Thursday, October 31, 2019

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

Strategy - Essay Example uploaded in YouTube website under the title â€Å" the Boy Scouting.† The video could also be viewed frompersonal social networking websites such as Facebook. 2. We sent a copy of the video to Narragansett Council so that it would be published in its website as well. This is a linking strategy which translates to an effective advertisement that is free of charge.The video would be submitted in the guise of a giftfrom â€Å"Magnificent group† to Narragansett Council. 3. We have also sent a proposal to Johnson & Wales University in order to persuade the school into granting scholarship to one of the participants in the Boy Scouting at Narragansett Council. Once this scholarship element is successful, then it would help to encourage the children to be involved in the Boy Scouting activities at Narragansett Council. 4. We invited Jason Dugan director of program in Narragansett Council to attend our presentation, which will be held on July 30, 2009. Hopefully, the activity would further cement a good relationship for future cooperation. 2. We will tap our existing relationships and tie-ups with other universities just so more people and resources could reinforce the campaign to disseminate information about Narragansett Council, including the benefits for boys who will join their scouting camps. Part of this campaign is a audio-video presentations about scouting activities and testimonies from scouting participants. The success of the abovementioned strategy is certainly dependent on the implementation of each outlined elements. We will be serious to apply and follow our plan – both short-term and long-term - so that we would be able to achieve our goals. The short-term goal – the making of the video and its propagation, including other activities, were undertaken mostly during the class period. The long-term plan would be carried out even after

Tuesday, October 29, 2019

NAEYC article assignment Essay Example | Topics and Well Written Essays - 250 words

NAEYC article assignment - Essay Example The United States is a diverse country and an early education centre is likely to have many children with different linguistic backgrounds. The inability of early child educators to speak all the home languages of children makes it difficult to preserve those languages. The lack of programs focusing on instilling early educators with relevant languages makes it impossible for the teachers to respond appropriately to the call of preserving home languages of children. The design of early education program still makes it a huge challenge for early educators to meet the needs of children and families in terms of linguistic and cultural diversity. Early childhood programs are basically designed with the main language as English, which does not reflect the diverse nature of the American population. The implementation of the NAEYC recommendations requires complete dedication of the early childhood educator. As such I will actively engage with parents and strive to gain knowledge about all the children in order to ensure that each child is served better. I will ensure coherent working relationship with parents in order to ensure that I provide quality care and education for every child under my

Sunday, October 27, 2019

Composition and Structure of Long Bone and Skeleton Function

Composition and Structure of Long Bone and Skeleton Function The composition of bone, the structure of the long bone and the function of the skeleton Composition of bone Bone itself consists mainly of collagen fibres and an inorganic bone mineral in the form of small crystals (University of Cambridge 2005). Bones are living tissue which is made up of connective tissue. The bone tissue is made up of several types of bone cells such as osteoblasts and osteoclasts. Osteoblasts are needed to aid the process of healing and osteoclasts are needed to break down old bone to make room for new bone. Bones contain phosphorus and calcium which are inorganic salts; these salts give the bone strength. The bone also has collagenous fibers to give the bone flexibility. Structure of the long bone The long bone consists of hyaline cartilage which covers the ends of the bone and stops them rubbing together as well as absorbing shock. The head of the long bone is called epiphysis. Compact bone is hard, dense bone and is the outer layer of the long bone, this gives the hallow part of the bone strength. Cancellous bone is the spongey bone in the long bone, which stores the red bone marrow and this is where blood cells are made. The yellow bone marrow is stored in the marrow cavity of the long bone and this is where white blood cells are made. Cancellous bone looks like honey comb as it is very porous and is easily recognised. The epiphyseal plate is where the bones grow in length. The shaft in the long bone itself is called the diaphysis. The periosteum is a protective layer on the long bone that has no cartilage; this is where the tendons and ligaments connect to (Curran 2016). Below is a picture of the structure of the long bone (LinkedIn Corporation 2017). Functions of the skeleton The functions of the skeleton include protection, movement, formation of blood cells and storage. Protection: Vital organs such as the heart and lungs are protected by the skeleton, the heart and lungs are protected by the sternum (breast bone) and the enclosure of the rib cage. The brain is also protected by the cranium (skull). Movement: Bones and muscles work together to produce body movement as a lever. Bones and muscles form joints which are needed to move. Formation of blood cells: This process is called haematopoiesis where blood cells are produced in the bone marrow of some bones. Storage: Bones store minerals such as calcium and phosphorus which are inorganic salts needed for the strength of bones. These materials are stored in the bones when there is too much present in the blood (Curran 2016). Types of joints and their functions There are three different types of joints; Fibrous joints, cartilaginous joints and synovial joints. Their main function is movement of the limbs and stability for example the stability found in the bones of the skull (Boundless 2016). Fibrous Joints Fibrous joints are immoveable i.e. they cannot move. These joints are held together with only a ligament. An example of this type of joint would be the cranium.   (Google Images 2017) Cartilaginous Joints Cartilaginous joints are partly moveable and the connection between articulating bones is made up of cartilage. An example of this type of joint is between the vertebrae that form the spine. The arrow in the below picture indicates where the cartilage is in the spine. (Google Images 2017) Synovial Joints Synovial joints are freely moveable and are the most known and common type of joints in the body. These joints have a synovial capsule surrounding the joint and the synovial membrane secretes synovial fluid to provide lubrication to the joint which prevents friction allows for more movement. Cartilage provides padding to each end of the bone. There are six types of synovial joints; hinge, pivot, ball socket, saddle, condyloid and gliding joints. Examples of synovial joints would be elbows, knees and hips (Boundless 2016).   Ã‚   (Google Images 2017)

Friday, October 25, 2019

Immigration to Ellis Island :: Informative Essay

Immigrants came to American in search of freedom and opportunity. They mostly came by steamship. Examinations and vaccinations of the immigrants needed to be done. Both immigrants and their baggage had to be disinfected before they could leave Ellis Island. At the entrance to the Lower Bay of New York Harbor, the immigrants were inspected for contagious diseases like, smallpox, yellow fever, and measles. After which they were filed to the reception area. They had to climb three floors of stairs as medical officers watched them for signs of lameness, shortness of breath, heart conditions and mental conditions. The next examination was called the eyelid lift. The doctors used a hook to lift the eyelids to look for trachoma. Trachoma is " an easily spread infection of the eye. Repeated occurrences scar the upper eyelid, eventually turning it inward. The eyelashes then scratch the cornea, leading to blindness." Chalk marks were put on their clothes to indicate what was wrong. A few were, Sc for scalp disease, G for goiter, K for hernia, L for lameness and S for senility. The final test was to answer 29 questions including: name, sex, marital status, occupation, nationality, ability to read and write, race, physical and mental health, how much money they had, prison records, and if they were polygamists or anarchists. When the immigrants passed these tests they could exchange their gold, silver and money for American money and buy railroad tickets to go anywhere they wanted in America.

Thursday, October 24, 2019

Csr Polytechnic Case Study Essay

Statement of the problem: Considering that polytechnic saving bank Inc. A thrift bank suffering from a cringe-evoking operational losses and capital deficiency due to its weak management, How would PSBI improve its unsatisfactory financial conditions and critically deficient performance? Objectives: -To ensure the fulfilment of BOD in their duties and responsibilities under BSP circular 283 -To hire 3independent qualified ethical and trustworthy workers in replacement of the terminated president and the resignation of its successor -To comply BSP the infused additional capital of P5 Million -To immediately infuse the 57.4Million in the new capital to comply with the minimum capital requirement for thrift banks -To Strengthen the Bank’s risk management function in order to regain the trust back from its depositors and investors Areas of consideration *EXTERNAL 1. Legal/political – in its failure in fiduciary trust and confidence in financial institutions rather to help the capital markets and the economy it causes a great effects on individual by the PBI’s disregard of such corporate governance principle -PSBI must meet its required amount to enable to continue its operation as a thrift bank but because of deficiency it can serve as a rural bank which has lesser minimum requirement that being a thrift bank – given under BSP circular 283 BOD fulfil their duties and responsibilities 2. Economy – Polytechnic Savings Bank, Inc. operating as an economy in the use of resources created to serve as a community focused which needed P82M to continue operation and save thrift bank from dwindling capital *Operating External factors a) Workforce –PSBI’s BOD had no banking experience, doing unethically acts or anomalies b)Customers- individuals and small businesses c) Competitors- Other banks B. Internal Aspects 1. Financial Aspects -It is said that PSBI has its unsatisfactory financial condition that the bank is unstable and cannot withstand adverse business conditions and fluctuations because of its poor financial ratios which it requires the amount of P55.2milion capital to gain and to fully continue its operations due to capital deficiency and loss. 2. Operational -PSBI’s operation resulting from memorandum of undertaking (MOU) turned from bad to worse 3. Management -the various financial anomalies undertaken by the management were found during the fraud and forensic audit of the bank therefore PSBI’s improving such weak management because of failure in oversight functions and supervision on affairs inside bank premises. -A complete failure in the fiduciary responsibilities of the officers swot STRENGTHS| WEAKNESSES| -Wayward Group of companies (mother of PSBI)| -failure in fiduciary trust-BOD had no experience in banking-Poor financial ratios| OPPORTUNITIES| THREATS| -Rehabilitation program-buyers, investors, depositors| -adverse business conditions and fluctuations-stop operation as a thrift bank| ALTERNATIVE COURSES OF ACTION A. Sell the bank instead working on the impression that the bank performance would not improve due to weak management Pros: -To save thrift bank from capital deficiency with four potential buyers (with an asking price of P10million to P30million) Cons: -considering that P1.00 selling price for the bank would not even be a bargain -Not one expressed any real interest to complete the purchase among these potential buyers B. Focus on Rehabilitation program Pros: Program designed to address the capital deficiency and operational  losses of the bank Cons: Considering that PSBI has no choice left because PSBI is undergoing from a cringe-evoking operational losses and capital deficiency due to its weak management C.Improve the importance of corporate governance principle in Fiduciary trust and confidence in financial institution Pros: -help strengthen the bank’s risk management function -To regain the trust back from other depositor’s and investor’s -To save the bank from its financial conditions and critically deficient performance -To help capital markets, economy, and each individual lives -To continue operation as a Thrift bank -To improve good governance, managerial and operational factors outside and inside bank premises Cons: -considering there’s a complete failure in the fiduciary responsibilities of the officers D. Conduct annual examination Pros: -to have an annual report on financial operations showed on investors -Must encourage and provide an accurate and timely information’s to their investors about financial status -To have a proper screening and access to PSBI bank’s employees and workers information in the internal management fields in actively oversight functions and supervise their affair of the bank -To avoid fraud and forensic audit of the bank Cons: -Considering that The Internal control system, which were supposed to provide a check and balance were all overridden to disregard

