Tuesday, December 24, 2019

Comparison Of The Respiratory System Between Mimus...

Topic - A comparison of the respiratory system between Mimus Polyglottos and Orcinus Orca. I. Introduction While the Mimus Polyglottos lives on land and the Orcinus Orca lives in the sea, the respiratory system of these two species is worth perceiving the way they have evolved from there past ancestors and the similarities these two bring together. As time goes by, these two species have changed from very modest animals to more progressive animals. There respiratory systems have advanced depending on their environment. By proceeding into the way these two species have evolved we can create a more unfathomable and complex understanding of the respiratory system between the two. II. Background information on Orcinus Orca †¢ Orcas are very†¦show more content†¦(Mortola, 2001). While an Orca breathes, the blow that looks like it’s in the water is the water vapor condensing in the respiratory gases as they enlarge in the cool air. †¢ The Orca can hold its breath for a lengthier amount of time and exchange more lung air with each breath in comparison to a person. (Hoelzel, 1998). †¢ Water that is on top of the blowhole when the powerful exhale begins is forced up with the exhaled respiratory gases. †¢ The whale’s lungs contain more alveoli and they are surrounded by two layers of capillaries increasing surface area for better gas exchange (Likens, 1979). †¢ Compared to humans a killer whale holds its breath for longer and exchanges more lung air with each breath (Hoelzel, 1998). V. Mimus Polyglottos respiratory system: †¢ The Polyglottos has a two-cycle respiratory system in contrast to mammals who only have one. †¢ Polyglottos have some control over the respiratory system that is essential to allow the creation of muddled sounds (Goller, 2010). †¢ The Polyglottos has four chambers in their heart. †¢ Polyglottos are changed early to low oxygen conditions since the strategy of the respiratory and circulatory system makes their oxygen uptake very resourceful. †¢ Polyglottos have comparatively small, non-inflatable lungs and nine air sacs that play a vital role in ventilation but are not directly involved in the exchange of

Monday, December 16, 2019

Shanghai Business Environment Free Essays

Enterprises that want to invest in China can stumble over an array of regulations that do not give them free choice of where they wish to locate. This situation has been changing, and China’s membership in the World Trade Organization (WTO) should act as another catalyst to make the investment climate freer in several industries. Enterprises can look forward to making decisions on where to locate within China based on factors that they would use in the more-familiar open environment. We will write a custom essay sample on Shanghai Business Environment or any similar topic only for you Order Now To appeal to businesses, cities need a good IT infrastructure, strong leadership, incentives, and â€Å"livability† (see Figure A). Figure A The size of China’s market and Western enterprises’ desire to get close to it means that Chinese cities do not generally compete for foreign investment with cities in other Asia/Pacific countries. Outside the manufacturing sector, most enterprises locate in China because they want to sell to China. Of all China’s cities, Shanghai has gone furthest toward the success factors for a global â€Å"smart city. † Its ambition to become a major financial center and player on the international stage by 2015 has fueled this drive. History has also given Shanghai many advantages. It is probably the most outward-looking of any Chinese city and has a strong political voice in Beijing. The latter has allowed Shanghai to lead the way in many initiatives because China’s political leaders often use the city to test out new ideas. As a result, many initiatives that started in Shanghai have now spread elsewhere in China. Shanghai’s characteristics Livability To most Western expatriates, Shanghai is perhaps the most livable of Chinese cities. The city continues to make strides to improve (e. g. , announcing new rules to allow foreigners to buy property for the first time). Measured against other big cities such as Singapore, Hong Kong, or Sydney in the Asia/Pacific region, Shanghai still scores low. From a global perspective, livability is one of Shanghai’s weakest areas. However, livability has a large subjective component, and what appeals to Western tastes may not rank as important to the skilled Chinese workforce that an enterprise might what to attract. Incentives Shanghai has traditionally enjoyed a sizable chunk of foreign investment into China, in part because of its position as a testing ground for reform. In some cases, China has forced foreign investors to set up in the city first. This advantage will diminish, and Shanghai will need to learn to play on a more-level playing field. The city has committed to spending, by 2005, 150 billion yuan (one-third of its total industrial investment) on expanding its high-tech sector. This investment targets software and integrated circuit manufacturing, and the city will provide some tax breaks for new operations and help for self-employed software designers. Keeping costs low is key in attracting new business. Shanghai will have to balance the inevitable rise in labor costs with suitable business incentives. Leadership Shanghai’s leaders know where they want to go during the next 10 or 15 years and what basic things they need to do to get there. However, they did not develop this vision in partnership with business or the community. Rather, as a command economy, decisions have been made by a select few behind closed doors. Thus, its leaders have greater ability to get things done quickly than leaders in democratic societies often have. Cities such as Shanghai can complete projects without long internal or public debate over infrastructure projects that might take years in the planning stages in other countries and involve a myriad of agencies. Shanghai has benefited tremendously (certainly compared to the rest of China) from the pedigree of its leaders. President Jiang Zemin and Premier Zhu Rongji are former leaders of Shanghai and have strongly supported the city. However, Shanghai knows that spending does not necessarily produce results. Ten years ago, it started pouring money into redeveloping the riverside Pudong district into an area of towering skyscrapers, designed to be China’s version of Manhattan. Within a city of 16 million people, Pudong ended up as a ghost town. Slowly, occupation levels have risen, but largely because the central government has â€Å"twisted the arm† of foreign enterprises rather than use real incentives. Infrastructure Many of the city’s hopes revolve around an ambitious project to link all of Shanghai to a giant high-speed data network, known as the Shanghai Infoport. Scheduled for completion in 2010, the project stands out not just for its scale but also for its attempt to bring together many strands of existing infrastructure (telecommunications and cable television especially) into one cohesive network. If it succeeds, Shanghai will be among the few cities in the world to have achieved such a feat. Five main projects will rely on the Infoport’s high-speed infrastructure: 1. Shanghai Information Interchange Network: A â€Å"giant intranet† for Shanghai with links to many kinds of information 2. Shanghai Society Security Network: Designed to offer e-payment and checking and to facilitate the use of smart cards 3. Social Electronic Data Interchange Network for Foreign Trade: An export/import data exchange for foreign trade 4. Social Community Service Network: Focused on the residential community 5. Gold Card and Commercial Value-Added Network: Linking banks’ automated teller machines (ATMs) and payment systems With 3. 2 million users, Shanghai claims to have the largest cable TV network of any city in the world, and this local-access network has a central part in Infoport. Shanghai’s connections in national government played an important role in keeping the project on track. Although cable TV networks in the rest of China were barred for a period from offering Internet or telecommunication services, Shanghai received a special dispensation to upgrade its cable TV networks to do just that. The municipal government claims that 1 million residents can now reach interactive services through their televisions. It wants the entire network to be interactive by 2004. In addition, Shanghai Telecom (part of China Telecom) is rolling out digital subscriber line services and installing the necessary in-building cabling to offer Ethernet broadband access. Mayor Xu Kuangdi talked recently of every home having broadband access by 2004. At the same time, Shanghai Telecom has worked on improving the quality of the core network to be ready for the deluge of new data traffic the Infoport will bring. By year-end 2000, it completed work on what it claims is the world’s largest local ATM network. Shanghai now uses a total of 320,000 kilometers (198,848 miles) of fiber-optic cable, with more than 4,000 optical nodes. Shanghai Telecom says it has deployed optical fiber in more than 90 percent of the city’s residential areas. Shanghai’s challenges Building an infrastructure represents only part of making the Infoport work. The real test is whether people will use it. Only in the last few months have the first real customers logged on, so it’s a little early to tell what the response will be. Cost may prove one prohibiting factor, and the local government may have to consider deep subsidies to encourage more than just the wealthiest people to sign up. Content also remains a question. Experience from elsewhere in the world, especially Singapore, a world-class smart city where government has tried to link itself to all the people, shows that the bulk of a city’s population generally does not have much interest in such projects. They may want video-on-demand, but filling out tax documents online doesn’t really excite them. Bottom line Other Chinese cities, notably Beijing, have begun some of the initiatives under way in Shanghai and are rapidly improving their information infrastructure. Shanghai will likely continue to stand out as China’s smartest city, according to Gartner’s success factors. Shanghai’s early start and its ability to exploit openings created by the central government’s policies will likely keep the city at the forefront of innovation for some time. Shanghai’s advanced, if incomplete, IT infrastructure makes it a good place for Western enterprises to locate central operations in China. In addition, Shanghai is a good place in which to experiment with business-to-business and business-to-consumer projects requiring advanced IT infrastructure in hopes of rolling them out to the rest of the country when the infrastructure permits. How to cite Shanghai Business Environment, Papers

