Wednesday, October 30, 2019

English lit Essay Example | Topics and Well Written Essays - 1250 words

English lit - Essay Example inning to break down as common men were able to make fortunes in industry and landowners found it more and more difficult to keep the idyllic life they’d constructed alive. Women, too, were beginning to question their allotted place in society as more and more opportunities opened for them in the urban centers of the country, providing them with a means of supporting themselves and freeing themselves from the yoke of male domination. Wuthering Heights, written by Emily Bronte during this period, is a novel that deals with both class and gender. When Catherine says â€Å"I am Heathcliff† (101), she is making a claim about herself which challenges gender and class positions. Because of his birth status, in which Heathcliff is introduced as â€Å"a dirty, ragged, black-haired child; big enough both to walk and talk; †¦, yet, when it was set on its feet, it only stared round, and repeated over and over again some gibberish, that nobody could understand† (54-55), as well as his upbringing, in which Hindley â€Å"drove him [Heathcliff] from their company to the servants, deprived him of the instructions of the curate, and insisted that he should labour out of doors instead† (64), Heathcliff is seen as base-born as a person can get. He is both an orphan of unknown origin as well as an unlettered oaf untaught in the strict mannerisms of the gentleman class. His status is so low in the social structure that when Isabella determines she is infatuated with him, Edgar considers â€Å"leaving aside the degrad ation of an alliance with a nameless man, and the possible fact that his property, in default of heirs male, might pass into such a one’s power †¦Ã¢â‚¬  (120). By contrast, Catherine is born into an old family, with a highly respected name, making her automatically accepted in the high society of Gimmerton. She is given a decent education until the family, under Hindley, finally drives the curate away through sheer lack of manners and her five week experience in the

Monday, October 28, 2019

Just about every aspect of sport which we find exciting today was present at the chariot races of ancient Rome Essay Example for Free

Just about every aspect of sport which we find exciting today was present at the chariot races of ancient Rome Essay I agree with this statement to an extent, some aspects of chariot racing are similar to that of today’s modern sport. In Ancient Rome’s chariot races there were four teams, red, white, green and blue. Every roman would support a team, and stay loyal to it. These teams became the focus of support among spectators. The Romans were always very loyal to which ever team they supported. Fights would sometimes breakout due to the supporting of different teams. There are lots of aspects that made these chariot races exciting for the Romans. By supporting a team they could feel more involved. Competitors from the same team / stable might work together / pull stunts and gang up on other teams to gain popularity, make the race more exciting. This is just like nowadays, in football, rugby, cricket and many more of our modern day sports resemble the Romans approach to their teams and their support for them. Most men nowadays support a football team and stay loyal and supporting that team. Going to a football match is a really exciting experience, everyone supporting the same team will be feeling in a similar way, the atmosphere and feeling that you are all there together supporting your team, taking part is a very exciting experience and one that both us and the Romans share. The anxiety of waiting what’s going to happen, is he going to push him off the track? Is he going to die? The excitement when someone does a trick. Is he going to score? Will they be able to score in time? Will he get the penalty? Will he get sent off? It unified people of all sorts of social ranks, and encourages them to socialise just like we have nowadays. Betting also would have been and exciting experience for the Romans, just like us and any human being they were money driven. So the prospect of wining some money would have been a very exciting experience, they could have won a lot of money. Just like nowadays when we place a bet on a team or a horse to win a race / match, it then gets us more involved in the match / race, we want the person / team who we have backed up to win so we win money in return, so you get very excited when maybe your charioteer does a very clever stunt and nocks someone of the track / they are battling it out for first position you almost feel as if you are taking part in the race. The structural features of the circus maximus would have also made it exciting for the Romans the seating meant that they could integrate with women, which they would not get to do often, there are several sources explaining the excitement the men had in checking the women out. Nowadays that would not really affect our excitement on the sport as we are much more integrated through daily life than the Romans would have been. Therefore these don’t really increase the enjoyment of our sport nowadays. The ‘spina’ would have also made the race very exciting for the Romans, especially the ‘metea’ or turning posts, these would have tested even the best charioteers to their limits, when the charioteers reached the metea they would try and cut in as close as possible to the metea as possible, this could have resulted in a very bad injury or death very easily, if they wear pushed into the metea or turned to closely into the metea, as the charioteers approached the metea the crowd would start to cheer more especially when stunts and tricks were pulled on other charioteers. The Romans also enjoyed the egg markers and dolphin markers; these would have shown them at what lap they were in the race, obviously it would have been important for the Romans to have been able to keep track of how many laps the charioteers were on. Every time a marker went down / up this would have signified it being closer to the end of the race, I think this would have made it more exciting for them because it is that time aspect for them, when time is applied to something it often means pressure, whether it be they only have so long to score a goal or to knock their component of the track / make them win. With every lap it would have made it more exciting for the Romans, as there would be less and less charioteers each time and the race would be getting more violent / heated. Although nowadays although we do have score boards to help us to keep up score I would not say it adds that much to the excitement , only really the time aspect that they have so long left to score / win this game. In the chariot racing most of the competitors would have been slaves, and of a low social status, they would get sold to other teams and made to compete in races. In a way the charioteers had their own status within charioteering – they had dual status’ if they were good charioteers they would start from nothing a built their way up the charioteers rank, and become well known every time a charioteer won in a race they would receive a percentage of the winnings the rest would go to the stables, they would receive quite a high pay.. This is sort of similar to what we have nowadays for example a footballer might start from nothing and is all of a sudden he is launched into a high status / idolised. In a way the footballers are owned like a slave would be the club / manager owns them and they are sold onto other teams. Just like the charioteers they also receive very high pays. This aspect of charioteering / modern day sport would have made it exciting because you could get to see well known really good charioteers, maybe that you idolised; it’s just like nowadays meeting a really famous footballer like David beck ham something that an average person would find really exciting, because they are iconic figures that people look up to, and you want to see them perform. With chariot racing there is a real danger aspect it seemed the Romans would do anything to try and make their sport more dangerous and exciting, teaching the charioteers to bash into each other, the crowd would cheer loudly if someone was Have a battle with another charioteer / killed them, the Romans were very blood thirsty. The got thrills out of seeing people hurt and pushing each other close to the edge. Nowadays I don’t think we share the Romans passion quite so much for fighting and death/ blood, although for instance in motor racing when the cars are racing and perhaps giving each other nudges I think we do find it exciting we like to see how far we can push things, and if some one crashed and it was quite a big one every one would sort of be talking about it – did you see that crash? Without realising we get a sort of buss out of it. I think now looking closely and examining this statement I do agree with it , most of the points I have brung up are connected to chariot racing we share that thrill and excitement the same as the Romans do maybe we just don’t realise it as much / it is a bit more toned down.

Saturday, October 26, 2019

chaucer :: essays research papers

  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Geoffrey Chaucer   Ã‚  Ã‚  Ã‚  Ã‚  The greatest poet of the Middle English period was the son of a wealthy wine-merchant of powerful connections. As a boy he was a page to the Countess of Ulster, and later was employed as a valet in the Royal household. In 1359, serving with the English army in France, he was taken prisoner and King Edward III subscribed  £16 upon the payment of his ransom. Thereafter he spent many years in the service of his king. In 1372-3 he was sent to Genoa on a commercial mission; in 1374 he was appointed Comptroller of the Customs for the Port of London; in 1385 he was appointed Justice of the Peace for Kent; and in 1386 he was elected Member of Parliament. His last years were spent at Greenwich, where he died in 1400. He was the first poet to be buried in what is now known as Poet's Corner in Westminster Abbey.   Ã‚  Ã‚  Ã‚  Ã‚  Chaucer's public career must have greatly enriched his observation and his stock of ideas. In Italy, he found himself in the midst of the flourishing Renaissance. Thus, he developed into a pre-Renaissance writer addressing a medieval English audience.   Ã‚  Ã‚  Ã‚  Ã‚  His works are conventionally divided into three chronological groups; his French period (to 1372), his Italian period (1372-1385) and his English period (1385-1400). In his French period, he wrote The Book of the Duchess and translated a large fragment of Le Roman de la Rose,by Guillaumi de Lorris and Jean de Meung. In his Italian period, when Chaucer exhibits the influence of the great Italian writers, namely Boccaccio, he wrote The House of Fame, The Parliament of Fowls, Troilus and Criseyde and The Legend of Good Women.

Thursday, October 24, 2019

Grapes of Wrath Essay -- essays research papers

Because of the devastating disaster of the dust bowl, the Joad family was forced to leave their long-time home and find work and a new life elsewhere. They, like many other families, moved to California. "The land of milk and honey". The people in the dust bowl imagined California as a haven of jobs where they would have a nice little white house and as much fruit as they could eat. This dream was far from the reality the migrant farmers faced once in California. The dreams, hopes, and expectations the Joads had of California were crushed by the reality of the actual situation in this land of hate and prejudice. The Joads dream of owning a nice white house and being overwhelmed with fruit was quickly put to end after their first night in California. Ma says, "But I like to think how nice it's gonna be, maybe, in California. Never cold. An' fruite ever'place, an' people just bein' in the nicest places, little white houses in among the orange trees." They had been lied to by the handbills and other propaganda that was circulating in the dust bowl region. The growers in California knew that the people of the dust bowl would have to leave their houses because of the crisis. They also knew the more pickers they had the lower they could make their prices. The number of handbills sent out far out numbered the number of jobs available. Many people in the dust bowl were constructing a view of California that was devastatingly false. However most of the people had to go somewhere, and all they knew was agriculture, so the natural thing was to go to the only place in the country at that time that was in peak agricultural condition. This was all true in the case of the Joads. They had no experience with any other kind of lifestyle. They were farmers and they thought that was what they would remain. What they became was job hunters, starving and hungry people, and homeless vagrants. California was no dream land, but the exact opposite. A promised heaven that was revealed to be a very real hell. During the long journey to California the Joads, and other migrant travelers, encountered many warnings of what California was going to be like from migrants who were returning home, mostly destroyed by the true reality of California. They got a warning in the camp they stayed at on the side of the road while Tom, Al, and Casey were fixing the car. There was... ...t at the end of the tunnel because if they stayed where they were they would surely have not survived. The Joads couldn't stay where they were and without a goal to reach, something to look forward to, one just wanders around life aimlessly and hopelessly. They kept the dream alive throughout the journey. Even through the harsh rumors they heard along the road. They still kept that fragment of hope in the back of their heads that California would be everything they hoped it would be. Even in their worst times in California they would still look forward to earning enough money and getting a little white house to live in. Their lives really were destroyed when the dust bowl hit but no one can except those facts so they must tell themselves it will be all right. We will go to California and everything will be even better there than it was here. Unfortunately that wasn't the reality of the situation and the Joads were forced to deal with that harsh reality once in California and on t he hard long journey there. California was no dream land, but rather a sealed fate to a life of fighting for food and watching loved ones die. California was the pain of the migrants summed up in one word.