Wednesday, October 23, 2019

Crime against Humanity Essay

In the history of International laws, the foundation of the term â€Å"crime against humanity† can be said to be weak. The concept of the term has also been changing overtime. The term has also been interpreted differently through generations. The confusions and the unresolved principle of the crime were burdened by its features common to war crimes. Aside from that, traditional laws were controlling and perceived as the most applicable law during war times. However, through the development of war, crime against humanity has finally been clarified through the several laws adopted and cases decided during the period of wars. Hence this paper will present crimes against humanity, its origin, elements, and its development. Body The term â€Å"crime against humanity† was created as a result of the mass killings perpetrated against Armenian in 1915. The massive killings in the Ottoman Empire were strongly condemned by the governments of Russia, British, and France by branding the acts as â€Å"crime against Christianity† (Cassese, 67). However, such term was perceived to be discriminatory as it implies excluding Muslim. Eventually, the term â€Å"crime against humanity†, which was suggested by French Minister Delcasse was adopted (Cassese, 67). However, the problem with the term was its implication as it does not specify clearly the meaning humanity, if it refers to human being or to the philosophical concept of humanity. Eventually, an international tribunal was established primarily to hear and try offences in violation of the laws of humanity. Crime against humanity was, however, confused with war crimes under the customary laws because of several similarities. Some of the common features include odious offences constituting as a serious attack on human dignity or â€Å"grave humiliation of one or more human beings† (Cassese, 64). In addition, the events of killing were systematic or sporadic. More importantly, such acts should be punished even if perpetrated in time of peace (Cassese, 64). Furthermore, the victims should be civilians and does not necessarily include military men. Despite the initiative to punish crimes which are perceived as inhumane, many still committed barbaric acts and acts that are strictly prohibited by the traditional international law for political and racial reasons (Cassese, 68). As a result, the 1945 London Agreement, embodying the International Military Tribunal Charter, strengthened the campaign against commission of crimes against humanity (Cassese, 69). Interestingly, elements of the crime against humanity were established. The subjective elements of the crime include murder, extermination, enslavement, deportation or forcible transfer or population, imprisonment, torture, sexual violence, persecution, enforced disappearance of person and other inhuman acts of similar character and gravity. Meanwhile, persecution is defined as â€Å"gross or blatant denial, on discriminatory grounds, of a fundamental right, laid down in international customary or treaty law, reaching the same level of gravity as the other prohibited acts† (Cassese, 80). Crime against humanity has also subjective elements which are necessary to be established in order to make the perpetrator liable. The first element is intent which refers to the perpetrator’s intention of committing such act. Second element is the perpetrator’s awareness of the serious consequences of his acts (Cassese, 81). Third element is the agent’s awareness of the relationship between his misconduct and a policy or systematic practice (Cassese, 81). Last element is that the perpetrator must possess a racist or inhuman mind. Underlying these elements is mens rea which is the intent and awareness of the inhuman act and its consequences in a broader context (Cassese, 82). Furthermore, the intent must be criminal, specifically discriminating, harassing or causing the victim or a religious, political or cultural group to suffer serious injury. Notably, an individual acting in his own private capacity may commit crime against humanity. However, it is necessary that the act has been done in unison or is supported by a general state policy (Cassese, 83). The crime can also be perpetrated by state officials in their own private capacity but should be supported by an â€Å"explicit or implicit approval or endorsement by state or governmental authorities† (Cassese, 83). On the other hand, victims are traditionally civilians. Meanwhile, civilian refers to â€Å"persons other than lawful combatants, whether or not such person were civilians fighting alongside enemy military forces† (Cassese, 86). However, through development, military men were also considered as victims of the crimes against humanity. It is also noteworthy 1949 Geneva Convention included unarmed military combatant due to injury or imprisonment under the concept of victim of crimes against humanity (Cassese, 90). Furthermore, the inclusion of the military combatant as victims is applicable even during time of peace. The reason behind it is because military combatant are merely protected by the international laws of warfare but are not protected from the abuses acts from individuals or state authorities. Hence, the protection afforded by the law on crime against humanity should extend to civilians, including military combatants and even in time of peace. Additionally, through the adoption of international treaties protecting human rights and prohibiting crimes that amount to violation of rights. Through the laws adopted by the United Nations, crimes such as torture, apartheid, and genocide, has already been proscribed and made strictly punishable. With regard to element of mens rea, crimes against humanity must be coupled with knowledge of the attack and that it must be part of the widespread attack on civilian population (Cassese, 93). As to the requisite of attack, customary law requires that an attack against civilian should be promoted actively by the state. But under the new law, the requisite has been narrowed down because an attack that has been condoned or tolerated by the state does not automatically become an attack amounting to crimes against humanity. The attack should also involve multiple commissions. Interestingly, the concept of persecution has also been narrowed by the new law. Under the new law, persecution will only fall as a crime against humanity if such would result in the egregiously violate the basic human right, part of widespread or systematic practice, and if discriminatory intent is involved. It can be observed that several drastic changes had been made in the crimes against humanity. Conclusion The historical development of crimes against humanity shows that the term has been established on a weak foundation. Apart from that, the purpose of the term was merely to define the mass killings committed by the Ottoman Turks against Armenia. The statement was originally use for the purpose of defining such crime. But then, changing â€Å"Christianity† into â€Å"Humanity† has complicated several international laws. However, through the weak foundation of the â€Å"crime against humanity† a stronger law to proscribe inhuman, illegal, and lawless actions by private individuals and government authorities has been established. It is also noteworthy that in order for an act to fall as a crime against humanity, several essential elements. It noteworthy that despite customary laws governing the acts of states and people during wartime, the massive killings were not prevented. However, it is also worth noting that the Allies were vigilant enough to act on the abuses committed, especially by Germans. Today, the historical background of crime against humanity and its principle itself has been serving relevant role in the international law. Work cited Cassese, Antonio. International Criminal Law. London: Oxford University Press, 2003.

Tuesday, October 22, 2019

Inside the Meet Lab Analysis and Evaluation

Inside the Meet Lab Analysis and Evaluation Potential Advantages and Disadvantage of Introducing the Meat Lab The advanced development of science and technology allows the world to face the problem of fast-growing population. Due to the salient increase in the meat consumption, integrating the laboratories for growing in vitro meat seems to be reasonable. On the one hand, the production of the lab meat can satisfy the extreme demand for protein. On the other hand, the cultured product differs much from that grown in nature due to the absence of necessary microbes protecting the immune system.Advertising We will write a custom essay sample on Inside the Meet Lab: Analysis and Evaluation specifically for you for only $16.05 $11/page Learn More The latter can be solved in case antibiotics are introduced, but this innovation requires significantly higher costs, which might not justify the overall production of artificial protein. With regard to the above-presented advantages and shortcomings, producing me at in laboratories can threaten to human health because of the possibility of creating a genetically modified product. The natural environment is much more appropriate for sustaining human wellbeing. The laboratory conditions for producing cultured meat are not fully appropriate because most of cells are taken from rats, humans, and rhesus monkeys. Certainly, â€Å"culturing embryonic stem cells would be ideal for this purpose since these cells have an†¦infinite self-renewal capacity† (Bartholet 65). To extract such cells is impossible without killing an animal, or doing harm to them. Moreover, producing artificial meat does not ensure a microbe free environment and, a result, any contamination is a serious threat to the experiment. In addition, there are no analogues of this kind of meat production in the world, which does not contribute to its reliability. Unlike the lab meat, the production of natural meat is not so sophisticated and, therefore, it is more cost-effect ive. What is more important is that breeding domestic animals in an ecologically safe environment guarantees production of high quality meat. It is also possible to grow cattle and poultry at the specialized factories, doing no harm to the natural environment and excluding the threats to the human health. Ensuring sufficient nutrition for livestock also alleviates the potential risk of producing a genetically modified product. Establishing strict standards of quality production is also a guarantor of good meat. Unlike the laboratory production of meat, the traditional techniques are less dangerous to nature because they do not involve use of specific technological processes. Ethical and environmental concerns with producing artificial meat are also under the question. People are aware of the potential threats of producing food in laboratory conditions because the product might lead to serious disorders and diseases, including cancer. Therefore, the idea of cultured meat can be justi fied as soon as meat will go through all known tests and inspections.Advertising Looking for essay on other technology? Let's see if we can help you! Get your first paper with 15% OFF Learn More Bartholet recognizes â€Å"social acceptance as the biggest barrier of all to producing in vitro meat on a commercial scale† (65). Apparently, the scientists should be aware that the people’s attitude to artificial protein might never be changed because there is a growing tendency in consuming natural food only. Succinct overview of scientific explorations and discoveries in the sphere of artificial meat production reveals controversial conclusions. First, in vitro meat cannot substitute the natural meat because of the absence of the necessary micro flora. Second, the laboratory production is not cost-effective, as compared to the traditional one. Finally, growing meat in laboratories cannot be socially accepted, which is the major barrier to commercial integration. Nevertheless, the scientists should spend a plethora of research studies to ensure that cultured meat is as healthy as the natural one before it is promoted to the market. Bartholet, Jeffrey. â€Å"Inside the Meat Lab.† Scientific American 304.6 (2011): 64-69. Web.

