Friday, December 27, 2019

Actions for Wrongful Birth and Wrongful Conception

Actions for wrongful birth and wrongful conception Actions for wrongful birth and wrongful conception frequently raise moral, ethical and philosophical issues. Legal judgments have often been contradictory and on occasions have arrived at their conclusions without addressing all the pertinent issues. Actions for wrongful conception or wrongful birth are variants of clinical liability and negligence. The initiative to bring an action lies with the parents. This is different for actions for wrongful life where the action is brought by the child who alleges injury in utero or has a preventable congenital condition. There has only been in one such case in English law – McKay v Essex Area Health Authority, and the Court of Appeal rejected†¦show more content†¦The second is for the costs associated with raising the resultant child. Whilst the costs associated with a child’s upbringing are also foreseeable their award has posed a greater dilemma for the courts. A child resulting from a pregnancy arising from a doct or’s lack of care would appear to have a tortious claim to such damages. The concept of compensating for a healthy child has led to moral and policy concerns. In the Canadian courts some years ago this matter was aired in Doiron v Orr the judge awarded damages for mental anguish related to the pregnancy but there would be no liability for the cost of bringing up an unsought child. A range of views has developed from never awarding damages, always doing so or doing so in a graded fashion by offsetting the benefits of parenthood with the economic costs. In an action for unwanted pregnancy in Udale v Bloomsbury Area Health Authority there was an award for pain and suffering along with loss of earnings following a negligently performed operation. However an award for the economic costs of bringing up a child was rejected. In his judgment Jupp J felt that the joy and love of a child should be set against economic loss. There was a different view in Emeh v Kensington and Chelsea and Westminster Area Health Authority where the Court of Appeal awarded damages which included the cost of rearing a child. The court rejected the policy objections cited in Udale.Show MoreRelatedPrenatal Screening And Prenatal Development1385 Words   |  6 Pages Throughout all of mankind’s history all living beings have shared a common trait since their conception, prenatal development. Prenatal development can easily be categorized as a fascinating period of great anatomical and physiological progress. Yet, as time progresses and the wonders of medical technology advance at a limitless pace, such a time has recently been viewed as a period of constant and profound examinations for unborn infants. The term, prenatal examinations, can be divided into theRead MoreThe Tort Of Wrongful Life3586 Words   |  15 Pagesmodern medical knowledge, legal claims for wrongful life are inevitable. The common law must therefore now provide a satisfactory response and this it could easi ly achieve†. Discuss this statement critically. ‘Children all around the country are going into court and claiming that they should have been aborted. Parents are agreeing with their children, and they too are asking courts to award them damages because they did not abort’. Introduction While wrongful birth claims have generally been accepted byRead MoreCan Medical Service be Refused on the Basis of Morality and Ethics?793 Words   |  3 Pagespharmacist. In addition, pharmacists who decline to distribute contraception or abortifacients could be liable for wrongful birth, wrongful pregnancy, or wrongful conception claims (Miller, 2006). This country was founded on the idea that people should stand up for what they believe in, which is exactly what these pharmacist are doing and thus should not be punished for their actions. The present controversy centers mainly on the morning-after pill and oral contraceptives. But a pharmacist couldRead MoreAbortion Is The Ending Of A Pregnancy1748 Words   |  7 Pagesresort to abortion. Abortion is the ending of a pregnancy (Vaughn 293). There are three different types of abortion: spontaneous abortion, induced abortion, and therapeutic abortion. Spontaneous abortion is an abortion due to natural causes, like birth defects or injury (a miscarriage). Induced abortion is the the intentional termination of pregnancy through drugs or surgery. Therapeutic abortion is an abortion performed to preserve to life of the mother (Vaughn 293). We will be focusing mainly onRead MoreThe Moral Dilemma Of Children957 Words   |  4 Pagesmother as ethically unsound. Seana Shiffrin and her â€Å"Wrongful Life† paper strongly advocates a mother’s responsibility to the fetus to do everything in her power to ensure that her future child has the best life possible. Though her context is within the realm of congenital disability and choosing to have it despite the moral dilemma, it does applies to the culpability of drug using mothers. Shiffrin believes that people do not look at child birth done haphazardly as something a mother is accountableRead MoreShould Abortion Be Legal?1623 Words   |  7 PagesThere are many people who argue that attempting an abortion is unethical and must be stopped. According to Thoughtco,life begins at conception, abortion is akin to murder as it is the act of taking human life. Abortion is in direct defiance of the commonly accepted idea of the sanctity of human life.† The main argument states that life begins at the site of conception and abortion would be considered the death of a human being even though it has technically not given the first breath. This idea isRead MoreThe Right And Choice Of Abortion1640 Words   |  7 PagesThere are many people who argue that attempting an abortion is unethical and must be stopped. According to Thoughtco,life begins at conception, abortion is akin to murder as it is the act of taking human life. Abortion is in direct defiance of the commonly accepted idea of the sanctity of human life.† The main argument states that life begins at the site of conception and abortion would be considered the death of a human being even though it has technically not given the first breath. This idea isRead MoreSummary and Critique of Don Maquis- Anti-Abortion Argument2015 Words   |  9 Pagessolid case for the ‘anti-abortion’ approach. He accepts that logically if either of these arguments are to be convincing it needs to extend beyond normal social moralities. For instance an anti-abortion argument cannot simply rely on the age old conception that It is always prima facie seriously wrong to take a human life or It is always prima facie seriously wrong to end the life of a baby. as both of these understandings cannot be ridiculed. The pro-choicer argument in and of itself willRead MoreThe Moral Status Of Abortion Essay1754 Words   |  8 Pagesboth of these logical fallacies: that life begins at conception and that abortion is murder. When those morally opposed to abortion insist that life begins at conception, what they actually mean is that personhood begins at conception. Or, at least, that’s what they would need to prove in order to prove that a fetus has moral status at conception. Truthfully, there is life present in the womb at conception, but there was life before conception, too. The argument that the mere potential a fetus hasRead MoreEssay on Evaluating the Current Law on Abortion3636 Words   |  15 Pagesthe intentional destruction of the foetus in the womb, or any untimely delivery brought about with intent to cause the death of the foetus (William, textbook, 252) Medical definition is the removal or expulsion of the products of conception before, but after, the foetus is ‘viable’ (Butterworths Medical dictionary 2nd edn 1978) However, most people are referring to the medical termination of pregnancy when they talk about abortion. It is apparent that abortion is

Thursday, December 19, 2019

America s War On Drugs - 1754 Words

As many African-Americans were rejoicing their long and strenuous journey, a new plan was afoot for them: the war on drugs. The war on drugs is unequivocally the biggest and most durable war this country has ever fought against its own citizens. Like any other wars the United-States has engaged in, the war on drugs is remarkably different; it was fought internally, and intended to target a specific group, people of color. Their communities, houses and churches were flooded with law enforcements, constantly checking for illegal possession of drugs. They were branded criminals and were continuously being thrown in jails or prisons, with harsh and lengthy sentences imposed on them. And once they were released, many are saddled with huge debts†¦show more content†¦A myriad of Segregation laws was introduced to drive a wedge between whites and blacks. Their schools were segregated; their churches were also segregated. Even activities like sharing a public water fountain, public b athrooms, public transportation was prohibited under some Jim crow laws. Now, they are faced with the war on drugs era, a war that is carried on by the US government against people of color. It would be a fallacious statement to claim that â€Å"race was the cause of slavery†. Before African-American were forcibly transported to the US to work as slaves, many poor whites were already engaging in working on the plantations as indentured servants. With many lands available, the idea of indenture servants became alluring to many plantation owners, for the simple reason that their lands were in need to be looked after and at the same time, could be served as capitals that generate wealth. Therefore, they began making promises to many whites, to work their lands in exchange for their transportation fees. Poor whites who wanted to make a living would exchange their labor for certain agreements. However, the contracts had stipulated the amount of time that they should serve. Their f reedom was respected among plantation owners, and those of their children were, too. They were granted certain living conditions, and after they were finished with their contract, they were free to decide whether they would want to continueShow MoreRelatedAmerica s War On Drugs1306 Words   |  6 Pagesas eugenics. One of the primary focuses of America s War on Drugs has always been the controversial drug Marijuana. In the early twentieth century, Henry Anslinger became the first commissioner of the Federal Bureau of Narcotics where he remained between 1930-62. Anslinger’s campaign was driven primarily by racism. He convinced the public to believe Blacks were negative influences in society and negatively associated African Americans with the drug. Anslinger made heavily racist remarks such asRead MoreAmerica s War On Drugs Essay1299 Words   |  6 Pagesserved time in prison for his connection in the Watergate scandal, the Drug War was â€Å"intended to disempower the anti-war and black rights movements in the 1970s.† It’s no secret that drug use in the United States has been a problem. Many Americans have struggled with addiction to some of the worse drugs. Many lives have been affected in some of the most terrible ways. It can be easily said that due to America’ s history with drugs that former president Richard Nixon noticed the problem and felt thereRead MoreAmerica s War On Drugs2030 Words   |  9 PagesThe â€Å"War on Drugs† has been a hot topic for several decades in the United States. The argument for the success of this campaign usually varies depending on one’s political affiliation. The government handled the ongoing campaign differently with each new administration taking command, most of them having no little success. The fact of the matter is that the ideal of a â€Å"drug free civilization† is far from reality. The world is coming to terms that the various drug-fighting programs across the worldRead MoreAmerica s War On Drugs2885 Words   |  12 PagesRunning head: AMERICA’S WAR ON DRUGS 1 America’s War on Drugs: A Battle against Drugs or a display of Racial Intolerance? Sharon Curry-Robinson, Duval County Court Bailiff Florida Gulf Coast University â€Æ' America’s War on Drugs 3 Abstract It was surprising to learn that, while the United States makes up just five percent of the world population, over twenty-five percent of the world’s detainees are from the United States. Yes, at a projected figure of moreRead MoreAmerica s War On Drugs3748 Words   |  15 PagesThe term â€Å"War on drugs† was first announced when President Richard Nixon created a volume of programs intended to suppress the consumption of certain recreational drugs in 1972. It marked the beginning for the era of mandatory minimum sentencing, privatized prisons, racism, and constituency that profits as a result of the illegal drugs. The â€Å"Just Say No† and the D.A.R.E. campaign were created to help youths from starting to use drugs but they were not effective. Treatment programs have directed theirRead MoreAmerica s War On Drugs2355 Words   |  10 PagesOne of the primary focuses of America s War on Drugs is the controversial drug Marijuana. Marijuana remains the most widely used illegal drug and stirs up constant debate everywhere. According to the United Nations Office on Drugs and Crime from the World Drug Report 2004 an estimation of about 4 percent of the world’s adult population (162 million) consume marijuana annually (156). For thousands of years human beings have attempted to find ways to get passed the struggles of everyday life. WithRead MoreThe War On Drugs And America s Drug Problem1878 Words   |  8 PagesSpitz D Block 5/19/2016 The War on Drugs Based on the success and failures of the drug policies of the past, what is the best strategy for the United States to implement to help America’s drug problem? Throughout time, United States drug policy has shifted dramatically. From all drugs being legal to Prohibition and the War on Drugs, the US has had conflicting ideas about what is best for society and American citizens when it comes to drugs. The current War on Drugs has resulted in countless arrestsRead MoreAmerica s War On Drugs1539 Words   |  7 Pages On June 17th, 1971, President Richard Nixon declared drug abuse to be â€Å"America’s Public Enemy #1† in a press conference in which he called for an â€Å"all out offensive† against this enemy, an initiative that would later be known as America’s War on Drugs. By giving this speech, thus starting â€Å"The War on Drugs,† President Nixon created what would eventually become one of the most catastrophic failures in United States political history. Analysis of the historical events surrounding Nixon’s declarationRead More Bad Neighbor Policy: Washington?s futile war on drugs in Latin Ame rica?3153 Words   |  13 PagesBook review: â€Å"Bad Neighbor Policy: Washington’s futile war on drugs in Latin America† Edited by Ted Galen Carpenter Overview Introductionnbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;nbsp;3 Read MoreThe Impacts of the War on Drugs1075 Words   |  4 Pages The War On Drugs has lasted many years, including before it was officially called â€Å"War On Drugs.† The prohibition of drugs first got its start in the late 1800’s with anti-opium laws, focusing on chinese immigrants. This was common with the first anti-drug laws. It entirely about scientific based facts on what the effects or risks of the drugs, rather who was associated with the use of the specific drugs. For example, the anti-cocaine laws in the early 1900’s were directed at black men, and the

