Saturday, August 31, 2019

The Crying Tree

In the novel The Crying Tree Naseem Rakha A family goes through one of the hardest things ever, when their son Shep was found murdered. Nate, Shep's father insisted on the family moving to Oregon. Sheps death caused Irene and Nate to fall apart Bliss was too young to truly understand her brother being gone. The family moved back to Illinois, they continued their lives in a sort of trance, never discussing Shep or mentioning his name. Bliss was a forgotten child until she made her mother see that her life was bring wasted. Bliss went off to college defying the standards of her town. Irene struggled with living so she tried to take her own life, after this fail Irene decided that forgiveness of her sons killer was the only way for her to keep living. Daniel was on death row when Nate found out about the letters Irene and Daniel had been writing to each other, the two got into a huge fight that uncovered some secrets about Sheps death that only Daniel and Nate knew of. While finding out about the family you also learn about Superintendent Mason and his struggles of life and dealing with someone on Death row. In the end Irene, the family, Daniel and Mason find their peace. Point of View-The information is received through dialogue mainly and the way these people go through life. The perspective used was effective for this novel because it really gave the feel of the main character Irene and I do not personally connect to Irene because I do not know what it is like to lose a child but the perspective lets me get into her head and learn what she is feeling and what it is like. â€Å"My son is dead, and you want to tell me about justice? There’s no justice for this kind of thing† (Rakha 69). This dialogue really showed what Irene is going through. The novel also shows her husband but mainly through his actions and how he goes through life. Protagonist- The protagonist in this book â€Å"The Crying Tree† is Irene the mourning mother. Irene is mainly revealed through her thoughts and her actions throughout the story. She is a very round character meaning that she changes a lot in this book, for the better one quote that I think really shows Irene is when she finally forgives Daniel for killing her son â€Å"I forgive you for what you did to my son. For whatever it may be worth, I understand people make mistakes in life, Mr. Robbin, and I forgive you yours†(Rakha 126). It took a lot fir Irene to do this. Setting- This novel occurs in Blaine, Oregon and Carlton, Illinois. They are only a few locations describes, the house in Blaine and the house in Carlton, Illinois. The connection of the setting and characters are that the mother Irene and her husband both grew up in a town where almost everywhere a girls goal is to get married. Blaine and Carlton are almost opposite to each other Blaine is a very green beautiful city full of sights and nature while Carlton is a very dry farming state yet Irene felt more safe in comfortable in Carlton yet she felt very unsafe and uncomfortable in Blaine. Blaine, in contrast, looked incidental, an afterthought built by people who had no intention of staying† (Rakha 19). Theme – The major theme in this novel is forgiveness. After Irene’s son died she thought she could never forgive his killer, that he was the worst there was and he truly deserved to die, even said that she wouldn’t rest until he was dead. The death penalty can take years to go through in fact it took 19 years for Daniel to finally be given a death warrant. Throughout the novel Irene starts to realize that her life is horrible, she stopped speaking to her husband, stopped worrying about her daughter and stopped living her life. Irene tried to commit suicide and that is when she hit rock bottom she had to start admitting to herself what she was holding inside. â€Å"Shep died and we just stopped doing things. And now-now I’ve gone and thrown it away, and it’s broken, and, well, it’s gone. It’s all gone† (Rakha 122). After coming to a reality Irene proceeds to forgive Daniel after 10 years because she wants to get on with her life and stop focusing on living in the past. It is also showed through Nate because Nate must work through forgiving himself, for lying and for holding back critical information that could have saved a mans life. Forgiveness is also showed through Daniel and Mason. Mason because we learn about his past and how he feels as if he can ever forgive his brother for the way he used to torture him. Daniel because he needs to learn to forgive himself now that Irene forgave him when he did not deserve it. Title- This title is very appropriate for the book because the author uses the image to show what was going on in Irene’s mind at the funeral and The Crying Tree is used as an example to show how there are things in life you should never have to see. In the novel the title is mentioned at Shep's funeral his little sister is grieving her brother when hes sees a tree and runs to it coming back with her handful of pearls â€Å"They look like tears, like the tree’s crying† (Rakha 37). Personal Recommendation- This novel should be added to the AP curriculum because the book used many great examples of literary devices including scenery, character flat and round, metaphor, structure, narration and many more. This book allows you to see through another perspective and not just one many different perspectives. This book was also very enjoyable and I am sure many students would enjoy reading the story of Irene and her family.