Sunday, December 8, 2019

(ERP) Enterprise Resource Planning

Question: Write a section of paper on ERP? Answer: The ERP system has been the major tool which is able to support all the resources to enable planning of the products and its manufacturing cost. The sales and the marketing process are inventors and they completely depend on the shipping and the practices followed under the corporate performance system. The business is able to assure the departments are able to provide better accounting, thereby, preparing themselves with some implementation solutions which could facilitate the sections on a successful strategically accessing the system. (Leon, 2014). The framework of PMBOK has been under the management which supports all the projects that have been properly managed and there is a wide requirement to coordinate the project which needs to be satisfied as per the budget that has been set for the process to be under the framework of perfect knowledge and practice. (Cheu et al., 2014). The management of the project is under the determination that ERP researchers will be able to acquire some best practices which will be helpful to manage with the techniques along with managing the ERP to integrate the operational updates, important to support the database. With the methodology, there are certain expected implementations which are justifiable to be implemented under the anticipation of SAP technology. The acceptance to take in the corporation which will be able to change the team for a better change, impose the improvement and try to perform some outstanding highly efficient quality of work which would result in assurance of meeting the IT requirements important to collect and procure to all the plans. The examination and the improvement process generally tries to help in properly managing the PHARMA which will be under the representatives of the team. (Tan Xu, 2014). The work and the communication to set up the basic team project and to implement the work systematically is only possible, when there are meeting arranged with the PR consultants of the company, which try to manage the project and bring in a union to properly look over all the processes and the incidents. The implementation of the core team feel the need of GSOP which has a broad view on the subset and its implementations on the availability and the format to clean up and collect the legacy. (Mamoghli et al., 2014). The approach to lose-lose situation, sometimes have to face problems regarding the cost and its management.in the Pharma Inc., it has been seen, that the knowledge of how to process the education and properly manage the systems with prop er project functionality comes when there are proper investments in the company under a proper project. As per the communication, there is a need for the demonstration which will be able to guide with the ERP projects that would hold a major position for the SAP. The accommodations are done as per the skills which will be able to outline the recruitment, thereby, suggesting some better solutions for the practices to be completed in time. (Leon, 2014). The work is important to be completed so that the data could be formed and used for weighing, which is a critical ERP process. Reference Leon, A. (2014).Enterprise resource planning. McGraw-Hill Education. Chiu, Y., Claybaugh, C. C., Lea, B. R., Yu, W. B. (2014). Enterprise resource planning. Mamoghli, S., Goepp, V., Botta-Genoulaz, V. (2015). An operational Risk Factor Driven approach for the mitigation and monitoring of the Misalignment Risk in Enterprise Resource Planning projects.Computers in Industry,70, 1-12. Tian, F., Xu, S. X. (2015). How Do Enterprise Resource Planning Systems Affect Firm Risk? Post-Implementation Impact.Management Information Systems Quarterly,39(1), 39-60.

Saturday, November 30, 2019

Informal Logic †Same Sex Marriage Outline Essay Sample free essay sample

Introductiona Most people believe that matrimony is a consecrated establishment. and should merely be between a adult male and a adult female. and that it’s wicked for matrimony to be between same sex twosomes. I believe matrimony should be legal for a adult male and a adult female that genuinely love each other. with the purposes of desiring to unify their lives together. Should homophiles be able to get married? I intended to explicate my grounds for homosexual and against homosexual matrimony. Some people believing that matrimony should be between a adult male and a adult female non for homophiles. The inquiry is should homosexual matrimony be allowed? Reasons against homosexual matrimonyIt could supply a slippery incline in the legality of matrimony ( e. g. holding multiple married womans or get marrieding an animate being could be following ) . ( Messerli. 2011 ) iIf the thought of matrimony goes from a adult male and a adult female to leting for same sex matrimony so what is to halt at that place. We will write a custom essay sample on Informal Logic – Same Sex Marriage Outline Essay Sample or any similar topic specifically for you Do Not WasteYour Time HIRE WRITER Only 13.90 / page Why would we non let for the Islamic faith to pattern their beliefs and let for a adult male and a adult male merely to hold multiple married womans? Even further why merely let for people of a certain age to be allowed to get married? Why non let for a adult male or a adult female to get married into bestiality? If the intent of matrimony is to raise kids. so the inquiry of same-sex matrimony comes down to the biological science of the sex variety meats. A adult male and a adult female can hold a kid. but a adult female and a adult female. or a adult male and a adult male. can non. Since same-sex twosomes can non reproduce. they can non carry through this basic map of matrimony. ( Sullivan. 2013 ) iThe fact bases and can non be refuted that is the universe were to be cheery world would non be. A adult male and another adult male or a adult female and another adult female can non in any manner procreate. It is physically impossible for this to go on and to existence of homo on Earth would stop. So why would we as worlds allow for some to pattern an action that could be lay waste toing to the human race. Possibly the most controversial statement that the guardians make is that the establishment itself would be harmed if it were opened to same-sex twosomes. ( Denniston. 2012 ) iSame sex matrimony Dose non fall into spiritual belief in any manner by any faith. In 1998. President Bill Clinton signed the Defense of Marriage Act ( DOMA ) . saying that same-sex twosomes would non be eligible for federal benefits. ( Johnson ) iIf we allow federal benefits to same sex matrimony so we are traveling against what the bulk of the American population believes in and to federally fund a plan for this would non be what the country’s electors wish to pass heterosexual financess on. Reasons in support of homosexual matrimonyaIn states where same-sex matrimony has been legalized–Belgium. Canada. the Netherlands. and Spain–the rate of heterosexual matrimony stableness has either gone up. remained stable. or declined consistent with other states in the part that do non acknowledge same-sex matrimony. ( Head. 2006 ) iSame sex matrimony does non impact the heterosexual matrimony rate. Same sex twosomes can learn heterosexual twosomes how twosomes in relationships missing gender based power kineticss frequently solve jobs and do determinations with more regard and mutualness. ( Gourguechon. 2012 ) iIn some cases same sex twosomes look at issues otherwise than heterosexual twosomes do. This could be used as a signifier of guidance. Marriage existed before Church and province. Therefore. â€Å"Neither Church nor province invented matrimony. and neither can alter its nature. † ( Huizenga. 2012 ) iMarriage came foremost without limitations or counsel from province of the Church. To seek and state the either should hold an influence on matrimony after the fact of origin is non acceptable. DecisionSame sex matrimony a really controversial subject that has been around for rather some clip. Even if the United States authorities were to do a opinion tomorrow that allowed for same sex matrimony through the United States of America there would be rather a rebuttal by many of the states people. The US authorities has to seek and delight the bulk of the electors for blessing and re-election. The bulk of Americans today believe matrimony is to be between a adult male and a adult female. Not same sexes. Marriage was ab initio intended for a adult male and a adult female who are in love with one another. person who wish to unify as one. Peoples are contemplating. Should homophiles be able to get married? I stated different pros and cons to each side of the inquiry of. Should homophiles be able to get married? Some people believing that matrimony should be between a adult male and a adult female non for homophiles. The inquiry is and will be for infinity. should homosexual matrim ony be allowed? Mentions Denniston. L. ( 2012. November 29 ) . hypertext transfer protocol: //www. businessinsider. com. Retrieved from Business Insider: hypertext transfer protocol: //www. businessinsider. com/the-legal-case-against-gay-marriage-2012-11 Gourguechon. P. ( 2012. May 10 ) . Psychology Today. Retrieved from hypertext transfer protocol: //www. psychologytoday. com: hypertext transfer protocol: //www. psychologytoday. com/blog/psychoanalytic-excavation/201205/ten-reasons-support-gay-marriage Head. T. ( 2006. June 1 ) . About. com. Retrieved from About. com Civilliberty: hypertext transfer protocol: //civilliberty. about. com/od/gendersexuality/a/marriageamend. htm Huizenga. L. ( 2012. August 9 ) . First things. Retrieved from hypertext transfer protocol: //www. firstthings. com: hypertext transfer protocol: //www. firstthings. com/onthesquare/2012/08/opposing-gay-marriage-is-rational-not-religious Johnson. R. ( n. d. ) . hypertext transfer protocol: //gaylife. about. com. Retrieved from Gaylife: hypertext transfer protocol: //gaylife. about. com/cs/gaymarriage/i/doma. htm Messerli. J. ( 2011. November 19 ) . Balanced Politics. org. Retrieved January 13. 2012. from hypertext transfer protocol: //www. balancedpolitics. org: hypertext transfer protocol: //www. balancedpolitics. org/same_sex_marriages. htm Sullivan. A. ( 2013. January 13 ) . Arguing Equality. Retrieved from hypertext transfer protocol: //www. arguingequality. org: hypertext transfer protocol: //www. arguingequality. org/chapter5. htm

Tuesday, November 26, 2019

Homeostasis essays

Homeostasis essays The human bodys ability to maintain a constant environment is essential to its survival. This capability is referred to as homeostasis. Homeostatic mechanisms keep the body near a set point, based on the sensitivity of central nervous system nuclei, which is an ideal value for that particular person. An example of a homeostatic mechanism is a negative feedback mechanism. Any deviation from the set point is made smaller. This mechanism does not prevent variation, it only helps keep the variation near the set point. Many negative-feedback mechanisms have three components; a receptor, a control center and an effector. A receptor monitors the significance of the variable. The control center is where the set point is established. The effector has the ability to change the variable. The set point varies from person to person. The body usually does not maintain its set point exactly but instead it fluctuates and declines around this point bringing forth a normal range of values. When the body undergoes a physical stressor; such as exercise, a secondary set point is established. The Schneider test measures the recovery rate, the rate at which the body moves back to the original set point once a stressor is removed. It determines the recovery limit of the cardiovascular system. It is based on the measurement of heart rate and blood pressure before, during and after exercise, a stressor in this case is standing and moderate exercise. This system was developed by Dr. Schneider after World War I in order to evaluate combat preparedness and overall fitness of American aviators. Exercise: 15 sec.- 88 Score: 16 ...

