Thursday, December 26, 2019

Managing Change at Faslane Case Study Essay

Managing Change at Faslane Case Study Essay Introduction In 2002, the HM Naval Base Clyde (Faslane) submarine base transitioned from being under the direct control of the MOD (Ministry of Defence) to a private company called Babcock International. With these substantial transitions, it was necessary for Babcock to perform change management in order to smooth over the transition, as well as improve performance, which was lackluster enough to demand the change in leadership. Both supervisors employed different change styles and levers of change in their revamping of the operations of Faslane, to rousing success. 1 In relation to sections 14.2.1 and 14.5, what is the type of change being pursued at Faslane? As Faslane, the change was to transfer much of the responsibility and accountability in fact supervision of the naval base from the Ministry of Defence (MOD) to Babcock Marine, a part of Babcock International. This was an instance of a military branch permitting a private sector company to oversee the operations of a naval base. The change was effectively from a functional structure (where individuals had a specialized set of tasks) to a bureaucratic structure (moving towards a more corporate entity, with supervisors and standardization). 2 Describe the change styles of John Howie and Craig Lockhart. The use of a consultative, coercive change style was typical of the way John Howie ran Faslane. John Howies management change style involve the use of consultation from people within their company who had experienced changes just like what was happening at Faslane. Howie focused greatly on changing management structure to use money more effectively, tracking any and every change through strict documentation. This allowed for a two-week review period of each change to see if it was effective overall. The goal was to change the people and their behaviors on a daily basis, in order to determine exactly how to provide the biggest changes. Management changes were implemented early, which was later followed by changes in personnel. As opposed to Howie, his successor seemed much more collaborative in his change management style. In the case of Craig Lockhart, he implemented a performance scorecard in order to measure outputs this left the specifics of job performance and business change management effectiveness open to everyone in the company. This provided additional accountability, thus creating incentive for these changes to be implemented more readily. Event in the tent sessions were held, with discussions being held throughout the day in order to get the opinions from the workforce as to how the changes to Faslane were going over. Honesty was another tactic; by allowing further transparency and admitting when things were going badly, the workers trusted the executives more. Allowing customers to create teams and departmental business plans created further integration within the workforce, and increased customer satisfaction. 3 What levers of change are being used [see section 14.4J? What others could be used and why? Several levers of change were implemented in the corporate takeover of Faslane by Babcock Marine. Accountability and relationships were the primary means of change that the heads of this company used. First, a communication plan was put in place by both Howie and Lockhart; these involve the use of structured methods of communicating between supervisors and employees. The event in the tent sessions, as well as the consultation that Howie had with other Babcock employees to get their feedback on the changes, are evidence of a communication plan, as are the performance scorecards. Coaching was also used to facilitate the relationship lever of change; this involves the cooperation and participation of the direct supervisors in the work lives and communication of employees. Lockharts event in the tent sessions most definitely qualify under this type of intervention, as employees felt free to come up to him with questions or suggestions, which he would take seriously. One lever of change that could have helped immensely is using resistance management. While there were many changes taking place throughout the base, one particular aspect of the change that seemed to not be addressed was to curb peoples fears about potential negative change. This can often result in resistance to the change, thus hampering productivity and progress. While this problem seemed to be minimal, there was talk by Howie of a lack of incentive to come up with a change that might mean someone loses their own job. With effective resistance management, these potential issues could have been curbed more readily. 4 Assess the effectiveness of the change programme. The change programme started by Howie and continued by Lockhart seems to have been incredibly effective; the integration of customer and businessman in the creation of business plans seems to have taken off, as 2010 saw Faslane becoming the home base for the entire submarine fleet of the United Kingdom. With that unique change, thousands of jobs are expected to be created. Given the potential for job expansion and job creation, it is safe to say that the methods used to work together and bring about effective change within Faslane worked brilliantly.

Wednesday, December 18, 2019

Should the Government do Something to Prevent Hacking

Should the government do something to stop hacking? Computer can sometimes be helpful and entertaining, however there are times when unauthorized groups hack into peoples computers. The government should do something to stop hacking problems because the hackers can steal peoples personal information like ,bank/credit card information, and even their identity easily.Another reason is that it can cost you a lot of money because they will steal your pin number and access bank account directly or if they have enough of your personal information they can create credit card fraud. â€Å"Different people had already given testimony to the U.S congress on computer security, and the forums are expected to provide documents that will set rules in the united states and around the world.† Nancy Weil says.(http://www.isubscribe.com) (1998) Hackers can steal peoples personal information easily. â€Å"Aarons Inc. is a national Atlantic based rent-to-own retailer that agreed to settle on a federal trade commission (FTC) that claims the company knowingly played a direct and vital role in its installation and the use of software on rental computers that secretly monitored consumers including by taking webcam photos of them in their homes.†(http://www.aspedpub.com) (2014).Then â€Å"some of the complaint alleged that Aaron’s knew about the privacy- to use the software to track consumers locations,capture images on webcams, and they found out the consumers password for social and financialShow MoreRelatedDo You Use A Computer At Home?1293 Words   |  6 PagesDo you use a computer at home? 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The public has the right to know about what’s in this report and hopefully learn something from the evidence that supports this issue. The Mandiant Report is a collective pieces of evidences about China’s cyber espionage unit known as the APT1. It was created by Kevin Mandia, who is former Air Force officer and the founder of theRead MoreDigital Fraud Common Forms and Preventative Measures Essays1627 Words   |  7 Pagesinformation they have for financial or material gain. In today’s society, digital crime is a very real threat and has incredible consequences for government, businesses and the general public at large. Hacking, skimming, and phishing have become terms that are all too familiar to anyone with a computer, debit or credit card, and even an email account. But, what do these terms all have in common? And, who is on the other side of your computer screen, ATM line, or sending those annoying spam messages? 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While the government is telling us it’s just an exercise so that the everyday citizen can get used to the presence of military in their neighborhoods and in their towns, is that really what’s going on? Or is this just another ploy to have the government take over the American citizens andRead MoreExamples Of Heroism In 1984, By George Orwell1033 Words   |  5 Pages(Orwell 152). And to this, Winston says yes. Also, Winston gives up Julia when he is faced with his worst fear, which is rats. This shows how he is selfish and unwilling to overcome his fear for someone he loves: â€Å"Do it to Julia! Do it to Julia! Not me! Julia! I don’t care what you do to her. Tear her face off, strip her to the bones. Not me! Julia! Not me!† (Orwell 256). This quotes shows how Winston doesn’t care about anyone. Giving someone up is not a noble quality, which shows Winston is notRead MoreThe War On Cyber Wars1298 Words   |  6 PagesWant to launch an attack on someone who opposes your beliefs, demands, and anything else that can possibly be a point of conflict? All you h ave to do is â€Å"Google it†. It is possible that all you have to do to learn how to shut down your enemy’s ability to use the internet is an internet search engine search away and a little practice. An individual can learn how to write a virus or launch a full-blown distributed denial of service attack against the desired target with some light reading and littleRead MoreFourth Amendment Basics And Law Enforcement Hacking Essay1496 Words   |  6 PagesPlaypen: Law Enforcement in Digital Age â€Å"The Playpen Story: Some Fourth Amendment Basics and Law Enforcement Hacking† is an analytical blog post published on the Depplinks Blog section of the Electronic Frontier Foundations (EFF) website by Mark Rumold. 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Tuesday, December 10, 2019

Bmw Research Paper free essay sample

BMW is enhancing the travel experience for drivers and passengers while also launching a series of new platforms The BMW Group – one of Germany’s largest industrial companies – is also one of the most successful car and motorcycle manufacturers in the world and 2011 was its best year to date. With almost 1. 7 million vehicles sold, the BMW Group is the world’s leading premium manufacturer in terms of sales volume. Its three automobile brands, BMW, MINI and Rolls-Royce, and the BMW and Husqvarna motorcycles brands led to record sales of â‚ ¬68. 8bn. During 2011, the company introduced five new BMW models across the 1,3,5 and 6 series as well as the Mini Coupe and the Rolls-Royce 102EX, the first electric vehicle in the ultra-luxury segment. In addition, the company also launched a new sub brand – BMW i – that includes the i3 all-electric and i8 plug-in hybrid concept cars due for launch in 2013. However, as well as selling more products than ever and expanding production capacity, especially for the all-important China market, the company also kicked off a number of strategic partnerships for the future. We will write a custom essay sample on Bmw Research Paper or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page These included the start of the BMW Peugeot Citroen Electrification joint venture, the acquisition of a strategic investment in SGL Carbon SE and the cooperation with Toyota Motor Corporation in basic research for battery cell technology. Although a significant manufacturer, BMW is not part of a larger company like its main competitor Audi. As BMW invests heavily in innovation to continue to produce the ultimate driving experience, keeping its power options open is key, so as the shift towards electric continues to gather speed these development partnerships are vital elements in the company’s growth strategy.

