Thursday, October 31, 2019

A Comprehensive research project into the next generation of the buzz Essay

A Comprehensive research project into the next generation of the buzz word web 2.0 and the technologies that will define it - Essay Example It is difficult to talk about internet without mentioning the Web. Internet started as a communication tool for U.S. military for sharing information over a distance. In 1958 the U.S. Department of Defense started the Advanced Research Projects Agency (ARPA). The main aim of APRA was to develop defense technology but later it also became a hub for computer research and technology. APRA wanted to develop a method to connect its base site with its computer research laboratories dispersed at different locations in U.S. In 1960’s, Paul Baran (at RAND) and Donald Davies (at UK National Physical Laboratory) developed a new technique called ‘packet switching’ (as opposed to circuit switching) in order to make the data transmission more reliable and efficient. In 1969, four computers (located at computer research labs of University of California at Los Angeles, Stanford Research Institute, University of California at Santa Barbara, and the University of Utah) were connected thus creating APRAnet. In 1971, more computers joined the APRAnet (including NASA and Harvard) and number increased to fifteen. The year 1973 saw ARPAnet going global and Norway (Norwegian Royal Radar Establishment) and England (University College of London) also joined the net. The networking protocol was called Network Control Program. The total number of host computers connecting through APRAnet increased from 40 in 1973, to 111 in 1977 (Hobbes Internet Timeline). After APRAnet, other similar networks were created for special purposes. UUCP connected the computers having UNIX operating system and USENET (Users Network) connected academic community. Networks like CSNET (Computer Science Network) and BITNET (Because It’s Time Network) were also developed to connect universities and research centers. These networks had the capability to exchange information with APRAnet and among each other. APRAnet was split into two networks in 1980’s and a separate

Tuesday, October 29, 2019

Essay Plan for Job Specialisation Essay Example for Free

Essay Plan for Job Specialisation Essay Job specialization is basically a job or process that is comprised of a small different parts of a larger task or process. (Williams McWilliams 2010) Purposes : To understand the phrase of â€Å"job specialisation† in detail, how job specialisation is use in job design as well as how specialized jobs can be adapted to get rid of the boredom and low job satisfaction by applying Job Characteristic model. Body paragraph First paragraph Job specialisation is economical and can always accomplish as well as regularly learn about technical development and opportunities through jobs. (An-Tien,H,Hui-Yu, C 2004,) From the modern high – tech industry, job specialisation has demonstrate that there is a clear – cut relationship with task variety, autonomy, identity and feedback. (An-Tien,H, Hui-Yu, C 2004,) Second paragraph Reason why job specialisation uses job design is because it helps to motivate, give satisfaction and performance towards its job as well as making its working condition of a workplace into a broader scope. (Fahr, R 2011) Third paragraph Specialised job can be modified with the help of five strong core job characteristics which in result which the workers have to experience the three critical psychological states, that will then motivates the personal and work outcomes. (DeVao, J, Li, R, Brookshire, D 2007) Conclusion Job specialisation is an important factor for a company if they want to eliminate boredom and low job satisfaction. However for it to be success, they would also need the help of job design and job characteristics model. (242 words) References An-Tien, H, Hui-Yu, C 2004, A reassessment of the relationship between job specialization, job rotation and job burnout: example of Taiwans high-technology industry, International Journal Of Human Resource Management, 15, 6, pp. 1108-1123. DeVao, J, Li, R, Brookshire, D 2007, ‘Analysing the job characteristics model: new support from a cross-section of establishments’, International Journal Of Human Resource Management, 18, 6, pp. 986-1003. Fahr, R 2011, ‘Job Design and Job Satisfaction – Empirical Evidence for Germany?’,Management Revue, 22, 1, pp. 28-48. Williams, C McWilliams, A 2010, MGMT, Asia Pacific Edition Cengage Learning, Melbourne.

Sunday, October 27, 2019

Reflections On The Professional Use Of Self Social Work Essay

Reflections On The Professional Use Of Self Social Work Essay At the heart of social work lies the fundamental belief in human rights, citizenship and social justice (Fook, 2002). Indeed, social workers are ordinarily duty-bound to advocate the principles of empowerment through anti-oppressive practice whilst placing the wishes and needs of clients at the centre of delivery (General Social Care Council (GSCC), 2004; Dalrymple and Burke, 2006). Yet practice is complex not least because the success of any intervention is entwined with the phenomenological attributes of both clients and practitioners (Prynn, 2008). Thus, social work practitioners face significant challenges such as identifying what they contribute to a relationship, how this impacts on decisions and what individual and structural power imbalances influence practice (Fook, 2002). Critical practice is a conceptual tool which affords practitioners the opportunity to engage in transformational practice whilst recognising the value base and social justice agenda of social work (Fook, 2002). This paper will briefly provide a case study of an experience I encountered as a practitioner. This will then be explored through what Brechin (2000) identifies as the three interrelated domains of critical practice: critical analysis, critical reflexivity and critical action. In doing so it will demonstrate how I have engaged with my self to identify what I took into practice and the implications this can have in being a transformational practitioner. On commencing my role as a project worker within a residential home for young people with behavioural difficulties I was introduced to John (pseudonym). John was fourteen and had a history of anti-social behaviour and a criminal history for burglary and assault although all cases were at least two years prior. John was in care because of a request from his parents who no longer felt they could control his behaviour because his reaction to discipline was often non-compliance and violence. His file illustrated him as mischievous, yet comical, with recent signs of improved behaviour. He enjoyed partaking in various hobbies; however, these were often short-lived with him becoming disinterested very quickly. I worked with John for several months and at a case-review meeting Johns parents informed the panel that he wished to take up boxing. His parents supported the idea, as did the Social Worker because it was thought it may inspire some discipline. I objected because of his criminal conviction of assault. However, the Social Worker dismissed this by indicating that Johns wishes were important and that our role was to empower him. Despite my objections it was agreed that John could attend. John soon attended a boxing club organised and operated by two retired policemen. Approximately one year later John was convicted of aggravated burglary with the victim being an elderly woman. The first domain of critical practice, critical analysis, is concerned with how practitioners evaluate evidence, policies, and knowledge to influence decisions (Brechin, 2000; Glaister, 2008). Furthermore, the practitioner becomes conscious of multiple perspectives and the contextual nature of them (Brechin, 2000; Fook, 2002). Chalmers (2003:22) claims that practitioners who intervene in peoples lives have a responsibility to be informed by rigorous, transparent, up-to-date evaluations. Yet Sheldon and MacDonald (2009) note the reliance on robust evidence being available and the practitioners having the time, resources and skill-base to adequately evaluate evidence. Indeed, Fook (2002) argues that it is often in the interests of agencies to prevent such approaches as it may lead to increased responsibilities and higher costs. Placing this experience in the context of critical analysis it is unsure at this point what informed the Social Workers knowledge; however, it was clear that he wished to respect Johns voice. The Social Worker believed John had personal agency and a fundamental right to choose his own life direction. The GSCC (2004) concurs with the Social Worker in-so-far as practitioners should promote independence and respect the clients right to take risks. The Social Worker, as an agent of the state, was further supported by policies such as article 12 of the United Nations Convention on the Rights of the Child (1990:4) which stipulates that any child capable of forming his or her own views has the right to express those views[and this be] given due weight. Indeed, his employer has signed up to this convention (Somerset County Council, 2009). However, practitioners also have an obligation to ensure that these risks are managed and necessary steps are taken to minimise the risk of harm to service users or others (GSCC, 2010). I held an alternative view to protect John, and others, from harm. It is clear that both the Social Worker and I had valid points, thus, being guided by knowledge, policies and theories on their own may result in conflicts about what actions to follow (Banks, 2006). The second domain of critical practice, critical reflexivity, originates from reflective practice and the concept that practitioners learn through experience (Schà ¶n, 1983). However, because reflective practice has limited criticalness (Fook and Askeland, 2006) it often fails to acknowledge deeper processes which impact practice (Fook, 2002). Furthermore, reflective practice can result in negative outcomes such as self-doubt or an acceptance of status quos (Eby, 2000). Critical reflexivity refers to a practitioner who engages in self-criticism whilst being reflective. The practitioner becomes reflexive in questioning pre-established values, assumptions and prejudices (Taylor and White, 2001) and gains an understanding on how this influences negotiated understandings and interventions whilst working across difference (Glaister, 2008; Fook, 2002). Because critical reflexivity permits the practitioner to acknowledge the complex nature of the clients circumstances and their perspective s there is an organic acknowledgement of cultural and social disparities (Fook, 2002). Indeed, Allport (1978:437) concurs and states how practitioners who engage in inwardness are generally less prejudice, are more tolerant in understanding others, and exhibit a desire for personal autonomy rather than for external, institutional anchorage. Critical reflexivity affords me the opportunity to contemplate on how my preformed values and assumptions influenced my perspective. Thus, I needed to consider the opposition I held to Johns participation. As a pre-adolescent child I was bullied in school with a particular individual being prevalent in my memory. This individual attended martial arts which he duly practised on me. Ultimately, this had a significant impact on my belief that violence is wrong. Indeed, in relation to John my assumption was that everyone who attended a power sport had the potential to bully. This was hyperbolised by Johns past and thus my opposition to his partaking. Adams (2009) supports my exploration by indicating how our experiences can have an implicit impact on our decisions and in this instance I can identify how my negotiated understanding had become manipulated by my self. The Social Worker adopted a Kantianistic approach by wanting to empower John to make his own life choices. Indeed, the Social Worker wanted to advocate Johns rights rather than impose carers perspectives which is understandable considering the current agenda toward person-centred planning (GSCC, 20100; Kellett, 2009). However, I felt that as professionals there was a justification in adopting utilitarianistic values because the risk of re-engaging in criminal activities was too high. Yet evidently apparent is neither the Social Worker or I respected each others perspective. However, notably the issues of the Social Workers claims that he wanted to empower John also become apparent. The very notion that the Social Worker wanted to empower John indicates that the Social Worker was actually the one with the power. Yet, the Social Worker has duties and responsibilities beyond the value of empowerment because of his legislated duty to protect John, and others, from harm (Banks, 2006). The final domain, critical action, is concerned with practitioners having a robust skill-base whilst being conscious of its contextual nature. A critical practitioner works across difference to promote empowerment whilst confronting structural oppressions (Brechin, 2000; Eby, 2000). A primary principle of critical practice is the notion that practitioners should be research-minded in understanding the contextual basis of empirical evidence (Shemmings and Shemmings, 2003). Utilisation of the best available evidence is essential to contemporary practice (Sheldon and MacDonald, 2009) and yet despite being a self-evidently a good idea (Trinder, 2000:3), evidence-based practice has faced fierce opposition because there is a risk that practitioners may abandon reflexivity and personal agency for technical rationality (Taylor and White, 2006; Webb, 2001). However, this view has been adequately challenged by commentators who state that evidence-based practice, which actually means evidence-i nformed practice (MacDonald, 2003; Chalmers, 2003) has, when scrutinised, the potential to minimise the risk of harm to service users (Chalmers, 2003). Indeed, evidence-informed practice is the critically appraised synthesis of empirical and experiential evidence (Fook, 2002; Sheldon and MacDonald, 2009). In linking this to my experience with John, it becomes clear that I could not knowingly offer any definitive empirical evidence to support my perspective. However, neither could the Social Worker. In this sense both the Social Worker and I failed to be research-minded. Thus, in opposition to anti-evidence-based advocates, this experience indicates how practitioners can make mistakes when acting on instinct alone. Indeed, a brief search for empirical evidence found a longitudinal study by Endersen and Olweus (2005) which identified how participation in power sports for adolescents with a previous history of anti-social behaviours is likely to result in re-engagement. As John had a previous history of theft, this evidence may well have helped me, the Social Worker, and even John, come to a different decision. Critical action also involves the practitioner developing a consciousness of the often hidden imbalances of power between themselves, agencies and the client (Payne, 2005). Critical practice occurs within the context of theory and consideration of critical theories permits me to understand my construction of power and how this influenced my action, or inaction. For example, Foucault was concerned with language and how discourse can assist professionals to create natural and unchallengeable situations because they are deemed to have knowledge and thus power (Finlay, 2000:85). Indeed, the Social Worker established, chaired and controlled the case-review meeting. Fook (2002) concurs and argues that professionals utilise societal structures in order to suppress service users. Taking my earlier point regarding the construction of the case-meeting further it is clear that it was designed by adults with no real consideration about what John wanted. Indeed it is hard to understand why John, or an advocate, was not at the meeting. Yet, even if John was permitted to attend, it is highly likely he would have faced oppression by being forced to engage with the hegemonic language of adults which he would not have understood, thus he would ultimately been oppressed and possibly disempowered (Kehily, 2009). However, Cocker and Allain (2008) contend that service users have the right to take a pro-active role in decision making processes and suggest that the role of the practitioner is to ensure that service users are fully informed through the provision of concise information. This clearly did not transpire and thus true empowerment was never apparent. In concluding it is evident a professionals self can impact on the everyday lives of service users and practitioners. As practitioners we all have multiple identities which we take into practice. Not only do these derive from our previous experiences, but also our responsibilities as professionals, agents of the states, as employees and of course as statutory creation created to fulfil a role. Indeed, critical practice assists practitioners highlight how their self has been impacted upon from each of these identities and permits the us to make decisions, along with the service user, that are more likely to produce a more productive, and effective, outcome for all. In engaging in critical practice I have been able to identify significant factors which may have contributed to a better outcome. Whether Johns participation in boxing contributed to his re-engagement in criminal activities cannot be realistically measured. However, what is certain is John was disempowered in-so-far as he should have been fully informed. It is clear that none of the three domains of critical practice isolated can work independently, however, the careful and intentional synthesis of values, experiences, evidence and knowledge along with an awareness of structural disadvantage caused by agencies can all have a positive impact on the self and ultimately a practitioners power to challenge practice. I misplaced my power as a morally active practitioner and permitted the Social Worker to make a judgement based on instinct. I could have researched the potential issues of boxing and provided John with more in-depth information in a format he would understand. However, as practitioners we have an obligation to learn from our experiences because a critical practitioner who is engaged with their self is more likely to succeed in becoming a transformational practitioner.