Friday, August 30, 2019

Accounting Standards in the United States of America

Accounting in the USA The following report will describe and discuss the major elements of accounting in the USA. It will show that the US Generally Accepted Accounting Principles (GAAP) are set by the Financial Accounting Standards Board (FASB), where as the International Accounting Standards (IAS) are set by the International Financial Reporting Standards (IFRS). This report will also state the similarities and differences between these standards. In addition, the following report will use relevant examples to evaluate current accounting problems and issues in the USA related to international convergence of accounting standards.Fargher et al. (2008, page. 67) pointed out that FASB’s conceptual framework (CFW) for financial reporting is generally consistent with that of the International Accounting Standards Board (IASB). However the FASB provides more detail with six statements of financial accounting concepts (SFACs). The first level in the CFW explains the main purposes of financial reports are to provide useful information for investors and creditors, to estimate future cash flows and to claim venture resources. The second level consists of qualitative characteristics and elements of the CFW.The qualitative characteristics of the USA CFW are relevance, reliability, comparability and consistency. The main components include assets, liabilities, equity, investment by owners, distributions to owners, comprehensive income, revenues, expenses, gains and losses. The third level of CFW indicates how the firm executes the events based on assumptions, principles and constraints. There are four assumptions: economic equity, going concern, monetary unit and periodicity. The four principles include historical cost, revenue recognition, matching and full disclosure.The constraints consist of cost-benefit, materiality, industry practice and conservatism. Fargher (2008, p. 229) mentioned that USA uses FASB 95 Statement of Cash Flows, plus FASB 102 and 104. The for mat is the same as the international one which includes operating, investing and financial activities. However, it is encouraged to report cash flows using the direct method even though the indirect method is usually used. Interest paid and received and dividends received are classified as operating activities. Non cash transactions are excluded from the cash flow statement. Fargher (2008, p. 89) stated that the income statement format under US GAAP involves a range of steps but the subtotals are listed before the unusual and rare items. Changes in retained earnings are included in the retained earnings statement and comprehensive income that reports changes in fair value and similar items after the operating income. Note disclosure is based on particular standards plus SEC and other sources under the US GAAP hierarchy. IFRS and US GAAP have some similarities but there are also several differences. The main similarities and differences are in the areas of revenue recognition and inv entory valuation.A similarity between US GAAP and IFRS is that revenue is not recognised until the revenue is actually earned. Under the US GAAP, a large amount of guidance provided usually only applies to specific industries. For example, there are specific rules for the recognition of software revenue and sales of real estate under US GAAP, while comparable guidance does not exist under IFRS (Ernst & Young 2010). Also, both systems define inventory as assets held for sale in the ordinary course of business. A significant difference between using US GAAP and IFRS is the inventory costing method is that US uses LIFO, whereas LIFO is prohibited by the IFRS.Also, inventory valuation is measured under the IFRS at lower of cost and net realizable value. However, under the US GAAP, inventory valuation is carried at the lower of cost and market, where the market is the current replacement cost (Ernst & Young 2010). According to (Todd M. Hines 2007, p1) IFRSs are becoming more important in the global economy. â€Å"Over the last 35 years there has been a strong push towards the adoption of a uniform set of financial accounting standards to replace the myriad number of country-specific standards now in use†. This indicates that each country has developed its own sets of financial accounting standards.It is essential to work towards the uniformed international accounting standards for organisations doing business globally to have comparable information. As a result of this push for internationally recognised set of accounting standards, IFRS were created with the goal of providing a single internationally recognized set of accounting standards. In an ever increasingly globally connected world, more transactions and investment planning occur on a global level. As international convergence has progressed many countries have conformed under IFRS and adopted their standards.The USA has similar standards but continue to use different financial reporting standards. Ho wever these differences according to (Todd M. Hines 2007, p4) often ‘lead to confusion and large complications for preparers and users of financial statements’. Financial statements prepared under different reporting standards are hardly comparable, therefore overseas investors may not be able to compare between the financial reports of business under IFRS and those operating under US GAAP. This can lead to confusion and affect the judgments of financial statement users.Due to the difficulties in comparison the users of the financial