Monday, December 2, 2019

The Effects of Visual Distraction on Reaction Time Research Paper Example

The Effects of Visual Distraction on Reaction Time Paper Overall, distraction can affect human reaction time and this coincides with previous findings (Lee et al 2001). Introduction Human reaction time can be affected by many factors, one such example is distraction. Literature suggests that distraction can affect a persons ability to react to a particular stimulus, In the sense that it increases the reaction time (Lee et al 2001). The Impact of distraction on reaction time carries huge significant to the current society In terms of the dally activities which are performed by majority of the people, such as driving. The use of technology whilst driving has been re-assessed and more recently the use of sat Nava has been a debatable topic (Dave Evans, 2012). More pacifically, evidence suggests that when one looks directly at an object, their peripheral vision becomes slightly impaired and this affects a persons reaction time (Brenner and Welfare, 1980). Also the use of hands-free phones whilst driving results has a negative effect on attention and does not improve reaction time performance (Horror and Wickers, 2006), (Hendricks and Sweetie, 2007). Distraction is a common cause of accidents (NATHAN, 2009). The need to reduce potential threats to others as a result of reduced reaction time points to the need of further research into the effects of distraction. Visual distraction can affect drivers reaction time and with Increasing number of Len- car technologies available, reaction time Is likely to be affected. Previous experiment investigated the effects of in-car technology perceived as visual distraction using a calculator Dates experiment on ventricle Drawing Elegance Ana control (Karee et al, 2012). We will write a custom essay sample on The Effects of Visual Distraction on Reaction Time specifically for you for only $16.38 $13.9/page Order now We will write a custom essay sample on The Effects of Visual Distraction on Reaction Time specifically for you FOR ONLY $16.38 $13.9/page Hire Writer We will write a custom essay sample on The Effects of Visual Distraction on Reaction Time specifically for you FOR ONLY $16.38 $13.9/page Hire Writer They found that visual distraction associated within the car such as devices resulted in higher work load and as a result affected drivers control of the car. The visual pathway may be responsible for affecting human reaction time (Ghent, McCormick, 2010). Research showed that visual stimuli presented to different regions of the eye produced different reaction times (Brenner and Welfare, 1980). In addition to this, it has been found that drivers with experience of being exposed to several visual stimuli have shown to have a faster reaction time than inexperienced drivers (Constantinople et al, 2010). This suggests that the human brain no longer finds a certain stimuli as a distracted and is able to process it effectively (And et al, 2002). Therefore, studying the common response to visual distraction, looking for a potential mineral pattern and its consistency in human reaction time is needed. This study will focus on the effects of distraction brought by visual stimuli on human reaction time. The distraction task will involve a sensory visual background for the participant to view whilst also keeping an eye out for the red dot flashing on the centre of the screen. Upon noticing a red dot, the individual will have to respond by pressing the space bar. According to previous findings, visual stimuli should increase reaction times of an individual. Method Design A within-participant two-tailed experimental design was used to explore the effects of castration on reaction time. Participants were randomized to one of two conditions of the independent variable (V); either to perform the distraction task first or the non-distraction task. Randomization of the participants was decided by using the random number table to allocate participants into group 1 or group 2. The dependent variable (DVD) was the speed taken (seconds) to complete the reaction task. Participants The participants were a convenience sample of 55 young adults (less than rays age) which comprised of both males and females studying at Nottingham Trend University, England. Among them, 31 were female and 24 were male. Their age ranged between 16 and 62 years old and the age mean was 29,98 years old. None of the participants had previous knowledge of similar visual tasks. No specific incentive was used. Material The study was examining reaction times using a computer based stimulus. The tool used to measure reaction time among young adults was an online test developed by Ennobler Learner Foundation (http://www. Learner. Org/courses/neuroscience/ interactive/reaction. HTML). An information sheet was presented to the participants explaining the experiment. Procedure Participants were asked to read the information sheet and provide written informed consent. All the pages of the online test were opened and ready to use. Participants were given one trial test before commencing onto the recorded test. Participants were required to press the space bar on the computer/laptop using their dominant hand every time a red dot flashed on the screen. In the distraction task, visual stimuli were presented in the background and participants were required to press the space bar when seeing a red dot flash. Three tests were carried out for the control and experimental task. Results were recorded onto a data sheet. On completion of the experiment the participants were then thanked and debriefed. Results For the non-distraction condition (Rotor), the mean was 0. 05 and the median was 0. 298 whether for the distraction condition (RD) the mean it was 0. 331 seconds and the median 0. 330 In the non-distraction condition, scores ranged from 0. 225 to 0. 544 whereas on the distraction condition the minimum was 0. 233 and the maximum score was 0. 497. A significant difference was found between the reaction test study with distraction and without distraction t(54)= 5. 0; p 0. 001). Discussion The resul ts indicated that there is a significant difference between the reaction time with visual distraction and non-distraction. The average reaction time with visual distraction is 0. 026 seconds longer than in the non-distraction task. In addition, the difference between the two variables was considered replicable to most of the population. It is coherent with the previous studies that suggest that sensory distraction increased reaction time. In the experiment, the main visual stimulus was presented in the direct vision of the artificial (red dot in the centre of the computer screen) and other visual distraction cues were moving around the red dot involving peripheral vision. As Brenner and Welfare (1980) concluded, participants concentration on the centered stimulus might have impaired the participants peripheral vision which resulted in a load in processing the visual stimuli and consequently in a delay in reaction time. Ghent and Mnemonic (2010) suggested that a visual disruption occurs between two visual systems, the ventral and dorsal pathways, causing blank display. The ventral pathway detects object (identical features such as color or shape) and the dorsal pathway detects location (motion features). In the present method design, the red dot, main stimulus was immobile and other cues location were shifting acting as motion features and eventually creating a blank display between the two visual systems, hence bringing delays in response time. With a standardized procedure, a randomization in attributing participants to their task, contouring variables Kept to a strict Mullen, tens true-experiment gives strong evidence that reaction time increases with visual distraction. Although, the small size of the computer used during the experiment and the nature of the stimulus being simple, in AD and right in front of the participant (using direct vision only) can be seen as disconnected from the real world. Its ecological validity can be questioned since in the everyday life, people have to deal with AD, complex and multiple stimulus and this experiment doesnt show how peoples reaction time is influenced in a real world situation. Also, participants had to repeat the test seven times (including the trial) which could have caused fatigue and consequently delays in reaction time. It isnt known to what extend this parameter was involved in the experiment results. The results found that a visual stimulus can make difference in milliseconds in someones reaction time, and for drivers, this is not negligible. Mummer et al. showed that visual distraction impairs drivers ability in being critical and in dealing with sudden events. Saber et al. (2012) stated that visual stimuli, especially in-car technology, resulted in high workload in the brain and more off-road glances. Hence, it should not be underestimated and included in road safety measures. Visual advertising such as hoots, posters, etc. Installed near roads can distract drivers and make them loose attention especially on motorways where the high speed requires drivers to have an optimized reaction time. Road assignation should also be kept to minimal designs with clear and identifiable colors not to delay drivers reaction time. In general, the environment nearby the road should be kept as clean and simple as possible to avoid any visual distraction. Further research should investigate the potential different levels of visual distraction and see if more complex and/or other types of stimuli provoke different and longer exaction times. Forms and shapes were used in this experiment, but exploring the humans reaction time when presented faces cues for instance could bring new learning. It seems that after practicing, visual distraction are start not being seen as distraction (And, 2002). Previous research also showed that experienced drivers had a faster reaction time than learners because they were using more often side mirrors (Constantinople, Chapman, Crandall, 2010).

Wednesday, November 27, 2019

Megapnosaurus (Syntarsus) - Facts and Figures

Megapnosaurus (Syntarsus) - Facts and Figures Name: Megapnosaurus (Greek for big dead lizard); pronounced meh-GAP-no-SORE-us; also known as Syntarsus; possibly synonymous with Coelophysis Habitat: Woodlands of Africa and North America Historical Period: Early Jurassic (200-180 million years ago) Size and Weight: About six feet long and 75 pounds Diet: Meat Distinguishing Characteristics: Large size; bipedal posture; narrow snout; strong hands with long fingers About Megapnosaurus (Syntarsus) By the standards of the early Jurassic period, about 190 million years ago, the meat-eating dinosaur Megapnosaurus was hugethis early theropod may have weighed as much as 75 pounds, hence its unusual name, Greek for big dead lizard. (By the way, if Megapnosaurus sounds a bit unfamiliar, thats because this dinosaur used to be known as Syntarsusa name that turned out to have already been assigned to a genus of insect.) Complicating matters further, many paleontologists believe that Megapnosaurus was actually a large species (C. rhodesiensis) of the much better-known dinosaur Coelophysis, the skeletons of which have been unearthed by the thousands in the American southwest. Assuming that it does deserve its own genus, there were two distinct variants of Megapnosaurus. One lived in South Africa, and was discovered when researchers stumbled on a bed of 30 tangled skeletons (the pack had apparently been drowned in a flash flood, and may or may not have been on a hunting expedition). The North American version sported small crests on its head, a hint that it may have been closely related to another smallish theropod of the late Jurassic period, Dilophosaurus. The size and structure of its eyes indicates that Megapnosaurus (aka Syntarsus, aka Coelophysis) hunted at night, and a study of the growth rings in its bones reveals that this dinosaur had an average life span of about seven years.