Friday, November 22, 2019

Chant and Cant

Chant and Cant Chant and Cant Chant and Cant By Maeve Maddox My dear friend, clear your mind of cant. You may say to a man, Sir, I am your most humble servant. You are not his most humble servant. You tell a man, I am sorry you had such bad weather and were so much wet. You dont care sixpence whether he is wet or dry. You talk in this manner; it is a mode of talking in Society: but dont think foolishly. (Johnson to Boswell, May 15, 1783) The word cant as Samuel Johnson uses it here means empty talk, insincere expressions of feelings or beliefs the speaker doesnt really have. The OED gives various other meanings for the word cant, including: A pet phrase, a trick of words; esp. a stock phrase that is much affected at the time, or is repeated as a matter of habit or form. Phraseology taken up and used for fashions sake, without being a genuine expression of sentiment Affected or unreal use of religious or pietistic phraseology; language (or action) implying the pretended assumption of goodness or piety. Cant is a doublet of chant. Both come from French chanter to sing. In a broad sense, a chant is a song, but what most people think of as a chant is a monotonous song, not particularly melodious, and usually unaccompanied by a musical instrument. Chant can also be used as a verb: Monks chant their prayers. Magicians chant their spells. How did a word meaning song or to sing give rise to one meaning empty talk? Canting was a term applied to the sing-song whining pleas of beggars asking for charity. What the beggars said was perceived as insincere and their way of saying it was like singing. Thus the word cant in Dr. Johnsons sense was born. By the way, Dr. Johnsons advice to Boswell remains as valuable to writers today as it was in 1783. Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Vocabulary category, check our popular posts, or choose a related post below:Writing Prompts 10150 Synonyms for â€Å"Idea†Adverbs and Hyphens

Thursday, November 21, 2019

The Legacy of the Prophet and the Society Assignment

The Legacy of the Prophet and the Society - Assignment Example In his book, Shadid notes that the face of Islam in the Middle East has changed from one perceived to be wary and violent to a peaceful one. Thanks to Islamic activists who have undergone great transformation helping the poor and providing solace through their social activism. Hashemi also records that the argument in The Legacy of the prophet was mainly based on the change in political Islam. This political change represents the modern Islam and is characterized by advocacy for democracy and non-violence. These Islamic movements have demonstrated a shift from the older militant process to a more democratic process. The modern Islam advocate for moral Islamic commitment and community loyalty, economic justice and a place for women in society, and advocate for a state governed by Islamic Sharia. These would translate into a modern society. Kurzman notes that there are three models of Sharia: Liberal sharia, silent Sharia and interpreted sharia. Some of the issues raised in The Legacy of the Prophet are representation of the models presented by Kurzman. This is particular with the â€Å"interpreted sharia†. According to the model, sharia is welcome to interpretation. The fact that modern Islam advocate for democracy and liberalization links them to â€Å"interpreted sharia† model. Model is seen as liberal allowing for re-interpretation of sharia. The model also depicts sharia as divine. This aspect is evident in the modern Islams when they advocate for a state governed by Sharia which is divine  

Tuesday, November 19, 2019

CONCORD BOOKSHOP PAPER Essay Example | Topics and Well Written Essays - 500 words

CONCORD BOOKSHOP PAPER - Essay Example pelling change in the organization, followed by a focus on the behavioral aspect of organizational change and finally analyzing the dynamics of motivating employees to alter their behaviors (Spector, 2010). The three phases in the organizational change process are organizational diagnosis through strategic renewal, redesigning the organization, and altering employees’ behavioral aspects. These phases bring about new competencies, skills, and behavior patterns. Organizational diagnosis is critical because it encourages broad based participation, which helps to overcome resistance and defensiveness to the change. During this phase, a mutual agreement is encouraged among the workers regarding the need for change. An organization can enhance strategic renewal by carrying out organizational diagnosis to come up with a road map for identifying its status and desired future. Organizational diagnosis offers future prospects of the effectiveness of an organization (Spector, 2010). The second step in implementing change redesigning the organization by identifying its purpose. If organizational diagnosis creates dissatisfaction with the status quo, the employees should take part in redesigning behavioral patterns to support strategic renewal as well as outstanding performance. It also entails changing the design of the organization in response to the changing dynamics in the organization environment. The third step entails altering the behavioral aspects. Spector defines behavioral change as the alteration of employee behavior to enable the organization to meet its strategy demands while simultaneously attaining and sustaining exceptional performance. Effective strategic renewal thus necessitates behavioral change and this directly targets employees’ actions as well as interactions patterns to meet the company strategy and to achieve and sustain good performance. An organization can enhance behavioral change by adoption of an organizational culture and c hange that is in

Saturday, November 16, 2019

About Shakespeare Essay Example for Free

About Shakespeare Essay Hamlet is Shakespeare’s longest and most tragic play. It was first published in 1603, from a draft published several years earlier. The play begins two months after the death of King Hamlet of Denmark. The country is in a state of unrest. Young Fortinbras of Norway is preparing for war. After the King’s death, his brother Claudius takes over the throne, and marries the widowed Queen Gertrude. Young Hamlet, the late king’s son is incensed. He is told by the ghost of his father, that Claudius had poisoned him, to become the King of Denmark. Hamlet starts acting like a madman rousing concern. Polonius, an advisor to King Claudius is also worried by Hamlet’s strange â€Å"transformation. † The two, along with Queen Gertrude instruct Rosencrantz and Guildenstern, Hamlet’s childhood friends to spy on him. Hamlet is also increasingly hostile towards his love, Ophelia, Polonius’ daughter. Out of fear, the King orders Hamlet to be sent to England. King Claudius and Polonius both feel that Hamlet is dangerous. To ensure who the culprit was, Hamlet cleverly changes the lines in a play which is performed before the king and the queen. See more: Is the Importance of being earnest a satirical play essay The King’s reaction convinces Hamlet that it was indeed he who poisoned his father. Alone, King Claudius reveals his crime, and confesses that he cannot escape divine judgment. After the play, Queen Gertrude scolds her son, but he instead scolds his mother for her wrong actions. Polonius is spying on the two, from behind a curtain. Hamlet hears Polonius, and kills him thinking he is Claudius. Anxious and scared, the king orders Hamlet to be sent to England, along with Rosencrantz and Guildenstern. The King wants Hamlet killed as soon as he arrives in England. Hamlet had the spies Rosencrantz and Guildenstern put to death instead. Meanwhile, Young Fortinbras has brought his army to Denmark. Hamlet admires Young Fortinbras, for his courage to fight for honor. The death of Polonius has a profound impact on Ophelia, who in her depression and apathy kills herself by drowning. Laertes, Polonius’ son is enraged. The king tells him that it was Hamlet who murdered Polonius. The two decide to get rid of Hamlet, their common enemy. Claudius and Laertes arrange a duel, in which Laertes will fight Hamlet. To ensure Hamlet’s death, Laertes poisons the tip of his sword. In the course of the duel, Laertes, Hamlet and the King are poisoned by the same sword. Queen Gertrude drinks a poisoned drink meant for Hamlet, and is killed. Dying, Hamlet tells Horatio to tell the world of his story and recommends Young Fortinbras the next king of Denmark. Hamlet – Prince of Denmark is a play that deals with the main subjects of honor, revenge and suicide. Hamlet is not our typical hero. Born in a royal family, he is a refined young man with noble attributes, but he has his weaknesses. After his father’s murder, he is driven mad by anger when his mother marries Claudius. His love for Ophelia too turned into a strange confusion and mix of emotions. He distrusts all those around him, and starts dwelling in a melancholy state of mind. Even those he thought were his friends turn out to be spies sent by the king and queen. This also explain Hamlets â€Å"insanity† to a great extent. But even so, Hamlet is a disturbed individual. The way he treats Ophelia is obvious evidence. He is cruel to her, in spite of her efforts to try and understand him. He is also impulsive – he kills Polonius without thinking twice. Justice and revenge form major themes of the play, with Claudius, at the Head of a country, having killed his own brother, and Hamlet, avenging his father’s death. Suicide also forms an essential theme in the play. Ophelia kills herself by drowning. Hamlet too is prompted to kill himself. † But should he, or not; â€Å"To be or not to be, that is the question. † Shakespeare portrays all the characters with great ingenuity. He analyses human psyche, and how eventually, everyone’s destiny is controlled by fate. References: About Shakespeare, Hamlet Study Guide, http://absoluteshakespeare. com/guides/hamlet/hamlet. htm

