Monday, September 30, 2019

Deception Point Page 98

Jesus Christ. The controller looked back at the deck. Delta-Two still hung in the Triton's claws, but now the sub was suspended over a gaping hole in the deck. His feet dangled over the void. All Tolland had to do was release the claws, and Delta-Two would be next. â€Å"Okay,† the controller barked into the CrypTalk. â€Å"Hold on. Just hold on!† Rachel stood below on the deck and stared up at the Kiowa. Even from this height the controller sensed the resolve in her eyes. Rachel raised the CrypTalk to her mouth. â€Å"You still think we're bluffing?† she said. â€Å"Call the main switchboard at the NRO. Ask for Jim Samiljan. He's in P A on the nightshift. I told him everything about the meteorite. He will confirm.† She's giving me a specific name? This did not bode well. Rachel Sexton was no fool, and this was a bluff the controller could check in a matter of seconds. Although the controller knew of no one at the NRO named Jim Samiljan, the organization was enormous. Rachel could quite possibly be telling the truth. Before ordering the final kill, the controller had to confirm if this was a bluff-or not. Delta-One looked over his shoulder. â€Å"You want me to deactivate the jammer so you can call and check it out?† The controller peered down at Rachel and Tolland, both in plain view. If either of them made a move for a cellphone or radio, the controller knew Delta-One could always reactivate and cut them off. The risk was minimal. â€Å"Kill the jammer,† the controller said, pulling out a cellphone. â€Å"I'll confirm Rachel's lying. Then we'll find a way to get Delta-Two and end this.† In Fairfax, the operator at the NRO's central switchboard was getting impatient. â€Å"As I just told you, I see no Jim Samiljan in the Plans and Analysis Division.† The caller was insistent. â€Å"Have you tried multiple spellings? Have you tried other departments?† The operator had already checked, but she checked again. After several seconds, she said, â€Å"Nowhere on staff do we have a Jim Samiljan. Under any spelling.† The caller sounded oddly pleased by this. â€Å"So you are certain the NRO employs no Jim Samil-â€Å" A sudden flurry of activity erupted on the line. Someone yelled. The caller cursed aloud and promptly hung up. Onboard the Kiowa, Delta-One was screaming with rage as he scrambled to reactivate the jamming system. He had made the realization too late. In the huge array of lighted controls in the cockpit, a tiny LED meter indicated that a SATCOM data signal was being transmitted from the Goya. But how? Nobody left the deck! Before Delta-One could engage the jammer, the connection from the Goya terminated on its own accord. Inside the hydrolab, the fax machine beeped contentedly. CARRIER FOUND†¦ FAX SENT 121 Kill or be killed. Rachel had discovered a part of herself she never knew existed. Survival mode-a savage fortitude fueled by fear. â€Å"What was in that outbound fax?† the voice on the CrypTalk demanded. Rachel was relieved to hear confirmation that the fax had gone out as planned. â€Å"Leave the area,† she demanded, speaking into the CrypTalk and glaring up at the hovering chopper. â€Å"It's over. Your secret is out.† Rachel informed their attackers of all the information she had just sent. A half dozen pages of images and text. Incontrovertible evidence that the meteorite was a fake. â€Å"Harming us will only make your situation worse.† There was a heavy pause. â€Å"Who did you send the fax to?† Rachel had no intention of answering that question. She and Tolland needed to buy as much time as possible. They had positioned themselves near the opening in the deck, on a direct line with the Triton, making it impossible for the chopper to shoot without hitting the soldier dangling in the sub's claws. â€Å"William Pickering,† the voice guessed, sounding oddly hopeful. â€Å"You faxed Pickering.† Wrong, Rachel thought. Pickering would have been her first choice, but she had been forced to choose someone else for fear her attackers had already eliminated Pickering-a move whose boldness would be a chilling testimony to her enemy's resolve. In a moment of desperate decision, Rachel had faxed the data to the only other fax number she knew by heart. Her father's office. Senator Sexton's office fax number had been painfully engraved into Rachel's memory after her mother's death when her father chose to work out many of the particulars of the estate without having to deal with Rachel in person. Rachel never imagined she would turn to her father in a time of need, but tonight the man possessed two critical qualities-all the correct political motivations to release the meteorite data without hesitation, and enough clout to call the White House and blackmail them into calling off this kill squad. Although her father was most certainly not in the office at this hour, Rachel knew he kept his office locked like a vault. Rachel had, in effect, faxed the data into a time-lock safe. Even if the attackers knew where she had sent it, chances were slim they could get through the tight federal security at the Philip A. Hart Senate Office Building and break into a senator's office without anyone noticing. â€Å"Wherever you sent the fax,† the voice from above said. â€Å"You've put that person in danger.† Rachel knew she had to speak from a position of power regardless of the fear she was feeling. She motioned to the soldier trapped in the Triton's claws. His legs dangled over the abyss, dripping blood thirty feet to the ocean. â€Å"The only person in danger here is your agent,† she said into the CrypTalk. â€Å"It's over. Back off. The data is gone. You've lost. Leave the area, or this man dies.† The voice on the CrypTalk fired back, â€Å"Ms. Sexton, you do not understand the importance-â€Å" â€Å"Understand?† Rachel exploded. â€Å"I understand that you killed innocent people! I understand that you lied about the meteorite! And I understand that you won't get away with this! Even if you kill us all, it's over!† There was a long pause. Finally the voice said, â€Å"I'm coming down.† Rachel felt her muscles tighten. Coming down? â€Å"I am unarmed,† the voice said. â€Å"Do not do anything rash. You and I need to talk face-to-face.† Before Rachel could react, the chopper dropped onto the Goya's deck. The passenger door on the fuselage opened and a figure stepped out. He was a plain-looking man in a black coat and tie. For an instant, Rachel's thoughts went totally blank. She was staring at William Pickering. William Pickering stood on the deck of the Goya and gazed with regret at Rachel Sexton. He had never imagined today would come to this. As he moved toward her, he could see the dangerous combination of emotions in his employee's eyes. Shock, betrayal, confusion, rage. All understandable, he thought. There is so much she does not understand. For a moment, Pickering flashed on his daughter, Diana, wondering what emotions she had felt before she died. Both Diana and Rachel were casualties of the same war, a war Pickering had vowed to fight forever. Sometimes the casualties could be so cruel. â€Å"Rachel,† Pickering said. â€Å"We can still work this out. There's a lot I need to explain.† Rachel Sexton looked aghast, nauseated almost. Tolland had the machine gun now and was aiming at Pickering's chest. He too looked bewildered. â€Å"Stay back!† Tolland yelled. Pickering stopped five yards away, focusing on Rachel. â€Å"Your father is taking bribes, Rachel. Payoffs from private space companies. He plans to dismantle NASA and open space to the private sector. He had to be stopped, as a matter of national security.† Rachel's expression was blank.

Motivational Theories and Factors Essay

According to DuBrin, â€Å"†¦motivation is an energizing force that stimulates arousal, direction, and persistence of behavior† (2004, p. 121). It is the force inside the individual and process which allows us to get others to put forth effort. There are many motivational theories that can be used to motivate others (DuBrin, 2004). In the workplace, managers may need to find ways to motivate their employees. Three ways a manager might motivate their employees are: Setting goals, using operant conditioning to change behaviors, and using monetary incentives. These may all be used to motivate employees (DuBrin, 2004). Goals are what motivate us and others to strive to achieve accomplishments either set by ourselves or others. Goals create a self-dissatisfaction within us which gives us an incentive to reduce this dissatisfaction by achieving our goal. By setting goals, employees can improve performance and increase productivity (DuBrin, 2004). Another way to motivate employees is to use operant conditioning as used by B. F. Skinner. By providing rewards and punishments for behaviors, an employer can motivate employees to modify behaviors by providing consequences. An employee can use an incentive for positive behaviors such as increasing sales and receiving a commission or promotion. For negative behaviors such as not meeting goals set, an employer might demote the employee or even take away commissions or the promise of a promotion (DuBrin, 2004). Monetary rewards can be used to motivate an employee to improve performance and production. By offering commission or a raise, an employee will be motivated to achieve. By setting clear expectations, an employee can strive to attain or exceed expectations, knowing what they will be eligible to receive the incentive. (DuBrin, 2004). I believe that the three ways of motivating others, can also help me motivate myself. By setting personal goals for myself, I can motivate myself to accomplish those goals. After achieving the original goals, I will set higher goals to challenge me. Monetary or recognition rewards will also motivate me to be more productive. When given a choice between being rewarded or punished for behaviors, I will always avoid the negative behavior and opt for achieving rewards (DuBrin, 2004). Vroom’s Expectancy theory and Maslow’s Hierarchy of Needs theory are two popular motivational theories. The Expectancy theory and Hierarchy of Needs theory have similar and contrasting ways of motivation. The Expectancy theory focuses on personal choices that an individual must make when faced with the possibility of working hard to achieve rewards and are affected by individual perceptions. Expectancy is how a person perceives the subject probability that one thing will lead to another. How a person’s perception of expectancy for effort will lead to performance and how performance will lead to reward probabilities (valance) increase, so does a person’s motivation force increase. (Scholl, 2002). The Hierarchy of Needs theory is based on satisfying our innate physiological needs first (food, shelter, water), then safety (job security, earning an income), then moving up the hierarchy ladder to satisfy our need for growth (love and belongingness needs, esteem needs, and self-actualization needs. Maslow states that until our basic needs are met first, we cannot move up the hierarchy ladder (Olson & Hergenhahn, 2011). The two theories are similar because they both have forces that drive our motivation. However, Maslow generalizes about our motivation whereas Vroom shows that ‘the same people are motivated by different things at different times and that different people are motivated by different things at the same time’ (Motivation Types, 2009). Vroom does not attempt to explain a person’s motivation like Maslow. Instead, he explains how people arrive at decisions to achieve the end they value. Both can be motivated by needs and self-esteem (Scholl, 2002). While financial incentives can be a good motivational tool, it can also have drawbacks. By offering monetary, promotions, or employee benefits to employees, it can increase an employee’s performance and production. However, the drawbacks to this are: a decrease in teamwork and inequitable rewards. If a person is working toward a goal to receive a monetary reward, he will most likely be less of a team player due to competition with coworkers. If monetary rewards go by income, a person who makes less will receive less monetary rewards than someone who receives a higher salary. An example of this is profit sharing (Ehow Money, 2012). Sometimes it may be better to have monetary rewards given as a team effort or equitable financial rewards for the same job performance.