information must understand both IFRS and GAAP to make informed decisions. Moving from US GAAP to IFRS will have a major impact on business’ financial reporting in the USA. Decisions made by managers, financial advisors, CEO’s, governments, and the users of financial statements will have to be drastically rethought with the change. If the USA decides to follow the convergence trend towards IFRS, they will be moving into a more volatile reporting environment, particularly in the reporting of assets as well as that of net profit.One alarming statistic is that the volatility of tax benefits, deferred tax benefits in particular, can be 98% more volatile under IFRS (McAnally, et. al. 2010). This increased volatility is due to the greater use of fair value in the preparation of the financial statements, and the eventual elimination of historical cost under IFRS. Fair values are used under IFRS to better reflect the changing economic conditions, but this introduces uncertainty and makes it much harder to predict reported earnings than under historical cost, which the USA uses.Although fair value is more relevant, often it is not reliable due to the influence of economic conditions on the valuation of assets. This increased volatility will lead to retraining in every area of accounting. With the change to IFRS, there will be a large amount of rethinking and retraining for areas such as financial planning and for ecasting as well as in target setting, but the major area it will affect is the reporting of financial statements. Another issue regarding the convergence of the USA to the IFRS accounting standards is the effect it will have on IT systems.As the adoption of IFRS starts to gain momentum among many counties, global business will be dealing with major changes over the next few years. According to Pratt (2010), not only are private companies considering the IFRS, but also public companies including banks and private investors who also have growing concerns about the implication of the convergence. This adoption of IFRS by the USA will bring about several changes in the way recording and reporting financial data is carried out. This is due to the differences between IFRS and U. S.GAAP standards. It has been found that there are 103 differences between IFRS and U. S. GAAP in the way recording of data happens. Management in the performance and technology division of KPMG suggests that the change to IFRS will drastically affect the accounting IT systems in the USA (Pratt, 2010). One of the major concerns for the USA is that under IFRS the financial data needed to keep IT systems up to date will have to be more detailed and more frequent. It is also believed that the financial reporting ledger will be affected by adopting IFRS.Pratt (2010) claimed the US needs to ‘[m]ake sure that the new system accommodates IFRS if [companies] are planning to upgrade the system. ’ This will mean more money will need to be diverted from other key functions and into the development and upgrading of IT systems. With the major push for convergence, the USA needs to critically evaluate the effect that their move to IFRS may have on their IT systems and the software they use. Also, U. S. companies will need to become familiar with the new systems and technology before the change in order to keep up with international competitors.The major elements of the USA include the concep tual framework, financial reports, revenue recognition and inventory. Taking problems and issues into account, our group concludes that the convergence of the USA to IFRS would benefit both, the global economy and the USA. Although problems with financial reporting, volatility, retraining and IT systems may arise, converging to international standards will allow users to have easy comparisons between companies and greater transparency.In conclusion, we feel it is beneficial for the USA to converge to international standards so that there are a set of global standards for all companies to follow. Word Count: 1491 BIBLIOGAPHY Books Fargher, N, Wise, V, Kieso, DE, Weygand, JJ &Warfield, TJ 2008, Fundamentals of Intermediate accounting, John Wiley & Sons Australia, Milton. Websites Ernst & Young, 2010, Revenue Recognition, viewed 29 September 2011, Ernst & Young, 2010, Inventory, viewed 29 September 2011, L. Gordon Crovitz. 2008 (September 8). Closing the Information GAAP, viewed 29 Sep tember 2011. lt; http://online. wsj. com/article/SB122083366235408621. html> Mary E. Barth. 2004. Fair Values and Financial Statement Volatility, viewed 29 September. Journal Articles Todd M. Hines 2007 ‘International Financial Reporting Standards: A Guide to Sources for International Accounting Standards’; Journal of Business & Finance Librarianship, Vol. 12(3), p. 1-8 McAnally, M, McGuire, S, & Weaver, C 2010, ‘Assessing the Financial Reporting Consequences of Conversion to IFRS: The Case of Equity-Based Compensation', Accounting Horizons, Vol 24 (4), p. 589-621Gornik-Tomaszewski, S 2003, ‘Short-Term Convergence Between US GAAP and International Financial Reporting Standards', Bank Accounting & Finance (08943958), Vol 16 (5), p. 39-42 Tarca, A 2004, ‘International Convergence of Accounting Practices: Choosing between IAS and US GAAP', Journal of International Financial Management & Accounting, Vol 15 (1), pp. 60-91 Pratt, MK 2010, ‘GET READY FO R GLOBAL ACCOUNTING', Computerworld, Vol 44 (3), p. 21-23 Laux, C. & Leuz, C 2009. ‘The crisis of fair-value accounting: Making sense of the recent debate’. Accounting, Organizations and Society. V 34 (6-7), p. 826-834