Wednesday, October 23, 2019

Modern Management 5_EX

The leadership behavior adopted by Toyoda was a more participative leadership, as suggestions were taken from the employees regarding business operations.   These employees were involved in making organizational decisions.   Toyoda gave more importance to each and every department in its China division.   The managers of each and every deprtmetn have to report to an executive vice-president who made decisions.   It was not necessary to wait for corporate approval from the Toyota headquarters. This was a more of a kind of bottom-up management strategy.   It was a very positive leadership style as the lower level management are making important decisions about the department.   Hence, the performance and the effectiveness would be higher.   Considering the power-based leadership style, as the lower level management makes important decisions about the department, it could be considered as a democratic leadership style.   There is a fee flow of communication and flow of ideas from the lower level management.   The lower level management also participates in making important decisions. Inaba realized that the Toyota’s US unit was not making enough profit.   He felt that a bottom-up kind of decision making was required.   He then released profit and expense information to the sales personnel so that they could understand their financial performance better.   In order to make greater profits, the manager gave price cuts to the rental companies. This improved the sales of the company.   According to the Tannenbaum and Schmidt Leadership Continuum, the decision-making process was given greater freedom by the company and hence was subordinate-centered leadership.   The manager was gave the subordinates the problem asked them ways of solving the problem and providing certain boundaries within which the decision could be made. Gravis changed his organizational structure to suit the leadership style.   He began to shift the mangers and other staff to more appropriate situations.   He adopted a more task structure kind of leadership style, in which the objectives, the work to be performed and certain situational factors, are marked. Starbuck give a lot of importance to the employee values and beliefs which in turn give rise to attitudes.   Attitudes in turn give rise to behavior.   Starbuck is known for its employee who provides a comfortable atmosphere at their coffee shops.   The company adopts a very aggressive business policy of combining with local firms that do understand the local environment or market, and trains their manager in the company headquarters for about three months.   If he suspects that the managers do not posses the right values and beliefs, he would not collaborate with them. Herman Uscategui overheard one of the managers of a local firm make an uncomfortable racial remark.   He soon decided against working with that firm as he felt that the managers did not have an appropriate belief or values that could create a suitable attitude.   In turn the behavior of the managers would not be suitable for Starbuck to achieve its objectives. The Starbuck administration is trying to create a positive attitude and behavior of its employees by generating appropriate values and beliefs in its employees.   The company gives a lot of importance to values and beliefs.   It adopts good measures to protect the environment, conserve energy and recycle material.   It supports an internal fund to help the employees that are in need.   The employees can also provide feedback about certain management decisions.   They can also provide more information of any employee action that would be in conflict with values of the company. Reference: Cresto, S. C. and Cresto, S. T. (2006). Chapter 5: Influencing, Modern Management, (10th ed), New Jersey: Upper Saddle River, pp. 299-322.         

Tuesday, October 22, 2019

Abstract for Literature review based on Dentists Knowledge of Ionising Radiation dental radiography. The WritePass Journal

Abstract for Literature review based on Dentists Knowledge of Ionising Radiation dental radiography. Abstract for literature review Abstract for Literature review based on Dentists Knowledge of Ionising Radiation dental radiography. ). More importantly, only a handful of studies have attempted to unveil the facts and current state of knowledge and awareness associated with detrimental effects of ionising radiation in Australian and Jordanian dentists. This study, through questionnaires and interviews, examined the dentists that are giving services in Australia and Jordan and assessed their knowledge of such effects that are linked with ionising radiations. The study was carried through intense literature review was carried out to collect the current background in the subject area and the findings of these studies were critically reviewed. Focus of the literature review was based upon the different factors, such as the complications of ionising radiation, complications in different age group people, preventive measures and the current state of knowledge in the dentists all around the globe. Praveen, et.al (2013) suggests that radiation in dentistry is mainly used for diagnostic purposes and in a dental set-up usually the practicing dentist exposes, processes and interprets the radiograph. Although the exposure to such radiation is kept as very less, it is essential to reduce the exposure to the minimum to the dental personnel and patients in order avoid the carcinogenic and organ damaging effects that can be produced by it.. Several radiation protection measures have been advocated to ameliorate these effects. Dose dependent radiation exposure was identified as a one of the key measures in limiting the use of ionising radiation. As suggested by White and Mallya (2012), wise selection of patients to treat with ionising radiation and implement patient-specific reason, which ensures greater benefits than the harms are the two easiest ways to tackle with the risks associated with ionising radiation. However, Ayatollahi et.al (2012) suggests that this practice is not adequately implemented in majority of the dental clinics. Secondly, the review identified children as most susceptible to radiation exposure. Preventive measures such as use of special radiation protection equipments and dose dependent exposure were suggested to be central in minimising the effects of ionising radiation in children in dental clinics. Moreover, it was suggested that knowledge of such risks in dentists can make a significant contribution in the improvement of safe dental practice, ensuring adequate safeguards of both patients and dentists. The literature came up with a conclusion that up to date and evidenced based knowledge is still lacking in dentist regarding the risks of radiation hazard. This will need re-educating and re-training the dentists, make them aware of ionising radiation risks, and make them able to answer any queries from patients about the risks of ionising radiations (Praveen, et.al. 2013). As part of the clinical practice, all dentists are required to undertake radiography as part of the clinical practice in which dentists and members of the dental team, must understand the basic principles of radiation physics, hazards and protection, and should be able to undertake dental radiography safely with the production of high quality, diagnostic images (Rout and Brown, 2012). Although the grey area that was identified was that, dentists are poorly informed on how to use medical imaging tools safely and efficiently. Furthermore, they are found to underestimate the radiation risk and their devastating effec ts in patients’ long term health. In addition, some of the studies revealed that despite some knowledge on the harmful effects of ionising radiation in patients, as well as in their own health, the knowledge of patient’s protection including the exposure distance and prevention of radiation leakage, protection of personnel, i.e. the occupational risk hazards of ionising radiation, dentists were reluctant to employ these safety measures in day to day practice (Rout and Brown, 2012)). Considering the context of this study, no research has evaluated Australian and Jordanian dentists’ knowledge on the risks associated with ionising radiation in the dental clinics; suggesting the importance and need to carry out this study. This puts patients of different age groups in significant risk of developing pathological conditions that are induced by the exposure to ionising radiation. Thus, designing a training module to teach dentists about radiation safety and risk is mandatory for safe dental health practice. This study provides insights into developing new strategies, policies and practices to minimise or even avoid such risks in the future. References Gray, C.F. 2010, Practice-based cone-beam computed tomography: a review,  Primary dental care : journal of the Faculty of General Dental Practitioners (UK),  vol. 17, no. 4, pp. 161-167. Lalla, R.V., Saunders, D.P. Peterson, D.E. 2014, Chemotherapy or radiation-induced oral mucositis,  Dental clinics of North America,  vol. 58, no. 2, pp. 341-349. Metsala, E., Henner, A. Ekholm, M. 2013, Quality assurance in digital dental imaging: a systematic review,  Acta Odontologica Scandinavica,  . Praveen, B.N., Shubhasini, A.R., Bhanushree, R., Sumsum, P.S. Sushma, C.N. 2013, Radiation in dental practice: awareness, protection and recommendations,  The journal of contemporary dental practice,  vol. 14, no. 1, pp. 143-148. Rout, J. Brown, J. 2012, Ionizing radiation regulations and the dental practitioner: 1. The nature of ionizing radiation and its use in dentistry,  Dental update,  vol. 39, no. 3, pp. 191-2, 195-8, 201-3. Verma, S.K., Maheshwari, S., Singh, R.K. Chaudhari, P.K. 2012, Laser in dentistry: An innovative tool in modern dental practice,  National journal of maxillofacial surgery,  vol. 3, no. 2, pp. 124-132. White, S.C. Mallya, S.M. 2012, Update on the biological effects of ionizing radiation, relative dose factors and radiation hygiene,  Australian Dental Journal,  vol. 57 Suppl 1, pp. 2-8.

Monday, October 21, 2019

War and Violence Throughout History essays

War and Violence Throughout History essays Throughout this course, there were many eras as well as events that were dissected and examined, resulting in great findings of the history of the world. One specific theme that seemed to be recurrent in many events and time periods is that of war and violence. This was seen through the effects of WWI, Adolf Hitler's reign over Germany, and the use of the atomic bomb by the U.S. against Japan. It may be observed then, that change was brought about as a result of war and violence, but in both positive and negative ways. When looking at WWI, it was falsely perceived that this would be a short war, giving the countries involved grief instead of victory by the end. One negative aspect as a result of the war is that there was financial debt throughout Europe due to warfare needs, which in turn, caused them to borrow money. While the countries were wasting away their money, as well as the borrowed money, on firearms and war provisions to prove they were the better country, in the long run, they were putting themselves in financial debt that would take years to pay off. There were some positive outcomes as a result of the war, one being the change in women's roles. During the war, women were forced to come in and take over the roles of the men while they were off fighting. When the war ended and the men returned, women were seen as more equal because it was recognized that they were able to sustain everyday life without the men. This included taking over their jobs, as well as helping out with nursing i n the war, and maintaining the war industry. Finally, one change that was important and resulted from the war had both a positive and negative effect, this being the shift of the West's wealth from Europe to the U.S and Asia. After the war, the countries involved were preoccupied with repairing their countries, so the U.S. and some countries in Asia saw this as an opportunity to benefit their own countries economically. Therefore, as a resu...