Saturday, September 28, 2019

Juvenile Crime Statistics Paper Essay

The Federal Bureau of Investigation tracks four offenses murder, forcible rape, robbery, and aggravated assault in its Violent Crime Index. The juvenile arrest rate for each of these offenses has been declining steadily since the mid-1990s. The murder rate fell 70% from its 1993 peak through 2001 (Snyder, 2003). Statistics: Research has shown that crimes committed by juveniles are more likely to be cleared by law enforcement than crimes committed by adults. The clearance data in the Crime in the United States series show that the proportion of violent crimes attributed to juveniles by law enforcement has declined in recent years. The proportion of violent crimes cleared by juvenile arrests grew from about 9% in the late 1980s to 14% in 1994 and then declined to 12% in 2001. (Snyder 2003). Cleared Proportions: The juvenile proportion of cleared forcible rapes peaked in 1995 and then fell, with the 2001 proportion still above the levels of the late 1980s. The juvenile proportion of robbery clearances also peaked in 1995 at 20% and fell substantially by 2001 to 14%, but was still above the levels of the late 1980s at 10%. The juvenile proportion of aggravated assault clearances was at 12% in 2001 and was slightly below its peak of 13% in 1994. This was still substantially above the levels of the late 1980s. The proportion of Property Crime Index offenses cleared by juvenile arrests in 2001 was below all but 2 years in the 1980s and 1990s. (Snyder 2003) Drug Offenses: The text highlights an overall increase in the rate of drug offenses as well as simple assaults amount juveniles. After review of arrest statistics, the finding were that law enforcement agencies made an estimated 202,500 arrests of young people for drug abuse violations in 2001. Of those 202,500 arrests a drug abuse violation is seen to be the most serious. There was a decline in juvenile arrests for murder between 1992 and 2001. During this time period there were a large number of increases as well though. Statistics showed 51% motor vehicle theft and 40 % burglary. There was also a major increase in juvenile arrests for drug abuse violations at a 121%. (Snyder 2003). Simple assault increased between the early 1980s and the late 1990s which was more than 150% between 1983 and 1997. This rate fell 7% between 1997 and 2001. Arrests of Females: Arrests of females for various offenses are increasing more than the arrests of males, and the overall juvenile arrest rate for simple assault in 2001 remained near its all-time high. (Snyder 2003). Of the juvenile arrests reported in 2001 females accounted for 23% of those arrests for aggravated assault and 32% of juvenile arrests for other assaults. Females also appeared to be the leading sex in regards to runaway violations. Females were involved in 59% of all arrests for running away from home. Arrests for curfew and loitering law violations were reported at 31% for female juveniles. Females accounted for 23% of juvenile arrests for aggravated assault and 32% of juvenile arrests for other assaults (i.e., simple assaults and intimidations) in 2001. Females were involved in 59% of all arrests for running away from home and 31% of arrests for curfew and loitering law violations. (Snyder 2003) Violent Arrests of the Races: The text points out that the disparity in violent crime arrest rates for black juveniles and white juveniles declined substantially between 1980 and 2001. In 2001 the juvenile population was comprised of 78% white, 17% black, 4% Asian/Pacific Islander, and 1% American Indian. Violent crime statistics  showed that 55% involved white youth, 43% involved black youth, 1% involved Asian youth, and 1% involved American Indian youth. The results for property crime arrests were 68% white youth, 28% black youth, 2% Asian youth, and 1% American Indian youth. Between 1980 through 2001 black-to-white disparity in juvenile arrest rates for violent crimes show a decrease. The black juvenile Violent Crime Index arrest rate was 6.3 times the white rate in 1980 and in 2001; the rate disparity had declined to 3.6. The reduction in arrest rate were primarily due to the decline in black-to-white arrest disparities for robbery, which was greater than the decline for aggravated assault. Conclusion The outlook for the juvenile crime rate is uncertain as there are many factors which will affect those final numbers. One thing is for certain and that is that the population is projected to grow throughout the county at a rapid pace. The number of juveniles age 11 through 17; the ages of juveniles responsible for 99% of juvenile arrests will increase in the next decade. This will ultimately cause a spike in juvenile offenses and arrest numbers. References: Snyder, H. (December 2003). U.S. Department of Justice. Office of Justice Programs. Office of Juvenile Justice and Delinquency Prevention. Juvenile Justice Bulletin. Juvenile Arrests 2001. Retrieved July 24, 2008, from http://www.ncjrs.org/pdffiles1/ojjdp/201370.pdf

Friday, September 27, 2019

Discussion Board 4-1 Assignment Example | Topics and Well Written Essays - 250 words - 7

Discussion Board 4-1 - Assignment Example One of the reasons that counselors handling cases of domestic violence have to assess every member of the affected family relates to the view of families as systems made of interdependent parts by Systems Theory of family therapy. This means that affect of any part can spread to destabilize the whole system. In that line, every member of family carries some stakes or makes certain contributions towards commitment of domestic violence. A father may batter a mother because of failure by the latter to attend to the needs of a crying five years child. This may happen even when the mother had plans to attend to the child but delayed slightly due to some other crucial commitments (Jackson-Cherry & Erford, 2014). Assessing the child may help understand the nature of relationships of the family systems and ways or areas to balance and unbalance the family for sustainability with reduced violence. Assessment of the child may also help in discouraging the child from nagging a lot, and urge pat ience when needing attention (Jackson-Cherry,

US foreign policy towards Saddam Husseins Essay

US foreign policy towards Saddam Husseins - Essay Example One of the most controversial subjects in the world politics is the invasion of Iraq by United States. The invasion has resulted in considerable losses to both the countries and in fact has resulted in almost complete destruction of Iraq. This is necessary to understand the genuineness of the policies of United States. The present essay is intended to analyze the policies of US for Iraq, which finally resulted in the Invasion. The consequences of the war also would be analyzed based on these policies for interpreting the invasion based on these policies.Under these circumstances it would be ideal to analyze the relations United States had with Iraq before the invasion throughout the history of Iraq.The policy of United States over Persian Gulf is centered on the oil reserves. They also wanted to protect Israel and never had any close relations with Iraq (History of Iraq: Part III US-Iraq Relations, 2003). They always viewed Iraq with a hostile eye. During the Iran-Iraq war US sided I raq not because they had any interest in Iraq, but they were afraid of the Iranian revolution. Thus it could be seen that relation of US with Iraq was never a smooth one.As the economy of US progressed in great pace after the World War II, oil became their priority and wanted to strengthen relations with Middle East so as to protect the oil reserves. For this purpose they maintained a good relation with Iraq and even declared that the interest of Iraq is the same as that of US (Battle, 2003). But during 1950's as Iraq became friendly with Soviets, US turned against Iraq. US had good relations with other countries in Middle East like Saudi Arabia and Iran until the Iranian revolution also called Islamic revolution. This revolution by Muslims frightened US and therefore in the war that followed between Iran and Iraq, US stood with Iraq purely because they felt that Islamic revolution could pose a big danger for them. Although there were against the brutal tactics of Saddam Hussein, they did not have a choice (Background and history on Iraq, 2009). From the above facts it could be assumed that the relation that US has with Iraq was just an opportunistic one intended to get the provision of oil and they never had any common interest. Iraq started production and use of chemical weapons from early 1980's. United States was quite aware of this situation and they had even supplied raw materials for the production of the same secretly. Although almost all of the equipments, which Iraq used against Iran, were US made and were secretly shipped to Iraq by US, this fact is still regarded as a secret. Thus US played a game with Iraq by supporting it to make chemical weapons and then suddenly changed strategies against Iraq blaming them in front of the world, for production of the same weapons (Battle, 2003). This might be the reason why they were quite sure that there were chemical weapons in Iraq even when the inspectors from UN denied this fact (Background and history on Iraq, 2009). September 11 attack fuelled rivalry of US to Iraq. With this event US wanted to destruct all the forces that might poise danger for them, especially the strongest among the Muslim countries, Iraq. Several reasons had been proposed by US for its Iraq Invasion. The most important one is that US believed that Saddam, the arrogant President of Iraq, had great storage of Weapons for Mass Destruction (WMD). On their request United Nations appointed chemical weapon inspectors and Iraq co-operated with them resulting in destruction of all the weapons they had. The continued inspection by UN was denied by Iraq. But UN inspectors had already destroyed those weapons to almost nil (Background and history on Iraq, 2009). US could have believed the results of the inspection by US. But they denied believing because they wanted to destroy that country. Another reason proposed by US was that Iraq was hosting suicide bombers of Al Queida and was encouraging terrorism. But they did not have

Thursday, September 26, 2019

Trial Observation Essay Example | Topics and Well Written Essays - 1250 words

Trial Observation - Essay Example I strolled into the courtroom at 1:18 PM, noticed there were only the attorneys of the defense as well as the people. Apart from that, a map with points drawn in various colors, hang alongside the wall on an easel, for communicating space between various locations. Finally, Judge Honor Nanci Grant arrived in the court with the jury in tow and immediately after settling, the trial begun with the swearing in of witnesses for the people. Firstly, the police detective responsible for the lawsuit as well as the arrest of the defendant had been called in by the prosecutor. Primarily, the questioning of the detective focused on the map discussing the distance from the point of arrest together with a school roughly 400 feet away as the witness narrated. The point of arrest then began to be called the â€Å"18 and Allison† home. Subsequently, the detective was questioned about what was discovered in custody of the defendant. The detective responded that he together with his colleagues stumbled upon lottery tickets concealed in a manner to be utilized as pouch something that proved a plan to distribute heroin. Alongside the lottery â€Å"pouches† the police further discovered 39 tenths of a gram of â€Å"normal quality† heroin having a street worth of $390. Thus the officer was convinced to consider that the quantity was doubtful and it would have dawned on any other officer that the defendant also had the intention to distribute versus basically being in possession of the drugs. More evidence was brought into the lawsuit, for instance , letters to the defendant. My assumption was that the prosecutor used them to confirm defendant’ residence at the time. Included were photographs showing the defendant’s shoes together with the table having the items on it, on the night of the raid. One’s impression of Mr. Lewis’ chances initially and what you saw toward his departure had changed dramatically. After hearing the cross-examination of the detective and Mr. Lewis you could see room for mistakes. The circumstances involved with the household could have led to a mistake in the identity of possession; the facts against the defendant may not have been his. However, Mr. Lewis could be guilty or not guilty; the jury could arrive at either decision. Finally, alongside the appreciation for the law, I gained new knowledge; I learned what a choirboy was. I also now see why that would be crucial to the case since it is a household item but can also be used for doing drugs. I further learned the strictn ess of following the system when trying a case. For every piece of evidence brought up, there had to be permission from the judge to admit it or even show it to the witness. Lastly, one could not fail to appreciate the legal system in place for placing the burden of proof on the people and having the defendant innocent until proven guilty.   