Thursday, August 29, 2019

Mycorrhiza

The symbiotic relationships that establish involving the roots of major plant species and fungi are called Mycorrhizae. These symbiotic relationships differentiated by the two-way movement of nutrients whereby carbon runs to the fungus. The fungus then facilitates the movement of the inorganic nutrients towards the plant, in that way, it gives a vital connection between the soil and the root of the plant (Smith, 1997).The absorbed nutrients by the mycorrhizal fungi can direct to enhanced plant development and reproduction. Accordingly, mycorrhizal plants are frequently more viable and more capable to endure ecological strains than non-mycorrhizal plants.Mycorrhizal relationships differ extensively in structure and purpose. Basidiomycetes that cultivate among root cortical cells of various tree species which create a Hartig net are called Ectomycorrhizal fungi (Smith, 1997). On the other hand, fungi that under the order Glomales and create extremely pronged forms called arbuscules, co ntained by root cortical cells of numerous herbaceous and forested plant species are called Arbuscular mycorrhizal.Through mycorrhizal fungi, plant is able to respond to colonization (can vary from remarkable development promotion to development depression. Known elements that affect the response of the plant are the following: the nutrient condition of the soil, the inoculum possibility of the mycorrhizal fungi, and the mycorrhizal dependence of the horde crop.Crop rotation, fallowing, and tillage are among management practices that may negatively distress the number of mycorrhizal fungi in the field. Inoculation techniques and methods may be employed in the case wherein native inoculum is short or unproductive. Through the advanced pace of technology in the contemporary and scientific world, inoculation is mainly practicable for uprooted crops as well as in regions where soil interruption has significantly abridged the local inoculum potential.What Mycorrhiza IsA relationship or s ymbiosis involving plants and fungi which takes over the cortical tissue of roots throughout the stages of active development of plant is referred as mycorrhiza. Such relationship is described by the shift of the carbon produced by the plant towards the fungus as well as the movement of obtained nutrients by the fungus to the plant.In 1885, a German forest pathologist Frank first employed the term mycorrhiza (which denotes â€Å"fungus-root†) to the relationship that he observed from between the tree and fungus. From then on, the symbiotic relationships observed between plants and fungi are characterized by mycorrhiza (Smith, 1997).Increased development and yield or environmentally by enhanced condition characterize the advantages that the plants get from their symbiotic relationships. In such ways, the advantage accumulates mainly for the fact that mycorrhizal fungi establish a vital connection between the soil and the roots of the plant (Varma & Hock, 1999). Mycorrhizal fun gi generally propagate mutually in the soil and in the root.The extramatrical hyphae (or the soil borne) adopt nutrients drawn from the soil solution and transfer them towards the plant’s root. In this process, mycorrhiza enlarges the productive absorptive exterior part of the plant. In soils which lack nutrient or moisture, nutrients engaged in extramatrical hyphae can result to enhanced plant development and reproduction. In effect, mycorrhizal plants are frequently more viable in defense of ecological hazards than those plants that are not mycorrhizal (Varma & Hock, 1999).What Mycorrhiza DoesIn cases when there is a lack of soil solution in a nutrient, the surface area is the vital root factor which controls the uptake. The hyphae of mycorrhizal have the possibility to significantly amplify the part of the surface area of the root which main function is to absorb the nutrient.Moreover, it is noteworthy to take consideration on the allocation and role of the extramatrical h yphae. The hyphae must be allocated away from the nutrient reduction region that progress around the root if the mycorrhiza is to be productive in the uptake of nutrient (Smith, 1997). In the case when the nutrients are detached from the soil solution more hastily than they can be reinstated by transmission, a nutrient reduction region is developed.A jagged and thin reduction region is developed near the root in the case of a poorly-mobile ion, for example phosphate. Together with a sufficient amount of phosphorus, hyphae can voluntarily link this reduction region and develop into soil. Mycorrizhae improves the uptake of