Sunday, October 20, 2019

Salem witch trails Essay

Salem witch trails Essay Salem witch trails Essay David Saldivar Dr. Michael Faubion History 2313.01 05 November 2014 Salem Witch Trials Essay Throughout history various events have struck the foundation of humanity in many ways. One such event know as The Salem Witch Trials, had many people in various communities in turmoil. It started in 1692, in a small village named Salem, were residents were experiencing bizarre symptoms that no physician could medically explain at the time. Since most of the early settlers were religious folk and believed that any misfortunes in the village could be attributed to the work of the devil, they had come to a conclusion that witchcraft had stricken Salem. Many of the cases in Salem were merely false accusations, but almost all had resulted in various examinations and in many cases individuals were put to death. Although Salem was not the first settlement to showcase witchcraft one record states that the children of John Goodwin in Boston were plagued by unknown causes. The children all had the same pains in the exact spot at the same time, and had several fits that could not be explained. Cotton Mather stated â€Å"Skilful physicians were consulted for their help, and particularly our worthy and prudent friend Dr. Thomas Oakes, who found himself so affronted [non-plussed] by the distempers of the children, that he concluded nothing but an hellish witchcraft could be the original [origin] of these maladies.†1 Mr. Goodwin had accused a woman by the name of Glover, he had no real evidence she was the cause of his children’s fits, but was taken into custody on the account of how wretched she looked. They took her into custody and questioned her, she did not deny the interest of enchanting the children and had a suspicious behavior while apprehended. They concluded she was the cau se of the children’s mishaps and was sentenced to death. One early case in Salem, was the daughter and niece of Mr. Samuel Parris who were the first to experience unnatural behavior. These children were bitten and pinched by invisible agents; their arms, neck, and backs turned his way and that way, and returned back again, so as it was impossible for them to do of themselves, and beyond the power of any epileptic fits, or natural disease to effect.2During the fits of the children they would cry out the name of their servant Tituba, and therefore accused her of bewitching them. Tituba had confessed to taking urine of the afflicted person and using it to make a cake.

Saturday, October 19, 2019

The feminist media in middle est Essay Example | Topics and Well Written Essays - 2500 words

The feminist media in middle est - Essay Example I. A Brief History of Media in the Middle East and the Origins of the Female Presence From a historical standpoint though, Middle Eastern media dates back to the early 1800s. During the times of the Ottoman Empire and Qajar Iran to name but a few, media in official and private arenas began to take shape (Fortna, 97). Although Middle Eastern media at this time was largely financed by subscription and advertisements, it became a popular tool in the transmission and dissemination of cultural/technical works – largely aided by the newly imported printing technologies from European nations (Fortna, 97). However, it wasn’t until the early 20th century when media became a professional occupation, that the power of media (writing, journalism, and illustrations) was fully harnessed. By 1925, print and roving journalists had begun creating teams, to comment on the popular media of the day – radio and cinema (Fortna, 97). Regarding the first notable female presence in Middl e Eastern media, it appears that this is not well documented and varies greatly depending on the type of media. For example, since the inception of Aziza Amir’s first Arabic feature length film in 1927, females have been permitted to make and direct films (Skilli, 48). Filmmaking has offered women (feminist or otherwise) to encapsulate the complexities of female realities and offer a somewhat covert challenge to the dominant view of the female role – for example, Abnoudi’s 1971 file (Horse of Mud), encouraged Middle Eastern people to consider the impact of gender roles and socioeconomic class on the daily lives of Middle Eastern women (Skilli, 48). Critical feminist films that overtly challenge the dominant order are still subject to censorship in the Middle East to this day. For example, when Tahmineh Milani’s feminist film, roughly translated as the â€Å"Hidden Half† was introduced to the public in 2001, she was both arrested and then interrogat ed (Skilli, 49). Women did not become notable in the establishment of publishing houses until the 1980s, when Iranian feminist Shahla Lahiji became the first publishing house owner. Following this, several other women were able to establish publishing houses, and put women’s issues in the public arena for the first time (Skalli, 45). Females did not appear in contemporary journalism in the Middle East until the 1980s – and faced dual threats: from religious quarters and from censorship of the semi-military government when publishing materials that aimed to discuss women’s rights, women’s issues, or any other topic that threatened the prevailing order (Skalli, 41). Sakh (2004) argues that even when women were/are afforded the necessary freedom to participate in mass media outlets in the Middle East, there is no guarantee that they support feminist causes, or aim to promote discussion of issues relevant to women (Sakr, 8). In fact, female illiteracy is a ma jor Middle Eastern issue, which serves to promote compliance with the dominant system, preempt challenges to it, and keep women in a subordinate position (Sakr, 8; Skalli, 41). Regarding female appearance on television, much progress has been made in the past 30 years. Notably, Jordon’s most prominent female reporter, Rana Husseini, and Algerian reporter Horia Saihi, have constructed stories on the female experience of war

Friday, October 18, 2019

[compare and contrast] OUTLINE Essay Example | Topics and Well Written Essays - 250 words

[compare and contrast] OUTLINE - Essay Example A. From September 29, 2000 to the present, a total of 124 Israeli children were killed in the conflict while 1,463 Palestinian kids died during the same period. This translated to the unfavorable ratio of about 12 Palestinian kids killed for every dead Israeli child (11.8:1). This figure illustrates how unbalanced the conflict is between these two peoples. B. For the same period, some 1,084 Israeli adults died but on the other hand, at least approximately 6,430 adult Palestinians were killed in this conflict. This figure translates to an unfavorable ratio of six Palestinians killed for every Israeli adult who died (5.93:1). It means a war that is unequal in terms of casualties (figures can be higher as not all are accounted for). D. The state of Israel received almost US$3 billion in military aid from the U.S. in the 2011 fiscal year (about US$8.2 million per day!) while Palestine got nothing whatsoever, as in zero, nada, nil or zilch. It is money better spent in America for education and jobs generation. E. There are no Israeli citizens held as prisoners in any Palestinian jails while there are 5,300 Palestinians detained by Israeli authorities for various offenses such as those in prison as political detainees. There might be some Israeli POWS (prisoners of war) held as captured during combat but this is negligible compared to the sheer number of Palestinian civilians that are in Israeli jails without proper charges filed against them and are being held indefinitely. F. No Israeli home has ever been demolished or destroyed by Palestinian authorities while some 24,813 Palestinian houses were ordered demolished by Israeli housing authorities. Israel continues its housing expansion activities in so-called new settlements despite protests. G. The official Israeli unemployment rate is at a manageable 6.4% while Palestinians suffer a 16.5% unemployment rate in the West Bank and worse in Gaza

Early Civilizations Essay Example | Topics and Well Written Essays - 750 words

Early Civilizations - Essay Example The example of China and Mesopotamia vividly portray that geographical location and climate in different parts of the world 'caused' similar traditions, economic, social and political development. Geographical location and environment determined the nature of both societies and their activities. In China (during the Shang and Han Dynasties) and Mesopotamia (Sumerian period) agriculture was the main activity and the core of economy. This issue remained a central one in both civilizations: for some, it remained crucial to the maintenance of an 'enduring' national home: and for others, it represented a fundamental obstacle to the creation of more accommodating and cosmopolitan cultural order. China and the Mesopotamia had similar climate and soil conditions, but lacked water resources and irrigation systems. Irrigation was also associated with urbanization, which, in its turn, led to development of crafts and trade (Ebrey 34). Both civilizations developed unique rural culture and values, traditions and art based on the cults of Sun and farming. For instance, the remarkable features of the Shang Dynasty (began about 1600 BC- 1046 BC) and the Sumerian period (5th to 3rd millennia BC), were cultural identity, self-centeredness, unique philosophy and literary traditions explained by the fact that both civilizations were separated from the rest of the world. The civilizations competed effectively against the culture and values of outside world as an organizing principle in the unique identity. During the Han Dynasty and the Hammurabi period, both civilizations culturally and mythically were also deeply centered (Oppenheim and Reiner 34). The historical continuities which composed the culture of the Han Dynasty were pronounced, especially compared to their European states. Not only has the Han Dynasty (within its own borders) largely escaped the worst catastrophes of modernity, at the same time relations between the Asian nations and the overarching state have been relatively stable. Similar processes were typical for the Hammurabi period (Ebrey 27; (Oppenheim and Reiner 38). It is possible to say that environment influenced the development of similar laws and regulations accepted by these civilizations (the Code of Hammurabi and the Code of the Han dynasty which gained the recognition of Confucianism). During the Hammurabi period and the Han Dynasty these civilization expanded their geographical territories with military campaigns. The Han Dynasty established the Silk Road while Hammurabi established trade relations with neighboring states. Environment influenced the quality of life and city developments, architecture and art; they built sophisticated buildings and established written forms of communication (Oppenheim and Reiner 39). In China and the Mesopotamia people had similar views about the world and nature, state organization and philosophy. As the most important, a religion had a highly complex subject which had an impact on culture in three different ways: socialization, influences which shape behavior in a particular social setting and individu al orientations to life (Ebrey 87). In sum, environment had a crucial impact on the development of early civilizations and caused the development of similar economic activities and world views. Unique views and art were nothing more than a response to the environment and climate. Religion played an important role in lives of

Thursday, October 17, 2019

Summary of two articles Essay Example | Topics and Well Written Essays - 750 words