Wednesday, September 25, 2019

Clonal integration in Panicum trugidum ecotype under various Research Proposal

Clonal integration in Panicum trugidum ecotype under various environmental condition - Research Proposal Example Thus, it transpires that clonal integration of perennial plants equips them with capabilities of high resistance to various environmental phenomenons. Panicum Turgidum is a perennial grass found in the â€Å"Egyptian desert,† which â€Å"meets all the criteria for a multipurpose plant† that has the potential for being used in the rehabilitation of degraded ecosystems (Heneidy & Waseem, 2007, p.161). Thus, clonal integration of this species will enable humans to address a variety of ecological problems. Introductory Background: Wind erosion is the process of sand being carried away by wind and being deposited in different parts of a region and it is a major phenomenon in the â€Å"natural environment of Australia today† that determines the features of its landscape (Leys, McTanish and Shao, 2001, p.940). It is also a major feature of the natural environment occurring in other parts of the world and as it causes land degradation, it has far reaching consequences on plant life, agriculture and ecological balance of the region. Similarly, the US Department of Agriculture also recognises soil blowing due to winds as a significant problem and endorses that â€Å"orientation of the vegetation† in specific areas, coupled with other factors, plays a crucial role in determining the scale and magnitude of this phenomenon (Skidmore & Woodruff, 1968, p.1). Therefore, a logical assumption exists that the type of vegetation being grown in a region and its attributes in resisting soil erosion can have considerable influence in preventing the negative consequences of the problem. From research evidences discussed in the foregoing sections as well as the literature review presented in the forthcoming section, it has emerged that clonal integration facilitates better resistance in plants against wind erosion, flooding and other such adverse conditions. Therefore, exploring different possibilities in clonal integration of the perennial plant Panicum Tur gidum, which is believed to possess all the traits for multipurpose vegetation that can be used for rehabilitating degenerated land, can be advantageous to the cause of protecting the ecological balance. Literature Review: A reiteration of ramets, comprising â€Å"shoots, rhizomes, or stolons, and roots,† characterise clonal plants and they have the ability to share resources through rhizomes or stolons, which play a crucial role in regulating their shoot growth (Wolfer & Straile, 2012, p.261). In this context, evidence suggests that the â€Å"degree and duration of wind erosion† differs in various regions and even a moderate amount of erosion can affect the growth and survival of ramets, which can be countered to a great extent by clonal integration (Yu et al, 2008, p.571). To substantiate this, the researchers have carried out the study near to the Ordos Sandland Ecological Research Station in China and the results suggest that â€Å"erosion† as well as  "severing† of rhizome has a negative impact on the number of ramets and it may entail a decrease in the number of ramets, leaves or biomass of the plants (p.575). The study further substantiates the

Tuesday, September 24, 2019

Accounting and the saudi stock crash in 2006 Term Paper

Accounting and the saudi stock crash in 2006 - Term Paper Example However, using principles of financial accounting of companies to evaluate the financial position of countries is not appropriate and the conclusions in the article are incorrect due to several reasons. Firstly, the author says that the US has taken on too many liabilities and will not be able to cover them with the existing assets. Using the accounting equation, Assets = Liabilities + Equity, this means that from financial standpoint, the US is in a negative equity position. This is in contradiction to the fact that the US GDP has continued to grow positively since the last quarter of 2009 (Trading Economics, 2011). It is therefore evident that using financial accounting principles to evaluate countries is not correct. The underlying reason is that the asset and liability position of a country is quite dynamic. The liabilities increase when government raises money from the market by selling bonds; however, unlike most companies, the government is much more active in buying back these bonds from the same entities (banks) when it wants to reduce the money supply. Secondly, the author’s key assumption is the increased long-term liability on one side has been balanced only by cash. However, the government has used the liability to increase its other assets too. It has increased the money supply in the market to spur growth in the economy. This increased growth will bring higher demand and therefore higher revenue to the government. Next, the author assumes that the liability taken up now will not be able to be met through existing assets. However, the government has several ways to increase their revenue to meet the liabilities. It can increase taxes and/or reduce spending. In the case of a company, it compares to increasing product prices and reducing costs. For a government, it is much easier to take these steps than for companies which are bound by the competition and internal fixed

Monday, September 23, 2019

Terrorism in the modern world Essay Example | Topics and Well Written Essays - 1250 words

Terrorism in the modern world - Essay Example The issue is further complicated when governments adopt violent tactics in the pursuit of their interests, provoking accusations of state terrorism. The quotation mentioned above from Giannini Riotta, speaking as the Deputy Editor of the Spanish newspaper Corriera del Sera, was made in the wake of the September 11th terrorist attacks of 2001 in the United States. The force of his statement is to argue that whereas terrorists formerly tried to gain publicity by staging events that the media could report on, they have now begun to specifically target media networks because in this way a terrorist â€Å"understands that that’s the right way to paralyse our world.† (Riotta, 2005) It is important at the outset to be clear about our definition of terrorism, as opposed to other activities which may involve some degree of violence tied to political motives. Wilkinson identifies five key features of terrorism: 1) It is premeditated and designed to create a climate of extreme fea r; 2) It is directed at a wider target than the immediate victims; 3) It inherently involves attacks on random or symbolic targets, including civilians; 4) It is considered by the society in which it occurs as ‘extra-normal’, that is in the literal sense that it violates the norms regulating disputes, protest and dissent; and 5) It is used primarily, though not exclusively, to influence the political behaviour of governments, communities or specific social groups. (Wilkinson, 1997, p.51) It is clear from each of these characteristics that a key distinguishing feature of terrorism is its intention to reach a far greater number of people than those immediately affected by any terrorist act. The media play a crucial role in providing a mechanism for passing on information, fear and all sorts of ideas from the terrorist group to the public at large. Journalists and editors have a responsibility to report the truth, and considerable lee-way in how they frame the facts and co mment on the issues. It is possible, for example, to report both the concerns of the terrorists and the dreadful consequences of their acts on innocent civilians, thus eroding arguments of terrorists by illustrating their disregard for human life. Journalists are not simply being used by terrorists, because they are responsible for what they write. Schmid and de Graaf focus on the modern mass media’s insatiable hunger for specatacle and drama and recommend a system in which journalists should have a voluntary code of conduct in reporting on terrorism and navigating the many moral dilemmas that arise in this field. Using the example of the 1985 hijacking of TWA Flight 847 by Lebanese Shia terrorists, Schmid and de Graf demonstrate the leverage which was gained by the hijackers, thanks to the mass media filming and commentating of the unfolding events. (Schmid and de Graaf, 1982, pp. 539-555) The visual elements of this â€Å"spectacle† ensured that it remained on televi sions and in newspapers throughout the world over several days while governments negotiated with the hijackers. The media sold many copies and filled many hours of airtime with commentary and debate, and this dependence of Western media on commercial income through sales can lead to a tendency to hype up and sensationalise terrorist activities. In the 1970s and 1980s there was an increase in the number of international terrorist activit

Sunday, September 22, 2019

The Marketing Environment Essay Example for Free

The Marketing Environment Essay The marketing environment surrounds and impacts upon the organization. There are three key elements to the marketing environment which are the internal environment, the microenvironment and the macroenvironment. Why are they important? Well marketers build both internal and external relationships. Marketers aim to deliver value to satisfied customers, so we need to assess and evaluate our internal business/corporate environment and our external environment which is subdivided into micro and macro. Internal Environment The internal environment has already been touched upon by other lessons on marketing teacher. For example, the lessons on internal marketing and also on the functions within an organization give a good starting point to look at our internal environment. A useful tool for quickly auditing your internal environment is known as the Five Ms which are Men, Money, Machinery, Materials and Markets. Here is a really quick example using British Airways. Looking internally at men, British Airways employees pilots, engineers, cabin crew, marketing managers, etc. Money is invested in the business by shareholders and banks for example. Machinery would include its aircraft but also access to air bridges and buses to ferry passengers from the terminal to the aircraft. Materials for a service business like British Airways would be aircraft fuel called kerosene (although if we were making aircraft materials would include aluminium, wiring, glass, fabric, and so on). Finally markets which we know can be both internal and external. Some might include a sixth M, which is minutes, since time is a valuable internal resource.