Thursday, November 14, 2019

gatdream F. Scott Fitzgerald’s The Great Gatsby - Seeking the Unattain

Great Gatsby - Seeking the Unattainable Dream What is the American Dream? America has evolved from an infant, struggling, nation to become a world power through its unprecedented economic growth. Driven by the tenets of independence, self reliance, and freedom, Americans have had the opportunity to pursue economic success. To many, this is the American Dream; to have freedom and the opportunity to pursue financial freedom. To others, such as Gatsby, Walter, and Jake, the American dream is happiness. They are driven by their dreams, seeking what they believe will make them happy. Gatsby and Jake seek happiness through love while Walter seeks happiness through money. The belief that bliss, utopia, and tranquility are within their grasps drives these characters. Yet the mere fact that their dreams are unattainable makes them flawed. Without dreams, Gatsby, Walter, and Jake lose their sense of purpose in life. Thus the pursuit of the American dream is a paradox. Achieving it is impossible, but without it, life will lose its purpose. Gatsby, Walter, and Jake are representations of the American dream because the love and happiness they seek are impossible to obtain. The birth of the desire for the happiness and love of the American dream in Gatsby occurred when he met a man named Dan Cody. After his disgust with college, Gatsby sought a new life. He found the promise of his fame and fortune in Dan Cody's yacht. "To young Gatz, resting on his oars and looking up at the railed deck, that yacht represented all the beauty and glamour in the world" (Fitzgerald 106). As soon as he borrowed the row boat that transported him to the yacht, Gatsby was no longer James Gatz, he had became Gatsby, inst... ... education and money do not necessarily lead to happiness. "But excited monetary pursuit, Fitzgerald shows, goes hand in hand with personal anxiety: under the strain of competition, social life has become a medium of unease" (Fitter 8). The students of Mission should follow Walter's example and realize that their dream is oversimplified and flawed. They need to mature and realize that there are many pitfalls and problems that are created by money, and that they can find happiness through other things besides money such as family, religion, and love. Gatsby, Walter, and Jake are a representation of the American dream because the love and happiness they seek is impossible to obtain. Despite the impossibility, human beings need a dream in order to have a purpose in life. Without dreams life will become aimless, drying up like a raisin in the sun. gatdream F. Scott Fitzgerald’s The Great Gatsby - Seeking the Unattain Great Gatsby - Seeking the Unattainable Dream What is the American Dream? America has evolved from an infant, struggling, nation to become a world power through its unprecedented economic growth. Driven by the tenets of independence, self reliance, and freedom, Americans have had the opportunity to pursue economic success. To many, this is the American Dream; to have freedom and the opportunity to pursue financial freedom. To others, such as Gatsby, Walter, and Jake, the American dream is happiness. They are driven by their dreams, seeking what they believe will make them happy. Gatsby and Jake seek happiness through love while Walter seeks happiness through money. The belief that bliss, utopia, and tranquility are within their grasps drives these characters. Yet the mere fact that their dreams are unattainable makes them flawed. Without dreams, Gatsby, Walter, and Jake lose their sense of purpose in life. Thus the pursuit of the American dream is a paradox. Achieving it is impossible, but without it, life will lose its purpose. Gatsby, Walter, and Jake are representations of the American dream because the love and happiness they seek are impossible to obtain. The birth of the desire for the happiness and love of the American dream in Gatsby occurred when he met a man named Dan Cody. After his disgust with college, Gatsby sought a new life. He found the promise of his fame and fortune in Dan Cody's yacht. "To young Gatz, resting on his oars and looking up at the railed deck, that yacht represented all the beauty and glamour in the world" (Fitzgerald 106). As soon as he borrowed the row boat that transported him to the yacht, Gatsby was no longer James Gatz, he had became Gatsby, inst... ... education and money do not necessarily lead to happiness. "But excited monetary pursuit, Fitzgerald shows, goes hand in hand with personal anxiety: under the strain of competition, social life has become a medium of unease" (Fitter 8). The students of Mission should follow Walter's example and realize that their dream is oversimplified and flawed. They need to mature and realize that there are many pitfalls and problems that are created by money, and that they can find happiness through other things besides money such as family, religion, and love. Gatsby, Walter, and Jake are a representation of the American dream because the love and happiness they seek is impossible to obtain. Despite the impossibility, human beings need a dream in order to have a purpose in life. Without dreams life will become aimless, drying up like a raisin in the sun.

Monday, November 11, 2019

Re-Examining the ‘Step-and-Slide’: Sex Differences in Pedestrian Collision Avoidance

Abstract Previous literature has reported sex differences in collision avoidance behaviour by pedestrians. The current study sough to establish whether these sex differences are still valid now by observing an opportunity sample of male and female pedestrians in a busy location. A chi-square test found a significant (p 01) relationship between sex and collision avoidance behaviour. In particular, women were significantly more likely to engage in closed passes and men were significantly more likely to engage in open passes. This finding is in keeping with the pattern previously reported by Collett and Marsh (1981). Future research is needed to understand why these sex differences may exist. Introduction Despite often busy and overcrowded public areas, pedestrians can be observed navigating and avoiding collisions with remarkable ease. Previous literature appears to be relatively unanimous in its observations and conclusions about how pedestrians are able to avoid collisions. In an early study, Goffman (1972) made a number of observations including that people tend to form two lanes whilst walking upon the pavement, with one group walking on the inside, away from the road and the other group walking on the outside and close to the road. Many years later, Collett and Marsh (1981) observed the same phenomenon and coined the term ‘pedestrian streaming.’ It was also discovered that individuals will use others’ movements and monitor their intentions, known as â€Å"externalisation,† to ensure a smoother passage. These movements may be unconscious or conscious and may as be discrete as a slight turn of the shoulders. Again, this phenomenon was also observed by Wo lff (1973), who named it â€Å"behaviour monitoring.† Wolff (1973) observed that many pedestrians engage in what he coined the ‘step-and-slide’ pass, which involved a slight angling of the shoulders alongside a discrete side step. After videotaping the passing behaviour of individuals using a pedestrian crossing, Collett and Marsh (1981) noted significant sex differences in the strategies used whilst engaging in this type of pass. Males were far more likely to use an open pass strategy by orienting toward the person they were trying to avoid whereas females were more likely to use a closed pass strategy by orienting themselves away from the person they were attempting to avoid. Interestingly, the types of pass used could not adequately be explained by the natural position of the leg during passing and even when it was more difficult, women were still more likely to use a closed pass. The researchers concluded that the use of a closed pass strategy by women was an example of self-protective behaviour. In particular, the auth ors concluded that women were attempting to protect their breasts after observing that they often drew their arms across their bodies during the pass. The result of Collett and Marsh’s (1981) study may now be outdated. Therefore, the current study aimed to investigate whether sex differences in collision avoidance behaviour still exist today and whether the pattern still reflects that seen by Collett and Marsh (1981). Based on previous literature it is hypothesised that females will make more closed passes than males and that males will use more open passes than females. MethodParticipants2,910 participants (1,376 females, 1,534 males) were observed using an opportunity sample. As this was a observation study it was not feasible to collect demographic data such as age.MaterialsObservations were recorded on a data collection grid. The data collection grid was used to record the sex of the pedestrian and whether a open pass, closed pass or neutral pass was observed. Design This was a between-subjects design with male participants being compared with female participants. The predictor variable was the sex of the pedestrian and the criterion variable was the type of passing behaviour exhibited.ProcedureBefore collecting data for the study a pilot study was carried out to ensure that the observers could correctly identify whether a pedestrian was exhibiting an open pass, closed pass or neutral behaviour. Data was collected on an opportunity sample of ten pedestrians for the pilot study. For the main study, data was collected by observing pedestrians at various train stations during peak times. Two researchers collected the data with one acting as observer and the other acting as recorder. Observations were based on an opportunity sample and a mix of male-male, female-female and female-male interactions were recorded.ResultsA total of 1,376 females and 1,534 males were observed. Of the 1,376 females, 561 engaged in an open pass, whereas 815 engaged in a closed pass. Of the 1,534 males observed, 1,070 engaged in an open pass, whereas 464 engaged in a closed pass. A chi-square test was performed and a significant relationship was found between sex and type of collision avoidance behaviour X2 (1, N = 2910) = 247.32, p < 0.01. [Insert graph here] Discussion The aim of the current study was to investigate whether current sex differences in pedestrian collision avoidance behaviour support previous literature that has found females are more likely to use closed passes, whereas males are more likely to use open passes when avoiding each other in busy pedestrian areas. It was found that more women engaged in closed passes than men and that more men engaged in open passes than women. Statistical analysis revealed that there was a significant relationship between sex and type of collision avoidance behaviour. This means that women are significantly more likely to engage in closed passes, whereas men are significantly more likely to engage in open passes. This finding is in support of previous literature (Collett and Marsh, 1981) and the data supports the researchers’ hypothesis. Collett and Marsh (1981) argued that females engage in closed passes in an attempt to protect their breasts because they observed that women often drew their arms across their chests during the pass. However, more recent research has demonstrated that even in non-confrontational, everyday situations, females tend to sit in closed positions whilst keeping their arms close to their bodies (Cashdan, 1998; Vrugt and Luyerink, 2000). This suggests that Collett and Marsh’s (1981) initial interpretation may be flawed. Women may naturally adopt closed body language, which they are also likely to use during pedestrian collision avoidance scenarios. The finding that men are more likely to use open passes is in keeping with previous literature on male body language and non-verbal communication. For example, Mehrabian (1968) found that men tend to show more alertness than women by directing their shoulder orientation toward the other person. This could explain why men adopt an open positi on and direct their shoulders toward the other individual whilst passing them. Luxen (2005) found that men tend to exhibit behavioural dominance in situations involving women. Turning their body toward a woman, whilst she turns away, may reflect this dominance. Therefore, the current findings can be interpreted in the context of sex differences in both body language and non-verbal communication. It is difficult to draw any strong conclusions from an observational study and only inferences can be made. However, based on the results and what is known about body language, it appears as though the sex differences in the way that individuals avoid pedestrian collisions still exist today as they did in the 1980s. The results also seem to support Collett and Marsh’s (1981) conclusion that women are more likely to adopt a protective stance when making passes in a collision avoidance situation. The current study had a notable number of strengths. Primarily, this study utilised a large sample, which is highly likely to be representative of the population as a whole. Generalisability was also strengthened by using different train station locations for observations. Furthermore, having taken place in a natural environment rather than a lab setting, the results have good ecological validity. However, the observation method has a number of limitations, which should be noted. Firstly, although a pilot study was carried out in order to familiarise the observer with different types of passes, the data would have been more reliable if two observers had been used at any one time. An alternative method of improving the study would have to been to video record the observation area so that a second observer could interpret an identical scenario of pedestrian collision avoidance. This would have provided a measure of inter-observer reliability, which would have strengthened the results o f the study. It is also possible that the observer was biased because they were aware of the study hypothesis. In other words, the observer may have interpreted females to have carried out more closed passes because this is what was expected based on the previous literature. In future studies, keeping the observer blind to the hypothesis of the study will reduce this risk. There are also some ethical concerns with large scale observation studies such as this. For example, some individuals may object to being watched and to their behaviour being recorded. However, with such a large scale study, it would have been impossible to have sought the informed consent of each participant. Data was also completely anonymised, which keeps the study within ethical boundaries. Although the study has good generalisability, this is somewhat weakened by collecting results from only the UK. Future research may wish to focus on whether the same patterns are found internationally. Based on the findings of the current study, future studies may also wish to focus on exploring in more detail why these sex differences exist. For example, a sample of individuals exhibiting these behaviours could be administered a questionnaire to explore whether the behaviour is unconscious or conscious and if it is conscious, why they engage in either open or closed passes. References Cashdan, E. (1998). Smiles, speech, and body posture: How women and men display sociometric status and power. Journal of Nonverbal Behavior, 22(4), 209-228. Collett, P.R. & Marsh, P.E. (1981). Patterns of public behaviour: Collision avoidance on a pedestri an crossing. In A. Kendon (Ed.), Nonverbal communication, interaction and gesture (pp. 199-217). The Hague: Mouton Press. Goffman, E. (1972). Relations in public. Harmondsworth: Pelican. Luxen, M. (2005). Gender differences in dominance and affiliation during a demanding interaction. Journal of Psychology: Interdisciplinary and Applied, 139(4), 331- 347. Mehrabian, A. (1968). Relationship of attitude to seated posture, orientation, and distance. Journal of Personality and Social Psychology, 10(1), 26-30. Vrugt, A., & Luyerink, M. (2000). The contribution of bodily posture to gender stereotypical im pressions. Social Behavior & Personality: An International Journal, 28(1), 91. Wolff, M. (1973) Notes on the behaviour of pedestrians. In A. Birenbaum and E. Sagar (Eds.), Peo ple in places: The sociology of the familiar (pp. 35-48). New York: Praeger.