Saturday, November 23, 2019

Cancer Nanotechnology Essays

Cancer Nanotechnology Essays Cancer Nanotechnology Essay Cancer Nanotechnology Essay Going small for big Advances Abstract At present there are wide varieties of Technologies, which are vastly being used to analyze biological cells to diagnose diseases and develop methodologies to cure diseases. One such technology is Nanotechnology’. A nanometer is a billionth of a meter. Its difficult to imagine anything so small, but think of something only 1/80,000 the width of a human hair. Ten hydrogen atoms could be laid side-by-side in a single nanometer. Nanotechnology is the creation of useful materials, devices, and systems through the manipulation of matter on this miniscule scale.The emerging field of nanotechnology involves scientists from many different disciplines, including physicists, chemists, engineers, and biologists. Nanotechnology will change the very foundations of cancer diagnosis, treatment, and prevention. Nanoscale devices used for treatment of Cancer are based on the constant study of cancer cells and nanotechnology. Nanoscale devices which are smaller than 50 nanometers can easily enter most cells, while those smaller than 20 nanometers can move out of blood vessels as they circulate through the body.Because of their small size, nanoscale devices can readily interact with biomolecules on both the surface of cells and inside of cells. By gaining access to so many areas of the body, they have the potential to detect disease and deliver treatment in ways unimagined before now. Since biological processes that lead to cancer occur at the nanoscale at and inside cells, nanotechnology offers a wealth of tools with new and innovative ways to diagnose and treat cancer. In our paper we design a device that contains sensors, transceivers, motors and a processor, which are made up of biodegradable compound.No more destruction of healthy cells due to harmful toxins and radiations generated through chemotherapy and radiation therapy. Introduction The paper deals with the eradication of cancer cells by providing an efficient method of destroying and curing the cancer so that healthy cells are not affected in any manner. This technology also focuses on a main idea that the patient is not affected by cancer again. The purpose of using the RF signal is to save normal cells. Nanotechnology in this contextNanotechnology refers to the interactions of cellular and molecular components and engineered materials at the most elemental level of biology. This paper emphasizes on the effective utilization of Nanotechnology in the treatment of cancer. What is cancer? Cancer cells are different from healthy cells because they divide more rapidly than healthy cells. In addition, when cells divide at an accelerated rate, they form a mass of tissue called a tumor. These cancerous cells that come in excess amounts cause many problems to the bodies of patients.In general, the most common methods used for the cancer treatment are u Chemotherapy, a treatment with powerful medicines u Radiation therapy, a treatment given through external high-energy rays. Problem Both the treatments mentioned above are harmful. Healthy cells are destroyed in the process. As a result, this leaves the patient very weak, causing him not able to recover quickly to medical treatments. It has been proved that any individual who had cancer can survive on deadly chemotherapy up to a maximum of five years and after that it’s anybody’s guess.Proposed solution The nanodevices can be programmed to destroy affected cells and kill only them, thus ending the problem of destroying any normally functioning cells which are essential to one’s well-being. Thus the treatment-using nanotechnology will make the affected man perfectly normal. Noninvasive access to the interior of a living cell affords the opportunity for unprecedented gains on both clinical and basic research frontiers. Nanotechnology and diagnosticsNanodevices can provide rapid and sensitive detection of cancer-related molecules by enabling scientists to detect molecular changes even when they occur only in a small percentage of cells. Cantilevers Nanoscale cantilevers microscopic, flexible beams resembling a row of diving boards are built using semiconductor lithographic techniques. These can be coated with molecules capable of binding specific substrates-DNA complementary to a specific gene sequence, for example. Such micron-sized devices, comprising many nanometer-sized cantilevers, can detect single molecules of DNA or protein.As a cancer cell secretes its molecular products, the antibodies coated on the cantilever fingers selectively bind to these secreted proteins. These antibodies have been designed to pick up one or more different, specific molecular expressions from a cancer cell. The physical properties of the cantilevers change as a result of the binding event. This change in real time can provide not only information about the presence and the absence but also the concentration of different molecular expressions. Nanoscale cantilevers, thus can provide rapid and sensitive detection of cancer-related molecules.Nanotechnology and Cancer therapy Nanoscale devices have the potential to radically change cancer therapy for the better and to dramatically increase the number of highly effective therapeutic agents. Nanoscale constructs, for example, should serve as customizable, targeted drug delivery vehicles capable of ferrying large doses of chemotherapeutic agents or therapeutic genes into malignant cells while sparing healthy cells, which would greatly reduce or eliminate the often unpalatable side effects that accompany many current cancer therapies. NanoparticlesNanoscale devices have the potential to radically change cancer therapy for the better and to dramatically increase the number of highly effective therapeutic agents. In this example, nanoparticles are targeted to cancer cells for use in the molecular imaging of a malignant lesion. Large numbers of nanoparticles are safely injected into the body and preferentially bind to the cancer cell, defining the anatomical contour of the lesion and making it visible. These nanoparticles give us the ability to see cells and molecules that we otherwise cannot detect through conventional imaging.The ability to pick up what happens in the cell to monitor therapeutic intervention and to see when a cancer cell is mortally wounded or is actually activated is critical to the successful diagnosis and treatment of the disease. Nanoparticulate technology can prove to be very useful in cancer therapy allowing for effective and targeted drug delivery by overcoming the many biological, biophysical and biomedical barriers that the body stages against a standard intervention such as the administration of drugs or contrast agents. Working procedure:The initial step of identifying the cancer and the location can be done by scanning. Once the location has been identified through scanning, the task is to position the nanodevice to the exact location. We focus on the positioning of the nanodevice into the required location by itself. The nanodevice is allowed to be placed into any part of the body (or) the nano device is injected through the blood vessel. The positioning is done with the help of mathematical calculations. External Control signals could be used to avoid mishap or any other errors. The nanodevice is loaded with a microchip.The device is also provided with the compounds concealed so that it is initiated externally through a computer. The nano device contains sensors, motor, gene reader, processor, transceiver, camera and power supply. The location of the cancer cells is given as coordinates in a 3-dimensional point of view. This point is considered as the reference and referred as (0, 0, 0). Positioning The nanodevice performs an internal calculation based on the difference between its current position and the reference. Mathematical computations involve such that only one axis is compared between the nano device and the reference at a time.The motor fan is placed in a particular direction for a particular reference comparison. After one of the axis is completed and comparison is done, then the next axis is being compared followed by the third. Thus the three co-ordinate comparison of the nano-device results in any 3- Dimensional orientation of the nano-device and results in exact positioning. Navigation The output of the mathematical operation is given to a driver circuit (motor). The driver helps the device to navigate through the blood with precision in direction and with the required speed.The device thus should sample its new position with the reference at a sampling rate. The sampling rate is made such that their value is less than the velocity of blood flow. The cancer killer could thus determine that it was located in (say) the big toe. If the objective were to kill a colon cancer, the cancer killer in the big toe would move to the colon and destroy the cancer cells. Very precise control over location of the cancer killers activities could thus be achieved. The cancer killer could readily be reprogrammed to attack different targets using acoustic signals while it was in the body.Algorithm for navigation: Ste11: Marking the co-ordinates. Step2: Initialize the start command. Step3: Feed the axis. Step4: Send command to emit ultrasound. Step5: Wait for T seconds. Step6: If there is no signal reflected back (or) if the reflected signal is less than the threshold value, then activates the stepper motor to rotate through a certain distance. (Note: the distance is proportional to one axis) Step7: Subtract the axis value by one. Step8: Continue from step4 to step7 for both co-ordinates. Step9: If the signal reflected back is greater than the threshold value then the motor is de-activated.Step10: The motor (perpendicular to motor1) is activated. The motor2 moves through one step thus making the motor1 to change the axis. Step11: The motor1 is allowed to travel until next change is required. Step12: Once the nanodevice reaches the required spot, the motor is deactivated through external command. Step13: Receives the RF radiation for T seconds that has been already calculated depending upon the intensity of tumor Imaging With the available technology, a camera is inserted which helps us to monitor the internal process.Whenever multiple directions are there in the blood vessel, the device is made to stop through the external control signal and another signal is given to activate in the right direction. Current clinical ultrasound scanners form images by transmitting pulses of ultrasonic energy along various beam lines in a scanning plane and detecting and displaying the subsequent echo signals. Our imaging is based on the absolute scattering properties and in the frequency dependence of scattering in tissues, which will help to differentiate between normal and abnormal cells. IdentificationThe nano device identifies the cancer cells using a gene reader. A gene reader is a sensor which contains ten to fifty DNA probes or samples of cancer cells that are complementary. The DNA detection system generates an electronic signal whenever a DNA match occurs or when a virus causing cancer is present. Whenever we get a signal indicating the presence of cancer cells we go for further process. Once the device has been originally located, the next step is the destruction of the cancer cells. Destruction: We can remotely control the behavior of DNA using RF energy.An electronic interface to the biomolecule (DNA) can be created. RF magnetic field should be inductively coupled to nanocrystal antenna linked covalently to a DNA molecule. The inductive coupling results to the increase in the local temperature of the bound DNA, allowing the change of state to take place, while leaving molecules surrounding the DNA relatively unaffected. The switching is fully reversible, as dissolved molecules dissipate the heat in less time duration. Thus RF signal generated outside the body can destroy the affected DNA. Rf heatingThe treatment tip contains the essential technology components that transform RF to a volumetric tissue heating source. The heat delivery surface transmits RF energy to the cells. Tumors that have little or no oxygen content (i. e. hypoxia) also have increased resistance to radiofrequency radiation. Thus, due to high resistance to radio frequency radiation the affected cells get heated and hence destroyed. The RF carrier frequency is in the biomedical range (174 216MHz). A pair of RF pulses is transmitted at a frequency of about 1-2Hz. How nano device escapes from immune system?Generally our immune system attacks all the foreign particles entering any part of our body. The problem has been that such nano particles are similar in size to viruses and bacteria, and the body has developed very efficient mechanisms to deal with these invaders. It is known that bacteria with hydrophilic surfaces can avoid being destroyed by immune system and remain circulating in the body for longer periods. To emulate this effect, our nano device can be coated with a polymer such as polyethylene glycol (PEG), Which is proved after the research. Conclusion:As per our aim we have proposed the usage of nanotechnology and the RF signal for the destruction of cancer cells. This method doesn’t affect the healthy cells such that the cancer affected person is healthy after the treatment. This treatment doesn’t involve critical operations. This treatment will not take longer time as in any other treatments. Surely one day or the other cancer treated patient will be affected again treatment. This can be very well used for other dangerous diseases. Name : R. Ramesh College : k. c. g college of technology Email address : [emailprotected] com

Thursday, November 21, 2019

Analyzing the Consumer Market Essay Example | Topics and Well Written Essays - 500 words

Analyzing the Consumer Market - Essay Example The Kindle3 is subject to various norms of assessment for the very factor of product specification. The third generation version of e-book readers deserves high level of attention while ascertaining the scope of the launch stations. The Kindle3 will be a hot cake among high-tech consumers who have the habitual addiction to a ‘touch and go’ concern about every new device (Kindle Ready). The product is meant for earnest book lovers who happen to belong to the majority of young travelers. The company has to focus on the cultural conditions of the launch station, because, a negative propaganda of the product in one market influences the growth of the sales rate as a whole. Social factors like the universality of similar product, has a direct impact on the promotional achievement of the product. It is more likely that a product approved by one person to be promoted by him around his circle. Personally, this product is a great gift to many people who would need to spend longer time at internet center for research based readings. The Kindle3 offers confidence to youngsters as it assists them in community learning program through the chat rooms of 3G’s supplementation. It works then on the principle, â€Å"No distance is far enough’ – this enables the user’s ability to have a large quantity of informative storage acquired through collective learning. Psychological factors are also enterprising for the buyers; as some buyers are of the economical nature, they make rational assessment of the amount money should be spent against the level of satisfaction obtained while purchasing the product. Another indicator for the success of the product is the basic tendency of people to maintain show-offs – when one person enjoys the possession of The Kendle3 as the insignia of his prestige, other potential buyers select the similar path to acquire co mpetency in

