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Thursday, October 31, 2019

Academic Skills for Students in the Education Sector Essay

Academic Skills for Students in the Education Sector - Essay Example According to the paper, the reporter has come to know the areas where improvement is necessary. In this respect, he has identified that there are certain areas where   he needs to enhance that include time management, referencing and presentation skills. He has to work more in these areas to develop the skills that would help me to complete his three years degree course successfully. In addition, the skills will assist in enhancing my professional life competitively as well as competently. This study outlines that the author is going to discuss the skills that he has developed through my academic life along with the ways of their development. Discussion will be also made regarding the personal development needs for the next three years. Finally, an action plan has been provided for the next three years that displays the ways based on ways through which he will be able to achieve the aims. Time management is one of the most important skills essential for an individual to possess, wh ich will contribute to the personal as well as professional development. The educational curriculum being provided in the UK seems effective, as it helps the students to develop their skills among which the development of time management serves as the most significant skill.

Tuesday, October 29, 2019

Native American Genocide Essay Example for Free

Native American Genocide Essay When people think of genocide, there are many different examples that may run through their heads. An important example of genocide that came about during World War II was Adolf Hitler’s attempt to eliminate people of the Jewish faith. This example may be the most prominent in history, but it may not have been the earliest. Many think that genocides only occur in foreign countries, but in fact, one of the first genocides known to man took place in the soil we are currently standing on. When colonists first came to America, they thought they were discovering new land. Contrary to their belief, they were actually attempting to take over land that was already inhabited by people with their own way of life. What happened after that is described as â€Å"an American Holocaust† (Lewy). It is evident that a myriad of death and destruction came to Native American tribes when the colonist explorers and settlers arrived. The mass obliteration of the Native American population from an estimated 12 million in 1500 to barely 237,000 in 1900 represents a tragic genocide. The definition of genocide, according to The American Heritage New Dictionary of Cultural Literacy Third Edition, is â€Å"the deliberate and systematic extermination of a national, racial, political, or cultural group†. According to this definition, what happened to the Native Americans is genocide because it was deliberate and premeditated. Sir Jeffrey Amherst, commander-in-chief of Colonists forces in North America, wrote the following to Colonel Henry Bouquet at Fort Pitt: You will do well to try to inoculate the Indians with smallpox by means of blankets, as well as to try every other method, that can serve to extirpate this execrable race. Between 75 to 90 percent of all Native American deaths resulted from smallpox (Halverson). Therefore, the Colonists were not oblivious to the spread of smallpox throughout the Native American population. In fact, they were the ones who deliberately planned to exterminate the Native American race by the use of biological warfare, an obvious act of genocide. In addition, The Indian Removal Act of 1830 also led to a great reduction in the Native American population. â€Å"The treaty began the incredible but deadly move of over 70,000 Native Americans within the span of ten years which resulted in over 3,000 tribes alone dying during the move† (Lewy). This indicates that the Colonists were attempting to eradicate the Native American race, proving that what has happened is a form of genocide. In opposition to this, some may argue that the colonists were truly oblivious to the spread of smallpox and that as soon as they came to know about it they tried to stop it. When President Thomas Jefferson heard about the disease, he started a vaccination program. This program vaccinated over 200,000 Native Americans (Coodey). They were not trying to use biological warfare and kill the Natives; moreover, the colonist really cared that the Native Americans became sick and did all they could do to try to help them. Also, when The Indian Removal Act was enacted, President Andrew Jackson promised the protection of tribes from all outside forces while they were going to the newly designated land. The act also guaranteed aid for those who were moving and needed help in doing so. Also it said that the Colonists army will help the Native Americans in any way possible (Coodey). This shows that the Colonists were really concerned about the Native Americans well-being throughout the trip. Since the colonists tried to help the Native Americans and it wasn’t deliberate or systematic, what happened to the Native Americans does not represent as a form of genocide. Refuting the opposition made above, contrary to popular belief, President Andrew Jackson had all the Native Americans fooled. There was something in the treaty that the Native Americans might have overlooked. It stated in the treaty that â€Å"if the Indians become extinct, or abandon, the same lands shall revert to the United States† (Delema). This proves that President Jackson somehow knew that the Native Americans will get killed during the journey, as if he had planned something to happen. Also, the Trail of Tears isn’t the only way that they tried to kill the Native Americans; the colonists were greedy for land and grew less tolerant of the Natives standing in their way. When Texas entered the union, the colonists really wanted the land and wanted the Native Americans to emigrate out of Texas. Colonists continually went onto their lands and continually killed many people. In 1859, after a system of reservations failed, Native Americans were finally forced out of Texas (Delema). I would say that the Colonists went to large extremities to annihilate the Native Americans which represents as a form of genocide. Another example is on a Tribal level, rather than state, which occurred in 1877 with the Nez Perce Tribe. Approximately 750 members of the Nez Perce tribe were forced to move to designated reservations under orders of General Howard. The Nez Perce fled to Montana where they thought that they would be safe from Howard. Once they were settled, Colonel John Gibbon took orders from Howard to carry on an attack on the tribe with the intention of wiping them out, not just relocating them. Gibbon issued a surprise attack which left numerous dead (Highberger). This is a form of genocide because it was systematic, since he was ordered and the attack was carried out by a commander, and it was deliberate, since they had planned to intentionally kill them. In conclusion what happened to the Native Americans is a form of genocide because it was a deliberate and systematic death and destruction of the Native Americanswhich does fall under the definition of genocide. The history of Native Americans tells us that it can be determined as a form of genocide cause by the Colonists settlers since what they did was premeditated. While we cannot go back in time, we can learn from the mistakes and learn tolerance from history. This can help us realize that not only does this go on in other nations, it may also occur on America’s homeland. Works Cited Coodey, Shorey â€Å"The Trail of Tears and the Forced Relocation of the Cherokee Nation† Trail of Tears: The Rise and Fall of the Cherokee Nation (2006): 351. Proquest. Web. May 22, 2012. genocide. The American Heritage ® New Dictionary of Cultural Literacy, Third Edition. Houghton Mifflin Company, 2005. 21 May. 2012. . Halverson, Melissa â€Å"Native American during the Smallpox Epidemics: an Evolution. †ABO Blood Group Frequencies in Pre-European Contact America: An Ancient DNA Analysis(2007). NCWiseOwl. Web. May 22, 2012. Highberger, Mark â€Å"Nez Perce War. † American History (2006). NCWiseOwl. Web. May 22, 2012 Lewy, Guenter â€Å"Were American Indians the Victims of Genocide? † A Century of Dishonor (2007). ProQuest. Web. May 22, 2012.