Friday, October 25, 2019

Israel :: essays research papers

Israel The Official language for Israel is Hebrew. It is a very old language dating back over 5000 years. The version that is spoken today is different than the kinda of Hebrew written in the Old Testament. The version spoken today is commonly refered to as modern Hebrew. Since Israel is a Jewish state, naturally the main religion is going to be Judaism. There is also a lot of Muslims and Christians, but most of the people are Jewish. Many of the Jewish Holiday are also national holidays, such as Yom Kippur, Purim, and Rosh Hashanah. One of the holidays exclusive to Israel is Independence Day, where Israel celebrates it's becoming a state. Israel Produces many crops such as figs, dates, apples, pairs, oranges, and olives. They are a very self-sufficient nation and do not need to import much. Probably the most renowned person in the country is the Prime Minister. He is similar to a President. The current Prime Minister is Benjamin Netanyahu. One of his biggest problems right now is to try and negotiate a peach agreement with the arabs. Two of the biggest Ethnic groups, the Arabs and the Jews, have been fighting every since the Jews came to the land in the early 20th century. The Jews want Peace and the Arabs wanna kick the Jews out. One of the Biggest debates is over the Mosque in Jerusalem. The Mosque is located right by the Whaling Wall, which is the remnants of an ancient Jewish Temple. They are both major parts of each religion so they are fighting over who has ownership of what. In Israel they like many of the sports we do. Soccer, Basketball, Football, etc. They eat many of the same foods we do. Some of the foods native to that area of the world are: Falafel, Hummus, Techina, and Shwarma. The population of Israel is roughly 6 million. Almost on sixth of those live in a city called Tel Aviv, the nations largest city. It is also a popular city for jews because it is about 95% Jewish. It is in the north where there are hills and mountains, the opposite of the South where there is deserts and flat lands. The Dead Sea is the lowest altitude onEarth and it is located in Israel. The Government is modeled after the British. With a parlaimentary Democracy. The Prime minister is elected by the people through an indirect vote. The people vote on the party and the party with the most votes, then votes on

Thursday, October 24, 2019

Murray Bookchin and the Integral Community Essay

Both Locke and Proudhon speak about integrity, integrity as a person with property and skills in a society that no longer recognizes the person. They speak about natural law: the right top freedom and work, the right to function in society as a full person, not as a machine. These rights (and the duties that come with them) are a part of nature, they exist as objective realities, and hence, moral integrity is reached in coming to grips with the reality of these rights and duties: but come to grips not as a part of a state system, but as a person, since these rights predate the state and the modern economic system. Hence, both are subject to natural law, and the repository of the natural law in practical terms is the whole body of the community. Murray Bookchin takes the concept of natural law even further than both Locke or Proudhon. His central concept is that the very existence of the natural whole, the dynamic world of non-human nature, can no longer exist as an â€Å"other,† some useless lump of matter that needs to be exploited for profit. In other words, it is the violation of the natural rights of man that has led to the environmental degradation and exploitation of the modern world. The rule of capital and the central state has destroyed any sense of the rights of man or nature in a real revolutionary sense as outlined above. Instead, they have created wants and needs, and based all of his on a vulgar, pleasure-seeking utilitarianism (Bookchin, 1993, 350). Hence, the crisis we are facing, both the specific crisis of debt and foreclosure in 2009, as well as the deeper crisis of values and rights that have existed since Locke’s time, can be based to systemic causes. This means that it is the system itself that is the problem, and the values crisis is also related to the methods the current system uses to justify itself. But the truth is that natural law functions because man is not essentially different from the natural world around him. Man and nature derive from the same source and are made of the same materials, it is only man that can use technology with substantial theoretical foresight and hence, becomes a very different creature from the non-human nature around him. But this is precisely the problem, since this distinction between human and non-human nature have led to a mentality, a mentality deriving from ancient magic, that the natural world is â€Å"broken† and demands to be fixed by human work. Of course, this is just a mystification for elite rule and domination (Bookchin, 1993, 367-368). The practical effect of all of this is the development of technology that has the creation of needs and wants as its end: the creation of markets and profits. Technology and markets, in other words, have taken on a life of their own over and above the real needs of the community as well as the natural world as a whole (human’s included). These institutions, the market and technology, have long since overstepped their bounds, the bounds that natural law has created for them: the meeting of relatively simple human needs and the creation of rational mechanisms for distribution. When the market and the technological elite broke these natural bounds, the irrational and unnatural ideas of limitless development and hence, limitless profits took over and provided these things with their own world and their own rationale far beyond the much older, rational limits. Hence, the question of moral integrity is a matter of limits, and a matter of the ideas of the market or technology creating a world of their own, alienated form the communities that they were originally meant to serve. Thus, moral integrity is about limits, and the rejoining of technology to the community: in this case, Bookchin and Proudhon are in agreement. While Bookchin stresses the idea of citizenship in an integral community, Proudhon stresses man as a producer, beyond the state and in no need fo it. For Bookchin, a citizen is an integral person by definition: the citizen is someone who can balance the needs to the market, the individual and the person within a integral whole; the community legislating for itself as to what it needs and what will work in specific circumstances.

