is not legal or available†. Understand [that] unwanted pregnancy does not always translate into unwanted births, but the developmental research of children unwanted during pregnancy does suggest that when women say they cannot adequately care for a child, it is of the utmost importance that we listen! -Rachel Needle, PsyD To be pro-choice is to truly care about others and to support a woman’s right not to give birth to a child she feels unable to care for. Despite the Pro Life claim that abortion is â€Å"taking the easy way out†, those in favor of choice realize that an imperfect world sometimes finds a woman in an impossible, desperately terrifying situation. The decision to terminate a pregnancy is far from the ‘easy way out’ and, in many cases, may be the only course of action viable to the mother. The decision not to sentence a child to a life of poverty or sickness or oppression is humane if it is nothing else. Ultimately, being pro choice means working towards a world where abortion is legal and safe and rare. Being pro choice means supporting the right of every woman to decide what’s best for her own future, to act in the best interests of her own physical and emotional wellbeing, and to try her best to do whats right for herself and the family involved. To be PRO-CHOICE is to be, quite literally, PRO (happy, healthy, beautiful) LIFE for everyone. The hope and the promise of such a life, however, can be made possible only through loving-kindness, genuine compassion, and- above all else- the freedom of choice. AbouZahr, Carla. â€Å"British Medical Bulletin.† Oxford Journals. British Medical Bulletin, Dec. 2003. Web. 13 Oct. 2013. Arthur, Joyce. â€Å"Personhood: Is a Fetus a Human Being?† THE PRO-CHOICE ACTION NETWORK. The Pro Choice Action Network, Aug. 2001. Web. 13 Oct. 2013. â€Å"Civil Rights.† Merriam-Webster.com. Merriam-Webster, n.d. Web. 12 Oct. 2013. . Donahue, John J., III, and Steven D. Levitt. THE IMPACT OF LEGALIZED ABORTION ON CRIME*. Rep. no. Quarterly Report. The Quarterly Journal of Economics, May 2001. Web. 13 Oct. 2013. Russi, Nancy F., PhD. â€Å"When Pregnancies Are Unwanted.† Prochoiceforum.org.uk. Board of Social & Ethical Responsibility for Psychology of the American Psychological Association, 05 Mar. 2002. Web. 13 Oct. 2013. Sankin, Aaron. â€Å"Abortion Poverty Study Finds Link Between Lack Of Access And Income.† The Huffington Post. TheHuffingtonPost.com, 14 Nov. 2012. Web. 13 Oct. 2013. Smith, Sharon. â€Å"Abortion Is Every Woman’s Right.† Abortion Is Every Woman’s Right. N.p., 23 Apr. 2004. Web. 12 Oct. 2013.

Friday, August 30, 2019

Australia’s Foreign Relations to 1945

Introduction Australia’s presence and participation in global affairs have been commendable over decades now. Australia officially referred to as commonwealth of Australia is in the southern hemisphere. Australia comprises of the mainland of Australian continent, Tasmania Island and other smaller islands in the pacific and Indian oceans. Like other countries, Australia has undergone numerous milestones over the past centuries which have influenced its present developments. Australian foreign relations with other countries including the US, UK and other Asian countries are of great importance are.Having interacted with these countries at different times of history, Australia has been able to share common policies and interests with these nations. Firstly, the UK which colonized Australia since the 18th century had great influence on its current foreign policy. The trade relations between Australia and America as well as the joint participation in WW II influenced its foreign po licy and relations. These interactions are also evident with other Asian countries like New Zealand, Japan and China which have shared common experiences in war as well as trade.This essay will discuss the importance of Britain, Asia, and the US in shaping Australian foreign policy since the 1788 settlement to WW II (1945). Australia has a rich and appealing foreign policy which makes it a trusted ally to many nations across the globe. The foreign policy of Australia includes various separated but inter-related policies in the fields of trade, security, defence, foreign aid and international commitments. Being a signatory to different treaties in the UN, Australia has been steadfast in attending to issues of global interest.In regards to trade and foreign aid, Australia is always in the forefront in fostering the spirit of globalisation. It is however notable that the foreign policies and relations of Australia are fast in upholding and promoting the interests of Australia. As far a s security and defence is concerned, Australia is always vigilant in addressing any threat to national security. The development of the current and past foreign policies specifically between 1788 and 1945 was greatly influenced by the UK, US and Asia .The UK which was the first to arrive in Australia in the 18th century greatly influenced Australian foreign policy from settlement (1788) to the WW II. It is worth noting that Australia was a victim of tyranny of distance as well as a colony of Britain. Till 1942, Australia showed little or no independence in foreign policy. This is because it was under Britain influence. Despite that Australia was a dominion of Britain and that it had right to determine its foreign policy, it never showed independence. The issues of culture, military, economics and politics were greatly influenced by Britain.It is hereby notable that Britain had great importance in forging Australian foreign policy on the issues of politics, security, defence and econ omics. Since the settlement in 1788 to 1930s, Australia had no international embassies apart from London. The main concern for Australia was on trade and economics. Britain hereby played a key role in modelling Australian foreign policy on trade, culture and economics which helped in meeting the interests of the Australian citizens . US played a key role in building Australian foreign policy since 1788 to 1945.Based on the strong trade relations, Australian extended these relations from trade to security. The fears of Japan invasion in 1930s was a real problem to Australia. Despite this problem, Britain was unable to defend Australia thus seeking the support of US. Based on this phenomenon, it is evident that the fear of Japan invasion influenced Australian foreign policy between 1918 and 1945. Australia extended its trade ties with US to security and defence relations. This is one of the foreign policy of Australia whereby it sought to ensure strategic relations with other countrie s .The foreign policies adopted by Australia on security and defence before 1945 were influenced by the US. This can be attributed to the continued threat of Japanese threat and hostility to Australia. As a result of the open hostility between Australia and Japan during the Paris Pease Conference in 1919, Australia depended on US from defence. During this period, Australian defence planning borrowed from US. In the 1920s, Australian demonstrated an open stereotype and prejudice which was influenced by the US.There was a growing negative stereotype of Japanese by Australia is a potential threat to national security. In response to this scenario, Australia developed and implemented foreign policies which were aimed at enhancing its security and countering Japanese invasion. The foreign policy on security was also allied to the US as a potential strategic partner. The Japanese invasion in China in 1933 had a significant impact on Australian’s attention. In this regard, Australia moved fast to ensure it had strong ties with US, hence strengthening its defence. In light ith this phenomenon, it can be established that Australian foreign policy between 1918 and 1945 was influenced by US due to the threat of Japanese invasion hence prompting it to enter into strategic alliance with the US . The stay of British settlers in Australia since 1788 had great influence and importance to Australia’s foreign policy since 1788 to 1945. The models of Australia’s legal and political systems as well as policies on trade and security were influenced by Britain. The foreign policy on immigration adopted by Australia till 1945 was influenced by Britain.It is important noting that Britons dominated the culture, language and the entire make-up of Australian society. Due to the domination of Australia by Britain, its national identity was relatively indistinct from that of Britain. This made the two nations to share same philosophies and practices as far as foreign policy and relations were concerned. The immigration policies adopted by Australia favoured Irish and Britain. This manifests the strong influence of Britain to Australia’s foreign policies before 1945.The establishment of the Immigration Restriction Act was a major manifestation of Britain’s influence to Australian foreign policy. In this policy, Australia effectively banned Asia migration into the country for the next 50 years. There was also preceding legislations which prohibited the employment of contract labourers as well as the deportation of those already in the country. These developments had great influence on Australian foreign relations till 1945 . Asia has played a critical role in influencing the foreign policies of Australia from 1788 to 1945.The relationships between Australia and other Asian countries of; Malaysia, Singapore, New-Zealand, Japan, Indonesia, and China was of importance in modelling its foreign policy. The quest for peace and regional sta bility was a major issue which influenced Australia’s foreign policy. This can be evident in the 1944 agreement with New Zealand which dealt with welfare, security and advancement of people in the different independent territories. The need for peace and security for its people can be viewed as the major concern for Australia which influenced its foreign policy during this time.Alongside the security concerns, Australia was also focused on boosting its economic prospects. In order to ensure prosperity and sustainability in national development, Australia was keen to ensure regional cooperation with other Asian countries. This was aimed at enhancing the economic prospects of the country . The importance of US in the foreign policy of Australia is very evident through the continued cooperation between the two countries. In the periods before 1945, the US was regarded as Australia’s key ally in WW II.The entire foreign and defence policies of Australia directly depended o n US support. He strong ties between US and Australia influenced its foreign policy on the Southeast Asia. Despite that at times Australia acted independently on foreign policies, it always pursued policies which impressed the US. It is important noting that Australia was ever submissive and subservient to US wishes. Nevertheless, at times Australia pursued different foreign policies which contradicted those of US as in the case of Malaya and West New Guinea.The fear of Australia from foreign invasion had a role in the dependency of Australia’s foreign policy on US . Conclusion It is apparent that the foreign policy and relations of Australia to 1945 was influenced by Asia, Britain and America. The interactions of these countries with Australia played a key role in shaping its foreign policy from 1788 to 1945. The key issues of concern were defence, security, trade, and migration. As observed in the discussion, the US was very influential on the foreign policies of Australia on defence and security.This was also the case of Asia which influenced Australian foreign policy on regional cooperation and security. These insights demonstrate the significance of Britain, Asia and US in modelling Australian foreign policy between 1788 and 1945. Bibliography Dunn, Michael. Australia and the Empire: From 1788 to the Present (Sydney: Fontana/Collins, 1984), 75-154. Esthus, Raymond. From Enmity to Alliance: US-Australian Relations, 1931-1941 (Melbourne: Melbourne University Press, 1964), 83- 132. Grey, Jeffrey. A Military History of Australia (Cambridge: Cambridge University Press, 1999), 45-98.