Sunday, October 27, 2019

Effects of Parental Status on Children

Effects of Parental Status on Children 3.2 PARENTAL HABITS, OCCUPATION, SOCIAL CLASS AND PARENTAL EDUCATION How peers feel about their fathers occupation influences childrens attitudes. From contacts with their friends parents or what they see on television or read in books, children build up concepts of an ideal mother and father. Children feel that if they have better homes, better play equipment than their peers, they feel superior. If on the other hand their socio-economic status is inferior, it is likely to lead to feelings of inferiority. Children like to emulate their parents and thus, bad habits in parents may naturally pass on to them. Ganga et al in their study observed that in 66.2% of children there was history of alcohol abuse by fathers, with most of their income wasted on liquor and gambling. All the boys studied were from an urban or semi-urban area belonging to poor socio-economic category. In 40. 9% boys both parents were illiterate, in 33 8% only father was a functional literate. 52% of the parents were daily wage earners with irregular employment and 14. 2% were in quasi or full time Government job.24 Thilagaraj noted that in 51 % of the children had been brought up in slums and 68% of them had parents completely illiterate. Alcohol usage was found in 78% of the parents.26   3.3 EMERGING CAUSES- Natural calamities, AIDS, etc In the later part of the 20th century the World has witnessed some of the worst natural disasters. India too has witnessed the natural calamities on an unprecedented scale. The gory memories of the earthquake hitting Maharashtra in 1993, followed by another equally severe quake rocking the state of Gujarat in 2000 taking a heavy toll of human lives is still vivid. The problems of flooding in the eastern and north eastern parts of India is a recurrent one to live with, resulting in loss of many human lives. More recently the killer Tsunami waves hitting the southern coast of India taking the official death toll to over 10000.37 During such calamities children are always the first to get relief aid, hence it would be a legitimate conclusion that compared to the number of adult lives lost, the number of child deaths would be low. Mohan Y from JIPMER Pondicherry, in their preliminary study on the Tsunami affected victims in Pondicherry found out that 2% of children below 15 years were orphaned with most of them being losing their fathers.38 Lakhotia N and co-workers in a survey in the relief camps provided for the victims for the 2000 Gujarat earthquake, noted that in nearly 3% of children one of the parents was reported missing, and in 1 % it was confirmed that one of them was dead.39 Sarkar N R et at in their study noted that 4% of orphans had lost one of their parents in the floods over three years.40 Lindblade K A and co-workers feel that one of the consequences of HIV/AIDS epidemic in Sub-Saharan Africa is an increase in the number of orphans, estimated to have reached 6-11 % of children below 15 years by year 2000.41 4. PROBLEMS OF ORPHANS DUE TO ORPHANING Orphan-hood is frequently accompanied with multidimensional problems including prejudice, reduced access to health and school services, inadequate food, sexual abuse and others.42 Joyce K. Kikafunda et al found that orphan children living with their elderly grandparents are highly malnourished . A representative sample size of one hundred (100) elderly headed homes was calculated. Fifty (50) homes of children with both parents were randomly selected to act as a comparison group. A single child under the age of ten was randomly picked for anthropometrical measurements in each selected home. The results of this study show that a large proportion of the orphans (47 %) are malnourished when compared with only 28 % of malnourished non-orphans found in the normal homes. In addition, our study findings revealed that the older the orphans (0 10 years) living with the elderly get, the higher the level of underweight.43 The death of one or both parents has a profound and lifelong impact on the psychological wellbeing of children. Adolescents in particular are at increased risk for unresolved or complicated bereavement because of their developmental vulnerability and emotional dependency.44 Hierarchical framework for investigating the causal pathways between OVC experience and ill-health and malnutrition. N/B The UNICEF indicators used in the analysis are shown in the brackets- where there is no appropriate indicator to fit into the framework, NA (not available) is noted under the risk factor.45 5. ORPHANAGE 5.1 DEFINITION Orphanage is the name to describe a residential institution devoted to the care and education of orphans i.e., children whose parents are deceased or otherwise unable to care for them. 46 Institutions differ from families in both the organization of their context and in the roles of their participants. These factors affect the behaviors of the participants, both children and staff, and the process of the children’s development. 5.2 DIFFERENCE BETWEEN THE CHARACTERISTICS OF INSTITUTION  AND FAMILIES: Major characteristics of a total institution as proposed by Goffman are as follows: A total institution establishes barriers to social intercourse with the outside world. It is difficult to leave a total institution. All aspects of life in a total institution are conducted in the same place under the  same single authority. Everybody is obliged to act and to live together with his/her inmates. Officials in a total institution schedule and control all phases of inmates’ activity. There is a basic split between a large managed group (inmates) and a small  supervisory staff. Inmates have restricted contacts with the outside world, whereas staff members are  socially integrated with the outside world.47 In contrast, the family is an open setting where each family member participates in some other settings (e.g. school, day care, playground, work place, peer group, church, etc.). As a system, the family consists of a number of dyads and multiads (e.g. marital couple, children, older members of the family, etc.).Participation in these dyads and multiads determines the roles of family members (husband and father, son, brother, and grandson, etc.). Each of these roles is activated by a certain context which contributes to the development of the child. Thus, in families children witness multiple roles of family members (father and husband; mother and wife; sister and daughter; etc.). In contrast, an institutional staff functions in fixed social roles with strictly denied social behaviors. 48 Another important difference between the family and the institution is that the former is a self-supporting system, but the latter is not. The family may or may not rely on the outside world for help, but the majorities of life-supporting activities originates within the family and are carried out by family members, both adults and children. Mothers and fathers combine roles of providers, cooks, servants, educators, and caretakers in the mutual process and mutual context of life, and are assisted by their children. In an institution, these life-supporting activities are distributed between many staff with little or no participation by institutionalized children. 48 6. QUALITY OF SERVICES RENDERED IN ORPHANAGE Chabra et al in their study on the nutritional status and morbidity among 192 boys aged 6-12 years in a children observation in North West Delhi, noted that the infrastructure in terms of dining rooms, toilets, recreational facilities and medical care was inadequate.49 Erick Otieno Nyambedha et al in his study found that 84% of caregivers said orphans has schooling problems,48% of them said orphans has food problems,20% said hospital facilities are lacking.50 Horwitz S M and co-workers observed in their study on children in a foster care facility in New Haven Connecticut State USA, that there were no adequate toilet facilities for the inmates and the caretakers to child ratio was also inadequate.51 Suma Narayan Reddy observed in her study that out of 16 orphanages surveyed by her, there were 28 caretakers, only 2 caretakers had formal training and orientation courses in mental health problems of children and their early recognition and institution of remedial measures.52 Kapur M et al observed that most of the caretakers involved in the care of juvenile delinquents were not properly trained in recognizing the emotional problems amongst children.53 Takayama and co-workers report in their study on a child protection centre in San Francisco that the number of Caretakers was inadequate, and the medical services too were inadequate.54 7. PROBLEMS FACED BY THE ORPHANS IN ORPHANAGES Children living in institution invariably face a wide variety of problems inherent in institutional care such as (1) shortage of trained staff and the associated problem of high staff turnover (2) children living in groups set up their own social system and code of behavior which may oppose rather than support the aims of the institution (3) contradictions between the needs for regulation and the need to individualize the conflict between the needs of the individual child and the needs of the group. Thus the children are caught amidst such inevitable situation and demands in the institutions. 55 Five areas of potential biologic and social risk to infants and young children in orphanage care include: infectious morbidity nutrition and growth cognitive development socio affective development physical abuses 55 Orphanage children are deprived of their primary care givers, so they are more prone to physical health problems. Various studies have been conducted at national and international level, on health problems of orphans and vulnerable children in orphanage. Some of them are as follows. Chabra et al conducted a study on health and nutritional status of 192 boys in the age group of 6 to 12 years in a children observation home in Delhi. Almost 148 (60%) boys had some or the other forms of morbidity. Skin disease was the commonest morbidity (31.7%), followed by disease of the oral cavity (16%), acute respiratory infection (8.6%) and disease of the ear (9.9%). Additionally, the study revealed that that (36.7%) of boys were malnourished, and (13.5%) of the boys exhibited signs of specific nutritional deficiencies.49 Bhuvanesh Shukla et al found that most commonest health problems in orphanage are skin disease. A sample size of 104 children between the age group of 5 – 14 years was studied. Orphanage children skin problems shows that 3.84% of them had skin patches. Most of the (83%) children had dandruff, 25% of them had pediculosis.50% of them had dental carries, 33.5 of them had gingivitis, 57.7% of them were malnourished.10 Karim SA et al conducted a study in an orphanage in Dhaka to find out the outbreak of scabies and socio-economic profile, water sanitation facilities, personal hygiene and living condition of the orphan children. The study included 492 children and they received clinical check up. The result highlights that 98%children had scabies, and 71% has been infected.56 Dhanya Muralidharan et al a study conducted on oral health status of children in orphanage found that dental caries is most common in them. There were a total of 221 children in the orphanage with a boy to girl ratio of 1.6:1. The number of children having dental caries at baseline was 129 (58.37%). They concluded that comprehensive dental health care program (CDHP) is effective in overall improvement of general and oral health. In resource limited countries like India, such programs organized by dental schools can improve oral health.57 Takayama J I et al observed in their study population that among the 0 to 6 year olds, 27% children had upper respiratory illnesses, 23% had developmental delay and 21% had skin conditions. Among the 7 to 12 age group, 32% failed vision screen, 12% had dental caries and 11% had upper respiratory illness. Among the 13-18 year olds, 31% had failed vision screening, 12% had positive tuberculin skin tests.54 Miller L C and Hendrie N W noted that of the 452 Chinese children adopted form various orphanages from China and observed at an Adoption clinic between 1991-1998, Growth and developmental delays were frequent, in 39% for height, 18% for weight, 24% for head circumference. 75% had significant developmental delay in at least 1 domain; Gross motor in 55%, Fine motor in 49%, Cognitive in 32%, Language in 43%, Social-emotional in 28%, Activities of Daily Living 30% and global delays in 44%, 35% were anaemic, 10% had abnormal thyroid function tests, 9% had intestinal parasitosis (usually Giardia). 3.5% had positive skin tests for tuberculosis, 6% had positive hepatitis B surface antigen, 22% had positive hepatitis B surface antibody. Unsuspected significant medical diagnoses including hearing loss, orthopedic problems and congenital anomalies were seen in 12% of children.58 Wilai S et al conducted a study in Pathum Thani Province, Thailand to evaluate the intestinal parasitic infections in orphanage children. A cross-sectional study was conducted among 106 preschool orphans (60 males and 46 females) and their stool samples were collected. Almost 86 individuals (81.1%) were infected with at least one parasite.59 Ganga et al in their study on 225 children in Thanjavur Observation home observed that, communicable diseases, diseases of the eyes, ear, skin and dental caries

Friday, October 25, 2019

Causes of the American Revolution :: Essays on American Revolution

The American Revolution was a momentous event that changed the face of the whole world. Though the Revolutionary War lasted only a few short years, the American Revolution was a process that started long before the first shots of war were fired. The rebellion was permeated with the legacy of colonial political ideals, aggravated by parliamentary taxation, escalated by the restriction of American civil liberties and ignited by British military measures. England had a hard time controlling its American colonies from the very beginning, leaving them to develop relatively on their own for several generations. The North American continent is close to 3,000 miles away from England and the trip from England to American by boat in the 1600s took six to eight weeks if not longer. The trip was not easy and many died along the way, but when immigrants did reach the New World they arrived a bit changed by their harrowing journey. These new immigrants were met with a clean, new, virgin land, virtually unchanged for thousands of years. It was as if they had landed on a whole separate planet. These immigrants, then, established new societies based on whatever personal religious or political values they had, far from the shadow of England. Over 150 years later these values still lived strongly in the descendants of these original settlers. The rights of the individual were dominant in every aspect of American life in 1763. From the relative religi ous freedom, to the independence of the press, to the coveted public town meeting, Americans, unlike many Europeans at the time, enjoyed the right to choose how they lived their lives. Theoretically, under the concept of mercantilism, which affirmed that the sole purpose of a colony was to provide for its mother country, Americans were restricted economically. But, until 1763, with England's practice of salutary neglect, Americans enjoyed economic freedom and were able to trade covertly with whomever they wished. In 1763, England won the French/Indian War at a heavy financial. The high cost of the war forced England to take a firmer hold on its North American colonies. Since the French/Indian war was fought on American soil for the protection of the American people, the English government thought it elementary that the colonists should help pay off some of the debt incurred by the war. But the Americans were outraged. When the Stamp Act of 1765 was passed colonists reacted with widespread anger and violence.

Thursday, October 24, 2019

Evaluate the ways in which ideas were communicated to the audience Essay

Our central concepts and ideas for this piece were: Search for answers, desperation, fall of economy and society, fight for survival, obligatory ignorance. We wanted to communicate that in a downfall of the economy society will collapse; society needs money to survive, to be precise the human race needs things. Through this idea we wanted to show that once the financial system was taken away it came to down to survival of the fittest, people adapting to survive and breaking the taboo in order to do so. We also wanted to communicate that the protagonist was following his basic instincts to discover and learn, driven on a journey catalysed by the loss of his partner. As well as showing that there are often no answers, no matter how much effort and toil you are put through, we decided on showing how people can deal with what happens when they aren’t provided with what they want to know, that some people jump and take themselves out of the situation rather than having the weight of ignorance on their shoulders. Most of the members of the group were aware of these messages, but we made sure that every single one of us portrayed them through our performances to the best of our abilities so they could be carried across to the audience, even if they didn’t recognise them straight away. A few of these messages certainly did carry across but not to the extent we would have hoped. A lot of the younger members of the audience didn’t follow the plot completely, even after an explanation of the story. The older members also admitted that it was quite difficult to digest, and that it might have needed a second viewing to reiterate the plot and distinguish the deeper messages. A couple of them said, however, that the messages seemed to sink in and play on their mind over the next week and, when thinking of the amount of content we had actually performed in 45 minutes, realised how much we had put into it and how innovative it was. During our humorous scenes the audience were extremely engaged, laughing for long periods of time to at the certain bits of action or speech, this was exactly how we wanted and expected the to react. At the beginning they seemed to be quite agitated and were picking up the pictures that had been dropped from the catwalk above, this was again expected. At the rape scene they were very uncomfortable we could tell by the amount of tension left in the room, shuffling during the scene and the uncomfortable silence after the scene, we expected this kind of response, however we didn’t think it would be so extreme. I felt that we successfully conveyed the ideas of piece to the best of abilities but some members of the audience seemed to have received the messages we were trying to put across more than others. This was noticeable when talking to them afterwards as a lot of the audience; especially younger members found the plot difficult to follow. This meant that their brains were more intent on figuring out the plot that they missed key sections that were conveying these messages. The content was clearer to our teachers as they’d had the benefit of seeing the performance numerous times, this allowed them to digest the plot and, upon watching the play again, deconstruct and understand the meanings. I think we could have communicated the meaning clearer to the audience by either simplifying the plot or creating a more consistent and distinct narrative device. Our narrative device that appeared most often was the voice of the company, I think that exploring this character into more detail and having it recite pieces of text that suggest a story line more often would have made it clearer to the audience about the journey. We didn’t do this because we thought that the plot was more interesting without using a narrator thus leaving the audience in suspense and creating an unpredictability to the piece. The performance taught me that to create and present a great piece of drama you need perseverance, a good group dynamic, that discussing ideas relentlessly without taking action doesn’t get you anywhere, that you shouldn’t be afraid to tell a member of the group that an idea isn’t good enough, it’s better to come out with a great piece of drama after a fall out than have some mediocre. Also every scene has to stand alone before it can start to hold together as an entire piece. Our ideas surrounding obligatory ignorance were less obvious than some of our others but none the less proved effective in our performance we know this as they provided an under pinning to the plot that was hinted at but never directly addressed this helped to create a consistency throughout the piece that was obvious to the audience. Other, more directly tackled ideas, such as searching for answers, desperation, fight for survival, the fall of the economy and the fall of society. Idea/Theme How we attempted to communicate this to an audience How effective or communication was Fall of economy and society: This idea provides the starting point and is the catalyst for the plot. We have included this theme to explore a hypothetical world in which the economy collapse causing the downfall of civilisation and how it would be dealt with. We communicated this by beginning the piece with an ’emergency service announcement’ that pronounced that the economy had collapsed we had a 3 minute monologue from a member of the group speaking over air raid sirens and standing in front of flashing police lights. This was extremely effective as it was a clear concise obvious representation of an epidemic, the audience responded to it very well and said, after we talked to them that they got this bit. Searching for answers: This idea is the catalyst for the protagonist’s journey, this would mean that his tragic flaw would be ‘a need for answers’ as this ultimately leads him to his death. We included this idea so that the protagonist had a purpose to go on this journey that is, basically, the plot. This is communicated through the plot by sending the protagonist on this journey that is filled with multiple characters and dangers, yet he still goes on through multiple challenges just to find a way to understand, this is also represented in his confrontation with the bosses, persistently asking them question and insisting they tell him. This also carried over very well, they knew what he was doing why he was going, the only thing that confused them was if the protagonist knew about what happened to his partner as the photos we used with the words ‘eliminated’ on them weren’t visible to numerous members of the audience. Obligatory ignorance: This idea basically surrounds the idea that the protagonist will always, knowingly, be left in the dark about the events surrounding the loss of his partner, which also relates to the rest of the characters who are introduced in plot. We did this to convey that the people who the protagonist meets are people who have dealt with this forced lack of answers in different ways and that the characters in each scene will always be completely opposite to ones in a previous or following scene. We attempted to communicate this by confusing the audience, we showered them with pictures to intrigue them and want to find out answers like the protagonist. We wanted make it infuriating so that when the protagonist was denied the information he wanted from the Wise man and the bosses they would be equally as distraught. Audience members were definitely infuriated about the lack of answers that were given, which is exactly what we wanted. This made sure that they would be thinking about the play after they’d left and, hopefully, relate it to the current day. Fight for survival: This idea is providing an obstacle for the protagonist to face, making the plot interesting. We included this theme also to explore the primitive nature in which the human race would have to revert to in order to survive without the security of something that no longer exists. This is communicated through the challenges the protagonist face i. e. the prostitute scene, the war scene and the memory scene. In the latter the last person to speak reveals the dog eat dog world and kills herself for recessing to her primal instincts. This was definitely clear, talking to the audience afterwards a member said ‘That [world] as a bit rough wasn’t it? ‘ so it carried well.

