Thursday, October 31, 2019

International Marketing Essay Example | Topics and Well Written Essays - 1000 words - 4

International Marketing - Essay Example l have to make decisions based on the interests of its customers, governments, employees and other key partners in the different markets it will operate in. There are various operational actions that will vary with particular business environments that need to be taken into consideration. Differentiation of products or services offered by the company will therefore have to follow highly integrative guidelines for the success of its operations. For instance, Ooredoo is a communication company and therefore it will have to take into account the various communication habits of the different countries it intends to establish itself. The company will also have to be aware of legal provisions that are aligned to ethics which may be varying. Recognition of the mentioned and many more will enable the organization effectively strategize on its expansion plans. Secondly, the belief system of various countries may have an impact on the business strategy. The company will have to incorporate the various moral values and principles into its business culture according to the needs of the customers and society it will operate in. For instance, honesty, integrity and trust may be some of the varied values that may be differently preferred to by various customers according to their country of origin’s belief system. As a result of the beliefs, there might be consequences the company will have to face in the different regions of operations. The cultures of communities have a potential of pushing businesses to align to their demands. Same is the social components that have a connection with ethical concerns. Different countries, for instance, have consumer lobby groups that may demand for certain ethical standards to be met by companies. An organization like Ooredoo will therefore have... This paper stresses that factors in international trade are also important to the expansion planning process. The company will, for instance, have to take note of the various restrictions or economic barriers that exist in the target markets. For business to operate effectively, it will be important for the company’s management to examine the socio-cultural influences on product consumption and the values that are attached to service in the respective regions. Lastly, given the challenges of globalization noted above, the strategic positioning of the company with regards to different market issues will be important. The company will have to engage in product differentiation and market segmentation strategies, for example, so as to penetrate different markets. This paper makes a conclusion that ethical and globalization concerns raised above are therefore significant for the success of Ooredoo’s internationalization plans. The company will have to involve its research and design department to ensure that all the issues are well understood before management arrives at viable projects. With the opportunities presented by globalization and market liberalization, it is evident that so long as the company will be able to understand and act on different ethical and global perspective concerns, success will be more than guaranteed. As a leader in the provision of communication products, it is important that it maintains this position even in the identified international markets.

Tuesday, October 29, 2019

Language, Identity and Cultural Difference Essay Example for Free

Language, Identity and Cultural Difference Essay According to Hall (1997a), enunciation theories suggest that even though we may talk of ourselves from our experiences, the person who speaks and the subject being spoken of are never identical. Identity in this regard is to be conceived as a production which is never complete- â€Å"always in process, and always constituted within, not outside, representation†- (Hall, 1997a) as opposed to viewing it as a complete fact which is then represented by the new cultural practices. However, this view shakes the legitimacy and authority upon which the term cultural identity bases its claim. There are two ways in which cultural identity can be thought of. The first view sees it in terms of a single shared culture, some kind of a collective ‘one true self’ that is hiding inside many other more artificially imposed selves that people with a shared history and ancestry hold in common (Hall, 1997b). Within this view of description of cultural identity, our cultural identities mirrors those historical experiences that we hold in common and the shared cultural codes which offer us as a people, a stable, immutable and continuous frames of reference and meaning, under the shifting classes and fluctuations of our actual history (Hall, 1997a). Singapore was envisioned by her leaders as a multiethnic society in which the constituent ethnic groups shared participation in common institutions while at the same time retaining their distinct languages, customs and religions. The ethnic categories represented self-evident, natural groups that would continue their existence into the indefinite future. Singaporean identity therefore implies being an Indian, a Chinese, or a Malay but in relation to other groups. This model of ethnicity demands the denial of important internal variations for each ethnic group and the recognition of differences between the categories (Tsui Tollefson, 2007). The second view of cultural identity recognizes that there are similarities and important differences which make up what we really are. We cannot persistently refer with exactness to one experience and one identity without recognizing the other dimension. This other dimension represents the rifts and discontinuities that comprise cultural uniqueness. In this second sense, cultural identity is viewed as an issue of both â€Å"becoming† and â€Å"being†, something that belongs to the future as much as it belongs to the past. Cultural identities in this regard have histories and therefore changes constantly. In other words, cultural identities are subject to the uninterrupted play of history, culture and power (Hall, 1997a). Identity is the name given to the different ways we are placed, and put ourselves within the tale of the past. This second conception of cultural identity is more disturbing and less familiar. How can the formation of identity be understood if does not proceed from a straight line or a fixed origin? The Singaporean identity can be thought of as composed of two vectors that operate simultaneously. These are the vectors of rift and difference, and similarity and continuity. The Singaporean identity can be seen with regard to the relationship between the two vectors.   Similarity and continuity brings to fore the realization that it is the experience of fundamental discontinuity that the Indians, Malays and Chinese share and among these are immigration, colonization and Asian origin. It is therefore interesting to look at how the concept of identity, language and cultural differences were created and how these concepts are related within the context of Singapore. The analysis herein presented will be based in Hall’s view of the link between language, identity and cultural difference. Relationship between Language, Identity and Cultural Difference The relationship between language, culture and identity has emerged to be a hotly contested topic in social sciences. The questions that mainly arise concern the apparent difference between cultural and ethnic identity. Are these types of identities similar or should they be differentiated conceptually. Various scholars hold varying views on the role of language in the definition of one’s identity. A major question that one may be compelled to ask is whether a culture or ethnic group can be considered to be unique if it does not have its own language or in the least its own rendition of a common tongue. Cultural identity is universal whether it is expressed with regard to humanity or otherwise since people from every part of the world are conscious of some kind of specificity that sets them apart from others. In contrast, ethnic identity only appear to take place within complex societies when it seems functional to separate individuals into categories founded upon something other than age, gender or occupation. Ethnicity is associated with cultural identity since one must make reference to cultural, linguistic or religious particularities in order to categorize individuals. According to Hall (1997b), culture is produced by representation. Culture concerns shared meaning and the medium through which we make sense out of things is through the use of language. It is through language that meaning is produced and exchanged. The only mechanism of sharing meaning is through a common access to language. In this regard, language is fundamental to meaning and culture and has always been conceived as the major bank of cultural values and meanings. However, one may be compelled to ask how meaning is constructed through language. According to Hall (1997b), language constructs meaning via its operation as a representational system. Language is one of the mechanisms through which ideas, thoughts and feelings are represented in culture. In this regard, representation through language is fundamental to the processes through which meaning is produced. Our sense of identity is derived from meaning and therefore meaning is linked with questions about how we use culture to define and maintain identity and difference within and between groups. In every social and personal relationship in which we participate, meaning is constantly being produced. Meaning is also produced through our expression in and consumption of relevant cultural materials. Our conducts and practices are also regulated and organized by meaning which help in the setting of rules, norms and conventions upon which social life is ordered and governed. The question of identity therefore emerges in relation to various other divergent moments or practices within the cultural circuits; in our construction of identity and the defining of difference, in the production and consumption and in the regulation of social conduct. In all these instances, language is one of the most important medium through which we produce and circulate meaning.

Sunday, October 27, 2019

Impact of Decision Making at McDonalds

Impact of Decision Making at McDonalds This academic essay is related to strategic management and leadership in McDonalds. The purpose of this assignment is to understand the impact of decision making in an organisation i.e. McDonalds. In this cut throat competition which is prevailing in the market, it is my understanding that leadership and proactive strategy plays vital role in overall organisations success. In addition to this it has become apparent that strategic management and leadership operate at parallel level in an organisation. STRATEGIC MANAGEMENT: It deals with the most fundamental and basic question that involve the very existence of the whole organisation and guide the whole companys future. (Napuk,1999) Strategic management entails both strategic planning and implementation, and is the process of identifying and executing the organizations strategic plan, by matching the companys capabilities with the demands of its environment.(Arit Gadiesh and James Gilbert, 2001) In laymans term strategic management provides overall direction to the organisation. This in turn entails specifying the organisations mission, vision and objectives, developing plans etc. LEADERSHIP: Leadership is defined as influence, that is the art or process of influencing people so that they will strive willingly and enthusiastically toward the achievements of the groups mission. Visionary leadership inspires the impossible: fiction becomes truth. (Corporate strategy 1997 Richard Lynch) In leadership, people run the organisation to one place or another for the achievement of its objectives. Leadership is a great tool in achieving success for the organization, not just through charisma, but through good judgement, proper motivation of employees effective utilization of materials. LINK BETWEEN STRATEGIC MANAGEMENT AND LEADERSHIP: Due to a rapidly changing world, organizations face incredible pressures in delivering immediate results. This necessitates for strategic management because there is a great need to maximize every available resource to achieve the organizations goal. To manage an ever increasing demand for company effectiveness, there is a great need for strategic leadership to approach these conditions priorities. For any ongoing business, it is mainly important to implement strategies through effective leaders. Real strategic leadership means taking responsibility for the future as well as what is happening today. A primary goal of strategic leadership is gaining a better understanding of the business conditions, the environment and the leading indicators that identify new trends and situations that may arise. According to the situation, leadership styles can be varied like autocratic, democratic and charismatic and so on. In any organisation it is required to have a good strategic management with good leadership skills. These two must be in parallel positions for the organizations success. LEADERSHIP STYLES ON DIFFERENT SITUATION IN MCDONALDS As I have taken McDonald as case study, I would like to discuss the management style that operates in this company. Based on my understanding, McDonald operates with a Democratic style of management. This realisation comes to me while I am working with the company and it gives freedom and flexibility of change according to different situations. In this style, the employee and people associated with the company have more participatory role in the decision making process. McDonald has a democratic style and there is a less gap between manager and employees. They have two way relationships between them. They have a comfortable working pattern. So the manager can easily get the feedback from the employees. Also on the other hand, the employees understand the situation and they follow the rules without any difficulty. There are same levels of working. According to the different situation they have a different style of leadership. In this particular approach, the store manager has all power to run the branch but still allows employees to share their ideas and insights. Also in McDonald, every employee has a participative role in the decision making process. All employees have to work with their strengths and provide input on how to delegate work within the team. The management gives more importance to work in a team rather than doing individually. In McDonald, ideas move freely amongst the group and discussed openly thus ultimately achieving their objective. This works both ways for the company by fulfilling individual objectives in line with the overall objective of organisation. The management of this organization motivates the employees to do more work by involving them into decisions which really affects the objective of the organisation. This particular approach influences the productivity of employees and they feel important to be a part of the organisation by providing a value. They lead all the employees to the same level and the manager always tries to know the strengths and weakness of employees. To overcome these difficulties, they provide appropriate training career development programmes. McDonald has flexible working hours which provides stress-free environment. They are free to ask with the manager about schedules. The way McDonald management adapts to different situations, a strong relationship is being formed between the subordinates and the managers. OBJECTIVE OF MCDONALDS: The main objective of McDonald is to make people aware of each product on offer, feel positive about it and remember it. The right message has to be communicated to the right audience through the right media. Because of this, McDonald need to give importance understand the value of both employees and customers. Happy employees serve well and results to satisfied customers. This serves as a win-win situation for both organisation and employee. McDonald has continuously done internal marketing this is important as it precedes external marketing. It goes in line with the ultimate aim of creating not just service leadership but management service. This delivery process is the key to achieving the aim of the company. IMPACT OF LEADERSHIP STYLE ON STRATEGIC DECISION: Good leadership is adapting to any changes at any time doing the right things at the right time. Because of democratic style of leadership, employees can work comfortably and they can share their ideas and insights with the management. Also in McDonald, managers effectively delegates work to their subordinates and give them full control and responsibility to the tasks. Managers welcome feedback on the result of initiatives and the work environment. Strategic decision has to be made by leaders who have the ability to take effective decisions and adapt to changes in any situation. Because of democratic leadership, employees and managers easily understand the situation and cope with it. They work freely and comfortably. In McDonald all employees have a right to participate in the objective of organisation. McDonald has a strategic decision which is implicated and formulated by leaders and managers of the organisation. First they decide the future plans and objective of McDonald and how to get there in minimum time. They also motivate people to do more work and they appreciate their work by giving the performance award at the end of month. CONCLUSION: From above discussion, I came to a conclusion that in adapting democratic style McDonald is really effective in providing value to employees. Although this style may bring out differences in ideas, it still ends up with formulating a common decision. McDonalds management leadership style is useful as well as to other organisations where managers and employees easily understand the situation and work accordingly. Strategic management and leadership correlates with each other. Without making any effective strategic decision, leadership cannot work and it cannot reach to the final objective of an organisation.