Monday, October 21, 2019

Jesus and Muhammad, How they lived their lives

Jesus and Muhammad, How they lived their lives Free Online Research Papers Jesus and Mohammed are the central icons of the largest religions in the world. These are Christianity and Islam. These two icons have influenced the live of more people in the last two thousand years than any other icons to follow. Both of these icons are highly regarded and have influenced many lives. In this paper I plan to show the difference between these two icons and the similarities, and show how they have influenced the lives they have touched. This paper will also trace the historic lives and compare each of their death and the impact this had on each of there religions. This paper will also show how their lives have been applied to today’s world. Jesus was born in Bethlehem sometime between 8 BC and 29 AD. Many Christians believe that Jesus was conceived divinely by the Virgin Mary, although she was married to Joseph the carpenter at the time of Jesus’ birth. There is not much known about his early life, except that he may have been trained to be a carpenter as well. Mohammed is believed to have been born almost 600 years later in the town of Mecca. This is where the Prophet Muhammad was born. Both of these events are believed to have changed the course of history for every human mankind. Much of the early life of Jesus Christ is a mystery to many people. The enormous amount of information on or about Jesus’ life is found in the four gospels of the New Testament in the bible. At the age of 12 Jesus was seen in the temple talking with, listening and teaching many men. It was then that Jesus declared that he was the son of God with a divine purpose here on earth. Jesus at this point in his life lived a traditional Jewish life as a carpenter. (Jesus-Institute, 2006). At the age of 30, Jesus was baptized and recognized by John the Baptist; it was not that he began his earthly ministry (Fisher, 2005). The main points of Jesus’ teaching were that God loves everyone and is always with you. He also wanted everyone to know to love one another, to learn the value of each other that the kingdom of God had come to earth, the reality of judgment to heaven or hell and that God forgives those who speak to him. (Jesus-Institue, 2006). One aspect of Jesus’ teachi ngs, that brought some attention to him, was that he was the son of God sent to Earth to redeem human mankind. This was in direct violation of the Jewish law. For this he was condemned to die. Jesus was put to executed by Pontius Pilate, the governor of ludaea province between CE 26 and 26, some have attempted to date his crucifixion from a possible Crucifixion eclipse, most calculate possible years that the spring full mono could have fallen on a Friday. Jesus is believed to have been risen from the dead by God on the third day. Many of the specific dates of Jesus’ life involve guesswork. When comparing Christianity and Islam, the historical details of Jesus’ life are essential. The earliest records of Jesus are the four Gospel narratives, which were written by Jesus’ followers within the few decades of his death. In the Gospels Jesus repeatedly suggest to his disciples that his end is near, asking them to share bread and wine in his remembrance. On this evening Jesus also predicts that one of his followers would betray him, which is met with astonishment and denial. Jesus was betrayed by Judas, one of is disciples and possibly the group treasurer. Judas led Roman soldiers to Jesus for 30 pieces of silver. Jesus was arrested, and Peter defended his master with a sword slicing off the ear of a centurion. He was reprimanded by Jesus and told to put back your sword and for all who draw the sword would die by the sword. Jesus was brutally beaten, clothed in a mock-royal purple robe and crown of thorns. He then was crucified. This method of execution, entailed nailing or tying the victim’s hands and feet to a wooden cross, and was a slow painful death of asphyxiation. Jesus’ body was taken down from the cross by Joseph of Arimathea, and placed in a tomb carved into rock. Jesus’ mother and one or two other women were the only ones present during this. The same women came to the tomb every Sunday morning to anoint his body with spices. One day they arrived and the tomb had been emptied and rolled away. Later it is believed that Jesus arose from the dead. This belief that Jesus had resurrected makes it possible for people to have peace with God in his life and meet with a favorable end. Many followers believe when they pass on they move to be with God. Today worship of Jesus’ is very similar as it was back when he was still on earth. Many people believe they can go to church and talk to God and Jesus. And many believe that they can be forgiven of their sins by simply talking to them. Today the word of God and Jesus’ is spoken through many ways. By reading the bible, by going to church and listening to a Priest, or by just believing in the words he has given us in the bible and repenting. Muhammad is believed to have been born in the year 570 in the town of Mecca, a mountain town in the desert plateau of western Arabia. His name was given from the Arabic verb Hamada, meaning â€Å"to praise†. He was the first son of Abd Allah bin Al-muttalib and Amina bint Wahb. Abd Allah died before Muhammad’s birth and Muhammad was raised by only his mother. His mother kept up with the Meccan tradition and entrusted her son at an early age to a wet nurse named Halima from the Nomadic tribe of the Sa’d Ibn Bakr. Muhammad grew up in the hill country, and learned their pure Arabic traditions. Muhammad was five or six when his mother took him to Yathrib, and oasis town a few hundred miles north of Mecca, to stay with her relatives. On the journey back to Mecca his mother fell ill and died. She was buried in the village of Abwa on the Mecca-median Road. Halima, his nurse, returned to Mecca with the orphaned Muhammad and placed him in the protection of his paternal grandfather, Abdul Al-Muttalib. Inthis man’s care, Muhammad learned the rudiments of the statecraft. Mecca swas Arabia’s most important pilgrimage center and Abdul was its most respected leader. Muhammad’s grandfather passed away in 578 when Muhammad was about the age of eight. Muhammad was then passed to his paternal uncle Abu Talib. Muhammad grew up in the older man’s home and remained under his protection for many years. When Muhammad grew up he worked as a shepherd to help pay his keep. His uncle lived by modest means, and needed the help on there farm. In his early twenties, Muhammad entered the service of a wealthy Meccan merchant, a widow named Khadija bing Khawalayd. The two were distant cousins. Muhammad worked by carrying her good to the north and returned with her profit. Muhammad was proposed marriage by Khadija. They were wed in about 595, when she was nearly forty. Muhammad continued the managing of the business affairs, and their next years were happy and pleasant. In the next couple of years Muhammad began to make long retreats to a mountain cave outside of town. There he fasted and meditated. On one occasion, after a number of indistinct visionary experiences, Muhammad was visited by an overpowering presence and instructed to recite the words of such beauty and force that he and others gradually attributed them to God. This experience shook Muhammad to the core. Several years passed and he decided to talk to his family about this experience. After, several of these experiences, Muhammad finally began to reveal the messages he was receiving to his tribe. These were gathered verse by verse and later would become the Qur’an, Islam’s sacred scripture. In the next decade, Muhammad and his followers were first belittled and ridiculed, then persecuted and physically attacked for departing from the traditional Mecca way. Muhammad’s message was resolutely monotheistic. For several years, the Quaraysh, Mecca’s dominate trib e, levied a ban on trade with Muhammad’s people. Finally the leaders of Mecca attempted to assassinate Muhammad. In 622, Muhammad and his few hundred followers left Mecca and traveled to Yathrib, the oasis town were his father was laid to rest. The leaders were suffering through a vicious war, and they had invited Muhammad for his wisdom, to become their mediator. Yahtrib soon became known as Medina, the city of the Prophet. Muhammad stayed here for the next six years. He built the first Muslim community and gradually gathered more and more people to follow his preaching. In 630, Muhammad and his followers marched on Mecca and were joined by tribe after tribe along the way. They entered Mecca without any bloodshed, and the Meccans, joined them. Muhammad returned to live in Medina. In the next three years, he consolidated most of the Arabian Peninsula under Islam. In 632, he returned to Mecca one last time to perform a pilgrimage, and tens of thousands of Muslims joined him. After the pilgrimage, he returned to Medina. Three months later on June 8, 632 Muhammad passed away. His word lived on and spread as far as Morocco, France and Spain. Muhammad and Jesus had the same visions. They believed in their teaching, beliefs and values. The both mad pilgrimages to other parts of there land and tried to make people see what they believed in. In most of their teaching the beliefs were the same. Muhammad died of natural causes, Jesus died for us to be free of sins. They both traveled and tried to make there words known throughout many lands. REFERENCES Peter Schfer. (MARCH 2008). WWW.RELIGIONFACTS.COM. In LIFE OF JESUS. pbs.org/muhammad/timeline_html.shtml Research Papers on Jesus and Muhammad, How they lived their livesComparison: Letter from Birmingham and CritoCanaanite Influence on the Early Israelite ReligionCapital PunishmentPersonal Experience with Teen PregnancyHip-Hop is ArtMind TravelQuebec and CanadaThe Spring and Autumn19 Century Society: A Deeply Divided EraThree Concepts of Psychodynamic