Summary of two articles - Essay Example The authors note the fact that what has in fact happened under the modern construct of cultural development is a mass standardization. Whereas before no unifying cultural interpretation existed, a false construct has been born out of this void and integrates with the individual on nearly every level of daily life. Moreover, this â€Å"false† form of culture, as the authors describes it, was originally born out of the supposed needs of the consumer (Horkheimer 1972). Such a process in and of itself is not inherently bad; however, the fact of the matter was that in order for the â€Å"needs† of the consumer to be met, a type of stereotypicalization and least common denominator had to be found. It is this process of the false culture seeking to find the least common denominator that the author’s claim is the greatest single reason why our current cultural interpretation is so misinformed, warped, and non-indicative of what would otherwise likely naturally exist in i ts place. The second article which will herein be reviewed is entitled, â€Å"Cultural Consumption as Manipulation†. This article deals with the more sinister ways in which the false ideas of culture that continue to be manifest to the individual are in fact highly developed tools which can affect a number of ulterior goals upon the consumer. As has been noted in the analysis, governments and corporations can both make ample use of culture as a platform to affect the given needs that they feel would best benefit their own particular interests in a given matter. As a means of discussing such a research interest, the authors break the ultimate question down into an analysis of both contemporary and past cultural historians and the means by which they have understood the unique paradigm that has grown and currently manifests itself within the global system of cultural interpretation. By analyzing both past representations as well as current realities of cultural conveyance, the authors seek to draw a level of inference upon the way that individuals embrace, identify with, and ultimately create a false reality within the constructs of the cultural material they are being fed on a daily basis. In short, what the authors present is something of a self fulfilling prophecy that takes place regardless of the particular cultural paradigm that is being studied. For instance, if one is met with the understanding and eventuality that what they are seeing, hearing, and otherwise experiencing is in fact a type of cultural reality, they are all the more likely to reflect this understanding back to the media and to the culture by closely mirroring the behavior that has been learned. In this way types of socio-cultural and psychological factors of mimicry and mirroring of what has been integrated into the mind of the collective consciousness is in fact what drives the interpretation and derivation of culture within the context of the given article’s point of view. Although this view is perhaps more cynical of the two articles that have been reviewed within this short analysis, the fact of the matter is that there is no clear divorce between culture, perception, and its exhibition within reality. Although the method by which this information is presented to the reader is disquieting, due in large part to the fact that the reader beings to see and understand the level of mirroring that takes place within the current system and within his/her

What Is Discrimination Literature review Example | Topics and Well Written Essays - 1250 words

What Is Discrimination - Literature review Example A racial group means a group of people defined by their race, color, and nationality (including citizenship) ethnic or national origins. Victimization means treating someone less favorably because they have made a complaint of discrimination (a "protected act"), or are thought to have done so; or because they have supported someone else who has made a complaint of discrimination. Vivid legal responsibility is the legal basis whereby an organization may become legally liable for the acts of its employees or agents. This can apply even where the institution had no knowledge of the acts and where, if it had been aware, it would disapprove or have disapproved of the acts in question. (Andrew, 1995) Direct discrimination is when a person is treated less favorably by another in a comparable situation. For example, A40-year-old woman applies for a job and is told she cannot have the job because the company is looking for new employees in their 20s. An African couple is looking for a school for their child and is told by their local school that the child cannot go to that school because there are no non-white children there. A man applies for a job and does not get it and is told that the company does not want gay people working there. (Andrew, 1995) The west of the city is mainly occupied by black people. This means that proportionately more non-black people will be applying for the job. A facility is "open to everyone", but it is on the third floor and there is no lift. This means that people in wheelchairs cannot use the facility. A company insists that people cannot leave their desks during the day apart from toilet breaks and lunch. This means that practicing Muslims cannot work there since they cannot pray at the appointed times.(Ibid, 1995) Indirect discrimination occurs where the effect of certain requirements, conditions or practices imposed by an employer or education provider has an adverse impact disproportionately on one group or other. Indirect discrimination can also occur when a rule or condition, which is applied equally to everyone, can be met by a considerably smaller proportion of people from a particular group, the rule is to their disadvantage, and it cannot be justified on other grounds. (Alf, 1958) Â  

Wednesday, October 16, 2019

Summary of two articles Essay Example | Topics and Well Written Essays - 750 words

Summary of two articles - Essay Example The authors note the fact that what has in fact happened under the modern construct of cultural development is a mass standardization. Whereas before no unifying cultural interpretation existed, a false construct has been born out of this void and integrates with the individual on nearly every level of daily life. Moreover, this â€Å"false† form of culture, as the authors describes it, was originally born out of the supposed needs of the consumer (Horkheimer 1972). Such a process in and of itself is not inherently bad; however, the fact of the matter was that in order for the â€Å"needs† of the consumer to be met, a type of stereotypicalization and least common denominator had to be found. It is this process of the false culture seeking to find the least common denominator that the author’s claim is the greatest single reason why our current cultural interpretation is so misinformed, warped, and non-indicative of what would otherwise likely naturally exist in i ts place. The second article which will herein be reviewed is entitled, â€Å"Cultural Consumption as Manipulation†. This article deals with the more sinister ways in which the false ideas of culture that continue to be manifest to the individual are in fact highly developed tools which can affect a number of ulterior goals upon the consumer. As has been noted in the analysis, governments and corporations can both make ample use of culture as a platform to affect the given needs that they feel would best benefit their own particular interests in a given matter. As a means of discussing such a research interest, the authors break the ultimate question down into an analysis of both contemporary and past cultural historians and the means by which they have understood the unique paradigm that has grown and currently manifests itself within the global system of cultural interpretation. By analyzing both past representations as well as current realities of cultural conveyance, the authors seek to draw a level of inference upon the way that individuals embrace, identify with, and ultimately create a false reality within the constructs of the cultural material they are being fed on a daily basis. In short, what the authors present is something of a self fulfilling prophecy that takes place regardless of the particular cultural paradigm that is being studied. For instance, if one is met with the understanding and eventuality that what they are seeing, hearing, and otherwise experiencing is in fact a type of cultural reality, they are all the more likely to reflect this understanding back to the media and to the culture by closely mirroring the behavior that has been learned. In this way types of socio-cultural and psychological factors of mimicry and mirroring of what has been integrated into the mind of the collective consciousness is in fact what drives the interpretation and derivation of culture within the context of the given article’s point of view. Although this view is perhaps more cynical of the two articles that have been reviewed within this short analysis, the fact of the matter is that there is no clear divorce between culture, perception, and its exhibition within reality. Although the method by which this information is presented to the reader is disquieting, due in large part to the fact that the reader beings to see and understand the level of mirroring that takes place within the current system and within his/her

Tuesday, October 15, 2019

Gold buying trends and investment in saudi arabia Research Paper

Gold buying trends and investment in saudi arabia - Research Paper Example These conditions illustrate market failure since the investors are not aware of the possible opportunities (Trivedi & Behera 2012). Real estate investment is the most preferred option among the Saudi Arabian investors in comparison to gold (Smith 2011). Such occurs since the interest rates are low, the environment has a higher liquidity, there is a population increase and the demand for housing is high (Kelly 2011). Moreover, the government does not have adequate housing projects, which indicates why investors venture on this opportunity of real estate investment. On the other hand, women depict a viable market for the gold since they create a strong demand for the commodity. Women need gold for gifts and jewelry they represent during ceremonies (Rivlin 2009). However, sudden increase in the price of gold makes women not to buy jewelry and focus on other alternative commodities. Nevertheless, it is anticipated that as the population increases, the demand for gold will increase. Since ancient civilization in the Hejaz area, Jeddah creates a unique gold market (Karunagaran 2013). This is because Jeddah has a sea port and acts as a main gate to al medina and Makah, which makes it a strategic market for gold on annual basis during the hosting of the pilgrims. Saudi Arabian Investors are also oriented on economic activities, which are related to mineral fuels. Such occurs since the country is involved with the exportation of mineral fuels (Middle East Monitor: Gulf 2014). Other investors focus on foreign direct and indirect investments because they regard such investments as lucrative in terms of the returns on their investments and earnings on profits. Their major focus of foreign investments is in the United Kingdom, Japan, United States, Germany, France and Switzerland (Erb & Harvey 2013). Investors favor other alternative investments instead of gold because they consider such investments to have low risks in comparison to gold trade investment.