Wednesday, November 20, 2019

Asian Americans Essay Example | Topics and Well Written Essays - 1000 words

Asian Americans - Essay Example This objective, however, proves a challenging initiative, burdened by the negative heritage of history and by existing cultural gaps. According to Jandt (2004) the Asian-Americans represent a diverse group of cultures and people from many countries - Cambodia, China, India, Japan, Korea, Laos, Pakistan, the Philippines, Thailand, Vietnam, and Pacific Island nations. Initially the US legislation excluded Chinese and other Asians from US citizenship (Jandt, 2004) and this governmental policy impaired the assimilation process of Asian subgroups at the very beginning. Asian-American's resistance to assimilation is a natural process. For one thing, it is visible in first generation immigrants who sometimes lack documentation (Wikipedia, 2006) and whose dreams about the bright future are not met by reality (Jandt, 2004). This disappointment leads to greater uncertainty, and avoidance of socialization. Additionally, language barriers impair the social status of the Asian-American group in USA. For example exactly because of language deficiencies Korean-Americans use English language that can be viewed as rude and exploiting by customers and employees (Jandt, 2004). This has lead to misinterpretation of Korean's behavior, hence to the isolation of the group by the American society and other subgroups. Further on, other behavioral patterns that are interpreted by other cultures differently hinder effective communication. For example, Korean-Americans are reluctant to develop friendships with strangers, regard inappropriate smiles as superficial (Jandt, 2004). Especially in the services sector, where communication with customers is critical, keeping such distance makes the Korean culture look confusing and inappropriate. Tradition that is visible in medicinal practices, rituals, clothing and other cultural tokens is another source for misinterpretation of culture (Jandt, 2004). While rituals and habits are regarded as healthy by one culture, the US culture may condemn them as inappropriate, unhealthy and even dangerous. There is the example of a Vietnamese father who treated his sick child, as per Vietnamese tradition, with coins rubbed in hot oil. The father was imprisoned and subsequently committed a suicide (Jandt, 2004). Such tragic incidents do not only prove the necessity for mutual understanding of group specifics, but lead to the presumption that at minimum partial assimilation is a natural process, whereby the smaller cultural group adopts the norms of the larger group. This is so because practices that are regarded as extreme and health damaging by the US culture are unlikely to be tolerated by people and legislative authorities and pressure is exercised to change those tokens that contradi ct common US norms. Today attitudes towards Asian Americans vary greatly. There is a common conception that Asian Americans have not faced racial discrimination as African Americans and Latinos (Wikipedia, 2006), but this idea is based on the fact that these immigrants do not report such incidents. As a result, even reported incidents do not receive adequate

Sunday, November 17, 2019

Theory and Evidence-Based Practice of Nursing Essay Example for Free

Theory and Evidence-Based Practice of Nursing Essay Introduction Evidence-based nursing is acknowledged as an approach to nursing care that guides to enhance patient outcomes. Qouting McEwen (2002) Kelly L. Penz and Sandra L. Bassenski pointed out that in nursing practice, formalities, remote, unsystematic clinical experiences and ungrounded opinions, and traditions as the basis of practice should be de-emphasized by incorporating into clinical practice evidence-based approach to nursing care. In explaining what evidence-based approach means, Penz and Bassendowski cited Estabrook’s (1998) explanation that evidence-based nursing â€Å"is a discipline in which nurses make clinical decisions using current best research evidence, which is then blended with approved policies and clinical guidelines, clinical expertise and judgment, and patient preferences† (Penz Bassendowski 2006, p 250). In other words, evidence-based nursing practice is more than just a research; it is more than a theory or practice. However, evidence-based practice of nursing is currently subject of debate among nursing scholars and educators. Gail J. Mitchell (1999) contends that the concept of evidence-based practice â€Å"is not only a barren possibility but also obstructs nursing process, human care, and professional accountability† (Mitchell 1999, p. 271). Mitchell argued that the usefulness of the evidence has been â€Å"wrongfully cast in the context of legitimizing nursing as a profession instead of describing evidence as one possible resource for supporting client’s decision making† (Mitchell, p. 271). The Relationship between Theory and Evidenced-Based Nursing Practice In nursing practice, theory is a pattern of knowing, Jacqueline Fawcett noted that theory comes from Greek word theoria, â€Å"To see† which means to reveal phenomena that is previously hidden from our awareness and attention. Deborah Upton (1999) pointed out that theory, practice, and research identify the science of nursing. Upton emphasized that theories embrace nursing as a science, which, in the case of evidence- based practice, the basic tenet is on sound information anchored on research findings and scientific development. Fawcett pointed out that theories constitute much of the knowledge of a discipline and theory and experiences are the lenses through which we conduct inquiry. The outcome of the inquiry comprises the evidence that finds out the adequacy of the theory. In nursing practice, theory guided practice means the traditional scientific approach to clinical care while in evidence-based practice a nurse can decide on the relevance of the evidence for the patient care. According to Penz and Baseendowski evidence-based practice fills the gap between theory, research, and practice. It means that theory alone or evidence alone is insufficient basis of clinical care, but combining the two make a useful clinical approach that has potential â€Å"to improve patient care in all clinical practice setting† (Penz Bassendowski p. 251). The relationship therefore of theory and evidence-based nursing practice is that evidence-based practice absorbed theories and incorporating it including research, patient’s preferences, and other approved guidelines of the clinical practice. Penz and Bassendowski noted the study of Alligood and Tomey (2002) suggesting that theoretical knowledge when blended into the practice of nursing, results to enhanced professional autonomy. Alligood and Tomey pointed out that when nursing theory is used to direct clinical opinion and decision making , nurses can comprehend what they do and why, and they are capable to explain this to other health professional.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Further explanation of the relationship between theory and evidence-based practice can be established in the meaning and purpose of theory it self. Lynn Rew pointed out that it is theory that framed or determined what really count as evidence. Based on the premise that â€Å"theory is the reason for and the value of the evidence,† Rew provided a framework based on three factors: Components, Purpose, and Outcomes, which depicts ideal relationship between theory and evidence-based nursing practice. Rew pointed out that the components of theory are concepts and statement, while practice, is phenomena of concern and problems to be solved. The Purpose of theory is to organize ideas, while Practice delimits ideas, the Outcomes are theory construction framework for practice, and policies while in practice, evidence-based practice, generalizable programs, and interventions. She explained that concepts of theory reflect the phenomena of concern in a practice discipline, while the definition and purpose are abstractions of the practical problems to be solved in the practice arena. The outcomes of theory construction guides practice and policy development. Thus theory is highly related to evidence-based practice by virtue of determining the evidence. Conclusion   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Despite of the different emphasis of theory based nursing and evidence-based nursing practice, the aim of both camps is to advance the clinical care of the nursing practice for the benefit of the patient. However, the conflict of emphasis threatened to abolished the long established processes of clinical care in favor of evidence based nursing practice which are not really completely proven very successful in clinical treatment. Tracing therefore the relationship between theory and evidence-based nursing practice helps not only to understand what the conflict was all about but also it gives proper understanding of the nursing practice particularly the evidence-based nursing. Whether theory guided practice or evidence-based nursing practice, what is important is that the nursing practice should be understandable to nurses and to the patient.    Reference Fawcett, J.; Watson, J.; Neuman, B.; Walker, P.; Fitzpatrick, J. (2001) On Nursing Theories and Evicence. USA: Sigma Theta Tau International. http://classes.kumc.edu/son/nrsg750/articles/nursing_theories.pdf Mitchell, G. J. Evidence-Based Practice: Critique and Alternative View. Penz, K. L. Bassendowski, S. L. ( 2006)Evidence-Based Nursing in Clinical Practice: Implications for Nurse Educators. Canada. The Journal of Continuing Education in Nursing. Vol.37, No. 6 (November/December) http://www.orthonurse.org/portals/0/EBP%20Clinical%20Practice.pdf Rew, L (2005) Adolescent Health: A Multidisciplinary Approach to Theory, Research. United States of America: SAGE Publication Upton, D. J., (1999) How Can We Achieved Evidence-based Practice if we a Theory- Practice Gap in Nursing Today? Journal of Advanced Nursing Vol. 29 (3) England: Blackwell Science Ltd.

Friday, November 15, 2019

Prejudice In To Kill A Mocking :: essays research papers

To Kill A Mockingbird   Ã‚  Ã‚  Ã‚  Ã‚  Harper Lee’s To Kill A Mockingbird is a story of racial injustice, sexism, and many other types of prejudice. Perhaps the most obvious form of prejudice found in the novel is racism.   Ã‚  Ã‚  Ã‚  Ã‚  Tom Robinson was a hardworking, charitable person, who always put the needs of others above his own, but because of his skin colour. He was chosen as a target of racial prejudice, by those too ignorant to recognize his kindness, and care for all those around him. The 35-year-old, husband of three would never hurt a soul.   Ã‚  Ã‚  Ã‚  Ã‚  Tom Robinson was found guilty and convicted by an all white jury for a crime he did not commit, the rape of Mayella Ewell, on the night of November the 21st . The trial, and death of Tom Robinson is just one instance of racial prejudice found in the novel, but maybe one of the strongest issues of racism which exists. Atticus Finch once said, “It’s a sin to kill a mockingbird (Lee 90).'; So why did death come to Tom Robinson, such a kind hearted loving person, whose only true sin was pity for a white woman.   Ã‚  Ã‚  Ã‚  Ã‚  There are many other instances in To Kill A Mockingbird where racism is clearly shown. When Aunt Alexandra makes her first appearance in the novel, she says to Calpurnia, “Put my bags in the front bedroom, Calpurnia (Lee 127).'; This shows the lack of respect and feeling of superiority that Aunt Alexandra has for Calpurnia, because of the colour of her skin.   Ã‚  Ã‚  Ã‚  Ã‚     Ã‚  Ã‚  Ã‚  Ã‚   The inhabitants of the small Southern town of Maycomb are so unaware of their words that racism and racial slander has become a ‘normal’ everyday thing, children grow seeing nothing wrong in being racist.   Ã‚  Ã‚  Ã‚  Ã‚  Racial slander is so commonly used that it is clearly seen that even the author of the novel does not realize the wrong in it.   Ã‚  Ã‚  Ã‚  Ã‚  Sexism is also shown throughout the novel. “Atticus,'; he said, “why don’t people like us and Miss Maudie ever sit on juries? You never see anybody from Maycomb on a jury-they all come from out in the woods.'; Atticus leaned back in his rocking chair. For some reason he looked pleased with Jem. “I was wondering when that’d occur to you,'; he said. “There are lots of reasons. For one thing, Miss Maudie can’t serve on a jury because she’s a woman.'; “You mean women in Alabama can’t-?'; I was indignant. “I do. I guess it’s to protect our frail ladies from sordid cases like Tom’s.