Wednesday, December 11, 2019

Threats and Risks to Audit Free-Samples for Students-Myassignment

Questions: 1.In relation to the Purchasing of Equipment and Spare Parts, Describe two Business Risks to MSL that Crampton and Hasaad will Consider in Planning the 2015 audit.2.For Each business risk identified in (a) describe a specific audit risk that could arise. Each responses should Include the Identification of Account Balances that are impacted directly by the audit risk ( 5 Marks). Answers: 1.Introduction In the recent past there have been cases relating to fraud covering as well as other issues in auditing. This has been as a result of various situations auditors pass through. These issues leading to poor auditing are identified as threats to audit independence. When an auditor is faced with the threats they tend to give reviews based on their own interest or the interest of other parties apart from that of the client firm. The content of this paper in relation to the case study provided identifies and discusses various threats to audit independence. This paper also states various safeguards or ways which can be put in place to secure the audit threats. Being that the content is divided in two sections, section two of the content covers various business risks in relation to the given case study. It also discusses inherent risk as the main audit risks revealed in the study case. Lastly, the content reveals various accounts which are likely to affect by 2015 audit. Evaluation of audit independence threats According to various experts it is revealed that for an audit review or administration to be of value, audit independence and freedom must be ensured where audit autonomy is perceived by Independence Standards Board (ISB) as the adaptability of an examiner or an auditor from those weights and distinctive fragments that exchange off, or can sensibly be required for immaculate surveys (Tang et.al 2017). Survey independence confines an auditor to settle on impartial review decisions. As showed by different authorities review versatility is separated from the perspective and approach of objectivity being fair-minded, sensible and besides being upright and wisely bona fide. With the observation and insurance of audit independence, auditors always make uncompromised decision and ensure validity in the financial records and reports. Review autonomy can likewise be affected by different powers inside the review firm or from the customer firm. These factors are distinguished as threats to audit independence and always results into compromised audit decisions. From the various conversations in the case study one, from each of the given situation center one can find and see four threats by the approach of dangers and shields approach (Johari, Mohd?Sanusi and Chon 2017). As displayed by this risks and securities approach, the structures see four fundamental depictions of threats which can meddle with the outcome of traded off outcomes as takes after. The presence of the below discussed threats can lead to compromised audit when the 2015 audit is conducted by the same audit team in the case study one above. Backing for customer risks This sort of risk happens in circumstances where a person from the review group will offer reinforcement support to the customer. Review freedom is dependably on stake conditions where one of the customer's monetary managers is identified with individuals from the review assemble as on account of Michael and the father who is one of the cash related overseers (Abbott et.al 2016). In such cases the review of Michael is probably going to be traded off as he will safeguard the father regardless of misrepresentation. Self-intrigue threat This kind of audit threat occurs in a situation where an auditor is likely to be compromised by personal interests. In this case, customer firm is pondering to take the auditors from CJ looking over relationship to a 14 day occasion in Greek Isles covering every ones costs and expenses. In such a condition the affiliation won't be sensible to the surveying relationship since the insistence of blessings may incite stunning taking a gander amid auditing (Abbott et.al 2016). In such conditions where the head of audit team has been given token, they tend to conduct reviews affiliation budgetary records with a critical measure of self vitality concealing wrecks (Abbott et.al 2016). In this case since the administration of the audit team is likely to be compromised by the token it is clear that the results of the audit will also be compromised as they will react based on self interest. Affirmation or trust dangers This sort of risk comes in when reviewers are being over-impacted by the characteristics of their customers' and furthermore the organization identity along these lines twisting up detectably nonsensically, making it hard to intrigue the customer. Then again, evaluators of a given firm therefore of affirmation may grow excessively confide in the association portrayals in this way, inadequately comprehensive in their study testing (Bahrawe, Haron and Hasan 2016). This is clear from fourth condition the examination with Annette who avows that there will be no much review on the commitment records in perspective of nature and trust. Having worked in the LTH books of records earlier her autonomy of the review can be dealt in the way of trust and shared trademark or nature. Performance of non-audit actions The audit team leader is under pressure from the client firm to give a speech on behalf of the company. This results into an audit independence threat which is known as intimidation threat. According to the first conversation in the situation one, the CJ audit firm manager is forced by the client firm to give a speech of which failure to do so will result into termination of the contract between CJ and LTH (Commerford et.al 2016). In such cases based on the intimidation and embarrassment, the audit team is likely to perform the non audit administration which my compromise the audit independence. In order to secure the contract the audit team will review with interest leading to misquotes in the audits. Safeguards to the Identified Threats Safeguards to audit independence are various ways in which the above identified threats can be prevented or controlled. This section of the paper identifies three ways in which the above identified threats. These safeguards have been identified as below: Observations of various audit rules and ethics Auditing practice is guided by various rules and audit ethics. It is therefore important for CJ as an audit firm to operate within the specific rules in order to be free from the forces which are likely to compromise their practices. The company should refuse the free trip which has been offered to the top two official of CJ Company based on the audit rules. With the observation of the audit rules and independence the team should be able to perform their duties as required and cover any fraud that may be within the financial records. The manager of CJ is also able to refuse the non audit task being forced on him by the client firm. Repression of auditors from offering non-audit associations As uncovered by case the association of the CJ review firm masterminds limitation of the relationship from offering non review benefits, the request by the primary body of the customer affiliation (LTH) which requires the review firm make a beeline for give a discussion in light of a honest to goodness worry for the affiliation will be invalid permitting the CJ to perform uncompromised review without conditions (Berg and Mor 2016). Use of new audit team while performing every audit As demonstrated by circumstances three and four, both Michael and Annette are probably going to be traded off in perspective of trust and shared trademark (Hurley, Mayhew and Obermire 2016). Clearly the two have been typical to the customer firm and are not sensible to play out a survey on the budgetary records of a relative affiliation. Annette foresees that not will organize huge diagram on the commitment budgetary books of records in light of past review where as Michael trusts the father who drives the money related assembling (Chiang and Chiang 2016). Study turn is along these lines the best protect to guarantee review freedom. For this situation both the two evaluators who are probably going to traded off by the review autonomy dangers ought to be supplanted or taken to another firm. 2.Business Risks to be considered amid audit planning Transportation risks The organization serves a bigger market with more clients situated in remote parts of the market. In such circumstances the organization needs to utilize more costs on transport with a specific end goal to achieve their clients (Chiang and Chiang 2016). They likewise experience the ill effects of transportation expenses giving systems for upkeeps mechanics in supplant repair effectively sold item. This is along these lines a business hazard to the organization as it results into diminished net revenue contrasted with the guessed overall revenue. Operation business dangers The period of accreditation is client intrigue fulfillment coming about into affiliation getting an amazing measure of support expenses. Subsequently, the apparatus occurs into operation dangers where Mining supplies LTD (MSL) necessities to pay for additional charges to the operations of the mechanics performing such structures for upkeeps (Guedes and Pereira 2017). Being that the majority of the clients are remotely found, the affiliation needs to cover for the long separation transportation costs for the mechanics, pay for the charging of their associations on a consistent rate in context of the time, cover for every one of the parts supplanted and in like manner the solace and normal costs of the authority. Audit Risk Inherent risks For this situation, the particular review hazard might be assessed in light of the business dangers experienced by Mining supplies LTD (MSL) as an alliance. Amidst the change of the review coordinate beginning at now showed above and expert ought to diagram inborn hazard as one of the dangers at the money related illumination form or at budgetary report level (Bui and de 2017). The review investigator ought to along these lines relate the risk appraisal to different records changes and unmistakable exchange classes amidst the confirmation point (Lu, Wu and Yu 2017). Trademark hazards may happen in this way of operation dangers and transportation chance in that the cost of upkeep and transportation might be misquoted by the chiefs, heads, drivers even the mechanics. The affiliation pros responsible for the upkeep may allude to an inspiration than the real cost working out as expected into common risks. Accounts likely to be affected by 2015 audits At the level of exchange class affirmation and what's progressively the record level, the dangers might be found in the payable records including: Purchases accounts The purchases account is likely to be affected during the 2015 audit since most of the company operations involve purchasing sale of products (Lu, Wu and Yu 2017). In some cases that might be fraud mainly informs of misquotes which are likely to be identified during the audit. Pay and wage account From the given case study, the company operates with several workers including hired mechanics (Patriarca et.al 2017). In such cases where operational team is too extensive there is likelihood of misquotes within the salary and wage accounts. Since the business dangers saw by and large identify with the payable records, the investigator ought to thusly be sincere that the payable records at the monetary articulation levels are probably going to be feeble to double dealings and distort (Patriarca et.al 2017) . This is obvious in that most by a wide margin of the payable records require likenesses with a more raised measure of estimations as a large portion of the operations identifying with support are continuers References Tang, F., Tang, F., Ruan, L., Ruan, L., Yang, L. and Yang, L., 2017. Does regulator designation of auditors improve independence? The moderating effects of litigation risk. Managerial Auditing Journal, 32(1), pp.2-18. Johari, R.J., Mohd?Sanusi, Z. and Chong, V.K., 2017. Effects of Auditors' Ethical Orientation and Self?Interest Independence Threat on the Mediating Role of Moral Intensity and Ethical Decision?Making Process. International Journal of Auditing, 21(1), pp.38-58. Abbott, L.J., Daugherty, B., Parker, S. and Peters, G.F., 2016. Internal audit quality and financial reporting quality: The joint importance of independence and competence. Journal of Accounting Research, 54(1), pp.3-40. Bahrawe, S.H., Haron, H. and Hasan, A.N.B., 2016. Corporate Governance and Auditor Independence in Saudi Arabia: Literature Review and Proposed Conceptual Framework. International Business Research, 9(11), p.1. Commerford, B.P., Hermanson, D.R., Houston, R.W. and Peters, M.F., 2016. Real Earnings Management: A Threat to Auditor Comfort?. Auditing: A Journal of Practice Theory, 35(4), pp.39-56. Berg, S. and Mor, C., 2016. The Effect of Non-Audit Services on Auditor Independence: A study on 11 food retail-and wholesale companies in the United Kingdom. Hurley, P.J., Mayhew, B.W. and Obermire, K., 2016. Realigning Auditors' Accountability: Experimental Evidence. Chiang, C. and Chiang, C., 2016. Conceptualising the linkage between professional scepticism and auditor independence. Pacific Accounting Review, 28(2), pp.180-200. Guedes, J.F. and Pereira, L., 2017. Proximity Offshoring Generating Considerable Savings with No Significant Increase of Risks or Losses in QualityNearshoring Playing a Key Role on a Business Transformation Program. In Financial Environment and Business Development (pp. 325-340). Springer International Publishing. Bui, B. and de Villiers, C., 2017. Business strategies and management accounting in response to climate change risk exposure and regulatory uncertainty. The British Accounting Review, 49(1), pp.4-24. Lu, L.Y., Wu, H. and Yu, Y., 2017. Investment-related Pressure and Audit Risk. Auditing: A Journal of Practice and Theory. Patriarca, R., Di Gravio, G., Costantino, F. and Tronci, M., 2017. The Functional Resonance Analysis Method for a systemic risk based environmental auditing in a sinter plant: A semi-quantitative approach. Environmental Impact Assessment Review, 63, pp.72-86.