Sunday, October 20, 2019

Interview How to sometimes say no to your editor

Interview How to sometimes say no to your editor How to sometimes say 'no' to your editor - An interview with Gale Winskill Our 9th #freelancerfriday interview: â€Å"It does really worry me when authors take every suggestion that I make and implement it. I worry that they don’t believe enough in their own book. An author should always feel they can come back and say â€Å"I hate your suggestions but I accept that my original doesn’t work.† That’s healthy and that’s good. They can understand why you’ve made the criticism, but can then go away and find their own solution to a problem.†Gale Winskill  is a great editor. She offers the full set of editorial services, with a portfolio proving experience in an enormous variety of genres - including a strong background in editing children’s fiction. Below we talk plot-structure, polyediting, and a healthy way to work with an editor. Enjoy!What services do you provide?Mostly editing, proofreading and critiques, although I also do some training. I work with a variety of genres: a lot of fiction editing, bot h for adults and for children; a lot of academic editing for non-native speakers of English; non-fiction; children’s picture books; and manuscript critiques.Are there differences between editing adult and children’s fiction?Not very many. The basics of plot structure are essentially the same for both. The main difference is checking that the content is appropriate for the age group, that you’re talking about subjects that they can understand and follow, and that the language level is also suitable for the age category concerned.What do editors do for authors?The editor is the most critical reader you will ever encounter as an author. As an editor your role is partly to spot things that will be criticised, as well as what’s strong. An editor tries to make sure that the author doesn’t fall into those pitfalls. The author has an opportunity to address any weakness that might open their work  up to criticism before the book goes to print. The editor is very much a reader, first and foremost.Two editors will never think the same way, just as  two readers will find different things in the same text. I may have to tell an author that I can see why they did something one way, but that it may be perceived in a different way by readers. But how the author decides to address that is up to them. Your professional duty as an editor extends to telling an author what strikes you about a text, but at the end of the day it’s the author’s prerogative to ignore everything an editor says, as ultimately it’s their book.Is working with multiple editors a good practice for authors? Does having second opinions help?I think it usually ends up a mess. An author should find an editor they like and - while they don’t have to agree with everything the editor says - one they can work with.  If you have multiple editors it can be confusing. I might feel a particular character doesn’t work for a particular reason, wh ereas another editor might not see a problem. For authors, I don’t see how they can follow one person’s train of thought if they’re trying to compare that with another person’s train of thought.However, there’s a different argument for having more than one critique of a book. It might be interesting to see what various people pick up from reading a book without having them pull it apart.What kind of advice are you able to give an author?Judging by the responses of my authors, I’m good at spotting the weaknesses in a text and offering suggestions on how to resolve it. It does really worry me when authors take every suggestion that I make and implement it. I worry that they don’t believe enough in their own book. An author should always feel they can come back and say â€Å"I hate your suggestions but I accept that my original doesn’t work.† That’s healthy and that’s good. They can understand why you’v e made the criticism, but can then go away and find their own solution to a problem. Authors have told me that they knew something wasn’t working but couldn’t work out why. Once they know the reason they can go away and redraft it. I think authors prefer to be told when a book isn’t publishable in it’s current state but that it could be made to work if they do this and that, as opposed to publishing online and being slated. Authors appreciate criticism so long as it’s constructive, justified, and given in a diplomatic fashion.When should an author approach you with a work-in-progress? After the first draft is completed?Unless I’ve worked with an author for a while and I’m familiar with their work, I don’t like working on a book in pieces. As I work through the book I may change my mind about what I said in the first few chapters. If people send the work piecemeal, I don’t get a sense of the whole. I suggest to new author s that until they’re at the end of the process and are ready to submit it for editing, my seeing it doesn’t benefit them. It’s more constructive when the editor’s opinion is formed in one go.Thank you for your time Gale.

Saturday, October 19, 2019

Organic Thin Film Transistor Research Paper Example | Topics and Well Written Essays - 2000 words

Organic Thin Film Transistor - Research Paper Example The top diagram (a) shows a top contact device in which the two (source and drain) electrodes are evaporated onto the semiconducting layer by applying a mask and the bottom diagram (b) shows a bottom contact device in which the semiconductor is deposited onto the gate insulator with prefabricated electrodes. Studies on organic semiconductors began in the 1940s and these components were mostly used in xerography due to their photoconductive properties. They have only gained more widespread attention in recent years due to impressive performance and efficiency improvements making it possible for a wider range of further applications. In particular, the considerable improvements in OTFTs have led to an enhanced understanding of their conduction mechanisms and performance characteristics, and fabrication technologies have been developed for optimising their morphology and structural order2. It should also be noted however, that despite the advancement in OTFTs and increasing uses for them, they are still not able to replace the more common inorganic based TFTs for certain applications in which faster switching speeds are required. This is due to their still relatively low mobility, despite considerable improvement in this regard, as shown in the chart below3. On the other hand, OTFTs are better suited where large area coverage is required and they offer compelling advantages of low cost, low temperature processing and structural flexibility. This makes them especially useful for switching in active matrix flat panel displays that consist of liquid crystal pixels or organic LEDs, for radio frequency identification tags (RFIDs), etc. As with inorganic semiconductors, organic semiconductors are also directly affected by such features as purity, crystallinity, molecular packing and growth mode4. The microstructure and morphology of all transistor devices are therefore important because they determine their electrical

Friday, October 18, 2019

US-Britain industrial power Essay Example | Topics and Well Written Essays - 1750 words

US-Britain industrial power - Essay Example The Britain remained evidently predominant in the nineteenth century among the world powers as consequence of tremendous economic and industrial expansion in the eighteenth century. The British firms had expanded and export trade boomed vigorously in the industrial revolution.This paper investigates into the reasons that enabled the United States to replace the Britain as the world's leading industrial power after the time when Britain used to dominate the world with its industrial strength. Evidently, there happened to be several causes underlying the sharp decline in the British dominance among all the powerful countries in the world. In the same manner, there were various reasons that served to be the supporting elements for the economy and industry of United States to supersede the position of Britain.Apparently there happened to be abounding reasons behind the deterioration of British industrial and economic power in the late nineteenth century. Britain's economic diminution was in fact a consequence of the decline in the country's industrial potency that happened to be the backbone of the country's growth in the eighteenth century. However, this industrial failure did not erupt out of nothing, rather it too was an aftermath of several factors and events responsible for undermining the British industrial ascendance in the world.One of the pre-eminent causes of the failure of British industrial power was also the country's technical training and education system. The country, due to its highly advanced technical training system, produced and accumulated a large number of trained and high calibre workers for some industries. This turned out to be negative for various industrial sectors in the long run, as the country immensely began to lose unskilled workers that could perform duties on machines in the factory. This problem was faced by most of the industries in Britain, causing them to run high on costs and consequently low on profits. The British industry also lacked the most substantial ingredient i.e., machine tools required for technological excogitation in the manufacturing sector of the industry. Britain remained far behind on this ground that could have otherwise backed the deteriorating industrial strength of the country. The machine tool industry had been flourishing in the early period of British industrial development but the growth in this industry came to a gradual halt in the early twentieth century. This backwardness marked the inability of British industry to cope with the technological prerequisites of that era and the country seriously lacked behind on the technological edge. Another significant factors underlying the fall of British dominance was also that it seriously lagged on the ground of export in the late nineteenth century as compared to United States. The growth in export witnessed in the earlier decades started to tumble down and imports, on the contrary, took on a rising trend. At this time, most prominently, the United States was advancing in export trade through technological advancement and thus started to captivate even the portions of markets in Britain. This had a severe impact on the British economy and thus it started to lose dominance over other countries. This happened primarily because the Britain failed to advance in terms of new technology and as a result, the country's export trade started to decline. Free trade policies inflicted serious harms to the British industrial expansion. The country perpetually adopted the free trade policy enhancing the free flow of imported goods into the market without any restriction. This resulted in an outbreak of international

Review paper for optical-Ct gel-dosimetry Article

Review paper for optical-Ct gel-dosimetry - Article Example This new system incorporates the use of both Optical Computer Tomography (CT) Scanning and Gel- Dosimetry which as shall be shown do deliver dose maps with high degrees of resolution, precision and accuracy. 2. Introduction One of the key elements in the world is the aspect of radiation treatment. This has come in handy in the fight against some of the world’s deadliest ailments which the scientific world has always grappled with to fix. A major part of radiation treatment is radiation dosimetry which has had an increased need for a system that has a high degree of accuracy, precision and efficiency in the measuring of dose and in full 3D and high resolution (INTERNATIONAL CONFERENCE ON 3D RADIATION DOSIMETRY, & OLDHAM, M 2010). A lot of work has gone into the traditional systems like the Fricke dosimetry and this has had a tremendous result which is manifested by the effectiveness of Gel-dosimetry. A further development has seen the incorporation of Optical Computer Tomograph y (CT) Scanning into the system of Gel-dosimetry and this complementary system has been observed to have a high degree of accuracy, precision and efficiency. The main objective of this paper is to manifest the authenticity of this statement. In an effort to prove the effectiveness of the newly developed system, an experimental setup was put in place which has delivered results that have received thumbs up from the scientific world. The setup makes use of some 2-dimensional images from defined planes in a gel-dosimeter that is well constructed from a perfect design. Moreover, the performance of Optical Computer Tomography (CT) Scanning is compared with that of a MR scanning with focus being on accuracy and sensitivity of imaging, calibration, resolution and noise in the images of dosimetry. Work has been done to eliminate the sources of geometric distortion and optical artifacts in optical Computer Tomography Scanning. The new design has mechanisms to compensate for refraction, refle ction, signal drift, water-bath imperfections amongst other factors that cause incorrect reconstructions of coefficients of absolute attenuation. It is also the objective of this paper to show that indeed for phantoms which are used in the validation of optical CT scanners used together with the polymerizing gel dosimeters that are radiation induced, stable gel materials are needed. Phantoms on which light dyes are added are the basis of the simulation used as gel dosimeters. More accurate simulations are done with the use of phantoms with light scattering suspensions of colloidal mixed with the gal. 3. Body An experimental setup to prove the effectiveness of the newly developed system involved filling up three identical flasks with 300cc MGS Research BANG3â„ ¢ gel. The flasks had their heads stopped with a threaded screw allowing vertical mounting of the flask into the desired optical scanner as well as head phantom. One of the flasks was used in the study of a complex radio sur gical delivery as a dosimeter while the other two were used to examine calibration issues of gel. The two gel-flasks of calibration were put in a birth of water upright and 6MV beams of radiosurgery used to irradiate them shooting through their flat bases vertically upward. The beams gave doses of 1.5, 0.75, and 0.25 Gy into the first flask and in the second one 1.25, 1.0 and 0.5 Gy. Before the end of 48 hours, these flasks were scanned using both imaging modalities. Data on calibration was gotten by taking the

CanGo Business Issues Essay Example | Topics and Well Written Essays - 500 words

CanGo Business Issues - Essay Example Lack of vision and mission statementsCanGo does not have a vision or a mission statement. A vision statement indicates where the where the company wants to be and the time frame within which the company expects to achieve its vision. A mission statement clearly indicates the purpose for which the business was created and its standards of behavior.CanGo’s management team should prepare both a vision and a mission statement which will guide its strategic plan. Both the vision and mission statement will act as a guide to CanGo in its uncertain business environment. The vision and mission will help direct the company in terms of the decisions that management makes. Decisions should be consistent with the vision and mission of the company. Issue #2: Lack of a strategic plan CanGo’s management does not have a strategic plan. Although CanGo is said to be the fastest growing company in the Hudson Valley there is no plan in place to achieve this status. According to Liz it is an accident. The formulation of a strategic plan is very important in any business. According to Daft (2007) the best way to control the operation of a business is through strategic planning. The company has ill-conceived ideas of having done the right things. They lack a proper understanding of the strategic management process and how to gain and maintain a competitive advantage over their competitors. There is no indication of the vision and mission of the company; plans are just made as the managers go along.