Tuesday, November 12, 2019

Chinas Economy Essay

Discuss the possible implications of such a development for (a) the world trading system, (b) the world monetary system (c) the business strategy of today’s European and U. S. global corporations, and (d) global commodity prices. A) The implications of such a development for the world trading system is that China will basically will be the root of trading. From my perspective, China’s growth of economic will benefit overall economy of world. In the trading system, China will play a major role on deciding the policy and implications how the trading should be done. With its sophisticated export increase do to the rapid increase in technology; China is sharply stepping up exports. With China’s dominant imports and exports trading and taking a big part in WTO, trade as a percent of GDP has grown dramatically, rising to a level far greater than for any country of similar size. B) With its high output of economic growth, in world monetary system, I think China’s currency might be powerful than U. S. dollar or equal or more than other world currency. In monetary system, China’s demands for its large economic development, will put pressure on other global countries how its plays a leading role. The Chinese Yuan will be in the near future a major international currency, benefitting from the strong position and of the Chinese economy and the latest arrangements, and the stability of the Yuan’s value when it is compared to other major currencies. C) The implications in European and U. S. lobal corporations would be from my perspective that more corporation business will shift to China. With so many corporation works being sent overseas, there is no doubt that China will be leading part in these corporations. China will generally set polices in what is better interest for corporation and China’s economic growth. I think that business strategy will be more controlled by China do to the resources that it’s going to provide and how it will be distributed th roughout the global economy. D) I think this is going to be the most impact throughout the whole world with economic growth of China. Global commodity price changes can affect inflation and the terms of trade at the global level, with possibly large effects on other emerging and developing economies. In upcoming growth, China will set benchmarks in commodity pricing along with U. S. at side. Chapter 2 question 4 What are the risks facing foreign firms that do business in Indonesia? What is required to reduce these risks? The risks that I personally believe firms that do business in Indonesia would be loss of income to bribes. Moreover, jail time for foreign enterprises on flimsiest of pretext as well and long waits to establish a business are the risks that foreign firms are facing. In order to reduce or say minimize these risks, a radical change is required. Indonesia has an anticorruption drive, which may or may not work. As stated in the case, Indonesia has launched an anticorruption drive; it just needs to implement better ways of putting that law into affect. A more assertive policy needs to take affect on people in order to make the country better and bring out the resources that it has to offer like Oil production. Moreover, political elites need to get involvement with each other and foreign countries in shaping and assisting to rebuild a better Indonesia. As for business firm, businesses must take a pro-active approach to security and risk management. Doing so reduces the chances of a company becoming a victim, but also minimizes the likely fallout in the event an incident was to occur. An effective risk prevention and mitigation plan will enable the company to effectively respond, recover and resume normal business operations within the shortest time frame possible so as to minimize the potential business impact either financially or from a reputation standpoint.

Sunday, November 10, 2019

Subliminal Messaging

My first reaction to this assignment was if I actually believed in subliminal messages myself. I decided I didn’t but after I did further research, I was shocked. I watched you-tube videos and looked at pictures online of advertising. The biggest shock I found was in the Disney movies. After replaying certain scenes in movies I witnessed subliminal messaging first hand. Most of the messages were sexual references and I was actually quite disturbed by it. For example, in a scene of â€Å"The Little Mermaid†, as Arial was walking up to the podium with her husband to be the priest got an erection. You can clearly see it happening. I never noticed it before until I started doing research on subliminal messaging. I did further research on other Disney animated movies and I found that there were a lot more ‘sexual’ subliminal messages in the movies and advertising that you don’t notice unless you are actually paying attention. Which brings me to my next point, Dr. Brahrami states â€Å"If the brain is busy it can filter our subliminal things. The brains response to subliminal messages is not automatic and depends on how much attention the person is paying†. And that’s when I decided I completely agree. I think since I was actually paying attention and watching out for subliminal messages, I could see them. Most of the time when I’m watching movies I don’t see the sexual, demon or drug related messages companies are putting in their movies and advertising. Which leads me to my question, why would a company based on children put sexual things in a movie made for kids?! Well, then I started to think it was a coincidence to I did more research and found out there was a huge debate during this time when the Arial scene with the priest came out. What I found was that it was the priest’s knee. So for my conclusion of this paper, I think you interpret what you want to see. If your brain is actually searching for these messages, your brain will see what it wants to see.

Friday, November 8, 2019

Tuesday, November 5, 2019

Prehistoric Life During the Paleogene Period

Prehistoric Life During the Paleogene Period The 43 million years of the Paleogene period represent a crucial interval in the evolution of mammals, birds, and reptiles, which were free to occupy new ecological niches after the demise of the dinosaurs following the K/T Extinction Event. The Paleogene was the first period of the Cenozoic Era (65 million years ago to the present), followed by the Neogene period (23-2.6 million years ago), and is itself divided into three important epochs: the Paleocene (65-56 million years ago), the Eocene (56-34 million years ago) and the Oligocene (34-23 million years ago). Climate and Geography. With some significant hiccups, the Paleogene period witnessed a steady cooling of the earths climate from the hothouse conditions of the preceding Cretaceous period. Ice began to form at both the North and South poles and seasonal changes were more pronounced in the northern and southern hemispheres, which had a significant impact on plant and animal life. The northern supercontinent of Laurasia gradually broke apart into North America in the west and Eurasia in the east, while its southern counterpart Gondwana continued to fracture into South America, Africa, Australia, and Antarctica, all of which began drifting slowly to their present positions. Terrestrial Life Mammals. Mammals didnt suddenly appear on the scene at the start of the Paleogene period; in fact, the first primitive mammals originated in the Triassic period, 230 million years ago. In the absence of dinosaurs, though, mammals were free to radiate into a variety of open ecological niches. During the Paleocene and Eocene epochs, mammals still tended to be fairly small but had already started evolving along definite lines: the Paleogene is when you can find the earliest ancestors of whales, elephants, and odd- and even-toed ungulates (hoofed mammals). By the Oligocene epoch, at least some mammals had begun to grow to respectable sizes, though they werent nearly as impressive as their descendants of the ensuing Neogene period. Birds. During the early part of the Paleogene period, birds, and not mammals, were the dominant land animals on earth (which shouldnt be all that surprising, given that they had evolved from recently extinct dinosaurs). One early evolutionary trend was toward large, flightless, predatory birds like Gastornis, which superficially resembled meat-eating dinosaurs, as well as the meat-eating avians known as terror birds, but subsequent eons saw the appearance of more diverse flying species, which were similar in many respects to modern birds. Reptiles. Although dinosaurs, pterosaurs and marine reptiles had gone completely extinct by the start of the Paleogene period, the same wasnt true for their close cousins, the crocodiles, which not only managed to survive the K/T Extinction but actually flourished in its aftermath (while retaining the same basic body plan). The deepest roots of snake and turtle evolution can be located in the later Paleogene, and small, inoffensive lizards continued to scurry underfoot. Marine Life Not only the dinosaurs went extinct 65 million years ago; so did their vicious marine cousins, the mosasaurs, along with the last remaining plesiosaurs and pliosaurs. This sudden vacuum at the top of the marine food chain naturally spurred the evolution of sharks (which had already been around for hundreds of millions of years, though in smaller sizes). Mammals had yet to venture fully into the water, but the earliest, land-dwelling ancestors of whales prowled the Paleogene landscape, most notably in central Asia, and may have had semi-amphibious lifestyles. Plant Life Flowering plants, which had already made a cameo appearance toward the end of the Cretaceous period, continued to flourish during the Paleogene. The gradual cooling of the earths climate paved the way for vast deciduous forests, mostly on the northern continents, with jungles and rainforests increasingly restricted to equatorial regions. Toward the end of the Paleogene period, the first grasses appeared, which would have a significant impact on animal life during the ensuing Neogene period, spurring the evolution of both prehistoric horses and the saber-toothed cats that preyed on them.

Sunday, November 3, 2019

ASSESSMENT ITEM 1, GEO 105 Essay Example | Topics and Well Written Essays - 1000 words

ASSESSMENT ITEM 1, GEO 105 - Essay Example The Great Dividing Range stretching almost the whole length of the eastern continent separates the Outback from a narrow fertile strip on the east coast, where most of the country’s population is clustered; as also in the south-east region of the continent. Vast desert areas lie in Western Australia and in parts of central Australia. The country has a wide range of physical environments: landforms, geology, soils, climate, temperatures, atmosphere, water resources, rivers, coastlines, and rainfall. The native flora and fauna form the biological environment. In this assignment, for the comparative study of the physical and biological environmental features of two different places in Australia: one urban and one rural, the city of Perth and the Riverina area respectively have been selected. Perth is the only large city of over a million people, in the entire West Coast. It is the capital of Western Australia, which covers one-third of the continent. Most of the state’s land area is preserved in its pristine and natural form; as it is home to less than 10% of the continent’s population. Western Australia is one of the best eco-tourism destinations in the world: with various oceanic features like tropical islands, coral reef systems and dolphins in the sea waters, alongside towering forests and carpets of wild flowers (Ashworth, et al, 2004: p.89). Riverina Region: This agricultural and rural area lies in the southern part of New South Wales, to the north of Victoria. According to Swaffar, et al(2002: p.193), the Murray River which forms the border between New South Wales and Victoria, is one of the nation’s longest rivers, stretching nearly 1000 km from the Snowy Mountains to Wentworth where it merges with the Darling River (the longest river in Australia), near the border with South Australia. In recent years, these mighty rivers have

Friday, November 1, 2019

Drug use and Crime Essay Example | Topics and Well Written Essays - 1000 words

Drug use and Crime - Essay Example However, had he not been high it is likely the eight young women would not have died. While Speck's case might not be a good indicator of the relationship between drug use and crime, other authorities recognize the relationship. The Drug Enforcement agency has compiled statistics for years concerning the relationship between drug use and crime. A 1997 study of violence against Law Enforcement Officers conducted by the Federal Bureau of Investigation showed that 24 percent of the assailants were under the influence of drugs at the time of the assault and that 72 percent had a history of narcotics violations. (Speaking out Against Drug Legalization, Drug Enforcement Agency fact Sheet 7) Far from being a victimless crime, Drug usage leads to other crime. The United States Postal Service investigated 29 incidents that resulted in 34 deaths in a period spanning thirteen years between 1986 and 1999. Twenty of the thirty-four perpetrators either had a history of substance abuse or were known to be under the influence of alcohol or illicit drugs at the time of the incident. (Speaking out Against Drug Legalization Fact Sheet 7, Drug Enforcement Agency) Unfortunately, Richard Speck isn't an anomaly. Brenda Spencer, a sixteen-year-old high school student went on a shooting rampage January 29, 1979. The troubled teenager was frequently absent from school, was involved in several petty thefts and had a history of drug abuse. She killed two school employees and wounded several students and a police officer in her shooting spree. (World Encyclopedia of 20th Century Murder, Jay Robert Nash, Paragon House Page 533) A 1994 Journal of the American Medical Association article reported that cocaine use was linked to high homicide rates in New York City. The Office of National Drug Control Policy estimated that there were 53,000 drug related deaths in that year. The Vietnam War's death toll was 58,000 for an eight and a half year period.And it isn't just murder. According to the Justice Department's Bureau of Justice Statistics, drug use was linked to crimes against property in 26.9 percent of the reported crimes in 2002. This was an increase of 2.4 percent from just six years earlier. These crimes were committed to get money to buy drugs with. Of all crimes compiled for the report. 16.4 percent were committed to raise money for drugs in 2002, an increase of 1.3 percent from 1996 (Bureau of Justice Statistics, Substance Dependence, Abuse, and Treatment of Jail Inmates, 2002, NJC 209588, July 2005. Approximately two of every five rapes or sexual assault committed against college students, the victims perceived the perpetrator was under the influence of drugs. Of all violent crimes against college students, persons perceived to be under the influence of drugs committed 41 percent. (Bureau of Justice Statistics, Violent Victimization of College Students, 1995- 2000, NJC 196143, December 2003) The statistics become even grimmer when we look at probationers. The first national survey of adults on probation conducted in 1995 found that 14 percent of the probationers were on drugs when they committed their offense. Among those on probation 49 percent of the mentally ill used drugs or alcohol at the time of their offence and 46percent of others used drugs or alcohol at the time. (Bureau of Justice Statistics, Substance Abuse and Treatment of Adults on Probation, 1995, NJC 166611,