Tuesday, October 22, 2019

Drug Legalization in the United States Essay

Abstract This paper will explore four websites and one online newspaper addressing the subject of drug trafficking in the United States and why legalization is a profitable alternative. The various ways drugs are bought into the country, information on how and why drug trafficking has increased in the United States, statistics on the number of people that are addicts, and the problems related to foreign countries on this issue. The reasons why illicit drugs should be legalized and what the income from the taxation from them could do to better our health care reform and our economy. Keywords: drug trafficking, economy, legalization Drug Legalization in the United States Illegal drugs are exports and deported out if our country everyday by different groups such as high profile criminal gangs or groups such as the cartel. Law enforcement has yet found a suitable way in controlling the war on drugs and have in past years, up until now, have made and passed bills and policies within the government that has made it worse. The legalization of illicit drugs, such as marijuana, would dramatically save, if not make our country more money.The Department of Justice reports the trafficking of drugs has increased in the United States (2012). Criminal groups from other countries, such as Mexican, Cuban, and Asian, including the groups in our country, grow, manufacturer, and distribute marijuana and other illicit drugs. Meth being in such high demand, leads to the growing number of addicts. Domestic cannabis growers and producers provide marijuana as easy completion for such drugs such as cocaine, LSD, and heroine. Since the price of the final product increases to abnormally high values, because of the black market status, this together with the powerful effects of drug addiction causes users to commit crimes in order to fund their addiction. The ways that illicit drugs are brought in to the country are by passenger ships at United States ports and shipping containers, criminal groups operating from South America smuggling cocaine and heroin in the United States. Self-propelled semisubmersible vessels are maritime vessels used by traffickers to transport illicit drugs. These vessels typically protrude only a few inches above the surface of the water, making them very difficult to detect visually. SPSS’s typically have a four-man crew and are capable of carrying multiton quantities of cocaine. The primary threat from drug smuggling via private vessels is from Caribbean-based traffickers exploiting the Puerto Rico and Florida coastlines. Traffickers transported mostly cocaine from the Dominican Republic to Puerto Rico, although they smuggled lesser amounts of heroin, sometimes combined with cocaine loads. Caribbean traffickers also smuggled cocaine, heroin, and marijuana from the Bahamas to areas of South Florida bet ween Miami and Palm Beach. Seizure totals and routes remained relatively constant compared with those of previous years. These routes have been opened and used frequently since the 1970’s. Traffickers used private maritime vessels to smuggle drugs into the United States during 2009 through Puerto Rico, South Florida, South Texas, and southern California, and Mexican DTOs sometimes smuggle drugs by maritime means to avoid law enforcement scrutiny along the Southwest Border. According to Drug Addiction Facts and Statistics, the statistics on the number of addicts that we have in the United States are also growing rapidly. These numbers are solely based on the harsher illicit drugs such as heroin and cocaine. â€Å"2010 estimated 22.6 million Americans over the age of 12 that were currently or formally illicit drug users are equivalent to about 8.9% of the population† Over 6 million children in the United States live with at least one parent with a drug problem. Since the 1980’s the numbers of people that used illicit drugs that ended death either by overdose or some other type of reaction has risen to over 540%. A 1996 U.S. government study claims that heavy marijuana use may impair learning ability. The key words are heavy use and may. This claim is based on studying people who use marijuana daily–a sample that represents less than 1 percent of all marijuana users. This study concluded: 1) Learning impairments cited were subtle, minimal, and may be temporary. In other words, there is little evidence that such learning impairments even exist. 2) Long-term memory was not affected by heavy marijuana use. 3) Casual marijuana users showed no signs of impaired learning. 4) Heavy alcohol use was cited as being more detrimental to the thought and learning process than heavy marijuana use. (2012). Drug raids in the United States happen on the average of hundreds of times a day. The policies are a lot more dangerous and dramatic then public use of drugs. These policies harm not just families of the users and dealers, but the neighbors and general public that surround them. It has been known that law enforcement has gotten wrong addresses, and bad leads to help them follow through enforcement. Drug task force units have their equipment such as big guns and bullet proof amour, for their defense, but to a child of the suspect, it can seem very intimidating and scary. This also has been known as traumatizing to the youth and families involved. It has also been classified as terrorizing. This is not what these policies were set out to do. Prohibition on illicit drugs brings more gang violence, murder, and violence from dealers, users, children, families, and law enforcement made to enforce policies. There are approximately 17.4 million users of marijuana between 2007 through to 2010 . The numbers increased to 6.9% up from 5.8% or 14.4 million to 17.4 million users. â€Å"To allow policy experimentation, the federal government should permit states to legalize the production, sales, taxation, and consumption of marijuana. While testing this policy shift, authorities should redirect scarce law enforcement resources to focus on the more damaging and socially unacceptable drugs such as heroin, cocaine and meth. From which Mexican drug trafficking organizations derive more than 70% of their proceeds (Moffat, 2012). Replacing marijuana prohibition with a system of taxation and regulation similar to that used for alcoholic beverages would produce combined savings and tax revenues of between $10 billion and $14 billion per year. The revenue from marijuana sales after legalizing for the government could be lucrative. If the tax of marijuana cigarettes was substituted for equal to the difference between the local production cost and the street price currently paid, transfer the revenue from the crime groups to the government, we would have revenue of abo ut $7 per unit. This adds up to over $2 billion on the Canadian sales and even more on an export tax then we can forgo the cost of enforcement and deploy our policy assets elsewhere. By providing legal supplies of currently illegal drugs the price will fall, leading to a collapse in the illegal drug industry, and a reduction in crimes committed by both drug suppliers and users. Some could also argue that the reduction in the price will lead to little, if any, growth in drug addiction, due to the inelasticity of demand. In a strictly regulated market, drug use may fall overall, by removing the marketing activities of the illegal drug industry. There are a growing number of law enforcement professionals speaking out for legalization. LEAP (Law Enforcement against Prohibition) is an international organization founded in 2002 made up of current and former members of the law enforcement and criminal justice communities who are speaking out about the failures of our existing drug policies. According to Betty Taylor, former Chief of Police of Winfield, MO and a speaker for LEAP (Law Enforcement against Prohibition) â€Å"If you can’t control the problem then regulate it. Regardless of law enforcement expenditures, the negative effects of prohibition include violence and other criminal activity† (Bozarth, 2012). The prohibition of marijuana is taking away from our economy in many different ways, such as financially. It is also taking our law enforcement officials away from being able to enforce the more dangerous crimes such as murder and enforce the policies of the more dangerous drugs such as cocaine and heroin. Taxes from the product can bring in more revenue and create another cash crop for farmers to contribute to the economy and also help with drug care reform in making a prescription drug that is affordable and easily acquired. These things are beneficiary to our country as long as it is monitored and maintained by its own policies put in place by ou r government. References DEA Briefs & Background, Drugs and Drug Abuse, Drug Descriptions, Drug Trafficking in the United States. (n.d.). Welcome to the United States Department of Justice. Retrieved March 5, 2012, from http://www.justice.gov/dea/concern/drug_trafficking.html Drug Addiction Facts and Statistics. (n.d.). http://www.michaelshouse.com. Retrieved March 5, 2012, from http://www.michaelshouse.com/drug-addiction/drug-addiction-statistics/ Law Enforcement Against Prohibition. (n.d.). Retrieved March 5, 2012, from www.CopsSayLegalizeDrugs.com Moffatt, M. (n.d.). Should Governments Legalize and Tax Marijuana?. About.com. Retrieved March 5, 2012, from http://economics.about.com/od/incometaxestaxcuts/a/marijuana.htm Bozarth, M. (2012, 02 23). LEAP Helps Launch Marijuana Initiative. http://stjtelegraph.org/. Retrieved March 5, 2012, from stjtelegraph.org/wp-content/uploads/2012/02/stjtelegraph-23-08_all.pdf

Unprofessional conduct essays

Unprofessional conduct essays Unprofessional Conduct according to the Arkansas State Board of Nursing is detailed in ASBN Rules and Regulations, Chapter 7, Section XV, #6. The section states the following conduct are considered unprofessional. Failing to assess, evaluate, and intervene, Incorrect documentation, Missappropriation of residents property, Medication and Treatment errors, Performing or attempting to perform procedures that the nurse is untrained to do, Violating confidentiality. Neglect/Abuse or failure to report these incidents, Failing to report violations or attempted violations to the ASBN, Inappropriate delegation of duties, Failing to supervise, Practicing when unfit. To report alleged violations to the ASBN. The person reporting must put the complaint in writing and send to the ASBN. Anyone can report violations to the ASBN but Nurses are obligated to report to the ASBN. When reporting they want the sentinel event or the violation and patterns of behavior of the individual. The written complaint must contain Who, What, When, Where. What is Abandonment? According to the ASBN abandonment is broken down into two categories patient abandonment and job abandonment. Patient abandonment is the nurse taking the assignment and establishing a nurse-patient relationship then severing that nurse-patient relationship without giving reasonable notice to the appropriate person (supervisor, employer) so that arrangements can be made for continuation of nursing care by others. The employer may have another meaning of abandonment, staying over shifts when there is no relief, making the nurse work on scheduled off days. These situations are not governed by ASBN and are not punishable. The employer can fire you for these offenses though. The ABSN have set guidelines for convictions for crimes that bar you from holding license in the state of Arkansas. These convictions are as stated. Capital murder, murder 1st and 2nd degree, batt ...

Sunday, October 20, 2019

Women sport

Women sport Women SportWomen have always been treated unequally in comparison to males in our society. In the past, women were extremely restricted with their rights by not having equal opportunity in the job force, education, and their overall social life. They were expected to follow the norms and guidelines society had put upon them. If they did not abide by these guidelines, uproar would arise in the community. One major activity that caused uproar in the community was when women began participating in sports. Sports began during the Native American times where women were expected to stay home and take care of the children, while men were able to have leisure time and enjoy their life by playing sports. As years continued, women began thinking about their abilities and talent to play a sport. Once they started participating in sports, much controversy arose. Although controversy arose, they still continued to play to portray their strength and confidence as women.Gender Equality Architecture ReformThey violated society's norms hoping that one day there will be a professional female athlete to represent the oppressed women who were told that they had no right playing sports.The rise of first, second, and third wave feminism was an important issue in the growth of women athletes. First wave feminism is a very old form of feminism. They did not believe in individualism as much as the second and third wave feminists believed. Second wave feminists branched from first wave feminists, but second wave feminists fought harder for gender equality. As third wave feminism arose, more changes took place with women and their rights. Third wave feminism is the newest form of feminism. Third wave feminists are women in today's society at the age of twenty or thirty who focus on recent and general topics of feminism. These feminists...