Thursday, October 17, 2019

Color and the Visible Spectrum Research Paper Example | Topics and Well Written Essays - 1250 words - 1

Color and the Visible Spectrum - Research Paper Example The visible spectrum range is located on the electromagnetic spectrum within ranging from 780 nanometer to 390 nanometers. The narrow band forms the ROYGBIV, as will be discussed in the body of the project. The following is a representation of a visible light spectrum within the electromagnetic wave spectrum: From the image above, it is clear that within each spectrum division of visible light range there is a particular color to that cause. Consequently, this brings the concept of retina perceiving specific color sensation when light consisting of certain wavelength drops on the retina. Isaac Newtont illustrates this aspect by using the light shining on prism. The prism divides the light shining through into various wavelengths thereby showing the various color components of the visible light. Each color produced therein is a representation of a particular wavelength; the wavelengths are what cause the varying amounts of bend exhibited by each color. upon this discussion comes the aspect of dispersion, which is simply refers to the process of separation of visible light into various distinct colors. In the presence of a prism, as shown in the image, dispersion of visible light results to the colors red (R), orange (O), yellow (Y), green (G), blue (B), and violet (V) (Gomes & Velho, 98). The abbreviations therein give visible light the name ROY G BIV (Even though Indigo (I) is usually not depicted within the spectrum range, it is arbitrarily added to produce a vowel for Roy’s name that comes last). From the spectrum, red has the longer wavelengths meaning it can be easily seen while violet has the shorted wavelength, which confirm the rarity of human eye seeing it. The following is an image showing the visible light spectrum with description: The distinct types of cones characterized by photo-pigments in humans, allows them to have sensitivity to three

The Rise & Fall of a Billion Dollar Company Enron Term Paper

The Rise & Fall of a Billion Dollar Company Enron - Term Paper Example In the year 1999, the company introduced its broadband services named as Enron Online, which was a website for trading commodities that enabled the company to acquire the largest position in the globe. A major chunk of business was acquired from online trade business (Fox, 2003). Growth of Enron over the years was tremendous.  In the year 2000, the company's annual revenue touched the new heights of USD 100 billion. It  stood at the position of the seventh largest company of the world as reported by the Fortune 500 and the sixth largest business entity in energy sector of the world. The company's stock price at capital market witnessed its peak that was 90 USD (Fusaro & Miller, 2002). Every one knew that Enron was the billionaire business conglomerate of the United States of America housed in Houston, Texas. The prime business of this entity was energy, commodities and services before it was declared bankrupt in the year 2001. It employed more than 20,000 employees to deal with t heir electricity natural gas, communication, pulp and paper company businesses that generated revenue around 101 billion USD (Fusaro & Miller, 2002). The renowned business magazine â€Å"Fortune† placed Enron as America’s the most innovative company for consecutive six years. In the year 2001, the signs of financial frauds came to surface in the said company. This had created a storm in the corporate world. With this financial scam, many questions were raised about the efficiency of standard accounting practice. To overcome this situation in future, the legislators of USA created Sarbanes Oxley Act of 2002 (McLean & Elkind, 2003). The dissolution of Arthur Anderson accounting firm had jolted number of companies around the world. The Enron financial scam was considered as one of the biggest and perhaps most complex bankruptcy cases in the history of United States of America (Fox, 2003). Incumbents In the year 1990, Jeff Skilling, Chief Financial Officer, hired Andrew Fa stow, who was well versed with the tricks of the trade wanted to exploit the energy market. To achieve the desired goal, Fastow established numerous entities to handle common business practices. It also allowed Enron to place liability in order to maintain a robust growth of stock price to keep its critical investment grade credit ratings intact (Swartz & Watkins, 2003). Kenneth Lee "Ken" Lay was an American businessman whose role in terms of widely reported corruption that caused the downfall of Enron cannot be undermined. He and Enron became the part and parcel of corporate abuse and accounting fraud. Lay was enjoying the status of CEO and Chairman of Enron over a period of two decades till his resignation (Brewer & Hansen, 2002). In the year 2004, Lay was indicted by a constituted grand jury on 11 counts concerning securities’ frauds. The trial of Lay and Skilling began in Houston wherein Lay was found guilty on account of committing and abetting financial frauds. The comp etent court of law awarded him punishment on 10 counts leaving the 11th count relating to securities fraud, making false and misleading statements. Each count as per American Law attracted maximum 5 to 10 years rigorous imprisonment (Hodak, 2007). In the year 1999, Jeff Skilling raised the cash by selling off his assets to overcome the paucity of funds. The assets of Enron Oil and Gas Company were put on sale for gaining information about the market value. The company ran its business smoothly

Wednesday, October 16, 2019

Color and the Visible Spectrum Research Paper Example | Topics and Well Written Essays - 1250 words - 1

Color and the Visible Spectrum - Research Paper Example The visible spectrum range is located on the electromagnetic spectrum within ranging from 780 nanometer to 390 nanometers. The narrow band forms the ROYGBIV, as will be discussed in the body of the project. The following is a representation of a visible light spectrum within the electromagnetic wave spectrum: From the image above, it is clear that within each spectrum division of visible light range there is a particular color to that cause. Consequently, this brings the concept of retina perceiving specific color sensation when light consisting of certain wavelength drops on the retina. Isaac Newtont illustrates this aspect by using the light shining on prism. The prism divides the light shining through into various wavelengths thereby showing the various color components of the visible light. Each color produced therein is a representation of a particular wavelength; the wavelengths are what cause the varying amounts of bend exhibited by each color. upon this discussion comes the aspect of dispersion, which is simply refers to the process of separation of visible light into various distinct colors. In the presence of a prism, as shown in the image, dispersion of visible light results to the colors red (R), orange (O), yellow (Y), green (G), blue (B), and violet (V) (Gomes & Velho, 98). The abbreviations therein give visible light the name ROY G BIV (Even though Indigo (I) is usually not depicted within the spectrum range, it is arbitrarily added to produce a vowel for Roy’s name that comes last). From the spectrum, red has the longer wavelengths meaning it can be easily seen while violet has the shorted wavelength, which confirm the rarity of human eye seeing it. The following is an image showing the visible light spectrum with description: The distinct types of cones characterized by photo-pigments in humans, allows them to have sensitivity to three