Wednesday, October 30, 2019

Why is it important for managers today to be entrepreneurial Essay

Why is it important for managers today to be entrepreneurial - Essay Example The world is witnessing competition in every corner and at every scale. The globe revolves around money. Money is the game changer and for that matter the business and economic arena is expanding every day swiftly. Now money is not only dealt with at organizational level, instead it has seeped into the lives of individuals. That means that in this twenty-first century, an individual can be an organization in itself given he/she is creative and capable enough. Such individuals are called entrepreneurs who are replacing managers. Whether this new trend could be successful depends on certain skills required that form the prerequisite of booming businesses. How similar are entrepreneurial skills similar to managerial skills would determine whether these two are contradictory or complementary in an organization. To start off with, the terms entrepreneur and manager need to be defined separately. According to the Merriam-Webster dictionary, an entrepreneur is that individual â€Å"who org anizes, manages and assumes the risks of a business or enterprise† or â€Å"one who organizes a new business venture in the hopes of making a profit. On the other hand a manager is â€Å"a person who conducts business or household affairs and does the job of management.†... This is because it is believed that only entrepreneurs with their skills of â€Å"creativity, intuition, goal-oriented, responsibility, self-confidence, independence, optimism, discipline and fantasy† can come up with possible solutions to the problem of poverty, unemployment and environmental hazards.(Papulova & Makros 2007). For managers, the required and basic skills are technical, interpersonal, conceptual and communication. These are the pre-requisites for having a healthy relationship with the leader and subordinates of the organization. If the manager fails to do so, the organization will also be deemed to fail. It would mean that the core of the organization is corrupt. Managers need to be prepared for the best and worst case scenarios. They have to play the role of entrepreneurs when at the peak of success or on the verge of tipping over. There are a few traits that should be present in both managers and entrepreneurs simultaneously. The interpersonal roles of figureh ead, leader, liaison, information roles of monitor, disseminator, spokesperson and the decision making role of entrepreneur, disturbance handler, resource allocator and negotiator need to show face at the right time. (Papulove & Mokros 2007). There are five stages of growth of an organization where the founder/leader needs managerial and entrepreneurial skills. The first phase that is pre start-up phase requires relevant knowledge of setting up a business, demand of the market and one’s own abilities. To be successful in this competitive world, one needs to have a new and unique idea at the initial phase. That certainly requires entrepreneur skills because rigidity is just not acceptable at this stage. The second phase is the survival stage. This is a

Monday, October 28, 2019

Effect of culture in business Essay Example for Free

Effect of culture in business Essay 1. A growing number of Americans work for foreign-owned firms in the United States. Do you think that these American employees are being influenced by the foreign owners approach to management and the culture of the country of the owner? Because of globalization, businesses are open to do business in new markets and improving profits. Also because of globalization, companies are faced with different cultures, religion and norms. For a company to do business in another country, a manager needs to understand the differences associated with the host country. Globalization is defined as this interdependency of transportation, distribution, communication, and economic networks across international borders (Gibson, Ivancevich, Donnelly, Konopaske, 2012, p 57). Each firm has their own organizational culture. According to Hellriegel, Slocum and Woodman (2001), organizational culture represents a complex pattern of beliefs, expectations, values and behaviors shared by organizational members. The knowledge of the culture in which an employee is working is crucial. In a dynamic and fast changing environment the inter and intra organizational behavior changes the productivity and growth trends (Chaturvedi, 2002). Because of the organizational culture most foreign-owned firms will tend to impose that culture on their employees. Just like U.S. companies settling abroad, foreign-owned companies will face some difficulties operating in a country with different culture. Based on Hofstedes research, which studies how values in the workplace are influenced by culture, four dimensions have been identified as explaining: Uncertainty avoidance: degree to which people are comfortable with ambiguous situations and with the inability to predict future events with accuracy (Gibson et al., 2012, p 69). Masculinity-Femininity: A culture that has a high masculinity orientation tends to emphasize on dominance, assertiveness, and interdependence. A culture with tendency of femininity orientation will emphasize more on interdependence, compassion, and emotional openness. Individualism-Collectivism: Tendency of a cultures norms and values to emphasize on satisfying individual needs or group needs (Gibson et al., 2012, p 69). Power distance: Degree to which members of a society accept differences in power and status among themselves (Gibson et al., 2012, p 69) Because each culture fits differently in the four dimensions, a foreign-owned firm will keep its own culture as it will be easier to deal with than having different organizational cultures in each country it operates. Americans who work for those companies are indeed influenced by their approach of management. 2. Assume that you want to develop your global skills so that you can pursue international assignments with your company. Identify five skills that you would want to develop and describe how you would go about improving these skills. Globalization is defined as this interdependency of transportation, distribution, communication, and economic networks across international borders (Gibson, Ivancevich, Donnelly, Konopaske, 2012, p 57). Managers are more and more in contact with different cultures. According to HRMagazine (2012), business skills, clture and customs skills, geographic, political and economic skills need to be developed. Based on Gibson, Ivancevich, Donnelly, Konopaske (2012), the five main skills are: Global strategic skills: knowing how the economy (i.e. global financial markets), politics (i.e. foreign affairs, international law) are good ways for managers to know how to conduct business in another country. Team-building skills: Companies require more and more that their employees know how to work as part of a team. Team-building is a way to have more done more efficiently. A manager should know how to delegate work and know what each team members can or cannot do. Organization skills: It is important to know how employees react to certain management approach. McGregors motivational theory X and Y provides management approaches that can apply to motivate employees. Communication skills: Communication is essential when working abroad. It is imperative that a manager or employee be able to communicate with peers and superiors effectively. Transfer of knowledge skills: Learning about a practice, technique, or approach in one country that can be transferred elsewhere is a skill that managers can apply on a regular basis (Gibson et al., 2012, p 62). 3. Describe the attitudes a manager would need to be successful and effective in managing in India, China, and Saudi Arabia. A manager would need to have the same basic skills in order to a successful and effective manager in India, China, and Saudi Arabia. According to Gibson, Ivancevich, Donnelly, Konopaske Strong technical skills Good language skills Strong desire to work overseas Knowledge of the culture Well-adjusted family situation Spouse support Behavioral flexibility Adaptability Good relational ability Stress management skills According Goodall and Warner (2007), a manager who wants to work in China would need to be: Open-minded to the culture shock. Desire to learn the language and culture. Good communication skills. Strong organizational commitment: Think not what your company can do for you, but what you can do for your company (Goodall et al., 2007, p 13). In China, it is hard to retain employees due to the competition of labor. China does not have enough skilled labors and is experiencing tremendous growth economically. To be an effective manager, one should be able to retain employees and adapt to the culture in order to not lose such precious asset. According to Bhuian, Al-shammari, Jefri (2001), a manager needs have a strong organizational commitment, strong desire to work with foreign assignment, and especially good communication skills in order to work in Saudi Arabia. Trainings should be available to the expatriate manager. Gibson et al. identified three steps: Predeparture, which helps the manager prepare for the culture shock. Overseas Assignments, which is to help the manager ease into the culture. Having a mentor or a guide to introduce him or her to the culture. Repatriation, which is helping the manager adjusting back to his own culture when returning from assignment. References Assess-and improve-your global skills. (2012). _HRMagazine, 57_(8), 79. Retrieved from http://www.shrm. org/countryguides Bhuian, S. N., Al-shammari, E. S. and Jefri, O. A. (2001), Work-related attitudes and job characteristics of expatriates in Saudi Arabia. Thunderbird Intl Bus Rev, 43: 21-32. doi: 10.1002/1520-6874(200101/02)43:13.0.CO;2-B Chaturvedi, A. (2002). Organizational behavior. _Finance India, 16_(4), 1482-1484. Retrieved from http://search.proquest.com.ezproxylocal.library.nova.edu/docview/224360708?accountid=6579 Gibson, J.G., Ivancevich, J.M., Donnelly, J.H., Konopaske, R. (2012). _Organizations: Behavior, structure, processes_ (14th ed.)_._ New York: McGraw-Hill. Goodall, K.L.N., Warner, M. (2007). Expatriate managers in China: The influence of Chinese culture on cross-cultural management. _Journal of General Management._ Retrieved from: http://www.jbs.cam.ac.uk/research/working_papers/2007/wp0701.pdf Hellriegel, Don, Slocum, John W. Woodman, Richard W.; Organizational Behavior, South-Western Thomson Learney, 2001, pp 671.

Saturday, October 26, 2019

Genealogy of Alfalfa :: Plants Environment Planting History Essays

Genealogy of Alfalfa In this paper on the genealogy of alfalfa I will begin by telling you about the background and history of alfalfa in the United States. Secondly, I will tell you about the different sources of alfalfa germplasm. Next, I will talk about different studies and experiments that have been done to diversify the breeds of alfalfa. Finally, I will tell you about the genetic makeup of alfalfa and what distinguishes it from other popular plants. Alfalfa otherwise known today as the â€Å"Queen of Forage† is thought to have originated in Iran over 2,400 years ago. It was the only forage crop that was cultivated before recorded history therefore the history of its origin isn’t one-hundred percent accurate. The first attempt to grow alfalfa in the United States was recorded in Georgia in the year 1736. The introduction of alfalfa to California came first by Spanish settlers and later by Europeans. The Europeans were headed to California during the gold rush. They obtained alfalfa seed when sailing around South America. Alfalfa flourished in the western states because of its favorable climate. Because alfalfa has a good yield, is palatable, and has a high value of nutrition. Word spread and so did the planting. Alfalfa then spread eastward to the Midwestern states. The distribution of alfalfa to states east of the Mississippi river was a failure due to its acid soils, plant disease, and humidity. Most of the genetic diversities of alfalfa come from nine germplasm sources. These nine germplasm sources are M. falcate, M. varia, Turkistan, Flemish, Chilean, Peruvian, Indian, and African. According to Barnes, Bingham, Murphy, Hunt, Beard, Skrdla, and Teubar â€Å"M. falcata has orange-yellow flowers and an early fall dormancy therefore it is known to have a heavy first cutting and a light second cutting. It also has some bacterial wilt and foliar disease resistances. Strains were usually classified as M. varia because they had variegated flower colors and variable pod shapes. M. varia sources were introduced to South Dakota in 1907 as seed from a single hybrid plant found in Russia. These sources are winter hardy, more vigorous than M. falcata and are susceptible to bacterial wilt. Turkistan alfalfas have been described as poor seed producers, susceptible to leaf diseases, and resistant to many insects and crown and root disease. They vary in winter hardiness from moderately hardy to hardy.