Saturday, September 21, 2019

Literature Review on Big Data Concept

Literature Review on Big Data Concept Quiz-3: Summarize the article in one paragraph. In this paragraph author try to explain about the big data concept and data mining like the characteristics of the big data, demonstrate and examples of big data. This article giving the information about a HACE theorem and it characteristic features, process model of the big data, and also data mining perspective of the big data. How the large volume of data, complexity difficulties of the massive volumes of data storage and analyze, challenging issues in the data driven models. And also introduction about the Dr. Yan MO and his Nobel Prize in Literature demonstrate the big data big data applications with few examples, finally key challenges in the big data mining. What 5 lessons did you learn from reading this article? About the big data and data mining: Big data is nothing but large volume or massive volumes of data stored in a specific data bases by using some techniques and tools. This data mining is with is a quick improvement process of various networking systems, and data storage, large data collecting capability. Big data is fast and rapidly growing massive data storage technology in all various health care domains as well as in engineering domains. Introduction about Dr. Yan MO: Dr. Yan MO is a good Literature; he won Nobel Prize in 2012 in Literature. Searching on Google with Yan MO Nobel Prize you can get lot of information about it. HACE theorem: HACE theorem about giant elephant and blind men theorem is a good concept for understanding the data mining and the big data process. Characteristic of big data: The main characteristic of big data is collection of large volume of data from various and multi languages with composed of parts of different kinds of information it includes information is audio, video and textual types of data. Huge volume of data with secure  Ãƒâ€šÃ‚   For major Big Data related applications, for example, Google, Flicker, Face book, and Wal-Mart, a massive number of server ranches are conveyed everywhere throughout the world to   continuous services and immediate   responses for local markets. Key challenges of big data mining: challenges like to perform and maintaining big data by gathering information in a digital form, various organizations take their improvement to another level and create three tier big data mining platform for maintaining the massive data. Three tiers structured like Tier-1: low level data accessing and system computing, Tier-2: Concentrates on the high level semantics information and applications. Tier-3: Data mining algorithms. What are the concerns of Big Data? The main concern of big data is large volume of massive data, subsequently the quantity of large archives of Big Data has been expanded with near increment of related security concerns, privacy concerns, and somebody can target the data and try to hack the data. Notwithstanding the high estimation of Big Data target, securing Big Data has its own exceptional difficulties which are not on a very basic level deferent from those connected with traditional information. A few people think that concealing their identity alone without hiding their location would not appropriately address privacy concerns. Governance: Big data is rich with individual personal data and confidential organizations information, and data governance is required to ensure that data is secured. Why was this article written? This article main aim is to explain the concept of big data with data mining with few examples, big data characteristics, HACE theorem, how handle and maintain huge heterogeneous data uses in health care domains as well as in engineering domains with different organizations. A big data processing system framework it includes mining complex and dynamic data, local learning and model fusion, mining from spares, uncertain and incomplete data. Explain about research initiative and some projects to investigate for the big data management.  Ãƒâ€šÃ‚   These projects try to create strategies, calculations, frameworks, and research foundations which permit us to bring the large volume of data down to a human reasonable and interpretable scale Give Big Data characteristics using the HACE Theorem? In this HACE theorem author try explains the concept of big data mining and data collecting gather the data from various sources and finally stored in a one large volume data base. This theorem mainly explains about the two types of data structured and unstructured data. Actually big data starts with the massive volume Heterogeneous, Autonomous source with distributed and seeks to maintain or explore Complex and Evolving relationship among the data. Sources of big data are log data, social media, transactions, events, images, audios, videos and emails. (Deepak S. Tamhane, January 2015) What are the most fundamental challenges of Big Data mining? The main fundamental challenges of big data are to investigate large volume of massive data and extract useful information for future activities. In Big data have different layers in every layer will give the technology required to reduce different challenges every one of these layers give the complete solution. Data Secure and Privacy: This has various implementations and it concerns people and organizations too. People have the privilege, as indicated by Universal Telecommunications Union, to control the data that might be revealed with respect to them. Sharing the large volume of data is most important characteristic feature in the development process. And few challenges those are data acquisition, and recording, voluble information extraction and cleaning, data aggregation and integration, integrating data base system and analytics tools, and interpretation like wrong modeling, application bugs. Volume: Large volume of information being put away is significantly expanding each and every moment, massive of information put away everywhere throughout the websites. How is the Blind Men and Giant Elephant explain Big Data Mining? These characteristic make it an extraordinary challenge for discovering voluble information from the Big Data. In a local sense, we can estimate that various visually blind men are attempting to survey a giant elephant, which will be the Big Data in this specific circumstance. So every blind man can measure and estimates the particular region a part of information they collected during this process, because each person limited to his local region. In this concept every person feels like a hose, wall, tree and rope so exploring the big data in this situation is equal to aggregating heterogeneous data from various sources to draw the exact picture of elephant so collecting the data from various sources and various types of data, various languages of data. (Chun-Wei Tsai, 1 October, 2015) Chun-Wei Tsai, C.-F. L.-C. (1 October, 2015). SpringerOpen . Journal of Big Data . Deepak S. Tamhane, S. N. ( January 2015). BIG DATA ANALYSIS USING HACE THEOREM. International Journal of Advanced Research in Computer Engineering Technology (IJARCET) .

Friday, September 20, 2019

The Concept Of Pricing To Market Economics Essay

The Concept Of Pricing To Market Economics Essay The term Pricing to Market was first examined by Paul Krugman in 1987 (Kasa, 1992).The concept of PTM was explained by Krugman with the reference to the example of European automobile industry, in which he describes that the increase in US dollar against the European currency was the reason for the price difference in automobiles in US and Europe. Due to this difference in price the firms in the US started importing from Europe. In response the European firms adjusted there price against US dollar to maintain the export price in the market. This phenomenon of adjustment to the export price by the foreign firm is known as Pricing to Market. Similar definition for this concept, for instant, given by Mark (2001) in which he described PTM as the ability to set different prices in the domestic and foreign market, this price discrimination is practiced by monopolistically competitive firms in order to take advantage of international pricing differences. Therefore, we can say that PTM is the way of adjustment of prices for different market by firms in order to exploit the international price differences. He also explained that integrated international market have given rise to this concept, by segmenting it into two different markets, Domestic and foreign market, as well as the concept of price discrimination. This essay will outline and review the concept of pricing to market. It will be followed by the implications of PTM for purchasing Power Parity. Furthermore the empirical evidence on the extent of pricing to market will be discussed. According to Knetter (1989) value of goods to be exported by a firm varies due to the fluctuations in the exchange rate between the home country and the foreign country, which effect the marginal cost of the goods, to stabilise the effect of exchange rate the same type of goods are sold for different price in different market, this term in literature is known as pricing to market. The concept of pricing to market deviates from the law of one price, which states that goods of same type are sold for same price in different markets (Sarno and Taylor, 2002). It means that PTM deviates from PPP or does not hold PPP. The factors responsible for this deviation are the: Price discrimination: if the producer is selling similar tradable goods in different markets which are segmented as a consequence of transportation costs, imperfect information and trade barriers then the producer maximise its profit by discriminating price, different price for same product in different market. Exchange rate pass through: it means that the fluctuation in the exchange rates in the international market is adjusted by the changes in prices of the goods in domestic market. Temporal shift of profits: monopolistically competitive firms willing to increase their profit margins when there is an increase in the foreign currency. The above statement is explained by Kasa (1992) in which he states that the pricing to market was not only driven by price discrimination as well as some other factors were also influential. As stated by Krugman (1987) that the pricing to market is related to market structure of the respective country in the international trade. There three factors explained by Cheung (2001) responsible for the adjustment of relative prices to the exchange rate are the following: Market integration or separation It means when the price in market A and price in market B are strongly related to each other, then it is said to integrated market and in the absence of this relation it is known as market separation. The reason for this due to factors like absence of transaction cost to foster competition, to increase the flow of investment and consumption and the market structure. Substitution between domestic and foreign variant of a product If there is a close substitute between the domestic and foreign then the demand for the product will be elastic and vice versa. We can also state it as market power, because if there is no close substitute for a particular product in a specific market, then the firms are having significant market power to set prices. Market structure Market segmentation determines the level of competition in the industry, which affects the response of the firms to the exchange rate changes and result in price discrimination. Since, PTM plays a significant role in determination of exchange rate in international macroeconomic fluctuations, studying it reason for existence is very important. There are few reasons stated by: According to Krugman (1987) PTM exist if the import prices are not adjusted in proportion to the changes in exchange rate. Knetter (1993) explains that PTM occurs as a result of adjustment costs or intemporal demand linkage. As well as Alexius and Vredin (1999) explained that degree of PTM is also influenced by the aggregate import demand of the destination country. As explained by Naug and Nymoen (1996) that maintaining the import price is significant for its performance in international trade because it effects the terms of trade and trade balance as well as there are many other reasons like domestic inflation and foreign competition. However now we are going to explain the implication of PTM for Purchasing Power Parity (PPP), but first briefly elaborated the term PPP. It means that a unit of currency should have the same worth in different country if the prices are expressed in common currency. As stated by Grauwe (1996) the theory of PPP explains that exchange rate equilibrium is determined by the changes in the domestic and foreign price ratio. Taylor and Taylor (2004) argue that PPP theory means the nominal exchange rate between two currencies should be equal to the ratio of aggregate price levels between the two countries, so that a unit of currency of one country will have a same purchasing power in foreign country. The basic concept underlying this theory is that the arbitrage forces will result in balancing the prices of goods in different countries by exploiting the price differences across borders. This implies that the use of PTM by monopolistic firms is not appropriate, but this concept still exist because there are many reasons to support that the price cant be equal everywhere like trade cost ,tariff and non-tariff barriers, trade policies etc. Due to which the firms are forced to set different price because these factors are not reflected in the exchange rate, low exchange rate pass through. There are two version of this theory: Absolute PPP: it is states that prices of identical goods are equal in different country if the exchange rate is in common currency. Algebraically, it will be stated as S = P /P* Where S = Exchange Rate P = Price of identical goods in domestic country P*= Price of identical goods in foreign country According to Pilbeam (2006) in the case when domestic inflation rises with respect to the inflation in foreign country, there is a proportional decrease in the home currency to the foreign currency. Relative PPP: it simply states that the difference in inflation level of two different countries is reflected in the exchange rate adjustment. Algebraically, it will be represented as % (change) S = % (change) P % (change) P* Where % (change) S = percentage change in exchange rate % (change) P = percentage change in the domestic inflation rate % (change) P* = percentage change in foreign inflation rate The exchange rate movements and PPP are inversely related (Grauwe, 1996) which was experienced by US in 1980s when their currency and inflation rate increased more than German inflation rate. According to Betts and Devereuse (2000) PTM increases the volatility in exchange rate which in result affect the consumption and output pattern of the country. It also shifts the global demand toward the weak currency, therefore the aggregate export of the particular country increases. In the example US and Germany automobile export, assuming that there is imperfect completion, Germany is having significant market power. If there is an increase in US dollar against German currency, the prices of German export will decrease in US, the US importer affects the price rise Germany by implementing PTM. According to Cheung (2001) there are deviations in PPP due to the incomplete pass through of exchange rate, which caused due to PTM. Therefore, if there is low exchange rate pass through, the exchange rate does not affect the price rise in Germany which in result states that it does not hold PPP. Furthermore, the empirical evidence on the PTM is discussed with reference to the work of many scholars as follows: According to the research conducted by Krugman (1987) in which he investigated the extent of PTM with respect to the foreign suppliers to prove that the concept PTM is real but not applicable in all cases. In case of US and German automobile industry, he studied the correlation between the market structure and PTM through trade models. The basis of comparison to study the extent of PTM was: US manufacturing import price with the import price index by using export price of major trading partners. Germans price on export of automobiles with other European countries (extra European export). Comparing the export price of Germany to the US and the rest of world. The conclusion of the above study done by Krugman (1987) was that when PTM comes into existence when the exchange rate changes in the case of US and German trade, because when the US dollar appreciate the price of US import and price identical goods in rest of the world is affected. But there were some limitations of PTM, in the case of US and German trade the effect of PTM was only seen in transportation equipment and machinery industries, due to which it can be stated as a universal phenomenon. In 1992 Kasa studied the effects of exchange rate on prices of goods using the adjustment cost model. According to him the monopolistically competitive firms which are capable of setting prices for different market utilise their profit margin to maintain different price in foreign markets. He also developed a dynamic price setting model by analysing the firms using PTM for trading in foreign markets. Due to the price adjustment by the firms the marginal cost of supplying goods to the foreign market causes systematic deviation of PTM from Law of one price. Finally he states that the transitory component of exchange rate are the only significant factor which influence the PTM, which was supported by the fact that German import prices appreciated in US, in relation with other countries due to the effect of rise in US against Deutschmark. Lavoie and Liu (2007) examined the result of PTM when the differential products are taken as export units in which he revealed that the PTM shows false result in the case of differentiated product taken in export units (value and volume of specific product and country). According to him the deviation in the result of PTM is positively related to the degree to differentiated product. Similarly, Alexius and Vredin (1999) argued that systematic differences between the prices in different markets and the export prices are affected by the macroeconomic conditions of the respective country. His research stated that aggregate demand in export market and the exchange rate affects the PTM. As well as he described the large and persistent deviation of PTM from Law of one price, are due to the changes in exchange rate. In conclusion, PTM is the actual phenomenon which is influenced by many factors like degree of exchange rate fluctuation, product differentiation, macroeconomic factors of the respective country, and amount of aggregate export of a country, but can be applied universally. At last it would be appropriate to state that PTM is efficient pricing behaviour by the monopolistic firms.