Saturday, October 19, 2019

Work-life-balance theory Essay Example | Topics and Well Written Essays - 2000 words

Work-life-balance theory - Essay Example The disparities lead to the false perception of inferiority complex aspect, which is associated with the female gender (Isabella, 2006, 73). This issue complicates the issue of cooperation and coordination within an organization setting. This is because when the issue of gender disparity incorporates with other underlying issues within an organization, an organization is negatively affected. Therefore, the aspect of achievement and leisure within an organization is essential in the attainment of a work-life-balance even in the engendered organizations.  Gendered organization employees experience some work imbalance issues (Billing, 2009). The gendered organizations support a better environment, which boosts the motivation of the environment of the employees. Consequently, workers attain a work-life-balance in organizations. The move improves the worker retention because the work force gets satisfied with the conditions prevailing in the organizations. The introduction of flex times is a measure the gendered organization uses to achieve a work-life balance in the organizational setting. The flextime gives the employees time for leisure and recreation. In this regard, the employees steam off and rejuvenate their energy in readiness for dispensation of their unique roles within an organization. According to Chick (2009), part-time work is also another measure used by gendered organizations to achieve work-life balance. The provision of the part time work creates an opportunity for the industrious workers.

Friday, October 18, 2019

The Impact of Social Media in US Elections.6 Research Paper

The Impact of Social Media in US Elections.6 - Research Paper Example Being a social network, application of social media has spread with a high momentum because of social interconnectivity that links friends and relatives. The Diffusion of innovation theory explains the trend that the social media has adopted and offers a basis for forecasting its future orientation. According to the theory, invention gains popularity and commands the society’s attention until a time when such attention fades. Rogers, the theory’s developer, proposed four stages that are expected of the social media, and its effects on US elections, in the future. The first stage of the model involves adoption by a small section of the society, innovators, who are willing to venture the innovation immediately after its development. The population section embraces possible risks that may discourage others. Following the innovators’ initiative is the adoption of a technology by early adopters whose population is higher than that of innovators. The population segment identifies leaders who do not need persuasion into a technology’s application and are flexible to implementing innovations. A larger percentage of the population into an innovation is the early majority who relies on evidence of the technology’s effects before adoption and an approximately equivalent proportion, the late majority, follows them. New users of the innovation then reduce as the model gets into the laggards’ phase (Boston University 1; Baran and Davis 282). The model therefore offers an insight into the possible trend and effects of the social media in the United States and two perspectives apply. If the people who adopt the social media technology at its earlier stages continue with its application then a cumulative impact can be derived over time because the social media will have a continually expanding audience. This however identifies the role of determining the media’s ability to retain users. Established rate of users’ retention also offers a basis for understanding trend of application and knowledge of the current stage of the innovation, based on the Diffusion of Innovation theory. The model’s variability with time can then offer insight into the future effects of social media on the elections. The theory further suggests an innovation’s effect of diminishing old media forms as the society adopts a new media application (Boston University 1). Shaw’s curve of the old media also offers a basis for understanding the trend in effect of the social media on US elections. Like in the diffusion theory, Shaw explains that an innovation gains popularity until a maximum level of audience before the number starts to decline and the time for the cycle depends on the scope of a preceding innovation or a newly developed innovation. Development of a better innovation may for example facilitate the cycle as the society moves to operate the new development. These concepts therefore offers the basis fo r understanding possible trends of the effect of social media on the elections that can be forecasted with knowledge of previous innovations and speculations of development of new applications for mass communication. Existing data over internet use that indicates high percentages suggests that application of the social media for communication is in advanced stages of the diffusion theory model. Application beyond 60 percent of the adult population indicates possibility of a late majority stage

The Hiring Process and Managing a Diverse Workforce Research Paper

The Hiring Process and Managing a Diverse Workforce - Research Paper Example Besides, managing a diverse workforce helps to create harmony among the employees and brings about the right organizational culture essential in bringing the employees on board the management plan. In my work environment, the human resource managers pay attention to issues of diversity right from the employee selection stage to employee appraisal. This explains why the company has experienced less internal conflict and no friction with the legal bodies responsible for regulating organizational behavior. Therefore, organizations that abide by government regulation in their employment practices are more likely to succeed than those that ignore such legal requirements. In our organization, the marketing officer is among those that possess in appointing the right person for the task. Evidently, a number of procedures of recruitment are available for such a position. The first option is internal recruitment, in which the company appoints someone from the organization. In this method, one may avoid discrimination by engaging a transparent mode employee promotion and providing equal opportunity for promotion (Slater, 2004). Alternatively, the human resource managers may advertise the position in the public domain, which will give opportunity to every citizen to apply. Citing the job requirements and subjecting each applicant to the same tests will ensure there are no incidences of discrimination. The last option would be using a recruitment agency to hire a marketing officer on the behalf of the company. This process reduces discrimination by ensuring the process is independent and that internal organization workers cannot introduce biasness into the process. Therefore, the organizational managers do not interfere with the recruitment process by selecting candidates that they have affiliation with such as relatives or even friends (Krieger, 2013). For effective recruitment, the human resource managers

Effectiveness of Project finance in wealthy countries Research Paper

Effectiveness of Project finance in wealthy countries - Research Paper Example Qatari oil and natural gas reserves are over 15 billion barrels and 26 trillion cubic metres respectively. Oil and gas revenue account for over 50 percent of its total GDP and 70 percent of all government revenues. Over 85 percent of all export earnings are from gas and oil. In fact, Qatar is the largest exporter of Liquefied natural gas (LNG). It is also the third largest country after Russia and Iran with largest gas deposits. In addition, Qatar relies heavily on foreign labour. Since oil and gas were discovered and extraction commenced in the 1950’s, Qatar’s economy has experienced high real gross domestic product growth rate each year. According to Blanchard, the country recorded 16 percent real gross domestic growth rate in 20102. Qatar is one of the richest countries in the world and has the highest per capita income in the Arab world. The GDP and per capita income was $128 billion and $67,000 in 2010 respectively. In addition, Qatari citizens and residents enjoy higher standard of living as compared to most countries in the world. Oil and gas sector generated over 70 percent revenues to the exchequer and the government does not levy income tax on all its citizens. According to CIA, the budget revenues and expenditures were estimated to be $47.32 billion and $31.61 billion respectively in 20103. Qatar has one of the lowest tax rates in the world, a situation that has attracted direct foreign investment. Furthermore, the country can grant t ax exception for about 12 years. Although economic growth and development is largely attributed to proceeds from huge deposits of oil and gas, the government has developed political, social, economic policies that promoted high levels of governance and transparency; reduced business process bureaucracies; and improve political stability, making it one of the stable Arab states in spite of political turmoil in neighboring Arab states. Economist, the World Bank and Transparency international have

Thursday, October 17, 2019

The journey of Irish immigrants surviving Research Paper

The journey of Irish immigrants surviving - Research Paper Example It will not be incorrect to state that millions of people were migrated to America in different cities but majority came and settled in New York because it was the largest city in America. In addition, immigrants came with a hope that they will live in a free country and they had this hope that they will live in their dream America. The reason was that America was economically stable at that time and there were various opportunities to earn money. However, the local people didn’t want to work immigrants in their country and live a better life than them. It was because the local Americans were not able to accept the fact people from other country can lead them and can be better than them. The Americans disregarded Irish people and treated them as poor people2. Irish immigrants wanted to achieve the dream American life like other Americans were having in their homeland. It was the reason due to which they were working hard to get the desired life. Though, it was difficult for them but they were trying hard by focusing on the education and seeking jobs for them. However, they were unable to get their desired life because they were not accepted by the local Americans3. Thoughts above occurred me when I stepped into the Lower East Side Tenement Museum. It looks like a normal old building from the outside. I stood at the outside for a while when the guide described the museum for me. All the Irish immigrants lived in the building and the costumers of the bar on the first floor shared only three toilets. People lived here before had to carried whole baskets of water themselves from the first floor to fifth floor. The basket now was filled with the same amount of weight of stones instead to let me try how heavy the basket was before. It was really heavy, and I knew that I couldn’t even make it to the second floor. Then I got into the room, and almost

General Psychology DSM-IV-TR Project Case Study Essay

General Psychology DSM-IV-TR Project Case Study - Essay Example One of the characteristics that make Esther stand out from acceptable social traits is her unconventionality and unwillingness to conform to social expectations. She is also fixated on morbid thoughts. For example, Esther could not help her mind get away from the cadavers, the pickled fetuses and the execution of the Rosenbergs (after their links to the Soviet Union was exposed). These cognitive and behavioral traits are not pathological in themselves. The author does not make clear, if Esther Greenwood’s manifest patterns of thought are something deliberate and conscious or plainly arising out of her childhood conditioning. Her parents and school teachers expect her to be cheerful and amiable with her fellow pupils; but Esther’s pre-occupation with death, suffering and the apparent folly she sees in all human endeavors makes her aloof and distant. Esther Greenwood’s rebellion against social norms affects her perceptions on intimacy as well. For instance, while the society expects her to remain a virgin and maintain a respectable lifestyle in order to make herself eligible for marriage, she wanted to explore her sexuality as it occurs naturally. Consequently, she begins an affair, which is completely based on experiencing sexual pleasure and none whatsoever on feelings of love and intimacy. Here, we begin to see symptoms of mental disturbance that find mention in the DSM-IV-TR scale. For instance, Esther’s apparent lack of self-control to remain a virgin till marriage could be broadly classified as a symptom of underlying â€Å"impulse-control disorder†. But DSM-IV-TR diagnosis is not purely a technical one, but requires the psychiatrist to make subjective decisions as well. At the time in which the novel is set (early decades of the twentieth century) American society was still largely conservative. It

Wednesday, October 16, 2019

Effectiveness of Project finance in wealthy countries Research Paper

Effectiveness of Project finance in wealthy countries - Research Paper Example Qatari oil and natural gas reserves are over 15 billion barrels and 26 trillion cubic metres respectively. Oil and gas revenue account for over 50 percent of its total GDP and 70 percent of all government revenues. Over 85 percent of all export earnings are from gas and oil. In fact, Qatar is the largest exporter of Liquefied natural gas (LNG). It is also the third largest country after Russia and Iran with largest gas deposits. In addition, Qatar relies heavily on foreign labour. Since oil and gas were discovered and extraction commenced in the 1950’s, Qatar’s economy has experienced high real gross domestic product growth rate each year. According to Blanchard, the country recorded 16 percent real gross domestic growth rate in 20102. Qatar is one of the richest countries in the world and has the highest per capita income in the Arab world. The GDP and per capita income was $128 billion and $67,000 in 2010 respectively. In addition, Qatari citizens and residents enjoy higher standard of living as compared to most countries in the world. Oil and gas sector generated over 70 percent revenues to the exchequer and the government does not levy income tax on all its citizens. According to CIA, the budget revenues and expenditures were estimated to be $47.32 billion and $31.61 billion respectively in 20103. Qatar has one of the lowest tax rates in the world, a situation that has attracted direct foreign investment. Furthermore, the country can grant t ax exception for about 12 years. Although economic growth and development is largely attributed to proceeds from huge deposits of oil and gas, the government has developed political, social, economic policies that promoted high levels of governance and transparency; reduced business process bureaucracies; and improve political stability, making it one of the stable Arab states in spite of political turmoil in neighboring Arab states. Economist, the World Bank and Transparency international have