Thursday, August 29, 2019

Nestle Distribution Channel

Table of Contents Sr. No. | Title| Page Number| 1| Introduction| 2| 2| Distribution Channels Structure| 2| 3| Terms of Appointment and Incentives for Distribution Channels| 3| 4| Reporting, Control and evaluation system for their sales force| 5| 7| Recommendations and Conclusion| 5| 8| References & Bibliography| 6| Introduction: Success toady in the competitive world has become very difficult. This is because it does not solely depend on basic factors but on all the factors related to the organisation.Earlier it was possible for an organisation to dominate in the market but today due to lot of different methods, channels and modern tools for marketing and functioning of the organisation, the world has become very competitive. In this assignment the author is concentrating on two major players in this competition, the distribution channels and the sales force. The company in discussion here is Nestle UK and the product for narrow research is Nestle’s own most successful bra nd â€Å"Kit Kat†.Nestle homes itself in Switzerland since 1867 today is one of the world’s most successful organisation in the FMCG category. www. total-logistics. eu. com, accessed 08 August 2010) It started its UK activities around 100years before and started their own manufacturing unit. Today Nestle has 8 manufacturing plants in UK with two head offices in Croydon and Dublin. (www. nestle. co. uk, accessed 08 August 2010) Distribution Channels Structure: According to Brassington and Pettitt, a channel structure is a route selected in order to move the product to the market through different intermediaries. This is the distribution channel structure which proves vital for the smooth movement of the product and making it available to the end consumer.Distribution Channel Structure forms the fourth element of the Marketing mix for any product. The ‘Place’ element, and therefore it becomes an important factor. There are various channels of distribution ad opted by various companies according to their product requirement and strategies. Apart from the above said vital function of a distribution channel, it has various other functions like: 1. Gathering market information which includes market research that helps future market planning. 2. Searching potential buyers and communicating them. 3. Doing promotional activities. 4. Achieving buyer specific demands and requirements. 5.Deciding on offers and pricing issues. 6. Storage and transportation of goods. 7. Managing funds required for functioning of the distribution channels. (www. tutor2u. net) Nestle adopted a strategy that their products should be made available in all the parts of UK and that they should not be falling behind for the supply, basically called as the ‘whenever’, ‘wherever’, ‘however’ strategy of distribution. In order to achieve this they needed a strong distribution network which supported their strategy and was cost effective. According to marketing department of Nestle UK they had analysed the following different channels of distribution.Single Tier Distribution Network: Producer – Retailer – Consumer Two Tier Distribution Network: Producer – Distributor – Retailer – Consumer Multi-Channel Distribution Network: Producer – Distributor – Regional Distributor – Wholesaler/Retailer – Consumer (www. nestle. com, accessed 08 August 2010) Owing to the huge retail market in UK the single tier distribution was almost impossible for Nestle to adopt as the distribution for Nestle directly would have become very complicated and the product strategy could not have been achieved.So they opted for multi-channel distribution network and appointed their own major distribution points at Bardon in Leicestershire and York in North Yorkshire. Bardon handles the food and beverage industry of Nestle in UK and York handles the confectionery industry of Nestle. The product in discussion here is Kit Kat which is distributed from York distribution centre. The physical distribution is done by trucks carrying composite palettes. The transportation is appointed by Nestle and is dedicated only for Nestle. York is a huge hub of confectionery and has heavy storage capacity to cater the market needs.Kit Kat being highly popular in the market there is continuous distribution running round the clock for Nestle. The demand in the market though fluctuating is handsome and so Nestle deals with it very efficiently. This generates high profit for Nestle as compared to other products. Nestle has their own regional distribution depots which are so placed that they cover the whole of UK. Kit Kat is transported from the national distribution centre at York to the regional depots as and when the requirement is put on. These regional depots then supply pallets of Kit Kat to the whole sellers in the market.In UK Asda, Tesco, Sainsbury’s, Waitrose, Morrisons, etc. are the major wholesalers those purchase huge stock from Nestle. (www. nestle. com, accessed 08 August 2010) All this is supplied from the regional depots. These whole sellers are direct retailers as well. So Kit Kat reaches the consumers from them as well as from small off license and small retailer shops. Terms of Appointment and Incentives for Distribution Channels: The distribution channels and its elements are all a part of the distribution strategy for any product.In order for the smooth functioning of the channel there are some terms and conditions between the company and the distributor. This is an agreement between the two over the products. The following are the mainly considered point in the appointment of any distributor as per UK law. 1. The Parties: are the guarantors needed for any obligations of the distributor 2. Territory/Products: The place and its boundary that the distributor is allotted for sale. The products the distributor is allowed to sale and many tim es the clause of new products that they get added automatically or new agreement has to be done each time. 3.Nature of Appointment: The company may reserve right to sell the product directly in the same territory or if needed can appoint a new distributor in the same territory. This point can be a complete no or flexible. 4. Duration of Appointment: The length of agreement or contract between the company and the distributor, as in fixed term or short term. If the contract is short term then the notice period has to specified, if it is a fixed term then the exact duration needs to be specified. There can be a linkage of the duration to the distributors performance say above a certain level then certain duration if not then discontinue.There also can be a probation period allotted for the distributor wherein the performance can be evaluated and then agreement can be decided. 5. Obligation of or restrictions on distributor: These are generally related to the sales, promotion and advert ising of the product. The rights can be kept by the company or can be given to the distributor. This point also refers to any requirements for sales in the territory say government licenses, quality certificates, pollution certificates, food and drug licenses, etc. The agreement also clearly states the cost bearer of all these permissions and licenses e. . the company or the distributor. This also covers for any taxes or duties that need to be paid for any particular territory, etc. 6. Intellectual Property: This point in the agreement covers for any patents, trademarks, particular registered designs, technical know-how, and other product related factors held by the company. This point covers for the permission needed if any by the distributor to use product factors for selling. Also the need of any license to use certain elements that the distributor needs to take before taking the distributorship.In some cases like if the trademarks are owned by the company the distributors are ap pointed as the registered users. 7. Termination: This covers the termination period and conditions in which termination can take place from both sides the company and the distributor. The notice period before the termination, if termination is due to some underperformance then any rectification time that is allotted to improve, etc. is a part of this clause. 8. Effect of Termination: In case of termination of the agreement the effect of it on the existing orders, stock already at the distributor, etc. elated information comes under this clause. If the distributor needs to sale the stock back to the company, what will be the cost at which he can sale? All these terms are covered under this point. 9. Notices: In some cases the headquarters are not in UK, so the jurisdiction of the territory may need a UK address for the notice. This is cleared under Notices point. 10. Arbitration: This applies only if needed. And if needed, the language and the place of arbitration are clearly mention ed in the agreement. 11. Relevant Law: This covers for any specific laws those required for the agreement.The jurisdiction of the territory is fixed. Many times the parent company is in other jurisdiction or vice versa, so the binding jurisdiction is decided and clearly mentioned in the agreement. 12. Notification: Some territories may require additional registration or notification in the local registering bodies; this is also mentioned in the agreement. (Weise, 2007) These are some standard and basic points covered in any appointment of distributorship. Nestle also follows the local law and has these sort of agreements are done with their distributors.Nestle incentives are very tempting for its distributors as nestle opts for win-win situation strategy. This helps them to keep the product moving always. Majorly two types of incentives are given to the distributors. Sales based commission in percentage of sales target achieved and holiday packages to exclusive tourist locations. (D emirag, 2010) The first one is major of the two as it depends on the performance of the distributor, the more the sales the more the commission. This is purely in the hands of the distributors so it is easy for them to achieve more incentives.These incentives affect major sales of any product. Reporting, Control and evaluation system for their sales force: Salesforce plays another vital role with distribution channels because it is a major element of the distribution network that works individually. Any organisation should have a proper channel of reporting, control and evaluation of the sales force. Salesforce management is of utmost importance as they face the customers directly and hence the reputation of any company is somewhat dependent on them.Success or failure is somewhat directly related to salesforce performance (Venugopal, 2006), therefore proper reporting, control and evaluation of the same needs to be very strong and clear in any organisation. (Muczyk and Myron, 1987, e t al cited Venugopal, 2006). Reporting of sales force is completely dependent on the hierarchy of the organisation and it differs from country to country and organisation to organisation. The reporting is from daily to weekly to monthly basis. Reporting is done by filling forms or computer generated sheets, emails and now a days through software.Reporting is usually to the regional managers in the sales department. (Marks, 2008) Software’s are becoming popular as the data can be available for the senior management to evaluate and check anytime they want. Salesforce performance needs to be evaluated through various methods in order to achieve maximum sales. Marks in his book explains’ about the evaluation techniques and methods of salesforce. Monthly audits and performance mapping of individual person in the sales team gives a clear idea of the performance of each individual. This helps the sales manager to design his team and decide the future actions and plans.Target setting also can be done with useful data from evaluation process. Based on this evaluation the salesforce needs to be compensated with rewards. This serves as motivation to work more efficiently. Regular training and meeting with senior and experienced staff helps improve selling methods and way of work. For Nestle the sales team has monthly orders from the big wholesalers like Tesco, Asda, Sainsbury’s, Waitrose, etc. Kit Kat being highly popular it comparatively easy for the sales team to achieve the set target due to high demand as a result of the popularity.They work on credit accounts that are opened initially after a small credit check and then the terms of credit period and payments are decided. Recommendations and Conclusions: Overview of Nestle UK concludes at a point that they have one of the best practices in the functioning of the product process in the market for Kit Kat. The only recommendation is that use of the railway network in UK in order to fast supply of the goods and reduction in time factor. This will improve their efficiency in the market and they can achieve the target sales smoothly without any shortages.In order to have a healthy business salesforce need to be motivated and kept happy. They are the major players in getting the business for any organisation. (Zoltners, Sinha, Lorimer, 2004) Any organisation selling product is complete only if they have a proper distribution structure and effective and efficient sales team. (Johnston and Marshall, 2010)