Friday, October 25, 2019

Essay --

Every job has its ups and downs, but it just happened to be that we, as human beings, tend to drag our work problems with us to our personal life. Knowing how to separate work from personal life is hard, especially in today’s society considering the technology we have today. This research made me aware of the stress and everyday interactions that probation officers endure and I must admit, is more stressful than I thought. I have always imagined a probation officer’s job much more facile not having such a huge caseload, but like they say, ignorance is bliss. In the following essay, I will be discussing the findings about the stress of a probation officer. This first study did not mention exactly how many officers were used in this study but it stated that 39 to 55 percent have experienced work related violence or threats. (ncjrs.gov). Most of the work related stress did not come from the offenders but from the agency itself. There are three major types of stress in the probation world, high caseloads, paper work and lastly but not least deadlines. And as many jobs have it, about 87 percent blame their supervisor for one of the causes of stress. They said the lack of advancement of the job, and recognizing well job done. (ncjrs.gov). As we can see already, each and one of these stress actors is tied to another. Now the question to ask is how these strong and willing full individual deal and cope with their stress. Some said they took extra sick days just for themselves and other by going to church, venting with family, friends or co workers and others by exercising. (ncjrs.gov) There has been some suggestion to create stress relief programs. Few of the reasons to create relief stress programs is so probation officer will call out s... ...alifying ones.( White, Gasperin, Nystrom, Ambrose, Esarey). Their reason was because of the salary of the job and format. They continue saying that one must be mature, tolerance, open minded, patience and self confidence. .( White, Gasperin, Nystrom, Ambrose, Esarey). This brings up a good point. Wanting to be a community correction officer must be a job one loves and have passion for it because the pay and burnouts that come along with it are not the greatest. One most really consider all the option, pros, and cons of the job before take it. Being a probation officer is like working in the back of a movie scene. Also that one must seen the offender beyond their offense. .( White, Gasperin, Nystrom, Ambrose, Esarey). Trying to see the offender by their offense takes a lot of humbleness. It’s hard to see pass someone who molested a child or murder and innocent child