Tuesday, October 15, 2019

General Psychology DSM-IV-TR Project Case Study Essay

General Psychology DSM-IV-TR Project Case Study - Essay Example One of the characteristics that make Esther stand out from acceptable social traits is her unconventionality and unwillingness to conform to social expectations. She is also fixated on morbid thoughts. For example, Esther could not help her mind get away from the cadavers, the pickled fetuses and the execution of the Rosenbergs (after their links to the Soviet Union was exposed). These cognitive and behavioral traits are not pathological in themselves. The author does not make clear, if Esther Greenwood’s manifest patterns of thought are something deliberate and conscious or plainly arising out of her childhood conditioning. Her parents and school teachers expect her to be cheerful and amiable with her fellow pupils; but Esther’s pre-occupation with death, suffering and the apparent folly she sees in all human endeavors makes her aloof and distant. Esther Greenwood’s rebellion against social norms affects her perceptions on intimacy as well. For instance, while the society expects her to remain a virgin and maintain a respectable lifestyle in order to make herself eligible for marriage, she wanted to explore her sexuality as it occurs naturally. Consequently, she begins an affair, which is completely based on experiencing sexual pleasure and none whatsoever on feelings of love and intimacy. Here, we begin to see symptoms of mental disturbance that find mention in the DSM-IV-TR scale. For instance, Esther’s apparent lack of self-control to remain a virgin till marriage could be broadly classified as a symptom of underlying â€Å"impulse-control disorder†. But DSM-IV-TR diagnosis is not purely a technical one, but requires the psychiatrist to make subjective decisions as well. At the time in which the novel is set (early decades of the twentieth century) American society was still largely conservative. It

Political Economy Theory Essay Example for Free

Political Economy Theory Essay The political economy in mass media theory argues that the structure of the industry influences content. _(Andrejevic M, 2007)._ This theory will be demonstrated by analysing an article entitled _'Skys the limit for MySpace_, published on _News.com.au_ on August 10th 2007. The presumption of the theory is that media content is influenced by a combination of the media owners (individuals or corporations), advertisers, competitors/other media, government regulations and viewers or readers. In the case of media ownership, Private individuals decide what information should be provided to the public based on what earns them the most money. _(Andrejevic M, 2007)_ The _News.com.au_ article on _MySpace_ appears in the National News section and describes the firm grasp and incredible influence the social networking site, established in 2003, has on the internet and throughout the business world. The article is saturated with references to the innovations and stunning success of _MySpace_. For example the opening sentence reads Social networking website _MySpace_ has more than 115 million members around the world and already plays a key role in launching music careers, political campaigns and the way people communicate in general. _(Gadd M, 2007)_ At this point a discerning reader should recall that _News Corp_ bought _MySpace_ from its co founders Tom Anderson and Chris DeWolfe in July 2005. _(Malick O, 2006)_ The propaganda model developed by Edwards S Herman and Noam Chomsky asserts that information presented to the general public via mainstream media outlets will be biased in relation to the interests of the multinational organisations or media conglomerates that own them. _(Herman Chomsky, 1988)_ By publishing an article promoting the dominant discourse that _MySpace_ is a popular, thriving production with unlimited potential, _News Limited_ are encouraging awareness of the website, which in turn provides it with traffic and publicity. Since _News Corp_ owns _MySpace_ and is a holding company for _News Limited_, this is a chief example of the  propaganda model and reinforces the political economy theory that media content is affected by media owners. The positive language used in the article demonstrates the power of linguistic controls in promoting a discourse. The writers of the article use phrases such as its just the tip of the ice berg _(Gadd M, 2007)_ to imply there is a wealth of possibilities for _MySpace_ to accomplish. The website is described as a platform for individuals to express themselves and socialise. _(Gadd M, 2007)_ This quote is relevant to todays society as ideas of non-conformity, individuality and creativity are attractive to todays youth. Of all the quotes available from the interviews with the co founders, there is a deliberate choice on behalf of _News.com.au_ to feature words such as emerging, prominent, innovate, and evolve that connote ideas of positive change and progression. This gives the impression that _MySpace_ is at the forefront of the online social networking phenomenon with millions of individuals flocking to be involved. These terms are deliberately chosen by _News Limited_ to appeal to advertisers who wish for their products to be seen and purchased by the trend-setters in society, and this will consequently benefit its parent, _News Corp_. The article also suggests the potential power MySpace has for advertisers in the future. Mr DeWolfe said mobile advertising would be a lucrative fund source and video would take a more prominent place in the way people communicated and shared their art. _(Gadd M, 2007)_ It should be noted that _News Corp.,_ along with other media conglomerates, is ultimately a commercial organisation. By using _News Limited_s article to draw attention to the incredible infiltration ratio of _MySpace_ (four million unique accounts in Australia, and 50% of all internet users in America) _News Corp_ is securing advertisers interest in _MySpace_. The statement by Walt Disney Corporation CEO, Michael Eisner, is particularly powerful in demonstrating the reality of what drives media conglomerates: We have no obligation to make history. We have no obligation to make art. We have no obligation to make a statement. To make money is our only objective. _(Andrejevic M, 2007)_ Newspapers, TV networks and magazines rely on advertisers to finance their business, so to encourage advertisers to buy space in their publication they commodify and promote their audiences. According to Dallas Smythe audiences are bought by advertisers on the basis on income, age, sex, ethnic and class specifications. _(Stevenson N, 2002:10-11)_ Rupert Murdoch outlined his plans for the future of _MySpace_ in a 2006 interview at the Citigroup Entertainment, Media and Telecommunications Conference. He revealed that an instant messenger client with voice capabilities, increased worldwide penetration, and free video downloads were in the works. (The free video downloads have been successfully incorporated into the website since the interview.) Following this, Mr Murdoch said Weve got the biggest mass of unsold inventory. We have the third most page views of the Internet in America, and explained that _News Corp_ had met with advertising networks to judge whether they can sell it better than we can. _(Burns E, 2006)_ In conclusion, the political economy theory, which highlights the a link between ownership and †¦ content of media production _(Stevenson N, 2002: 41)_, can be applied to the _News.com.au_ article about _MySpace_ to reveal how much ownership, among other things, can affect the information the public receives from mass media outlets. As demonstrated in the way that _News Limited_ portrayed _MySpace_ in a positive light for the economic benefit of its parent firm _News Corp,_ it is important for audiences to be aware of the political economy theory, and to detect not only bias but the possible reasons behind such bias in media texts they consume. BIBLIOGRAPHY Andrejevic M (2007) _The Mass Media: A Political Economic Approach._ Lecture slides for JOUR2211 Week 2. Available from https://my.uq.edu.au/blackboard_frame.html Accessed on 12/08/07 Burns E (2006) _Murdoch discusses future of MySpace.com._ Available from Accessed on 10/08/07 Gadd M (2007) _Skys the limit for MySpace._ Available from Accessed on 10/08/07 Herman E S and Chomsky, Noam. (1988) _Manufacturing Consent: the Political Economy of the Mass Media_. New York: Pantheon Books Malick O (2006) _Why Murdoch Really Bought MySpace._ Available Accessed on 11/02/03 McQuail D (2002) _McQuails Reader in Mass Communication Theory._ Sage publications. Stevenson N (2002) Understanding Media Cultures: Social Theory and Mass Communication. Sage publications. pp10-11