Saturday, November 9, 2019

The Malaysian Sibu Pasar Malam

Judging by the popularity of the Malaysian night market or pasar malam, it’s safe to say that this form of trading is here to stay despite the surge of shopping malls in the country. Markets of any kind are often representative of a country’s culture and the way of life of its citizens. Markets essentially bring together traders, ordinary people and children, either for a simple errand or a journey to discover delicious food and local goods. Some of the more well-known night markets are in Taiwan and Hong Kong, but Malaysians believe their country offers some of the best night markets – known locally as the pasar malam – to rival their counterparts in Asia. The Sibu Pasar Malam Survivors in the concrete jungle One would think that shopping at night markets would lose its appeal in a country where shopping malls are fast emerging. But judging from the crowds, the pasar malam is here to stay. Bangsar Baru’s night market is one of many examples of how a pasar malam survives in a rapidly developing city. Hundreds of Bangsar residents and tourists flock to this night market weekly, to buy groceries, have a meal or simply soak in the colourful atmosphere. The term night market does not necessarily mean that the market operates solely during nightfall. As early as three in the afternoon, access to main roads are closed, so that stall owners or hawkers can start setting up their stalls, umbrellas, tables and flourescent lights, and start displaying their goods and produce. The stall owners start this early and trade late into the night, sometimes till 11pm or midnight. Sunday is a popular day for the pasar malam, simply because it’s a day off and people have the time to window shop and run their weekly errands. Popular spots include Bangsar, Paramount Garden and Batu Feringghi in Penang. Some night markets open daily such as the one in Taman Connaught in Cheras. The pasar malam on Lorong Tuanku Abdul Rahman is believed to be the largest one in Kuala Lumpur, trading only on Saturdays. Sometimes, depending on the popularity of the markets, one residential area would hold two night markets in a week, taking turns to capture the attention of shoppers. SS2 is an example. On Mondays, the stalls are set up around the playground in the central area of SS2?s commercial area, attracting hundreds of patrons each week. On Thursdays, the area near the Cheow Yang shops are closed off for the second night market. Plenty to choose from: Tourists surveying the mouth-watering food at a pasar malam. Trinkets, treasures and a whole lot more Night markets attract people from all ages and all walks of life. Produce and goods such as vegetables, fruits, snacks, toys, clothes and all types of household ornaments are for sale at these night markets. Patrons will always tell you that goods are slighty cheaper at the pasar malam compared with produce and goods from the supermarkets or shopping malls. The novelty of shopping at the night markets is that patrons have the opportunity to haggle and bargain for lower prices with traders. Tourists are also advised that pasar malam offers them a chance to practice their bargaining skills with the local business community. Treasures are in abundance in the night market, depending on what is sought. For example, in Sarawak’s Lembangan night market, patrons could possibly find jungle fruit and ferns, snakes or snails. First time visitors to night markets are told to expect noisy, jostling crowds, and as such, are not for the claustrophic or the shopping mall addict. The colour, smells and conversations at a pasar malam offer a wonderful opportunity for locals and travellers to enjoy Malaysia’s cultures and diverse communities.

Thursday, November 7, 2019

Sample Query Letters

Sample Query Letters Sample Query Letters Sample Query Letters By Maeve Maddox Reader Blaine asks Does anyone out there know of a website or a book with a lot of sample query letters? The question comes just as Im studying this guide to marketing a novel: The Sell Your Novel Tool Kit: Everything You Need to Know About Queries, Synopses, Marketing, and Breaking In by Elizabeth Lyon. The book was recommended to me by a colleague for the very reason that it contains numerous sample fiction queries. Chapter Six defines the query and offers step-by-step instructions for writing one: Queries Defined Lead Model Query Letter Body Closing Style Types and Uses Chapter Seven provides 15 examples of actual letters. Several genres are represented, including Literary Historical Christian Adventure Mystery Suspense Fantasy Romance Childrens 9-12 So far Im finding Lyons book extremely helpful as I prepare to market a mystery novel of my own. When Im ready to do something with one of my non-fiction projects, Ill have a look at her other guide: Nonfiction Book Proposals Anybody Can Write. Want to improve your English in five minutes a day? Get a subscription and start receiving our writing tips and exercises daily! Keep learning! Browse the Freelance Writing category, check our popular posts, or choose a related post below:Farther vs. FurtherBetween vs. In BetweenDozen: Singular or Plural?