Thursday, October 24, 2019

Impact Of Foreign Direct Investment In Nation Development Economics Essay

The growing of international production is chiefly driven by economic and technological forces. It is besides driven by the on-going liberalisation of Foreign Direct Investments ( FDI ) and trade policies. Foreign Direct Investments ( FDI ) refers to an international investing made by a resident entity in one economic system ( Direct Investor ) with the aim of set uping a permanent involvement in an endeavor. Globalization offers exceeding chances for developing states to accomplish a rapid economic growing through trade and investing. Foreign Direct Investment is considered as a major inducement to economic growing in developing states, as it contributes to host state economic growing, by heightening the state ‘s capital stock, presenting complementary inputs, bring oning engineering transportation and skill acquisition, or increasing competition among local industries. But merely a few states have been successful in pulling important FDI influxs to their state owing to so many grounds. FDI bring away much needed resources to developing states such as capital, engineering, managerial accomplishments, entrepreneurial accomplishments, trade names and entree to new markets etc. These are indispensable for a underdeveloped state to industrialise, develop and make occupations assailing the poorness state of affairs in their states. As such most underdeveloped states recognize the possible value of FDI and have liberalized their investing governments and engaged in investing publicity. Globalization and regional integrating agreements can alter the degree and form of FDI and besides it reduces the trade costs. However, FDI flows to developing states started to pick-up in the mid 1990s mostly as a consequence of systematic addition in liberalisation of FDI policies in these states and the acceptance of by and large more outward orientated policies. This study attempts to turn to the impact of FDIs towards the development of a state, deciding factors of pulling FDIs and issues faced by the host states in pulling FDIs. At the latter portion of this study include recommendations to host state authorities to follow towards foreign investors, in order to advance economic development. For the intent of designation of issues and turn toing of recommendations Sri Lanka, a underdeveloped state that keeps rely on FDIs is taken in to consideration.2.0 Host state determiners that influences the influx of FDI ‘sFDI determinations depend on a assortment of features of the host economic system,Size of the MarketThere can be seen a good well-known relationship between FDI and the size of the market and every bit good as with some of its features ( e.g. mean income degrees and growing rates ) . When the GDP of a state is comparatively little, it is an index of low degree of national income. As such investors prefer to put in states where there is a high growing potency and where there is a big market for their merchandises and services.OpennessEven though the investors pay attending on the size and the growing of the market as of import, all the other domestic market factors are predictably much less relevant in export oriented foreign houses. Wide spread penetration is that unfastened economic systems encourage more foreign investing. One index of openness is the comparative size of the export sector. Particularly fabrication exports are a important determiner of FDI influxs. Investors prefer states where there are indulgent regulations and ordinances in relation to foreign trade.Labor costs and productivenessLabour cost is a important factor for foreign investors specially when doing their investings in labour intensive industries and for export oriented subordinates. ( For an illustration opening up garment mills, export processing houses where larger figure of employees is required ) Low pay rates to a great ext ent stimulate investors to do their investing determinations in a peculiar state. However when the cost of labor is comparatively undistinguished ( when pay rates vary somewhat from state to state ) the accomplishments of the labour force are expected to hold an impact on determinations about FDI locationPolitical HazardHigh returns in the extractive industries seem to counterbalance for political instability. In general, every bit long as the foreign company is confident of being able to run productively without undue hazard to its capital and forces, it will go on to put. Large companies overcome some of the political hazards by puting in their ain substructure care and their ain security forces. But these companies are restrained by little local markets and exchange rate hazards since they tend to sell entirely on the international market. If a state is vulnerable to a higher grade of public violences, labor differences, and corruptness and if it possesses greater condemnable deg ree, those will be the determiners that restrain foreign investings.Infrastructure FacilitiesInfrastructure covers many dimensions runing from roads, ports, railroads and telecommunication systems required to institutional development ( e.g. Legal services, accounting etc. ) The extent of conveyance installations and the propinquity to major ports has a important positive consequence on the location of FDI within the state. Poor substructure can be seen both as an obstruction and every bit good as an chance for foreign investing.Incentives and operating conditionsRemoval of boundaries and proviso of a healthy environment for concerns that consists of better operating conditions, lower revenue enhancement rates or revenue enhancement vacations are by and large believed to hold a positive impact on exciting FDI. Further inducements such as the granting of equal intervention to foreign investors in relation to local opposite numbers and the gap up of new markets ( e.g. air conveyance, retailing, banking ) have been reported as of import factors of promoting FDI flows to a peculiar state.DenationalizationThrough denationalization it has attracted some foreign investing influxs in recent old ages. But when traveling on to most of the development, low income states advancement is still low due to divestments of province assets. This has become political issues that demotivate investors. For an illustration employee opposition and their aggressive actions over denationalization or other moves which threaten their bing occupations and worker rights may move as a discouraging factor of FDI.3.0 Issues to pull FDIMajority of the low income states including Sri Lanka fail to pull big FDI flows in to their states as domestic markets are little in size. Investors are loath to put in their mills if they are unable to pull a critical mass for their merchandises. Impossibility of pulling FDI due to miss of openness in the economic system as the export fabrication sector is governed by stiff regulations and the issues faced by the industry due to miss of or get rid ofing of quota. Labour market rigidnesss and high pay rates in the formal sector with comparing to other states like China, Vietnam is frequently viewed as a discouraging factor in order to pull important in flows in to the export sector in peculiar. Lower productiveness with comparing to states like China and states in bomber Saharan Africa and deficiency of applied scientists and proficient staff is reported as keeping back possible foreign investing, particularly in fabricating exports sector. Further it lessens the attraction of puting in productive sectors. Higher degree of labour differences, work stoppages, public violences, corruptness in the state and every bit good as some of authorities stiff policies inefficiency in the populace sector are the causal factors that prevent investors from puting in Sri Lanka. Poor substructure can be seen as an obstruction to pull FDI to take down income states like Sri Lanka. Host authorities can pull important FDI by allowing more significant foreign engagement in the substructure sector. In Sri Lanka even tough there is a important addition in FDI in telecommunication and air lines. Other more basic substructure such as roads, edifices remain unattractive reflecting both he low returns and higher political hazards of such investings. Even though the authorities has removed certain limitations late, which has been imposed earlier on FDI, the deficiency of transparence, inordinate hold in investing blessing processs, deficiency of clear cut policy for investing blessing and extended bureaucratic systems are still act as discouraging factors of foreign investings. Due to employee perceptual experience sing foreign employers and their aggressive actions against denationalization and inclination towards province ain endeavors act as a barrier to pull foreign investors. Further a figure of structural jobs are restraining the procedure of denationalization. Slow growing and lower degree of competition in fiscal markets which has been characterized by inefficiencies, deficiency of deepness and transparence and the absence of regulative processs as those are still continued to be dominated by authorities activity and are frequently protected from competition. Even though the attitudes of the civil society on the impact of FDI on chances for domestic concern and economic activities is positive and the net attitude of foreign houses toward FDI reveals that the investing clime has non improved in Sri Lanka as a consequence of deficiency of good administration, corruptness, political instability and perturbation, bureaucratic inactiveness and hapless low and order state of affairs.4.0 Overall limitations in FDIMost South Asiatic states have liberalized equity limitations on FDI in the services sector to promote trade under Mode 3, i.e. Trade through commercial presence. Taking stock of the liberalisation of services that has taken topographic point in different states in the part, in different sectors, significant one-sided liberalisation has taken topographic point under Mode 3 in Sri Lanka. Though states are trying to pull FDI in many of their services, by liberalising services, the portion of the part in planetary FDI in services is still really low. One of the grounds for this is the being of barriers to FDI in South Asiatic states. There are so many barriers and limitations at assorted degrees get downing from the point of entry that deter investors. Even though there are no limitations on equity ownership, so many other limitations are available at the point of entry, stretching from mere presentment demands to straight-out prohibition of FDI ; others may aim the operations of houses ; while yet another class may curtail the country of ownership and control. Sri Lanka has opened its services sector to foreign investing. Foreign ownership of 100 % equity is allowed in scope of services sectors such as banking, insurance, telecommunications, touristry, stock securities firm, building of residential edifices and roads, H2O supply, mass transit, production and distribution of energy, professional services and the constitution of affair offices or local subdivisions of foreign companies. However some of the limitations still exists, curtailing FDI in services even when 100 % equity is allowed are, foreign commercial Bankss are allowed to open subdivision offices in Sri Lanka topic to an economic demands trial and blessing by the Central Bank of Sri Lanka. Foreign investors are allowed to keep 100 % equity in local Bankss topics to bounds on single portion ownership. Even though the authorities has late privatized province ain insurance companies, nevertheless resident Sri Lankans are prohibited from obtaining foreign insurance policies except for wellness and travel. The limitations may besides change with the nature of the industry. For an illustration distribution services, limitations may include public presentation demands, districting ordinances, advertisement limitations etc. In professional services limitations used are by and large of the nature of nationality and residence demands and deficiency of acknowledgment of foreign makings. Therefore even if the equity limitations are removed, there may be other limitations that may non let the influx of FDI in to the services sector. Please mention Annexure 1 for some bing barriers to FDI in different states in South Asiatic part.5.0 Reasons for Caution of FDIEven though it is said that FDI has a heavy impact on heightening the growing and development of a state, there are several grounds for developing states to stay with mean limitations in services or to hold other barriers to investings in services. Apart from the sensitiveness of services with cultural, societal, distributional or strategi c significance, there are economic concerns excessively. Among them, To avoid the hazard of foreign investors out viing domestic investors. Sale of public public-service corporations to foreign houses raises complex issues related to denationalization and the ordinance of natural monopolies. Entry by big multinational corporations involves competition policy considerations and many host states may non experience to cover with proficient or legal issues involved. It is hard to measure the impact of liberalisation in a peculiar sector, particularly if it employees a big figure of unskilled people. As such it is of import to set about an in deepness survey prior to the determination to let foreign houses. But many states lack the will or expertise to set about such analysis. Most of the foreign investors are monopolies and in any event demand to be regulated ; domestic ordinances are frequently hard to set in topographic point.6.0 RecommendationsGovernment should concentrate its attending on obtaining foreign investor engagement in developing substructure. So far Sri Lankan authorities acts the function of substructure facilitator. But it should see on pulling FDIs to develop substructure sector as good, non merely in attractive and most profitable few countries like telecommunication and air hoses, but besides in building of roads, main roads, overpasss, rail roads, edifices etc. BOO ( Built, Operating, Ownership ) , BOT ( Built, Operating, Transfer ) , BTO/Turnkey Projects ( Built, Transfer, Operate ) , BLT ( Built, Lease, Transfer ) and assorted other mechanisms to heighten the foreign investor engagement in this respect. Government should concentrate its attending on implementing an unfastened door policy where it encourages foreign investors. It should heighten the quality of the bing Export Processing Zones ( EPZ ‘s ) and Free Trade Zones ( FTZs ) in order to excite investors to come and open up their fabrication or processing workss in Sri Lanka. Government intervention and domination on fiscal sector should be minimized unless to exert a control over such establishments to guarantee the transparence and proper operation of them. Existing stock market should be popularized among the general populace and should be opened up for foreign investors. Even though there are no limitations on equity ownership there are several barriers at the point of entry, stretching from mere presentment demands to straight-out prohibition of FDI etc. These may discourage foreign investors from puting within the state. Thus this fact should be taken in to Account during the policy devising procedure. It is frequently criticized the quality of the end product of Sri Lankan instruction system. It is said that there is a mismatch between the employer demands and the instruction provided to the pupils or undergraduates. Therefore Higher instruction policies particularly in relation to secondary, third and university instruction course of study should be changed in order to run into employer outlooks. Adequate preparation chances provided to them in order to acknowledge and unleash their potencies and accomplishments. Therefore more accent should be given towards the importance of industry preparation when representing higher instruction policies. As FDI in services has grown, a figure of issues have come to the head of policy devising. One of the of import issues is that pulling FDI in services where it is most coveted. i.e. services sectors where domestic capablenesss are limited to provide to the turning demand or where the domestic service suppliers do non hold the ability or capacity to supply the needed quality of services, as for an illustration telecommunication, and conveyance services. As such more grants to be given for the investors those who are willing to put in those countries in order to promote them. Regulatory frame work to be strengthened in order to pull investors and besides to avoid monopolistic state of affairss. States without necessary regulative frame work may free by hotfooting in to liberalisation. Particularly when a reversal of liberalisation is difficult to accomplish or when liberalisation has systemic deductions as in the instance of fiscal industry. By and large, the positive growing effects of FDI have been more likely when FDI is drawn into competitory markets, whereas negative effects on growing have been more likely when FDI is drawn into to a great extent protected industries ( Encarnation and Wells, 1986 ) . As such domestic industries should be strengthened to a grade in order to supply them the ability to vie with foreign investings.7.0 DecisionThis study has examined the factors that stimulate the flow of FDI and the issues that limits or restrains a state from pulling FDIs based on Sri Lanka, a underdeveloped state that entertains FDI. It is doubtless accepted that there is a positive nexus between FDI and growing. Particularly when Sri Lanka concerns a direct and positive growing impact of FDI on the Sri Lankan economic system and its growing has non reflected during the past and every bit good as in the present. Attitude of the civil society and foreign house towards FDI in the state is positive. But the investing clime has non improved in Sri Lanka as a consequence of political instability and perturbation, hapless jurisprudence and order state of affairs, direct and indirect regulative barriers, political instability and the implied policy instability, ill developed substructure installations, lower degree of human capital, deficiency of transparence in the trade policy etc. Consequently the protectionist trade policies, direct and indirect regulative barriers ( that raise the cost of investing to foreign houses, for illustration it has found that in Sri Lanka about 13 per centum of capital costs and 30 per centum of net incomes are lost due to hindrances in the regulative model ) , political instability and the implied stableness, ill develop substructure installations, lower degree of literacy and investing in human capital excessively discourage investors. Lack of transparence in the tr ade policy, favoritism against non-export orientated sectors like plantations and high loaning rates are excessively act as restraints to FDI flows in Sri Lanka. The importance of FDI can non be overstated, as consequence, that investing clime in the state must be improved through appropriate steps such as de-regulation in economic activity, increase domestic economy, developing port web, route web, railroads and telecommunication installations etc, making more transparence in the trade policy and more flexible labor markets and puting a suited regulative frame work and duty construction. Currently Sri Lanka provides an attractive investing government but the response from the investor has non been really encouraging. If the ultimate aim of the authorities is to pull FDI for development, poorness decrease and growing, so an appropriate policy mix is necessary to accomplish these.8.0 AnnexureAnnexure 1Table 1: Extent of Liberalisation in Mode 3 in Selected ServicesStatesWell Liberalised( 100 % equity )Reasonably LiberalisedLess than Reasonably Liberalised/RestrictedSri Lanka Banking, Insurance, Telecommunications, Tourism, Construction, Transport ( Road ) , Professional services. Transporting and travel bureaus, Freight forwarding, Higher instruction, Mass communications. Non Bank Money Lending, Retail trade with capital investing of less than $ 1mn, Secondary instruction, Air transit, Coastal transportation. India Computer and information services, Transport ( Road ) . Telecommunications, Banking, Insurance, Air Transport, Construction. Retail trading, Railwaies, Real estate, Professional services like Postal, Accountancy etc. Pakistan Telecommunication, Banking services, Legal and technology consultancy services, Transport, Construction, Computer and information services. Insurance.–Bangladesh Conveyance, Telecommunications, Construction, Computer and information services, Banking and Insurance services.–Railwaies. NepalBanking, Insurance, Telecommunications, Computer and information services, Tourism. Personal Business Services, Advisory services.