Thursday, October 24, 2019

Endicott College Essay

Even before the end of the academic year, high school students are excited to choose universities and campuses where they want to continue their tertiary education. There are many reputable colleges and universities out there, but among those which stand out is the Endicott College. Background/History In 1939, just before World War II and towards the end of the Depression, a couple considered starting a college that would cater to educate women so that they could have access to greater independence and would be given the chance for an enhanced position in the workforce. Although this idea was considered radical during the time, the husband-and-wife team of Dr. Elanor Tupper and Dr. George O. Bierkoe made their vision a reality (Endicott College, 2009). The Commonwealth of Massachusetts handed the first charter to the College in 1939. Five years later, the Commonwealth approved the granting of degrees in Associate in Arts and Associate of Science. And in 1952, the New England Association of Schools and Colleges recognized Endicott (Endicott College, 2009). The first batch of students at Endicott College was consisted of only 20 students, who graduated in 1941. In the present, Endicott College accommodates more than 1,700 undergraduate students, 100 students in Mexico and Madrid, and 600 other students in the School of Graduate and Professional Studies. This only shows how the number of students at Endicott has grown over the years. In addition, Endicott has also made changes in the curriculum for its students to better suit the need of the students. The curriculum now includes developments in world trade and technology (Endicott College, 2009). As such, Endicott now offers a range of choices for the students. These are Bachelor of Arts, Bachelor of Science, and Bachelor of Fine arts degrees. In 1996, Endicott added Master in Education. Moreover, the college now offers Elementary Education, Montessori Education, Arts and Learning, Reading and Literacy, Special Needs, Integrative Education, Training and Organizational Management in Hospitality, and Organizational Management. In 2001, Master of Business Administration was added into the curriculum. Endicott makes sure that it offers its students a wide range of choices that can provide them with a degree and experience that can help them in making future decisions. The enriching programs at Endicott have attracted students and adult learners (Endicott College, 2009). Aside from the growing number of students and the number of degrees offered, the Endicott campus has also grown to accommodate students and new buildings. The 200-acre campus in Massachusetts include classrooms and living quarters, athletic facilities, activity centers, conference centers, and state of the art technology (Endicott College, 2009). Endicott desires to â€Å"instill in students an understanding of and appreciation for professional and liberal studies. † In line with this, the College wants students to recognize the importance of â€Å"learning by doing†; this serves as Endicott’s hallmark and philosophy. Its students are known for integrating theory and practice in studies. Also, the College is known for the practice of connecting experience from within classrooms and off campus through internships. Furthermore, Endicott envisions its students to become appreciative of the College’s cultural diversity, community service, ethical and moral values, and international awareness. Endicott also exerts efforts to maintain the positive changes that students exhibit from studying in the College. These are self-confidence, lives that are open to change, technological competencies and stronger professional skills (Endicott College, 2009). Cost Students at Endicott are categorized as full-time or part-time. Full-time students are those enrolled for twelve hours or more of credit every semester. Part-time status applies to students who are enrolled for eleven hours of credit. Only full-time students pay $500 as continuation deposit by the 1st of May. Other costs include; $50 for the processing of a student’s application; $760 for student health insurance annually, which is mandatory; $200 for graduation fee, which includes the preparation of diploma, yearbook, cap and gown, etc. For each year, the students pay $18,752 for tuition for new students while returning students pay $17,748. Housing may range from $6,520 to $1,500 annually. Endicott also offers board plan options consisting of premium, standard, partial, and minimum meal plans ranging from $2,936 to $1,630. Tuition bills are to be paid as instructed so that students can take examinations and attend classes. Other bills can be paid before graduation. Aside from these fees, there are also other fees such as $50 late fee, $150 for general curricular, and $190 technology fee which are paid every semester. Other charges include parking, campus learning program, laptop program fee, and nursing clinical fee (Endicott College, 2004). In 2005, the College spearheaded a campaign wishing to increase endowment so that Endicott can provide more scholarships, faculty development and student aids. The approximate endowment reached up to $14 million (Endicott College, 2005). To equate theory with practice, the College offers programs and activities for its students. The Campus Activities Board (CAB) functions to provide students with cultural, social and educational programming. Students are offered with many opportunities to join concerts, dances, talent nights, lectures, bus trips, movie programs, and cultural events. The College has also many facilities for students, including the 20 residential facilities for 88 percent of students living on campus (Endicott College, 2004). There is also the Richard and Helen Post Center Sports Facility that has labs, offices, training rooms, weight and aerobic rooms, locker rooms, a gymnasium and a field house (Endicott College, 2009). Other facilities at Endicott include meeting rooms, three beaches, theater, and auditoriums. The number of meeting and event rooms available is 40. Endicott’s Callahan Center houses health services, a copy center, dining facilities, bookstore, snack bar, Solarium, and mail services (Endicott College, 2004). References Endicott College. (2004). Discover Experience.Retrieved February 18, 2009, from http://www. endicott. edu/servlet/com. rnci. products. DataModules. RetrieveAttachment/catalog0405/? server=endicottpub&dbname=endicott&site=endicott&sction=attachmentsacademics&article=1&filename=catalog0405. pdf Endicott College. (2005). The campaign for Endicott College: Meeting the challenge. Retrieved February 18, 2009, from http://www. endicott. edu/servlet/RetrievePage? site=endicott&page=InstAdvAnnouncements Endicott College. (2009). Admission. Retrieved February 18, 2009, from http://www. endicott. edu/servlet/RetrievePage? site=endicott&page=AdmissHistory

Wednesday, October 23, 2019

Marketing Is Called Delivery of Standard of Living Essay

Standard Marketing Marketing is one of the terms in academia that does not have one commonly agreed upon definition. Even after a better part of a century the debate continues. In a nutshell it consists of the social and managerial processes by which products (goods or services) and value are exchanged in order to fulfill the needs and wants of individuals or groups. Although many people seem to think that â€Å"marketing† and â€Å"advertising† are synonymous, they are not. Advertising is simply one of the many processes that together constitute marketing Marketing, as suggested by the American Marketing Association, is â€Å"an organizational function and a set of processes for creating, communicating and delivering value to customers and for managing customer relationships in ways that benefit the organization and its stakeholders†. [1] Another definition, perhaps simpler and more universal, is this: â€Å"Marketing is the ongoing process of moving people closer to making a decision to purchase, use, follow†¦ or conform to someone else’s products, services or values. Simply, if it doesn’t facilitate a â€Å"sale† then it’s not marketing. â€Å"[2] Philip Kotler in his earlier books defines as: â€Å"Marketing is human activity directed at satisfying needs and wants through exchange processes†. Add to Kotler’s and Norris’ definitions, a response from the Chartered Institute of Marketing (CIM) [3]. The association’s definition claims marketing to be the â€Å"management process of anticipating, identifying and satisfying customer requirements profitably†. Thus, operative marketing involves the processes of market research, new product development, product life cycle management, pricing, channel management as well as promotion. Marketing-â€Å"taking actions to define, create, grow, develop, maintain, defend and own markets†. An approach to business that seeks to identify, anticipate and satisfy customers needs. Al Ries and Jack Trout defined marketing as simply â€Å"war† between competitors, however this is clearly absurd – ‘Ali v Frazier’ is not marketing†¦ however the publicity and hyping of the event for commercial purposes is. It was the era of the clean-cut figure in a smart suit, the glad hander salesman who could sell refrigerators to an Eskimo, capable of selling everything from used cars to Bibles. It was sometime in the late Forties that attention came to rest upon a number of inter related elements of the marketing task that seemed to act together to influence the offtake of a product or service. Neil Borden of Harvard coined the phrase â€Å"the elements of the Marketing Mix,† depicting the manager of the function as not a specialist in selling, distribution, or advertising but rather a blender of ingredients in the right proportions to suit the market, its time and place. Later Marketing got separated from the notion of selling, including three distinct elements: customer orientation, i. . beginning with the customer; integrating the whole organization taking a long-term point of view; and linking with the primary goals of the business i. e. a combination of growth, market share and profitability. Indeed some writers (Peter Ducker, Regis McKenna) hold that Marketing and Business are synonymous. A later and less comprehensive formulation came to be known as the 4Ps â €“ product, price, promotion and place. This has now become the universal standard as a teaching tool for any introductory course in the subject. This was a vast improvement over the confusion between selling and marketing. It firmly put the former as a part, but only one among many that together explain the success or failure of a product in appealing to customers. Marketing thus became the overarching strategic theme, higher in level of abstraction than the mere act of obtaining the order. The significance of advertising in the establishment of an assured customer base really took off only after the widespread availability of mass media, especially after the 1950s. This not only made competition more difficult but more expensive and affordable only by the large sector. Enter the era of brands and branding. The Brand Image and Personality school came next, mostly identified with the legendary David Ogilvy, who said the brand’s personality gave it â€Å"a first class ticket through life. † The purpose of advertising was to convey the essence of this personality, beyond merely conveying the consumer benefits to the user – and do it in a charming and cultured way (â€Å"People don’t buy from clowns . . . † â€Å"The consumer is not a moron. She is your wife . . . â€Å"). Stephen King – Director, J. Walter Thompson, London – acknowledged as the practitioner’s guru of Branding, stressed the need for all the elements of a brand’s make up – from name, packaging, design elements to the creative expression of the advertising – to hang together. They must be not only mutually consistent, but also reinforcing the strengths of one another, to create a totality greater than the sum of its parts. Though brands have been around a long time the attention to building them happened only after the Sixties. Some enlightened organizations were exceptions and the brand leadership of their famous names still stands, such as Marlboro, Lux, IBM, Gillette, Kodak, Johnson & Johnson and so on. Soon, however, the only distinguishing feature of brands became their distinctive flavour of advertising, particularly so in consumer products. After all what can you say about a car (mileage, power, styling, looks), detergent (washes whiter, brighter clothes, removes stains) soap (refreshes, fragrant) or toothpaste (sparkling teeth, healthy gums, fresh breath) that hasn’t been said before