Tuesday, November 5, 2019

Analysis of a Story’s Satisfaction as Presented by Norman Maclean in His Book, A River Runs Through It

Analysis of a Story’s Satisfaction as Presented by Norman Maclean in His Book, A River Runs Through It Reading is an intimate experience that one shares with a book. You enter the world of the story and live in it while reading. Often times, this experience is so vivid that one would feel as though the experience is realistic. Books are so powerful that they draw the reader into the author’s brain so they can have a close encounter with the story. Readers can create a mental movie while reading, which helps making the experience much more special. Not literally, but you can see all the aspects in which the author includes in his or her story. Seeing goes beyond looking with your eyes, it plays a part with imagining all that the book has to offer. In â€Å"A River Runs Through It† by Norman Maclean, you get to experience the joy of the story within the film and the text. The story is about the summers spent in Missoula, Montana with the Maclean family. There is the dad Reverend Maclean, the mother, and the two brothers Norman and Paul. The narrator Norman explains how fly fishing is like a religion to the young boys in their days. Maclean writes the story in such a descriptive way that you also feel closely connected to them while fishing. The style of writing Maclean uses serves as the passenger seat of a car while he drives us through all of the events in the story. Even when the road got tough, he still managed to steer us in the right direction. In the film, there is a different experience that one has while watching. The film provided more background and character development for more characters than the book did. The book is written through first person narrative; everyone and every experience is described through Norman’s eyes. The film on the other hand is shown through the eyes of the director. Nevertheless, the story was still the same. You got to see more things than the book had to offer. You got to see the unconditional love between the brothers Norman and Paul. There was a scene where the boys got in trouble and they made eye contact with each other. Without any dialogue, so many things were said between the two of them that a book could never capture. There was also a scene in the movie where Norman danced with his love Jessie. By the way he looked at her, you could tell she was the woman of his dreams. He stared at her so deeply that you would really believe that her eyes were the window to her soul. And t o Norman, Jessie’s soul was likely to be the most beautiful soul he’d ever seen. The book provided a very intimate session for me while reading, and I felt as though I got to know Norman personally. Whereas the movie was more closed off and brief. Although both served the same purpose, it served a different experience. In the book â€Å"One Flew Over the Cuckoo’s Nest† by Ken Kesey, you also get to have a close experience with the narrator in the book. The story is about the events that take place inside a psychiatric hospital in Oregon, where we get a personal experience of the structure that the hospital has. While reading the book, you get a sense of how unstable the patients might be due to the slang that was used to write the story. It could also act as the side effects of the drugs that the patients take. One part of the book described how the nurses’ clothes ripped off as she grew into the big monster within the halls of the psych ward. That part served as great imagery and provided a great example of some experiences that the mental patients have. You had the ability to follow along the story with the patients as if you were right there with them. However, the movie provided something much more different. In the book you viewed the patients as mentally unstable people that were in the mental hospital just to get the help that they need and to not be a burden on society. The characters had more personal development in the movie, offering more than just a â€Å"patient† title. We got to hear the inner thoughts and emotions of the characters during their discussion and their reactions to their friends. I saw them more as regular people with an edge, and not crazy people who needed help like the book suggested. There was a powerful scene in the movie where some of the guys revealed that they were voluntary patients who could leave at any moment. They all said that they were there to get the therapy needed and that they were not ready to go back into the real world. This scene showed that these patients are more than what society labels them. We think about the mentally ill and often times assume that they are incapable of d oing much on their own and that they have to be hovered over at all times. We forget that these are real people with real feelings despite their sickness or disabilities they may have. It shows that society has to stop putting labels upon people because we are far more special than any label could ever describe. When reading and viewing text, one can have a range of different experiences. One may enjoy reading better, the other may enjoy watching a movie. The eyes offer more than what we know to be true about them. We use our eyes to see of course, but it goes far beyond that. When we see, we get to analyze and wonder. We analyze what we see, and conjure up thoughts. What does this mean? Where does this come from? Why does this happen? Our eyes allow us to go deeper into books, unearthing all that the story has to offer. You can search forever among the themes, symbols, and metaphors that a story has. Without our eyes, we would not be able to truly see these things. We are oblivious to the powers and talents that we have, but we have to truly look into ourselves to find them.

Saturday, November 2, 2019

Federalists and Jeffersonians Essay Example | Topics and Well Written Essays - 500 words

Federalists and Jeffersonians - Essay Example The Federalists were deemed conservatives and focused on industry building and addressing the needs of rich merchants and landowners. The party also tended to favour Great Britain in foreign affairs ("Columbia Encyclopedia"). On the other hand, the Jeffersonians, which later became known as the Democratic party, led by Jefferson were more concerned with the ideal of an agrarian society of yeoman farmers and adamant to expand the powers of the federal government. The party also sympathized with the French. (Wright) Hamilton's proposals including the funding of revolutionary war debt, federal assumption of the obligation of the states, creation of a national bank and federal encouragement of native manufactures were intended to emulate Great Britain's economic model. But then, such proposals leaned towards wealthy men and substantially indebted regions over others. Jefferson along with James Madison viewed these as contrary to republican morality, which promoted harmony among the different regions and closing the income gap between the rich and poor ("Encyclopedia of American History"). As each political leader attracted supporters, the national-level disagreements trickled down onto local issues.

Thursday, October 31, 2019

Autism Research Paper Example | Topics and Well Written Essays - 1750 words

Autism - Research Paper Example From the research in this paper, it would be shown that indeed, parents play a critical role in ensuring that autistic children become manageable. Introduction Autism refers to a core disorder among the pervasive developmental disorders which evidences before age 3. The National Institute of Mental Health, NIMH describes autism as a syndrome rather than disease and also as a developmental disorder, hence its influence on growth and development aspects. This has been attributed to genetic factors, environmental causes and brain injury. It has been acknowledged as a dimension and conceived as a spectrum that causes children to have varied degrees of complications in communication, lack of imagination, exhibition of repetitive behaviors and difficulty in social interaction. The constantly revised prevalence of autism ranges between five to sixty cases for every 10,000 children aged 18 and below without the consideration of less severe forms of the disorder such as pervasive developmenta l disorders and Asperger’s disorder (Altiere and Kluge 83). McConachie and Diggle (120) cite the male to female ratio of prevalence at 4.8:1. Any chronic illness presents serious challenges to the individual and the individual’s family at large. But autism has been considered among the most challenging to manage of these disorders with various scholars citing varied challenging traits exhibited by autistic children making it difficult to offer appropriate care like that given to normal children. According to Altiere and Kluge (83), autism would be characterized by communication impairment, self-destructive and aggressive behaviors and low social functioning. In addition to language problems among such children, there would also be troublesome symptoms which include inappropriate public behavior, tantrums and self destructive behaviors. Autistic children present stressors and unique challenges to the parents due to the ambiguity in diagnosis, lack of adherence to the no rms of the society and the long duration and severity of the disorder (Altiere and Kluge 83). In as much as autism symptoms would be exhibited in early childhood, it takes long before appropriate diagnosis would be done. The process of diagnosis would normally be complicated especially when a biological marker misses, encountering such problems among medical practitioners becomes infrequent and due to the normal variations that exist in child development. Even with the diagnosis of autism, the problem of unavailability of treatment persists. Most children would be diagnosed as retarded hence the administration of the wrong approach to treatment (Kogan et al. 1398). The public knows little on autism hence the hostility and insensitivity from the public on parents of autistic children who behave inappropriately in public. The prognosis of autism has also been noted to be limited. Therefore, the important role that parents being part of the family unit would play in ensuring that autis tic conditions in their children become manageable to a larger extent should be appreciated. Even though majority of studies have focused on mother-autistic child relationship, fathers too have a parental role to play in managing autistic children. The involvement of both parents in the care of the autistic

Tuesday, October 29, 2019

Marketing Management Assignment Example | Topics and Well Written Essays - 250 words - 4

Marketing Management - Assignment Example theless, applying a simple but effective strategy before facing a competitor usually gives businesses first hand advantage even before the real battle starts From the story of the warrior and the lion, I have learned that victory is not always for the strongest. All that one needs is to spot a target, stand at a safe distance and make the attack. In relation to business and competition, we can say that it is not necessary that we use lots energy in fighting our competitors; in contrast, we should develop effective strategies that can help finish the competitors at only one strike. The only thing that marketer should ensure a better marketing strategy. Moreover, competition is important because it leads to improved quality product and better services. This is due to the fact that all the business will be competing to remain relevant and not to made exit. It also protects the public being manipulated with sole businesspersons who have selfish stakes. As a result, both the economy and the quality of product will continue to improve making business more` effective and efficient (Viardot 70). Conclusively, applying a simple but effective strategy before facing a competitor usually gives businesses first hand advantage even before the real battle starts. From the short story of the lion and the warrior, we can conclude that one does not need to apply a lot of energy but just use tactics that can paralyses competitor (Viardot 40). Therefore, for continued existence of a business, it must ensure that it develops effective strategies that can act as shortcuts and tam their