Wednesday, December 4, 2019

Led Zeppelin Essays - Jimmy Page, Music, Led Zeppelin, John Bonham

Led Zeppelin Led Zeppelin was one of the giants of the 1970s in hard rock. They were also one of the greatest success stories that ever played hard rock music. The group was one the more popular hard rock groups that performed in the seventies, and even had some hits in the 1960s. The members of the group are Jimmy Page, born on April 9, 1944, Robert Plant, born on August 24, 1948, John Paul Jones, born on January 3, 1946, and John Bonham born on May 31, 1948. Jimmy Page played guitar, Robert Plant was the vocalist, John Paul Jones played bass guitar and the keyboard, and John Bonham beat the drums. The group had the complete set up for a band right off the start. They produced their first record in thirty hours to complete their deal with the old Yardbirds. They toured Scandinavia for awhile also to complete their obligations to the Yardbirds. When they first came to the United States they supported Vanilla Fudge. They also played in clubs to start their American popularity. After they played in the clubs they got their first headlining tour and toured again that. They were playing their fifth tour by the March of 1970. Led Zeppelin the record was released by the Atlantic Records in 1969. Shortly after the record was released it was number eight and stayed in the top twenty for six weeks. When the Led Zeppelin II was released, it was Atlantic Records fastest selling album at 100,000 copies a week. They broke their own record in 1975 when Physical Graffiti that sold 500 copies an hour. All of their albums have gone platinum. They were the first group to heavily tour the United States and sporadically tour the rest of the world. This occurred because there was a lack of interest in them Britain. Their success was due to their manager Peter Grant. Peter was able to keep the group moving from place to place and kept the people interested in them. Peter thought that they would work every other year so they would stay in demand. While they were working on their first movie featuring them. This movie was of the group playing their music, which was called, The Song Remains Playing. A representative from their record company called and told Page that the sales of their new album Houses of the Holy was spectacular. The record company told Page that the group, Led Zeppelin, was the biggest selling group in the world and was making the most money at the time. After Page and Plant heard this they were having a moment of triumph because their band was making it big. During this time of popularity that the band was going through, there was a feature on them in the L.A. Times. They were making music for the adolescence age group and they were being looked up at as role models. Led Zeppelins manager Peter Grant was an amazing and brilliant person. Their road manager was also a great person for the band to have because he promoted them as much as possible. By the summer of 1975, Led Zeppelin was the most popular band in the world. They were filling football stadiums across the United States. They also filled the Earls Court, which held 20,000 people for five days in London. It was awesome an show that had an amazing light show, smoke, dry ice, and laser beams. The concerts were focused on Jimmy Page and Robert Plant because they were the main guys in the group. On stage they were opposites and compliments: Plant a golden-ringleted Adonis marvelously parodying the sexual superstar while singing in a voice of limitless power.(www.wysiwyg://14/http://www.redrival.com/getled/history.html.) Page was a dark, fragile guitarist of immense versatility and command clothed in black velvet and rippling dragons.(www.http://www.led-zeppelin.com/news.html) The Presence(1976) and the In Though the Out Door(1979) proved to be the last Led Zeppelin albums that were produced. John Bonham was found dead at the home of Jimmy Page on the 25 of September in 1980. (www.http://www.led-zeppelin.com/news.html) After this tragic loss the band announced that they could not play any longer. The album entitled Coda was an unreleased set of recordings and out takes which was released in 1982.

Wednesday, November 27, 2019

Christopher Marlowe Essays - , Term Papers

Christopher Marlowe Christopher Marlowe: what did he contribute to English literature and how is his writing reflective of the style of the times? Christopher Marlowe contributed greatly to English literature. He developed a new metre which has become one of the most popular in English literary history, and he revitalised a dying form of English drama. His short life was apparently violent and the man himself was supposedly of a volatile temperament, yet he managed to write some of the most delicate and beautiful works on record. His writing is representative of the spirit of the Elizabethan literature in his attitude towards religion, his choice of writing style and in the metre that he used. Christopher Marlowe was born in 1564 the son of a Canterbury shoemaker and was an exact contemporary of Shakespeare. He was educated at the King's School, Canterbury, and Corpus Christi College, Cambridge. He became a BA in 1584 and a MA in 1587. He seems to have been of a violent nature and was often in trouble with the law. He made many trips to the continent during his short lifetime and it has been suggested that these visits were related to espionage. In 1589 he was involved in a street brawl which resulted in a man's death. An injunction was brought against him three years later by the constable of Shoreditch in relation to that death. In 1592 he was deported from the Netherlands after attempting to issue forged gold coins. On the 30th of May 1593 he was killed by Ingram Frizer in a Deptford tavern after a quarrel over the bill. He was only 29 years old. During the middle ages, culture and government were influenced greatly by the Church of Rome. The Reformation of Henry VIII (1529-39), and the break of ties with that church meant that the monarch was now supreme governor. This altered the whole balance of political and religious life, and, consequently, was the balance of literature, art and thought. The literature of Elizabethan England was based on the crown. This period of literature (1558-1625) is outstanding because of its range of interests and vitality of language. Drama was the chief form of Elizabethan art because there was an influx of writers trying to emulate speech in their writing, and because of the suddenly expanded vocabulary writers were using (most of these new words came from foreign languages). Marlowe's plays comprise The Tragedy of Dido, Queen of Carthage (possibly with some collaboration from Nashe), Tamburlaine parts one and two, The Jew of Malta, Edward II, Dr. Faustus and The Massacre at Paris. Up to the time of Tamburlaine, written in 15 87-8, there had been a few so-called tragedies. Of these, the best known is Gorboduc, first played in 1561, and apparently popular enough to justify its printing a few years later, although the play was "a lifeless performance, with no character of enough vitality to stand out from the ruck of the rest of the pasteboards." With Tamburlaine, Marlowe swept the Elizabethan audiences off their feet. The Jew of Malta, written after Tamburlaine, begins very strongly, with the main character a commanding figure of the same calibre as Tamburlaine, and the characterisation is better rounded than Tamburlaine's. Sadly the play comes to pieces after the second act, and it has been speculated that another less talented author revised the ending. Edward II is unexpected in that the main character is a neurotic weakling, instead of a dominant figure like Henry V. Even though the characterisation is clumsy, it is yet a dramatist's treatment, and one can see that Marlowe has moved towards creating a more developed character. Marlowe thus breathed new life into English tragedy, and paved the way for the greatest English dramatist, Shakespeare. It is quite possible that without Marlowe's contribution to English tragedy, Shakespeare would never have at tempted such an unpopular style and he would not be canonised as he is today. The Tragical History of Doctor Faustus is surely the pinnacle of Marlowe's achievement. The subject no doubt appealed to Marlowe. In no other play of his, nor in the majority of English literature, is there a scene to match the passionate and