Book Report Assignment Example | Topics and Well Written Essays - 750 words

Book Report - Assignment Example Marginalized Americans retaliated via employing severe and unequaled efforts to regain their dignity, which encompassed students’ movements comprising of daring youths like Young Americans for Freedom (Young Americans for Freedom) besides others (Foner 1046). The period between 1960s until mid 1970s, marked the most decisive era in America’s history that yielded to the start of marginalized recognition, which the current natives are enjoying. This was an explosion of what the then parents were experiencing due to â€Å"want† (deprivation), which prompted them bow to the white man’s orders for survival, though, teaching their children to defy. Hence, the child’s advice, though accompanied by a contradicting parents’ action, â€Å"My Dad taught me never to bow my head to nobody.† But sometimes Daddy’s head was bowed: frequently Daddy was destroyed (p. 268). Marginalization, inequality and continuous call for white’s rule de fiance by the parents besides other rights activists pioneers, prompted the students to demand their recognition tirelessly. Consequently, surprising Americans who kept wandering what has â€Å"got into† the students. ... For illustration, hotels and even public transport buses where the whites used to assume the front seats. Besides, the people’s realization regarding the state’s mandate to intervene and improve its natives’ lives, it fueled numerous uprisings, owing to the contrary to its dealings. They contended, that when the government interferes with the work of the market economy, tends to reduce the moral and physical strength of the nation; that when it takes from one man to bestow on another, it diminishes the incentive of the first, the integrity of the second and moral autonomy of both (p. 271). Unfair treatment and favoritism based on racialism prompted the marginalized to declare and believe that, liberty can exist only when free citizens can concertedly defend their rights against all enemies (p. 271). Civil rights’ activists like Malcolm x and other like minded who deemed that it is impossible for the oppressor to grant equality to the oppressed, also fueled severe uprisings to demand what was due to the segregated people. Consequently, continuing to the late 1970s where the American regime not wanting to tarnish their global reputation yielded to the diverse uprisings’ demands regarding equality. For instance, the initial sign was Birmingham’s events in May 1963 that overwhelmingly forced Kennedy to ban discrimination in public where its related Act attained legality during the Lyndon Johnson’s regime. Since, America by having internal wrangles entailing inequality among its natives could not declare itself the champion of freedom. Feminist movement (Redstockings) that emerged during 1969, though, short-lived had an immense influence that is evident presently. Redstockings identified male

Wednesday, August 28, 2019

Criminology theory research paper Essay Example | Topics and Well Written Essays - 2250 words

Criminology theory research paper - Essay Example In response, the Canadian conservative government has adopted varied measures aimed at addressing this menace. These include increasing longer prison terms as well as establishing more prisons. (Agnew and Cullen 121) As much as this has been helpful in averting crime, its effectiveness has often been questionable. This therefore call the need for the application of classical criminology and strain theory to explain how government agencies can avert the ever increasing rates of crime in the city of Toronto. Classical criminology theory Prior to explaining how government agencies in Toronto can apply classical criminology theory to fight crime, it is important to analyze it major underlying concepts. The classical school of criminology is often associated with Cesare Beccaria (Slocum 1107). It emerged at a time when the naturalistic approach of social contract scholars was challenging the spiritualistic approach that had dominated the thinking of criminal justice policies over a long p eriod (Becker 174). Thus, classical criminology emerged as a protest against spiritual explanations of crime and the criminal policies which they were based. Beccaria protested against a wide range of inconsistencies in the governance as well as public affairs(Slocum 1108). He advocated for various reforms within the criminal justice system to make it more logical and rational(Slocum 1108). He objected the barbaric punishments that were issued at that time. In regard to the contractual society and the need of punishments, Beccaria argued that laws are conditions under which people are united to form a society. It is the law that defends against private usurpations by individuals. He believed that only established laws can decree punishments for crimes. Beccaria believed that the true measure of crime is the harm done to the society. Thus, he expressed acknowledgement of the fact that crimes should not be committed, or should be less frequent in proportion to the harm they case socie ty. For this reason, he contended that obstacles that deter people from engaging in crime should be made stringer in proportion as they are contrary to the public good. According to Beccaria, there must be a proper proportion between crime and punishment(Agnew and Cullen 231). Today, most law enforcement agencies apply this principle through the establishment of law enforcement agencies aimed at punishing criminals. In regard to severity of punishments, Beccaria believed that for punishment to attain it end, the evil it inflicts has to exceed the advantage derivable from the crime (Cornish and Clarke 943). He argued that the more prompt and more closely punishment followed upon the commission of a criminal activity, the more just and useful it well be. According to him, one of the greatest curbs of crime is not the cruelty of punishment but rather the certainty of punishment. Thus, he suggested that laws and executors of laws should be inexorable. Most importantly, Beccaria argued t hat it is better to prevent crime rather than to punish them(Agnew and Cullen 232). He therefore believed that the ultimate purpose of every good legislation should be to prevent crime. This can be done through making laws clear and simple and that the entire force of a country should be united in the defense of these laws. Therefore, Beccaria believed that laws should be published do that the public may be aware of they are expected to do. His

Tuesday, August 27, 2019

Policy Paper Term Example | Topics and Well Written Essays - 2000 words

Policy - Term Paper Example Palestine is the land that the two factions have been fighting for ownership. The Jew asserts that Palestine is theirs based on the biblical promise. On the other hand, the Arabs claim that the land is theirs since they have continuously been staying in that place for a long time. It is an important aspect for the policy makers and the society to address the pre-existing feud so to cultivate peaceful co-existence between the two groups. The purpose of this paper is to propose relevant policies that will strengthen the United States foreign policy in the Middle East. The significance of this policy is that it will minimize instances of conflict and spread of weapons of mass demolition. The context of this paper is the prolonged boundary conflict between the Arabs and the Jews. The conflict involving the Zionist Jews and Palestine Arabs is a recent phenomenon that began in the end of the 19th century. Even though the two groups are of different religious belief, religious disparities are not the main reason of the conflict. The conflict started as a struggle over land where both groups had claimed ownership of Palestine (Primer on Palestine, Israel and the Arab-Israeli Conflict, p.1). Before the beginning of the 20th century, majority of the Jews existing in Palestine were concentrated in four cities. They were more inclined to their religious beliefs and customs. They believed that their attachment to Palestine was religious. The further migration of the Jews from other parts of the world was due to the desire of finding their origin. Consequently, this led to the rise of the Jew population to approximately sixty thousand. At the time, the Arab population was at 683,000. The sudden rise in the number of Jew inhabitants occupying Palestine greatly provoked the Arabs (Primer on Palestine, Israel and the Arab-Israeli Conflict,p.5). During the period of conflict, the British government had made a number of promises to both the Arabs and Palestine. However,

Monday, August 26, 2019

STP Analysis, Instacart Essay Example | Topics and Well Written Essays - 500 words

STP Analysis, Instacart - Essay Example These are different market segments with different needs. For schools Instacart provides a combination of high quality and affordable groceries. On the other hand, for the light commercial customers, Instacart offers a variety of comprehensive groceries with extraordinary convenience. Instacart relentlessly focuses on its quality and customer experience. In doing this, Instacart offers its customers low prices, wide selection and convenience products and brands. Achieving repeat purchases and customer loyalty remains the key aspects to Instacart success. Instacart communicates fulfillment of its promises including the delivery of date estimates, options for expedited delivery, update facilities, delivery shipment notifications and presentation of latest inventory through availability of information (Cheng 32). Instacart provides quality, timely customer service, fast and reliable fulfillment, and trusted transaction environment. It also features rich in nutrients products and repeated customer purchases systems. Large retailers, physical retailers, vendors, manufacturers and distributors of alternative products most of which tend to possess sales volumes, significant grocery awareness. Some competitors who sell the franchise products through direct marketing, mail order and the internet The primary competitive factor in Instacart is its market segments that include quality and fresh products, convenience, selection, availability, price, personalized services, brand recognition, discovery, information, speed of fulfillment and customer service (Manjoo). Other competitive factors include: reliability, trust in transactions and having the ability to adapt changing markets conditions. For products offered to individual and business sellers, additional competitive factors in this case includes their ability to generate sales especially for third parties in which Instacart serves,

Sunday, August 25, 2019

STRUCTURAL-FUNCTIONAL THEORY CHAPTER 10 Article Example | Topics and Well Written Essays - 500 words