Wednesday, October 23, 2019

Life, Liberty, and the Pursuit of Profit Essay

The question which stands before is whether the Founding Fathers were democratic reformers. It is an excruciating and complicated task to come to a conclusion upon this inquisition. To find this answer it can be readily simplified by taking a look at two contending arguments found inscribed in the book Taking Sides: Clashing Views in United States History. In the text lies the position of Howard Zinn and John P. Roche who are great historians; one writes controversially and radically, and the other writes in conformity to government, and conservatively. The position of Howard Zinn is that the founding fathers were not what they have been illustrated to be. That is that they were not concerned with democracy but were really just concerned in their prosperity, in their property, their money, and their freedom, but not concerned with the peoples liberties. Freedom was a new word at the time, which many knew little of, it was but the elite who had an understanding of this sort of philant hropy. â€Å"What was not made clear-it was a time when the language of freedom was new and its reality untested-was the shakiness of anyone’s liberty when entrusted to a government of the rich and powerful(Zinn, Howard, A People’s History of the United States P. 99).† John P. Roche dedicates his attention to the giving the founding fathers their veil of liberators and democratic reformers, and depicts them as gentlemen of good nature, and of having the highest intrinsic values; he portrays them as benevolent wise men, which based the constitution on the needs of the people. â€Å"They were first and foremost superb democratic politicians†¦they were committed (perhaps willy-nilly) to working within the democratic framework, within a universe of public approval (Wikispaces.com, Taking Sides Issue Seven: Were the Founding Fathers Democratic Reformers, P. 3)†. Between the two representations of the issue in question, the more persuading argument 10is towards Howard Zinn who viewed the founding fathers to not have been democratic reformers. The Founding Fathers were not  democratic reformers; rather they were an elite group of men who came up with the Constitution to find compromise â€Å"between the slave holding interest of the south a nd the money interest of north† (Zinn, Howard, A People’s History of the United States P. 98)†, their true motives for uniting the thirteen states was to create a vast market for commerce and not to create a democracy. The Founding Fathers always depicted the majority of men as ignorant and irresponsible. For them to be democratic reformers they would have needed to add literacy and education as necessary for the creation of a democracy in the writings of the Constitution. Instead they persisted to argue that the populous was ignorant, â€Å"†¦Federalist Paper #63 argued the necessity of a â€Å"well-constructed Senate† as â€Å"sometimes necessary as defence to the people against their own temporary errors and delusions† Zinn, Howard, A People’s History of the United States P. 98)† rather than adding that citizenry should be educated and informed so that they would be able to take part in the democratic processes of political and economic policy making, therefore they were not democratic reformers. John P. Roche tends to be overly conservative, to actually make a compelling argument, and Howard Zinn might appear to be radical but he is factual and presents both sid es to an argument and does not rely solely on emotions and in his political idealism as does Roche. Howard Zinn gives the more profound argument. Howard Zinn rather than making statements based on nationalism or patriotism brings up logical inferences and although it is impossible to give an unbiased approach to the question, Zinn gives the less bias approach of the two. When he presents his reasoning he tends to bring up both sides to an argument, one at least opposed to what he wants to represent and one at least supportive of what he is more in favor to represent.   As when he mentions Robert E. Browns point that the Constitution omitted the phrase â€Å"life, liberty and the pursuit of happiness† from the Declaration of Independence to â€Å"life, liberty, or property† to the Constitution, he presents the acknowledgement that people did have property, but stands to say that it was misleading to make this statement for only 3 percent of the population had enough land to be considered wealthy (Zinn, Howard, A People’s History of the United States P. 98). On the other hand John P. Roche presents most of his views by using words such as â€Å"national interest†, â€Å"public approbation†, and always tends to give reason to why some of the things they did that were  not democratic were indeed democratic. Although the drafting and signing of the constitution was held in secrecy, according to Roche, â€Å"They were practical politicians in a democratic society†(Wikispaces.com, Taking Sides Issue Seven: Were the Founding Fathers Democratic Reformers, P. 8). The Founding Fathers did not have it in their interests to be democratic reformers. They had in their interests to create a new nation which would create a certain order to keep the nation’s wealth in the hands of a few and to maintain their privileges, â€Å"Charles Beard warned us that government-including the government of the United States-are not neutral, that they represent the dominant economic interests, and their constitutions are intended to serve their interests† (Zinn, Howard, A People’s History of the United States P. 98). The Founding Fathers were afraid of a majority faction and opted for a Republican form of government to keep the country divided so that the populace could not come to the same conclusion and unite to fight against the tyranny of the minority, they had to make it possible for the existence of minority factions to prevent from a future insurrection. This can be noted in Federalist Paper #10 in which James Madison makes the following statement, â€Å"it will be more difficult for all who feel it to discover their own strength, and to act in unison with each other†¦The influence of factious leaders may kindle a flame within their particular States, but will be unable to spread a general conflagration through the other states† ( Zinn, Howard, A People’s History of the United States P. 97). They also had to make the Constitution appealing to the people. It needed to give a few rights and liberties to the citizenry to keep a revolution from arising from the monopolizatio n of wealth that they were creating. It needed a Bill of Rights, â€Å"The Constitution became even more acceptable to the public at large after the first congress, responding to criticism, passed a series of amendments known as the Bill of Rights† Zinn, Howard, A People’s History of the United State, P. 99). They needed soldiers for the revolution; they had to appeal to the people, they used the words freedom, liberty and equality to get them to fight. It is has been the history of revolution through the ages that a few educated men can persuade a majority to fight for liberty or for a common goal and after the revolution is over they put into place a government for their own privilege. The United States has not been the exception. They used the same pretexts as  the revolutionaries of anytime to create a society after their own image based on their principles, privileges and their ruling ideas, â€Å"The ideas of the ruling class are in every epoch the ruling ideas, i.e. the class which is the ruling material force of society, is at the same time its ruling intellectual force† (Marx, Karl, The German Ideology, P. 64). Their ideas were not ideas for the founding of a democracy. â€Å"Still the mythology around the Founding Fathers persists. To say, as one historian (Bernard Bai lyn) has done recently â€Å"the destruction of privilege and the creation of a political system that demanded its leaders the responsible and humane use of power were their highest aspirations† is to ignore what really happened in the America of those these Founding Fathers†( Zinn, Howard, A People’s History of the United States P. 101)† Zinn then states that the Founding Fathers wanted to create a balance between the forces which were dominant to that time, and not a balance â€Å"between slaves and masters, property less and property holder, Indians and white ( Zinn, Howard, A People’s History of the United States P. 101).† His arguments continue to be reinforced by bringing into account many different views from other historians and by presenting documents from that time and by bringing into account the writings of the Founding Fathers themselves. He clearly reinforces the argument that the founding fathers were not democratic reformers. In reading both sides of the argument one can acquire an unbiased approach to the question, yet it is impossible to remain without any sort of bias, to be working class or being wealthy will play in the outcome of any given men’s stance to the question. The level of education that a person may have acquired will also depend on his view, and also his or her sus ceptibility to what stands as a norm will also give his reasoning a bias approach. Just as well as a person’s idealism being it political, economic or social or even of the combined three will not allow an unbiased standpoint from him/her. Howard Zinn makes the most compelling argument, his answer to the question holds the most validity in the two clashing responses, it is brought upon with great historical anecdotes, it is fairly easy to find the historic facts that he represents in his outlook of the issue; and it is the more logical of the two. Zinn does not speak with emotions of nationalistic fervor, or political idealism, nor does he stay compelled to the narrowness of a one sided argument, but looks upon both sides. â€Å"As Brown says about Revolutionary America,  Ã¢â‚¬Å"practically everybody was interested in the protection of property† because so many Americans owned property† (A People’s History of the United States P. 98). His response to Robert E. Brown (Charles Beard and the Constitution), who is a critic to Beards approach was, â€Å"However, this is misleading. True, there were many property owners. But some people had much more than others†¦Jackson Main found that one-third of the population in the Revolutionary period were small farmers, while 3 percent of the population had truly large holdings and could be considered wealthy (A People’s History of the United States p. 98).† The people of the Americas did not fight a revolution for their freedom, not for equality, they fought the revolution of the elite, they won them a political victory, handed them the wealth of the nation. The slaveholders of the South found compromise with the money interest of the North and the Founding Fathers were able to create the great market of commerce they envisioned when they came to the conclusion for independence from Great Britain. The People of America in that time fought a Revolution for the Founding Fathers who were not democratic reformers.