Sunday, November 24, 2019

General Jimmy Doolittle - World War II

General Jimmy Doolittle - World War II Jimmy Doolittle - Early Life: Born on December 14, 1896, James Harold Doolittle was the son of Frank and Rose Doolittle of Alameda, CA. Spending part of his youth in Nome, AK, Doolittle quickly developed a reputation as boxer and became the amateur flyweight champion of the West Coast. Attending Los Angeles City College, he transferred to the University of California-Berkeley in 1916. With the US entry into World War I, Doolittle left school and enlisted in the Signal Corps reserve as a flying cadet in October 1917. While training at the School of Military Aeronautics and Rockwell Field, Doolittle married Josephine Daniels on December 24. Jimmy Doolittle - World War I: Commissioned a second lieutenant on March 11, 1918, Doolittle was assigned to Camp John Dick Aviation Concentration Camp, TX as a flying instructor. He served in this role at various airfields for the duration of the conflict. While posted to Kelly Field and Eagle Pass, TX, Doolittle flew patrols along the Mexican border in support of Border Patrol operations. With the wars conclusion later that year, Doolittle was selected for retention and given a Regular Army commission. After being promoted to first lieutenant in July 1920, he attended the Air Service Mechanical School and Aeronautical Engineering Course. Jimmy Doolittle - Interwar Years: After completing these courses, Doolittle was permitted to return to Berkeley to complete his undergraduate degree. He achieved national fame in September 1922, when he flew a de Havilland DH-4, equipped with early navigational instruments, across the United States from Florida to California. For this feat, he was given the Distinguished Flying Cross. Assigned to McCook Field, OH as a test pilot and aeronautical engineer, Doolittle entered the Massachusetts Institute of Technology in 1923, to begin work on his masters degree. Given two years by the US Army to complete his degree, Doolittle began conducting aircraft acceleration tests at McCook. These provided the basis for his masters thesis and earned him a second Distinguished Flying Cross. Finishing his degree a year early, he commenced work towards his doctorate which he received in 1925. That same year he won the Schneider Cup race, for which he received the 1926 Mackay Trophy. Though injured during a demonstration tour in 1926, Doolittle remained on the leading edge of aviation innovation. Working from McCook and Mitchell Fields, he pioneered instrument flying and assisted in developing the artificial horizon and directional gyroscope that are standard in modern aircraft. Utilizing these tools, he became the first pilot to take off, fly, and land using only instruments in 1929. For this feat of blind flying, he later won the Harmon Trophy. Moving to the private sector in 1930, Doolittle resigned his regular commission and accepted one as a major in the reserves upon becoming the head of Shell Oils Aviation Department. While working at Shell, Doolittle aided in developing new higher-octane aircraft fuels and continued his racing career. After winning the Bendix Trophy Race in 1931, and the Thompson Trophy Race in 1932, Doolittle announced his retirement from racing, stating, I have yet to hear anyone engaged in this work dying of old age. Tapped to serve on the Baker Board to analyze the reorganization of the air corps, Doolittle returned to active service on July 1, 1940, and was assigned to the Central Air Corps Procurement District where he consulted with auto makers about transitioning their plants to build aircraft. Jimmy Doolittle - World War II: Following the Japanese bombing of Pearl Harbor and the US entry into World War II, Doolittle was promoted to lieutenant colonel and transferred to Headquarters Army Air Force to aid in planning an attack against the Japanese home islands. Volunteering to lead the raid, Doolittle planned to fly sixteen B-25 Mitchell medium bombers off the deck the aircraft carrier USS Hornet, bomb targets in Japan, then fly through to bases in China. Approved by General Henry Arnold, Doolittle relentlessly trained his volunteer crews in Florida before embarking aboard Hornet. Sailing under a veil of secrecy, Hornets task force was spotted by Japanese picket on April 18, 1942. Though 170 miles short of their intended launch point, Doolittle decided to immediately commence the operation. Taking off, the raiders successfully hit their targets and proceeded on to China where most were forced to bail out short of their intended landing sites. Though the raid inflicted little material damage, it provided a massive boost to Allied morale and forced the Japanese to redeploy their forces to protect the home islands. For leading the strike, Doolittle received the Congressional Medal of Honor. Directly promoted to brigadier general the day after the raid, Doolittle was briefly assigned to the Eighth Air Force in Europe that July, before being posted to the Twelfth Air Force in North Africa. Promoted again in November (to major general), Doolittle was given command of the Northwest African Strategic Air Forces in March 1943, which consisted of both American and British units. A rising star in the US Army Air Forces high command, Doolittle briefly led the Fifteenth Air Force, before taking over the Eighth Air Force in England. Assuming command of the Eighth, with the rank of lieutenant general, in January 1944, Doolittle oversaw its operations against the Luftwaffe in northern Europe. Among the notable changes he made was allowing escorting fighters to leave their bomber formations to attack German airfields. This aided in preventing German fighters from launching as well as assisted in allowing the Allies to gain air superiority. Doolittle led the Eighth until September 1945, and was in the process of planning for its redeployment to the Pacific Theater of Operations when the war ended. Jimmy Doolittle - Postwar: With the postwar reduction of forces, Doolittle reverted to reserve status on May 10, 1946. Returning to Shell Oil, he accepted a position as a vice president and director. In his reserve role, he served as a special assistant to the Air Force chief of staff and advised on technical issues which ultimately led to the US space program and the Air Forces ballistic missile program. Retiring completely from the military in 1959, he later served as chairman of the board of Space Technology Laboratories. A final honor was bestowed upon Doolittle on April 4, 1985, when he was promoted to general on the retired list by President Ronald Reagan. Doolittle died September 27, 1993, and was buried at Arlington National Cemetery. Selected Sources Doolittle Raiders: First Joint ActionCalifornia State Military Museum: General Jimmy Doolittle

Thursday, November 21, 2019

Application for UNSW Golden Jubilee Scholarship Essay

Application for UNSW Golden Jubilee Scholarship - Essay Example I wish to be able to develop vaccine that can be taken by healthy people in order to prevent the entry of the HIV virus into their system. A scholarship is the only way that I will be able to kick start my scientific career quest. With a little bit of luck, I will become one of the lucky recipients of the Golden Jubilee Scholarship and be given a rare opportunity to dive head first into the world of Biotechnology. As an actively participating student of UNSW, each moment that I am on campus shall be spent in preparation for my future career. I shall spend as much time as possible learning from the available mentors and presenting my ideas for the HIV vaccine to other students and faculty members who may be able to help me get a head start in the development process. Perhaps I will get a grant that will allow me to do scientific studies of the HIV virus and its mutations in an effort to help curb the spread of the virus. I will continuously involve my schoolmates who share the same interest and passion for biotechnology as I do. Hopefully, we will be able to organize ourselves into the pioneer group that shall concentrate on the vaccine development, thus catapulting UNSW to the forefront of HIV research and de velopment. I am looking forward to enrolling at UNSW so that I can expand upon my existing knowledge of biological and industrial processes involved in the biotechnological area. Upon graduation, I hope to see my name become synonymous with breakthrough biotechnological advancements and treatments of various illnesses. I am serious about my ambitions and goals. I hope that the Golden Jubilee Scholarship will do just

Wednesday, November 20, 2019

E-Learning Master Essay Example | Topics and Well Written Essays - 2750 words

E-Learning Master - Essay Example I will lso use cse study to support the evidence of the theory. It hs been rgued tht computer-bsed communiction is the most fundmentl chnge in communictions technology in the lst 150 yers (de l Sol Pool 1984). The prolifertion of the personl computer combined with the Internet hs precipitted fr-reching chnges in society. Electronic communictions nd digitl networks re trnsforming the wy we work nd re reshping personl communiction nd entertinment. This trnsformtion hs hd tremendous effect on the need nd opportunity to lern. Unfortuntely, the trnsmission model tht still domintes eduction hs chnged little. Notwithstnding the widespred doption of computer communictions in society, we hve yet to fully experience the trnsformtive effects of this medium, prticulrly its effect on e-lerning. We re in wht John Seely Brown (2000) described s the grdul development phse of this trnsformtive medium nd re yet to experience its explosive impct. We re only experiencing e-lerning in its erly forms nd hve much to lern of its inherent cpbilities nd the cretion of new 'lerning ecology' (Brown 2000). s hs been suggested, e-lerning is not simply nother technology or dd-on tht will be quietly integrted or ultimtely rejected. E-lerning represents very different ctegory nd mode of communiction. Since communiction is t the hert of ll forms of eductionl interction, it is likely tht its impct on eduction systems nd individul techers nd lerners will be significnt. It mkes little sense to replicte or simulte trditionl fce-to-fce pproches. Clerly, if we relly re experiencing new lerning ecology, simulting prctices bsed on very different ecology simply misses the point. Not only would opportunities to improve the lerning experience be lost, but merely simulting trditionl prctices resists cpitlizing on the chrcteristics of new er of lerning. E-lerning will inevitbly trnsform ll forms of eduction nd lerning in the twenty-first century. Notwithstnding tht e-lerning's influence in trditionl eductionl institutions hs been wek - in relity, little more thn n enhncement of current prctices - s we gin better understnding of its potentil nd strengths, e-lerning will effectively trnsform how we pproch the teching nd lerning trnsction (Grrison nd nderson 2000). E-lerning trnsforms eduction in wys tht extend beyond the efficient delivery or entertinment vlue of trditionl pproches. E-lerning cnnot be ignored by those who re seriously committed to enhncing teching nd lerning. 1. new relity with ccess to E-lerning t the core of the e-lerning trnsformtion is the Internet. report of the US Web-bsed Eduction Commission (on-line) stted: The question is no longer if the Internet cn be used to trnsform lerning in new nd powerful wys. The Commission hs found tht it cn. The Web-bsed Eduction Commission clls upon the new Congress nd dministrtion to embrce n 'e-lerning' gend s centrepiece of our ntion's federl eduction policy. (Retrieved July 2001) The report recommended tht vstly expnded development nd innovtion progrmme 'should be built on deeper understnding of how people lern, how new tools support nd ssess lerning