Wednesday, October 23, 2019

My Lord the Baby

The Author of this story, Rabindranath Tagore was the first Asian to win the Nobel Prize in the field of Literature. He was a Bengalese who was born in 1861 at Calcutta. The main character here is named Raicharan. He was only 12 years old when he became a servant. His Master made him a private servant to his Son. He took good care of him, until the time that the little Master Anukul grew up and got married. When Anukul had a son of his own. Anukul still made Raicharan his Son’s private servant. But fate got in the way, the little Master disappeared when Raicharan was taking him for a stroll. No one knows whether the Baby was taken by a group of Gypsies who were hovering nearby or He drowned in the river. Anukul’s wife got so distressed and furious that there is no reasoning with her. They made Raicharan go back to his Village. There he learned that his wife just gave birth to a Baby Boy but she died immediately. At first Raicharan didn’t want to accept his Son because he knew that he cannot sire a child. But as the Boy grows, he can see similarities with his young master. And so he thought that his son is the reincarnation of the young master. Raicharan gave everything and anything his son would want, he made his son live like a rich man up to the point that he is sturbing himself to death. When he can no longer give Phailna, his son, all that he wants, he decided to go back to Anukul and told him that his son was with him all along, Raicharan let them think that he’s the one who kidnap their son. This just goes to show that a Father can and is willing to sacrifice almost anything just for the good of his beloved son. Even if it means that he will loose his son forever or it would mean his death. Also, the story relates on the belief that there is reincarnation, life after death. Source: http://www. shvoong. com/books/classic-literature/1764690-lord-baby/#ixzz1ihUKeiwU

Tuesday, October 22, 2019

Critically discuss the current law relating to the above situation in English law and compare this to France jurisdiction. The WritePass Journal

Critically discuss the current law relating to the above situation in English law and compare this to France jurisdiction. Abstract Critically discuss the current law relating to the above situation in English law and compare this to France jurisdiction. ). M Bohlander and A. Reed, Loss of Control and Diminished Responsibility: Domestic, Comparative and International Perspectives, Ashgate Publishing Ltd, (2013). N Monaghan, Criminal Law Directions, OUP Oxford, 2nd Edition, (2012). S Wood, Italian Women’s Writing, 1860-1994, Bloomsbury Publishing, (1995). Journal Articles A Carline, ‘Reforming Provocation: Perspectives from the Law Commission and the Government’ (2009) Web Journal of Current Legal Issues, Volume 2, [2009] 2 Web JCLI, http://webjcli.ncl.ac.uk/2009/issue2/carline2.html 17 March 2014. A Edwards, ‘Changes to the Law on Homicide’ The Law Society Gazette, lawgazette.co.uk/in-practice/changes-law-homicide 17 March, 2014. D J Baker and L X Zhao, ‘Contributory Qualifying and Non-Qualifying Triggers in the Loss of Control Defence: A Wrong Turn on Sexual Infidelity’ (2012), 76 Journal of Criminal Law 254, Issue 3. D Pallister, ‘New Defence in Domestic Abuse Cases’, (2009) The Guardian, guardian.co.uk/uk/2008/jul/29/law.ukcrime 17 March, 2014. F Gerry, ‘Scuttlebutt’ (2012) 176 Criminal Law Justice Weekly 60, Issue 5. J M Donovan, Juries and the Transformation of Criminal Justice in France in the Nineteenth and Twentieth Centuries, University of North Carolina Press, (2010). J Miles, ‘The Coroners and Justice Act 2009: A Dog’s Breakfast of Homicide Reform’ (2009) Archbold News, Volume 6, Issue 7. Ministry of Justice, Murder, Manslaughter and Infanticide, MoJ CP (R) 19, 2008. Ministry of Justice. ‘Partial Defences to Murder: Loss of Control and Diminished Responsibility and Infanticide: Implementation of Sections 52, and 54 to 57of the Coroners and Justice Act 2009’ Criminal Law Policy Unit Ministry of Justice, justice.gov.uk/downloads/legislation/bills-acts/circulars/moj/2010/circular-12-2010-coroners-justice-act-homicide-provisions.pdf 18 March 2014. M Hill, ‘New â€Å"Loss of Control† Defence as Murder Law Reforms Take Effect’ (2010), UK Human Rights Blog, http://ukhumanrightsblog.com/2010/09/30/new-loss-of-control-defence-as-murder-law-reforms-take-effect/ 17 March 2014. R Ferrari, ‘Crime Passionnel in French Courts’ California Law Review, Volume 6, Issue 5, 331-341. R Harris, ‘Melodrama, Hysteria and Feminine Crimes of Passion in the Fin-de-Siecle’ Hist Workshop J, Volume 25, Issue 1, 31-63. S M Edwards, ‘Anger and Fear as Justifiable Preludes for Loss of Self Control’ (2010), The Journal of Criminal Law, Volume 74, No. 3. The Law Commission, ‘Partial Defences to Murder’ (2004) Law Com 290, Cm 6301. T Whitehead and A Hough, ‘Murder can be ‘crime of passion’ says top judge’ (2012) The Telegraph, telegraph.co.uk/news/uknews/law-and-order/9020905/Murder-can-be-crime-of-passion-says-top-judge.html 17 March 2014. V McAviney, ‘Coroners and Justice Act 2009: Replacing Provocation with Loss of Control’ (2009), Inherently Human, http://inherentlyhuman.wordpress.com/2010/10/28/coroners-and-justice-act-2009/ 17 March, 2014. Case Law R v Camplin (1978) AC 705 (HL) R v Clinton, Parker, Evans [2012] EWCA Crim 2 R v Duffy (1949) 1 AER 932 R v Thornton [1996] 1 WLR 1174 Legislation Code Penal Coroners and Justice Act 2009 Napoleonic Code

Monday, October 21, 2019

Rape In America

Rape In America Free Online Research Papers In today’s society where crimes are committed daily, one of the most troubling things to deal with is the response by police officer, and what their job Intel’s. When a person looks at law enforcement from the civilian standpoint their job seem simple, which might be the reason for comments like â€Å"if you want to find a cop go to Krispy Kreme donut shop’. However after looking at the job of first responding officers to serious related crimes, like rape, murders and first degree burglaries, it is easy to realize their job is complicated. For example, if I was a police officer responding to a report of a sexual assault, the work I would need to put in to the investigation would be enormous. First of all, I would receive a radio call telling me to respond to a certain address reference a sexual assault. I would respond back to the dispatch repeating the address to insure I was going to the right place. Then once the address was confirmed I would ask for a point of contact. The reason for a point of contact it gives you as the officer a person meet on the scene hopefully to talk to other than the victim. However if there is not a third party, and the person you are looking for is the victim it tells you also who you need to talk too. Once you arrive at the scene, this is where all your training comes in to play. If you were a New York City police officer the policy states the first thing they would do is secure the crime scene. However, in the text book for criminal investigations it states that the officer must m ake contact with the victim and offer medical attention. On the other hand, Garner police officer Robert Jones says† they first thing his department does is make sure the assailant is gone. If he is there, because he might be a husband or family member, they would place the subject in hand irons for protection. The next thing I would do as an officer is make contact with the victim and get her name. I would reassure her everything would be alright, and then I would go into evidence protection and gathering mode. If the dispatch had not already dispatched a SOIT (Sexual offense investigation team) to the site I would call for one. Then I would instruct the victim not to remove any clothes or items off their body, because she was our best source of evidence. I would set up a perimeter to the residence, or the area where the assault took place. The reason I would do this is to protect evidence in the crime scene so that it could not be contaminated. Also because many times accord ing to law man’s today magazine crimes scenes are destroyed by poor police work. Meanwhile, I would be interviewing the victim a to get information out of her, so I could put out a description of the suspect, and maybe catch him quickly. Even though women’s daily states that 70 percent of rapes are performed by suspects the victim knows. I would be gathering field notes and drawing diagrams until the forensic team arrives. Once they arrive I would annotate the time they got their and log them into the crime scene to take pictures. All the while I would be trying to get names of as many people involved until the crime scene is taken over by officer supporting the investigation. When the Emergency Medical unit arrives I would have them briefed of the crime and what procedures the hospital should be aware of. Since I am the first responder sometimes females draw a quick bond to the first officer responding, however if she doesn’t I would have a member of the SOIT brief her on what we needed to process this case. Which was a rape kit? The rape kit is the most important part of an investigation of a rape case. It is the process according to Donnie Harrison, the current Wake County Sherriff that can make or break a police investigation. In this process the medical doctors collects valuable information like suspect’s seamen and hairs that can possibly be matched to DNA. Another area I would focus on is the most important in evidence gathering and collection. It would be the chain of custody. Every piece of evidence gathered at the scene would be marked for evidence and stored in the appropriate storage container. You would not want to mix evidence from different location because you might jeopardize the validity of the evidence by cross contamination. In reference the chain of custody is so important is how evidence is tracked, and if the chain is busted then once again the validity of the evidence can be challenged. We all know what a good attorney can do to questionable evidence just look at O.J. Simpson murder trial. Now if a suspect is captured at the crime scene another scenario takes places. Other than investigating the crime sometimes the responding officer is responsible for the initial interrogation. In the local police dept. near where I live that is left to the detectives or the state bureau of investigations. However if I am the person i nterrogating the suspect I would wait till I got to the police station and put the person in a closed room with no two way mirrors. Also I would remove any distractions and I would try to build a report with the suspect. Sometimes a good relationship is all they need, because most of them want to confess anyway it’s like a badge to them. If a suspect was apprehended I would make sure that their Miranda rights was read to them and all my† I† s were dotted and my tees crossed. A lot of times when a person such as a street cop or a detective is handling a serious crime scene after all the flash of responding is gone there is a lot of work is done. The type of work that doesn’t get a lot of popularity or front line newspaper responses, but is important in the process of solving the case. A lot of cases are overturned because of people not following crime scene protocol. In the text book criminal investigation gives standard and different patterns of how searches and seizures should be conducted. Yet the state of North Carolina capital police says it employs its own standard operating procedure. The reason for this is that the book has a general outlook, but the sop takes in to account things like obstacles, police safety, and public safety. Also preservation of evidence may be hard to save if weather condition doesn’t permit, like foot prints on pavement. Therefore they might have to take pictures and dental stone is not feasible. In all regard s the book is the highest standard officers are taught to attempt to achieve and SOP is the allowable deviations that approved to be made. Bibliography 1). Bennett, Wayne, Hess, Karen. (1999). Criminal Investigation 5th Edition. New York. An International Thomson Publishing Company. 2) Compendium. 2nd edition. Washington DC Congressional Quarterly Inc. Research Papers on Rape In AmericaHonest Iagos Truth through Deception19 Century Society: A Deeply Divided EraThe Effects of Illegal ImmigrationThe Fifth HorsemanThe Relationship Between Delinquency and Drug UseWhere Wild and West MeetInfluences of Socio-Economic Status of Married MalesResearch Process Part OneEffects of Television Violence on ChildrenMarketing of Lifeboy Soap A Unilever Product