Tuesday, October 22, 2019

Biography of Sojourner Truth, Abolitionist and Lecturer

Biography of Sojourner Truth, Abolitionist and Lecturer Sojourner Truth (born Isabella Baumfree; c. 1797–November 26, 1883) was a famous African-American abolitionist and womens rights activist. Emancipated from slavery by New York state law in 1827, she served as an itinerant preacher before becoming involved in the anti-slavery and womens rights movements. In 1864, Truth met Abraham Lincoln in his White House office. Fast Facts: Sojourner Truth Known For: Truth was an abolitionist and womens rights activist known for her fiery speeches.Also Known As: Isabella  BaumfreeBorn: c. 1797 in Swartekill, New YorkParents: James and Elizabeth BaumfreeDied: November 26, 1883 in Battle Creek, MichiganPublished Works: The Narrative of Sojourner Truth: A Northern Slave (1850)Notable Quote: This is what all suffragists must understand, whatever their sex or color- that all the disfranchised of the earth have a common cause. Early Life The woman known as Sojourner Truth was born into slavery in New York as Isabella Baumfree (after her fathers owner, Baumfree) in 1797. Her parents were James and Elizabeth Baumfree. She was sold several times, and while enslaved by the John Dumont family in Ulster County, she married Thomas, also enslaved by Dumont and who was many years older than Isabella. The couple had five children together. In 1827, New York law emancipated all slaves. At this point, however, Isabella had already left her husband and run away with her youngest child, going to work for the family of Isaac Van Wagenen. While working for the Van Wagenens- whose name she used briefly- Isabella discovered that a member of the Dumont family had sold one of her children into slavery in Alabama. Since this son had been emancipated under New York Law, Isabella sued in court and won his return. Preaching In New York City, Isabella worked as a servant and attended a white Methodist church and an  African Methodist Episcopal Church, where she reunited briefly with three of her older siblings. Isabella came under the influence of a religious prophet named Matthias in 1832. She then moved to a Methodist perfectionist commune, led by Matthias, where she was the only black member, and few members were of the working class. The commune fell apart a few years later, with allegations of sexual improprieties and even murder. Isabella herself was accused of poisoning another member, and she sued successfully for libel in 1835. She continued her work as a household servant until 1843. William Miller, a millenarian prophet, predicted that Christ would return in 1843 amid economic turmoil during and after the panic of 1837. On June 1, 1843, Isabella took the name Sojourner Truth, believing this to be on the instructions of the Holy Spirit.  She became a traveling preacher (the meaning of her new name, Sojourner), making a tour of Millerite camps.  When the Great Disappointment became clear- the world did not end as predicted- she joined a utopian community, the Northampton Association, founded in 1842 by people interested in abolitionism and womens rights. Abolitionism After joining the abolitionist movement, Truth became a popular circuit speaker. She made her first antislavery speech in 1845 in New York City. The commune failed in 1846, and she bought a house on Park Street in New York.  She dictated her autobiography to womens rights activist Olive Gilbert and published it in Boston in 1850.  Truth used the income from the book,  The Narrative of Sojourner Truth, to pay off her mortgage. In 1850, she also began speaking about womens suffrage. Her most famous speech, Aint I a Woman?, was given in 1851 at a womens rights convention in Ohio. The speech- which addressed the ways in which Truth was oppressed for being both black and a woman- remains influential today. Truth eventually met Harriet Beecher Stowe, who wrote about her for the Atlantic Monthly and wrote a new introduction to Truths autobiography. Later, Truth moved to Michigan and joined yet another religious commune, this one associated with the Friends. She was at one point friendly with Millerites, a religious movement that grew out of Methodism and later became the Seventh Day Adventists. Civil War During the Civil War, Truth raised food and clothing contributions for black regiments, and she met Abraham Lincoln at the White House in 1864 (the meeting was arranged by Lucy N. Colman and Elizabeth Keckley). During her White House visit, she tried to challenge the discriminatory policy of segregating street cars by race. Truth was also an active member of the National Freedmans Relief Association. After the war ended, Truth again traveled and gave lectures, advocating for some time for a Negro State in the west. She spoke mainly to white audiences and mostly on religion, the rights of African-Americans and women, and temperance, though immediately after the Civil War she tried to organize efforts to provide jobs for black refugees from the war. Death Truth remained active in politics until 1875, when her grandson and companion fell ill and died. She then returned to Michigan, where her health deteriorated. She died in 1883 in a Battle Creek sanitorium of infected ulcers on her legs. Truth was buried in Battle Creek, Michigan, after a well-attended funeral. Legacy Truth was a major figure in the abolitionist movement, and she has been widely celebrated for her work. In 1981, she was inducted into the National Womens Hall of Fame, and in 1986 the U.S. Postal Service issued a stamp in her honor. In 2009, a bust of Truth was placed in the U.S. Capitol. Her autobiography is read in classrooms throughout the country. Sources Bernard, Jacqueline.  Journey Toward Freedom: The Story of Sojourney Truth. Price Stern Sloan, 1967.Saunders Redding, Sojourner Truth in Notable American Women 1607-1950 Volume III P-Z. Edward T. James, editor. Janet Wilson James and Paul S. Boyer, assistant editors. Cambridge, Massachusetts: Belknap Press, 1971.Stetson, Erlene, and Linda David.  Glorying in Tribulation: The Lifework of Sojourner Truth. Michigan State University Press, 1994.Truth, Sojourner.  The Narrative of Sojourner Truth: a Northern Slave. Dover Publications Inc., 1997.

Sunday, October 20, 2019

Examples of Arrangement in Composition

Examples of Arrangement in Composition In rhetoric and composition, arrangement refers to the parts of a speech or, more broadly, the structure of a text. Arrangement (also called disposition) is one of the five traditional canons or subdivisions of classical rhetorical training. Also known as  dispositio, taxis, and organization. In classical rhetoric, students were taught the parts of an oration. Though rhetoricians did not always agree on the number of parts, Cicero and Quintilian identified these six: the exordium, the narrative (or narration), the partition (or division), the confirmation, the refutation, and the peroration. Arrangement was known as taxis in Greek and dispositio in Latin. Examples and Observations Aristotle states that...the very nature of rhetoric requires at least four components: an exordium, or introduction (prooimion), an advanced thesis (prothesis), proofs (pisteis), and a conclusion (epilogos).(Richard Leo Enos, Traditional Arrangement. Encyclopedia of Rhetoric, 2001)In A Rhetoric of Motives (1950), Kenneth Burke summarized the classical position on arrangement as rhetorical form in the large involving the following: a progression of steps that begins with an exordium designed to secure the goodwill of ones audience, next states ones position, then points up the nature of the dispute, then builds up ones own case at length, then refutes the claims of the adversary, and in a final peroration expands and reinforces all points in ones favor while seeking to discredit whatever had favored the adversary. Declining Interest in Arrangement In the place of the old rhetorics formulaic arrangement, the new rhetoric [of the 18th century] advised an arrangement that reflected the flow of thought itself. By the nineteenth century, the classical rhetorical tradition was pretty much adrift- although Richard Whately made an heroic effort to salvage it. As writing pedagogy abandoned prescribed techniques for invention, arrangement, and style (memory and delivery were already sinking as writing displaced oral literacy), teachers increasingly focused on grammar and surface features. How the student was supposed to create an essay was a mystery- as all writing came to be seen as the result of inspiration. Teaching the structure of the classical oration certainly made little sense because the form of a piece of writing should be determined by the reality the writer aimed to convey, not some static pre-ordained formula.(Steven Lynn, Rhetoric and Composition: An Introduction. Cambridge University Press, 2010) Arrangement in Modern Media Modern mass media...present special complications to the study of arrangement because the sequencing of information and arguments, the order in which certain appeals reach an audience, is very difficult to predict...Saturation and sheer quantity of exposure to a message given in single bursts may count for more than the interrelationships of parts of a single message achieved by its carefully crafted arrangement.(Jeanne Fahnestock, Modern Arrangement. Encyclopedia of Rhetoric, 2001)