Sunday, November 17, 2019

Globalization and South Korea Essay Example | Topics and Well Written Essays - 2500 words

Globalization and South Korea - Essay Example Ever since the General Agreement on Trade and Tariffs (GATT) came into effect in the 90's and the World Trade Organization was established with a mandate to regulate and intervene in the disputes arising out of globalization, the world economy has been integrated in a way that has surpassed the earlier attempts. This is noteworthy, as contrary to popular belief, trade and commerce between nations has always been the case since the first ships carrying silk, spices and muslin from the east and other exotic stuff from the west has set forth for each other's shores. In fact, the famous voyage of Christopher Columbus is a testament to the ability of nations to seek out markets other than their own for trade. Though the world was integrated in colonial times as well, the process received a setback in the 21st century in the intervening period between the two world wars. It was only after the establishment of the Bretton Woods system that the world economy started regaining some of its int erconnectedness. And the demise of alternatives to capitalism and the free market system ensured that all countries with a desire to alleviate poverty and raise the standard of living of the peoples would invariably turn to trade and commerce and utilize the "theory of comparative advantage"iii as proposed by the noted economist David Ricardo. Globalization as a phenomenon cannot be avoided. Despite the setbacks to the process by the events in the aftermath of 9/11, Globalization continues its inexorable march adding new strands to its already well-knit thread. The successes of India and China in this decade and the successes of the so-called "Tiger economies" of South East Asia in the previous decades are proof that globalization works. The Real Issues Covering Globalization Procedures There are numerous studies that pertain to the reasons behind the reality of the actual events of the worldwide events regarding the issue of underdeveloped countries. There have also been numerous theories designed through the said studies to be able to explain the reason behind the issue being discussed herein. For instance, John Degnbol-Martinussen said in his book Aid: Understanding International Development Cooperation, "the foreign relations between many countries worldwide mainly depend upon the economic status of each state. The ability to be n relation with other countries is usually dependent upon the fact that a country is required to have a certain considerable economic status in the world economy" (13). Saying this, Martinussen simply shows how the present society measures a country's status through its economic status. This is mainly the reason behind the fact that there exist three divisions of economic class in the global setting of economic scale. Basing from the dep endency theory, it could be identified that among the reason behind the status of underdeveloped countries is the fact that many poor sectors of the global economy remain as suppliers to the developed states. They serve as mere support to the 'bigger or larger sectors' of the human generation. The fact that proves the said theory is its basis upon the actual occurrences today regarding the oppression of the poor. True, to be able to remain wealthy, many developed countries depend upon the underdeveloped ones for raw materials and resources for several