Saturday, October 19, 2019

Barbarians and Roman Civilisation

Barbarians and Roman Civilisation The debate surrounding the extent to which the Barbarians facilitated the disappearance of Roman civilisation in the years 376AD to 496AD is one that has been contested throughout history. The arguments can be divided into two major schools of thought. Firstly, Henri Pirenne’s, ‘ Pirenne Thesis’ [1] , which postulates the Barbarians did not facilitate for the disappearance of Roman civilisation and culture, with Roman society continuing after the breakdown of central authority. Pirenne asserts the Barbarian’s sought to benefit from the established Roman civilisation, and thus strove to preserve the Roman way of life. Conversely, the eminent Bryan Ward-Perkins -archaeologist and professor at Oxford University- hypothesises in his magnum opus , ‘ The Fall of Rome and the End of Civilization’ the argument: Germanic people instigated the ‘end of civilisation’ for almost one thousand years, characterised by â€Å"social, econom ic and technological regression.† [2] I believe, it’s undeniable to determine that numerous areas of the former Western Empire suffered detrimental changes to their quality of life at the hands of the Barbarian tribes. Nevertheless, evidence shows an abundance of continuity across the former Western Empire following the Germanic incursions, with society progressing in Barbarians cities such as Marseille [3] . Therefore, when assessing the extent to which the Barbarians facilitated for the disappearance of Roman Civilisation; one must determine on a case-by-case basis with no overarching answer conclusively possible. Although, it appears for the majority of the former Western Empire that society progressed, characteristically Roman, but slowly transformed into a Germanic-Romano society, reinforced prominent primary and contemporary sources. One example of the â€Å"supposed regression† that Ward-Perkins uses to develop the idea of the fall of Roman civilisation is the collapse of literary sophistication [4] which characterised the Empire. Ward-Perkins argues the literary record of the ‘Dark Ages’ was not as comprehensive and sophisticated as the period of Roman authority that preceded it. When assessing whether Romanic literary culture survived, or in fact developed, the most utilitarian surviving material is the primary source of eight court charters from Lombardy and Merovingian France. These documents provide an unrivalled primary source for evaluating if Romanic literary culture survived. The Merovingian documents illuminate that of 138 subscribers 73.2% managed to sign the document themselves. [5] With only 37 not being able to sign and therefore assumed ‘illiterate’ we can see an exceptionally high literacy rate. The documents also highlight the demographics of the signatories allowing us to see indisputably, 53 out of the literate 101 were traditional laymen. [6] Of course, this statistic cannot be conc lusive of the entire former Western Empire, but is an indicator that decades after the sacking and formal Germanic occupation a culture of literacy did not irrefutably fall, and in places such as Merovingian France it undeniably developed. Subsequently, this primary source supports Henri Pirenne, who asserted, â€Å"There was an extensive and mostly literate Merovingian lay culture [under Clovis I.]† [7] However, as much as these primary documents aid Pirenne’s argument, in equal regard, they retract, supporting the argument that one cannot provide an overarching answer, assisting Ward-Perkins’ overall regression claims. The first reason why the source is disputable in its substance is those called to sign attendance were innately from the higher echelons of society, even at upper lay level [8] , where literacy was more common than across the general population spectrum. Analysing the equivalent primary documents of Lombard Italy, the number is nowhere near a s impressive, considering that of 988 signatories only 326 [9] could sign their name. Despite representing 633 of the signatures, only 14% of laymen managed to sign with 554 instead having to use the stamp. The value of this Pro-Pirenne source is retracted further when considering that Lombard women were excluded from signing, allowing us to assume immediately that 50% of the population was inherently illiterate. Subsequently, this primary source provides a clear level of understanding into the nature of post-Roman literacy. Nevertheless, it must be ascertained that the documents can’t be treated overly conclusive due to their incomplete nature, and as they only show a localised picture.   Moreover, the documents suggest arguably the most conclusive argument, pockets of Romanic civilisation in the field of literacy continued to excel, whereas others regressed following the fall of Rome. It must be acknowledged since only a modicum of documents survived they cannot be wholly representative of the population, coupled with the fact, not everyone would have been called to sign a during their life. These people were the lowest on the social hierarchy; as a feudal society and due to the nature of the time it’s overwhelmingly likely that the majority of the population would remain illiterate. Overall, this primary source appears to be mostly useful as it mirrors the trends of many other facets of ‘Roman life’ that can be proved more conclusively with France flourishing, culturally and economically whereas other regions, especially in Italy [10] . There is evidence, in line with the ‘Pirenne Thesis’ suggesting society did not back track, seen in Merovingian France, with Gregory of Tours’ ‘ Historia Francorum ,’ [11] allowing us to see literary sophistication surviving 108 years after the fall of Rome. Yet, concurrently supporting Ward-Perkins as there is evident disparity across the Empire, from writ ten sophistication, down to technical regression, with the reduction of documents written on Papyrus paper; seen by the fact that 7 th century Italy only has eight surviving Papyrus documents, only one originating from Rome. [12] Therefore, allowing us to see that even though the upper classes are still literate they’re producing less material of the prowess that characterised the empire. Similarly, for the subordinate classes the lack of evidence makes it impossible to formulate a broad conclusion for large areas of the former Western Empire. On the surviving information, available the evidence would suggest the ‘Pirenne Thesis’ as the most convincing argument when analysing literacy in the former Western Empire, as it appears broadly, a literary culture survived. Many contemporary historians promote the view of the Barbarian as, lacking refinement being â€Å"primitive, ignorant, brutal, rapacious, destructive and cruel.† [13] Emphasising the idea, Roman civilisation was extinguished suddenly and brutally: â€Å"Roman civilization did not pass peacefully. It was assassinated.† [14] Which I do not agree with; rather I align with Pirenne who affirms the Barbarians found it advantageous to embrace the culture. [15] The Primary source, Sidonius Apollinaris promotes in his letters [16] the ‘civilised Barbarian’, the Visigoth King, Theodoric II. Apollinaris presents Theodoric with a lengthy description describing him as a man of prestige and celestial reverence, with the masculine grandeur avowing â€Å"If there is a miss through either’s error, your vision will mostly be at fault, and not the archer’s skill.† Yet still possess a fair complexion â€Å"often flush, but from modesty, and not from anger.† From Apollinaris’ description, we see Theodoric as the ideal ‘Tertullian’ [17] nobleman, an embodiment of Western Culture; which Theodoric II unequivocally strove to fit, a blend between the philosophically methodical and the compassionate. [18] We can see that Apollinaris’ epistle is a valuable source for analysing whether the Barbarians continued Roman ideals, due to contextual factors. Firstly, Theodoric strove to preserve Roman civilization like his father, as they saw Frankish culture as subordinate to Roman due to the ‘admirable’ ideals Roman culture presented. Their determination to preserve roman culture can be seen at the Battle of Chà ¢lonswhere they fought alongside the Romans to force Attila out of North-Eastern France. Despite being the (illegitimate) grandson of Alaric I, under Theodoric I, Frankish-Barbarian culture became interconnected with the Romans. As they were pivotal to Roman victory upon Theodoric’s II succession he was engulfed into the higher strata of Romanic civilisation having gained acclamation defending Romanic culture against rival Barbarian empires. Therefore, when evaluating the source, we can see from Theodoric’s territories, despite the loss of a centralised government in 476AD, the region remained Roman in nearly every sense of the word, only through decades of gradual attrition long after the fall of Rome that the region itself stopped identifying as ‘Roman’, evolving into a Gallo-Romano society. Theodoric produced a myriad of geometric and stonework motifs [19] in Carcassonnea promoting continuity between Rome and the reign of Theodoric II, showing Roman civilisation surviving. Despite Apollinaris’ sheer idealisation of Theodoric, we can see that the description isn’t just propaganda comparable with Tacitus’ ‘ Germania’ [20] , but, rather an astute analysis of Theodoric’s character. We can see this as Apollinaris outlines Theodoric wanting to represent a Roman man but falling short, he embraced Christianity to preserve Roman civilisation; however, it was apparent his prayers were â€Å"mo re in habit than in convicted assiduity†. Subsequently, it’s undeniable to determine that despite the sources amplification, it’s credible in its material; a criticism suggesting Theodoric wasn’t a convicted Christian would send him into a bout of rage. However, the suggestion he was almost so civilised as for him to be ‘Roman’ should be taken lightly as despite his appreciation of culture and art, he obtained the throne by the murdering elder brother Thorismund [21] . Gibbon stated: â€Å"he justified this atrocious deed by the design which the heir-apparent formed of violating his alliance with the empire.† [22] Therefore, regardless of the good nature to Theodoric’s crime, defending the Empire, he violated the principles of being ‘Roman’. In Theodoric’s Visigoth kingdom, it’s clear to see Romano culture surviving, only after gradual attrition, evolving. Therefore, we see both Pirenne and Ward-Perkin s coming through; Pirenne could clearly assert that culture here did survive before transforming into a Gothic kingdom. This source validates the argument of Ward-Perkins, it’s clear despite the attempts made by Theodoric to maintain a level of Roman culture; it was incompatible with the average Barbarian who had little interesting in preserving Romanness dating back to the tribe of Theodoric’s grandfather sacking Rome in 410AD. Theodoric’s Roman ideals were not shared by the upper echelons of the Frank society, seen by the fact he was assassinated only a few years after taking the throne by brother Euric. It’s possible to see the shift (or, perceived shift) in civilisation from Roman control to Barbarian through the primary source, the Bishop of Chaves, Hydatius. Hydatius’ ‘The Chronicle of Hydatius and the Consularia Constantinopolitana ‘ [23] provides the only extensive account of Spanish history through the fifth century. Hydati us states that post-Roman Gallaecia was, â€Å"A wretched place to live, the inhabitants: cold, inhospitable and brutishà ¢Ã¢â€š ¬Ã‚ ¦ Despite the mineral wealth, the place had a vile reputation for brigandage and ruinous tribal warfare.† [24] Hydatius allows us to see the transition from peaceful times the emergence of a Germanic kingdom, following 411AD and, Vandal and Suevi invasions there’s a drop in the variety of sources used by the Churchman. Hydatius was forced to live within an isolated Roman community constantly threatened by the barbarian presence [25] , subsequently Germanising the region facilitating for a cultural revolution. The complexity of the Chronicle is replaced by uncertainty; Hydatius makes no secret of the fact that the Barbarians that facilitated for the loss of sophistication in his work. Following the death of John of Jerusalem in 417AD, all Hydatius could ascertain was that an â€Å"elderly man† took over the bishopric, despite it b eing well known outside Northern Spain that Praylius had been occupying the role for several years. Due to the Barbarian occupation, we see clear gaps in the information the source presents. Hydatius knows after the expulsion of Nestorius from Constantinople, Flavian became the Patriarch (447-449); but gives no indication that he knew of either man who occupied the role from 431-447AD, Maximian and Proclus [26] . Subsequently, we see an undeniable decline under Germanic occupation regressing from fluid streams of communication with Flavius Aetius to uncertainty; reinforcing the argument that Barbarian’s facilitated the disappearance of Roman civilisation in the years 376AD to 496AD. However, akin to many characteristics of the period, the answer appears to be somewhere in the middle, which becomes apparent due to Hydatius’ source limitations. Hydatius is intrinsically anti-German due to their forceful occupation of his land and therefore he demonises them at every op portunity. It’s perspicuous that the Chronicle was never intended for anyone outside Spaniards, potentially even Galicia. [27] Despite being a one-of-a-kind account of Barbarian’s in Spain, Hydatius is prone to exaggerating the occupations impacts. The barbarian entry in 409AD was undoubtable an event which made an impact, but not a resounding one, with chroniclers such as Count Marcellinus passing over it with silence, but to Hydatius it was an event of equal significance to the Sack of Rome. Delusion expected of a man who â€Å"fully expected the world to end within fifteen years† [28] . One of the reasons why Hydatius’ source is not conclusive of Germanic Spain is due the contrast between Hydatius’ meagre knowledge of the world, compared with the other letters and sources coming out of Spain synchronously. We can see that during the period of 468-483AD, when the times were more tumultuous, encompassing the fall of Rome we can see that communica tion between the Rome and Mà ©rida was frequent and fast. This consequently, suggests the rest of Spain was not so cut off from civilisation and the Romanic world. There are many communiquà ©s addressed to Zeno, the Bishop of Mà ©rida from Pope Simplicius, with one reading â€Å"We have learned from the report of many† [29] , about Zeno’s excellent administration. Therefore, it can be deduced that many travellers reported the ecclesiastical conditions in Southern Spain, Simplicius bears no hint of anticipating any difficulties in sending confidential letters outlining his ambitions to a distant land that Hydatius had marked as ‘Barbaric.’ Correspondingly, the metropolitan bishop, and the Pope years prior to Hydatius, referred to North-Western Spain as the edge of the world and â€Å"an extreme part of the earth† [30] , it is subsequently no surprise that Cape Finisterre was believed to the furthest west point on Earth. Therefore, the hypothesis that the Barbarians alone were responsible for the lack of communication is not a conclusive one, despite it being true that the reach of the sources decreased; there was a reason why for centuries the Greeks referred to the land as â€Å"mountainous, cold and hard to reach.† Subsequently, supporting the argument that despite what Hydatius said appearing mostly true, when considering the entire Western Empire, the account is microcosmic. Reinforcing the idea that in certain areas, life carried on as normal, whereas in other places, such as Galicia, the status-quo Romanic culture was replaced by the new Germanic one. For the majority of people in Spanish lands communication does not seem to be affected, referenced by the dozens of surviving letters between Tarragona and Rome (463-465AD) with, in the many qualms raised, communication never even being implied. When assessing whether Roman Civilisation ‘disappeared’ or not, one of the most compelling arguments fro m both Ward-Perkins and Pirenne is centred on the post-Roman economy. Henri Pirenne’s ‘Thesis’ has spearheaded the argument suggesting continuity with the Roman economic model. The ‘Thesis’ establishes that Mediterranean trade in 600AD was no different to that of 400AD taking the stance that the Germanic invasions did not destroy the unity that the ancient Mediterranean world had enjoyed [31] . This perception of continuity has stemmed debate, especially considering Pirenne’s Thesis is heavily reliant upon written evidence [32] ,   Looking at the archaeology along with the written sources is pivotal to comprehending the post-Roman economy and the role the barbarian invasions played; thus, Ward-Perkins’ provides a convincing argument. Extensive settlements such as Marseille are communities that had significant populations supported by excellent archaeological records, enabling the most rounded view on the extent to which Barbarian s facilitated the disappearance of Roman Civilisation. As preluded, one such case study mentioned by both Ward-Perkins and Pirenne is Marseille, a site which has been extensively excavated enabling for detailed accounts of Late Antique Marseille to be presented. Ward-Perkins incorporates the evidence of professor Simon Loseby, accredited for the most vigorous excavation and analysis of Marseille into his work, Ward-Perkins believes, ‘Marseille may have been particularly well-placed to ride, even to turn back, a tide of events whichà ¢Ã¢â€š ¬Ã‚ ¦ was pushing ahead the process of urban and economic decline. [33] ‘ This conclusion is possible due to examination of both written and archaeological evidence; pinpointing the fact that Marseille continued as a trading centre centuries after 476AD through examination of the ceramic material available there. [34]    It appears Marseille was able to continue as a part of the pan-Mediterranean trading network until at leas t the end of the sixth century.   It’s also noted that Marseille had its own mint, capable of producing copper and gold coinage, suggesting that Marseille had an economic hegemony on the surrounding area [35] .   Thus, Marseille’s image is not simply of a city that endured Barbarian rule, but rather one that progressed.   This view is emphasised in written sources too, seen from the Bishop of Tours, presenting a thriving cosmopolitan city, stimulated by the perpetual flow of merchants, diplomats and churchmen [36] . Conclusively, Marseille undoubtedly avoided economic decline under the rule of the barbarians and from the contextual evidence available the Roman way of life appear does not appear to vanish from the city; collateral to, neighbours Arles. However, Marseille is an isolated case study.   In this instance, the barbarians appear to have had a very small role in the end of the Roman world, Marseille is not representative of the sit uation many found themselves in after the barbarian invasions.   What it shows through archaeology was that the invasions were not universally detrimental as in some areas, Barbarians sought to use Roman institutions for profit, promoting continuity between the Romans and Barbarians. This is where the differentiation between Ward-Perkins and Pirenne comes in. Across the former Empire, evidence suggests a general decline in standards of living. Ward-Perkins actively pursues the idea that the period following 476AD was one of a ‘dramatic move away from sophistication toward much greater simplicity’. [37] He reinforces this stance by through an examination of pottery and coinage, seen through the existence of luxury, but a substantial middle and lower goods market. [38]    Ward-Perkins also establishes a pattern of reduced pottery and coinage production, across the former Empire in from 476 until the fourteenth century [39] .   Where the ‘Pirenn e Thesis’ falls short compared to Ward-Perkins is the fact that Ward-Perkins recognises cities such as London and Marseille flourished following the collapse of Imperial power, whilst other economic centres collapsed. Wherever the Barbarians didn’t see profit, they laid siege destroying the societies civilisation, seen from the economic damage left to industries such as farmland, and the loss of citizens either through capture or violence.   Evidence of the Barbarian trail of destruction can be seen from the sack of Mainz all the way to Toulouse and into Spain.   It may be unfair to criticise Pirenne exceedingly, as Ward-Perkins had the best part of seventy years’ extra research available following Pirenne’s posthumously published ‘Thesis’. Considering the information Pirenne had in the 1920s he provides a detailed, accurate analysis of Mediterranean trade and Roman Civilisation. But, when we add the years of development, with w idespread archaeological analysis, predominantly a post-World War II development; in the Mediterranean and Central/Western European we see a new light. Thus, we are able to come to the conclusion that whilst areas of the former Western Empire fell into a state of economic devastation, other areas improved, rising to new heights under Barbarian occupation. In conclusion, whilst the Barbarians catalysed the ending of the most vast and complex institution in the ancient world, the notion they conclusively marked the end of civilisation in the west for a thousand years is a claim that does not stand true conclusively.   There is undoubtable evidence to suggest that after the occupation of the Empire by the barbarian peoples, the systems implemented by the Romans were still in place, and that both the administrative [40] and day to day status quo remained largely unchanged for over two hundred years. Archaeological and literary evidence suggests, after the Barbarian invasions i ndividual provinces and communities continued to carry out daily life in much the same way that they had done in the later days of the Empire the early seventh century. Following the Barbarians penetration of the empire it’s undeniable that certain tribes sought to ruthlessly destroy, as can see be in Pesaro and Fano in Italy which had their walls destroyed and internal structures burnt to the ground. [41] Milan too, where the Milanese women and children were enslaved and the men all killed [42] . But, there were clear examples of the preservation of Roman culture as we can see through case studies such as Marseille, and Barbarian kingdoms originally characterised by their Roman way of life. Leading to the assertion that the extent to which Roman civilisation survived depended on where you happened to live. Predominantly, Romanic culture appears to continue for decades after the first crossing of the Danube by the Barbarians, the period of Germanic rule ushered â€Å"a time of narrowing horizons, strengthening local roots, and consolidating old loyalties.† [43] Bibliography