Sunday, October 27, 2019

Trabecular Bone Structure of the Distal Radius

Trabecular Bone Structure of the Distal Radius Background information The distal end of the radius forms two palpable points, radially the styloid process and Listers tubercle on the ulnar side. Many studies have been carried out using a variety of methods to evaluate bone strength, mineralisation and architecture. Using skeletal remains to identify degradation of the trabecular bone in both male and female of various ages at death. Previous research in the field of forensic anthropology has shown that regional variation across such sections may be masked through use of a global analysis provides good results but with room to improve as technology becomes increasingly available (Boyd, S. 2015). Sode et al carried out a study that looked at sectioning the distal radius into axial sections and using high resolution peripheral quantitative computed tomography (HR-pQCT) to conclude whether similar results were obtained through global analysis and sectional analysis. The distal end of the radius forms two physical points, the styloid process on the radius side and Listers tubercle on the ulnar side. A medullary cavity is enclosed in a strong wall of compact bone, which is thickest at the interosseous border and thinnest at the extremities. The trabeculae of the spongy tissue arch at the upper end and pass from the compact layer of the shaft to the articular head. The radius has a body and two extremities. Sectioning the distal radius and taking images that can be analysed, measured and averages taken will provide higher accuracy and minimise artefacts found in other studies. HR-pQCT is a non-invasive, method for assessing bone microarchitecture and volumetric bone mineral density in cortical and trabecular compartments of the distal radius that has a low radiation risk. Its use in clinical research has increased enormously in recent years and has changed the understanding of age-related changes and sex differences in bone microarchitecture. Changes in bone structure across a wide range of bone metabolic disorders, fracture risk have also benefitted from this method. The accessibility of HR-pQCT has made it viable to gage three-dimensional bone microarchitecture and volumetric bone mineral density in vivo, with an accuracy that had yet to be achieved with other methods ( ). Recent studies using this new imaging tool has amplified understanding of age-related changes and sex differences in bone microarchitecture. The use of finite element analysis modelling to non-invasively estimate bone strength and predict fractures using reconstructed three-dimensional images is a great benefit and more suitable than invasive techniques using stronger doses of radiation. Regional analysis, by dividing the HR-pQCT images of the radius cross-section, provides corresponding information about the core structural diversity of trabecular structure that is coupled with underlying biomechanical conditions. We hypothesize that trabecular bone structure varies spatially across the trabecular compartment at the distal radius, and the degree of differences due to gender and age depend on the region. Gordon et al suggests the increased sensitivity achieved by their indices suggests that an in vivo assessment of trabecular bone structure can contribute significantly to the identification of persons at risk of fracture in the living (Gordon, C., Webber, C., Adachi, J. and Christoforou, N.2017). AIM OF PROPOSED RESEARCH Regional variation in trabecular structure across axial sections is often obscured by the conventional global analysis, which takes an average value for the entire trabecular compartment. The objective of this study is to use in vivo HR-pQCT to investigate regional variations in trabecular structure at the distal radius and its differences due to gender and age. HYPOTHESIS As age progression occurs, the bone volume fraction in trabecular bone of the distal radius will decrease as age increases. The null hypothesis concur that the bone volume fraction will show no change as age increases. RECRUITMENT       Access to a large, modern, well documented bone collection is available. Provenance, age, sex and cause of death are known. Radial bones will be sourced from this collection to include individuals ranging from 18 78 years of age. Two groups, male and female will be used. Statistical values were calculated and are shown in table 1. Table 1: Results of the statistical calculations used on the data set. An estimation of 278 samples is needed for this study. However, for research to progress, this data and calculation will again be confirmed to ensure the figures are correct for valid results. INCLUSION AND EXCLUSION CRITERIA Bones from the radius will be used from the collection and taken from individuals of both genders aged 18 -78 at time of death. Any specimens indicating pathology will be void from this study. ASSUMPTIONS AND PRECAUTIONS Based on a previous study, carried out by Boyd et al states that HR-pQCT is a non-invasive, low-radiation method for the analysis of bone specimens meaning that very limited exposure will result. Health and safety will be witnessed while using the apparatus necessary to obtain the images. In agreement with guidelines published by the health and safety executive in 2012 the doses of radiation will also be monitored and recorded. Personal protective equipment to include a laboratory coat, gloves and goggles will be worn to prevent contamination or damage to the bone collection. As demonstrated in numerous studies conventional global analysis can obscure regional differences. MATERIALS Equipment required for this study is based on the study using HR-pQCT led by Sode et al (Sode et al., 2008) High-resolution peripheral quantitative computed tomography (HR-pQCT)- the XtremeCT Image Processing Language (Scanco Medical AG, Brà ¼ttisellen, Switzerland) Matlab Finite element analysis (FEA) modeling   Ã‚   The x-ray source potential was 60 kVp with a current of 900 ÃŽÂ ¼A. A two-dimensional detector containing 3072 ÃÆ'- 256 CCD elements was used to acquire 750 projections at a 100 ms integration time per projection. The 12.6 mm field of view was reconstructed across a 1536 ÃÆ'- 1536 matrix, yielding 82 ÃŽÂ ¼m isotropic voxels. The images were segmented and managed in agreement with the standard patient-style analysis protocol using Image Processing Language (Sode et al., 2008). ANALYSIS The HR-pQCT systems have been thoroughly tested for both accuracy and precision using ÃŽÂ ¼CT of ex vivo bone as the gold-standard (Sode et al., 2008). The distal radius of each subject was imaged using an in vivo HR-pQCT scanner. A 10mm section of the radius was imaged on both sides to avoid dominant hand Bias. Acquisition time per image was 3 minutes per scan and images were instantly reviewed for artifacts and repeated if any were detected (Boyd, 2015). 9 images were excluded due to artifacts. A semi-automated edge-defining algorithm was applied to mark areas of cortical bone and the target trabecular bone on the surface. The cortical and trabecular regions were sectioned automatically by the analysis protocol as described in detail by Laib et al (Laib et al,1996). Using MATLAB, the trabecular region was divided into inner and outer sub regions. Additionally, inner and outer trabecular compartments were divided into bony quadrants at each section based on the defined reference line from MATLAB to give 8 sub regions in total. Statistical analysis was undertaken using a Shapiro-Wilk test to predict the normality of the data. Due to separation and standard deviation of trabecular separation the data was not normally distributed so non-parametric statistical analysis was carried out. RECOMMENDATIONS FOR FUTURE WORK This method of analysing trabecular bone thickness will be a valuable tool both with cadaveric material and living individuals due to the low radiation risk associated. In terms of research to aid the living many fields could gain invaluable knowledge of the risk of fractures and the development and tracking of disease such as osteoporosis. The repeatability of this study will enable others to repeat with greater sample numbers. However, at present its high cost means HR-pQCT is still a research tool, the high resolution and efficiency of this method exposes advantages over the methods used at present for bone assessment which will in time prove an invaluable clinical tool. In the future, regional differences in age-related changes of trabecular structure at the distal radius should be examined in a longitudinal study using slighlty larger radial cross sections. References Boutroy, S., Van Rietbergen, B., Sornay-Rendu, E., Munoz, F., Bouxsein, M. and Delmas, P. (2007). Finite Element Analysis Based on In Vivo HR-pQCT Images of the Distal Radius Is Associated with Wrist Fracture in Postmenopausal Women. Journal of Bone and Mineral Research, 23(3), pp.392-399. Boyd, S. (2015). High resolution imaging of bones by high-resolution peripheral quantitative computed tomography. Bone Abstracts. Clarke, B. (2017). Normal Bone Anatomy and Physiology. [online] Clinical journal of the American society of nephrology. Available at: http://cjasn.asnjournals.org/content/3/Supplement_3/S131.full [Accessed 19 Mar. 2017]. Dalzell, N., Kaptoge, S., Morris, N., Berthier, A., Koller, B., Braak, L., van Rietbergen, B. and Reeve, J. (2009). Bone micro-architecture and determinants of strength in the radius and tibia: age-related changes in a population-based study of normal adults measured with high-resolution pQCT. Osteoporosis International, 20(10), pp.1683-1694. Dixon, A. and Jamieson, E. (1937). Dixons manual of human osteology. 1st ed. Oxford: University Press. GENANT, H. (2006). Advanced Imaging Assessment of Bone Quality. Annals of the New York Academy of Sciences, 1068(1), pp.410-428. Gordon, C., Webber, C., Adachi, J. and Christoforou, N. (2017). In vivo assessment of trabecular bone structure at the distal radius from high-resolution computed tomography images. Kalpakcioglu, B., Engelke, K. and Genant, H. (2011). Advanced imaging assessment of bone fragility in glucocorticoid-induced osteoporosis. Bone, 48(6), pp.1221-1231. Laib, A., Hildebrand, T. and Rà ¼egsegger, P. (1996). In vivo assessment of trabecular bone structure with 3D computed tomography and local reconstruction. Bone, 19(3), p.147. Li, H., Zhang, A., Bone, L., Buyea, C. and Ramanathan, M. (2014). A Network Modeling Approach for the Spatial Distribution and Structure of Bone Mineral Content. The AAPS Journal, 16(3), pp.478-487. MacNeil, J. and Boyd, S. (2007). Accuracy of high-resolution peripheral quantitative computed tomography for measurement of bone quality. Medical Engineering Physics, 29(10), pp.1096-1105. McDonald, J. (2012). Standardisation in Standards. Radiation Protection Dosimetry, 148(4), pp.387-388. Melton, L., Riggs, B., van Lenthe, G., Achenbach, S., Mà ¼ller, R., Bouxsein, M., Amin, S., Atkinson, E. and Khosla, S. (2007). Contribution of In Vivo Structural Measurements and Load/Strength Ratios to the Determination of Forearm Fracture Risk in Postmenopausal Women. Journal of Bone and Mineral Research, 22(9), pp.1442-1448. Moore, K., Agur, A. and Dalley, A. (2015). Essential clinical anatomy. 1st ed. Philadelphia: Wolters Kluwer Health. Popp, A., Buffat, H., Eberli, U., Lippuner, K., Ernst, M., Richards, R., Stadelmann, V. and Windolf, M. (2014). Microstructural Parameters of Bone Evaluated Using HR-pQCT Correlate with the DXA-Derived Cortical Index and the Trabecular Bone Score in a Cohort of Randomly Selected Premenopausal Women. PLoS ONE, 9(2), p. e88946. Sode, M., Burghardt, A., Kazakia, G., Link, T. and Majumdar, S. (2010). Regional variations of gender-specific and age-related differences in trabecular bone structure of the distal radius and tibia. Bone, 46(6), pp.1652-1660. Sode, M., Burghardt, A., Nissenson, R. and Majumdar, S. (2008). Resolution Dependence of the Non-Metric Trabecular Structure Indices. Bone, 42(4), pp.728-736. White, T. and Folkens, P. (2005). The human bone manual. 1st ed. Amsterdam: Elsevier Academic, pp.31-48.