Friday, November 15, 2019

Ethnicity and Genocide in Rwanda

Ethnicity and Genocide in Rwanda Tracing the origins of a genocide is a treacherous undertaking. If simply recording the facts can be difficult, due to the chaotic and brutal disregard of human existence and culture, then tracing the social, cultural and political origins/causes is highly problematic. If the interpreter chooses to trace these origins to the distant past, by considering peculiar cultural developments and tensions then he/she can be accused of absolving those who were actively involved in the genocide of the responsibility that should be attributed to them. If on the other hand, the interpreter chooses merely to concentrate on the motivations of those involved then this can be at the expense of a broader understanding of the circumstances that enabled such motivations to flourish. This dilemma certainly confronts efforts to explain the most notorious genocide in human history, in Germany during the second world war. Hannah Arendt for example, asked us, disturbingly, to think of Eichman as just a burea ucrat trying to do the best for his career and family as a creation of the dark side of modernity. In attempting to explain a more recent, equally brutal, genocide in Rwanda in 1994 we are once again confronted by the interpretive dilemma described above. In the case of Rwanda the issue for those attempting to explain why almost 1 million people were murdered in the space of just a few months, has been the extent to which ethnicity was the decisive factor. Was it ethnic tension and rivalry that erupted, horrifically, into the mass killing of a minority ethnic group by another majority ethnic group? If so then how did such viscous ethnic tension emerge? Was it an artificial creation of colonial rule, that was very likely to eventually end in violent conflict? Or were ethnic tensions between the Hutu and Tutsi the deliberate construction of power groups bent on the annihilation of their enemies, their competitors for power. And to what extent were these tensions class based rather than ethnic? In the following essay I shall show how there is more at stake in assessing the contributi on of ethnicity to the genocide in Rwanda than the degree to which ethnicity was a factor. Moreover, it is very clear that ethnicity played a part but the key issue is when, who, how and for what purpose was ‘ethnic’ division created? Our answers to these questions will lead us to the very meaning of the ethnicities themselves. Ethnicity and Genocide Before we can begin to address the particular case of Rwanda however we should clarify what will be meant by both ethnicity and genocide. The term ethnicity is usually employed to refer to the identity of a group of people who share a particular geography, language, history, religion, habits and customs that can be distinguished from other such groups. Whether this identity is ‘imaginary or real’, as Obi Zgwanda notes, is irrelevant. What matters is that there is a perception of ethnic differences and that this perception guides the actions and interactions of those who hold to them. It is important also to note here that ethnicity is a social identity that is not necessarily confined by, or the product of, precise geographical boundaries. Indeed Africa is a good example of a region that consists of many ethnicities that pre-date the establishment of geographical boundaries. Moreover, just because a certain social identity is not geographically demarcated against another social identity, it’s other, does not mean that the social identity in question is any less describable as ethnic (Igwara, 1995: 7) The term genocide requires a much more formal definition. This is because there often seems to be some confusion between killing that is motivated by ethnic hatred and the deliberate, planned attempt to eliminate a certain ethnic group which is what we shall understand to be genocide. The distinction is important because it is much easier to understand the socio-historical causes of violence between ethnic groups than it is to trace the socio-historical legacy that led to genocide. In other words, there may exist ethnic tensions or competing ethnicities but it is a big step to then understand them as the key contributing factor in genocide. And once we recognise that genocide is planned and deliberate then we also have to take into account the motivations of the planners of the genocide. In other words, we need to consider the extent to which ethnicity was manipulated by actors bent on the paranoid accumulation of power and wealth. Hutu and Tutsi as ethnicities? Hutu and Tutsi are the two main ethnic groupings in Rwanda. But are they really distinct ethnic groupings. After all, they share the same language and customs and are not divided by religion either. Indeed, they also share the same geography. The Hutu, who are the majority group, have been historically distinguished, most significantly, merely by their occupation as farmers of the land whereas Tutsi are mainly cattle farmers. To be sure this is an important difference, in that ownership of cattle has traditionally been thought of as the chief measure of status. There are some who believe that Tutsi and Hutu can be distinguished also by appearance but then there are others still who believe that this is mythical, a social imagination of former Tutsi rule which explains why they are thought to be taller. In any case, the pre-twentieth century history of Tutsi and Hutu suggest that the two groups were different not as ethnicities as such but as two layers of a caste system. This would perhaps explain why prior to the twentieth century the Hutu and Tutsi coexisted relatively peacefully; certainly if the cultural and economic hierarchy between Tutsi and Hutu was internalised as a natural order within the social identities of the two groupings. Indeed, to describe the Hutu and Tutsi as ethnicities may indeed be a Eurocentric way of classifying the differences between the two groups that wants to divide up the world into distinct ethnicities, much in the way that nations are divided up. To put the point differently, it is rather like understanding the middle and working classes in Britain as separate ethnicities. To conclude this section, if the genocide carried out by Hutu against Tutsi is to be understood in terms of ethnicity then the ethnicity we are referring to must surely be a recent creation and therefore, perhaps less decisive as a factor? Colonialism and the construction of ethnicity It is now widely recognised that colonial rule of Africa, and other parts of the world, created tensions that otherwise might not have existed. There are two key reasons for this effect. Firstly, the dividing up of Africa by European powers in the 19th and early 20th century created artificial boundaries which subsequently became states, and which would later become the subject of dispute and violent conflict. Secondly, and more significantly in the case of Rwanda colonialism imposed what is called the settler/native dialectic. The settler/native dialectic did not just impose a hierarchy it established an altered consciousness in which social identities were relative to the superiority of the colonist (Mamdani, 2001). Moreover, consent to colonial rule was imposed not just through force but through a kind of cultural assimilation in which the native was encouraged to aspire to the cultural and economic superiority of the settler. This surely had the effect of heightening tensions bet ween groups that were privileged or marginalised within this dialectic thus feeding a key ingredient of ethnicity, namely otherness (Mamdani, 2001) German control of Rwanda up until the first world war certainly followed the logic of colonialism described above. Throughout German occupation the dominance of the Tutsi was further institutionalised through administrative and economic structures. And the enforcement of a tax regime meant that the Tutsi were both partly responsible for and beneficiaries of the collection and allocation of revenue. However, it was Belgian colonialism that had the most significant impact on relations between Hutu and Tutsi, and the social construction of ethnic identity in Rwanda. There are several key factors here. Firstly, after taking control of the colony after world war one, the Belgian authorities introduced formal ethnic identification. Every Rwandan was forced to carry identity cards stating their ethnic identity, i.e Hutu or Tutsi. Placed alongside the continued support for the Tutsi elite and the explicit belief that the Tutsi were superior to the Hutu, physically and culturally, this surely had the effect of polarising the ‘ethnic’ contrast between the two groups (Igwara, 1995: 46) Worse still, the Belgian authorities attempted to make Rwanda into a profitable colony and thus enforced a much harsher regime than under the Germans. Since much of the administration of this regime was carried out by the Tutsi an actual dynamic of tension was set in place that was to unfold throughout the twentieth century. The Belgian colonisers certainly helped to ensure, albeit unintentionally, that this dynamic became conflictual and violent. In the 1950’s signs of unrest amongst the Hutu population in reaction to their oppressed condition led the Belgian authorities to introduce a greater measure of equality between the Hutu and Tutsi. Moreover the growing confidence and deepened collective consciousness of the Hutu eventually resulted in a bloody overthrow by the Hutu of the Tutsi regime in 1959. From 1962 onwards the Hutu reversed the Tutsi dominance, often just as brutally as the regime that it replaced. By the 1990’s the Hutu and Tutsi were divided, at least, by divergent collective memories of the past, or in other words by conflicting ethnic identities. By way of conclusion to our summary of the effects of colonialism, we can say that the colonial control of Rwanda clearly established tensions that might not otherwise have existed, which had the effect of strengthening the ethnic self-consciousness of the Hutu and Tutsi (Mamdani, 2001). Though we have not yet established the degree to which ethnicity contributed to the genocide in Rwanda, it is clear that the tensions that were present in the early 1990’s were ethnic ones, even if they were only recently created. By this time the perceived cultural differences between the Hutu and Tutsi were not mere economic. The Genocide It is one thing to establish that the genocide occurred against a background of decades of ethnic strife, but quite another to claim this strife was the decisive factor in the genocide. To claim that ethnicity was the decisive factor in the genocide is perhaps to suppose that the genocide was spontaneous, that it was the rising to the surface of ethnic injustice and hatred whose will was carried out by the militia who slaughtered so many Tutsi, in such a short space of time. But perhaps this is what the perpetrators of the genocide would like us to believe. Perhaps it would be more accurate to claim, following the definition of Genocide outlined above, that the genocide was deliberate and planned and that the ethnic hatred, and thus the particular ethnicity that played a part was also deliberately cultivated for the purpose of carrying out genocide. There are several key factors here. Firstly whilst its scale was unprecedented in Rwanda, the genocide arguably began sometime before 1994. During the late 1980’s and early 1990’s a series of progroms were carried out. These were smaller scale brutal killing expeditions by Hutu militia, coordinated by the Hutu government, most probably in preparation for genocide on a much greater scale (Freeman, 1998). The Hutu government appeared to have arrived at the conclusion that the surest way to permanently secure its power base was the elimination of the Tutsi. The rhetoric of the regime during this period certainly seems to confirm this. But the Hutu suppression of the Tutsi during this period, under the leadership of Habyarimana, was not simply motivated by the desire to ethnically cleanse. Even though viscous ethnocentric rhetoric was employed the Hutu government were perhaps more fearful of the consequences of the pressure that was being brought on them by external powers for democratic reform and thus the i nclusion of the Tutsi. The progroms then, and the eventual genocide may be seen as an attempt to eliminate any threat to its power base before it was required to relent to pressure for democratic reform. Indeed, the introduction of democratic reform during the early 1990’s only further strengthened the Hutu governments cause. More press freedom and the establishment of new political parties only led to more pro-Hutu and more anti-Tutsi rhetoric. This rhetoric was also more specifically targeted against the Arusha accords which were supposed to establish a power-sharing arrangement with the Tutsi. To be sure, the chances for the success of the accords was diminished also by the invasions between 1990-93 of the Rwandan Patriotic Front (RPF) a Tutsi led militia force based in Uganda. However the fear amongst the Hutu elite that if the accords were realised they would lose their cultural and political positions was more decisively a factor in their racialisation of Rwanda politic s during the period before the genocide. The extent to which the Rwandan genocide was planned and thus the result of a power struggle rather, merely, than ethnicity, is evidenced by the events that led up to the genocide in the months before. On April 6th 1994 a plane carrying the president was shot down by a missile, killing everyone on board. But in the same day of the attack, Hutu militia were out on patrol checking the identities of all passers by if they were Tutsi they were brutally murdered with machete’s (Freeman, 1998: 49). The killing that ensued then was immediate and on a mass scale during a period of just 3 months. Estimates of the number of Tutsi killed ranged between 700,000 and 1 million. The apparent suddenness of the genocide as well as the inaction of the international community should not however, disguise the significant and not well concealed evidence that the genocide was planned even predictable. Indeed the attack on the presidents aeroplane is still shrouded in mystery. It is unclear who ca rried out the attack and some suspect that it may have been Hutu extremists concerned that the Hutu government would relinquish some of its power base to the Tutsi. And it should also be noted that the genocide was not just targeted at Tutsi but Hutu moderates. The relative absence of ethnicity as a factor in the summary above leaves out an important question however. How is it, if the genocide was a planned attempt by the Hutu elite to eliminate any potential threat to its power-base, that so many people participated in the genocide. However, only 10% of the Hutu population participated in the killings. The image that is often portrayed of the people killing their neighbours often obscures this statistic. It is true that Tutsi and Hutu lived in the same communities and spoke the same language and even married each other but one cannot make the further step that the genocide was the spontaneous eruption of ethnic hatred. Clearly, the events and origins of the genocide in Rwanda are highly contested. Indeed, it is important to include here the interpretation of the events offered by western governments and the western media. There is much evidence to suggest that both the U.S and France had the operational military capability to intervene ra pidly and decisively to halt the genocide. Furthermore the shooting down of the presidents plane has never properly been investigated, either by the U.N, American or Belgian authorities. Moreover Rwanda represents a massive failure on a number of fronts. The most blatant failure was clearly that of the United Nations for pathetically sending in peacekeeping troops that were merely able to stand by and watch the slaughter. Then there is the failure, and apparent inconsistency of the ‘American empire’ to decisively intervene despite its interventions elsewhere. And there is also the failure to prevent the genocide, to do anything about the preparations for genocide. Indeed, Rwanda was actually viewed as a model of development of an example of the success of international development aid. This is despite the substantial use of international aid for the funding Hutu militia and the luxurious lifestyles of the Hutu elite. From the perspective of these failed actors, or non-actors, it is certainly much more convenient either to understand what happened in Rwanda as ‘civil war’ or to understand it as a sudden eruption of ethnic tensions that defy easy explanation. Curiously, by laying the blame for the genocide at the door of colonialism the cultural studies, post-colonial explanation for the genocide in Rwanda actually ends up allying itself with the former colonial powers who apparently ‘powerless’ to intervene. Conclusion Whilst ethnicity is clearly a factor in the genocide in Rwanda, we need to be careful the way in which and the degree to which attribute this factor. Firstly, historically the Tutsi and Hutu have been divided along class rather than ethnic lines. Their differences do not take the form of ethnic differences in the European sense of the term. Secondly, whilst the colonial intensification of tensions between the Hutu and Tutsi created a consciousness of ethnicity that might not otherwise have existed we should be careful when attempting to trace the specific and brutal act of genocide to the legacy of colonialism. Thirdly, the years, months, days and hours that proceded the genocide suggest that it was planned and thus not a sudden eruption of ethnic tension and hostilities as is sometimes implied. Bibliography John A. Berry and Carol Pott Berry (eds.), Genocide in Rwanda:  A Collective Memory. Washington, DC: Howard University  Press, 1999. Charles Freeman, Crisis in Central Africa Hove: Wagland, 1998 Mahmood Mamdani, When Victims Become  Killers: Colonialism, Nativism, and the Genocide in Rwanda. Princeton, NJ: Princeton University Press, 2001. Obi Igwara, Ethnic Hatred: genocide in Rwanda London: ASEAN, 1995

Tuesday, November 12, 2019

Tanning Beds and Skin Cancer Essay -- Medical Medicine Papers

Tanning Beds and Skin Cancer What is UV radiation? Before one can discuss harmful effects of tanning equipment and increased sun exposure, one must be familiar with the components of ultraviolet light and how affects the skin. Sunlight contains two types of ultraviolet (UV) light: UVA and UVB. UVA rays consist of longer wavelengths that penetrate deep into the dermal layer of skin. Limited exposure to UVA rays causes skin to tan; however, most experts agree that overexposure to UVA can lead to other long-term skin damage. UVB rays’ wavelengths are much shorter, affecting the outermost layers of skin. UVB rays are known as the "burning rays" and are considered more dangerous. Tanning beds and sun lamps generally emit 93% to 99% UVA radiation increasing the benefits of a tan This is three times the UVA radiation given off by the sun (http://www.wraltv.com/features/healthteam/1998/0520-sunscreen/). What’s the difference between a tan and sunburn? It is also important to know what happens to the skin as it is tanned or burned and what the long-term, harmful effects may be. UVB rays are most responsible for a skin’s burning. The rays actually pop the capillaries just beneath the surface of the skin (http://www.cybermall2000.com/stones/tanning/index.html). Long-wavelength, UVA rays have totally different results on the skin. As UVA rays penetrate into the skin, melanin granules are oxidized and tan, or, turn golden brown. However, UVB rays are required to stimulate these melanin granules to rise to the skin’s surface, especially in skin that possesses small amounts of the pigment, melanin (http://www.shop.net/suncity/). What makes tanning beds safer? Most tanning bed industries agree that indoor ... ...A ‘sun-bed.’ British Journal of Dermatology 1982; 107: 275-284. Kennedy, M., Kim, K., Harten, B., Brown, J., Planck, S., Meshul, C.,Edelhauser, H., Rosenbaum, J.T., Armstrong, C.A., & Ansel, J.C. (1997). Ultraviolet Irradiation Induces the Production of Multiple Cytokines by Human Corneal Cells. Investigative Ophthalmology and Visual Science. Sept, 1997, Vol. 3, No. 10. Bolseman, C., Beitner, H., Jansson, B., Nilsson, B., &Ullen, H. (1996). Sunbed use in relation to phenotype, erythema, sunscreen use and skin diseases. A questionnaire survey among Swedish adolescents. British Journal of Dermatology 1996; 135: 712-716. Douglass, H.M., McGee, R., & Williams, S. (1997). Sun behavior and perceptions of risk for melanoma among 21-year old New Zealanders. Australian and New Zealand Journal of Public Health 21(3): 329-334. (abstract).