Thursday, September 19, 2019

The Beer Industry :: GCSE Business Marketing Coursework

The Beer Industry Industry & Competitive Analysis CHIEF ECONOMIC TRAITS OF THE BEER INDUSTRY The market size of the beer industry is incredible. The wholesale volume in the beer industry is approxiametly $13.7 billion. The industry employes almost 40,000 people. The average worker is paid about $18.27 an hour. As you can see, this is a very large industry which provides many jobs to the american workforce. The market consists of many competitors, some being very large and some operating on a very small scale. The competitive rivalry is broken up into three segments, Natiional, Regional , and Microbrewers. National competitors have a wide market coverage and generally a large company. Regional competitors are smaller than National in the fact that they only distribute in certain regions. Microbrewers are the smallest of the three because their size and capacity limit them to only distribute to small geographic areas. The market growth rate of the beer industry is perplexing. In domestic brands, from 1983 to 1984 there has been a decline in consumption of -1.2%. In the imported section there has been an increase of 14.3%. The total industry as a whole declined .7% from 1983 to 1984. As a result of the decline in consumption of beer a similar result in production occurred with a decline of 1.2% The estimated forecast for 1985 will continue along the same trend as did 1984. The long term outlook for the industry is that sales will remain flat for the next 10 to 20 years. There are many companies in the industry. Through the years the industry has slimmed down quite a bit. The National market consists of ten major competitors. The Competitors in this market are Anheuser-Busch, Miller, Stroh, G. Heileman, Adolphs Coors, Pabst, Genesee, C. Schmidt, Falstaff, and Pittsburgh. The National companies have 51 plant locations across the United States. Market share in the Domestic market ranges from a low of .5% to a high of 34%. The Import market consists mainly of ten major brands also. They are Heineken(Netherlands), Molson(Canada), Beck's(Germany), Moosehead(Canada), Labatt(Canada), St. Pauli Girl(Germany), Dos Equis(Mexico), Foster's Lager(Australia), Amstel Light(Netherlands), and Corona(Mexico). These ten brands hold about 87% of the imported market share. The individual companies range in market share from 34% on down.

Wednesday, September 18, 2019

The Life and Legend of Howard Hughes Essay -- Howard Motion Picture Pr

The Life and Legend of Howard Hughes Throughout the 20th century, it has been the media’s job to pinpoint what events and people would prove to be an effective story. This was certainly the case for Howard R. Hughes. Son to the wealthy Howard Hughes Sr., Howard became the interest of the American people and newspapers for most of his life. Being deemed one of the most famous men of the mid-20th century was greatly attributed to Hughes’s skills as an industrialist, aviator, and motion-picture producer combined with his enormous wealth, intellect, and achievement. The media thrived on Howard’s unusual and sometimes scandalous life, especially in his later years when newspapers would frequently front large amounts of money to get stories on Hughes. Howard was also associated with what has been called one of the greatest publishing hoaxes in history. Howard Hughes Sr., commonly known as Big Howard, was a graduate of the Harvard School of Law, yet never once appeared before a court of law. Big Howard spe nt the first 36 years of his life chasing money across the Texas plains, as a wildcatter and a speculator in oil leases, working hard enough and earning just enough to move on to another, hopefully more fortunate gamble. In the year of his marriage, Big Howard sold leases on land that proved to have $50,000 in oil beneath it. He promptly took his new wife to Europe for a honeymoon, and returned exactly $50,000 poorer. In 1908, Big Howard turned his ingenuity and his hobby to tinker into good fortune. Current drilling technology was unable to penetrate the thick rock of southwest Texas and oilmen could only extract the surface layers of oil, unable to tap the vast resources that lay far below. Big Howard came up with the idea for a rolling bit, with 166 cutting edges and invented a method to keep the bit lubricated as it tore away at the rock. Later that year, Big Howard produced a model and went into business with his leasing partner, Walter B. Sharp, forming the Sharp-Hughes Tool C ompany. Rather than sell the bits to oil drillers, Hughes and Sharp decided to lease the bits out on a job basis, for the tidy sum of $30,000 per well. With no competitor able to duplicate this new technology, Sharp- Hughes Tool possessed a profitable monopoly over oil extraction. So quickly was the invention successful that in late 1908, the partners built a factory on a seventy-acr... ...n. Amid massive worldwide publicity, Irving was sentenced to 2 Â ½ years in federal prison only two months after he appeared on the cover of Time. It was money that etched Howard Hughes into the public mind. The sound of his name was associated with untold wealth, wealth supposedly accumulated through his gift for turning all he touched to gold. left the world with a spectacular legacy that will be remembered for years to come. His contributions to the film business, such as attention to detail and high budget spending, are still being used to this day. Howard’s cutting edge technology used to build his many planes has let to development of many aircrafts presently in use. In truth, we are left with two Howard Hugheses- the public and the private: the rational disguise and the world of shadows, of instinct to preserve and protect at any cost the image he had created. That it has taken so many years for the veil to part is tribute both to his genius and to his tragedy. Bibliography Works Cited Bartlett, Donald L. and Steele, James B. EMPIRE. New York, W. W. Norton & Company. 1979. Drosnin, Michael. Citizen Hughes: In His Own Words. New York, Holt, Tinch and Winston. 1985.

Tuesday, September 17, 2019

How Assumptions Influence Our Behavior Essay

Assumption analysis describes the activity adults engage in to bring to awareness beliefs, values, cultural practices, and social structures regulating behavior and to assess their impact on daily activities. Assumptions may be paradigmatic, prescriptive, or causal (Brookfield 1995). Assumptions structure our way of seeing reality, govern our behavior, and describe how relationships should be ordered. Assumption analysis as a first step in the critical reflection process makes explicit our taken-for-granted notions of reality. Contextual awareness is achieved when adult learners come to realize that their assumptions are socially and personally created in a specific historical and cultural context. Imaginative speculation provides an opportunity for adults to challenge prevailing ways of knowing and acting by imagining alternative ways of thinking about phenomena (Cranton 1996). The outcome of assumption analysis, contextual awareness, and imaginative speculation is reflective skepticism-the questioning of any universal truth claims or unexamined patterns of interaction. Former president Ronald Reagan simply assumed that everyone he encountered would like him; this belief was part of the fabric of his personality. The results were intriguing, in that even his enemies were attracted to him socially. His arch-nemesis in Congress, Democratic leader Thomas â€Å"Tip† O’Neil, commented that while he hated Reagan’s policies, on the personal level, â€Å"I find it impossible to dislike the guy.† At the other extreme, premature cognitive commitments too often work against us. A childhood friend, whom I considered brilliant when we were kids, in his mid-forties confessed to me that he had lived beneath his potential for much of his life. In sixth grade, he explained, his teacher belittled his work in such a way that it left him convinced he was incapable of academic learning. That conviction, which he carried throughout his teenage years and into adulthood, caused him to avoid challenging courses in junior high and high school, to stay away from college, and to settle for a job that didn’t tap his capabilities well. Only now was he beginning to revisit that assumption, and to realize just how greatly it had restricted his choices (Smith 2004). Becoming fully aware of our default assumptions can take work, reflection and determination, and the help of a counselor or trusted friend can be invaluable in the process. Yet the task is typically not Herculean either. If our negative expectations spring from a traumatic past experience, to be sure, the task of uncovering repressed memories may be painful, and may require special help. This is the extreme case, though. References Brookfield, S. (1995) Becoming a Critically Reflective Teacher. San Francisco: Jossey- Bass, Cranton, P, (1996) Professional Development as Transformative Learning: New Perspectives for Teachers of Adults. San Francisco: Jossey Bass. Smith, Blaine M (2004) Reshaping Assumptions That Shape Our Life: Damascus, MD

Monday, September 16, 2019

Healthy People Essay

1. What is the mission of Healthy People 2020? They strive to identify nationwide health improvement priorities. They strive to increase public awareness and understanding of the determinants of health, disease, and disability and the opportunities. They strive to provide measurable objectives and goals that are applicable at the national, State, and local levels. They strive to engage multiple sectors to take action to strengthen policies and improve practices that are driven by the best available evidence and knowledge. They strive to identify critical research, evaluation, and data collection needs. 2. List five new topic areas for Healthy People 2020? Older Adults Preparedness Disease Sleep Health Early and Middle Childhood 3. Select one topic area from Healthy People 2020. What is the goal of the topic? What is one objective of the topic? Why is this topic and objective important? Increase public knowledge of how adequate sleep and treatment of sleep disorders improve health, productivity, wellness, quality of life, and safety on roads and in the workplace. Increase the proportion of persons with symptoms of obstructive sleep apnea who seek medical evaluation Increase the proportion of persons with symptoms of obstructive sleep apnea who seek medical evaluation The topic and objective is important because we all need sleep and if we cannot sleep then we need to find out  why we can’t sleep. 4. What part of the website did you find most useful? The topics and objectives 5. What resources located on this website would you consider using in the future? All of them because the site is very help for everything. 6. Which part of the website did you find to be the most interesting? The about me section cause I found what the site was about and how useful it will be. How Much Am I Actually Eating? For many people, the most difficult part about following a diet is understanding what constitutes a serving size. How many servings of meat are you actually getting in that double cheeseburger? The dietary guidelines are relatively easy to follow once you establish a frame of reference for serving sizes. Do your definitions of serving size differ from those of your friends, the restaurant around the corner, or your dining hall? Do you need to make some adjustments? Learning to do so goes a long way toward helping one live a healthful life. Go to the following website to examine your visual reality about serving sizes: http://www.nhlbi.nih.gov/chd/visualreality/visualreality.htm. Follow the instructions and check your visual reality. You will learn to read food labels and eventually be able to determine standard serving sizes simply by looking at them. After completing the visual reality exercise, answer the questions below. How well did you do? Were you generally in agreement with the quiz? I did okay. Somewhat I was in agreement with the quiz.