Textron Case Essay Example for Free

Textron Case Essay 1) How does Textron make money? Textron is able to make money as a result of 4 defining aspects of its business model: a. Textron is a conglomerate: by purchasing a variety of companies, Textron is able to share technology between its business units thus increasing its competitive advantage in these respective units. For instance, lessons learned in aerodynamics at Bell Helicopters can be used in the construction of aircraft at Cessna. Additionally, because of Textrons size, it increases its buyer power and can take advantage of economies of scale when purchasing from the common suppliers across business units. b. Diversification: Textron has purchased a variety of companies that complement one another such as different target markets (regular consumers vs. government consumers) and both high and low priced products (ex: hardware tools vs. private jets). Thus, like a well diversified stock portfolio, Textron is able to hedge its exposure to risk between its various business units (if one industry performs poorly one year, another industry may fair better). c. Vertically integrated: in Textrons history it developed a vertically integrated company that controlled every operational aspect of the business from raw goods to processing to distribution. Thus, it has been able to control the costs of many aspects of its business d. Finance business unit: Additional revenue is generated through the earned interest from customers who purchase credit from Textron in order to purchase Textron products. This revenue stream keeps customers in the Textron environment instead of losing customers to other credit-granting financial institutions. This Textron environment also: * Creates a one-stop-shop that can increases Textrons stickiness to its customers (also increase customer retention), which may lead to longer and stronger customer relationships. * Creates flexibility since Textron can offer more favourable interest rates than other financial institutions to promote more Textron sales 2) Assessment of Textrons: Assessment of Exhibit 1: Textron is investing heavily in assets that are not producing the sales or profits required to sustain its growth. Hence, its only choice is to finance its growth, which increases its debt and risk of bankruptcy. Textron needs to improve its asset management by increasing the output of its assets (such as PPE), changing its assets or improving its days inventory. Textron can increase the outputs of its assets by training staff to use equipment and tools more effectively or upgrade equipment and tools that can increase productivity. Textron can decrease its days inventory by improving its sales forecasting in order to produce only enough units that are demanded by the market. 3) Assessment of Textrons Cash Flow: Analysis of Cash Flow Statements 2004-2006 (in millions): * Under CFO * Net income nearly tripled from 2005 (203) to 2006 (601) * Under CFI * Net cash used in acquisitions increased significantly from 2005 (28) to 2006 (502) * Under CFI the Net Cash Used in Investing Activities of Continuing Operations has more than doubled from 2004 (800) to 2006 (2062) however, under CFO, the Net Cash Provided by Operating Activities of Continuing Operations has not doubled nor has it grown significantly from 2004 (949) to 2006 (1017). * Under CFF * In 2004 the Net Cash Provided by Operating Activities (Net CFO) is 950 and the Net Cash used in Investing Activities (Net CFI) 818. Therefore Textron generated enough cash to finance its investment activity (950-818 = 135). By contrast, in 2005 and 2006, Textron has had to use debt to finance its investments since in 2005 the Net CFO is 1036 million and Net CFI 1195 million (delta = -159) and in 2006 the Net CFO is 969 but the CFI is 1409 (delta = -440). By increasing the amount of debt, Textron increases its risk of going bankrupt in the future should the company not be able to meet its debt obligations. * Final Assessment of Cash Flow Statement: It seems that Textron is making a good amount of cash through its operations but this cash is not enough to feed its investment activities. Even worse, the increased investment has had little impact in increasing cash inflow. * Assessment of Exhibit 2: All of the above ratios are point towards poor cash flow management except Current Ratio. Thus Textrons favourable Current Ratio can be interpreted as Textron has the ability to pay off its liabilities only if it sells its large inventory (indicated by its large Days Inventory value). 4) Textrons use of LIFO and FIFO: e. Textrons income before taxes in 2006 using FIFO * Under current method: * The beginning inventory of 2006+purchase -COGS=the ending inventory of 2006 * 1,712 + purchase 8,528 = 2,069(in millions) let this calculation be called A

Monday, October 14, 2019

Facial Trauma Among Patients With Head Injuries

Facial Trauma Among Patients With Head Injuries Facial Trauma among patients with head injuries Dr. Shazia Yasir*, Dr. Faisal Moin, Dr. Muneer Sadiq ABSTRACT Introduction: Facial trauma is without a doubt a most challenging area for any emergency physician. Despite many researches and advances in the understanding of multiple techniques; initial assessment and management of facial injuries in emergency and early stages remained a complex area for patient care. Objective: The purpose of this study is to determine the prevalence of facial trauma among patients with head injuries that may help emergency department physicians to deliver accurate and quick diagnosis and decision. Trauma to this region is often associated with mortality and morbidity and varying degree of physical and functional damage. Study Design: Prospective Cross-sectional Descriptive Study. Place and Duration of Study: Department of Emergency Medicine, Ziauddin University Hospital, Karachi from four months from Feb 2014 to May 2014. Methodology: This study was conducted at Ziauddin university hospital emergence medicine department. It is a prospective cross sectional descriptive hospital based study. 115 patients who were diagnosed of having head injuries were included in this study. Information on age, sex and cause of injury was taken for each case. Each patient was then examined for the presence of facial trauma using the CT 3D face. Data was analyzed using the SPSS program. Result: Out of 115 patients, 85 (74%) were males and 30 (26%) were females. A total of 59 (51%) patients were between 15 – 30 years of age; 26 (23%) were aged between 31 – 50; and 30 (26%) were above 51 years of age. 76% patients had facial trauma where head injuries were evident. 63% female and 80% male had facial trauma where head injuries were found in patients. Out of these 115 patients majority were involved in road traffic accidents and are from the age group 15 – 30 and predominantly male. Conclusion: Based on the study conducted; it is safe to conclude that patients who have facial trauma associate with head injuries are young males and is mainly caused by road traffic accident. The result might vary by governmental, culture or social differences. Key words: Facial Trauma; Head Injuries; emergency department _____________________________________________________________________________________________ INTRODUCTION Trauma is a type of injury where external force is being applied suddenly and violently at the body which causes a serious injury [1]. A head injury in human body is any trauma that can cause injury of scalps, brain or skull. The injury could be a minor bruise or serious injury on the head and brain injury [2]. Some injuries can result in prolonged or unrecoverable brain damage. The injury can cause bleeding inside the brain or forces that damages the brain directly. The most common cause of head injuries are road traffic accidents, fall, physical assault or others. These accidents can occur at home, work, outdoors, sports or many other places. Head injuries are commonly associated with facial trauma; often result from high energy blunt force injury to facial skeleton. Typical mechanisms of trauma include motor vehicle accidents, altercation and fall [3]. - PG Emergency Medicine, Department of Emergency Medicine, Ziauddin University Hospital, North Campus, Karachi * Correspondence Email: [emailprotected] The face is vital to human appearance and function. Facial injuries can impair a patients ability to eat, speak, interact with others, and perform other important functions. Facial injuries may be caused by a direct blow, penetrating injury, or fall. Pain may be sudden and severe. Bruising and swelling may develop soon after the injury [11]. METHODOLOGY This study was carried out at the department of emergency medicine, Ziauddin University Hospital, Karachi, Pakistan. Patients of either gender with more than 15 years of age presenting to Ziauddin Hospital Karachi who were diagnosed of having head injuries were selected. Patients who gave the history of previous head trauma were not included in this study, this aimed at avoiding some ambiguity during examination as to whether the encountered trauma was the result of the recent head injury or previous underlying trauma. Each patient was then examined for the presence of facial trauma, using 3D CT scan. A 3D CT scan, or a three-dimensional computerized tomography scan, is a type of x-ray that allows high quality images of organs, blood vessels, and bones to be recorded in a very short amount of time. The individual CT images are then layered together to form a virtual model of the body. It is able to reveal the functionality of many of the anatomical structures in the body, in addition to structural defects, tumors, and lesions [12]. The obtained data was checked for completeness and clarity then entered into the computer and analysis was performed using Statistical package for social sciences program (SPSS). Chi –square test (X2) will be carried out and significant level p RESULT A Total of 115 patients with head trauma were included in the study. The gender distribution of the study population is as shown in Table 1 below. Table 1:- There were 85 (74%) males and 30 (26%) females. The age distribution of the study population is as shown in Table 2 below. Table 2:- There were 59 (51%) cases between ages 15 – 30, 26 (23%) cases with ages from 31 – 50 years males and 30 (26%) with age over 51 years old. The presence of facial trauma according to gender is shows in table 3. Out of 115 patients monitored, 19 female have facial trauma out of 30 which consist of 63% female, while 68 male patients have facial trauma with head injuries out of 85 which make 80% of male population. The total of 76% patients has facial injuries where head injuries were evident. Table 3:- Presence of facial trauma according to gender The presence of facial trauma according to age is shows in table 4 along with graphical representation. Out of 115 patients monitored, 59 patients were between ages 15 – 30. From these 59 patients 51 have facial trauma where head injuries were evident, this make 86% of the population. The patients between 31 – 50 years of ages were 26, where only 14 were found to have facial trauma which makes 54% of the population. The patients over 51 years of age were 30 where 22 were found to have facial trauma which makes 73% of the population. Table 4:- Presence of facial trauma according to age Table 5 shows prevalence of facial trauma by gender according to the causes of injuries. Out of 87 patients where facial trauma was also observed 11% female had it because of road traffic accident comparing to 39% male. Fall in female was 9% comparing to 17% male; no assault in female was observed while 14% male had facial trauma during assault. Table 6 below shows the details of prevalence of facial trauma by age according to cause of injury. The detail shows higher number of road traffic accident, followed by fall, assault and other causes of injuries. DISCUSSION Head injuries causes hospitalization of 200 – 300 patients per 100,000 population per year worldwide. A head injury associated with facial trauma comprises a number of complications, such as sequestrum formation, sinusitis, nasolacrimal duct injuries, facial deformity and injury to or entrapment of the globe. Trauma is very well known to be the main cause of death in first forty years of life. Facial trauma can be very dangerous as this could impact the essential parts of the body like speech, respiration, vision or smell so special attentions and importance should be given to facial trauma patients [13]. An international study was done in France to determine the types of facial injuries; 25.4% of the injuries were aged between 21 – 30 years. Sex ratio was 2.7M/1F. The most frequent cause was sports injuries (25.8%); followed in decreased order by traffic injuries (23.1%); home injuries (17.6%); fight injuries (3.4%); work injuries (3.4%) and dog bite (3.2%) [4]. Multiple studies conducted that amongst facial trauma the most common sites are nose (50%) [6] and maxillofacial trauma (5%) [5]. In this study 115 patients with head trauma were included with sex ration of 2.8M / 1F which seems to be consistent with previous studies done in different part of the globe [8, 10, 7]. The findings in this study also revealed the most common involving age group was 15 – 30 years of age; which constituted 51% as compared to other age groups. This finding is the same as that done in Nigeria and others in 2010 [42]. The reason for high prevalence of head and facial trauma to this age group (15 – 30 years) as compared to other age group could be related to activities of this age group in economic and social activities which lead to increase in accidents and violence. In this study it was also found that male are slightly more involved as compared to females where by 74% were male patients and 26% were female patients. The most common cause of facial trauma is to be road traffic accidents which involve motor cycle; car and pedestrian while the second most is fall from height. This was similar to previous findings in other studies which shows most common etiologies of injuries were car crash (39%); followed by assaults (28%) with majority are male with age group 15 – 30 years [9]. Observations from multiple studies of different part of the world shows that leading cause of facial trauma associated with head injuries is road traffic accident followed by fall and assault. Based on the study design and area; each study has its precise section of dominance. CONCLUSION This study concludes the prevalence of facial trauma associated with head injuries was 76% and higher age group is 15 – 30 years with 51% than other age group and prevalence of male 59% than female 16% had facial trauma where head injuries were eminent. The common cause is road traffic accident 50% followed by fall 26%, assault 13.7% and others were 9%. CONSENT FOR THE STUDY All patients or relatives were given a necessary explanation about the study before they asked to participate. For those patients who were unconscious, consents were obtained from their relatives. For patients under ages 18 years, informed consents were obtained from their parents/ guardians. ACKNOWLEDGEMENT We would like to acknowledge faculty of Ziauddin Hospital, North Campus for helping us during the study, staff for helping in data collection and all others who have given their input. The study was self funded. REFERENCE Anderson T ,Heitger M, and Macleod AD (2006). Concussion and Mild Head Injury. Practical Neurology : 342–357. Heegaard WG, Biros MH. Head. In: Marx J. Rosen’s Emergency Medicine: Concepts and Clinical Practice. 7th ed. St. Louis, Mo: Mosby; 2009:chap. 38 Aksoy E, Unlu E, Sensoz O. A retrospective study on epidemiology and treatment of maxillofacial fractures. J Craniofac Surg. 2002:772-5 Lebeau J, Kanku V, Duroure F, Morand B, Sadek H, Raphaà «l B. Facial injuries treated in the Grenoble University Hospital. 2006;107:23-9 Goodisson, D, MacFarlane, M, Snape, L. Darwish, B, Head injury and associated maxillofacial injuries New Zealand Med J 2004,vol.117 Khan, A. R.,Arif, S., ,J Ayub Med Coll Abbottabad 2005 Vol.17 Hashim H, Iqbal S. Motorcycle accident is the main cause of maxillofacial injuries in the Penang Mainland, Malaysia. 2011;27:19-22. Madubueze CC, Chukwu CO, Omoke NI, Oyakhilome OP. Head and neck injuries as seen in a Nigerian teaching hospital. Ozo CInt Orthop. 2010. Bouguila J, Zairi I, Khonsari RH, Jablaoui Y, Hellali M, Adouani A.Epidemiology of maxillofacial traumatology in Tunis. Rev Stomatol Chir Maxillofac. 2008 Khan AA. A retrospective study of injuries to the maxillofacial skeleton in Harare, Zimbabwe. Br J Oral Maxillofac Surg 1988; 26:435-439. Rankin M, Borah GL. Perceived functional impact of abnormal facial appearance. Plast Reconstr Surg 2003; 111:2140. Saigal K, Winokur RS, Finden S, et al. Use of three-dimensional computerized tomography reconstruction in complex facial trauma. Facial Plast Surg 2005; 21:214. Motamedi MH: An assessment of maxillofacial fractures: a 5-year study of 237 patients. J Oral Maxillofac Surg 2003, 61(1):61–64