Saturday, October 19, 2019

Annotated Soap Note Hair Loss

Relevant history positive for family history of hair thinning on both sides. Relevant history negative for anemia, hyperthyroidism, hypothyroidism, rheumatoid arthritis, vitiligo or ulcerative colitis. The patient is not currently pregnant. Associated symptoms include intentional weight loss of 50 lbs over 10 months. Pertinent negatives include anxiety, depression, dry scalp, fever, heat intolerance, itchy scalp, rash, scalp kerion, scalp tenderness or skin sores. Noticed hair thinning for about 5 months. No bald spots, lesions on scalp or skin. Estimates she has lost 25% of hair thickness. Chronic Problems Past Medical/Surgical History 1996 (R) Shoulder arthroscopy Obstetric History G1P1. Not pregnant. Family History Disease Detail Family Member Age Cardiomyopathy Father67 (cause of death) Cancer -lungMother59 (cause of death) HypothyroidMother Social History Employment: Property Management, no exposure to chemicals. Marital Status / Family: Currently single, previously divorced once, not in relationship since divorce. Has an 11-year-old daughter. Tobacco: Never smoked. Alcohol: Occasional beer. Caffeine: coffee- 3 cups a day. Lifestyle: Moderate activity level. Exercises 3-4 days per week and takes care of horses daily. Medications (Active) Medication Name Mirena IUD, placed in 2012. Aleve as needed, taking several times a week over winter. Allergies: NKANo Known Drug Allergies Review of Systems Constitutional: Positive for: Weight loss. Has been following a very low carb diet and has lost 50 lbs. since July. No protein, nonstarchy vegetable or calorie restriction. Negative: fever and night sweats. Respiratory: Negative: cough, dyspnea. Cardiovascular: Negative: chest pain and irregular heartbeat/palpitations. Gastrointestinal: Negative: abdominal pain, constipation and diarrhea. Genitourinary: The patient is pre-menopausal. No menses with IUD. Negative: dysuria. Metabolic/Endocrine: Positive for hair loss, see HPI. Weight loss from diet and lifestyle changes. Negative: heat or cold intolerance. Neuro/Psychiatric: Negative: anxiety and depression. Negative: extremity weakness, headache and numbness or weakness in extremities. Dermatologic: No hirsutism or signs of virilization, nail changes, rash, or skin sores. Scalp without pruritus, burning, or lesions. No new hair products. Shampoos daily. No chemical hair treatments. No hair loss on other parts of body. Hair lost has roots, no hair breakage. Does not put hair into braids or ponytails on regular basis. See Chief Complaint and HPI. Musculoskeletal: Negative: joint pain and joint swelling. Hematology: Negative: easy bleeding, bruising or history of anemia. Vital Signs. Height: 5’8† Weight: 237 BMI: 36 Blood Pressure: 130/75 Pulse: 80 Physical Exam Constitutional: Well developed, no distress. Eyes: PERRLA, no injection, bilaterally. Neck / Thyroid: Symmetric, trachea midline and mobile. No thyromegaly or thyroid nodules. Lymphatic: No cervical or supraclavicular adenopathy. Respiratory: Chest symmetric. Lungs clear to auscultation. Respiratory effort is normal. Cardiovascular: Regular rate and rhythm with normal S1, S2. No murmur or rub. Abdomen: Nontender. No masses or organomegaly, exam limited by obesity. No bruits. Integumentary: No skin lesions present. Nails appear normal. No scalp erythema, scales, papules, pustules, erosions, or excoriations. Hair loss most noticeable in temporal region, equal bilaterally. Extremities: No edema is present. Psychiatric: Oriented to time, place, person, and situation. Has appropriate mood and affect. Assessment: Telogen effluvium (704. 02) Hair loss is classified into 3 classifications, cicatricial alopecia (inflammatory), nonscarring alopecia and inherited and acquired structural hair disorders. In evaluating hair loss it is important to assess duration and rate, location and pattern, extent of loss, associated symptoms, hair care practices, and differentiation of hair shedding from breakage. Medical and family history, diet, and medications need to be assessed (Shapiro, Otberg, Hordinsky, 2013). Telogen effluvium is diffuse hair loss that is reversible caused by a significant stressor such as significant weight loss, pregnancy, major illness or surgery (Goldstein Goldstein, 2012). As the patient has lost 50 pound in 10 months, this is the most likely cause of her diffuse hair loss. She will stop her very low carbohydrate diet for a more moderate, varied diet. If the hair loss continues she will need further evaluation. Differential diagnosis 1. Endocrine related hair loss: Hair loss may be caused by several endocrine disorders, presentation is typically with non-scarring alopecia that is diffuse (Olszewska, Warszawik, Rakowska, Slowinska, Rudnicka, 2011). †¢Hypopituitarism, not assessed, needs serum cortisol (Synder, 2012), will order if symptoms continue. †¢Hypothyroidism, ruled out, TSH normal. †¢Hyperthyroidism, ruled out, TSH normal. †¢Diabetes mellitus, ruled out, fasting glucose normal. †¢Growth hormone deficiency, unlikely obese adult of greater than normal height. †¢Hyperprolactinaemia, ruled out, prolactin normal. †¢Polycystic ovary syndrome, unlikely. No hirsutism, virilization, acne, infertility, or history of menstrual irregularities (prior to amenorrhea from IUD) (Barbieri Ehrmann, 2012). †¢Congenital adrenal hyperplasia (late onset), unlikely, no hirsutism or menstrual irregularities (Merke, 2013). 2. Alopecia areata : Diagnosis is unlikely, as alopecia areata is considered an autoimmune disease, with significant associations with vitiligo, lupus erythematosus, psoriasis, atopic dermatitis, autoimmune thyroid disease, and allergic rhinitis. ESR was normal, and this patient has no symptoms of inflammation due to autoimmune disease (Chu et al. 2011). 3. Drug related alopecia areata : NSAIDs have been associated with hair loss (WebMD, 2012). Patient reports taking regular naproxen, for the last few months due to muscle aches from exercise and taking care of her horses in the winter. However, this was not until after hair loss started, so may be a contributing factor but not direct cause. Recommended to stop all NSAIDs until problem is corrected. 4. Excess vitamin A: Vitamin A is toxic above daily intakes of greater than 25,000 IU for more than 6 years or more than 100,000 IU for at least 6 months (Penniston Tanumihardjo, 2006). This patient’s largest source of vitamin a has been leafy greens almost daily. Two cups of spinach has under 20,000 IU of vitamin A. She is not taking a vitamin a supplement. Therefore vitamin a toxicity is unlikely. 5. Syphilitic alopecia: Unlikely as patient tested negative for syphilis during her pregnancy, and has remained celibate since her divorce, several years later. Syphilitic alopecia occurs in only 4% of patients with syphilis (Hernadez-Bel, Unamuno, Sanchez-Carazo, Febrer, Alegre, 2012). 6. Nutritional deficiencies: Although this is a likely cause, it difficult to determine if hair loss is from significant weight loss or nutritional deficiencies from a very low carbohydrate diet lasting 10 months. Deprivation of several components, such as proteins, minerals, fatty acids, and vitamins, can lead to structural deformities, changes in pigmentation, or hair loss. One example, Acrodermatitis enteropathica, is caused by zinc deficiency (Finner, 2013). As the patient was eating a high protein, moderate fat, very low carbohydrate (vegetables only), a zinc deficiency is unlikely as it is closely related to protein intake. She also ate a large amount of vegetables daily. A vitamin or mineral closely linked to grains only would be a likely cause. Plan Telogen effluvium (704. 02) 1. FERRITIN HGB ESR TSH PROLACTIN all normal. 2. The loss of 50 pounds is overall very beneficial and will improve your health. However, this can cause hair loss, which is temporary and reversible. Regrowth should occur over 3 to 4 months. 3. I recommend a more moderate low carbohydrate diet and slower weight loss to lower the stress on your body. 4. As NSAIDs, such as Aleve, can cause hair loss, I would also advise to avoid them until the symptoms have resolved. 5. Return for further evaluation if hair loss does not resolve in three to four months. If no improvement or if your symptoms progress, follow up with a dermatologist. ? References Barbieri, R. L. , Ehrmann, D. A. (2012). Clinical manifestations of polycystic ovary syndrome in adults. Retrieved from http://www. uptodate. com/contents/clinical-manifestations-of-polycystic-ovary-syndrome-in-adults? source=search_resultsearch=pcosselectedTitle=4%7E

Friday, October 18, 2019

Right Whales in today's environment Research Paper

Right Whales in today's environment - Research Paper Example They are slow swimmers and usually perform short shallow dive successively before going under water. They normally move from place to place in small numbers or on their own. They also give out soft sounds that could be their means of communication. Most of these huge whales live in temperate waters, and are located more frequently in coastal waters, particularly throughout the breeding period (Knowlton & Kraus 193-194). King Sancho the Wise, in 1150, awarded rights to Navarre, an area in northern Spain, to collect or impose fee on whalebone. This is the beginning of whale hunting, which killed thousands of right whales. The name of the species came from early whalers, who believed that this whale was the ‘right’ whale to hunt (Knowlton & Kraus 193). Their slow movement, their proximity to land, and their ‘output’ or uses made them profitable to hunt. At present, very few right whales exist. Ever since whaling stopped in the 1930s, equally reduced species, li ke the right whale of the Southern Ocean, have shown remarkable restoration. Unfortunately, the population of North Atlantic right whale failed to recover. Very few are being born, while numerous are dying, usually due to human activities like fishing and shipping. Because right whales are located in coastal areas, it is highly at risk of human activities. With a decimated, slow-increasing population, even minor threat could have a huge effect. The impact of pollutants on the vulnerability of right whales to disease and reproductive functioning is becoming more and more an area of concern. For instance, studies have revealed that North Atlantic right whales are substantially exposed to harmful substances (Schick et al. 5). Today experts are teaming up, employing various approaches, methods, and tools, to examine the health and habitats of right whales; their migration patterns; and, the changes in their population over time. An accurate understanding of these factors can significant ly contribute to the development of appropriate and effective conservation and management systems that can boost the recovery of the species. Researchers in the 1950s largely shared the opinion that the North Atlantic right whale was either endangered or already extinct. However, several whale researchers in the 1960s observed a small number of right whales. The message was obvious—North Atlantic right whales survived (IFAW ‘Ending Commercial Whaling’ para 1). A research was published in 1990 that reported that the major reasons for the death of right whales were entanglements in fishing nets and ship collisions (Knowlton & Kraus 193-194). By the latter part of the 1990s marine biologists already knew that right whales will eventually become extinct due to harmful human activities. A major factor in the decimation of North Atlantic right whales is manmade mortality. Not like the recuperating population of Southern Ocean right whale, which moves to less trafficked and inhabited waters, North Atlantic right whales are widely exposed to accidents, like ship collisions. These accidents result in lethal distress to whales, such as fractured ribs, brain cases, and jaws. Right whales also collide with fishing gears (Greenpeace International para 4-5). Some of them can free themselves from entanglements, while others cannot. Being caught in fishing gears causes death to right whales. Unfortunately, preventing collisions between whales and ships is very hard. Sometimes, right whales are not able to avoid or identify big ships. Thus far, there are

Dada in the world war one Essay Example | Topics and Well Written Essays - 1750 words

Dada in the world war one - Essay Example With the future of Germany an uncertainty, many avant-garde artists, including George Ehrenfried Grosz, were inspired by the Russian Revolution and formed the Berlin Dada Club (McCloskey 45). They believed classic Marxism was the best solution to the turmoil in Germany (McCloskey 46). They thought the major social, economic, and political turmoil in Germany stemmed from the bourgeoisies oppression of the proletariat and dedicated their art to ending the war and revolutionary change. George Ehrenfried Grosz (1893-1959) was born in Berlin, Germany, and emerged as one of the leading German political artists between World War I. His artwork during the 1920s reflected the appalling conditions in Berlin that resulted from the German loss of World War I, which included: food shortages, staggering inflation, the sight of war cripples begging in the streets, rampant prostitution, and widespread violence. As the German military began to accept the loss of the war, Grosz became increasingly involved with left wing activities and publishing his revolutionarily motivated art. His sentiments were fueled by a close relationship he developed with two brothers, Weiland Herzfelde and John Herzfelde (or John Heartfield as he called himself). Grosz had met Heartfield while in the infantry and they both decided to Americanize their names as protest against the German military (George Groszs given name was Georg Gross) (McCloskey 20). The Herzfelde brothers had been influenced by th eir parents to have strong socialist views and revolutionary attitudes. Their father was a socialist writer and their mother a textile union organizer. Grosz and the Herzfelde brothers, the historian Beth Lewis pointed out, "shared a common conviction that the war was not only despicable, but that it was lost" (Lewis 42). Grosz also believed that the common soldier had an interest in not wanting the war to end. He reasoned that the accepted violence in the