Monday, October 14, 2019

Theories of the Causes of Black Holes

Theories of the Causes of Black Holes Black Holes The phrase â€Å"black holes† is introduced to scientific world not by a physicist but a journalist, Ann Ewing in 1964, who made a report on a meeting of the American Association for the Advancement of Science (Ewing, 1964). Some elegant French argued that the phrase has annoying sexual insinuation. After that, the famous physics John Wheeler spread the â€Å"black holes† widely in physics and the public view. Actually the concept of an object so massive that even the light can’t be escaped is proposed by Michell (1783), as well as by Laplace (Gillispie, 2000) But this idea was so radical at that time when the light was thought to be massless. The golden age of black holes came along with the establishment of the generally relativity by A. Einstein (OConnor, 1996). Schwarzschild and Droste solved the Einstein field equations independently and a solution describing a point mass was found (Schwarzchild, 1916; Droste, 1917). The properties of the black holes are dev eloped and explained by a group of important works. G. Lemaitre and R. Oppenheimer have interpreted the singularity (Hooft, 2009; Ruffini, 1971). The event horizon is defined as a boundary inspace and time, inside which an event can’t be observed by the outsider (Wheeler, 2007). The no-hair theory of the black hole is completed by the work of Carter (1971), Israel (1967) and Robinson (1975), declaring that a stationary black hole can be described by only three parameters: the mass, the charge and the angular momentum. The black hole thermodynamics is interpreted by Bardeen et al. (1973). In order to get a direct physical picture of a black hole, an illustration of a non-spinning black hole is given. Based on mathematically solution, a non-spinning black hole possesses a spherically symmetric boundary, which is also the event horizon. The center of the non-spinning black hole is a singularity where the gravitational forces become infinite. The distance between the singularity and the event horizon is called the Schwarzschild radius. The surface gravity of a stationary black hole is constant over the event horizon. One thing to be noted, it is impossible by any procedure, no matter how idealized, to reduce the surface gravity to zero by a finite sequence of operations. Aphoton sphere, the radius of which is 1.5 times of the Schwarzschild radius, is a  spherical  special region where  gravity  forces the  photons  to travel in orbits. Generally the black hole is classified to four groups according to their mass: micro, stellar, intermediate-mass and super ma ssive black hole. Generally the size of a black hole is approximately proportional to its mass, the heavier of a black hole, the bigger of its size. A black hole with mass of 1000 times of solar mass has a radius like the earth. The formation of a black hole is a mystery. Einstein thought that the exotic object, like black holes, would not exist in nature even there are such solutions to Einstein gravitationalfield equations. However, more and more theoretical calculations and even important astronomical observations have proved that Einstein is wrong. Most astrophysicists have reached an agreement that the formation of a black hole usually evolves many stages. First the primary process of the evolution is the gravitational collapse, which is usually occurs after the death of a heavy object, like stars. When a star doesn’t have enough â€Å"fuel† to keep its temperature through nuclearreaction or the star is keeping absorbing matters around it by universalgravitation. After the collapse, if the mass of leftover exceeds over 3 to 4 times of solar mass, it has an opportunity to form a black hole. The second stage is the formation of the event horizon, which is also the way to distinguish the blac k holes and other forms of objects, such as neutron stars, which are also a result of the gravitational collapse. Thanks to the work of Kerr (2009), who proved that the event horizon could be physical not just mathematical. According to the black holes thermodynamics, the area of the event horizon of each black hole does not decrease with time. After the presence of the event horizon, a singularity will form in a black hole (Penrose, 1965). This is considered to be the third stage. A black hole can continually grow up by absorbing the matters and interstellar dust or even merges with other stars or black holes. This is considered to be a way to super massive black holes. The last stage of black holes is the evaporation. If the Hawking’s theory can be verified, a black hole is not totally black but emits its thermal radiation with a quite small quantity. This means that a black hole would loss its mass by Hawking radiation (Parikh, 2000) and vanishes eventually. Simulation res ults show that a small black hole owns very strong emission effects. The Hawking radiation will be discussed in details. Once the scientific world accepts the concept of black holes, a question is launched: are the black holes keep growing and expanding? Hawking says no! By applying quantum field theory into a stationary black hole background, he found that a black hole should radiate particles like a black body near the event horizon (Hawking, 1974). Physical picture to this bizarre phenomenon is the radiation is not come from the black holes directly, but the results of particle-antiparticle formation just beyond the event horizon. Specifically, a particle-antiparticle pair generated from the vacuum fluctuations appears close to the event horizon. One of the pair escapes forms the boundary while another one falls into it (Droste, 1917). Another interesting question is: how can be detected a black hole where even light can’t escape? The direct way is to probing the Hawking radiation, unfortunately the simulation results show that the Hawking radiation is too small to be detected from the Earth. In 2008 NASA launched the Fermi Gammar-ray Space Telescope to search the Hawking radiation which is strong in the last stage of a black hole (Naeye, 2008). Beyond the detection of Hawking radiation. Many indirect approaches to detecting black holes are proposed and realized by astrophysicists. The X-ray binaries, a binary star system, emit bright X-ray spectrum. The XUV radiation is generally considered to be caused by a compact star being accreting interstellar gas and dust. The presence of the X-ray binary gives an opportunity to locating a black hole. In 1999, Celotti reported the existence of the sofr X-ray transients and predicted that a black hole may be formed in the region (Celotti, 1999). Still more data and needed to verify this finding. Another way to detect a black hole is based on the massive gravitational effect caused by the black holes. On candidate is the gravitational lens effect which deforms the space structure to bend the light as if a lens. The way to observe the gravitational lens effect is to observe the orbit of a star near the vicinity of a black hole. The evidence of the black holes caused gravitational lens i s found by Bozza et al. (2010) around Sagittarius A*. A widely accepted view is that a super massive black holes exists in nearly the center of every galaxy, not just active ones. When an observer is falling into a black hole, what kind of experience would he have? Theorists argue that if another observer out of the black holes tries to describe the falling one he should never be able to cross the horizon. This means, the falling one should take infinite time to cross the event horizon if he were not torn apart by tidal forces even before reaching the horizon. On the other hand, for this observer falling across the event horizon, he takes only a finite proper time in his own coordinate. However, he will not find any Hawking radiation. In fact this paradox comes from the contradiction between the general gravitational theory and the quantum mechanism. The two theories are successful in their own regions, general gravitational theory for cosmic and the quantum mechanism for atomic particles, but they can’t fit each other. The funny thing is that Einstein is against the quantum mechanism even he is one of the founders to it and even he was rewarded the Nob ile Prize for his important work in quantum mechanism. Until now this is still an open question to the theoretical and astronomical physicists. The black holes attract attentions both from scientists and the public. At first, it is only a mathematical expression for a special space time structure where nothing can be escape from it and described in scientific fictions. However with the appearances of more and more indirect evidences, it turns out to be reality with certain possibility. From scientific view of point, the black holes own unique properties and components, such as singularity, the event horizon, Hawking radiation. The black holes can provide particular physical conditions where new physical laws and principles can be verified. The researches on black holes push the frontier of astronomy, including worm holes, interstellar travel between stars, cosmic settlement. Fortunately we have plenty of time, maybe millions of years. References Bardeen, J. M. et al. (1973). The four laws of black hole mechanics. Communication Mathematical Physics, Vol. 31. pp. 161-170. Bozza, V. (2010). Gravitational lensing by black holes.General Relativity and Gravitation, Vol. 42. No.42. pp. 2269–2300. Carter, B. (1971). Axisymmetric black hole has only two degrees of freedom. Physical Review Letters  Vol. 26. No. 6. pp.331-333. Celotti, A.; Miller, J. C.; Sciama, D. W. (1999). Astrophysical evidence for the existence of black holes.Classical and Quantum Gravity,  Vol. 16. No.12. pp. A3–A21. Droste, J.(1917). On the field of a single centre in Einsteins theory of gravitation, and the motion of a particle in that field.  Proceedings Royal Academy Amsterdam, Vol.19.No. 1. pp. 197–215. Droste, J.(2009). On the field of a single centre in Einsteins theory of gravitation, and the motion of a particle in that field.  Proceedings Royal Academy Amsterdam,Vol. 19. No.1. pp.197–215. Gillispie, C., Laplace, P. (2000). 1749–1827: a life in exact science. Princeton University Press. Hawking, S. W. (1974). Black hole explosions?  Nature,Vol. 248.No. 5443. pp. 30–31. Hooft, G.t. (2009). Introduction to the theory of black holes. Institute for Theoretical Physics / Spinoza Institute. pp.47–48. Israel, W. (1967). Event Horizons in Static Vacuum Space-Times.Physical Review  Vol. 164. No. 5. pp. 1776-1779. Kerr, R. P. (2009). The Kerr and Kerr-Schild metrics. Spacetime. Cambridge University Press. Michell, J. (1784).  Philosophical Transactions of the Royal Society, No.74. pp. 35–57. Naeye, R.(2008). Testing fundamental physics. NASA. OConnor, J.J., and Robertson, E.F. (1996). General relativity.University of St. Andrews, Scotland. Parikh, M., Wilczek, F. (2000). Hawking radiation as tunneling. Physical Review Letters, No. 26. No. 21. pp. 1344-1346. Penrose, R.(1965). Gravitational collapse and space-time singularities. Physical Review Letters,Vol. 14. No.3. pp. 57-59. Quinion, M.(2008).  Black Hole.World Wide Words. Robinson, D. (1975). Uniqueness of the Kerr black hole.  Physical Review Letters,Vol. 34. No. 14. pp. 905-906. Ruffini, R.;Wheeler, J. A.(1971). Introducing the black hole.Physics Today,Vol. 24No. 1. pp. 30–41. Schwarzschild, K.(1916). ÃÅ"ber das gravitationsfeld eines massenpunktes nach der Einsteinschen theorie.Sitzungsberichte der Kà ¶niglich Preussischen Akademie der Wissenschaften,No. 7. pp. 189–196. Wheeler, J. Craig. (2007).  Cosmic catastrophes. Cambridge University Press.

Sunday, October 13, 2019

Isolation of a Urea Degrading Bacteria :: Biology

Isolation of a Urea Degrading Bacteria Introduction Urea was the first organic chemical to be synthetically produced1, previously it was thought that only living creatures could produce organic compounds Urea is naturally produced by the kidneys as waste from the degradation of amino acids. It is because of this that urea is commonly found in soils and is a useful nutrient source for bacteria that are able to utilise it, such as, Helicobacter pylori, Klebsiella pneumonia, all species of Proteus and Micrococcus luteus. These bacteria degrade urea in a reaction catalysed by the urease enzyme, CO(NH2)2 + H2O Ã  CO2 + 2NH3. this process benefits the bacteria in several ways. The bacteria use the ammonia that is produced for respiration, the products also raise the pH of the environment. This promotes the growth of many urea degrading bacteria and inhibits competition from many other bacterial species. M. luteus is commonly found on mammalian skin and it is unusual for a member of the natural human flora to degrade urea. It is believed that M. luteus has this ability as an evolutionary hangover from its life in its ancestral soil habitat. In this environment urea is readily available and the ability to degrade it is a distinct advantage. As the species evolved to live on skin the trait remained, as it had no negative effect on survivability. Micrococcus is a genus within the Micrococcaceae family. With the use of 16s RNA in bacterial taxonomy the genus has recently been revised2. The genus now includes three species, M. luteus, M. lylae and M. antarcticus3. M. luteus is a common yellow gram-positive coccus and roughly 0.5-2.0mm in diameter. Cells appear in pairs, tetrads and irregular clusters but never in chains.4 Method of Isolation * Isolate a variety of organisms from soil and skin. By taking samples from four different sources (three skin and one soil) the chance of urea degrading bacteria being present was increased. * Culture in nutrient broth. This allowed all isolated microbes to grow. * Plate sample onto urea plates. On these plates urea was the only nutrient available, this meant that any bacteria that grew could degrade urea. * Perform urease test. Isolated bacteria are grown in a broth containing phosphate buffer, yeast extract, 2% urea and phenol red. An agar slope of the medium is heavily inoculated and incubated at 370c for at least four hours. If the organism only has low urease activity the phosphate buffer will neutralise the NH3 produced. A red colour indicates that NH3 has been produced and the result is positive5. * Perform Gram stain. This is the most important stain in bacteriology and differentiates between gram positive and gram-negative cell walls, which indicates

Saturday, October 12, 2019

Tourism is of major economic and social significance Essay -- Personâ€e

Tourism is of major economic and social significance. More than 720 million tourists spend $480 billion annually in places outside their own country (WTO, 2004). This is one of the largest items in the world’s foreign trade. The significance of tourism has been recognized in both developing and developed countries. This can be seen in the establishment of sophisticated and well resourced government departments of tourism , widespread encouragement and sponsorship of tourism developments, and the proliferation of small business and multinational corporations contributing to and deriving benefits from the tourism industry. In 2005, the tourism sector accounted for 3 % to 10% of the GDP of developing countries. The contribution of tourism to economic growth and development is reflected in the form of exports since it represents 40 percent of all xports of services, making it one of the largest categories of international trade (UNWTO, 2006). There is widespread optimism that tou rism might be a powerful and beneficial agent of both economic and social change, some even advocating that it might be a force for world peace. Indeed, tourism has stimulated employment, investment and entrepreneurial activity, modified land use and economic structure, and made a positive contribution to the balance of payments in many countries throughout the world. At the same time, the growth of tourism has prompted perceptive observes to raise many questions concerning the social and environmental desirability of encouraging further expansion. Do the expenditures of tourists benefit the residents of destination areas? Is tourism encouraging prostitution, crime and gambling? Does tourism rejuvenate or erode the traditional arts and crafts of host culture... ...o contain a mixture of both positive and negative strands and affect both hosts and guests (Opperman, Chon 1997; Cooper et al. 1998). As a result, in spite of the fact that some researchers regard socio-cultural change as one of the evils of tourism development, any form of economic development will, by definition, carry with it implications for social structure and cultural aspects of the host population (Cooper et al. 1998) Though originally most of the research tended to look at rural areas in the English speaking world (e.g., Long et al., 1990; Murphy, 1985) and then subsequently with reference to the impact of tourism on the communities and indigenous people (e.g., Ryan & Aicken, 2005), more recent research has looked at tourism impacts in the non-English-speaking world among the cultural representatives of those countries (e.g., Eraqi, 2007).