Sunday, October 13, 2019

Schizophrenia Essay -- essays research papers

Schizophrenia is serious and chronic brain disease. Schizophrenia Affects 1% of the world develops schizophrenia sometime in their life time. 2 million people in the US suffer from it every year it will affect men and women both but shows up earlier in men usually in the teen or early adult years, women usually are diaongnosed in their early thirties. People with schizophrenia often suffer terrifying symptoms such as hearing internal voices not heard by others, or believing that other people are reading their minds, controlling their thoughts, or plotting to harm them. Their speech and behavior can be so disorganized that they may be incomprehensible or frightening to others. Available treatments can relieve many symptoms, but most people with schizophrenia continue to suffer some symptoms throughout their lives; it has been estimated that no more than one in five individuals recovers completely. Schizophrenia is found not only in the US but the whole world. The first signs of schizophrenia often appear as confusing, or even shocking, changes in behavior. The sudden onset of severe psychotic symptoms is referred to as an â€Å"acute† phase of schizophrenia. â€Å"Psychosis,† a common condition in schizophrenia, is a state of mental impairment marked by hallucinations, which are disturbances of sensory perception, and/or delusions, which are false yet strongly held personal beliefs that result from an inability to separate real from unreal experiences. Schizophrenia can be traced back to Egyptian times. The word "schizophrenia" comes from the Greek roots schizo (split) and phrene (mind) to describe the thinking of people with the disorder. His term was not meant to convey the idea of split or multiple personality, a common misunderstanding by many people. Since Bleuler's time, the definition of schizophrenia has continued to change, as scientists attemp t to more accurately determine the different types of mental diseases. Without knowing the exact causes of these diseases, scientists can only base their classifications on the observation that some symptoms tend to occur together. Both Bleuler subdivided schizophrenia into categories, based on the symptoms and prognoses. Over the years, those working in this field have continued to attempt to classify types of schizophrenia. Five types were delineated in the DSM-III: disorganize... ...order, but do not cure it. Many psychological treatments are also available: stress relief, making sure the patient feels good about themselves, also helping families deal with it and help them help the patient. Schizophrenia is a very serious mental disorder that more people have to take serious. Anyone can be diagnosed with the disorder and suffer life long affects from it. We need to be more aware of it and research more on new treatment methods. Although there is success stories there are many more stories that end in death because of suicide from the person and their depression from the disorder. We need to educate the public about the disorder and use technology to our advantage and try to find a definite cure for the disorder. Although there is treatment for the symptoms it is not the way a person should live taking a pill every day or spending thousands of dolars on doctor bills to try and be cured. Schizophrenia is a very serious disorder that needs to be researched ever more so we can stop the suffering of the over 2 million people that have and deal with the disorder everyday.

Saturday, October 12, 2019

Rousseau Essay -- Psychology

Rousseau starts his discourse with the quote, â€Å"What is natural has to be investigated not in beings that are depraved, but in those that are good according to nature† (Aristotle. Politics. II). It is this idea that Rousseau uses to define his second discourse. Rousseau begins his story of human nature by â€Å"setting aside all the facts† (132). The facts of the natural state of humanity are not necessary to determine the natural essence of human nature, and adding facts based on man’s condition in society does not show man’s natural condition. The facts don’t matter because to understand the essence of human nature requires looking to how man is in a completely natural state. Since man is no longer in this state, to determine this state means ignoring how man is now and focusing on man’s traits in a state completely different than the one man is in now. This is what Rousseau tries to do in creating his imagined state of nature. For Rous seau, the story of the state of nature is not meant to be used as a critique of human nature but as a way to discover the essence of human nature. Rousseau starts his discourse by sets aside all the facts to understand the natural state of man untainted by the traits of man in society. He states â€Å"the inquiries that may be pursued regarding this subject ought not be taken for historical truths, but only for hypothetical and conditional reasonings; better suited to elucidate the nature of things than to show their genuine origin† (132). The subject is the genuine nature of man. To discover this nature the facts cannot help because they do not look to the nature of man in his original state but to the man of now. Facts of the past help more in the discovery in the man of now than the beginning of man. Rou... ...ot lose all purpose even though may not be true. In creating a state of nature where man is naturally good, Rousseau forces the reader question his/her beliefs and Rousseau’s ideas. Rousseau’s argument for the freedom of society is creates doubt making it relevant. By creating a scenario where man is naturally good, he created a platform for the argument for the freedom of man in society. But, he does not necessarily persuade the reader man is good. He needs not persuade the reader in truth. He needs only to create doubt in the minds of the readers so that the individual may question the need for society. In this purpose, Rousseau accomplishes his task. He created a natural world in which the natural man is good leaving the societal man to question his role in society. Is equality necessary? Is authority necessary? These are the questions the reader must answer.