Real Estate .Adding to and appraising the value of property Essay

Real Estate .Adding to and appraising the value of property - Essay Example The size of the residential market has shown a consistent increase from ?753 billion in 2001 to ?2369 in 2009 (www. ipd.com/linkclick.aspx). According to the UK IPD residential index of 2009, based on a sample of 11,143 properties covering ?3.9 billion at the end of December 2009, the returns on residential complexes consistently increased in 2009. Moreover, out of the total capital market value of ?3.81 billion for the UK property market, 20.9% is based in the south east, the zone within which the city of Reading falls into. In the south eastern area, the capital growth was 10% and income returns were 4.8%. Hence at the outset, it may be stated that this area generally appears to be a viable from the point of view of investment over a long term, because property values have generally been good over the long term. Income returns were 2.9% in 2009 and capital growth was 8.1 (www.ipd.com). For commercial properties, the income return was 7.4, but capital growth had dropped to -3.6. Whe n returns are annualised over a period of five years, the south eastern region demonstrated income growth of about 5% but no capital growth (www. ipd.com/linkclick.aspx, p12). ... The levels of associated risk were also higher for commercial properties, i.e, 13.0 as compared to a return of 6.0 (www. ipd.com/linkclick.aspx, p21). Projections which have been made on real annualised returns from real estate show a loss of -11% over a three year period and -1% over a 5 year period, such that any proposal for the future on the Sulis property in reading needs to factor in some potential losses that could arise in the investment being considered. The real income growth has been steadily dropping in commercial real estate; when real capital growth in commercial property is taken into account over a fifty year period, i.e, inflation minus 1.2% per year for commercial property (www. ipd.com/linkclick.aspx, p24). Annualised rental growth over a nine year period was 0.78% for commercial properties. In terms of current asking prices for commercial property, the general commercial locations around Valpy street in reading are being offered at prices ranging from 650 to 700 p er square foot and the asking price rents for offices are in the range of ?1200 to ?2500 depending upon the size of the individual units. The economic recession over the past four years has impacted upon the real estate market in reading, as in other parts of the country, by creating a glut of distressed properties being offered for sale because they are foreclosed and unable to keep up with payments. Interest rates have remained low, which has been a boon for those on mortgages with low interest payments. While low interest rates are advantageous for buyers at the present time because it allows them the opportunity to acquire a fixed rate mortgage, at the low rate, it also requires a much higher down payment,

Thursday, October 17, 2019

Research on Sharia law Paper Example | Topics and Well Written Essays - 2500 words

On Sharia law - Research Paper Example , the origins of Sharia laws derive from a combination of laws, like Roman laws, contents of the Holy Koran (qiyas), teachings of Prophet Mohammed and present day assimilations of ancient legal interpretations and treatises (ijmas). However, an interesting aspect of Shari has been that in their countries of acceptance and faith, different interpretations exist for these laws. Modernists, traditionalists and fundamentalists all hold different views of Sharia, as do adherents to different schools of Islamic thought and scholarship. Different countries and cultures have varying interpretations of Sharia as well. Thus, Sharia practices in African countries may be quite different from those in Arab countries. On the other hand, Muslim population in India may have different cultural and sociological interpretation of Sharia than what is being done in Indonesia, or Yemen, for that matter. Thus, what is important is the sociological background of these laws in the context of respective countries where these laws are followed. Moreover, it is also seen that Islam has two sub sects – Sunnis and Shias. It is now necessary to consider the differences between Sunni and Shia Muslims, which essentially finds the difference in religion but politics. This is primarily because it concerns leadership matters subsequent to the prophet’s era and what led to division of Muslim sect soon after the death Mohammed. When the question arose as to who would inherit the mantle of the Prophet, of one sect believed that leadership should be taken over by one of his worthy followers. But Shias believed th at leadership should move to the member of his own kith or kin, like his son- in- law, or nephew. Thus, major differences arose between Sunnis and Shias, such that the latter were not able to ever reconcile themselves to the fact that Ali’s descendants were not provided due leadership in the Muslim order after the lifetime of Prophet. Thus, they refused to accept the authority of Sunni

Implementation Paper Essay Example | Topics and Well Written Essays - 3750 words

Implementation Paper - Essay Example In fact, according to American Lung Association (2007), approximately five (5) million pneumonia cases occur annually; the cause of almost 55 million days (Kochanek & Smith, 2002) of restricted activity, as well as 1.3 million hospitalizations each year. Furthermore, inpatient treatment for pneumonia (Niederman, 1998) amounts to more than $7.5 billion annually. Roark (2003) added that this disease is the second most widespread nosocomial infection. As of 2003, the annual incidence reached up to five to 10 cases in every 1,000 admissions and can further lead into mechanical ventilation for 48 hours or more, duration of hospital stay, worsening of underlying illness as well as presence of co-morbidities. Previous antibiotic use prior to the onset of nosocomial pneumonia elevates the likelihood of infection, particularly with those virulent organisms like Acinetobacter sp. and Pseudomonas aeruginosa. Conventional preventive measures against nosocomial pneumonia take account of the patients' decreasing aspiration, proper disinfection/sterilization of devices used in respiratory-therapy, use of effective vaccines against particular infections, avoiding cross contamination via hands of personnel and health education among patients and hospital staff. New measures under investigation involve reducing oropharyngeal and gastric colonization. Collaboration amongPneumonia as Core Performance Measure Collaboration among variety of stakeholders is an integral process in the measurement of Pneumonia Core Performance. The Joint Commission (2009) in early 1999, was able to solicit inputs from different health care provider organizations, clinical professionals, health care consumers, state hospital associations, and convened the Pneumonia Advisory Panel to discuss the areas for core measures for hospitals. The Joint Commission is a distinguished and awarded international leader, able and has been proven to effectively carry out the identification process, test and denote standardized performance measures. It has been involved in performance measurement research, development activities, and ongoing, established successful, as well as collaborative relationships with key performance measurement sets. The agency has set the initial pneumonia measure that exists in five (5) measures namely: Oxygenation Assessment, Blood Cultures, Pneumococcal Screening and/or Vaccination, Smoking Cessation Advice/Counseling, and also the Antibiotic Timing. Later, two additional measures were implemented and these are the: Antibiotic Selection and Influenza Vaccination. All together, the Joint Commission function with the CMS or Centers for Medicare & Medicaid Services on pneumonia measures with the intention of common to both organizations. CMS with the Joint Commission worked together in order to align the measure specifications which are to be used in the 7th Scope of Work and also for Joint Commission accredited hospitals. On July 1, 2002, hospitals began collecting the preliminary five (5) pneumonia measures intended for patient discharges.Core Measures monitor a range of evidence-based, the scientifically researched standards of care that have been shown to effect in improved clinical outcomes for patients. The establishment of Core Measures in 2000 by the Center for Medicare and Medicaid (CMS) has started to release public statements about hospital core measure findings in

Wednesday, October 16, 2019

Real Estate .Adding to and appraising the value of property Essay

Real Estate .Adding to and appraising the value of property - Essay Example The size of the residential market has shown a consistent increase from ?753 billion in 2001 to ?2369 in 2009 (www. ipd.com/linkclick.aspx). According to the UK IPD residential index of 2009, based on a sample of 11,143 properties covering ?3.9 billion at the end of December 2009, the returns on residential complexes consistently increased in 2009. Moreover, out of the total capital market value of ?3.81 billion for the UK property market, 20.9% is based in the south east, the zone within which the city of Reading falls into. In the south eastern area, the capital growth was 10% and income returns were 4.8%. Hence at the outset, it may be stated that this area generally appears to be a viable from the point of view of investment over a long term, because property values have generally been good over the long term. Income returns were 2.9% in 2009 and capital growth was 8.1 (www.ipd.com). For commercial properties, the income return was 7.4, but capital growth had dropped to -3.6. Whe n returns are annualised over a period of five years, the south eastern region demonstrated income growth of about 5% but no capital growth (www. ipd.com/linkclick.aspx, p12). ... The levels of associated risk were also higher for commercial properties, i.e, 13.0 as compared to a return of 6.0 (www. ipd.com/linkclick.aspx, p21). Projections which have been made on real annualised returns from real estate show a loss of -11% over a three year period and -1% over a 5 year period, such that any proposal for the future on the Sulis property in reading needs to factor in some potential losses that could arise in the investment being considered. The real income growth has been steadily dropping in commercial real estate; when real capital growth in commercial property is taken into account over a fifty year period, i.e, inflation minus 1.2% per year for commercial property (www. ipd.com/linkclick.aspx, p24). Annualised rental growth over a nine year period was 0.78% for commercial properties. In terms of current asking prices for commercial property, the general commercial locations around Valpy street in reading are being offered at prices ranging from 650 to 700 p er square foot and the asking price rents for offices are in the range of ?1200 to ?2500 depending upon the size of the individual units. The economic recession over the past four years has impacted upon the real estate market in reading, as in other parts of the country, by creating a glut of distressed properties being offered for sale because they are foreclosed and unable to keep up with payments. Interest rates have remained low, which has been a boon for those on mortgages with low interest payments. While low interest rates are advantageous for buyers at the present time because it allows them the opportunity to acquire a fixed rate mortgage, at the low rate, it also requires a much higher down payment,