STRUCTURAL-FUNCTIONAL THEORY CHAPTER 10 - Article Example Merton studied social phenomena by studying the meanings people attach to their actions, using the methodological approach, structural-functionalism which was in vogue in the 1930s. Merton maintained that structural-functionalism is predicated upon three assumptions. The first assumption is that social systems are self-regulating and tend towards a state of equilibrium. The second assumption is that every social practice contributes to the survival of the social system to which it belongs. The third assumption is that every social practice is indispensible just as the brain and the heart are to human beings. On the converse, Merton made postulation that the degree of integration in a social system is an empirical variable and can vary from institution or society or time to the next. Merton also contended that social practices are not really functional for the entire cultural or social system. Merton also questioned the idea of universal functionalism, as the assumption that every social practice fulfills vital functions in ensuring the survival of a system. Merton also disputed the concept of indispensability, as the concept that every social practice is indispensible because it executes necessary function. To draw the proper functions of an organization, Merton drew the distinction between manifest and latent functions. With the former, he meant to denote objective consequences which contribute to the adaptation of the system recognized by participants in a system. Latent functions in turn means objectives that are neither intended noir recognized correlatively. When discussing the structural causes of bureaucratic dysfunctions, Merton points out that the ideal type of bureaucratic arrangements achieves high extent of efficiency due to application of rules that are predetermined categories of cases that preclude the need to issue certain instructions for a given

Saturday, August 24, 2019

Bachelor's degree obtaining Research Paper Example | Topics and Well Written Essays - 1250 words

Bachelor's degree obtaining - Research Paper Example † written by Marty Nemko and Charles Murray, they express their ideas and they believe that the aspiration to achieve a bachelor's degree is not worthwhile for all students. Their views are very contrary to my point of view. A bachelor's degree is very important and needed by everyone. It is indeed worthwhile for all students to get their bachelor’s degree because of the many advantages the degree offers to each and every individual, especially in today’s world. In the essay â€Å"America’s Most Overrated Product: The Bachelor’s Degree† written by Nemko, a career counselor, columnist, and radio host based in Oakland, he expresses the idea that the goal of obtaining bachelor’s degree is not worthwhile for all students. He claims that most of the students today are not good students, but they just want to prove to the others that they can get the bachelor’s degree. Many students take it really long time to finish their education. S ome of them are even dropouts from school. These days many students do pass the examinations but eventually they do not really understand what it is all about. Nemko has noted that nowadays 40% of freshmen do not graduate from their school even in 6 years. Eventually, the college graduates of today’s time are compelled to take up some unprofessional jobs that they really do not want to join. The job that they get is not the job that they dream of. College and universities nowadays are like businesses and the students who are study there are the cost item (Nemko). Many institutions educate their students in the cheapest way. They do not teach their students in the way they should teach them. Normally, these educational institutions have many large lecture classes, but only a handful of good teachers are available. The teachers who are appointed by these institutions are hired because of their research potential and not because they have the ability or the inclination to teach the students. It would be better for colleges to hold much higher standards for their education. This might cause them to cost much more and it will require more time for the students to get their degree. But when someone is conferred the degree, it would prove to be something of great value to their lives. Nowadays, most people who are new graduates and have been selected for jobs lack the essential skill sets required for what the job description demands from the selected candidate. This goes on to show the insignificance or the lack of true value of the degree they have been conferred on. The author has also been of the opinion that college selection should ideally be a wise choice for students and that very few students are actually currently encouraged to make such crucial considerations. He opines that it is better for someone to pursue their education and not get their degree if they are forced to take it. On the other hand, the essay â€Å"Should the Obama Greneration Drop Out?† written by Murray, a scholar at American Enterprise Institute, also expresses the same idea that the goal of obtaining bachelor’s degree is not worthwhile for all students. In his essay, he discusses Obama’s ideas. Obama’s idea is about expanding the use of community colleges and tuition tax credits (Murray). The bachelor’s degree has nowadays become one of the foremost criteria for most jobs. Again, it is imperative that making the bachelor’

Friday, August 23, 2019

AMEX vs NASDAQ - Similarities and Differences Assignment

AMEX vs NASDAQ - Similarities and Differences - Assignment Example To start off both Amex and NASDAQ are companies that are based on the stock market. Both handle major clients and conduct transactions with many different exchanges. Both also deal with the buying and selling of stocks. As regards to the popularity, each is widely known and capitalizes on their investors.While similarities exist, both corporations do have obvious differences. The major point of difference is that Amex uses floor exchange methodology; a specialist system with a centralized limit order book while NASDAQ employs an electronic listing of competing dealer quotes. This difference leads on to other differences such as transaction processing time (slower in the case of Amex) and efficiency.As mentioned earlier the AMEX is an order-driven continuous auction market, the foundation stone of which are the market makers or â€Å"specialists†. The work of the specialists is to facilitate continuous trading by posting quotes for their own account or by offering the best quot es on their limit order book, which represent a centralized depository for limit orders to buy or sell stocks at specified rates or better. Limit orders provide immediate liquidity and their importance on the AMEX can be judged by the fact that nearly 88% of the volume on AMEX arises from trades in which the specialists do not participate for their own account. But specialists in the AMEX are not allowed to trade ahead of limit orders at the same prices so their quotes usually reflect the limit order book. The result is temporarily stale limit prices (in the initial stages) after public announcements. This slow updating of limit orders can delay revisions in the best bid and ask quotes.

Thursday, August 22, 2019

Luzhin will give Raskolnikov a job Essay Example for Free

Luzhin will give Raskolnikov a job Essay Raskolnikov saw the harsh way in which Katerina treated Marmeladov and the horrible poverty they lived in. When he brought Marmeladov back he left some money for them because of their evident need. Despite, he himself not being financially stable. He also reasoned that Sonya would need the money for her to make herself pretty so customers would come. He had many things in common with Sonya and as their life progressed they began to realize this. Raskolnikov could not relate to anyone after the murder except for Sonya. He felt a connection, which made him trust her and in time confess to her. Lizaveta was a dear friend to Sonya, who gave her a bible and a cross for Sonya to pray to. When Raskolnikov confessed to Sonya, she was not upset for Lizaveta but for his well being, which shows how much she cares for him. Raskolnikov views Sonya in the same circumstance as himself, both sinners. He believes this because she has this great believe in God but in the meantime she is a prostitute, which is ironic. Konstantin Mochulsky portrayed Sonya and Raskolnikov as guilty of damning her soul as he. `You have ruined a life your own (its the very same thing). Konstantin says that the words in parentheses are filled with malice and a fiendish lie. To lay down ones life for ones fiendish the very same thing as destroying the life of ones neighbor! (Miller, 97). Raskolnikov wants to make Sonya feel guilty about herself because he wants to leave with her. He wants to run away from their problems since they both have a dreadful past here, so they can start a new future in a new place. Raskolnikov first has to keep Dunya from marrying Luzhin. Dunya and Pulcheria have come to Raskolnikov so Dunya can get married to Luzhin, who is a businessman. Luzhin is mean, intolerant, and egotistical. He only wishes to marry Dunya because she is attractive, clever, but very poor and this combination he believes will make her indebted to him. Dunya is engaged to this man but she is only suffering this for her brother. Pulcheria and Dunya would suffer and sacrifice anything for Raskolnikov but he doesnt want such responsibilities on his shoulders. They believe that Raskolnikov has the talent and intellectuality to become a wealthy man but he only needs an opportunity to prove himself, which is why Dunya will marry this self-centered man, Luzhin. Luzhin will give Raskolnikov a job, if Dunya marries him. This agreement would make Dunya suffer and Raskolnikov sees this and will not allow her to put herself on the line for him. Dunya knows that she doesnt want to marry Luzhin and when he came to visit, he made it clear that he wants to be the superior to her. She and everyone else realized that he is a very arrogant person and since he mistreated her brother, she cancelled the wedding. Luzhin believes that it was all Raskolnikovs fault and wants him to suffer. He wants to retaliate through Sonya. Luzhin goes to Sonya and gives her hundred rubles. He then goes to Katerina to tell her that Sonya stole the money but Sonya was saved from his allegations when Lebezyatnikov came in and told them that he saw Luzhin give her the hundred rubles. Luzhin not only embarrassed himself but also made himself seem vindictive and unreliable. Luzhin in the end was suffering because of his heartlessness. Raskolnikov is becoming more paranoid and keeps on almost confessing, every time he is questioned. Porfiry Petrovich is an officer and suspects Raskolnikov of the double murder. Every time the officer has a conversation with Raskolnikov, he gets so fearful and anxious that he has to leave in order to get his cool back. This shows that he is on the verge of confessing because guilt is overtaking his mind and soul. Raskolnikov only feels some normality when he is with Sonya. Sonya is vulnerable and he likes her kindness even though she also has a hard life. All the Characters in Crime and Punishment cause suffering upon themselves. It is not done in an intentional way but after they suffer they begin to feel redemption. Marmeladov liked to suffer and only felt human when he got punished. Sonya, Dunya and Pulcheria suffered for the sake of their families because they believed that it was for a better cause. Luzhin suffered because he was too egocentric to realize that he was hurting himself. Raskolnikov believed that he was murdering the pawnbroker for the sake of human kind but instead it ruined his life because he was consumed with guilt. The regret mainly came from killing the innocent sister, which made him isolate himself even more. The state of suffering that they all experienced was an escape. They knew what they were doing and felt bad or wrong about it. Suffering was their way of paying for their sins. Bibliography Dostoyevsky, Fyodor. Crime and Punishment. New York: Penguin Group, 1968. Malamud, Bernard. The Assistant. Oregon: Farrar Strauss Giroux, 1957. Miller, Robin Feur. Critical Essays on Dostoevsky. Boston: G. K. Hall Co. , 1986; 90-100. http://dictionary. reference. com/search? q=suffering.