Friday, October 18, 2019

Ethical Dilemmas 1-2 page paper Essay Example | Topics and Well Written Essays - 250 words

Ethical Dilemmas 1-2 page paper - Essay Example Ethics are virtues that should be employed by all members of a society so that humanity is maintained, and the well-being of all persons within that society is upheld. Ethical dilemmas are the main challenge that people face while trying to do the right thing according to the society. (Buppert, C. 2008). These ethical dilemmas force people to weigh both the rights and wrongs and come up with a satisfactory resolution to the particular situation or scenario that may be present. Ethical dilemmas in nursing research must be addressed promptly in order to ensure patient safety, as well as a satisfactory end result of each situation for both parties. One of the main ethical dilemmas faced in nursing research stems from a conflict of interest between the researcher and the patient. The researchers and the organization or organizations that fund the research are working to get the data that they need in order to complete their project, and with luck, be able to turn that research data into a lucrative product down the line. The patient, however, is interested in getting treatment first, and a resolution to the issue or illness that is afflicting them; both parties are concerned with getting results, but for different reasons, and one of those parties needs to know what does not work just as much as they need to know what does, while the other party is not necessarily interested in trying out procedures that may have a higher likelihood of failure and possible side effects. Another aspect of a conflict of interest that arises is profit. The patient themselves benefits only if they are cured of their illness, or if their issue is al leviated, while the corporation, entity, or researcher will benefit in the form of a monetary aspect from the research itself. A second common ethical dilemma present in nursing research arises from the pain to gain ratio. The patient who has agreed to be a part of the experiment, or medical research may experience pain or discomfort as a