Friday, October 11, 2019

Automobile in Bangladesh Essay

International University Of Bussines Agriculture And Technology. Abstuct: Automobile is the one popular side of engineering. Now-a-days the demand of automobile product is rising high. But automobile is not developed much and it is so rare for our Bangladeshi people. Bangladesh is developing country but here automobile product is not available. And the automobile product price is high for get ride from this problem we have to developing. our automobile side here,I disscuss about problem of developing automobile, Key word: automobile, Introduction: An automobile, autocar, motor car or car is a wheeled motor vehicle used for transportin passengers, which also carries its own engine or motor. Most definitions of the term specify that automobiles are designed to run primarily on roads, to have seating for one to eight people, to typically have four wheels, and to be constructed principally for the transport of people rather than goods. [3] The year 1886 is regarded the year of birth of the modern automobile – with the Benz Patent-Motorwagen, by German inventor Carl Benz. Motorized wagons soon replaced animal-drafted carriages, especially after automobiles became affordable for many people when the Ford Model T was introduced in 1908. The term motorcar has formerly also been used in the context of electrified rail systems to denote a car which functions as a small locomotive but also provides space for passengers and baggage. These locomotive cars were often used on suburban routes by both interurban and intercity railroad systems. [4] An automobile platform is a shared set of common design, engineering, and production efforts, as well as major components over a number of outwardly distinct models and even types of automobiles, often from different, but related marques. [2] It is practiced in the automotive industry to reduce the costs associated with the development of products by basing those products on a smaller number of platforms. This further allows companies to create distinct models from a design perspective on similar underpinnings. [2] Etymology: The word automobile comes, via the French automobile from the Ancient Greek word (autos, â€Å"self†) and the Latin mobilis (â€Å"movable†); meaning a vehicle that moves itself. The loanword was first adopted in English by The New York Times in 1899. [7] The alternative name car is believed to originate from the Latin word carrus or carrum (â€Å"wheeled vehicle†), or the Middle English word carre (â€Å"cart†) (from Old North French), in turn these are said to have originated from the Gaulish word karros (a Gallic Chariot). [8][9] Description: Definition and benefits: Platform sharing is a product development method where different products and the brand attached share the same components. The purpose with platform sharing is to reduce the cost and have a more efficient product development process. [4] The companies gain on reduced procurement cost by taking advantage of the commonality of the components. However, this also limits their ability to differentiate the products and imposes a risk of losing the tangible uniqueness of the product. The companies have to make a trade-off between reducing their development costs and the degree of differentiation of the products. [3] A basic definition of a platform in automobiles, from a technical point of view, includes: underbody and suspensions (with axles) — where the underbody is made of front floor, underfloor, engine compartment and frame (reinforcement of underbody). [5] Key mechanical components that define an automobile platform include: * The floorpa, which serves as a foundation for the chassis and other structural and mechanical components * Front and rear axles and the distance between them – wheelbase * Steering mechanism and type of power steering. * Type of front and rear suspensions * Placement and choice of engine and other powertrain components * Ford Ka * Fiat Panda * Fiat 500 * Fiat Uno Vehicle platform-sharing combined with advanced and flexible-manufacturing technology enables automakers to sharply reduce product development and changeover times, while modular design and assembly allow building a greater variety of vehicles from one basic set of engineered components. [6] Many vendors refer to this as product or vehicle architecture. The concept of product architecture is the scheme by which the function of a product is allocated to physical components. [7] The use of a platform strategy provides several benefits:[5] * Greater flexibility between plants (the possibility of transferring production from one plant to another due to standardization), * Cost reduction achieved through using resources on a global scale, * Increased use of plants (higher productivity due to the reduction in the number of differences), and * Reduction of the number of platforms as a result of their localization on a worldwide basis. The automobile platform strategy has become important in new product development and in the innovation process. [8] The finished products have to be responsive to market needs and to demonstrate distinctiveness while — at the same time — they must be developed and produced at low cost. [5] Adopting such a strategy affects the development process and also has an important impact on an automaker’s organizational structure. [5] A platform strategy also offers advantages for the globalization process of automobile firms. [9] Because the majority of time and money by an automaker is spent on the development of platforms, platform sharing affords manufacturers the ability to cut costs on research and development by spreading the cost of the R&D over several product lines. Manufacturers are then able to offer products at a lower cost to consumers. Additionally, economies of scale are increased, as is return on investment. [2][10] Examples. Originally, a â€Å"platform† was a literally shared chassis from a previously-engineered vehicle, as in the case for the Citroen 2CV platform chassis used by the Citroen Ami and Citroen Dyane, and Volkswagen Beetle frame under the Volkswagen Karmann Ghia. Platform sharing has been a common practice since the 1960s when GM used the same platform in the development of the Pontiac LeMans, the Buick Skylark, the Chevrolet Chevelle, and Oldsmobile Cutlass. In the 1980s, Chrysler’s K-cars all wore a badge with the letter, â€Å"K†, to indicate their shared platform. In later stages, the â€Å"K† platform was extended in wheelbase, as well as use for several of the Corporation’s different models. Fiat Croma| Cadillac BLS| Opel Vectra C| GM used similar strategies with its â€Å"J† platform that debuted in mid-1981 in four of GM’s divisions. Subsequent to that, GM introduced its â€Å"A† bodies for the same four divisions using the same tread width/wheelbase of the â€Å"X† body platform, but with larger body work to make the cars seem larger, and with larger trunk compartments. They were popular through the 1980s, primarily. Even Cadillac started offering a â€Å"J† body model called the Cimarron, a much gussied up version of the other four brands’ platform siblings. A similar strategy applied to what is known as the N-J-L platform, arguably the most prolific of GM’s efforts on one platform. Once more, GM’s four lower level divisions all offered various models on this platform throughout the 1980s and into the 1990s. 1986 Opel Ascona C| 1988 Pontiac Sunbird| 1988 Cadillac Cimarron| Daewoo Espero|. Japanese carmakers have followed the platform sharing practice with Honda’s Acura line, Nissan’s Infiniti brand, and Toyota’s Lexus marque, as the entry-level luxury models are based on their mainstream lineup. For example, the Lexus ES is essentially an upgraded and rebadged Toyota Camry. [11][12][13][14] After Daimler-Benz purchased Chrysler, Chrysler engineers used several M-B platforms for new models including the Crossfire which was based on the M-B SLK roadster. [15] Other models that share platforms are the European Ford Focus, Mazda 3 and the Volvo S40. [16] Differences between shared models typically involve styling, including headlights, tail lights, and front and rear fascias. Examples also involve differing engines and drivetrains. In some cases such as the Lexus ES that is a Toyota Camry, â€Å"same car, same blueprints, same skeleton off the same assembly line in the same factory†, but the Lexus is marketed with premium coffee in the dealership’s showroom and reduced greens fees at Pebble Beach Golf Links as part of the higher-priced badge. [17] Platform sharing may be less noticeable now, however, it is still very apparent. Vehicle architectures primarily consist of â€Å"under the skin† components, and shared platforms can show up in unusual places, like the Nissan FM platform-mates Nissan 350Z sports car and Infiniti FX SUV. Volkswagen A platform-mates like the Audi TT and Volkswagen Golf also share much of their mechanical components but seem visually entirely different. Volkswagen Group and Toyota have both had much success building many well differentiated vehicles from many marques, from the same platforms. One of the least conspicuous recent examples is the Chevy Trailblazer and Chevy SSR; both use the GMT-360 platform. Opel Astra and Chevy HHR also share a platform yet are visually entirely different. History: One hundred years ago, the first Model T automobile was made. The Model T automobile was not the first car to be built, but it was the first widely affordable mass-produced car. The first Model T was built for sale on October 1, 1908, at a price of about $850. Between 1908 and 1927, a total of 15 million Model Ts were sold. By the 1920s, half of all the cars in America were model Ts. The 1925 Model T touring car cost about $260 at a time when the average annual income in America was $1236. 1 In January 1906, Dr. C. C. Bachman purchased the first automobile to be owned in Waterloo. His car was a 15 horsepower Pope that he purchased at the automobile show in New York City. In July of that same year, H. I. Buttery purchased a 25 horsepower Pope Hartford automobile that he drove from Syracuse to Waterloo. 2 Automobiles, however, had been seen in Waterloo and Seneca County before 1906. John E. Becker in his A History of the Village of Waterloo states that The Automobile Review of August 13, 1904, gave an extended account of LaRoche’s 3,314 non-stop round-trip run between New York City and St. Louis. Included in this account is this paragraph: â€Å"Between Syracuse and Rochester, at Seneca Falls I think it was, I got stuck in the mud and it took me five hours of hard work to dig the machine out and get started again. My hands are covered with blisters from the work! † This incident is said to have happened just west of the village of Seneca Falls and â€Å"illustrates one of the drawbacks to automobiling through the country. † It was also reported just a few years later that the village of Waterloo was â€Å"known from coast to coast† as having some of the worst streets over which automobiles had to pass in crossing the continent. 3 Becker’s History also reports that seventy-six automobiles came through Waterloo on. Association, covering a distance of 4135 miles in sixteen days. The object of the race was to see which make of machines would last the longest and perform the best work as to endurance and keeping in repair. Becker reported that â€Å"Main Street was lined with sightseers who were well repaid for ‘looking. ’ It took the entire afternoon for the passage of the ‘Cars’ through the village. Late in the forenoon came the pilot cars and finely cut strips of paper (called confetti) were thrown from them to mark the route, which through the business section was on the south side of the street. There were about 300 passengers in the whole number, of whom fifteen were ladies. The latter wore the customary veiling, while the men were generally clad in long brown linen dusters with the regulation caps and goggles. †4 According to a 1967 Reveille article written by June Callahan, what is today the Peter Koch car dealership at 221-229 Fall Street in Seneca Falls was the scene of the manufacture of the Iroquois automobile. The Iroquois Type D car was a 35 horsepower touring car, with a 100 inch wheelbase and was sold F. O. B. Seneca Falls for $2,500. The Iroquois Type E was a 40 horsepower, 7 passenger car with 4. 5 by 32 inch tires and platform springs on the rear, with a selling price of $3,000 F. O. B. Seneca Falls. John Kaiser was the President of the Iroquois Motor Car Company between 1903 and 1909. Only thirteen cars were actually built but they were a good car. The small number of vehicles produced was largely because Mr. Kaiser’s approach to building an automobile was considerably different from today’s procedures. He took his technique from the carriage makers—he built his cars to last. He considered a $3,000 automobile to be a very serious investment and he expected his customers to drive his cars for twenty years or more. Because he wanted to build durability into his cars, he inspected and re-inspected every part and he and his employees assembled the entire automobile. In 1909, the company dissolved because of lack of business. Ms. Callahan speculated in her article that â€Å"had Mr. Kaiser thought the same way as Henry Ford, maybe the Iroquois Motor would be a booming industry in Seneca Falls today†¦. †5 In that same article, Callahan reported that â€Å"the streets of Seneca Falls were traveled in the years that followed by many makes that are no longer in production. † These include the American Under-Slung that Norman Gould owned; Fred Fisher owned a Winton; Walter Ward, Sr. owned a Mora; Dr. Horton had an Overland; Charlie Fegley had a Reo; Harry Fredenburg had a Franklin; Paul Perkins, Sr.had a Savon; W. E. Dickey had a Page; and Mrs. Partridge had a Pearce Arrow. The May 30, 1913, issue of the Seneca Falls Reveille noted that people in Seneca Falls had auto fever. There were 89 Model Ts, plus a number of other car makes in the village. In January 1921, there were 2,073 autos and trucks in the county and by September of that same year the number had increased to 2,945. On October 27, 1922, Fred L. Huntington leased a building at Fall and Mynderse Streets for auto sales. 6 Getting an early automobile started,especially once it stalled out, was not an easy task. Virtually everyone knows of the necessity of â€Å"cranking† the motor. Not everyone knows, however, of the â€Å"runaway automobile† incident on September 17, 1917, in Waterloo. Just as the crowd was dispersing from the New York Central Railroad Station after seeing off a largecontingent of Seneca County young men entering the army for war duty, William Redfield’s big Studebaker car became stalled at the main village intersection. When it wouldn’t start, a number of helping hands gave it a push. The car was still in gear and there was no driver in the seat. The runaway car struck another car and then took to the sidewalk where it tore down awnings along the street. In front of Semtner’s tailor shop the car struck and killed H. Eugene Van Buren who was repairing the sidewalk. The auto then struck two little girls and then a tree in front of John C. Shanks’ residence on the corner of Church and Main Streets. The runaway car then bounded across the street and crashed into the house of Edward Conant just east of the Presbyterian Church. Becker summarized the incident with the comment, â€Å"Every part of the auto’s driverless trip down the street was a freak occurrence. †7 If you want to see this wellpreserved 1903 Ford Model A car, you simply have to go to the N. R. Boyce car dealership in Ovid. They have had this car on display since about 1949. To clarify why it is called a 1903 Ford Model A, early Ford cars were simply lettered model A, then model B, etc. until the Model T proved so popular that Ford kept producing that Model T for severa years. Then Ford went back to producing a new Model A. As the picture at right shows, the 1903 Ford Model A was chain-driven. The car often had the problem of mud, etc. clogging up the operation. 8 As automobiles were increasing in number, our villages were changing as well. Waterloo, for example, erected its first street signs in late 1910. 