Sunday, November 10, 2019

Market Outlooks Simbrand

PRACTICE ROUND European demand is already at a good level. The annual demand growth is estimated to be between 30 and 100% annually, depending on the segment. In the Asian market the demand level currently is low, but the growth is expected to be even higher than in Europe. In both Europe and Asia the growth will be fastest during the next couple of years, after which the growth is likely to slow down. In any case, the consensus among analysts is that the growth rates will be positive for several years to come. The high-end segments in both the consumer and company segments play a major role in the first years. Later on, with market penetration, the low-end segments might well dominate the sales volumes. Because PDAs are still rather unfamiliar products especially among low-end segments, and since the companies are new and thus unknown, it is important to think carefully about advertising and channel investment decisions. Advertising and channel investments have a long-term effect on demand and therefore, it might be rather risky to neglect these areas of the marketing mix completely. Finally, the group’s financial officers as well as executives of the production company have emphasized the importance of accurate sales forecasts. Budgets are useless if forecasted sales are far from reality, which usually decreases the quality of decisions significantly. In addition, production facilities’ output is preliminarily planned according to the forecasts. Large adjustments required in case of poor forecasts result in increased unit costs. ROUND 1 European demand is already at a good level. The annual demand growth is estimated to be between 30 and 100% annually, depending on the segment. In the Asian market the demand level currently is low, but the growth is expected to be even higher than in Europe. In both Europe and Asia the growth will be fastest during the next couple of years, after which the growth is likely to slow down. In any case, the consensus among analysts is that the growth rates will be positive for several years to come. The high-end segments in both the consumer and company segments play a major role in the first years. Later on, with market penetration, the low-end segments might well dominate the sales volumes. Because PDAs are still rather unfamiliar products especially among low-end segments, and since the companies are new and thus unknown, it is important to think carefully about advertising and channel investment decisions. Advertising and channel investments have a long-term effect on demand and therefore, it might be rather risky to neglect these areas of the marketing mix completely. Finally, the group’s financial officers as well as executives of the production company have emphasized the importance of accurate sales forecasts. Budgets are useless if forecasted sales are far from reality, which usually decreases the quality of decisions significantly. In addition, production facilities’ output is preliminarily planned according to the forecasts. Large adjustments required in case of poor forecasts result in increased unit costs. ROUND 2 The total sales of PDAs in Europe are expected to grow hundreds of %. Growth will be fastest among the low-end segments. However, the price elasticity of these segments is rather high and thus the availability of cheaper models with reasonable features has a significant impact on the realized growth. The demand growth estimates for Asia seem even more promising than for Europe. In Asia, the market is still clearly dominated by high-end segments. By offering new high-tech models the companies can create more demand. Competence indices started to grow from the starting point of 100 but some analysts are waiting to see products with compactness and battery life ranging in between 105 – 110 this year. However, the production line cost of 3. 5 Mâ‚ ¬ is high considering the rather small size of the markets at the moment. This will certainly limit the enthusiasm in launching new models with nice new features. On the other hand, using the latest technology, that the R&D investments in the previous period have created, decreases the risk that products become obsolete rapidly. Therefore, new advanced products brought to markets now might turn out to be very successful in the long run. If companies decide to launch new products, they have to be sure that their products are not too close to each other in terms of features. Similarity causes the products to cannibalize each other. The financial market is turning cautious and more risk averse. The interest rates for start-ups are skyrocketing to two-digit figures. Companies are hit as soon as they run out of equity. ROUND 3 The adoption of PDAs is still accelerating in both market areas. Most analysts forecast that the stage of rapid growth is going to last for at least a couple of years, but later on the proportional growth will probably decrease. In addition, Asian growth figures are estimated to be constantly bigger than the European ones. PDA markets in Asia have undergone significant structural changes as low-end segments have gained a foothold in a relatively short period. What is more, it seems that the growth of low-end segments is mainly attributable to the areas associated with the lowest standard of living in the world. Companies are able to produce the same products they offered last year at a lower cost. This is partly due to economies of scale. In addition, lower costs are a result of knowledge improvements, i. e. as competence indices increase the earlier models can be produced more efficiently. Even though the low-end segments have become more and more important, companies cannot afford to cut R&D investments considerably. High-end segments are willing to pay more for innovative models and as a result they are going to be important especially in monetary terms in the future. The size of new PDAs is already very reasonable. Nowadays, the typical frontal area of a high-end device is largely covered by the display and further decreases in size will probably not be appreciated as much as previously. The components have also been pushed to very small sizes. As a result of rapidly growing PDA markets, the economies of scale factor has been decreasing the unit costs along with the increase in the technological know-how resulting from the R&D efforts. Interest rates remain at high levels. Therefore, interest payments might become a significant burden for highly leveraged companies. ROUND 4 As estimated in the previous period, the PDA markets in both continents continue to grow rapidly. Due to the vast population in Eastern Asia, the Asian households should grow to be the biggest segment even in global terms at the end of this period. However, the high price sensitivity of the segment will probably lead to low unit margins resulting in high growth at the expense of profit margins. Moreover, the high-end segments seem to be rather saturated and the increase in sales is about to stall to the level of repurchases. The differences in the Asian segments seem to continue to be larger than the differences in the European segments. This holds for all the preferences. What is more, the price sensitivities of the Asian segments are very different. As the number of models available in the markets has increased, the design has become a more important determinant of demand. This trend is prevailing in Europe. Comprehensive market research carried out in Europe revealed a challenging matter related to avant-garde design. High-end segments seem to appreciate avant-garde even more than before. However, some of the low-end customers reacted rather negatively to the design. Interest rates are at the same level as in the previous round. ROUND 5 As estimated, the growth of demand for PDAs has decelerated in both market areas. The deceleration of growth will turn into negative figures in high-end segments. However, the demand of low-end segments in both Europe and Asia might still grow at the rate of 100 %. As demand growth among all segments has been above 70 % in the recent years, these pessimistic scenarios bring about new challenges for the management in the future. Advertising seems to have a bigger effect on consumer segments than on corporate segments. The consumers’ response to advertising is approximately twice the response of the corporate segments according to the latest consumer research reports. Central banks all over the world have decreased their steering rates in order to lessen the severity of a threatening recession. As a result the interest rate level has decreased significantly. Moreover, the companies in the industry are now financially sound. The risk premium in the rates is decreasing. ROUND 6 The stage of rapid growth seems to be over in both Europe and Asia. Demand for PDAs is still growing globally but the growth rates are far from what they used to be. What is more, the long-term forecasts show that demand growth is going to slow down continuously as the markets mature further. However, the total size of both markets is rather large as a result of the rapid growth in previous years. Therefore, companies with satisfactory market shares should be able to earn nice profits. The high-end segments seem to appreciate functions, perhaps more than expected. Therefore, an extensive set of functions is required from the most popular models. As a result, the importance of functions is expected to grow gradually among low-end segments as well. However, the cost of adding functions is estimated to increase as the demand for them increases globally and the specific components become scarce. Interest rates continue to decrease. However, the difference between current and last round’s level is not very significant. Excluding the function-specific components (digital camera lenses, headsets, 3G-technology etc. ), the material costs should decrease as the most important manufacturers have managed to increase production capacity considerably. ROUND 7 The total demand for PDAs is still growing globally. The industry has clearly reached a stage of maturity and as a result, a significant growth in sales can only be achieved by increasing market share. Since typical devices are now characterized by large displays and advanced multimedia features, improving battery life and saving electricity consumption have become more challenging. The state of the world economy is rather unchanged and the interest rates are at the previous round’s level ROUND 8 Total Global growth rate is about the turn into negative figures, the competition for market share is expected to intensify. The number of products available has increased in both markets and as a result, the risk of similar products cannibalizing each other has become very real. Therefore, companies that manage to find new and innovative combinations of features might sell lots of devices at good prices. The most important piece of news of this period relates to the components. New double-core technology introduced by the two biggest manufacturers is going to revolutionize the processing speed, size and power usage of the devices in the near future. Therefore, investments in R&D are expected to produce new competences more efficiently than ever before. What is more, the new components are cheaper to manufacture and as a result, production costs are expected to remain at the current level for the next few years and to decrease after this. Economies in Asia are growing rapidly after the recent recession and thus, the interest rates might increase slightly. However, there are still many uncertainties in the world’s economy, for example, high unemployment in the EU and skyrocketing debt levels in the USA. ROUND 9 Despite the expected economic upturn, unemployment is still at high levels in most of the European countries. In addition, both consumer and business confidence indices have reached a decade low. Mostly as a result of these economic factors, the aggregate demand of PDAs in Europe is estimated to decrease for the first time in history. Households are the only segment that is associated with growth in demand. However, the price level has a large effect on the development and the realized demand might be somewhat different from these forecasts. In Asia on the other hand, the rapid economic growth continues and as a result, according to the analysts, the demand for PDAs continues to grow. The new generation of components has rapidly replaced the old ones. Companies are expected to launch several new models with advanced features. According to recent market information, the high-end segments in Asia are highly appreciative of the latest technology. The component prices have decreased earlier than expected. The development is going to be reflected in the unit costs already in this period. Interest rates continue to increase mostly because of the favorable economic development in Asia. ROUND 10 As the markets have matured and competition has become ever tougher, especially in Europe market demand for PDA’s has substantially decreased. This put an increased emphasis on marketing, features and price of the product. The overall appreciation of entertainment and good looks is still strong among households as is security for the corporations. According to market analysts, the weak European market development will most likely continue next year and now would be the time to consolidate one’s market position especially in Asia. Even though Asian market development was better than in Europe they too are expected to decrease more drastically next year. Analysts also predict a further reduction in sales next year due to the fact that second hand products are expected to come available in masses. As the broader market becomes more stable, mainly due to the strict interest rate policies of the largest central banks, and as the size of PDA market decreases material prices reach a new low. The decrease in material and manufacturing prices partly offsets the decrease in sales figures. Central banks fearing market overheating in Asia have yet increased their interest rates creating some financial trouble for the highly levered companies.