Alcohol and Drug Abuse Essay Example for Free

Alcohol and Drug Abuse Essay Hello fellow classmates, today I’m going to inform you on Alcohol and Drug Abuse. Alcohol abuse is due to many factors, including how you were raised, your social environment and your emotional health. American Indians and Native Alaskans are more likely to develop alcohol abuse, also people who have a family history of alcoholism or heavy drinkers are more likely to develop some sort of drinking problem. People who suffer from mental health problems such as anxiety, depression or bipolar disorder are at risk because alcohol may have been used to self-medicate Alcohol abuse effects society in many ways including more people getting divorced, domestic violence problems, unemployment and even living in poverty, also if you have children they are effected the most as they are sensitive and are most likely to suffer from long-lasting emotional trauma because a parent or caretaker is an alcohol abuser Many people experiment with drugs for different reasons. Many people try drugs for the first time because they are curious; think they’re going to have a good time, because everyone around them is doing it including friends, others do it to enhance athletic performance or to ease other problems such as stress, anxiety or depression. Some may think using drugs automatically leads to abuse but it depends on the individual. Drug Abuse isn’t about how much you take or how frequently you take it, it’s about the consequences from taking the drug, if it’s causing problems at home, school, work or even relationships, it’s possible you have a drug abuse problem. Drug abuse affects society in many different ways such as, neglecting your responsibilities at school, work or home, causing problems in your relationships such as fights with your partner, family member or friends We need to change the way Alcohol and Drug abuse affects not only society but the abusers, because it is unfaithful to God’s teachings as he never wanted us to abuse anything in anyway shape or form. God’s love for everyone is so strong and powerful that he doesn’t want you to get hurt because you feel the need to abuse Alcohol and especially Drugs The solution to these problems is depending on there condition. Most abusers can control there use therefore and easy solution for them is moderation, for example setting limits and using there will power, but if that doesn’t work they need to obtain counselling, which will help them with different strategies in coping with all there emotions, but if someone is a social drinker because they have a low self-esteem, they can get psychological help to feel better about themselves so they don’t have to drink So we need to spread the word of god to start decreasing the number of people who abuse drugs and alcohol

Wednesday, August 21, 2019

EU Commission on Auditor Liabilities

EU Commission on Auditor Liabilities Auditors are increasingly finding that they are being targeted by those who feel that they have been wronged by the quality of the financial accounts. Auditors are required to consider the financial accounts that are prepared by the company and to establish whether they believe that they give a true and fair representation of the underlying financial position. By ‘true’ they are looking for whether the transaction actually occurred and by ‘fair’ they are looking to ascertain whether the value of the transaction has been accurately recorded. In the UK, there is a rule that liability for misstatement is joint and several between wrongdoers. This often results in auditors taking a much greater portion of the liability than would seem just. Auditors are often seen to have deep pockets due to their insurance policies and, as such, make more promising targets for those who believe that they have lost out financially due to the inaccuracy of the accounts[1]. Background to the EU Consultation on Auditor Liability There have been widespread concerns over this practice, with many countries operating a more proportional approach where the extent of the blame dictates the extent of the liability. The European Union has shown particular concern over the potential reduction in competition that this lack of capped liability leads to. With the limit level of professional insurance policies playing a huge role in the company’s decision as to which auditor to appoint, this is thought to favour the larger auditors and exclude the smaller players from some of the larger lucrative contracts. It is also thought that this requirement presents such a great barrier to entry for auditor firms that there is a real danger that the audit market is not operating competitively. The EU consultation undertook a study based on four possible options that were available to produce a cap for auditor liability. Firstly, they considered a monetary cap on a Europe wide basis. Secondly, they considered a monetary cap based on the size of the auditor firm. Thirdly, there was an option to produce a monetary cap based on a multiple of the audit fee and finally, they considered the option of member states entering into a policy of proportionate liability, which would require the courts to split the liability based on the level of responsibility for the breach and on a proportional basis. This could either be achieved through statutory provisions or through the contractual provision between the company and the auditor. Upon consultation, the commissioners found that there was overwhelming support for the concept of having a cap on auditor liability, both from inside and outside the auditing profession. The Commission noted that the issue of auditor liability was not a new one, with consideration having been given, in 2001, to whether the extent of the differences between the countries in relation to auditor liability would prevent a single market across Europe. Although, at this stage, the substantial differences across jurisdictions were recognised, they were not thought to be so large that anything had to be done to rectify the position. However, since 2002, the large scale collapse of Arthur Andersen has occurred, bringing the issue of potential liability caps back into the forefront. The Commission initially identified the potential problems that the current auditing regime causes in terms of market stability and competition within the auditing function. Considerable attention was paid to the issue of public interest and the need to have a stable auditing function which can be relied upon to be accurate. For an auditing function to be efficient, the company must be able to select an appropriate auditor for its business needs but still allow it to maintain the independence of the function so that the stakeholders can rely on the statements. It is accepted that auditors will not always be 100% accurate; however, they should be able to be relied upon as this is critical to the overall efficiency of the European capital markets. Concentration of the Audit Market The central importance of the auditing profession is not disputed, with investors relying on the financial statements in order to make investment decisions. However, the magnitude of the risk that auditors are exposed to is becoming increasingly worrying both for the auditors and for the general competitive landscape. Due to the nature of internationally listed companies, there are only four companies that are capable of providing the necessary auditing services. These are refereed to as the ‘Big Four’: Deloitte, KPMG, Price Waterhouse Coopers and Ernst Young. It is not necessarily the expertise that prevents others entering the market, but rather the high level of professional indemnity that is required which is simply not cost effective for smaller firms entering the market. It is recognised that there is little or no chance of a new entrant into the market, yet there is a danger that any one of the four could be forced out of the market, at any point, thus further re ducing the competition in large scale auditing. In reality, international auditing firms are not actually one large firm but are a network of smaller firms that recognise they are not able to manage the level of risk that is required for international auditing. With strict rules relating to auditing firms, it is unlikely that another network will emerge, making the international audit market particularly fragile[2]. Auditors often become the target in cases of insolvency as they are the ones with the resources available to deal with any financial losses due to misstatement. It is this potential redress that offers investors a degree of confidence in the market and, therefore, it is seen as desirable that auditors are held to be liable in situations where they get it wrong. However, it is recognised that the current joint and several approach is simply inefficient and consideration should be given to alternatives. For the auditing profession to be truly efficient, it is necessary for there to be a substantial degree of choice. This is not currently the case and effort should be made to ensure that the auditing options are widened so as to become accessible to other medium sized firms. One of the recognised ways of doing this is to have a liability cap or a proportionate regime so that the deep pocket syndrome does not restrict the choice of auditor to the hands of the big four[3]. Extent of Risk for an Auditor The major barriers for mid sized auditor firms are recognised as being the lack of available indemnity insurance and the large amount of potential risk that is involved when auditing large international firms. Clearly, an auditor has a duty towards the company itself, based on either contract or tort when it has behaved negligently or with wilful misconduct. The vast majority of cases are related to negligence and it is this area of liability that has generated the most interest from the European Commission[4]. Liability is clearly owed to the client itself; however, this has also extended to be liability towards third parties, causing further barriers to entry for mid sized auditing firms. For a third party to bring a claim, it is necessary for there to be a causation link between the act of negligence and the damages suffered by the third party which, although difficult to prove, has resulted in some high profile payouts further jeopardising the chances of mid tier firms entering the international auditing market[5]. At the heart of this widespread liability is the concept of joint and several liability. Under this process, a third party who has a claim against a director can also bring a claim against an auditor who has given an unqualified opinion as to the accuracy of the accounts. In a case of corporate insolvency, the directors rarely have any finances available to pay out third party losses, therefore, encouraging actions against the auditors who are seen to have ample financial backing. It is this high level of risk that the cap on liability is aiming to address. Oppositions to an Auditors’ Liability Cap Despite the overall acceptance of the need to do something to alter the balance of power within the international auditing market, one of the main objections was that placing a limit on liability would give the auditing profession a privileged position in comparison to other professions. A main aim of establishing a cap was to encourage mid sized firms to enter into the market and it is feared that a liability simply would not achieve this aim. Much of the exposure faced is outside of the EU (i.e. in the US)[6] and, therefore, the cap would make little or no difference. Equally, the insurance requirements would remain high. A cap would not make the insurance requirement less; it would simply make it more ascertainable. There are also concerns that the cap would encourage poor performances and weaker audits. From a competitive point of view, those in opposition to the cap were concerned that such a move would reduce the competitive position of European companies in comparison to other international jurisdictions where no such cap exists. Concerns were also raised that a cap on auditors’ liability would be contrary to the overall proposition of better regulation that the EU has been working towards, in recent years[7]. Alternative Options As it is accepted that the main reason for imposing such a cap would be to open up the international auditing market to other mid sized auditing firms; alternatives to a cap on liability were also considered by the EU because of the potentially negative competitive impact of such caps. One of the possible options is to impose a compulsory insurance on audit firms. There is currently an insurance gap where the amount that an insurer is prepared to insure an auditor for is substantially less than the potential liability. Forcing the auditor to take out insurance to cover all losses would not be practicable due to the high level of potential risk. Therefore, the premiums would be prohibitively expensive, particularly for the smaller firms. Alternatives to funding this additional insurance would have to come from investors or the companies themselves. Another approach would be to reduce the potential risk faced by auditors by introducing safe harbours. This would involve carving out certain areas from the potential liability of the auditor such as any external reviewers’ comments on the company or any future plans which have happened after the end of the financial accounting year. However, in doing this, there are fears that the underlying principle of professional judgment would be eroded in favour of formalised approaches to ensuring that as much of the safe harbour carve out could be enjoyed. EU Recommendations On considering all of these factors and a widespread discussion of the pros and cons of the possibility of a cap on auditors’ liability, the EU commission has established a proposal that aims to achieve the middle ground[8]. When considering the four options as stated above (cap for all European audits, cap based on size of audit firm, cap based on the fee and a proportionate regime), the EU Commission concluded that a combination of a proportionate liability and an auditors’ cap on liability would make the foundations of their recommendations. The report advised member states to require a limitation to auditors’ liability to be established either through a statutory cap, a limitation based on proportionality or limitation of liability through the contract between the audit company and the auditor. Proportional liability gained considerable support from the non-auditing respondents to the proposals as it was felt that this would deal with the issue of reliance on auditors’ deep pockets, but would also ensure that the quality of the audit would be maintained. The commission recommended that any member state implementing this approach should not set a specific proportion and should simply set the principle in place to be applied through the judicial processes, where necessary. Unsurprisingly, the auditing profession preferred the concept of a cap on liability, arguing that it would have no long term impact on the quality of the audit and would allow mid sized firms to enter the market. This was not entirely followed by the EU Commission who preferred to suggest a principle of proportionate liability. Based on all arguments, the EU Commission has advised a regime of proportionate liability across all member states. Conclusions The issue of auditors’ liability and how risk is apportioned has been raising concerns on an international level and has, therefore, become the subject of an EU Commission report. Currently, the international auditing market is heavily dominated by the big four accounting firms and several barriers of entry exist to prevent mid sized firms entering the market. Many of the barriers result directly from the fact that auditors are jointly and severally liable for misstatements in the financial accounts. Therefore, due to their deep pockets, auditors are often the main target for those taking actions against struggling companies[9]. Based on this position, the EU Commission looked into the option of establishing a cap on liability (either statutorily or through contractual provisions). After careful consideration of all of the options, it was felt that a principle of proportionality would be the best approach, given all of the issues raised. It was concluded that proportionality would reduce the deep pockets issue, yet would still ensure that the level of quality of auditing work is maintained. This level of proportionality should not be cast in stone and should be established on a case by case basis. It is anticipated that this will provide sufficient security for the smaller auditors to compete on a level playing field with the domain that has traditionally been that of the big four firms. Bibliography Allen, Robert D., Hermanson, Dana R., Kozloski, Thomas M., Ramsay, Robert J., Auditor Risk Assessment: Insights from the Academic Literature, Accounting Horizons, 20, 2006 Clarke, Frank L., Dean, G.W., Oliver, Kyle Gaius, Corporate Collapse: Accounting, Regulatory and Ethical Failure, Cambridge University Press, 2003 Garner, Don E., McKee, David L., McKee, Yosra AbuAmara, Accounting and the Global Economy After Sarbanes-Oxley, M.E. Sharpe, 2008 Hay, David, Davis, David, The Voluntary Choice of an Auditor of Any Level of Quality, Auditing: A Journal of Practice Theory, 23, 2004 Hillison, William, Pacini, Carl, Auditor Reputation and the Insurance Hypothesis: The Information Content of Disclosures of Financial Distress of a Major Accounting Firm, Journal of Managerial Issues, 16, 2004 Pacini, Carl, Hillison, William, Sinason, David, Auditor liability to third parties: an international focus, Managerial Auditing Journal, 15, 8, 2000 Pong, C.K.M., Burnett, S., The implications of merger for market share, audit pricing and non-audit fee income: The case of PricewaterhouseCoopers, Managerial Auditing Journal, 21, 1, 2006 Smith, Roy C., Walter, Ingo, Governing the Modern Corporation: Capital Markets, Corporate Control, and Economic Performance, Oxford University Press US, 2006 Soltani, Bahram, Auditing: An International Approach, Pearson Education, 2007 Footnotes [1] Pong, C.K.M., Burnett, S., The implications of merger for market share, audit pricing and non-audit fee income: The case of PricewaterhouseCoopers. Managerial Auditing Journal, 21, 1, 2006 [2] Clarke, Frank L., Dean, G. W., Oliver, Kyle Gaius, Corporate Collapse: Accounting, Regulatory and Ethical Failure, Cambridge University Press, 2003 [3] Soltani, Bahram Auditing, An International Approach, Pearson Education, 2007 [4] Hillison, William, Pacini, Carl, Auditor Reputation and the Insurance Hypothesis: The Information Content of Disclosures of Financial Distress of a Major Accounting Firm, Journal of Managerial Issues, 16, 2004 [5] Pacini, Carl, Hillison, William, Sinason, David, Auditor liability to third parties: an international focus, Managerial Auditing Journal, 15, 8, 2000 [6] Garner, Don E., McKee, David L., McKee, Yosra AbuAmara, Accounting and the Global Economy After Sarbanes-Oxley, M.E. Sharpe, 2008 [7] Hay, David, Davis, David, The Voluntary Choice of an Auditor of Any Level of Quality, Auditing: A Journal of Practice Theory, 23, 2004 [8] Smith, Roy C., Walter, Ingo, Governing the Modern Corporation: Capital Markets, Corporate Control, and Economic Performance, Oxford University Press US, 2006 [9] Allen, Robert D., Hermanson, Thomas, Dana R., Kozloski, M., Ramsay, Robert J., Auditor Risk Assessment: Insights from the Academic Literature, Accounting Horizons, 20, 2006