Friday, October 11, 2019

Japanese Pearl Harbour Bombing

By the end of WWI, Japan had emerged as a global superpower gaining recognition from Western Powers like the British and Americans. Japan’s influence in the Asia Pacific region during WWII was of particular concern to the Americans and European powers especially in regards to Japan’s imperialistic activities. With growing opposition from the US who were against Japan’s policies of nationalism, militarism, and imperialism, tension built up to a Pacific war. In response to a series of US foreign policies and the breakdown of international diplomacy, the Japanese decided to attack the American Pacific Fleet at Pearl Harbour Hawaii on December 7th 1941. The Japanese hoped that this surprise attack would prevent war with the US for at least two years, allowing time to conquer the Asia Pacific. Ultimately, the bombing of Pearl Harbour is a result of the growing tension in Japanese – American relations due to conflicting interests, and triggered when a compromise between these countries could not be agreed upon. One significant factor that led to the bombing of Pearl Harbour is the Nationalistic and militaristic attitudes of the Japanese. Japans desire for recognition as a strong military power saw the implementation of many aggressive foreign policies. The outbreak of WWII provided an opportunity for Japan to conquer Eastern Asia since the European powers were focused on war with Germany, leaving the USA as the only country that could thwart Japanese goals. Along with adopting nationalistic policies, Japan also saw that militaristic policies were needed to maintain its power status. The militaristic nationalists rise to power in the 1930s like PM Tojo, saw Japan inclination towards military action should there be conflict in the Pacific, and this inclination was enhanced by the rivalry between the Army and the Navy. The Navy wished to match the glory of the Army who succeeded in many military campaigns, which eventually led to the bombing Pearl Harbour, a plan developed by Admiral Isoroku Yamamoto. Finally, Japan sought to end the restrictions placed on their navy at the Washington Conference in 1922 and entered the Tripartite agreement with Germany and Italy which increased tension with the US and Allies. Thus based on these policies, when Japan implemented martial law in 1938 the militarists and nationalists who supported Japanese expansion urged an attack on Pearl Harbour to increase Japanese world status and maintain colonial interests. Japan’s introduction of imperialism in the late 1800s stemmed for the Japanese sense of nationalism and desire to build empires like the West is the driving factor that resulted in the Pearl Harbour attack. The main imperialistic aim was to create the Greater East Asia Co-prosperity Sphere. This was to end Western influence in Asia but was in fact an excuse to conquer Asia and facilitate the growth of the Japanese empire. Japan’s invasion of China and Indo-China resulted in the establishment of embargoes and economic sanctions by the US. With little resources left because of these sanctions, Japan began preparing for Pacific war. Peace talks failed and the Japanese now certain that the US would enter the war wanted to achieve their imperial aims of conquering the resourceful lands of Malaya and Dutch East Indies before the Americans intervened. This lead to the bombing of Pearl Harbour to destroy the US Pacific Fleet in order to postpone American interference with Japanese imperial expansion. Knowing that the US would recover within two years the Japanese believed that they would have conquered South East Asia by then, obtaining resources like rubber and oil for war, and a strategic position to fight the US. Ultimately, the attack on Pearl Harbour was a tactic used by the Japanese to postpone war with the US as to achieve imperial aims. After WWI, the US attempted to remain neutral to international conflicts that did not concern them under their Isolationism policy. This policy allowed the Japanese to expand their empire without American intervention and also led to the Pearl Harbour attack. Despite the isolationist stance many including President Roosevelt wanted to intervene, as Japan’s invasion of China violated America’s Open Door policy whereby China was to be left independent so that trade was to be left unimpeded by other dominant powers. Since Japan’s resources came mainly from America, the US implemented a series of sanctions and embargoes, attempting to pressure the Japanese into stopping their expansionist activities. This began in 1938 with the ‘moral’ embargo to restrict aircraft support. By 1941 all Japanese assets in US were frozen and oil exports reduced by 90%. Having lost their primary supplier of war resources and left with a minimal amount of resource, Japan had to make a decision of whether to give in to American demands or conquer South East Asia for its resources. The militaristic Japanese government decided to respond to these US policies bombing of Pearl Harbour, hoping to prevent the US from thwarting their imperialistic goals. By the time the Americans recovered, Japan hoped to have gained a large empire and resources thus no longer requiring American trade and hoped that the Americans would realise war would be to costly. Reaching the height of tension between the Japanese and Americans diplomatic dialogue may have prevented the bombing of Pearl Harbour and thus preventing a Pacific war. However in 1933, Japan left the League of Nations thus destroying any platform for international dialogue to resolve disputes. With the establishment of the American embargoes, the Japanese took a dual approach on the situation. This was to negotiate with the Americans for peace agreements whilst preparing for war. The Japanese High Command offered to withdraw from Indo-China and in exchange they would maintain control of the Chinese regions they have conquered and America would reopen trade and unfreeze assets. The American Secretary of State Cordell Hull refused this offer, stating that trade and unfreezing assets would only happen if Japan left Indo-China and China and abiding the US Open Door Policy in China. Feeling unsatisfied, the High command of Japan rejected this offer on December 1st 1941 during the Imperial conference and so proceeded to bomb Pearl Harbour on December 7th. As mentioned, this was a dual approach; the breakdown of international diplomacy triggered the Japanese Navy to proceed with the bombing of Pearl Harbour hoping that this surprise attack would prevent the Americans from entering war before Japan could conquer South East Asia. Governed by a nationalistic and militaristic government that focused on the imperialism, tension between Japan and the US accumulated during the 1930s. The outbreak of WWII saw Japan’s desire to conquer South East Asia for resources. To accomplish this the Japan needed a tactic to prevent US intervention with their expansion for two years and this attack on the American Pacific Fleet at Pearl Harbour was a reasonable plan. While many argue that the US government’s foreign policy forced the Japanese to attack as an excuse to go to war, ultimately the build up of tension between the two countries due to conflicting interests based on nationalism, militarism and imperialism and the inability to reach a compromise due to lack of diplomacy is what caused the bombing of Pearl Harbour in 1941.

Thursday, October 10, 2019

The mistress and harp of burma

In Japanese Literature, stories have often depicted what greatly influenced the prevalent period of common life and social sentiment. In the two books written by Japanese authors in two separate periods of Japan’s history, a transition is clearly seen through literature often expressed in superb storytelling. In Ogai Mori’s â€Å"The Wild Geese†, human struggle is greatly influenced by tales of love in the midst of Japan’s industrialization boom. Writers depict and assimilate the concepts of free-thinking which brought romance and human emotion to the limelight. The familiarity of the reforms established during the period for which Ogai’s novel was actually written apparently brought forward the chance to openly discuss Japan’s so-called evil customs and traditions in a bid to strengthen the imperial rule. Okada, as one of the main characters clearly narrated how he felt that a woman should be only a beautiful object, something loveable, a being who keeps her beauty and loneliness no matter what the situation she is in (Ogai, 20). In the same page, Okada added that this sentiment is brought about under the influence of habitual reading of old Chinese love stories. There is therefore a clear view in principle that establishes a need to disregard culture and ideas that wrongly adapted the old Oriental ways which often restricted free-thinkers to intellectually prosper. In Toyoda’s movie, â€Å"The Mistress†, adapted from Mori Ogai’s The Wild Geese, oriental values was the main discussion with aims to expose the ancient cultural standards that stand in the way of personal freedom. In Otama we see the oppressed and marginalized people driven and deceived without any hope of being uplifted from the moral and restrictive bounds that society places upon them. The simplistic adventure of romance in a plot heightens into limelight the realities of life and the prevailing social views of the middle class which somehow voices out a need for reform in the Meiji Restoration period. Several decades later after Japan was able to stand on its own two feet, Japan experienced a wartime defeat that brought home sad stories of soldiers taken as prisoners of war. Takayama’s â€Å"Harp of Burma† showed pacifism as the main aim of both novel and on film. â€Å"We have to be ready for hardship, for all we know, we may die here in Burma. If that time comes, let us die together†¦Ã¢â‚¬ , (Takeyama, 33). Such poignant words relay veiled patriotism whose desire for peace in an armistice agreement with their British captors aims to relay the evils of war. Written during a period where wartime horrors still stayed afresh in the minds of the Japanese people, there was not an ounce of blame or an aim to proclaim the evils of their captors. Its sincere inward idea was just to dwell on the problems the war brought to everyone involved. In retrospect, The Harp of Burma establishes a deeper humanistic connection to modern day events where peace is the common desire of mankind. The movie through cinematic effect exceeds sensory reflection that somehow created a link to present day situations around the world where wars and battles are fought. Although Ogai’s novel discussed social issues on a road to recovery, the pressing need for peace exceeds in meaning and connection through the Harp of Burma that was successfully portrayed in film. Seeing the ravages of war makes a good reflection how one favors such madness that resulted in tragedy and death. As an anti-war film, it even exceeded the points portrayed in its novel where suffering is presented as a result of too much desire. As a challenge to survival, the movie â€Å"Fires on the Plain† declares a clearly made manifestation of human woes compared to the movie of the same title, â€Å"The Burmese Harp†. Both movies however adapted Takeyama’s novel The Harp of Burma that depicted a deep sense of longing for the fatherland while emphasizing compassion in the midst of survival and atrocities. As a human interest film, â€Å"Fires on the Plain† arouses a relative connection through artistic performance of reality in full color for young viewers to understand how wars wreak and break even the strongest heart. Works Cited Mori, Ogai trans. Ociai, Kingo and Goldstein, Sanford (1959). The Wild Geese. Boston: Tuttle Publishing Takeyama, Michio trans., Howard Hibbett ( 1966). Harp of Burma. Boston: Tuttle Publishing.      

Wednesday, October 9, 2019

How was the plot to kill president Garfield created and carried out Essay

How was the plot to kill president Garfield created and carried out Please use specific examples from book - Essay Example He had a very high means of opining about himself. He felt that he deserved to get a very powerful job in United States, and James Garfield was in the best position to offer him that job (Millard 2012). However, the president did not offer him his wish; so he plotted to assassinate him. Charles Guiteau was a republican like James Garfield and Ulysses Grant. Prior to the elections of 1880, James Garfield and Ulysses Grant were running for the presidency and James Garfield won the Republican nomination to face Democrat Winfield S. Hancock in the general elections. Guiteau had engaged in several ventures before joining politics. He then supported the Republican presidential candidate James Garfield after his favourite Stalwart candidate Ulysses Grant lost in the nomination. Stalwart was a Republican faction allied to the former president Ulysses Grant. The other faction was Half-Breeds led by President Garfield. The vice president Arthur who later took over as president after the assassination of President Grant was a Stalwart. Guiteau wrote a speech called Grant vs. Hancock which he later changed to Garfield vs. Hancock in support of Garfield (Millard 2012). He later said that his intention was to unite the two factions of the Republican Party; and one of the reasons why he murdered the president is because he thought it was the best way to resolve the divisions in the Republican Party which, according to him, were caused by President Garfield. With these political sacrifices he made, Charles Guiteau hoped that the Republican government would offer him a good job. He aimed at a diplomatic post in Vienna, and later asked for the same position in Paris. During the 1880 campaign he was all over the Republican headquarters in New York City seeking rewards for his efforts which he believed to have caused the narrow win of Garfield over Hancock. Later after the inauguration of Garfield in March 5, 1881, he went to the White House in Washington and

Tuesday, October 8, 2019

Mid-term Assignment Example | Topics and Well Written Essays - 1000 words

Mid-term - Assignment Example speed, he uses his mind to trick the tiger with a glass ball, which the tiger after seeing its image on the mirror believes it is the cub and even cuddles it, allowing the hunter to escape with the real cub (White 7). a. Portals with subtle and twisted columns that seem to be strained by the weight. The portals have been criticized that they might give in to the heavy weight that they support though they have stood the test of time. The Donation of Constantine is the interpretation of the Holy Trinity. The holy trinity refers to three God in one, described as the father, the son and the Holy Spirit. It was important in the Middle Ages since it helped to explain the development of the Roman faith. It explains the shift from the period of worshipping idols to the realization of the modern faith. Sylvester, the universal pontiff, has helped in spreading the modern gospel. Sylvester changed the perception that the author had about the gods Peter and Paul, and told them that they were apostles (Halsall 1). The theme of this passage is love. It clearly brings out the various aspects of two people who love and treasure each other. The lady confesses that his only fear is losing him. The man who is the king treats the beautiful creature like a marvel of nature which he had never seen before. He orders that the creature should be fed well and given drink. Every other man admires the beautiful creature who is depicted by the king as a very special one. The theme of love is cemented by the statement that the couple would always visit places together, and none of them would allow to be separated from the other. The passage relates to the course in that it contributes to the effectiveness of use of figurative language, commonly used during the medieval period. The passage was written by Marie de France and translated by Judith P. Shoaf in 1996 (France, para 12). The theme of the text is religion. It describes the faith and practices of the Roman Catholic Church. The