Friday, November 8, 2019

The humanitarian crisis in Kosovo

The humanitarian crisis in Kosovo Introduction The usage of force as a tool of humanitarian war has been a subject of contention in years since the First World War. Some schools of thought argue that it is not legally acceptable to use violence in trying to achieve particular humanitarian objectives. On the other hand, there are some scholars who believe that in some cases it is virtually impossible to solve humanitarian crises without the using forceful strategies.Advertising We will write a custom essay sample on The humanitarian crisis in Kosovo specifically for you for only $16.05 $11/page Learn More This essay seeks to illustrate that the usage of war in addressing humanitarian issues can be unjustified in some grounds while at the same time justifiable in other bases. To this end, a review of the Kosovo invasion by NATO shall be conducted to illustrate the extents to which forceful means were used in addressing the humanitarian crisis in the region. The research for this essay was base d on secondary data collection. Data was extracted from various journals, articles and books. The criteria of selection for the literature was relevance to the research topic and the year of publication. Both public and private libraries as well as online libraries were visited to access the data. Some of the online databases that were accessed include Ebsco, Questia, Emerald and Science Direct among others. This research was partly evidence based and partly founded on professional research by professionals in the field. Various articles were studied in order to provide background information which will essentially give credibility to the final essay. Information from the books will serve to provide explanation as regards to the NATO invasion of Kosovo. This was very vital information that made the research appeal to both professionals and the general public. For the latter, it required that some of the information obtained from the books and other publications be broken down into s imple language and at the same time illustrations drawn from data on the Kosovo invasion by NATO. Proper citation of the sources of information as well as the applicable UN conventions was also given proper concentration in the final presentation. Can use of Force be justified as a Humanitarian War? A humanitarian war is generally defined as the trans-boundary use of military force for the main purpose of protecting citizens undergoing abuse from their government, either directly, or by allowing and aiding extreme mistreatment (Heinze 8).Advertising Looking for essay on government? Let's see if we can help you! Get your first paper with 15% OFF Learn More The invasion of Kosovo by NATO military forces in 1999 is widely perceived by many as the almost perfect example of a humanitarian war given that it is the first war to have been declared on humanitarian grounds (Bacevich and Cohen 79). It is therefore the best war to analyze and investigate to find out if t he use of force can be justified as a humanitarian war. In March 1999, the forces of NATO under the command of General Wesley Clark of the US army started a bombing campaign against Serbia particularly targeting the region’s military forces with the aim of rescuing innocent civilians from a brutal campaign of ethnic cleansing (Badsey and Latawski 135). As much as the war was staged based on genuine humanitarian concerns, it is widely acknowledged that, as a legal matter, NATO indeed violated chapter seven of the UN Charter by using force without authorization from the UN Security Council (Segell 210). Article 2(4) of the UN Charter prohibits the use of force on humanitarian grounds although there are exceptions included in the Charter which allow for the employment of force. As noted by Malone (30), chapter seven of the Charter allows for force by any member of the UN in situations that threaten international security and peace. Article 51 also allows for the use of force if it is for the purpose of self-defense. NATO’s use of force did not satisfy any of the above conditions. This therefore implies that when the war is examined from a legal perspective, the use of force in the invasion was as a matter of principle, in breach of international law and therefore was unjustified (Wilson 49). The invasion was even criticized by China and Russia, though they lost the vote to stop the invasion (Rushefsky 142), and after the invasion, NATO was accused of falsifying genocide charges so it could find the excuse to engage in the war. Be that as it may, by examining the invasion from a moral perspective, the illegality of the war can be challenged. To determine whether the use of force was justified morally, one has to examine whether or not a humanitarian emergency existed before the intervention by NATO forces, and whether a humanitarian crisis would have taken place, perhaps over a number of years had the situation been left to continue without intervent ion. A close examination of the situation in Kosovo results in an affirmative answer for both considerations. This is so because tensions between the communities in Kosovo and Serbia were present for a lengthy time period in the 20th century and at times, these tensions culminated into wars (Totten and Parsons 441). Just before the invasion, the administration of President Milosevic was accused of carrying out cruel acts against innocent citizens (Ham and Medvedev 17).Advertising We will write a custom essay sample on The humanitarian crisis in Kosovo specifically for you for only $16.05 $11/page Learn More There were reports of mass killings and numerous refugees seeking solace from the oppression they were being subjected to by the Serbians and this clearly indicated a humanitarian emergency. At the rate at which the seriousness of the situation was escalating, had NATO had not intervened, there is high chance that many more in innocent civilians would ha ve ended up being refugees and at work been killed by the Serbs. This therefore leads to the conclusion that the invasion of Kosovo through the use of military force by NATO, though unjustified under international laws, was justified on moral grounds. Bacevich, Andrew and Cohen, Eliot. War over Kosovo: Politics and strategy in a global age. New York, NY: Columbia University Press, 2001. Badsey, Stephen and Latawski, Paul. Britain, NATO, and the lessons of the Balkan conflicts, 1991-1999. London, Taylor Francis, 2004. Ham, Peter and Medvedev, Sergei. Mapping European security after Kosovo. Manchester: Manchester University Press, 2002. Heinze, Eric. Waging humanitarian war: the ethics, law and politics of humanitarian intervention. New York, NY: SUNY Press, 2009. Malone, Linda. International Law. New York, NY: Aspen Publishers, 2008.Advertising Looking for essay on government? Let's see if we can help you! Get your first paper with 15% OFF Learn More Rushesfsky, Mark. Public policy in the United States: at the dawn of the twenty-first century. Armonk, NY: M.E. Sharpe, 2002. Segell, Glen. Disarming Iraq. London: Glen Segell Publishers, 2004. Totten, Samuel and Parsons, William. Century of genocide: critical essays and eyewitness accounts. London: Taylor Francis, 2008. Wilson, Stephanie. Effectiveness, Legitimacy, and the Use of Force in Modern Wars: The Relentless Battle for Hearts and Minds in NATOs War Over Kosovo. Berlin: VS Verlag, 2009.

Wednesday, November 6, 2019

Methodologies essays

Methodologies essays In order to fully understand and synthesize the current state of any culture, one must first seek to understand their past. It is the central tenet of history. We must gain an intellectual grasp of what has already been in order to understand what is and what is to come. However, this is not easy (or even possible) in all situations. The African continent before the 1500s, for instance, has few recorded documents. Therefore, historians must find other ways to understand the lives and values of the various regions of Africa before that time in order to fully understand the roots of Africa and its people as a whole. And while this is certainly no easy task, there are indeed various ways of doing so. To get a cross section of some of these methods, it may be beneficial to look at three in particular; oral tradition, secondary sources, and physical geology. Using these three methodologies as our guideline, we can further understand how history is gathered and garnered not only w ithout the help of written documents in early Africa, but throughout the world. Oral tradition is, at first glance, perhaps the methodology of the three that has the least scientific backing. After all, oral tradition is essential campfire stories that have been passed down from generation to generation, potentially getting organically changed and distorted with each retelling. However, as one may find, oral tradition is just as important to some societies as written works are to others. Everything vital to the proper workings of a society is transmitted by means of written documents in societies with writing and by means of tradition in oral societies. Far from being merely entertainment or folklore, tradition is vested with the essential mission of social reproduction. So we see that a cultures oral tradition may serve for it as a bridge from generation to generation, and therefore we, as historians, may ...

Sunday, November 3, 2019

Workers compensation Research Paper Example | Topics and Well Written Essays - 1750 words

Workers compensation - Research Paper Example The wordings alone â€Å"workers compensation† have a lot to showcase a reaction that is usually negative. The negativity in it is a challenge to all stakeholders involved in the system. Insurance is involved, and as understood, it is also a business entity. The company as well is another business entity. Furthermore, the worker wants to gain from the company. It is therefore an interesting situation on how all these stakeholders play part in achieving a balanced interest that would act for the benefit of all. Challenges cannot be ruled out since this is a society of politics, but all in all, the worker has to receive his fair share of compensation. Workers compensation is a program that protects workers who are injured while on duty. The program comprises of laws that are designed to ensure that employees who are injured or get disabled while working are compensated with fixed monetary awards. The laws also provide benefits to the dependents of those who get injured as a result of work related accidents. Compensation has been defined as the payment of damages with an aim of restoring the life of a plaintiff to its normal state or as close as possible. Therefore, it has to include cover for the payment of damages, payment for medical treatment, and loss of wages (Lencsis, 1998). Workers compensation revolves around the fact that the employer pays for all injuries to employees no matter the fault. As suggested by Wertz and Bryant, â€Å"this concept is based on the opinion that the society has a moral responsibility to care for workers injured at work and their families† (2000, p. 2). Before the introduction of the workers compensation plan, workers suffering from work related injuries could sue their employers through the courts of law. This procedure was time consuming and expensive. The employees could also easily loose the court cases since