Sunday, September 15, 2019

Crucible Allusions

One allusion Miller used is New Jerusalem, meaning the holy city of heaven in the Bible. I believe Miller used this allusion in order to show us how his characters viewed their land in America. They believed that they were the ones who were selected by God to find this New Jerusalem. But I also think Miller had intentions to make this allusion ironic because when they Puritans came to America to pursue religious freedom because they were persecuted for their beliefs in England.However, they also persecuted others for having different religious views because they thought that other religions would corrupt and bring deceitful ideas to their New Jerusalem. I also believe Miller used this allusion to show the vengeance of the Puritans, since they felt the need to persecute because they themselves were persecuted (Miller 1237). Another allusion used by Miller is the use of Lucifer, which is the Devil. I believe Miller used Lucifer as an allusion because he wanted to express the importance that the Devil had on the characters of The Crucible.I think Miller thought this was necessary since it shows that they both need and want someone to blame for everything that is goes wrong in Salem (Miller 1260). They accuse people of being witches, who were there because of Lucifer. The use of this allusion several times throughout the Crucible suggests that the Puritans were kind of obsessed with Lucifer, thus revealing that Miller had high regards for the Salem characters religious beliefs..This also shows that vengeance was very common since envy of the miserable toward the happy resulted in revenge (Miller 1237). Martin Luther, a German theologian who led the Protestant Reformation, was another allusion Miller used in The Crucible. The reason why I believe Miller used Martin was because Martin had an experience that closely resembled that of the Salem witch trials. He too was blamed of being affiliated with Hell and accused of heresy. So Miller wanted to show that trials were not only held in Salem but in other parts of the world.In the case of Martin, he also then accused his enemies of being in an alliance with Hell, similar to how Tituba accused someone else when she was accused (Miller 1260). But for Luther, his case was more complicated in that he thought that he had contact with the Devil and argued theology with him. So I believe this allusion was ultimately used to provide similar examples of the problems that were happening in Salem. The last allusion that Miller uses is the Inquisition.I think Miller used this allusion because it sort of resembles the Salem witch hunts of The Crucible. Instead of only mentioning witch hunts in early America, he shows us other examples of people being accused of wrong doings and then blaming it on others. Pope Gregory IX proposed the Inquisition in 1231 and Catholic judges started accused people of treason and heresy (Miller 1253). In both cases there were deaths because of persecutions. So he wanted us to see the similarities between other cases of accusations, vengeances, fear, and greed.

Saturday, September 14, 2019

Crime scene Essay

Review Questions 1. What is physical evidence? Provide at least three examples in your answer. Physical evidence is anything that can establish a crime that has happened and anything that links the crime and the criminal. Physical evidence might include objects like weapons, fibers and hair. 2. Describe three ways that a crime scene can be recorded. What is a benefit of each? Photography can show crime scenes at wide angles and can be taken at different vantage points. Drawings can show the location of evidence and contain accurate accounts of the distances. Notes contain description of the crime scene and location of evidence. 3. What is a chain of custody? Why is it important? Chain of custody is a list of persons who had possession of the evidence during the crime investigation. Chain of custody is important because it shows who has access to the evidence and indicates that it has been in the possession of law enforcement. 4. What three types of photographs are taken at crime scenes? Describe each type? Overview Photographs are taken at different points to show any entries and exits to the crime scene. Intermediate Photographs helps to show the evidence in relation to other objects in the room. Close up Photographs are taken to help record specific details that may not b picked up by photographs taken from longer ranges. 5. Why is it important to record the crime scene? It is important to record crime scenes because it helps to create a chain of custody showing what is present at the scene and its location as well as over all location. Critical Thinking Questions 1. Why is it important to secure the crime scene? What do you think would be the most difficult part of doing this? The main reason is that has the potential for contaminating or destroying evidence even if they don’t mean to do so. The most difficult part about this is reporters, civilians and family getting in the way. 2. What type of recording do you think would be the most useful to crime investigators? Why? Videography would be a useful recording tool in a investigation because of recording and the visual elements of the scene. 3. What do you think would be the best method of submitting evidence to a crime lab? Why? 4. What type of evidence do you think would be most difficult to collect? Why? Trace evidence would be difficult to find because its small ad not easily seen. 5. What does the Fourth Amendment protect against? Do you agree with these restrictions on collecting evidence? Why or why not? The fourth Amendment protects individuals from unreasonable searches & seizures agree with the restrictions because it has to be in plane site or have probable cause.

Friday, September 13, 2019

Research study on treatment for acute otitis media Assignment

Research study on treatment for acute otitis media - Assignment Example The sampling approach may however suffer from threats of unrepresentative sample but the researchers addressed this reliability threat through application of a large sample space. Implementing a double blind approach to the study is another measure that the researchers undertook to address validity and reliability issues, core to which is prejudice into bias. Double blind scope however eliminates such a prejudice from research participants and the researcher. Another measure that the researchers implemented towards ensuring validity and reliability was using an experimental design in which the difference between the experimental group and the placebo group validates treatment effect. Lack of such an experimental set up induces uncertainty as to effects of independent variable. In addition to the double blind approach, the researchers ensured independence of the study from their influence by contracting an independent party to implement the study, and initiative that managed researche r bias at the data collection process towards validity. use of an experimental design, application of a double blind approach, randomization, and using an independent party to implement the study are therefore measures that the authors undertook to address validity and reliability issues (Tahtinen et al.,

Thursday, September 12, 2019

Partnering Essay Example | Topics and Well Written Essays - 250 words

Partnering - Essay Example Another example is provided by Kalundborg Symbiosis of Denmark, which is a public-private alliance that transforms waste materials generated by its member firms to the materials of raw production suitable for use by other companies. Over the time, Kalundborg Symbiosis has developed partnerships with nine companies some of which include Inbicon, Novo Nordisk, Novozymes, Gyproc, DONG Engergy, and RGS 90 (Turiera and Cros, 2013, p. 9). One way in which this partnership yields beneficial outcomes is Gyproc’s use of gypsum waste produced by Kalundborg Symbiosis during flue gas’s desulfuration to manufacture gypsum board to be used in the construction industry. Each of these partnerships has paved way for the development of pioneering services and products and have generated examples of some of the most successful businesses in the modern times. Developing successful business partnerships demands dedication, commitment, and patience on the part of all parties involved.  "Even when two people are a perfect fit, there are going to be times when someone needs to speak up, and say something difficult (in this case, "I dont want to share an office with you")† (Eisner,

Interview a Family Business Leader Essay Example | Topics and Well Written Essays - 750 words

Interview a Family Business Leader - Essay Example Q: When was the Liqun established? And who named the restaurant? Xou Liqun: The restaurant was established in 1992. It was named after my father Zhang Liqun who was a former chef at Quanjude Roast Duck Restaurant chain. Q: How did you get started? For how long have you been running this restaurant? Xou Liqun: I have always been inspired by the way Zhang Liqun worked at the restaurant. During my childhood, I often used to help Zhang Liqun at work; it developed a spontaneous devotion to the field. After the death of Zhang Liqun, I look after the activities of the restaurant. It has been about 10 years since Zhang Liqun passed away, and from that time, I have been supervising the restaurant. Q: Do you have managers and supervisors at the restaurant? A: Well†¦as you know that the restaurant is a small and family owned business therefore, I personally manage and supervise at the restaurant, but we do have assistants and attendants to take care of our valued customers. Q: What is the signature dish of your restaurant? Tell us something about it. A: Roaster Duck is the main specialty of Liqun Restaurant. This is a dish, which is one of the oldest and famous gourmet cuisine of Beijing (Pillsbury). It is known for its shining color, crispy skin and tender meat. Liqun restaurant is famous for providing the best Roasted Duck in town. ... The roasted duck is thinly sliced, served with cucumber, spring onion, pancakes, and a sweet bean sauce. Q: What are your duties and responsibilities at the restaurant as a manager and owner? A: To place orders for meat, vegetables fishes and other grocery, Ensure that everyone is happy and working appropriately, Keep a check on the cleanliness and hygiene of the restaurant, Checking the quality of the food and listen to complaints of customers, Ensuring the working of equipment, Welcoming and chatting with the customer, Making sure that the arrangements and presentations are done properly, and finally, evaluating the feedbacks of the customers and making appropriate changes in the management Q: What is the secret you keep your customers coming in? In your opinion what is your best promotion of your restaurant? A: Well, there is no such secret exactly. I believe that the restaurant is providing the best-roasted duck I the town (Gillham). We have been following the authentic recipe cr eated by Zhang Liqun. The authentic taste and quality of the food is the major attraction that keeps customers coming in. The other main factor is the buzz and the hype that has been observed among the people (Harper, Chen and Chow). Apart of the roasted duck we keep changing our menus with different and innovated dishes. Creativity of the dishes and presentations is the key to successful business. Regarding the successful promotions of the restaurants, on the days when we are closed (Mondays) we have an event of ‘home-style cooking’ session for the chefs. In this event, the chef’s cook different dishes, about 36 guests are invited all around the city including merchandise and other people (Plamer and Richt). Through this, we are

Wednesday, September 11, 2019

SUCCESS FACTORS IN DATA WAREHOUSE PROJECTS Essay

SUCCESS FACTORS IN DATA WAREHOUSE PROJECTS - Essay Example Why organizations need to bring data together from different working systems? Obviously, the answer is, to be more beneficial, to be more competitive, or to grow by adding value for customers. This can be achieved by mounting the pace and flexibility of decision making, developing business processes effectively, or gaining a clearer idea of customer activities. The data warehouse is a huge collection of the past and current business data that analyze the old business data for offering special discounts and trend assessment in the past business. These systems also facilitate decision makers to retrieve data as many times as they need without disturbing the performance of the core working systems. A data warehouse merges data that are scattered all over the different working systems and makes them readily accessible for decision support applications (Laudon & Laudon, 1999, p. 247; Inmon, 2002, p. 3; Hoffer, Prescott, & McFadden, 2007, p. 47). There are many factors that play a signific ant role in the implementation of a data warehouse. This essay presents a detailed analysis of the critical success factors in the implementation of data warehouse projects. Data Warehouse: An overview A data warehouse is a large size subject-oriented database that is designed and implemented with organization-wide access in mind. Additionally, a data warehouse collects and process a mountain of data from a number of sources and the basic purpose of this data collection and processing is to allow its users to be familiar with the data and information they want for decision making and get access to that information by making use of easy to use applications and tools. In addition, data warehouse encompasses a wide variety of tools and technologies such as multidimensional and relational databases, graphical user interfaces, client/server architecture and many more. In the context of a data warehouse system, all these components work with the purpose of combining raw data and facts fro m a variety of sources into a particular and reliable warehouse that provides an excellent support for decision making and analysis inside a particular domain of the business. In this scenario, the majority of large size business organizations develop data warehouse systems as a key element of their main information systems environment (Alshboul, 2012; Swalker, 2011). Data Warehouse Projects A few years ago, it was a serious challenge for the business organizations to actually make use of the covered data and information and facts stored in the functional systems for management and decision tasks. In this scenario, data management is seen in the sense of data as a significant asset belonging to the entire business organization for management and decision tasks, and not only as the belongings of specific tools and applications, personnel or business areas. Basically, this data collected from a variety of sources is supplied to a managerial part, which is responsible for transforming collected data into understandable and useful information for instance high-class subject orientated information will be accessible just in due course. In view of the fact that data can play a significant role in supporting functioning tasks very competently, hence it does not repeatedly make available information that can transform knowledge and improve the efficiency of business processes efficiency. In the past, these operational data were not accessible in a way that end users could straightforwardly recognize and utilize. In this scenario, in the form of a theoretical framework in the direction of contemporary information processing system a data warehouse was developed for a useful and well-organized practice of the