Tuesday, August 20, 2019

Diabetes and Obesity: Emerging Pandemics of the 21st Century Essay

Type 2 diabetes (T2DM) and obesity are both emerging pandemics in the 21st century. One consequence of obesity is an increased risk of developing T2DM. One’s relative risk of T2DM increases as his/her body mass index (BMI) increases above 23. T2DM is the most common disease among the U.S. population, accounting for approximately 90% of such cases, usually diagnosed in adulthood, and in most cases as a result of overweight or obesity. T2DM involves a combination of insulin resistance and relative insulin deficiency and may not require treatment with external insulin, especially at early stages (Fowler, 2007). Consequently, the goal of treatment is to achieve strict control of blood sugar (glucose) levels. The extent to which etiological factors may be relevant for adults with T2DM is not clear, but research suggest a theoretical model of potential pathways between disordered eating behaviors and T2DM. Moreover, several studies have demonstrated that change in lifestyle and sede ntary habits could lead to decreased incidence of progression to T2DM (Ismail, 2008). Bio/Psycho/Social Aspects of the Illnesses T2DM is a heterogeneous disorder thus the clinical expression of the disorder requires both genetic and environmental factors. One theory concerning its etiology is that T2DM is the result of the evolution of a thrifty genotype that had survival benefits in the past but is detrimental in the current environment (Ismail, 2008). An opposing theory states that the disease represents an adult metabolic response to fetal malnutrition. Hyperglycemia in T2DM results from absolute or relative insulin deficiency. Most often insulin deficiency is attributable to an inability to adequately compensate for insulin resistance. Insulin resistan... ...),1433-1441. Spangler, J., Summerson, J., Bell, R., & Konen, J. (2001). Smoking status and psychosocial variables in type 1 diabetes mellitus. Addictive Behaviors, 26(1), 21–29. Soroudi, N., Perez, G., Gonzalez, J., Greer, J., Pollack, M., Otto, M., et al. (2008). CBT for medication adherence and depression (CBT-AD) in HIV-infected patients receiving methadone maintenance therapy. Cognitive and Behavioral Practice, 15, 93–106. Willi, C., Bodenmann, P., Ghali, W., Faris, P., & Cornuz, J. (2007). Active smoking and the risk of type 2 diabetes: A systematic review and meta-analysis. Journal of the American Medical Association, 298(22), 2654–2664. Ziedonis, D., Williams, J. M., & Smelson, D. (2003). Serious mental illness and tobacco addiction: A model program to address this common but neglected issue. The American Journal of the Medical Sciences, 326(4), 223–230.

Monday, August 19, 2019

The Self-destructive Relationship in Wuthering Heights Essay -- Wuther

On the face of it, it would seem that the relationship between Catherine and Heathcliff is self-destructive to an extreme. Due to the lovers’ precarious circumstances, passionate personalities and class divisions, it seems that fate transpires to keep them apart and therefore the hopelessness of their situation drives them to self destruction. However, although the relationship is undeniably self-destructive, there are elements within it that suggest the pain Heathcliff and Catherine put each other through is atoned for to an extent when they share their brief moments of harmony. Catherine is trapped between her love of Heathcliff and her love for Edgar, setting the two men down a path of destruction, a whirlwind of anger and resentment that Catherine gets caught in the middle of. Catherine is drawn to Heathcliff because of his fiery personality, their raw attraction and one certainly gets the sense that they are drawn together on a deeper level, that perhaps they are soulmates. C. Day Lewis thought so, when he declared that Heathcliff and Catherine "represent the essential isolation of the soul...two halves of a single soul–forever sundered and struggling to unite." This certainly seems to be backed up in the novel when Catherine exclaims â€Å"Nelly, I am Heathcliff! He's always, always in my mind--not as a pleasure, any more than I am always a pleasure to myself, but as my own being...† This shows clearly the struggle Catherine feels as she is drawn spiritually to Heathcliff, but also to Edgar for very different reasons. Edgar attracts Cath erine predominantly because he is of the right social class. Catherine finds him "handsome, and pleasant to be with," but her feelings for him seem petty when compared to the ones she harbours... ...ctive. Catherine is pushed to death and Heathcliff to brutal revenge, bordering on the psychotic. Yet before Cathy’s death, the knowledge that the other loves them is strong enough to make Wuthering Heights such a classic love story, and â€Å"that old man by the kitchen fire affirming he has seen two of 'em looking out of his chamber window, on every rainy night since his death,† shows that as they walk together on the moors, their self destruction may have led them to death, but also to what they most desired-being together. Works Cited - MLA Format Bronte, Emily. Wuthering Heights. London: Dover Publications, 1996. Chatterjee, Praving. Emily Bronte. September 28, 2013. Web 22 Apr. 2015. https://emilybronteparminder.wordpress.com/2013/09/28/brontes-contributions/ Wikipedia. Emily Bronte. Web 22 Apr. 2015. http://en.wikipedia.org/wiki/Emily_Bront%C3%AB