micronutrients (e.g. copper and zinc) for the reason that these elements are also transmission-bounded in major soils (Varma & Hock, 1999).The reduction region is broad and it is less probable that hyphae develop at length into the region that is not only affected by the root in case of more mobile nutrients, for example nitrate. The narrow diameter relative to root s effectively helps in the absorption of nutrient which is among the significant factors. The abruptness of the distribution incline for a nutrient is conversely associated to the radius of the absorbing unit (Smith, 19970. Consequently, the soil solution should be less exhausted at the outside of a contracted absorbing unit like a hypha. In addition, contracted hyphae can cultivate into undersized soil stomas unreachable to roots as well as to root hairs.Access to band of phosphorus not voluntarily obtainable to the plant is another benefit characterize to mycorrhizal fungi. One method to obtain such access is by the means of physiochemical discharge of organic and inorganic phosphorus from organic acids as a result of the low-molecular-weight organic anions’ action like that of oxalate which can function to either substitute phosphorus absorbed at metal-hydroxide shells y means of ligand-exchange effects, or liquefy metal-oxide shells that absorb phosphorus, or intricate me tals in solution hence averting moisture-generation of metal phosphates (Fox et al., 1990)How the World Sees MycorrhizaMycorrhizal relationships differ generally in composition and role. Notwithstanding the countless exclusion, it is likely to affirm wide-ranging oversimplifications concerning altitude, structure, soil properties, and roles of the various mycorrhizal forms that take over the leading undergrowth in a pitch of climatic zones (Read, 1884).Ericaceous plants (which control the acidic, high-organic heath land soils of subarctic and subalpine areas) are taken over by a cluster of ascomycetous fungi which give ascend to the ericoid-type of mycorrhiza (Smith, 1997). A wide-ranging development inside the cortical cells yet have small expansion into the soil characterizes this mycorrhizal variety.The fungi generate extracellular enzymes that break organic substances which enable the plant to absorb nutrients drawn from organic complexes derived in the colloidal substance conti guous on the roots. Heading alongside the ecological ascent, coniferous trees put back ericaceous shrubs as the prevailing foliage. These trees are taken over by an ample array of typically basidiomycetous fungi that cultivate amid root cortical cells establishing the ectomycorrhizal variety of mycorrhiza (Varma & Hock, 1999).Ectomycorrhizal fungi may generate huge amounts of hyphae in the soil and on the root (Smith, 1997). These hyphae work in the assimilation and transfer of location of water and inorganic nutrients as well as discharge nutrients from waste deposits through manufacture of enzymes implicated in the â€Å"mineralization† of organic substance.Grasslands frequently establish the principal foliage during the more humid and more parched finish of the ecological pitch. Nutrient employment is elevated and phosphorus is often a restrictive factor for development.A broad range of plants and even grasses are taken over by fungi fitting to the order Glomales. These fu ngi establish arbuscules or extremely divided structures within root cortical cells which necessitated the arbuscular variety of mycorrhiza. The Glomalean fungi may manufacture wide-ranging extramatrical hyphae and can drastically enlarge phosphorus-inflow charges of the plants they take over (Smith, 1997).The variety of these root-fungal relationships benefits plants with a variety of techniques and methods for well-organized carrying out in an arrangement of plant-soil scheme. The purpose of this paper is to offer an outline of this variety and to analyze the functions and potential for administration of the mycorrhizal symbiotic relationships in local and controlled ecosystems.ReferencesRead, D.J., Lewis, D.J., Fitter, A.H. & Alexander, I.J. (1992).   Mycorrhizae in ecosystems. CAB  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   International.Fox, T.R., Comerford, N.B. & McFee, W.W. (1990). Kinetics of phosphorus release from  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   spodosols: Effects of oxalat e and formate. Soil Sci. Soc. Am. J. 54:1441-1447.Smith, S.E. & Read, D.J. (1997). Mycorrhiza Symbioses (Second ed.). Academic Press.Varma, A. & Hock, B. (1999). Mycorrhiza: Structure, Function, Molecular Biology and   Biotechnology (Second ed.). Springer.