Tuesday, September 10, 2019

Crime Causation and Diversion Essay Example | Topics and Well Written Essays - 1000 words - 3

Crime Causation and Diversion - Essay Example As they are young they can be physically and mentally provoked easily than adults. California is a highly crime prone area and men as well as youth indulge in crimes day and night in this state. Here more violence can be seen among children as they imitate the criminal acts performed by adults in real life or movies. Mostly the youths are under the addiction of drugs and have knowledge as towards their violent action. Most of the children who are having single parent or parents who are psychologically disturbed can provoke the child to do more criminal actions. Organized crime and criminal networks in many California cities including Los Angeles, San Francisco, San Diego and Sacramento have a base in Russia. These people can even make children as their prey to perform crime .So in order combat this social evil the government has organized juvenile intervention, diversion and prevention programs. Juvenile prevention programs rather two intervention programs practiced in California is analyzed in detail further below. These two are California Youth Outreach and Juvenile Intervention & Prevention Program (JIPP). Youth are the ones, who get easily diverted in to drug, alcohol and crime and they are the ones who require utmost caring and intervention at the right age. Young children get some drugs, money or other facilities in return to their criminal act. But California Youth Outreach reaches out to young people who are victimized to the youth gangs and their aggressive behavior of violence and weapon usage. This intervention program is extremely careful in imparting education to the youth who are in juvenile restriction. Along with juvenile youths, their families are also educated regarding gang violence, drugs, alcohol and weapon usage. JIPP is an intervention program which is founded by Stephen Koffman who resides in Southern California and has masters in social work to his credit. Stephen

Monday, September 9, 2019

Laws of Blasphemy and Human Rights Is there a modern connection Essay

Laws of Blasphemy and Human Rights Is there a modern connection - Essay Example At a point when legal developments have come to focus on the excitement created by renewed controversy, the social and cultural significance of the offence and the legal strategies have been questioned. In the course of this paper, I have attempted to examine the law of blasphemy in uncertainties surrounding the impact of secularization and cultural pluralism, which invest it with considerable symbolic consequence. This brings to the fore the recent revival of blasphemy laws through an assessment of the paradoxical nature of its effects, with particular emphasis on those difficulties that have been posed for liberalism as a political philosophy that tries to steer through an era of plurality and harmonious co - existence. In this way, the significance of blasphemy is related to the question of the status of religion in contemporary western societies in context of the appropriate response of the legal machinery of various countries, as well as the conflict that exists between the desire to rationalize the offence and the desire to equalize the protection it affords. Further, in recent times, there have been numerous accounts of the parameters of the law which has sparked a critical analysis of its relationship to laws dealing with the adjacent areas of sedition, obscenity, outrage to public decency and offences against public order. Therefore, dissension over the future of the blasphemy law arises at the intersection of a cluster of intractable debates which have rendered the topic as extremely sensitive and hard to judge. It is now imperative to chart a brief history and evolution of blasphemy to understand the journey of its evolution and how it has come about to be associated with Human Rights in the present day. Having originally been a part of canon law, in the 17th century the offence of blasphemy was declared a common law offence by the Court of King's Bench, punishable by the common law courts. From the 16th century to the mid-19th century, blasphemy against Christianity was held as an offence against common law, apart from being used a legal instrument to persecute atheists, Unitarians, and others. All contumelious reproaches of Jesus Christ, all profane scoffing at the Holy Scriptures, and exposing any part thereof to contempt or ridicule, and finally all blasphemies against God, including denying His being or providence, were punishable by the temporal courts with fine, imprisonment, and corporal punishment. In 1656, the Quaker James Naylor suffered flogging, branding and the piercing of his tongue by a red-hot poker. An act of Edward VI (repealed 1553 and revived 1558) set a punishment of imprisonment for reviling the sacrament of the Last Supper. Further, it was in the 1676 case of Rex v Taylor, when the Lord Chief Justice Sir Matthew Hale stated that "Such kinds of blasphemous words were not only an offence to God and religion, but a crime against the laws, State and Government, and therefore punishable in that Court.... Christianity is parcel of the laws of England and therefore to reproach the Christian religion is to speak in subversion of the law." (www.google.com) Those denying the Trinity were deprived of the benefit of the Act of Toleration by an act of 1688. Commonly called the Blasphemy Act, an act of 1697-1698, stated that if any person, educated in or having

Sunday, September 8, 2019

Psychiatric Nursing Reflective Journals Essay Example | Topics and Well Written Essays - 1500 words

Psychiatric Nursing Reflective Journals - Essay Example She appeared inattentive to my instructions and needed three repetitions of what I had said for her to understand me. When she had obeyed my instructions, I admired volubly her pretty appearance and hugged her. To my queries, she had just stared at me as if she was scared but today she called me up. Seizing the opportunity, I moved up. Nervously pulling me to her side and looking around to ensure that nobody was within hearing distance, she whispered in my ear. Her neighbor was plotting to kill her and her husband, it seemed. She had heard noises from her backyard which sounded like gunshots when she had been in the kitchen at home. Her movements appeared jerky and speech was not incoherent but appeared monotonous. Realizing that her suspicious and guarded nature was characteristic of her condition, paranoid schizophrenia, I pretended to be a good listener to gain her confidence. She claimed that the neighbor of around her age was attracted to her and was eyeing her sexually. Several times he had approached her for sexual favors. She had told her husband about this but he did not believe her. At times the neighbor had thrown stones at her house when she was alone and had rung the doorbell several times. Each time she went to the door, there would be no one. Saying all of this at one go, she quickly pushed me aside when she noticed the nursing supervisor arriving. When the supervisor had left, Mrs. Jones again strode up to me and caught my attention. She told me that her husband was a good man but he did not believe her stories and told me to keep what she told a secret. Half an hour later, Mrs. Jones did not appear to want to talk with me. When I smiled at her, she seemed to have no recognition. I was a little taken back by the stony look on her face. Her husband had told me that she was a receptionist in a hotel and very much appreciated by the others and customers. Believing that she was then well, she had stopped her treatment. He had not noticed the medicin es not being taken. This had triggered this episode. She had also not kept her appointments with the psychotherapist. Anyone would have believed this lady the way she told the stories. They would have been credible had they come from a normal person. The fact that she was admitted for paranoid schizophrenia reminded me that the stories could be delusions. Though I had studied about schizophrenia and its various forms and symptoms, this was the first time that I was in close contact with a person with schizophrenia. Having no physical deficiencies, Mrs. Jones could easily pass on the road without anyone realizing the depth of mental illness that she had, the extent of trouble that she could create and the magnitude of suffering that she went through. What she needed was sympathetic people around her and proper pharmacological and psychological treatment. A person who did not know her to be a patient could even irritate her unknowingly. This was the situation for most psychiatric diso rders. When we were taught psychiatry, we never realized that most psychiatric patients became ill only occasionally and that most of their lives; they were presumably fine and able to work like Mrs. Jones. Treatment allowed them to be a part of normal society. However the treatment schedules should never be missed. I also noted that psychiatric patients should never be allowed to consume drugs without supervision. A family member had to take responsibility. This was another of my new learning. It would serve

Saturday, September 7, 2019

Emergency Action Plan Assignment Example | Topics and Well Written Essays - 500 words

Emergency Action Plan - Assignment Example Inside the booth are phone directories that bear the frequently used emergency phone contacts. Other than the booths, an alarm has been installed in one the adjacent building. The alarm is used to alert the participants in case of danger so that they can leave the swimming pool with immediate effect. The participants with Autism are usually at a higher risk during the swimming lessons (Mary, 2010, pp23). They can accidentally fall in the water and get trapped inside without being noticed. Since their speaking is sometimes distorted, they may not be in a position to alert others for help. To care of these individuals, lifeguards have taken it upon themselves to ensure that they swim under a close watch. Fellow students are advised to partner with an autistic friend while in the pool. In case of emergency such as drowning or seizure in water, the lifeguards and trained student captains are usually to lead the rescue plan (Red Cross, 2015). Rescue plans and methods vary with the kind of emergency. If one is trapped under water, deep-swimmer lifeguards have the sole responsibility of performing the search and bringing the victim to the surface. In case of fire, the participants have been instructed on how to ring the alarm and use the fire extinguishers. While the main role of the lifeguards is to perform a rescue operation, the Adapted Aquatic Instructors have a general role of giving directions to the participants. These include swimming tactics for various purposes such as emergency. The instructor assistants usually wok alongside the senior instructors and represent their seniors when they are away. They give the participants a general orientation of the facility and are always available for the students during swimming lessons. When there is an emergency that is beyond the capabilities of the staff, it is always advisable to seek for an external help through phone calls. 911 is always a central rescue number. However, there is always a chain