Tuesday, October 15, 2019

Analyse an Advert and Prequel to it in Depth Essay Example for Free

Analyse an Advert and Prequel to it in Depth Essay Advertising is one of the worlds foremost businesses. Companies use this media to communicate their ideas, products and messages to the general public. This is one type of advert, which is used to draw people to donate to a cause. It is called an appeal. This appeal is from Help The Aged, a fairly large charity, dedicated to helping the older and less able people. This particular advert is for the SeniorLink pendant, a small telephone pendant that helps people when they get into trouble where they cant reach the phone, because they are immobilised. I will analyse this form of the appeal and elaborate the techniques and tricks used to convince people to part with their money. This form of the appeal is a leaflet. Leaflets can be specially designed to appeal to a particular audience or aspect of society; this leaflet is aimed at anyone who has money. The purpose of it is to convince these people that their product is: reliable; fast acting; state-of-the-art; easy-to-use and most of all, lifesaving. If it succeeds than Help The Aged will get their reward of a donation that, in theory, should then be spent on the pensioners. The advert uses several conventions to convey their tricks and tactics to the target audience. I will elaborate these as I examine the advert. On the first part of the leaflet (The Front) we see Vera alive and well, along with a caption to the picture that, arguably, could be seen as the title to the leaflet. The photograph of Vera depicts her as smiling, cheerful and in good health. From this, empathy is drawn from the audience, giving the advert a good note from which to begin with. It can also be seen as a pointer to what the outcome of the event is, in a similar way to the introduction to Romeo and Juliet. The caption or title of the leaflet is in large, white, bold, capitalised text, which is mapped on a black background. This is to make the text stand out considerably, as there is no bigger contrast than black and white. At the end of the text is an ellipsis. This adds to the beckoning feel of the text that makes the audience want to read on. The second part of the advert or Middle of the leaflet is a transcript of the conversation between Lyn, a SeniorLink operator, and Vera Smith, an old woman in distress. The sheet is in four parts: A quotation, used as a title An introduction to the transcript The telephone conversation, recorded as a transcript And an epilogue to the piece. The quotation to the page is in a similar style to the original caption, in the first part. It shares the same bold, white on black style, however it is not all in capitals. This is because it is a quotation from Vera, presumably from after her ordeal. This is to show again that she recovered and that she owes her life to the SeniorLink pendant. Next is an introduction to the transcript. It starts with an introductory sentence that uses simple adjectives and sentence structure to describe the characters. Next comes the setting of the scene, where Veras predicament takes shape. One sentence is underlined, this sentence: To her horror is highlighted to make it stand out more, as it is shocking and important. The intro ends with another ellipsis, opening the way for the transcript. Just before the transcript is a picture of both Lyn and Vera, depicted as happy, this is showing: how good the receiving staff is and how pleased Vera is to be alive. The transcript itself is 16 lines long, combining playscript style speech and bold typed event explanations. The playscript reads like normal speech, Vera pauses and the text is punctuated appropriately, Please Help me! The language is different for Vera and Lyn, Vera sounds helpless and afraid, while Lyn sounds calm and efficient. At three intervals the scripting cuts into a short explanatory line, distinguished by its bold enhancement. These explain what is happening, like directors notes. We are expected to give the appeal some trust and believe that the conversation really happened. Finally there is an epilogue where, using reassuring text, they bring this ordeal to an end. They finish this section by emphasising that the SeniorLink saves lives. The final part of the advert, the back, is the possibly the most important. It is the advert in full, the appeal or the explanation section. It is nine paragraphs that encompass all of the emotion, drawn from before and add to it, then channel it into giving a donation. The title of the piece is large, bold and eye-catching. It is presumably a joke to suggest that she could, hear voices as some old people develop insanity. Otherwise the comment that she is alive because she could hear voices is a stupid one and not thought out. The first paragraph is an assurance that Vera made a full recovery, thanks to the SeniorLink system. This is to put worried minds at rest. Then in clear bold text it says: But many other elderly people arent so lucky, This shows that next the appeal will give information, possibly facts on old people that didnt make it through their ordeals. Paragraph 2 is apparently a factual one, where they give you shocking statistics on how many people dont survive each week. This is supposed to appeal to your human nature and lull you into wanting to help decrease this statistic. Next comes another single line of text that prepares you for upcoming information. It is underlined and utilises an emphasising adverb, which is describing an adjective, tragic. This is used to change it from being tragic to really tragic, emphasis. The next two paragraphs are two cases, which are utilised to shock you further, and again to appeal to your Human side. The fifth paragraph is in bold text and is designed to be reliving after the heavy emotion carrying paragraphs. It is positive and righteous. It opens with a statement of good, Yet tragedy can be avoided This is showing the gold horizon, while saying that our cause is the most important cause. Then in the second sentence it uses the mysterious inference again: Hearing Voices In the sixth paragraph the appeal itself surfaces and they make their quick request for money, while surrounding it with ideas of stopping unnecessary deaths and the strange voice inference again. The donation request itself is only five words long, out of the whole advert. It is short and enveloped to try to mask their intentions, while making it stand out in your mind. Also in this paragraph two words are underlined to add emphasis on their aims. The next paragraph is a short direct paragraph and adds a little more emphasis on the pendant itself. Paragraph eight is the technical element, it explains exactly what the pendant is, wrapped in technical terms to show that this is cutting edge technology and is really effective. The text ends with a warm climax ands shows one last time that the pendant is an amazing thing. The logo of Help The Aged is a rising sun, symbolising that there is dawning hope and always a light for old people. In conclusion, the advert uses most of the persuasive techniques in the handbook, from simple adjectives and bold text to psychological hints and shocking facts. However I would say that the advert has been worked at: psychologically wise, everything is in the right place, and the things that should stand out do stand out. At every step of the way they have used persuasive writing, showing that: Vera survived because of the pendant, The pendant is efficient and will always work, Pensioners without a pendant die frequently, Preventing the deaths is easy: donate money. On a personal level I wasnt convinced, I saw the IT tricks and psychological hints as insults, and saw right through them. Perhaps Im wrong, and I just am not human enough to see that they really are doing good in the world. But, most people would or should give money as it is fairly well thought through and has pretty shocking facts, if theyre true. I have learned that advertising is a crooked business and has many ways of persuasion. It does take a lot of thought.

Monday, October 14, 2019

Environmental Degradation: Causes and Effects

Environmental Degradation: Causes and Effects Introduction Thesis statement and Purpose statement Nowadays, the development of urbanization, which causes concentrated human population and habitat in small areas, has occurred at a very quick pace. Urban standard of living has risen roughly on the basis of technical innovations and changes in social structure. However, at the same time, there is a widespread concern about unsustainable city development and infrastructure due to the inequality between the progress and the environmental threat (Boyce, 1994, 18). The economic development brings both prosperity for people and damage to the environment, which includes air, water and soil pollution. Lovejoy (1993, p.125) argued this common occurrence is rampantly increasing all over the world, particular in developing countries. With limited time and resources, this paper will explore some common features of urban environmental degradation based on the authors experiences and geographical perspectives of Vietnam. The aim of this paper is to identify what urban environmental degradation is, and then understand the reasons and effects of this issue. From this basis, the research will refer to some assumptions and implications of other authors work and examples before suggesting some possible solutions to ensure the sustainability for new urban developments as well as the environment. Definition of urban environmental degradation Recognition of an environmental degradation is essential for the management of urban environment. Hackett (1993, pg. 116) writes that urban degradation is a result of the rapid growth in urban population and industrialization which causes many negative impacts on the urban landscapes and living quality of cities, such as poor quality housing, inadequate infrastructure and industrial pollution. Simultaneously, some factors seriously affect the environment as well as the balance of nature. According to Bolay et al. (1997, p. 185), urban environmental problems such as air and water pollution and solid wastes are becoming more serious in developing countries, and Vietnam in particular. Most cities in Vietnam have a high level of population density compared to other countries in the world. There are, for example, more than 23,000 inhabitants per square kilometers in Ho Chi Minh City (HCMC). The shortage of infrastructure and urban services in those cities has become alarming, which has led to the city amenities not being able to meet the enormous population demand (Bolay et al. (1997, p. 189)). Therefore, pollution of surface and underground water, soil and air by households and production has increased roughly these days. It is expected that the Government would take immediate measures in this issue by identifying and suggesting possible solutions to reduce these effects in order to improve the quality of the urban environmental. As can be seen in the Figure 1, urbanized area in HCMC has been expanding rapidly in the past five years. The population has roughly increased in the fringe areas of HCMC, while decreased in the city center (particular in District 1, 3 the centre Business district (CBD)) from 1999. This partly reflects the changes in the land prices. Higher land prices in the city center are affecting population decrease in that area and population increase in suburban areas. Besides, we can predict that the housing development of HCMC would increase in the West and Northwest directions and start occurring in East and South directions in the next ten years. Problem analysis Urbanization causes an overload on infrastructure, particularly in road network, water supply systems and drainage. As Lovejoy (1993, p. 126) referred, the sudden increase in population puts the city under pressure of basic infrastructure demand. There are many requirements for the expanding urban areas, rising food, water and infrastructure quality as well as offering more jobs. To cater for these demands, industrial companies have to increase products and exploit resources as fully as possible. This creates many environmental problems because the natural resources and urban amenities are limited (Satterthwaite, 2009, p. 546). The major problem of urban degradation is air and water pollution. In urbanized cities, air and water pollution is mainly emitted through industrial activities, especially from the production of electricity generated by fossil fuels. Transportation, households, hospitals, laboratories and pesticide used for crops are also responsible for the release of these pollutants into the environment (Satterthwaite, 2009, p. 546-547). Consequently, this dumping of dangerous waste on open sites produces poisoned air and water probably makes people living around the site suffer from diseases simultaneously increasing the incidence of allergies and other symptoms. In HCMC, due to the progress of urbanization, the quality of air and water gradually decrease these years. It can be seen from Figure 2, since 2003, the index of air pollutions has dropped dramatically and the water quality has been below the standard of Vietnam (TCVN). Especially, because the city residents are accustomed to using motorbike, the emissions from motor vehicles contribute high concentrations of air pollutants and smoke. Therefore, pollutions from traffic congestion are becoming one of the most serious environmental issues in HCMC. In addition, urbanization causes population density and increases the demands on urban amenities. Lovejoy (1993, p. 124) states most new dwelling places have no civic facilities, such as water supply, drainage, roads People living in these places discharge rubbish and dirty water directly to channels and rivers as they used to in rural areas. This condition leads to establish the new slums with many environmental and social problems. There are two basic reasons for the disordered urbanization for the past few years which involve the roles of local Government and residents. The first reason is the lack of specific urban planning. The urban planning management is rather passive and mainly depends on experiences (Lovejoy, 1993, p. 124). In many countries, local governments do not know exactly what the function of a specific land will be and how to control this issue effectively. Investor demands hardly meet government approval, and even worse, several projects have not been able to persuade local residents to accept and be carried out (Satterthwaite, 2009, p. 559). The other factor is the awareness of community about environment problems. Majority of residents are just aware of the visual environmental problems in short-term such as noise pollutions and smoke while the solid wastes and underground water pollutions are actually the elements destroying the natural systems in long-term. As a result, it is necessary to establish more and more education programs for citizens in attempt to rise the understanding of community in the quality of urban environment (Bolay et al. (1997, p. 192). Solutions: In my point of view, to improve the living quality and solve the environmental degradation, the government should establish a comprehensive planning system which includes socio-economic development plan, urban construction plan and land use plan. Planning should regulate where it is appropriate to have certain functions located, where it is necessary to have waste disposal sites or green areas and where is suitable to build industrial zones Besides, urban planning should take into account many other factors such as infrastructure and relevant works, making it favorable for development of an area where urbanization is taking place. As an illustration, Figure 3 shows an example of land use plan which respects the natural principles and probably leads to a sustainable development area. An establishment of laws, regulations and guidelines is also necessary in implementation of the Urban Master plans in each level, such as General plans and Detailed plans. For example, policy makers should establish specific socio-economic characteristics in each local area in order to make new and specific policies for urbanizing areas, which should be different from policies for districts already urbanized. Besides, apply indirect tools such as economic measures, including penalties that a production or company have to pay whenever it causes pollution, is also useful in avoiding the increase of urban environmental degradation. Conclusions Urbanization has clearly caused impacts on the city economic structure, especially in urbanized areas. There are positive changes in many social aspects. There is also environmental deterioration and pollution. If people are not noticed and properly solved, this issue will result in extremely consequences and cause negative impacts on the citys urban sustainable development. References Bolay, J.C Cartoux, S Cunha, A Du, T.T.N Bassand, M 1997, Sustainable Development and Urban Growth: Precarious Habitat and Water Management in Ho Chi Minh city, Vietnam, Habitat INTL., Vol. 21, No. 2, pp. 185-197, Elsevier Science, viewed 14 Dec 2009,. Boyce, J-K 1994, Inequality as a Cause of Environmental Degradation, Ecological Economics, vol. 11, pp. 1-20, Political Economy Research Institute, viewed 12 Dec 2009,. Chiapponi, M 1992, Environmental management and planning: The role of spatial and temporal scales, Ekistics 356-357, pp. 306-310. Hackett, B 1993, A landscape basis for planning, Ekistics 360 361, pp. 116-118. Lovejoy, D 1993, The vital role of the landscape architect in solving environmental problems, Ekistics 360 361, pp. 124 126. Satterthwaite, D 2009, The implications of population growth and urbanization for climate change, Environment and Urbanization 2009, vol. 21, pp. 545, Sage, viewed 17 Dec 2009,http://eau.sagepub.com >