Monday, October 7, 2019

Labour Laws Essay Example | Topics and Well Written Essays - 1000 words

Labour Laws - Essay Example This is certainly the case with Key Lime Printing. There is a feeling on the part of the workers that they are at best getting a very bad deal from a company that has already been in business for a relatively long time and should be able to do better. As a lawyer, there are a few issues that I shall seek to reinforce. I shall seek to inform the client, Joe Blow, that there is little legal recourse once the matter gets to this point. After all, the Notice of Certification from the labor relations board has already been received. There are three main issues that seem to underline the employees’ decision to unionize. First of all, there is the issue of pay. Pay disputes are always a minimum expectancy when it comes to labor relations. This is where most of the labor unrest that we witness centers around. The next issue lies with dismissal of employees. Fair or unfair dismissal is a contentious issue that cannot be resolved anytime soon. On the part of the dismissed employee, thei r default position is that the dismissal is always unfair (Cihon & Castagnera, 2010). Finally, there is the whole issue of unionization. I shall seek to show my client his rights and responsibilities as far as unionization of employees is concerned. The first issue deals with income. I shall handle this issue in two parts. The first part shall be with relation to the right amount that each employee should receive. This is an extremely complicated issue. If each one of us were given the option to suggest how much we want to be paid, then we might suggest amounts that are impractical for the profitable conduct of business. We cannot leave this weighty decision to the employers alone either. There is a need for both the employer and the employee to sit down and discuss each of their positions as far as remuneration is concerned. My client does not seem to have done this. Therefore, first step during the anticipated meeting shall be to hear each side’s position in as far as salar ies are concerned (Pay and Wages, 2013). The second angle in as far as salaries are concerned is the nature of employment. There is the need to find the right balance between benefits, commissions and salaries. The idea of only paying a commission to the three workers without either salaries or benefits is a very emotive one. Initially, it was thought that being paid on commission motivated the workers to apply themselves fully so that in a way they can ‘determine their own salaries’. This is not the case anymore. Finding business is not guaranteed, yet at the end of the month these employees have bills to pay and other responsibilities to fulfill. This needs to be looked at considering that the leading light in this revolt is an employee who is subject to this draconian employment terms (Pay and Wages, 2013). Dismissal is another issue that needs to be addressed. Arguably, perhaps it is the place where the bitterest battles with regard to employee rights are witnessed. There should be a firm basis for any dismissal that is effected in the workplace. After all, this is a place where people from different backgrounds coalesce to satisfy their needs for employment. Additionally, in such a place one cannot dismiss the effect of culture and background on general conduct and productivity in the workplace. Therefore, dismissal must be looked at with this backdrop in mind. There seems to have been instances where the foreman, Top, dismissed employees. He has no right to do this. This is un-procedural. There needs to be a properly laid procedure through which dismissals are carried out. Only the owner, Blow, should have the power to mete out such punishment. In most cases, dismissal should be the last resort (Arthurs & Carter,

Sunday, October 6, 2019

A history of ultrasound physics and the properties of the transducer Research Paper

A history of ultrasound physics and the properties of the transducer - Research Paper Example Prior to the second World War, sonar, which is the technique of transmitting waves of sound through water and observing the echoes that return to characterize the objects that are submerged, was an inspiration to the pioneers of ultrasound investigators in exploring ways and in turn applying the medical diagnosis concepts. This paper will highlight the history of ultrasound and discuss the properties of transducers. History of ultrasound According to Orenstein, (2008) Pythagoras, popular for his theory about right-angled triangles was the pioneer of ultrasound, since he invented the sonometer, which was used to study musical sounds. Boethius (c. 480-c.525) was the first to give comparison between sound waves to waves that were produced when a pebble was dropped into calm water. Pierre Curie, a French physicist discovered piezoelectricity in 1877, the moment that ultrasound was conceived. Later on, as Orenstein continues to assert, sonographic imaging was developed by French professor and physicist Paul Lavengin. Many scientists had the desire to see inside the human body and in turn developed probes and scopes for diagnosis and treatment during the late 19th and early 20th centuries. For instance, the discovery of X-rays by William Conrad in 1865 played an important role in the history of ultrasound. Moreover, in 1912, when the Titanic sank while on its maiden voyage made people to be curious in detecting submerged s ubstances. Like many other technological advances, ultrasound also owes its development to the World War. Lavengin was called upon by the French government to develop an object that was able to detect the sub marines of the enemy during the World War One. The device he invented applied the piezoelectric effect he had learned as Curies’ student (Orenstein, 2008). The transducer is one of the most critical componenets of any diagnostic ultrasound system. There exists various types of ultrasound transducers that can be chosen prior to performing an ultrasound investigation, therefore, much attention should be accorded towards choosing the most suitable transducer for the ultrasound application (Gibbs, Cole, & Sassano, 2009 p27). However, Lavengin did not complete the device he developed in 1917 so that it could be used during the First World War, but it indeed formed the basis of sonar detection that was developed in the World War II (Orenstein, 2008). In 1928, Sergei Sokolov, a Russian physicist made important suggestions that saw ultrasound being used for industrial purposes that included detecting flaws in metallic devices. Ultrasound is a new aspect in the field of medicine. For instance, in the 1920s and the 1930s, ultrasound was used by members of European football clubs as a physical therapy. Additionally, as reported by Orenstein, ultrasound was utilized in the sterilization of vaccines as well as for cancer therapy in conjunction with radiation therapy. Subsequently, in 1948, other ultrasound pioneers such as Douglas Howry subjected his efforts towards developing a B-mode equipment that compared pathology to cross-sectional anatomy. The late 60s and early 70s was the period of sonic boom. A 2D echo was pioneered by Klaus Bom. Don Baker, John Reid and Dennis Watkins were able to develop a pulsed Doppler in 1966, which was able to detect the flow of blood from the different corners of the heart. Real-time ultrasound was developed in

Saturday, October 5, 2019

Macroeconomics Term Paper Example | Topics and Well Written Essays - 1750 words - 1

Macroeconomics - Term Paper Example This has resulted in a decrease in production, and hence, the world’s Gross Domestic Product (GDP). Other problems such as the crash of the housing market haven’t helped much, and have made the task of lawmakers even more difficult and thought provoking. All of these problems, along with numerous others have been a result of increasing prices of products, services, and in short, the cost of living. This increase in prices of these countless things is known in economic terminology as â€Å"inflation†. Hyper Inflation: Hyper inflation causes severe changes and imbalances in demand and supply. This type of inflation is short-lived because the government intervenes to help money perform its operations. For instance, Russia experienced hyper inflation when it was broken down. During this type of inflation, income levels cannot keep up with the cost of living and the purchasing power freefalls. This leads to economic recession. Moderate or creeping inflation: In this type of inflation, prices rise moderately. The upward trend in prices is gradual and averages between two to five percent. This type of inflation is good for the economy, as it is considered a sign of demand in the economy. Creeping inflation gives several inter linked benefits to an economy because firms will produce more in response to higher demand, employment would increase and the workers would earn more. Thereby, the increase in the cost of living would be proportional to the increase in income level. However, creeping inflation can turn into hyper inflation, if the price level increase crosses double figures. Strato Inflation: Inflation rate of this type ranges from 10% to several hundred percent. It is difficult to anticipate and is usually experienced by developing economies due to their economic weakness. Disinflation: Slowing down of the rate of inflation is called disinflation. For example, if the rate of inflation in USA in 2006 was 5% and in 2005 was 7%. Prices increased in both the

Friday, October 4, 2019

The Outsider (Of Mice and Men) Essay Example for Free

The Outsider (Of Mice and Men) Essay However, we then find out that she has a dream of her own, revealing the ambitious side of her. She indulges in a different fantasy, far less likely of fulfillment. As many young women do, she aspires to stardom in films. She claims to have met an actor when she was 15, and was being told that she was a natural in acting, but her mother forbade her to pursue her dream. This is shown when she says Well, a show come through, an I met one of the actors. He says I could go with that show. But my ol lady wouldn let me. She says because I was ony fifteen. But the guy says I coulda. If Id went, I wouldnt be livin like this, you bet. From this it shows how unsatisfied she is with her mothers decision and how she really wished she had been able to pursue her dream. She thinks her talent is merely waiting for an opportunity and that her mother has stolen the letter which represents her chance for fame. Steinbeck describes precisely the small grand gesture with which she demonstrates to Lennie her supposed talent. This shows how nai ve she is to believe that her mother has stolen her contract, which was obviously never written. When she received no letter from the actor, she married Curley. However, she has always wanted to make some accomplishments and loved attention. Throughout the novel she constantly wanders around the ranch, creating trouble. When she was killed by Lennie, her dreams ended. Lennie, Candy and Curleys wife were not capable of having their dreams come true but stayed hopeful. From the many incidents that the characters in the novel encounter, it is shown how big dreams often cause tragedies and are sometimes unrealistic. In the novel as a whole, she is represented as the marginalized and disempowered part of society. She uses her status and power to intimidate people in the ranch. Overall, Curleys wife is presented as a flirtatious, lonely young woman who is very discontented with life. Readers who read the book would evoke sympathy for her because of her sad situation and cruel husband, but also dislike her because of her flirtatious and mean attitude. Show preview only The above preview is unformatted text This student written piece of work is one of many that can be found in our GCSE John Steinbeck section. Download this essay Print Save Heres what a teacher thought of this essay 4 star(s)