Tesco Research Paper Example | Topics and Well Written Essays - 500 words

Tesco - Research Paper Example In 1997, Tesco set out a strategy to expand its core business. This later resulted in the establishment of online marketing initiative. It also set out to diversify its products and services, in existing and new markets. This strategy helped Tesco to penetrate the newer UK markets successfully, as well as Europe, Asia, and recently, the United States of America. One of Tesco’s business strategies today is to expand its UK market. This is its biggest business and there are more growth opportunities here. From back in 1997, Tesco has wanted to be the most successful international retailer. In 1997, the international business generated 1.8% of Tesco’s profits. This later increased to 25%. If their business plans succeed in the UK, it is probable that the same will even apply to other markets. It is however worrying how the shoppers in UK have lost trust in Tesco and instead prefer to shop from their competitors. If Tesco does not win back trust in their markets, then it ri sks, more major loses, as UK has been its largest market (Duff, 2006). Tesco needs new management, marketing, and business strategies, in order to revive its UK market. The fall of UK market has been growing gradually over the last five years, probably due to the founding of newer markets in the US and parts of China. In an Economist article, an anonymous author feels that, for Tesco to compensate the costs of running the new markets, it had to readjust their business operations in the UK. This involved reducing employee numbers, and lowering prices in order to attract more shoppers. The UK market was neglected as all efforts and attention were drawn on establishing the new overseas markets. Diversification is another problem that Tesco needs to address in order to regain root in UK. Apart from running food-and-drinks stores, it runs a law firm, a bank, among others. Therefore, Tesco

Transmission cabling and techniques Assignment Example | Topics and Well Written Essays - 250 words

Transmission cabling and techniques - Assignment Example The advent of televisions and transmission of not only calls but also video or visual signals called for the introduction of broadband transmission medium in the form of broadband copper coaxial cables in the 1930s. This was followed by the development of coaxial cables into tandem that contained microwave radio relay systems in the 1970s. These were broadband systems in which television and conversation signals travelled through radio with the help of a number of towers. Microwave relay had the advantage of lower construction and maintenance costs as compared to coaxial cables (Migliavacca 143). Fiber optic cables that used light to transmit signals came before more advanced techniques of LAN (local area networks) as forms of transmission media. It was after the introduction of fiber optic cables in the 1980s that more advanced techniques like OFDM, which is the acronym of orthogonal frequency-division multiplexing and MIMO which is multiple-input and multiple-output, were introduced as a modes of encoding digital data (Pejanovic-Djurisic, Enis, and Ramjee 94). The OFDM technology is a mode of encoding digital data on a number of carrier frequencies while MIMO is the application of several antennas on both ends of the transmission and receiving to enhance communication performance. Wireless technology is expected to advance further with predictions such as the use of light bulbs that have the capacity to transmit data through illumination. Additionally, wireless technology is expected to advance further to the implantation of devices with the capacity to receive wireless tr ansmissions on humans. This is expected to notify people of particular events

Thursday, October 17, 2019

Effective Learning Environment Essay Example | Topics and Well Written Essays - 1500 words

Effective Learning Environment - Essay Example In this area, there are cushions and stools where the children can read independently. Independent reading includes rules like â€Å"no talking,† and basically, just reading to oneself. The reading corner also features books of authors they are currently studying as a class. Through this reading corner and through the rules of â€Å"no talking,† a learning environment is established. This corner is therefore highly beneficial to all the children. Most importantly, the teacher has established a comfortable environment in placing the cushions and stools. However as this reading corner has its own routine, and as it focuses on an author or a theme, the English outcomes are still being accomplished based on the English Syllabus. Under these conditions, the class is working at Stage 2, Learning to Read- Reading and Viewing Texts (Board of Studies, 2007, pg 29). The way in which Mrs. Daniels has designed the corner for reading is bound to attract the children’s attention as the space is exclusively for the children. The corner will encourage them to read, and have moments to read to themselves. Hence, attracting children’s attention and getting them excited to read links to their literacy as declared by Radcliffe (2007) in her article about literacy in the classroom. She states that â€Å"acknowledging students’ attitudes and beliefs has become (the) first step toward the literacy divide† (Radcliffe, 2007). The teacher has accomplished this by encouraging the students to read the reading materials that Mrs. Daniel uses and the activities that are related to literacy. In addition, an overall effort in organising the ‘library’ and choosing books children are interested in reveals that reading for the students’ learning is very important. More importantly, as the class may have different abilities, Mrs. Daniels adjusts to pedagogical practice (Winch, Johnston, Holliday, Lijungdhal & March, 2010);

Business strategy Essay Example | Topics and Well Written Essays - 3500 words - 2

Business strategy - Essay Example The report also includes discussion on the basis and sustainability of Zara’s competitive advantage in the global market followed by recommendations of a few strategic options for future sustainability and success. For centuries, clothing has remained an important aspect of human society. Even from the Stone Age until today, humans continued to use different materials to arrange clothing for themselves. In addition, as the years passed by and the human race evolved, affection towards clothing turned into a separate textile and fashion field that has now become a multibillion dollar industry with hundreds of organisations catering millions of people every day. In midst of such a competition, a few organisations have been successful in acquiring their brand image and having a name in the textile and clothing industry. ‘Zara’ (Inditex, 2011) is one of such clothing brands that although founded only four decades ago; however, it has been able to dominate the clothing and fashion industry not only in its founding country Spain but also all over the world. Particularly, ‘Inditex’ is the main company that owns the Zara brand along with different other brands, such as Bershka, Pull & Bear, Oysho, (Inditex, 2013) and recently, Zara Home with approximately eighteen hundred outlets in more than eighty-five countries (Inditex, 2015) that indicate the extent of success that Zara and mainly, Inditex has achieved in the industry. As result, Zara has often come under analysis for the purpose of studying successful companies and to understand strategies that the company employed since 1975, which has enabled it to become one of the most successful companies in the world. This report is also an attempt to analyse external and internal aspects of Zara along with evaluating company’s response to various challenges that it has confronted during all these years. Particularly, the report will focus on strategic management (David, 2013) of the company, and will

Wednesday, October 16, 2019

Transmission cabling and techniques Assignment Example | Topics and Well Written Essays - 250 words

Transmission cabling and techniques - Assignment Example The advent of televisions and transmission of not only calls but also video or visual signals called for the introduction of broadband transmission medium in the form of broadband copper coaxial cables in the 1930s. This was followed by the development of coaxial cables into tandem that contained microwave radio relay systems in the 1970s. These were broadband systems in which television and conversation signals travelled through radio with the help of a number of towers. Microwave relay had the advantage of lower construction and maintenance costs as compared to coaxial cables (Migliavacca 143). Fiber optic cables that used light to transmit signals came before more advanced techniques of LAN (local area networks) as forms of transmission media. It was after the introduction of fiber optic cables in the 1980s that more advanced techniques like OFDM, which is the acronym of orthogonal frequency-division multiplexing and MIMO which is multiple-input and multiple-output, were introduced as a modes of encoding digital data (Pejanovic-Djurisic, Enis, and Ramjee 94). The OFDM technology is a mode of encoding digital data on a number of carrier frequencies while MIMO is the application of several antennas on both ends of the transmission and receiving to enhance communication performance. Wireless technology is expected to advance further with predictions such as the use of light bulbs that have the capacity to transmit data through illumination. Additionally, wireless technology is expected to advance further to the implantation of devices with the capacity to receive wireless tr ansmissions on humans. This is expected to notify people of particular events

Business strategy Essay Example | Topics and Well Written Essays - 3500 words - 2

Business strategy - Essay Example The report also includes discussion on the basis and sustainability of Zara’s competitive advantage in the global market followed by recommendations of a few strategic options for future sustainability and success. For centuries, clothing has remained an important aspect of human society. Even from the Stone Age until today, humans continued to use different materials to arrange clothing for themselves. In addition, as the years passed by and the human race evolved, affection towards clothing turned into a separate textile and fashion field that has now become a multibillion dollar industry with hundreds of organisations catering millions of people every day. In midst of such a competition, a few organisations have been successful in acquiring their brand image and having a name in the textile and clothing industry. ‘Zara’ (Inditex, 2011) is one of such clothing brands that although founded only four decades ago; however, it has been able to dominate the clothing and fashion industry not only in its founding country Spain but also all over the world. Particularly, ‘Inditex’ is the main company that owns the Zara brand along with different other brands, such as Bershka, Pull & Bear, Oysho, (Inditex, 2013) and recently, Zara Home with approximately eighteen hundred outlets in more than eighty-five countries (Inditex, 2015) that indicate the extent of success that Zara and mainly, Inditex has achieved in the industry. As result, Zara has often come under analysis for the purpose of studying successful companies and to understand strategies that the company employed since 1975, which has enabled it to become one of the most successful companies in the world. This report is also an attempt to analyse external and internal aspects of Zara along with evaluating company’s response to various challenges that it has confronted during all these years. Particularly, the report will focus on strategic management (David, 2013) of the company, and will