Sunday, August 18, 2019

A Worn Path and The Jilting of Granny Weatherall Essay -- Compare/Cont

In the short stories A Worn Path by Eudora Welty and The Jilting of Granny Weatherall by Katherine Anne Porter, both women overcame several obstacles. In A Worn Path, Phoenix Jackson faced obstacles such as her age, physical challenges, and how others viewed her. Granny faced obstacles such as dying, feeling betrayed by her children, and disappointment in her love life. In A Worn Path by Eudora Welty an elderly African American woman named Phoenix Jackson picks a cold December day to make yet another perilous journey to a near by city to get medicine for her ailing grandson. On the way this old woman faces many obstacles, both natural and man-made. Phoenix draws upon her perseverance and willingness to sacrifice herself to help her throughout her journey, but it is the undying love for her grandson that truly guides and drives her to her final goal. She is described as being a very old woman. â€Å"Her eyes were blue with age. Her skin had a pattern all its own of numberless branching wrinkles and as though a whole little tree stood in the middle of her forehead, but a golden color run underneath, and the two knobs of her cheeks were illuminated by a yellow burning under the dark (Welty 386). These all show an indication of her old age. Also, her loss of memory indicates her old age. It was only until Phoenix reached the doctor’s office she remembered why she went on her journey. â€Å"My grandson. It was my memory had left me. There I sat and forgot why I made my trip†(Welty 394). Another character in the story was a white man who was a hunter. When Phoenix falls in the ditch, he helps her out of the ditch. Even though the hunter helps Phoenix, he still poses as a threat to her, because it seems he did not want her to finish her journey. This is made apparent when he states, â€Å"Why, that’s too far! That’s as far as I walk when I come out myself, and I get something for my trouble†(Welty 391). In addition, like her name, Phoenix seems ageless. When she stops to drink water from the spring she says, â€Å"Nobody know who made this well, for it was here when I was born†(Welty 391). When she encounters the hunter and he asks her how old she is she says, â€Å"There is no telling, mister, â€Å"said, â€Å"no telling† (Welty 392). Again her age is emphasized when she goes to t he doctor’s office and the nurse ask her why she never went to school. â€Å"I never did go to school, I was too old a... ...e must have due a great compensation in the afterlife. The greatest wrongdoing was that having been promised a Heaven, an eternal life, and Granny was once again left alone. Granny was much like Phoenix Jackson, they both had to overcome obstacles or challenges in life that made them stronger. Granny had to deal with the heartache and pain of being deceived and disappointed by what she thought was love and Phoenix had to overcome the obstacles of traveling a difficult Journey because of the love she had for her grandson. Fate can control humans’ lives and can help humans reach the end of the challenging path. Phoenix’s and Granny Weatherall’s ability to withstand and overcome these challenges shows their strong determination, and the will power to endure hardship and continue to be strong. Works Cited Bartel, Roland. â€Å"Life and Death in Eudora Welty’s â€Å"A Worn Path.’† USA: Harcourt Brace and Company, 1998. 45-48 Kirsznerand and Mandell, Literature: Reading, Reacting, Writing. Earl McPeek. USA: Harcout, Inc., 2001, 1997,1994,1991. 388-395 Porter, Katherine Anne. â€Å"The Jilting of Granny Weatherall.† Literature: Reading, Reacting, Writing. Fort Worth: Harcourt, 2000.

Saturday, August 17, 2019

The Return: Shadow Souls Chapter 29

Someone was trying to make her drink out of a glass. Elena's sense of smell was so acute that she could taste what was in the glass already – Black Magic wine. And she didn't want that! No! She spat it out. They couldn't make her drink. â€Å"Mon enfant, it is for your own good. Now, drink it.† Elena turned her head away. She felt the darkness and the hurricane rushing up to take her. Yes. That was better. Why wouldn't they leave her alone? In the very deepest trenches of communication, a little boy was with her in the dark. She remembered him, but not his name. She held out her arms and he came into them and it seemed that his chains were lighter than they had been†¦when? Before. That was all she could remember. Are you all right? she whispered to the child. Down here, deep in the heart of communion, a whisper was a shout. Don't cry. No tears, he begged her, but the words reminded her of something she couldn't bear to think of, and she put her fingers to his lips, gently silencing him. Too loud, a voice from Outside came rumbling in. â€Å"So, mon enfant, you have decided to become un vampire encore une fois.† Is that what is happening? she whispered to the child. Am I dying again? To become a vampire? I don't know! the child cried. I don't know anything. He's angry. I'm afraid. Sage won't hurt you, she promised. He's already a vampire, and your friend. Not Sage†¦ Then who are you afraid of? If you die again, I'll be wrapped in chains all over. The child showed her a pitiable picture of himself covered by coil after coil of heavy chains. In his mouth, gagging him. Pinning his arms to his sides and his legs to the ball. Moreover, the chains were spiked so that everywhere they dug into the child's soft flesh, blood flowed. Who would do such a thing? Elena cried. I'll make him wish he'd never been born. Tell me who's going to do this! The child's face was sad and perplexed. I will, he said sadly. He will. He/I. Damon. Because we'll have killed you. But if it's not his fault†¦ We have to. We have to. But maybe I'll die, the doctor says†¦ There was a definite lilt of hope in the last sentence. It decided Elena. If Damon was not thinking clearly, then maybe she wasn't thinking clearly, she reasoned out slowly. Maybe†¦maybe she should do what Sage wanted. And Dr. Meggar. She could discern his voice as if through a thick fog. † – sake, you've been working all night. Give someone else a chance.† Yes†¦all night. Elena had not wanted to wake up again, and she had a powerful will. â€Å"Maybe switch sides?† someone – a girl – a young girl – was suggesting. Little in voice, but strong-willed, too. Bonnie. â€Å"Elena†¦It's Meredith. Can you feel me holding your hand?† A pause, then very much louder, excitedly, â€Å"Hey, she squeezed my hand! Did you see? Sage, tell Damon to get in here quick.† Drifting†¦ â€Å"†¦drink a little more, Elena? I know, I know, you're sick of it. But drink un peu for my sake, will you?† Drifting†¦ â€Å"Trs bon, mon enfant! Maintenant, what about a little milk? Damon believes you can stay human if you drink some milk.† Elena had two thoughts about this. One was that if she drank any more of anything, she might explode. Another was that she wasn't going to make any foolish promises. She tried to speak but it came out in a thread of a whisper. â€Å"Tell Damon – I won't come up unless he lets the little boy free.† â€Å"Who? What little boy?† â€Å"Elena, sweetie, all the little boys on this estate are free.† Meredith: â€Å"Why not let her tell him?† Dr. Meggar: â€Å"Elena, Damon is right here on the couch. You've both been very sick, but you're going to be fine. Here, Elena, we can move the examination table so you can talk to him. There, it's done.† Elena tried to open her eyes, but everything was ferociously bright. She took a breath and tried again. Still much too bright. And she didn't know how to dim her vision anymore. She spoke with her eyes shut to the presence she felt in front of her: I can't leave him alone again. Especially if you're going to load him with chains and gag him. Elena, Damon said shakily, I haven't led a good life. But I haven't kept slaves before, I swear. Ask anyone. And I wouldn't do that to a child. You have, and I know his name. And I know that all he's made of is gentleness, and kindness, and good nature†¦and fear. The low rumble of Sage's voice, â€Å"†¦agitating her†¦Ã¢â‚¬  the slightly louder murmur of Damon's: â€Å"I know she's off her head, but I'd still like to know the name of this little boy I'm supposed to have done this to. How does that agitate her?† More rumbling, then: â€Å"But can't I just ask her? At least I can clear my name of these charges.† Then, out loud: â€Å"Elena? Can you tell me what child I'm supposed to have tortured like this?† She was so tired. But she answered aloud, whispering, â€Å"His name is Damon, of course.† And Meredith's own exhausted whisper, â€Å"Oh, my God. She was willing to die for a metaphor.†

Friday, August 16, 2019

Moonfleet

Boy and Man Convicted of Stealing John Trenchard and Elzevir Block, tricked into jail by false honesty By: Sierra Volpe John Trenchard, now 29 years of age, was sentenced to jail for life when he was tricked into false identity along with Elzevir Block, now dead. According to Sir Aldobrand, old merchant, John and Elzevir were attempting to steal a very gracious diamond that John claimed to be â€Å"his†.Now, what we found out was a behind the scenes exclusive. John and Elzevir went on a great, long heroic journey in order to find Blackbeard’s treasure. They went from being wanted of false murder, to being rich with Blackbeard’s, said to be â€Å"cursed†, diamond, then to being wanted again and sentenced to life. Fifteen to fourteen years ago, John was at Elzevir’s side while he was about to kill Magistrate Maskew on the undercliff of Moonfleet Bay.A few gun shots went off and Maskew got shot in head and John got shot in the foot which caused a break in his leg, forcing him through tough struggle’s like trying to walk up the Zig-Zag, being disguised as sailors to get to England and to Sir Aldorand, and stayed in the cave where they found kind of a clue of how to get to their next destination: the castle.According to my research it was said that John was being carried down the well in the castle and exactly 80 feet into the well they found the â€Å"cursed† diamond. So I just proved to you, with all the imformation from Detective Lucas, that John and Elzevir were NOT guilty. Aldobrand clearly lied and tricked the judge into sentencing them to jail just so he could have the diamond all to himself.