Sunday, October 13, 2019

Some Esential Points in Reading The Critique of Pure Reason :: Modern Philosophy Research Papers

Some Esential Points in Reading The Critique of Pure Reason ABSTRACT: (1) Things are not to be found in the Critique (real things also called physical objects-an epochà © 'avant la lettre' as in Husserl). The things as appearances are only Vorstellungen (representatio, B376). Confusion arrives because Kant calls these objects with the same names employed in the language of common sense for designating the things. (2) Due to the absence of these things, nothing is said concerning the relation between things and empirical objects (things as appearances, Erscheinungen). (3) Things in themselves, considered in the abstraction of sensible receptivity, are for this very abstraction, unknowable. Consequently, they cannot be considered as the origin of appearances. (4) I propose an explanation of the relation mentioned in (2). (5) What is the use of the Critique of so strange a conception as the thing in itself instead of simply mentioning real things and their representations in the subject? (6) Mind is not an adequate translation of the German gem à ¼t. I think subject is better. At this paper I shall limit myself to expose only two items as possible themes of an adequate reading of the Critique. (1a) According to the imposed extension of the paper a detailed treatment is not to be found here. These two themes are: the first one, things and things in themselves. The other one, the translation of the German word Gemà ¼t as subject and not as mind or spirit. Previous Definitions Two languages will be used: one of them it's Kant's exposition of his sistem, the transcendental idealism (TI) and the other one, designated as the common sense language (CSL), the colloquial language concerning Husserl's natural actitude. (1) In this later one, the things are the so called real things or physical objects, things we can see, touch and handle and modify them according to determinate purposes In this paper I shall refer only to this kind of things, simply calling them things. It is no necessary, I think to mention each time that Aristoteles defines these things as being in the mode of fusis and techne. (2) Heidegger also defines them as the natural things (3) When we are looking at something — a state of things — in this same action a representation appears in conscience of that we are looking at. We erroneously believe that we truly see things directly, but instead what we really do is to become conscious of the representation of the thing.

Saturday, October 12, 2019

Geologist :: essays research papers fc

Geologist The goal in mineral exploraion is to find imperious meatless. It’s what they call Ore. Ore is a mineral that have a lot of value. To find ore you want to identify target areas. Overtime narrow it down and pin point the ore of the minerals. The way geologists do this is first they would look at geological maps that show worth different rock types. Sometimes they use maps that people have already made. Geologist also uses geophysical maps to find out the different properties of rocks. Geologist use magnetic instruments to find out were magnetic rocks are. The rocks that have metal in them are magnetic. Gold and silver have different electrical signals then rocks without gold and silver.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Step two is to go in the field and try to find the rocks. Then geologist would pick different types of soil, and rock samples. Then they would take the samples to the lavatory an analyze them. If they are a high amount of gold, silver, and zinc. Geologist would call that a good area.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   If the site looked promising then the next step is they would bring in a drill. And they would drill through the rock anywhere from 100 to 500 feet. Then a geologist would look at the rock samples from drilling and have them tested at a lab.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The educational requirements for a geologist are a minimum of a bachelor’s degree in geology. The average salary for a year is anywhere from 25,00 to 70,000.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Right now there are a lot of job opportunities for geologist in South America. That’s why I would choose to live and work in South America. The geography in South America is rugged mountain terrain. Some leisure activities are skiing,snowboarding, and mountain climbing. That’s why I think South America would be a great place to live for my type of job.

Friday, October 11, 2019

Shareholders Activism

What is shareholder activism? In the last decade, and especially after the global financial crisis, shareholders of publicly listed companies have started to be more active and advance their views to the board of directors. It should be noted right from the beginning that the intensity of the shareholders activism is not correlated with the state of economy.Therefore, the management of a publicly traded company should not assume that in times of relatively strong economy shareholders will turn a blind eye to issues affecting them (Taylor Wessing LLP, 2012, p. 1). To better understand the concept of shareholder activism, a tentative definition is required. According to the European Corporate Governance Institute (ECGI), â€Å"shareholder activism is the way in which shareholders can assert their power as owners of the company to influence its behaviour† (ECGI, n.d. , para. 1).Shareholder activism has both proponents and opponents. Those sympathising the emancipation of the shar eholders argue that â€Å"when companies perform poorly, shareholders activists are said to play the role of fire brigades that bring about change and more quickly than would have been the case had the fire brigade been on strike† (ECGI, n. d, para. 3). On the other hand, opponents think of shareholder activism as â€Å"a euphemism for disruptive, uninformed, populist ranting† (ECGI, n.d. , para. 4).The rise of shareholder activism in Canada and abroad In the world of business the concept of shareholder activism has lost its novelty a long time ago. However, the last few years saw an increase in the level of this kind of activity. â€Å"Investors appear to be feeling increasingly empowered to intervene in the management of public companies† (Taylor Wessing LLP, 2012, p. 2). The reasons are multiple.Mediatized international scandals involving some of the biggest companies in the United States of America, such as Enron and Worldcom, have led to changes in the legi slation regarding the corporate governance and the directors’ independence. Moreover, the public access to information on unjustified executive compensation and bonuses, and the recent financial crisis have put the shareholders’ patience to test. Closer to home, some changes in the Canadian corporate law have encouraged shareholders to take action whenever they felt their interests were not properly considered by the management.In an interview for Calgary Herald, Noralee Bradley, a partner with Osler, Hoskin & Harcourt, points out some of the changes in the Canadian legislation: A request by five per cent of shareholders can now compel a company to call a shareholder meeting; proxies can now be solicited by an unhappy shareholder through informal public statements such as press releases, without issuing a formal dissident proxy circular; and, a dissident can now privately solicit proxies from up to 15 shareholders before going public with a proxy circular.  (as cited in Burton, 2012, para.7) Another reason for the rise of the shareholder activism in Canada identified by Bradley is the increase in size of pension funds and hedge funds. The size enables these funds to take a stand whenever the companies are underperforming, or they do not meet their targets (as cited in Burton, 2012, para. 8). In the United States of America the situation is almost similar.Some of the most important characteristics are: (1) â€Å"greater financial firepower [†¦] permitting them [the activists] to make larger and more investments† (Noked, 2013, para. 3); (2) the emergence of new activist funds started by individuals who worked for other similar funds; (3) the degree of sophistication has increased, meaning that activists are hiring financial and legal advisors, and they run more professional campaigns.Also, many of the activists have switched their platforms to seek long-term involvement with their target companies; (4) increased attention from the med ia, which is usually sympathetic with the activists and it is always a low cost way to pressure companies (Noked, 2013, para. 4 – 7). Forms of shareholder activism According to Admati and Pfleiderer (2006), shareholder activism can take any of several forms: proxy fights or battles, takeovers, strategic voting, or shareholders’ proposals (p. 1).Other forms of shareholder activism include private discussions or public communication with the board of directors and management (or negations), publicity or press campaigns, blogging or other electronic ways of outing the underperforming managers, talking with other shareholders, calling shareholder meetings, shareholder resolutions, litigations and settlements, whistle blowing, and in extreme cases â€Å"voting with ones feet† and â€Å"seeking to replace individual directors or the entire board† (ECGI, n. d. , para. 1).Many of the tactics employed by the activists do not need any further explanations, but some of them require special attention not only because they are more complicated and not so easy to understand by an untrained observer, but also because they are the best course of action. Proxy fights. â€Å"A proxy is a person to whom a principal with voting authority delegates his voting rights† (MIPR, n. d. , para. 1). A proxy fight usually involves a battle for other shareholder proxies and it is typically in opposition to management (MIRP, n. d., para. 3). According to Burton (2012) a proxy fight has the goal to â€Å"force change on an unwilling company† (para. 4). Shareholder resolutions. â€Å"Shareholders exercise most of their influence over how the corporation is run by passing resolutions at shareholders’ meetings. Decisions are made by ordinary, special or unanimous resolutions† (Industry Canada, 2011, para. 8). In Canada, ordinary resolutions may involve the election of directors or the appointment of auditors, and only a simple majority is r equired (Industry Canada, 2011, para.9). On the other hand, special resolutions must be approved by two thirds of the votes and usually involve fundamental changes, like selling all of the corporation’s assets, or amending the corporation’s name (Industry Canada, 2011, para. 10). Usually management will oppose many of the shareholder resolutions leading to a rather lengthy process in which the sponsoring shareholder and the management summarize their opinion and try to get to a common view (MIPR, n. d. , para. 5). Say-on-pay vote. In the UnitedStates of America, â€Å"the say-on-pay vote asks investors to vote on the compensation of the top executives of the company – the CEO, the Chief Financial Officer, and at least three other most highly compensated executives† (SEC, 2011, p. 1). â€Å"In Canada, say-on-pay began as an investor-led campaign that started in 2007, when the big five banks were asked if they would offer shareholders an annual advisory vo te on executive compensation† (Alberta Venture, 2012, para. 9). It is important to note that say-on-pay give investors a non-binding vote, which makes this vote simply an expression of support, or disapproval (McFarland, 2012, para.12). Voting with their feet. Another tactic employed by activists is to vote with their feet. This is an extreme situation in which the investor sells all the shares of the company and exists the corporation. Historically, this was the most common form of shareholder activism, until proxy battles became more common (Taylor Wessing, 2012, p. 2). Canada is ready for shareholder activism Shareholder activism is not something new in Canada, in fact it is slowly becoming business as usual.Agrium Inc. , Canadian Pacific Railway Ltd., SNC-Lavalin Group Inc. , Telus, and Rona have all been involved in cases of shareholder activism during 2012 and 2013 (Dmitrieva & Pasternak, 2013, para. 2). â€Å"There were 42 cases of shareholder activism among Canadian f irms last year, almost double the 22 a year earlier† (Dmitrieva & Pasternak, 2013, para. 4). Shareholder activism can take many forms, but proxy battles and say-on-pay could prove the most effective in the Canadian corporate world. The legislation has changed and has become more shareholder friendly.Proxy battles are more frequent in Canada and according to Jeffrey Gandz, a professor of strategic leadership at the Richard Ivey School of Business in London, Ontario, â€Å"If it’s happening more, it’s probably because it pays† (as cited in Dmitrieva & Pasternak, 2013, para. 7). Gandz’s statement is backed by facts that indicate an increase in the value of the shares issued by the companies involved in proxy battles. The same view is shared by Robert Staley, a partner at the Bennett Jones law firm in Toronto. â€Å"We’re going to see more shareholder-driven activism in Canada this year; this is a growing trend.This should increase the share pri ces of companies targeted† (as cited in Dmitrieva & Pasternak, 2013, para. 18). Indeed, each company that was targeted by activists recorded and increase in the share prices, from CP Railways Ltd. to Rona and Agrium Inc. These results should motivate shareholders to be more active and to consider proxy battles as a method of voicing their interests. However, proxy fights usually involve strong public attacks on both sides, and some shareholders may wish to keep a low profile. For this reason settlements might seem like a better alternative (Melnitzer, 2013, para. 13).Say-on-pay is another tactic that activists can engage and it is already being accepted by many publicly traded companies. Some of them are Potash Corp. , Manulife, Power Corp, and Bombardier. According to Cornell Wright of Torys LLP’s Toronto office, say-on-pay and majority voting â€Å"allow investors to express themselves to management on frequent basis. The prospect that investors might express their v iew by withholding votes from board members or voting against a company proposal on say-on-pay is in a sense a more nuanced, less costly and lower-risk threat than a proxy fight† (as cited in Melnitzer, 2013, para.20). Say-on-pay votes may not seem like a reliable weapon for Canadian activists, but it will slowly be accepted as a confidence vote for the directors’ compensation and decisions. In Canada, say-on-pay has the potential of increasing the directors’ accountability to the owners of the company. Also, this kind of vote can lead to a better cooperation between the boards and shareholders in order to design a compensation package that will motivate the executives to work harder and maximize the company’s value in the long-run.It is not a surprise to see an increase of say-on-pay votes in Canadian companies because investors are slowly becoming more vocal. It is also not surprising to see an increase in negative votes considering the financial uncerta inty in the business world. Shareholder Association for Research & Education (SHARE) concluded that in 2012 â€Å"4. 5 per cent of Canadian companies had scored less than 75-per-cent support for their pay votes this year, while no companies scored below that level in 2011† (McFarland, 2012, para.6). In the past few years say-on-pay votes in Canada have managed to change the composition of CEOs’ compensation packages to include more share units and stock options. Even though the real benefit is hard to understand very quickly, there is a reason why this tactic should have a big impact in Canada: â€Å"those equity elements more often include additional performance features, requiring a company to meet financial targets before they pay out† (McFarland, 2012, para. 16). ConclusionShareholder activism has become a hot topic in the business world especially after the financial crisis that affected the profits of many publicly traded companies. It is an activity that has both opponents and proponents. Shareholder activism is on one hand just another populist method of influencing the public, but on the other hand is probably the only way to save a company from an underperforming management. Activism has a lot of facets, from proxy battles to takeovers, strategic voting, or shareholder resolutions, from press campaigns and blogging to litigations and settlements, and â€Å"voting with ones feet†.Canada is not immune to these kinds of shareholder activism, but the ones that will really have an impact in the near future are the proxy battles and the say-on-pay votes. Both methods have yielded an increase in the value of the shares of the targeted company. According to Paul Gryglewicz, managing partner at Global Governance Advisors, â€Å"say on pay and shareholder activism are very real and very alive in Canada† (as cited in McFarland, 2012, para. 15).