Tuesday, October 15, 2019

The Outlook for the US Printing Businesses in 2007 Essay Example for Free

The Outlook for the US Printing Businesses in 2007 Essay The printing industry encompasses a wide range of products for commercial and retail use. Printing is involved in the production of magazines, newspapers and books, as well as brochures, maps, postcards, business forms, stamps, manuals, packaging and so on and so forth. It also includes various related pre- as well as post-press occupations such as lay-outing, graphic designing, binding and finishing. There are different methods of printing using plates or an image carrier. Among the most common of these are: lithography invented in 1798, the modern process makes use of a photosensitive emulsion placed onto smooth surfaces, either using a platesetter for computer-to-plate (CTP) technology or on flexible aluminum or plastic printing plates; it’s most commonly used for credit cards, packaging, CDs, books and newspapers. flexography – most commonly used for packaging, it makes use of a 3-dimensional negative impression of the image to be printed produced on polymer or rubber and rotated on the surface to be printed. It was originally used for printing on corrugated boards. The flexibility of the material enables the print to be impressed on uneven surfaces. gravure – used mainly for food packaging, wallpaper, furniture laminates, paneling and magazines, gravure printing uses depressed, as opposed to raised, surfaces, where the image areas are etched into copper cylinders. It produces high quality print but the costs involved in the necessary equipment are prohibitive compared to other methods used in high volume runs. screen printing – can be used to print on almost any material, using a screen prepared with a stencil, a squeegee and ink. It is highly versatile and simple to use. The best known application for this method of printing is for T-shirt printing, letterpress printing – the method involves the use of movable type where the ink is smeared on raised surfaces and then placed on a suitable material such as paper or cloth for transferring impressions. The invention of reusable, individual letters for use in this type of printing in the 1400s is credited to Johann Gutenberg; offset printing – modern techniques make use of film negatives where the image is transferred onto photoelectric plates, similar to the printing of photographs. It is the most commonly used method for high-volume printing. Non-impact or plateless printing includes electrostatic, electronic, toner-based and inkjet printing. With the advent of computers, there has been a further diversification of the industry; namely, traditional or manual printing and quick or digital printing. (Bureau of Labor Statistics, 2005) Together   with the computer, the ready availability of the Internet has inspired fears that the printed word was in danger of being phased out as the most widely spread form of communication and information.   The impact on the growth and profitability of the printing industry was of significant concern, as the rising financial and environmental costs of paper printing made the move into a paperless society seem inevitable. In the US, especially after the recession of 1990-91, the most pessimistic forecasts had been made regarding the future of the printing industry in an increasingly digital world. A 2004 study of the findings and forecast of the US Department of Labor on the employment and compensation of workers leads to the conclusion that fewer workers working fewer hours will be required overall in the printing industry against a projected increase in all other industries, due mainly to the increased use of automation and digital prepress technology. However, there is a concurrent requirement for workers with knowledge in digital prepress and post-printing technologies. There also seems to be a perceived increase in companies specializing in commercial flexographic and digital printing. More companies will be employing fewer than 10 non-supervisory workers at higher or equal hourly compensation as compared to other industries. There also seems to be a trend towards increased employment of workers with knowledge or education in operation of computer-related equipment. (Bureau of Labor Statistics, 2005) There are varied opinions among businesspeople in the industry. Some maintain that the level of capital investment needed for quality, high-volume printing precludes all but a few to make a reasonable profit. (Paul, 1998) Others maintain that while a small profit margin may be discouraging, the printing industry is alive and booming, in part because of growing expenditure in advertising and promotions, as well as the proliferation of direct selling companies. (Dolbeck, 2005) Most agree that the advent of digital technology has helped lower costs and increase efficiency, thus improving profit margin. Some studies have shown that an increasing number of people are tuning into the Internet rather than newspapers or magazines. However, it is projected that it will be at least 10 years before those who get their news from the internet will outnumber those who read the newspaper. That is, if those who had earlier converted revert back to printed media. It is maintained that despite the many innovations in digital technology, it is not as portable as printed material, and the cost of attaining some portability is still beyond many consumers. Moreover, many companies maintain that the retention and pass-on potential of the printed brochure or pamphlet has a greater marketing impact than a website. For educational and scholarly products, the process of transferring the information from print to screen is a long and laborious process, and while audio books and CD-ROMs are enjoying growing popularity in many libraries, it is still a long way from replacing the books as a means of providing in-depth information and education. (Heger, 1994) According to C. Barnes and Co.’s report â€Å"2005 Market in Print,† a survey of printing companies revealed that the majority of companies surveyed with non-printing operations (NPO) were small companies. These NPOs included graphic design, fulfillment and mailing. The chief complaints from printing business owners include stiff competition, the cost of technology that have shorter depreciation, shortage of skilled workers and price increase of consumables. The transition from manual to partly digital technology has caught some companies flat-footed, jumping on the bandwagon too late or without enough knowledge and research to buy the right equipment at the right time. The segment of the industry that is particularly enjoying popularity is digital or quick printing.   Small print shops that specialize in desktop value-added services abound because of the ease of acquiring the necessary equipment and consumables and the relatively low capital requirements.   These services include calling cards, invitations, letterheads for small businesses, leaflets, flyers and marketing materials such as promotional mugs and magnets. Digital cameras and mobile phones with high resolution cameras have also resulted in a rising demand for digital photo printing. Also an interesting development in the industry is large format printing, in which digital images are transferred directly from a digital image to tarpaulin or paper, much like a large inkjet printer.   This is especially handy for low-volume printing requirements such as a banner a garage sale or posters for a school recital. Digital print shops have a unique relationship with its customers. All preprinting requirements may be provided by the client directly, usually already in a digital file.   The print shop ascertains that form and layout of the file is up to standards for proper printing and provides the medium for the actual process.   Or the client may come in bare-handed and state the requirements. The print shop then provides the services required: scan, lay-out, proof, color correct, edit then print. Many a party or small social event, small business and school have taken advantage of this while-you-wait service in fulfilling their collateral needs at comparatively low cost considering the volume involved. Paper companies make the process even easier by producing products especially designed for toner-based or inkjet printers ranging from pre-formatted labels in different configurations to scented board paper for calling cards, all available in retail at neighborhood bookstores at reasonable prices. The trend for digital printing is towards faster, cheaper and higher quality of printed product. However, high volume requirements cannot be fulfilled by even the best equipped digital print shop simply because the cost escalates per piece produced, unlike traditional printing methods, where fixed costs such as plates and film enable the producer to run prints at lower cost when volume goes up. These same fixed costs, however, cannot provide the service at competitive prices if the volume is low. The relationship of the plated and digital print businesses is largely symbiotic.   Plated printers are the main source of income of paper companies that also produce the specialty paper needed by digital printers, but only as sub-business. These paper companies deal in volume as well, and will not survive on the sales from digital shops alone. Digital printers at the neighborhood level provides potential clients an accessible point in which they can bring their initial printing requirements to be then referred to a plated printer after graphic design, scanning and/or lay outing for volume printing. There is very little actual overlap for the two sub-industries, providing services for different needs of the same customer. A new player in the field that promotes the marriage of digital and traditional printing processes is print-on-demand (POD) publishers. More of a publishing rather than printing method, it nonetheless uses digital imagery and letterpress printing to produce books and posters in small runs. (Wikipedia) Would-be authors are able to have their work published, albeit they pay for it themselves. The method is also often used for limited circulation publications, as a stopgap for materials with high demand that are in the process of being re-run and for books in print with only a trickle of demand which makes a full re-run impractical. What is the forecast for the printing industry in the US?   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Overall, the prospects of the printing industry for 2007 are good. Perhaps it is not as rosy as some projections from 1999, when printers enjoyed a boom, but neither is it as black as it is being painted by some trend watchers. The average projections for the industry overall is 5. The need of those in the printing industry to reinvent itself in order to overcome aggressive competition, smaller markets, and increasing cost of materials, especially paper. The changes in the market are considered by 20% of a representative slice of print and prepress firms as a call to arms in the war of doing business in a changing world. (Youngblood Communications, 2005)   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In the second quarter of 2006, Xerox Corporation spearheaded a free seminar series entitled â€Å"Innovate ’06.† It is a worldwide series with concurrent offerings within the United States that focused primarily on educating those in the printing business, or who are thinking of getting into it, on their options regarding industry trends, technological advances and how to boost profit and efficiency in the workflow of an increasingly digital industry. (Presswire, 2006)   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   While there is some pessimism among some of those in the industry regarding the viability of the printing business of turning over a reasonable profit, the prognosis of manufacturers of the equipment and consumables is positive. In a survey of U.S. companies reports show and increase of expenditure from 2004 of 23% on new plants and equipment. The spending spree is attributed to appreciable profit-earning in 2004, enabling companies to make improvements and begin projects that have been put off during the leaner years. (Min, etal, 2005)   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   TrendWatch Graphic Arts, in its report entitled â€Å"Printing Forecast 2005: The TrendWatch Graphic Arts Perspectives on the Challenges and Opportunities for Printing in the Next 12 Months and Beyond†, also reported that a survey of American and some Canadian commercial printers are hopeful about their companies’ futures. There was an increased sale of printing presses in 2004 and a projected 6% increase of sales of 6-color sheetfed offset presses over the following months. (Youngblood Communications, 2005)   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Advertising expenditures has also increased, according to TNS Media Intelligence, a strategic advertising and marketing information provider. In the 1st Quarter of 2006, total advertising expenditure rose by 5.2 percent against the same period of the previous year. However, impact of this expenditure did not quite favor newspapers and business to business (B2B) magazines. Of those in the publishing industry, only consumer magazines posted an increase in income. (TNS Media Intelligence, 2006)   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Such reports tend to focus on the large companies spending the big bucks in advertising. Growth in the industry is not as high as projected, mostly because of a not altogether unexpected shift to online media, with a worldwide growth of 40% expected, according to Carat. (Khan, 2006) But earnings from advertising and marketing expenditures by top companies are not the only opportunities for those in the printing industry today. There has been a healthy growth in the quick print industry that to print for the ordinary citizen with a family picture Christmas card to send to the folks back home. (Youngblood Communications, 2005)   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The grudging admission by most existing, large printing companies is that business is good, if not great. This could be because they are reluctant to encourage other players to get into the business and cut into an ever decreasing wedge of the market. Environmental issues are also a big consideration in the woes of these big companies, requiring expenditures on cleaner, more efficient machines.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   For those about to plunge into the pool, start small seems to be the way to go. The neighborhood print shop, the POD publisher, the offshoot value-added service provider does not require much capital expenditure. There is always someone wanting to print something, the important thing is to research the intended site of enterprise and provide whatever is needed.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The shift to digital has been widely accepted as a good thing, even by those who had watched its advent into the market askance. The growing dependence on the microchip driven hardware is felt across all industries, and most especially in the printing and publishing industry, spawning a greater demand for the technology. And software and hardware companies are quick to take full advantage of this trend. Almost every six months, the newest, fastest, cheapest, most efficient, most environment friendly, most accurate, most user-friendly and other â€Å"new, improved† models and programs are being touted.   For those wishing to get into the business in a big way, big ticket items are the ones that need to be most researched. True, the Internet and online media are the new toys, and everybody wants to have a go at it. Gone are the days that for research, you go to the trusty 20-volume Merit Student’s Encyclopedia, and for the latest Hollywood gossip you go over to your neighbor’s house and borrow the supermarket tabloid. The Internet is easier to use when searching for a school project, music to download, movies to preview or things to buy However, very few people enjoy reading a suspense thriller or a romance novel from a glowing screen hunched over a computer, and it is highly unlikely that some type of digital media would become affordable enough to be left in mailboxes in lieu of flyers, leaflets, pamphlets and brochures. Sharing photos and sending virtual greeting cards are also a good thing, but there is no replacement for actual photographs you can frame or actual greeting cards you can frame. In essence, one media does not necessarily compete with the other. They each have their advantages and disadvantages, and given most circumstances, print and digital complement each other. Some publications have even found that a good Web-based counterpart was a good way to get circulation going as well as a source of income via advertisements. Furthermore, since Web content can be updated instantaneously, the publication can keep its readers up-to-date with the latest news and trends in between issues. For those in the printing industry, the computer has been much like the electric bulb. It is faster, easier to use and produce better results. The ones who could not keep up with the technology have turned in their shingles and closed up shop. The smart ones got with the program and grew even better. The well-researched, carefully-planned production structure with prerequisite training and upgrades in equipment and workflow has generated significant earnings for the enlightened business owner.   Rather than ranting at the changes and trying to outlast the new technology, many companies began spending on upgrades or outright replacements of obsolete equipment that was keeping the productivity of the company at pre-digital levels. This willingness of printing companies to invest in new technologies sends a crystal clear signal that the industry is healthy and responsive to changes.   The outlook for 2007 for US printing industry is looking well. References Bureau of Labor Statistics, U.S. Department of Labor, 2005 Printing Career Guide to Industries, 2006-07 Edition retrieved December 15, 2006 from at http://www.bls.gov/oco/cg/cgs050.htm Paul, P. 1998 Everything thats fit to print: printers struggle with changing technology and stiff competition New Mexicos printing industry Industry Overview New Mexico Business Journal retrieved Dec 15, 2006 from http://www.findarticles.com/p/articles/mi_m5092/is_7_22/ai_54370066 Heger, K. Oct, 1994,  Print: a road kill on the information superhighway? impact of information superhighway on printing industry Communication World,    retrieved December 15, 2006 from http://www.findarticles.com/p/articles/mi_m4422/is_n9_v11/ai_16358776 Dolbeck, A. 2005, Valuation of the Paper and Publishing IndustryWeekly Corporate Growth Report NVST retrieved December 15, 2006 from http://www.findarticles.com/p/articles/mi_qa3755/is_200502/ai_n12412452 Min, et al, June 2005, U.S. industry unlocks budget box Pulp Paper retrieved December 15, 2006   http://www.findarticles.com/p/articles/mi_qa3636/is_200506/ai_n14687790 Youngblood Communications Co., Ltd., Jan 2005 Printing Forecast 2005 Print Action retrieved December 15, 2006 from http://www.findarticles.com/p/articles/mi_qa4088/is_200501/ai_n9485742 Patrick, M. Nov 2000, The Web Effect on magazine publishing industry Folio: The Magazine for Magazine Management,   retrieved December 15, 2006 from http://www.findarticles.com/p/articles/mi_m3065/is_14_29/ai_67718962 Wikipedia, Flexography retrieved December 15, 2006 from http://en.wikipedia.org/wiki/Flexography Khan, M. December 12, 2006 Online drives Carat’s revised ad spend forecast DM News retrieved December 15th, 2006 from http://www.dmnews.com/cms/dm-news/research-studies/39350.html TNS Media Intelligence 2006 TNS Media Intelligence Reports U.S. Advertising Expenditures Advanced 5.2 Percent in First Quarter 2006 retrieved December 15, 2006 from http://www.tns-mi.com/news/05312006.htm M2 PressWIRE, 2006 Print Industry Experts to Help Companies Worldwide Profit and Grow retrieved December 15, 2006 from http://www.imaginginfo.com/article/article.jsp?id=1575siteSection=33