Tuesday, October 22, 2019

Beowulf and Kennedy as Heroes essays

Beowulf and Kennedy as Heroes essays A hero is defined as A man admired for his achievements and noble qualities (Merriam-Webster Dictionary, 1999). Beowulf and the thirty-fifth president of the United States, John F. Kennedy, are best described as heroes. The traits they both exhibit define heroism. These traits are bravery, charisma and leaving a legacy. Both Beowulf and J.F.K. were noted for their bravery. Beowulf risked his life numerous times not only to protect his own tribe, the Geats, but also to rescue the Danes from the monster Grendel. Kennedy exhibited his bravery in battle as well. When Kennedy was stationed at the Solomon Islands, he was injured during a Japanese attack. He not only swam three miles to shore, but he pulled along an incapacitated friend. J.F.K. was decorated with a Purple Heart and the Navy and Marine Corps Medal, thus commending him for his heroic deeds. There has never been a world leader as charismatic as John Kennedy. To the ladies, he was a sex symbol. To the men, he was the man who would lead their country to victory over communism. To the country, he was a symbol of civil rights, which he adamantly promoted. Beowulf was also quite charismatic. His followers loved him, the Danes cherished him, and readers of his adventure rooted for him. Beowulf was always at the center of attention. At the large dinner prior to his fight with Grendel, Beowulf told stories of his epic quests and answered questions from awed listeners. At each of his fights, a number of spectators watched him in approval as they admired his strength. The legacy left by both of these men still lives on today. People still talk of both men as if they were alive at this time. Kennedy has been praised for his fight against the red scare, his battle for civil rights, and for his creation of the Peace Corp. Ask any middle age adult where he was when Kennedy was shot, and he will be able to describe, in ...

Monday, October 21, 2019

Dramatic Irony in the Pardoners Tale Essay Example

Dramatic Irony in the Pardoners Tale Essay Example Dramatic Irony in the Pardoners Tale Paper Dramatic Irony in the Pardoners Tale Paper Essay Topic: Dr Faustus Literature Both Dr Faustus and The Pardoners Tale seek to offer comprehensive views on both Christianity and its moral values. A particular emphasis in both texts is placed upon sin, and both the two eponymous characters, as well as the societies in which they live, seem to be incapable of halting their sins, or indeed redeeming them. Both Chaucer and Marlowe explore the theme of sin through several passages, one of which they have in common being their title characters. In The Pardoners Tale, the Pardoner is shown immediately to be a dishonest character with very few moral values whatsoever. Chaucers use of somewhat grotesque simile in his mere description makes us feel uneasy, with his hair as yellow as wax hanging down like flax. Later, when we are introduced to the principal aspects of his character, we find that he is dishonest, scheming and self-obsessed to the core. Moreover, he commits what the medieval world thought the greatest sin of all in that he is so proud of it. He tells us quite openly that his intentions are nought but to win [money], and nothing for correction of sin, and delights in recounting to the pilgrims how he is able to dupe his congregations into buying his pardons. The Pardoners sin is presented very effectively to us as readers, in exactly the same way that the Pardoner goes about his sinful acts, through his powerful oratory, and given that when The Canterbury Tales was written, poetry was designed to be read aloud and heard, this presentation of sin becomes even more appropriate. Marlowe makes use of a similar technique in Dr Faustus to show off his characters greatest sin, which also happens to be pride. The medium of drama lends itself probably best of all to exposing a characters shortcomings through their own words and actions, and this is exactly the image Marlowe gives us of Faustus. We first see Faustus arrogance in the opening scene, when he tells us that his common talk are sound aphorisms, and his self-important nature soon leads him to succumb to the chance to become a mighty god by the conclusion of the play. However, unlike Chaucer, Marlowe does not present Faustus as being a character wholly drenched in sin. Faustus is far more wavering, and indeed has many occasions in the play where he is unsure about what he is doing. This leads the audience to develop a somewhat sympathetic relationship with Faustus, which is totally different from our condemnation of the Pardoner. Faustus seems totally unsure in his own head what to do: I do repent, and yet I do despair, but his pride eventually becomes his downfall, as even after Mephistopheles warned him of his frivolous demands, Faustus pours scorn over him, telling him to learn of Faustus manly fortitude. The cruel irony that Marlowe gives us here is that though Faustus many be all-knowing in mortal terms, unlike Mephistopheles he has seen neither heaven nor hell, and therefore knows nothing of the latters true torment. The characters of the Seven Deadly Sins are physically portrayed in Dr Faustus. Mephistopheles conjures devils masquerading as each of the sins to present to Faustus. This is generally accepted by critics as Marlowes shorthand way of introducing the Deadly Sins into the play without adding numerous extra scenes detailing the incorporation of all the sins into Marlowes deeds. They are typical of a device often used in Elizabethan theatre, and would have been dressed grotesquely in such a way to extract laughter from the audience. This is somewhat contradictory, as making the sins into a joke may serve to lessen their potential to be a warning to Faustus to change his ways. However, considering firstly that Faustus sees them as a joke also (in any case he has no true belief that Hell actually exists at all), and secondly the words of the sins, they become a very useful symbolic device in the play. Through their self-description, we can link many of the sins traits to similar ones of Faustus. Pride, for example, has an arrogance that leads him to reject the place into which he has been born, having disdain for any parents. This is very similar to Faustus desire to escape the world of mortal knowledge. Covetousness tells us of its sweet gold: Faustus too tells us of his desire to heap up gold in the opening scene of the play. Thus, there are many warning signs for Faustus in the pageant, but whilst the audience may pick up on them, Marlowe makes sure the dramatic irony is effected by making Faustus oblivious to any of them. The Pardoner, on the other hand, is far from oblivious of his sin, but sin itself is portrayed in a rather different way by Chaucer. Rather than have the sins parade to him, the Pardoner details personally what he considers to be the worldly sins to the pilgrims. This creates the additional irony when the audience discovers that the Pardoner himself is guilty of all of them. Were The Pardoners Tale simply a sermon, an audience would perhaps not take it seriously, given that the Pardoners hypocrisy makes his words lack any true conviction or seriousness. However, the part-Parabolic nature of the tale itself brings a new element of meaning into the sins of The Pardoners Tale. The characters in the tale are described simply as three rioters, and the tale is clearly one of morality: The Pardoner does not focus on their deaths at the end of the tale, simply skating over the fact that they had him slain, and that anon, not getting drawn into the violent details but keeping the overall message of morality going. We know the Pardoner is only doing this in an attempt to make the pilgrims meekly receive his pardon and bag him a profit, but nonetheless the tale can be taken a lot more seriously than the Pardoners sermon given its uncanny resemblance to one of Jesus Parables. Both authors also seek to further the point that sin comes about by the devil taking advantage of ones personal weaknesses. In The Pardoners Tale, the Pardoner tells us that the fiend, our enemy put the idea of poisoning his fellows into the mind of the third reveller, which goes someway to absolving the third reveller of his sins because it was not his fault, but the devils. One possible reading of the character of the Old Man is that he is the devil in disguise, sat at the stile; the crossroads ready to lead the three men down the wrong path. This too would lessen the blame of the revellers for pursuing their sinful cause, although their treatment of the man and their desire for the gold are still both faults of their own. This idea of lessening the blame is also used by Marlowe in Doctor Faustus. All through the play, it is clear at points when Faustus starts to doubt the path he has chosen, Mephistopheles will conjure up a cheap trick to distract his interest. In addition, Mephistopheles explains to us when we first meet him that the reason he has come to Faustus is that when we hear one rack the name of God, Abjure the Scriptures and his Saviour Christ, we fly in hope to get his glorious soul. This element of alleviating blame is crucial in Doctor Faustus, and pivotal to its success as a play, because shifting an element of the responsibility for Faustus sins onto Lucifer allows us to empathise with Faustus, an emotion that would be otherwise impossible to justify. Similarly, we are able to empathise with Mephistopheles as he tells us that he is tormented with ten thousand hells and asks Faustus to leave his demands. It is clear from the language Mephistopheles uses in this passage in Act I, Scene III, that he still has an element of human nature about him. He conveys a sense of emotion and pain that we are able to relate to, in a way that we cannot with, say, Lucifer, as we never get to hear such intimate thoughts of his. Mephistopheles sin is also mitigated by the fact that he lives in hell due to conspiring against our God with Lucifer. The fact that it was Lucifer who committed the mortal sin, and Mephistopheles just a fringe party to it, again allows us to blame Lucifer for part of Mephistopheles fate. Despite some contemporaries and critics believing Marlowe to be an atheist, he nonetheless, along with Chaucer, presents a view typical of contemporary English belief that the devil is responsible for the sins of man. However, both authors go beyond this and suggest that the religious system itself is inwardly sinful, or at least not concerned with the plight of wider society. In Dr Faustus, the Papacy is displayed as greedy and gluttonous, concerned only with dainty dishes and who took the meat. The stupidity of the dirge also highlights the incompetence of the Church, and seeks to mock the general state of Catholicism. In fact, given the era in which the play was written, this may merely be an innocent satire, government-pleasing anti-Catholic propaganda, but even so within the context of the play it raises an important point: are the forces of good on the side of God really any better than Faustus and his path of evil? In most of the play, good and evil are kept very distinct, with Faustus Good Angel and Bad Angel consciences. However here, they become merged, and therefore it becomes more difficult to measure Faustus sins. In The Pardoners Tale, we do not suffer this problem. The Pardoners hypocrisy actually clarifies good and evil all the more because he is so outrageous that we can spot the irony that the good path of life he forwards is not the one he takes. Chaucer also attempts a satire at the Church system, because the Pope and cardinals are in on the Pardoners game. The Pardoner has come from the Court of Rome and he later tells us that he has been given pardons by the Popes hand. This gives us the impression that the Church, as well as the Pardoner, is using peoples fear of their own sins and retribution to make money. Human sin is a key strand of thought throughout both texts, and both authors present it in ways that invoke entirely different emotional responses from their audiences: Marlowes invitation of empathy and sorrow is entirely contrasted by Chaucers effect of comedy and farce. However, both in their own ways still leave a message of morality, and their different presentations of sin both contribute heavily to the audiences need for self-reflection after seeing or hearing the text.