Thursday, October 10, 2019

Leaders of the Civil Rights Movement

In Martin Luther King‘s speech he speaks with such passion and determination, you can tell in his voice that he means everything he says and his hope reaches out to people and the way he emphases his words captures the audience’s attention. He believed that every person should be equal despite their skin color. In Malcolm X's speech he talks more about himself and he thought it would be best for everyone to keep their religion to themselves. He believed that the black people were trapped by the white people. He thought of white people as the enemy and he mostly spoke negatively about them. He made jokes throughout his speech and to me he didn’t sound at serious as Martin Luther. For example Martin said â€Å"Violence as a way of achieving racial justice is both impractical and immoral. It is impractical because it is a descending spiral ending in destruction for all. It is immoral because it seeks to humiliate the opponent rather than win his understanding; it seeks to annihilate rather than to convert. Violence is immoral because it thrives on hatred rather than love. As opposed to Malcolm X, who stated in his speech â€Å"There is nothing in our book, the Koran, which teaches us to suffer peacefully. Our religion teaches us to be intelligent. Be peaceful, be courteous, obey the law, respect everyone; but if someone puts his hand on you, send him to the cemetery. That's a good religion. † Dr. Martin Luther King, Jr. wanted a more peaceful approach. He hoped that with sit -ins and peace marches to appeal to the ideals of dignity and justice in the white people of the time. To show them the wrong they were doing so that they would want to correct it in themselves out of their own personal honor. Malcolm X on the other hand believed that white people would never give up their power, at least early on in his career as a civil rights leader. He believed they would only give it up if forced to do so, and that meant through militant means. He eventually give this idea up in favor of more peaceful means after finding white Muslims who treated him and other black men as brothers; and black men who treated white people as brothers as well. And with this he began to realize that they could live in peace, and so he switched to a more peaceful style in his protests in the end. Personally, I believe that Martin Luther’s approach to gaining equality among people worked best. When taking a forceful approach, such as Malcolm X’s you take a risk that your enemy will not fear you but that they could possibly fight back and over power you. This could possibly be said for a peaceful approach as well but it’s less likely.

Wednesday, October 9, 2019

High School Educational System in Contrast

Name: Lily High School Educational System in Contrast between Canada and China With the development of a progressive and civilized society, education becomes a greater priority. In separate countries, there are distinct differences in the systems and methods by which education is practiced. The Canadian secondary school educational system is different from the Chinese education system in four main areas: the subjects offered for study, requirements for graduation, the authority of the teachers and the physical aspects of the institutions.The first obvious difference in the education system between Canada and China is in the subjects that are offered for study. In China, there are two systems for students to choose in high school: a departmental system consisting of liberal arts and science. The students who choose liberal arts will study Mandarin, English, History, Mathematics, Politics, and Geography. For those who choose science, the preferred courses will be Chinese, English, Math ematics, Biology, Physics and Chemistry. According to BC Ministry of Education (2008), in Canada, there are two ways for students to choose: required and elective courses. For instance, required courses are planning, language arts, mathematics, fine arts and applied skills, social studies, science and physical education and are offered as the students only choices. Furthermore, elective courses have more flexible options. Surely, choosing any courses that interest students is important, as long as their electives are over twenty eight credits.The second difference between China and Canada is in the requirements for graduation. In China, students have to take college entrance examinations, which are the most important academic exams in China. In addition, students will receive placings that are arranged from the higher to the lower grades. The marks they get will influence whether they are able to graduate, to repeat the courses or to leave school and enter the workforce as only part ially skilled. Conversely, in Canada, the requirements for graduation are easier than they are for students in China.Students in Canada are required to obtain just forty eight credits from the required courses, twenty eight credits from the elective courses, as well as four credits from graduation transitions (BC Ministry of Education, 2008)2. Other noticeable differences between Canada and China involve issues of the authority possessed by teachers. In China, teachers are like parents, in contrast, teachers are more like friends or mentors in Canada. Chinese teachers always emphasize the importance of rote learning and the value of marks.However, Canadian teachers give students more freedom and offer the opportunity to develop their interests. Furthermore, Chinese teachers are much stricter than Canadian teachers. Sometimes, a teacher in China can punish a student by assaulting them, which is due to the fact that teachers in China are held as being above question, while by law. Can adian teachers are not allowed to physically attack their students in any way. (Farran, S. , 2009)3 The final distinct area of difference between Canada and China is the physical aspects of the learning environments.For instance, the sizes of the classes in China usually are composed of approximately sixty people, but classes in Canada normally are a maximum of about thirty people. Statutory holidays are different, too. Chinese students are free from January to February for one month to celebrate Spring Festival and in July and August for two months because of the extremely hot weather. Canadian students are free during a part of December to celebrate Christmas during Winter Break, and this holiday is usually about three weeks without school.In China, students have to go to school in the evening to study; however, Canadian students have the choice of taking extra classes or tuition, but this is optional. In conclusion, the subjects offered for study, the requirements for graduation, the authority of the teachers and the physical aspects of the institutions are the main contrasts between the Canadian and the Chinese secondary school educational systems. Education is an essential component of a successful and potentially prosperous life, and a definitive part of the core competency of a nation.Therefore, how to form a more innovative yet completely effective system of education requires constant exploration, development and implementation of methods that maintain high standards and improve to the highest quality for the students of the world’s future. Reference: 1 BC Ministry of Education (2008). At a Glance Requirements – What You Need to Graduate. Retrieved 2012, from BC Ministry of Education 2 BC Ministry of Education (2008). At a Glance Requirements – What You Need to Graduate. Retrieved 2012, from BC Ministry of Education 3Farran, S. (2009). CAN HIGH SCHOOL GRADES BE TRUSTED?. MacLean’s, 122(44), 92-96