Friday, September 6, 2019

Social Contract Essay Example for Free

Social Contract Essay Is the aim of the social contract to establish freedom, equality or merely ‘peace’? How far is it successful, and at what cost? (Hobbes, Locke, Rousseau) The Social Contract is a theory that originated during the Enlightenment, which addresses the questions of the origin of society and the legitimacy of the authority of the state over the individual. Social contract arguments typically posit that individuals have consented, either explicitly or tacitly, to surrender some of their freedoms and submit to the authority of the ruler or the decision of a majority, in exchange for protection of their remaining rights. Its main proponents were Hobbes, Locke and Rousseau. However, while they all advocated a social contract their formulations and ideas about it do differ to some extent. This essay will attempt to argue that Hobbes hoped his social contract would establish peace, amongst naturally competitive men; whilst Rousseau valued securing freedom and Locke wanted it to secure rights for people and stop them living in fear. However, all of these do come at some price, namely the cost of some liberties, however, as Locke agreed what was important was that relative to the state of nature, man now lived in a better, freer, more equal and peaceful society. The first modern philosopher to articulate a detailed contract theory was Thomas Hobbes (1588–1679). According to Hobbes, the lives of individuals in the state of nature were ‘solitary, poor, nasty, brutish and short’ (Leviathan. Ch13. p89), a state in which self-interest and the absence of rights prevented the social, or society. Life was anarchic, without leadership or the concept of a sovereign. Individuals in the state of nature were apolitical and asocial. Thus for Hobbes the state of nature is necessarily followed by the social contract. He believed the social contract would involve individuals ceding some of their individual rights so that others would cede theirs. This resulted in the establishment of the state, a sovereign entity like the individuals now under its rule used to be, which would create laws to regulate social interactions, in the hope that human life would no longer be ‘a war of all against all. ’ (Leviathan. Ch13. p89). Thus Hobbes attempts to prove the necessity of the Leviathan for preserving peace and preventing civil war, thus he is most concerned with securing a safe, protected state for man. This is necessary because Hobbes has a negative view of man. He claims we are merely motivated by what he calls ‘aversion’ and ‘appetite. ’ (Leviathan. Ch6. p38) due to his belief that humans are all ‘self-seeking individuals, with no pre-disposition to cooperate with others or help them unless it is within their own interests. ’ (Trigg. 1988. ) Thus the ‘general inclination of all mankind (is) a perpetual and restless desire of power after power, that ceaseth only in death’ (Leviathan. Ch11. p70) and that ‘men are continually in competition for honour and dignity. (Leviathan. Ch17. p119) Thus the social contract becomes necessary as a way of reducing such competition and securing peace. Furthermore, Hobbes believes it is possible to mitigate this competition with reference to his laws of nature. The first that we ‘seek peace, and follow it’ (Leviathan. Ch14. p92) as it would clearly never be advantageous for us to reside in an insecure society, where we constantly feared being destroyed and competed with, as Hobbes writes, ‘that every man, ought to endeavour peace, as far as he has hope of obtaining it. ’ (Leviathan. Ch14. 92) This is successful and Hobbes has a strong point here, we can agree that we are stronger as a group and that it is prudent to ‘confer all power and strength upon one man, or upon one assembly of men, that may reduce all their wills, by plurality of voices into one will’ (Leviathan. Ch17. p126) This is clear in the modern day, we elect those people we wish to represent our will, we do not all feel a need to self-govern. So although we are defined by our power and competitiveness in the state of nature, we will value peace and security so necessarily opt for this contract. Furthermore Hobbes second fundamental law of nature is ‘that a man be willing, when others are so too, as far as for peace and defence of himself he shall think it necessary, to lay down this right to all things; and be contented with so much liberty against other men as he would allow other men against himself’ (Leviathan. Ch14. p92). This idea of mutual contracts concords with the ideas of Locke’s and Rousseau’s social contracts, that people would choose to live in society to maintain or create freedom and uphold natural values. However, for Hobbes, men cannot know good and evil, and in consequence can only live in peace together by subjection to the absolute power of a common master, thus a cost of Hobbes’ social contract is that man is now subjected to absolute rule and appears to lose more of his freedoms than either Locke or Rousseau deemed necessary, yet for Hobbes this is the only way to ensure peace, despite it seeming that such controlled rule would only engender disagreement and revolt. Hobbes theory has implications and his work emphasises some important aims of humanity, especially that peace is worth having at any cost, ‘a view Hobbes wants us to adopt after his reasoning in Leviathan. ’ It is common sense that without the base instinct of survival and survival itself, nothing else would be truly possible. (Bagby. 2009. p47) Furthermore Hobbes discusses fear as the basis of the existence of the state and although our world is a very different context to the world Hobbes experienced, Professor Ginzburg ‘does not see any change in the fear factor that sustains authority. (Kumar. 2007) However, John Locke, although another social contract theorist, his conception differed from Hobbes in several fundamental ways, retaining only the central notion that persons in a state of nature would willingly come together to form a state. Locke believed that individuals in a state of nature would be bound morally, by the Law of Nature, not to harm each other in their lives or possession, but without government to defend them against those seeking to injure or enslave them; people would have no security in their rights and would live in fear, rather like Hobbes suggested. Locke argued that individuals would agree to form a state that would provide a ‘neutral judge’ (Locke. 2003) acting to protect the lives, liberty, and property of those who lived within it. While Hobbes argued for near-absolute authority, Locke argued for inviolate freedom under law in his Second Treatise of Government. Locke argued that governments legitimacy comes from the citizens delegation to the government of their right of self-defence of ‘self-preservation; (Locke. 2003). The government thus acts as an impartial, objective agent of that self-defence, rather than each man acting as his own judge, jury, and executioner, the condition in the state of nature. In this view, government derives its ‘just powers from the consent (delegation) of the governed. ’ (Locke. 2003) Furthermore, for Locke peace is the norm, and should be the norm. We can and should live together in peace by refraining from molesting each other’s property and persons, and for the most part we do. Yet it is clear in Hobbes that he believes man is naturally self-interest and will compete for resources. Locke’s fundamental target is political absolutism, understood as the exercise of power unconstrained by law or by any procedures for settling disputes between rulers and ruled. (Boucher. 2003. p. 184) Where Hobbes argued that absolute power was necessary to keep the peace between humans; instead Locke insists the point of political institutions is ‘to avoid, and remedy those inconveniences of the State of Nature, which necessarily follow from every Man’s being judge in his own case. (Locke. SecondTreatise. 2003) as Locke believed humans were born free and that by nature human beings are one another’s equals, so should not be dominated or restrained to the extent of Hobbes. These inconveniences, such as a social atmosphere of miserable uncertainty are not solved by subjecting all but one person in society to the rule of law. Thus Locke believed that peo ple would be worse off under absolute power than they would in the uncertain mercy of other’s judgement, so he did not advocate this. Locke’s contract aims to benefit individuals, it is an individualised functionalism. Thus for Locke an institution that is detrimental to individuals, relative to what they might secure on their own without government, is illegitimate, as ‘no rational creature can be supposed to change his condition with an intention to be worse. ’ (Locke. Second Treatise. 2003) Furthermore, Rousseau (1712–1778), in his influential 1762 treatise The Social Contract, outlined a different version of social contract theory. Rousseau’s social contract can be summarised as, ‘each of us puts his person and all his power in common under the supreme direction of the general will; and in a body we receive each member as an indivisible part of the whole. ’ (Rousseau. Social Contract. 2002). For Rousseau the fundamental aim of the social contract is to establish freedom, believing that liberty was possible only where there was direct rule by the people as a whole in law making, where popular sovereignty was indivisible and inalienable. However, people also desire the advantages of living in a society, because it is only as a citizen that man can fulfil himself and become virtuous. ‘Man was born free, but he is everywhere in chains. ’ (Social Contract. p. 141). Thus Rousseau aimed to create a political and social order where this contradiction would be resolved, the key purpose being ‘to find a form of association that defends and protects with all common forces the person and goods of each associate, and by means of uniting with all, nevertheless obeys only himself, and remains as free as before. (Social Contract. p. 148). For Rousseau the answer lay in the social contract. Thus everyone entering into civil association must give up his rights to the whole community; this is the ‘cost’ for Rousseau. Yet there are benefits too, as Rousseau argued ‘this passage from the state of nature to the civil state produces quite a remarkable change in man, for it substitutes justice for instinct in his behaviour and gives his actions a moral quality they previously lacked. ’ (Social Contract. p. 150). This is successful because the whole citizen body is the sovereign, thus is cannot have interests contrary to the individuals who comprise it (Boucher. 2003. p. 247) as ‘the sovereign need give no guarantee to the citizens ‘the sovereign by the mere fact it exists, is always all that is should be. ’ (Social Contract. p. 150). Additionally, Rousseau rejected Hobbes’ view that man is self-seeking and competitive by nature. (Boucher. 2003. p. 240) However his notion does have similarities with Hobbes. For Rousseau, in contrast with Locke, the state of nature is neither a social nor moral condition (Boucher. 2003. p. 241) and in fact nature gives us no sanction for legitimate authority, rather it is the condition where no one has a right to rule over another. There is no justice or injustice, man is merely solitary and self-sufficient. Furthermore Rousseau is hoping to diminish the dependence of man, however this cannot be done in its entirety; rather one form of dependence can be substituted for another. Boucher. 2003. p. 251) Rousseaus political theory differs in important ways from that of Locke and Hobbes. Rousseaus collectivism is most evident in his development of the ‘luminous conception’ (which he credited to Diderot) of the general will. Rousseau argues a citizen cannot pursue his true interest by being an egoist but must instead subordinate himself to the law created by the citizenry acting as a collective. Rousseaus striking phrase that man must be forced to be free’ (Social Contract) reveals that the indivisible and inalienable popular sovereignty decides what is good for the whole, then if an individual lapses back into his ordinary egoism and disobeys the leadership, he will be forced to listen to what they decided as a member of the collective, as citizens. Thus, the law, in as much as it is created by the people acting as a body, is not a limitation of individual freedom, but its expression. Moreover, Rousseau believed that the laws that govern a people helped to mould their character, so law is a civilizing force. Laws represent the restraints of civil freedom; they represent the leap made from humans in the state of nature into civil society. Thus enforcement of law, which may seem a ‘cost’ in his contract theory, is actually not a restriction on individual liberty, as the individual, as a citizen, explicitly agreed to be constrained. Ultimately the social contracts of Hobbes, Locke and Rousseau are successful for the conception of man in the state of nature that each held; however due to this they all had varying aims. For Hobbes, man begins as necessarily competitive and unsocial, thus his contract must aim to establish peace and thus requires absolute rule. However, for Locke, man is by nature a social animal and not purely self-interested, thus securing peace primarily is less important, rather man here retains the right to life and liberty, and gains the right to just, impartial protection of their property, as this is more prudent than each trying to protect their own and living in constant fear. Yet for Rousseau the fundamental aim of the social contract was to establish freedom, as man was naturally free, but was restrained and this freedom needed realising and maintaining. Overall, the social contract of the three thinkers is markedly different, however each is justifiable given their different views of the state of nature and man’s inherent nature, nonetheless there are costs to man’s total freedom as he must give up rights to the rulers and follow new laws, to varying degrees. Fundamentally, the society posited by all three is seen to be an improvement on the state of nature in terms of its freedom, equality and peacefulness.