Transhuman Megalomania

Transmute Megalomania Transmutation Deflation: The belief or theory that the human race can evolve beyond Its current physical and mental Limitations, especially by means of science and technology. Megalomania Definition: A psychopathology condition characterized by delusional fantasies of wealth, power, or omnipotence; an obsession with grandiose or extravagant things or actions. Causes the afflicted to believe that they have great or unlimited power or importance. Definition: Not a new mental illness. Refers to victims of megalomania whose edified abilities Justify the subject's sense of Importance.Due to the ubiquitous nature of moods, cybernetic, nanotechnology, bioengineering, picnic, or transubstantiation, It Is Inevitable that certain megalomaniacs are also high-powered madders. Ascertaining whether the Illness Induced the subject's extensive modification or if nodding cements the illness has generally been dismissed as a chicken-or-the-egg conundrum. There is little to be don e for treatment of hyper- megalomaniacs, other than necessary acts of subdued and detainment. Treatment an begin after the subject is forcibly deprived of moods and demoted to a baseline megalomania status.Definition: The belief or theory that the human race can evolve beyond its current physical and mental limitations, especially by means of science and technology. Wealth, power, or omnipotence: an obsession with grandiose or extravagant things or modified abilities Justify the subject's sense of importance. Due to the ubiquitous nature of moods, cybernetic, nanotechnology, bioengineering, picnic, or modification or If nodding cements the Illness has generally been dismissed as a reinvestigation, it is inevitable that certain megalomaniacs are also high-powered madders.Ascertaining whether the illness induced the subject's extensive Natural Computing Natural Computing is an interdisciplinary field of research that investigates human- designed computing inspired by nature as well as computation taking place in nature, I. E. , it investigates models, computational techniques, and computational technologies inspired by nature as well as it investigates phenomena/processes taking place in nature in terms of information processing. One of the research areas room the second strand of research is the computational nature of biochemical reactions.It is hoped that this line of research may contribute to a computational understanding of the functioning of the living cell, which is based on interactions between (a huge number of) individual reactions. These reactions are regulated, and the main regulation mechanisms are facilitation/acceleration and inhibition/ retardation. The interactions between individual reactions take place through their influence on each other, and this influence happens through these two mechanisms.

Thursday, August 15, 2019

Annotated Bibliography †the Great Gatsby Essay

â€Å"Stoddard, T. Lothrop.† Encyclopedia of Race and Racism. Ed. John Hartwell Moore. Vol. 3. Detroit: Macmillan Reference USA, 2008. 100-101. 24 Nov, 2010-11-25. Stoddard declares in his article the comparison between â€Å"The Rising Tide of Color against White World–Supremacy† and â€Å"The Great Gatsby† in a sense to signify wealthy â€Å"careless people† in jazz age. Stoddard suggests that how white race was considered as the supreme race and Tom says â€Å"Have you read ‘The Rise of the Colored Empires’ by this man Goddard?† he asks the novel’s narrator, indicating that â€Å"it’s a fine book and everybody ought to read it. The idea is that if the white race isn’t careful, they will be utterly submerged. In the majority of his article, Stoddard compares his article to F. Scott Fitzgerald’s essay and notifies his ideas on racist subject that was put in the novel â€Å"The Great Gatsby† and calls it a scientific stuff. Also, he talks about the wealthy people being careless and their lifestyles in the jazz age. Stoddard declares that it’s been proved that Fitzgerald has a great imagination which can be observed in his play â€Å"The Great Gatsby†. Dawson, Charlene. â€Å"The American dream and the Great Gatsby – by Charlene Dawson – Helium.† Helium – Where Knowledge Rules. 24 Nov. 2010. . Charlene Dawson mentions the American dream as â€Å"The Never-Satiated Dream†. Every character in â€Å"The Great Gatsby† has a American dream and some are already living it. Dawson describes that the characters in this novel don’t understand the true meaning of American Dream which is working hard and fulfilling your dreams. She explains further that sometimes in life you don’t achieve everything even though you worked hard for it. She uses the example of Jordan Baker who is a golf player and she can do anything to win. In the novel, Nick describes Jordan as â€Å"incurably dishonest. She wasn’t able to endure being at a disadvantage, and given this unwillingness I suppose she had begun dealing in subterfuges when she was very young in order to keep that cool insolent smile turned to the world and yet satisfy the demands of her hard jaunty body† (63). Charlene Dawson also points towards the never ending contentment in people which leads the m towards destruction.

Wednesday, August 14, 2019

Environmental changes Essay

Organizations adapt to environmental changes such as the adoption of a new technology, a change in market dynamic or new regulatory policies and as such the Affordable Care Act was put into place (Frates, 2014). The Affordable Care Act puts consumers back in charge of their health care. Under the law, a new â€Å"Patient’s Bill of Rights† gives the American people the stability and flexibility they need to make informed choices about their health (U.S. Department of Health & Human Services, 2014). This has made leaders feel as if the government is making all the health decisions about a patient instead of allowing the physicians to do so. With that said, leaders must apply strategic management into their organizations by creating short term strategic planning which allows the office to meet incremental milestones on the path to an ultimate goal creates an opportunity to highlight achievements, identify and resolve setbacks, and encourage forward motion (Burger & Giger, 2014). Contingency Theory and Resource Dependence Theory are applicable to health care organizations due to the environmental dependency. With health care as unpredictable as it is having both theories used allows the facilities to be prepared for multiple different outcomes. Frates, J. (2014). Health care management: Theory in action. San Diego, CA: Bridgepoint Education, Inc. Burger, J., & Giger, A. (2014, February 13). How Healthcare Organizations Can Improve This Year. Retrieved from http://businessjournal.gallup.com/content/167108/healthcare-organizations-improve-year.aspx U.S. Department of Health & Human Services. (2014, October 2). About the Law | HHS.gov/healthcare. Retrieved from http://www.hhs.gov/healthcare/rights/ Markets have been increasingly complex, turbulent, and interrelated. Actual and potential opportunities and threats to an organization’s existing market(s) must be identified and evaluated (Hitt, Ireland, & Hoskisson, 2013). Today’s business environment requires the decision makers to shape the organization as a dynamic organization that can rapidly initiate and implement strategic processes and respond quickly to strategic changes in the industry or to strategic processes of competitors in as short a period of time as possible. This Discussion also asks: How can healthcare leaders apply strategic management to their organizations? Healthcare leaders can apply strategic management to their organizations by ensuring all the task and activities include it in small bits and pieces of the change. Once that change is completed with no problems a new task can be added to the list. Sometimes smaller changes go unnoticed and are quicker to be accepted than a larger change that employees feel are pushed onto them.

Tuesday, August 13, 2019

Overview of Contractual Risk Management Essay Example | Topics and Well Written Essays - 3000 words

Overview of Contractual Risk Management - Essay Example These factors are even prevailing when it comes to upstream oil and gas operations. A typical example of such factors has to do with contractual risk management. Generally, contractual risk management has to do with an integrated process and responsibility of reviewing, analyzing and evaluating contractual risks of pending agreements so that once the agreements are executed, there would not have any repelling risk effects for the parties involved (Taverne, 2008, p. 32). Upstream oil and gas operations is one that is commonly plagued with series of disaster based occurrences that put upstream companies in so much risk of facing liabilities. It is in this direction that both operators and contractors, mainly the government has involved each other the signing of contracts that seek to protect the interest of all people involved. Even though on from a broader perspective, it would be seen as a great idea that there are contractual risks, the absence of an effective and efficient manageme nt system would result in a situation whereby the contract favors one side to the detriment of the other and it is for this reason that contractual risk management is always important. ... ncentrate so much on contractual liabilities whereby there is an adjustment in the liabilities that defaulting companies pay (Gordon and Paterson, 2011, p. 232). The cause of the changes has also panned around two major factors. In the first instance, economic disposition has been identified as a strong factor that influences the contract landscape. Often times, when the market is weak in terms of falling global prices of oil, suppliers most cases become highly desperate towards their work and strive to overcome their negotiating position as they often have weaker negotiating positions at such times when the market is weak. Subsequently, oil and gas companies would be highly defensive on the liabilities involved in the contracts they enter into. Such weak markets is characterized by low revenues and profits for the oil and gas companies and so the best ways they try to stay within their means of operation is to avoid further risks including contractual risks. Apart from the strength of the market, events of increasing oil spills and other forms of upstream oil and gas accidents and disasters also affect the contract landscape. A typical example of this can be cited with the Macondo incident in the Gulf of Mexico, which resulted in several concerns from stakeholders of the type of risks that upstream oil and gas companies should be dealing. Certainly, during such times, contractors become defensive by increasing liabilities associated with prevailing risks. Role of Operators and Contractors Ideally, in the effect of contract risk, there are two major sides of stakeholders identified. These sides are operators and contractors. As expected, the operators are the upstream oil and gas companies who take up the responsibility and task of drilling and transporting oil and gas