Monday, October 14, 2019

The Past And Present Of Immigration

The Past And Present Of Immigration Everyday news outlets report on topics and trends that correlate to our history. Following these news outlets gives a better understanding of these trends in todays America. This paper will look at these trends from our past and compare is to the present condition. It will analyze differing viewpoints on the topic, and it will explain the change over time. The world hears of America as the land of opportunity. Because of this, millions of people flock to the US each year. Some come through our borders legally, eventually becoming neutralized citizens. Some come here as tourists or students and decide to stay when their visas expire. Others are so desperate to better their lives they paddle onto our shores in bathtubs and homemade rafts. People want to get here in any way they can. This paper will specifically analyze two major migrations of people: the Irish from the 19th century and the current Mexican migration. In 1845 Ireland experienced the greatest potato famine up to that date. The source of food wiped away from the population, this event catalyzed a mass migration. Five weary years of undependable crops plighted the country, throwing the lowly peasant class into starvation. All hope gone, survivors only wished to flee. The only way out was emigration. Starving families could not pay landlords and had nowhere else to turn except for America. America, the land of opportunity. Irish immigration into America was already a rising trend. However, in the 1940s the number of immigrants skyrocketed. Nearly 2 million Irish came into the country in that decade. The flow increased for five years. Slowly, the first immigrants saved the money to bring family over the Atlantic, increasing the number of immigrants exponentially. There began a slight decline for ten years after 1855 until 1865. Nonetheless, small groups of families still continued to arrive after the Civil War. Between 1820 and 1880 nearly 3.5 Irish men immigrated to the United States. Emigrating to the United States was not an easy feet, and it was not the easy life some had expected. However, it did offer a better environment than the barren old country. Poor refugees arrived with nothing. They had little to no resources to start a farm or business and had a grueling time providing for the family at all. Very few immigrants were put into a position that allowed them to make their own decisions on their way of living at all. Fortunately for them, the expansion of the American economy created heavy demands for muscle grunt. The great canals, which were the first links in the national transportation system were still being dug in the 1820s and 1830s, and in the time between 1830 and 1880, thousands of miles of rail were being laid. With no bulldozers existing at the time, the pick and the shovel were the only earth-moving equipment at the time. And the Irish laborers were the mainstay of the construction gangs that did this grueling work. In towns along the sites of work, groups of Irish formed their small communities to live in. By the middle of the nineteenth century, American cities began to rapidly expand and began to develop an infrastructure and needed personnel to run these cities. This is the Irishs first break in America. Irish men filled the ranks of citys police force and firemen. The Irish all almost monopolized these jobs as soon as they were created. Irish workmen not only began laying the horse car and streetcar tracks, but were some of the first drivers and conductors. The first generations worked largely at unskilled and semiskilled occupations, but their children found themselves working at increasingly skilled trades. By the turn of the century, Irish made up nearly a third of plumbers, steamfitters, and boilermakers. Irishmen soon found themselves being given positions as managers as unskilled laborers began coming from other areas of Europe. While immigrants can change the shape of a culture, as seen with the Irish migration, those same immigrants are benificial to industrial growth. That same idea also holds true for Mexican immigrants. Now this research paper will take a look into the Mexican migration that this country is witnessing now. It will begin with a historical background. Fifty-five thousand Mexican workers immigrated to the United States between the years 1850 and 1880 to become field hands in newly won regions of the US that had been Mexico a few years previous. This is the time period in which commercial agriculture, the mining industry, light industry and the railroad all became dependant on the Mexican laborer. Needless to say, working conditions and salaries of the Mexicans were poor. After the Mexican Revolution of 1910, the new Mexican government was not able to improve the lives of its citizens. Soon after this event became a crisis, the fields of Mexico harvested increasingly smaller bounties and employment soon became hard to come by. Much like his Irish counterpart, Mexicans had to move to survive. World War I also stoked the fire of Mexican immigration. Mexican workers worked well in industry and service professions, working as machinists, mechanics, painters and plumbers. These years fostered employment opportunities for Mexicans because much of the existing U.S. labor force was across the Atlantic fighting in France for the Allies. Entrepreneurs came to Mexico searching for workers who could fill jobs in the railway and agriculture industries of the United States. Mexican workers complaints about the abuse of their labor rights eventually led the Mexican government to action. Led by Venustiano Carranza in 1920, the Mexican government composed a model contract that guaranteed Mexican workers certain rights named in the Mexican Political Constitution. The contract demanded that U.S. ranchers allow workers to bring their families along during the period of the contract. No worker was allowed to leave for the United States without a contract, signed by an immigration official, which stated the rate of pay, work schedule, place of employment and other similar conditions. Thus, this became the first de facto Bracero Program between the two countries. In 1924, the U.S. Border Patrol was created, an event which would have a significant impact on the lives of Mexican workers. Though the public did not immediately view Mexicans as illegal aliens, the law now stated that undocumented workers were fugitives. With the advent of the Border Patrol, the definition illegal alien is born, and many Mexican citizens north of the border were subject to much suspicion. The Mexican work force was critical in developing the economy and prosperity of the United States. The Mexican workers in numerous accounts were regarded as strong and efficient. As well, they were willing to work for low wages, in working conditions that were questionably humane. Another measure of control was imposed on the Mexican immigrant workers during the depression: visas were denied to all Mexicans who failed to prove they had secure employment in the United States. The Mexicans who were deported under this act were warned that if they came back to the United States, they would be considered outlaws. It seemed whenever the United States found a reason to close the door on Mexican immigration, a historic event would force them to reopen that door. Such was the case when the United States entered World War II. In 1942, the United States was heading to war with the fascist powers of Europe. Labor was siphoned from all areas of United States industry and poured into those which supported the war efforts. Also in that year, the United States signed the Bracero Treaty which reopened the floodgates for legal immigration of Mexican laborers. Between the period of 1942 and 1964, millions of Mexicans were imported into the U.S. as braceros under the Bracero Program to work temporarily on contract to United States growers and ranchers. Under the Bracero Program, more than 4 million Mexican farm workers came to work the fields of the United States. Impoverished Mexicans fled their rural communities and traveled north to work as braceros. It was mainly by the Mexican hand that America became the most lush agricultural center in the world. The braceros were principally experienced farm workers who hailed from regions such as Coahuila, la Comarca Lagunera, and other crucial agricultural regions in Mexico. They left their own lands and families chasing a rumor of economic boom in the United States. The Bracero Program contracts were controlled by independent farmer associations and the Farm Bureau, and were written in English, and many braceros would sign them without understanding the rights they were giving away nor the terms of the employment. The braceros were allowed to return to their native lands only in case of emergency, and required written permission from their employer. When the contracts expired, the braceros were mandated to hand over their permits and return to Mexico. The braceros in the United States were busy thinning sugar beets, picking cucumbers and tomatoes and weeding and picking cotton. At the end of World War II, Mexican workers were ousted from their jobs by workers coming out of wartime industries and by returning servicemen. By 1947, the Emergency Farm Labor Service was working on decreasing the amount of Mexican labor imported. By the 1960s, an overflow of illegal agricultural workers along with the invention of the mechanical cotton harvester, diminished the practicality and appeal of the bracero program. These events, added to the gross humanitarian violations of bracero employers, brought the program to an end in 1964. Once we step back from our emotional opinions, we should see that the Mexican migration is much like the Irish migration. We can choose to embrace that, or we can choose to fight it. Either way it will be very hard to stop if it can be stopped at all. But we must ask ourselves a simple question. Why stop it? America was founded on people like these, struggling to survive. They came and made America what it is. The Irish came and transformed America. Why shouldnt we allow these immigrants to do the same (if they enter legally of course)? Is our pride getting in the way of progress?