9 In June 1913, a five year contract was made with Central New York and Electric Co, providing for all night street lighting in Waterloo. This lighting consisted of five ornamental cluster lamps of 60 candlepower each to be placed on each side of Main Street, 100 feet apart. 10 Also in 1913, the village of Waterloo designated street numbers for houses and business places so that free postal delivery could be instituted in the village of Waterloo on September 1, 1913. 11 The Waterloo village board on May 6, 1914,resolved to have East Main, Washington, and River Streets, paved as part of the new state. Highway Law, by which the state, the county, the village and adjoining property owners would pay for the improvement. 12 The rapid increase in the number of automobiles led to the development of many autorelated businesses such as gas stations and tourist cabins. One of the most interesting examples in Seneca County was the Windmill Tourist Camp just west of Seneca Falls. The windmill itself was built in 1929. The Camp had a total of 15 cabins, as many as nine gas pumps, and a restaurant and gift shop. It should also be noted that the rise of the automobile helps to explain the demise of streetcars and railroads in our county and nationwide. 13 In 2007 there were 28,143 registered automobiles in Seneca County for a population of about 33,000, and a total of 24,758 driver’s licenses. 14 Seeing areally old car like a Tin Lizzie while driving along on a highway today promptsstrong reaction and for good reason. Maybe it’s simply because cars today arejust so different in appearance from those old cars. Or perhaps those old cars give us pause to think nostalgically of a time when life itself and the very pace of life were so different. Automobile Industry Automobile industry is a symbol of technical marvel by human kind. Being one of the fastest growing sectors in the world its dynamic growth phases are explained by nature of competition, product life cycle and consumer demand. Today, the global automobile industry is concerned with consumer demands for styling, safety, and comfort; and with labor relations and manufacturing efficiency. The industry is at the crossroads with global mergers and relocation of production centers to emerging developing economies. Due to its deep forward and backward linkages with several key segments of the economy, the automobile industry is having a strong multiplier effect on the growth of a country and hence is capable of being the driver of economic growth. It plays a major catalytic role in developing transport sector in one hand and help industrial sector on the other to grow faster and thereby generate a significant employment opportunities. Also as many countries are opening the land border for trade and developing international road links, the contribution of automobile sector in increasing exports and imports will be significantly high. As automobile industry is becoming more and more standardized, the level of competition is increasing and production base of most of auto-giant companies are being shifted from the developed countries to developing countries to take the advantage of low cost of production. Thus, many developing countries are making serious efforts to grab these opportunities which include many Asian countries such as Thailand, China, India and Indonesia. The rising competition and increasing global trade are the major factors in improving the global distribution system and has forced many auto-giants such as General Motors, Ford, Toyota, Honda, Volkswagen, and Daimler Chrysler, to shift their production bases in different developing countries which help them operate efficiently in a globally competitive marketplace. During the second half of the 1990’s, the globalization of the automotive industry has greatly accelerated due to the construction of important overseas facilities and establishment of mergers between giant multinational automobile manufacturers. Over the years, it is being observed that Asia is emerging as a global automotive hub. Exports of automobiles including components from Asia are also increasing by leaps and bounds. Asia has become the major consumer as well as supplier of automobiles. At this juncture, the study makes an attempt to evaluate the growth pattern, changes in ownership structures, trade pattern, role of government etc. in automobile sector of selected Asian countries (viz. China, India, Indonesia and Thailand). The objective of the study is to understand the dynamics of Indian automobile sector in comparison to the same sector in other selected Asian countries. Thailand is a major auto exporting country from Asia. The sector is mainly driven by Japanese FDI. Chinese automobile sector is growing very fast and is poised to make its dent in the internationalhand is consolidating its position with strong domestic and external demand. The Indonesian automotive industry is essentially an assembly industry, dominated by the major Japanese car manufacturers is also coming up in post-liberalization period and increasing its exports. Japan and Korea Rep already have developed automobile industry. Hence, comparison with these two countries may not be worthwhile. Selected four are developing countries and making an effort to develop the automobile sector through different paths. The paper will compare the alternative strategies for the growth of automobile industry in these selected countries The production of automobiles in volume began in the early 1890s, in Western Europe. The USA started the production of both electric and gas automobiles by 1896. In 1903, Ford stepped in. The price of cars reduced from USD 850 in 1908 to USD 360 in 1916. The great depression and the World Wars saw a drop in sale; but the 1950s and 1960s were the glorious era for automobiles (driven by Ford, GM and Chrysler). Production reached 11 million units in 1970. Industry specialists indicate that international business in the automobile industry dates back to the technology transfer of Ford Motor Company’s mass-production model from the U. S. to Western Europe and Japan following both World Wars I and II. This gives rise to two important trends. The first one is that, the advancements in industrialization led to significant increase in the growth and production of the Japanese and German automotive markets. The second important trend was that due to the oil embargo from 1973 to 1974, the export of fuel efficient cars from Japan to the U. S. Earlier due to low fuel prices, US was producing ‘muscle cars’ but after the oil price shocks US had to compete with Europe and Japan who succeeded in producing fuel efficient cars. For the first time, design, marketing, prices, customer satisfaction etc become important in the automobile market. By 1982, Japan became the world leader in US market. The potential growth opportunities led to global overcapacity in automobile industry. 1990s observed the merger and acquisition (M&A) and formation of strategic alliances to tackle this overcapacity problem. Increasing global trade also act as a major factor for rising growth in world commercial distribution systems, which has also increased the global competition amongst the automobile manufacturers. Japanese automakers have instituted innovative production methods by modifying the U. S. manufacturing model. They are also capableof adapting and utilizing technology to enhance production and increase product competition. There are three major trends of world automotive industry, which are discussed briefly bellow: Global Market Dynamics – The world’s leading automobile manufacturers continue to invest into production facilities in emerging markets in order to reduce production costs and therefore rise in profits. These emerging markets include Latin America, China, Malaysia and other markets in Southeast Asia. Establishment of Global Alliances – Now-a-days, there is trend of joint venture in global automotive industry. Most of the giant automobile manufacturers are merging with each others. The big three U. S. automakers (GM, Ford and Chrysler) have merged with, and in some cases established commercial strategic partnerships with other European and Japanese automobile manufacturers. The Chrysler Daimler-Benz merger, were initiated by the European automaker in order to strengthen its position in the U. S. market. Overall, there has been a trend by the world automakers to expand by merging with other giant automotive companies in overseas markets*. Industry Consolidation – Increasing global competition amongst the global manufacturers and positioning within foreign markets has divided the world’s automakers into three groups, the first group being GM, Ford, Toyota, Honda and Volkswagen, and the two remaining group manufacturers attempting to consolidate or merge with other lower group automakers to compete with the first group companies† . Diagram1 provides a snapshot view of this. World automotive industry, in its early stages of development, was concentrated mainly in hands of developed countries like U. S. , Japan etc. But as automobile industry become more and more standardized, the production base of most of auto-giant companies was shifted from the developed countries to developing countries. Standardization makes production more profitable in developing countries due to low cost of labor. That’s why countries like Thailand, China today are the main production base for many multinational automobile companies, and that explain why this study is concentrated only on selected countries in Asia. Table 1 below compares basic features of automobile industry in three major markets in the world. Table 1: Comparison of Basic Features in Three Major Automobile Market Characteristics| US Market| European Market| East and South East AsianMarket| Contribution to| Motor vehicle| The automotive industry represents| In Japan industry represents 13 %| Economy| Organisational andtechnological changeis the keycharacteristics of theUS industry. Of late,steps are taken toincrease its globalpresence byexpanding globalalliances and seekinggreater collaborationwith other U. S. automakers. Productivity is morethan EU but less thanJapan. | The European automotive market iscomprised of a concentrated andsophisticated global network, whichincludes joint-ventures,cooperatives, productions andassembly sites. Like USA, overcapacity, intense competition andinvestment for technology aregeneral features. The industry isdriven by MNCs mainly located inWestern Europe. However, thegrowing production is noted in theCzech Republic, Hungary, Poland,Slovenia, Slovakia and Turkey. | East Asian market is mainly drivenby Japanese FDI. Apart from this,state sponsored initiatives areobserved in Korea Rep. , China, etc. These countries are making attemptto develop indigenous auto-industrybase. Others are driven by MNCs. Profitability in the industry isrelatively more than EU| Market Share| Ford, GM andChrysler makeupapproximately 76 %of U. S. passengervehicle production,while Japaneseautomakers, Toyota,Honda, Nissan,Mitsubishi, Subaru,Isuzu represents 18%, and Europeanautomakers, BMWand Mercedes(division of Daimler-Chrysler) make upnearly 2%. | The EU’s largest automotiveproducer is Germany estimated at30 % of EU’s total production,followed by France at 19 % andSpain at 17 %, and the UnitedKingdom at 10 %The largest automakers producingmultiple brands, such as GeneralMotors, Ford, Daimler Chrysler,Volkswagen, Fiat and PeugeotCitroen. There are also independentautomakers, such as Porsche, BMWand Bertione. | In Japan Toyota, Honda, Nissan,Mazda etc dominate the market. InKorea Rep, Hyundai acquired Kiaand Asia Motors in 1999, and sold10 % of its equity toDaimlerChrysler in 2000; Daewoopurchased 52 % equity in Ssanyongin 1998; and GM purchased 42 %equity of Daewoo; and in 2000,French automaker Renaultpurchased Samsung Motors. InASEAN region, Toyota, Hyundai,Suzuki, GM are major players. | Demand Pattern(Domestic andexport)| The US producersmainly produce fordomestic market andto some extent forCanadian market. Canada is the largestmarket for U. S. vehicle exports withsubsidiaries of U. S. automakersaccounting for mostof the imports. TheUS big Threecontinues to invest inCanadian market. | Consumer demand is the drivingforce for industry in EU. Moremodels, shorter life-cycle is the keyof demand pattern which is similar toUSA. New EU members show anincreasing demand and manyCompanies shifting some of theirproduction base to these countries. EU is gaining through exporting highvalue services such as design andengineering. Europe’s bus and truck market isstronger than Asia dominated byplayers like Volvo, Scania andMercedes. | Asian market is growing relativelyslowly but steadily in post-financialcrisis period. Asia’s three coremarkets are Japan, Korea andChina. South East Asian marketsare also growing rapidly. Thecompound average growth rate inASEAN countries is expected to bein the order of 10 to 20 percent until2010; 10 percent in India; and only4 percent to 8 percent in PRC;Korea; or Taiwan ,China. In 2010,Japan’s demand will be around 1/3rdof total East and SE Asian demand. Korea, Thailand play major part inexporting vehicles. AFTA isexpected to increase the regional| | | | export market. | Restructuring Status of Automobile Industry in 2000: Economics of Automobile Industry: Today’s global automotive industry is full of opportunities and risks which are everywhere — in emerging and mature markets alike. However, profitable growth is becoming more difficult to achieve due to challenges prevailed from the supply chain to the retail environment. Currently, the automotive industry has too much of everything — too much capacity, too many competitors and too much redundancy and overlap. The industry is in the grips of a global price-war. Production: Today, the large car manufacturers has a production facility in the different markets and from each platform a car is produced for that market as well as for exports to other markets. Big players in automobile industry do not have just one big factory which exports its products to all other countries. In addition, the products are not identical in each different market. It may have the same technical platform, but the design and the options and features differ between countries. They are different because the demands of customers differ between countries. For example, in South America, incomes are lower than in Western Europe and customers need more affordable cars. In the USA the customers want more space in the car, and that’s an important factor for a car to be successful there. On the contrary, small cars are quite popular in India. It is not possible to be in the high volume market and to send the same cars to every market all over the world. So car makers are researching what their customers want and changing the car for each market otherwise they will loose customers. More and more CKD (completely knocked down) cars are being produced for some countries in smaller volumes. That is often the case if there are barriers to exporting cars to particular countries, and they are only being sold in smaller volumes. With larger markets, where sales of particular models are high, companies really need their own plant which has its own suppliers of parts. Due to sharp competition and changing customer demand, product development process advances have been more significant than changes in product architecture. Product cycles continue to grow shorter as more companies adopt the simultaneous engineering approach pioneered by Japanese automakers†¡. At the same time, advances in Computer-Aided Design (CAD) and Computer-Aided Engineering (CAE) tools are being used to replace physical prototypes and testing processes. Now, major players (in post M&A situation) take greater responsibility for product design and allow production base to get shifted to advantageous location for low cost. However, still due to lack of standardization, number of tiers at the supply chain is not reduced. Moreover, when design is replicated with modification for physical product development, several domestic issues need to be taken into consideration. These are mainly legal liability, and regulatory procedures. Furthermore, there is a technological move towards modules, i. e. self-contained functional units with standardized interfaces that can serve as building blocks for a variety of differen.