Tuesday, October 15, 2019

Implementation Paper Essay Example | Topics and Well Written Essays - 3750 words

Implementation Paper - Essay Example In fact, according to American Lung Association (2007), approximately five (5) million pneumonia cases occur annually; the cause of almost 55 million days (Kochanek & Smith, 2002) of restricted activity, as well as 1.3 million hospitalizations each year. Furthermore, inpatient treatment for pneumonia (Niederman, 1998) amounts to more than $7.5 billion annually. Roark (2003) added that this disease is the second most widespread nosocomial infection. As of 2003, the annual incidence reached up to five to 10 cases in every 1,000 admissions and can further lead into mechanical ventilation for 48 hours or more, duration of hospital stay, worsening of underlying illness as well as presence of co-morbidities. Previous antibiotic use prior to the onset of nosocomial pneumonia elevates the likelihood of infection, particularly with those virulent organisms like Acinetobacter sp. and Pseudomonas aeruginosa. Conventional preventive measures against nosocomial pneumonia take account of the patients' decreasing aspiration, proper disinfection/sterilization of devices used in respiratory-therapy, use of effective vaccines against particular infections, avoiding cross contamination via hands of personnel and health education among patients and hospital staff. New measures under investigation involve reducing oropharyngeal and gastric colonization. Collaboration amongPneumonia as Core Performance Measure Collaboration among variety of stakeholders is an integral process in the measurement of Pneumonia Core Performance. The Joint Commission (2009) in early 1999, was able to solicit inputs from different health care provider organizations, clinical professionals, health care consumers, state hospital associations, and convened the Pneumonia Advisory Panel to discuss the areas for core measures for hospitals. The Joint Commission is a distinguished and awarded international leader, able and has been proven to effectively carry out the identification process, test and denote standardized performance measures. It has been involved in performance measurement research, development activities, and ongoing, established successful, as well as collaborative relationships with key performance measurement sets. The agency has set the initial pneumonia measure that exists in five (5) measures namely: Oxygenation Assessment, Blood Cultures, Pneumococcal Screening and/or Vaccination, Smoking Cessation Advice/Counseling, and also the Antibiotic Timing. Later, two additional measures were implemented and these are the: Antibiotic Selection and Influenza Vaccination. All together, the Joint Commission function with the CMS or Centers for Medicare & Medicaid Services on pneumonia measures with the intention of common to both organizations. CMS with the Joint Commission worked together in order to align the measure specifications which are to be used in the 7th Scope of Work and also for Joint Commission accredited hospitals. On July 1, 2002, hospitals began collecting the preliminary five (5) pneumonia measures intended for patient discharges.Core Measures monitor a range of evidence-based, the scientifically researched standards of care that have been shown to effect in improved clinical outcomes for patients. The establishment of Core Measures in 2000 by the Center for Medicare and Medicaid (CMS) has started to release public statements about hospital core measure findings in

Philosophies of Socrates, Plato, and Aristotle Essay Example for Free

Philosophies of Socrates, Plato, and Aristotle Essay The philosophies of Socrates, Plato, and Aristotle had different points of-view but they were also similar in some ways. For example, all three philosophers had their own thoughts on the subject of justice and government. Socrates belief on this matter was that democracy was an unwise form of government. He thought that the electing of the people was unfair justice. Plato had some of the same beliefs. He believed that government should only have rulers who had the intelligence and education appropriate for the matter. His thoughts were that a job should be done only by those who are best suited for it. To him aristocracy was a perfect form of government. The point of Socrates philosophies were to make people think about the questions he would often ask. The reason for these questions being asked were to have people to their own thoughts and opinions toward life. He did not think a person with the right mind should follow the steps of their ancestors. Instead of going around asking questions, Plato, another philosopher, would write his own conversations with imaginerary people. These conversations would cover much of the same topics that Socrates had tried to cover earlier. These topics mostly dealt with life such as government, opinions toward justice and how people really viewed education. Aristotle also had his own theories towards his belief of the right government. He wanted his results to show happiness among the people. Hed mainly collect information from studying living creatures and observing their living habits. He would do this so that he could see what brought them happiness. His opinion toward life was that all people should live a fair and happy life. After many attempts of forming the perfect government , his facts allowed him to believe that a perfect government could be formed only by those who have a middle class. The middle class would consist of those who were not rich yet not poor. Both Aristotle and Plato had different thoughts on the division of the government. Aristotle claimed to believe that a government should consist  of many classes for the protection of the people and the state. While Plato disagreed and thought that dividing of power was unfair and cruel. In his mind, he felt that those in the lower class could never have the chance to get any higher in life. Though all three philosophers felt that the government should be based on the equalness of all the people, they all had different views on what equality really meant. These philosophers all had their own way of gathering information and passing it through the minds of others.

Monday, October 14, 2019

Problems with Act Utilitarianism

Problems with Act Utilitarianism According to act utilitarianism, the measure of the value of an act is the amount by which it increases happiness to a person. If the act produces much happiness as compared to any other act then the act is morally right. To understand the term act utilitarianism, compare the consequences of doing a charity work and the consequences of watching TV at home. A person can generate more happiness by doing charity work as compared to watching TV. In this situation according to act utilitarianism, the right thing for a person is to do charity work as compared to watching TV because charity work will generate more happiness. Problem with Act utilitarianism Though there is some criticism on this theory because for some people the act of torturing and enslavement is a source of happiness and this theory allows these act morally. This act according to some critics justifies crime. Another issue about this act is that how will the happiness be calculated. This is always difficult to find out that which act will generate more happiness. Rule utilitarianism Rule utilitarianismÂÂ  is a form ofÂÂ  utilitarianismÂÂ  that says an action is correct only if it conforms to a rule that leads to the greatest good and generates happiness. For rule utilitarians, the amount of good brought about when followed determines its rightness. ÂÂ  Rule utilitarians argue that following some rules leads to the greatest good will, and this will have have better consequences overall. Problem with rule utilitarianism In some cases ÂÂ  breaking the rule produces more utility so people tend to break rules. In this case sub-rules should be added that can handle such cases. Difference between Act utilitarianism and Rule utilitarianism These two forms of utilitarianism differ from each other. Act utilitarianism is based on consequences while rule utilitarianism is based on rules. Act utilitarianism sees the consequence of an action in itself whereas rule utilitarianism sees the consequences as if it will be repeated all over again. Act utilitarianism before choosing an act first looks into the consequences then the one with the better consequence is selected while rule utilitarianism looks first into the consequences of choosing what rule to follow. The more correct choice is the rule that generates the greatest utility or happiness. According to the theories, act utilitarianism is the belief that it is correct to break a rule as long as it brings a greater good and happiness, while Rule utilitarianism is a belief that even if a rule does not bring a greater good, breaking it will not bring a good either. In Act Utilitarianism the value of an action is not judged in terms of laws. Instead it states that when the actions benefit the most people they are moral. For example, a person might say it is moral to murder someone if they are a danger to society. even though the law is present against murder. Rule utilitarianism states that an action is correct only in reference to a rule. It measures the amount of good an individual action does by acting according to a law. For example, taking the same example of murder, a person might say ÂÂ  Murder is wrong according to the law and if everyone follows the law, no one will have to be afraid of being murdered and we can be in public and private spaces without any fear. Conclusion Act utilitarianism states that an act is correct if the act produces much happiness as compared to any other act. Act utilitarianism sees the consequence of an action in itself . There is some criticism on this theory because for some people the act of torturing and enslavement is a source of happiness and this theory allows these act morally. Rule utilitarianismÂÂ  is a form ofÂÂ  utilitarianismÂÂ  that says an action is correct only if it conforms to a rule that leads to the greatest good and generates happiness. There is some criticism on this theory because in some cases ÂÂ  breaking the rule produces more utility so people tend to break rules. The difference between these two acts is that act utilitarianism sees the consequence of an action in itself whereas rule utilitarianism sees the consequences as if it will be repeated all over again. Act utilitarianism is the belief that it is correct to break a rule as long as it brings a greater good and happiness, while Rule utilitarianism is a belief that even if a rule does not bring a greater good, breaking it will not bring a good either.

Sunday, October 13, 2019

Assessment of Inappropriate Behavioral Development in Children and Teens :: essays research papers

It is far easier to measure a child's physical growth and maturation than to assess the complexities of individual differences in children's disruptive and antisocial development. Pediatricians can clearly record increases in a child's weight and height on growth charts and even provide percentile estimates indicating how a child compares to others at the same age. Measuring and interpreting acceptable versus unacceptable and normal versus abnormal behaviors among children and adolescents are far more complex. Children and adolescents often test the limits of appropriate conduct by crossing the boundaries set by caretakers. When a youth exhibits a particular problem behavior, it is important to consider not only if the behavior has previously occurred, but also if it is exhibited in multiple settings and with what frequency, duration, intensity, and provocation. For example, a 2-year-old who playfully nips a playmate is less off the mark of developmentally appropriate behavior than a 4-year-old who aggressively and frequently bites playmates to forcefully gain possession of desired toys. Among adolescents, a certain degree of misbehavior, experimentation, or independence seeking is common. In fact, the American Psychiatric Association (1994) indicates that "New onset of oppositional behaviors in adolescence may be due to the process of normal individuation." On the other hand, youth who persistently and progressively engage in problem behaviors with significant impairment in personal development, social functioning, academic achievement, and vocational preparation are of great concern to caretakers. Also of concern is the broad category of "antisocial behaviors" that have an appreciable harmful effect on others, in terms of inflicting physical or mental harm on others or causing property loss or damage. The Semantics of Disruptive and Delinquent Behavior A mother finds parenting exhausting and describes her 7-year-old son as extremely energetic, frequently switching from one play activity to another, often losing his things, and forgetting to do his chores. A second grade teacher notes that her student has a learning disability, as he is unruly, requires constant disciplinary attention, fidgets or squirms in his seat, fails to follow directions or complete assignments, refuses to wait his turn, and often disturbs his classmates. A child psychologist indicates a young boy lacks the ability for sustained mental effort, is easily distracted by extraneous stimuli, displays poor impulse control, and meets the criteria for Attention-Deficit/Hyperactivity Disorder (ADHD), as defined in Diagnostic and Statistical Manual of Mental Disorders: Fourth Edition (American Psychiatric Association, 1994).