Friday, October 25, 2019

Complementarity and Substitution in the Theory of Capital :: essays papers

Complementarity and Substitution in the Theory of Capital This essay is an explanation and importance of complementarity and substitution in the theory of capital. Complementarity can be usually seen in goods with â€Å"sympathetic shifts in demand.† It is also important to realize the narrowness of the traditional treatment of complementarity. Complementarity is analyzed in a single enterprise and also in the economic system as a whole. In the latter complementarity is analyzed in an economic system in equilibrium and also in disequilibrium. In an economic system with equilibrium all the acts of all individuals are consistent with each other and all factors of production are complementary. The system with disequilibrium on the contrary, realizes that while a factor of substitution eliminates another factor, another will be created, though possibly it might be of a different mode. It is idealistic to think that capital structure can only exist in equilibrium, but realistically, capital structure is in a state of continuous transformation. Any major change creates a situation of instability of the capitalistic economy. A clear example of this is the accumulation of capital on profits and the inducement to invest. As capital accumulation grows, investment opportunities and the rate of profit decline. Also, the existence of unused human or material resources provides potential complements for new productive combinations, which in result produce the changes in capital. These unused resources have two main functions in the world of dynamic change. First, they reduce the shock when disintegration exists, and second they stimulate the investment of capital goods complementary to them. In conclusion, the theory of capital is a dynamic discipline, and is not in static equilibrium.

Thursday, October 24, 2019

Moral Panic Sociology

A moral panic is defined by Cohen as ‘a condition, episode, person or group or persons emerges to become defined as a threat to societal values and interests ‘. In other words, a moral panic is an exaggerated reaction of fear towards a group or issue that causes panic in society, felt and reacted to by the public, media, police, and politicians etc. An example of a moral panic would be the increased fear over knife crime in Britain especially over the last few years. A folk devil is the group/issue at the heart of the panic, which are condemned, feared, labelled and/or blamed.An example of a folk devil would be youths, in relation to knife crime, terrorist, or ‘mods and rockers ‘established in the 1960s. These moral panics and folk devils are created and exacerbated by ‘moral crusaders ‘, the media is most likely the biggest agency that does this. Media reports often greatly exaggerate certain and specific areas of crime or deviance that are aimed to be a moral panic, and to victimize certain groups as folk devils. It reports on, for example, the alleged rising number of knife related crimes, and how a high percentage of youths in a neighbourhood near you are carrying a knife, even if this is a fallacy.  Read also  Sociology and Social Integration.This increase in media attention brings about a what is called a deviancy amplification spiral . This consists of a combination of contributing factors, the increased media attention brings about a heightened sense of public fear, resulting in a real increase in crime, either from the folk devils in question or from copycats, which in turn brings about a police reaction, creating a vicious circle of self-fulfilling prophecies, and the fear and media attention only increases the situation, this spiral also results in these panics lasting a lot longer than perhaps they should.The media uses the weapon of fear to stimulate moral panics, they give the view that firstly these deviant groups offer a threat to the norms, values and attitudes of the majority of society, and that a change will be brought about to people's lives as these cannot be controlled. The media also gives credence to the view that moral standards are declining, and by exaggerating the crime paints the portrait of a country falling into a downward spiral. A conservative media article

Wednesday, October 23, 2019

Hannibal’s Crossing of the Alps

Hannibal’s crossing of the Alps is one of history’s most remarkable military achievements even to this day. There are many accounts of the crossing of the Alps and what happened during those weeks and we can only speculate and use the sources and information that has lived through the decay of time. Our main primary sources that historians use to piece together the crossing of the Alps are by two of Rome’s most famous historians, Polybius and Livy.Polybius was a very rounded and mostly non-biased historian who got out of his way to travel to his locations to document facts and information which he used in his text and who lived during the time of the First and Second Punic Wars. On the other hand we have Livy who was a very pro-Roman historian who had documented his facts based on other historians who were before him as he lived almost 200 years after the Punic wars.When we compare the two accounts by both historians we tend to believe and rely more on the accoun ts made by Polybius as we know him as a reliable and fairly non-biased source whereas Livy was very biased towards Rome and based his information off of other historians. Although we see Polybius as the more reliable source, Livy does come up with some points that concern the crossing that are quite conflicting with the information presented to us by Polybius. By analysing both of these accounts we can get a better understanding of the crossing of Hannibal’s crossing of the Alps.Polybius who was a very reliable historian who we know lived around 200-118 BC during the time of the two Punic Wars provided a very detailed account of both Punic wars and Hannibal’s crossing of the Alps. Polybius is known for his determination to get actual factual evidence and firsthand knowledge of events that occurred. He resided in Rome for most of his life and occasionally undertaking long journeys throughout the Mediterranean to get knowledge on historical sites and interview primary so urces who were actually at the events.Polybius’s works (The Histories) documents the events between 264 and 146 BC which mainly involved the rise of the Roman Empire and the effort in which they went to subdue their rival Carthage. Polybius documents the First and Second Punic wars with incredible detail and is our main source for the wars, although Livy also provides some very important facts and information. Titus Livius Patavinus (59 BC – AD 17) (more commonly known as Livy) we know as to be a very pro- Roman historian who can be seen as very biased towards the Romans and paints them in an honourable and almighty glow within his texts.Some of his texts we can see as just plain lies and so we are reluctant to solely use Livy’s information to base our research and understanding around. Livy wrote a complete history of Rome from its very foundations all the way up to the reign of Augustus in Livy’s own time but the only surviving work of his is the  "History of Rome†. During the reign of Augustus Livy wrote his texts emphasizing the accomplishments and triumphs of Rome, and wrote everything with a pro-Roman view to promote a new type of government which was implemented by the emperor Augustus.With that being said a lot of Livy’s texts and accounts mislead to reader into taking a Roman view and often cut out pieces of information which would downgrade the view on Rome, and so we have come to rely more on Polybius’s accounts than Livy’s, although Livy does also provide many accounts and descriptions of events that are unavailable elsewhere and so his texts and reports are still highly valued is one of the main sources we have. Both Polybius’s and Livy’s accounts of Hannibal’s crossing of the Alps can be seen to have many similarities and so we can determine that the same source and information has been used.Although there are many similarities between the two there are also some dif ferences which can be seen throughout both texts. For example when Hannibal is crossing the Alps and he soon finds his path blocked by a pile of rocks Livy states that he uses Vinegar and Fire to break through the rock. Polybius says nothing of the subject and up to this day there has been no evidence of rock that has been carbonized at the site in which Livy had stated. Livy’s accounts of the crossing were very much the same as Polybius’s although we can see in some parts of Livy’s work that his Roman bias has written the work for him.When Hannibal was making a speech to his men after their crossing of the Rhone Polybius wrote that Hannibal spoke of their past achievements and that the hardest part of their journey was already over, but according to Livy Hannibal told his men that they were going to be fighting against the most powerful and grandest city in the world. This was not the case in Hannibal’s time and so we can clearly see that Livy had just c reated a false fact and account just to paint Rome in a brighter light.Livy’s biased for Rome is something that constantly alters Livy’s accounts. Much of Hannibal’s ascent and crossing of the Alps documented by Polybius and Livy are very similar with only a few minor alterations in the accounts of some events which took place. The main reason why the accounts of some events are different is mainly because of Livy’s biased and attitude towards Rome which makes him document the account and alter it in such a way that it paints Rome in a sense of glory and success.Another main reason which dictates the differences of the accounts is that Polybius who lived during the time of these events could go to places and get a firsthand experience and knowledge of the event by interviewing the people involved and taking notes on the actual location whereas Livy who lived a long time after the crossing had to rely on other peoples accounts and could not get firsthand k nowledge on a lot of the events.The crossing of the Alps is a fairly well documented event during the Second Punic war and one that is the most remarkable. Polybius and Livy both have very detailed accounts of the crossing and we rely on this information to piece together Hannibal’s crossing of the Alps. Although some of the facts of the crossing remain disputed and unknown we have sufficient information between both sources to have a good understanding of the crossing.Both historians give a lot of information on the crossing although we tend to use Polybius’s account as it is more reliable and he had firsthand experience and knowledge whereas we know Livy to be a very pro-Roman and did not live during the event but many years later. Both accounts of the crossing have proved to be very useful for our understanding of Hannibal’s crossing of the Alps.