Wednesday, August 28, 2019

Summary what you have learned from lectures Assignment

Summary what you have learned from lectures - Assignment Example On the other side, counterproductive behaviors are those that are a hindrance to the accomplishment of the organization’s goals such as hostility, reduced efficiency etc. As an employee, recognizing these behaviors affects the quality of results that one attains in the organization, while to a leader, it is important to encourage the internal and organization citizenship behavior while discouraging the counterproductive behaviors. Organization commitment Organizational commitment can be explained as the desire for an employee to be ad remain part of the organization, it influences whether an employee stays in an organization or leaves to take up another job elsewhere. An affective commitment is whereby an employee stays in an organization because he wants to; he is emotionally attached and involved with the organization. In continuance commitment, an employee stays in an organization because he needs to, he is fully aware of the cost implications of moving from that organizati on and therefore desires to stays, normative commitment is because of the employee feeling that she ought to stay in the organization; one feels obligated to be in the organization. ... Motivation can either be extrinsic, which is because of external outcomes such as bonuses, job security and promotions, or intrinsic which is internal motivation such as a sense of accomplishment, skill development and a general enjoyment of the work. Learning and Decision Making Learning can be explained as a change that results from experience in the knowledge or skill that an employee poses, learning can be through reinforcement that is the use of rewards and punishment, observation and experience. In learning, classical conditioning implies that an employee’s response to a stimulus is not what would have been expected. Through operant conditioning, an employee learns by observing the how voluntary behavior produces certain consequences. To increase the desired behavior of an employee one can either employ the use of positive reinforcement whereby an employee’s desired behavior is followed by a positive outcome, or negative reinforcement whereby negative outcome is r idden off through a desired behavior. As a manager, the best form of employee reinforcement would be positive reinforcement and extinction whereby the consequence of an unwanted behavior is removed for example, stop downloading non-work related videos. Decision-making involves having a set of alternative options and choosing the one that is best suited for the issue at hand, this can be through intuitive decision making, in which the decisions are almost automatic to the person. On the other hand, rational decision making which is a systematic decision is making process and is mainly used by managers in an organization. Trust, Ethics and Justice There are different types of trusts and some depend on the trust, case and example, the disposition based trust, whereby, a person’s

Tuesday, August 27, 2019

Conflicting Reward Systems and Their Impact on Criminal Justice Research Paper - 1

Conflicting Reward Systems and Their Impact on Criminal Justice Administation - Research Paper Example It is also going to analyze why a person ‘A’ should not suffer at the expense of reward of person ‘B’. Conflicting Reward Systems and Their Impact on Criminal Justice Administration Introduction: The role of criminal justice system According to May, (2008), criminal justice is rights respecting treatment that is deserved by virtue of criminal conduct. It is concerned with the responsibility of controlling crime and ensuring the due process is followed. For example, in US justice system, prisons are expected to provide basic human needs in a favorable environment. There is a very great relationship between law enforcement, the judicial system, and the corrections. The law enforcement agents are mandated to ensure there is law and order in the society (May, 2008). The judicial system issues judgments to people found guilty. They send the criminals to correction centers where the criminals obtain various correction programs as they serve their jail term. In thi s case, prisons renounce idleness and offers constructive employment, and recreation activities to the prisoners. Harr, (2008) noted that the criminal justice system addresses the human needs of prisoners with an aim of expressing faith in them. This goes in line with the purpose of prisons other than punishing them, to correct the prisoner. This idea helps the prisoners maintain their humanity and cooperate with the programs designed to rehabilitate them. The aim of inclusion of criminal justice system is to abstract values and not to punish the prisoners. Conflicting Reward Systems and Their Impact on Criminal Justice Administration On the other hand, reward systems encompass rewarding specific persons involved in the criminal justice system (Schmalleger, 2007). For example, judges are re-elected due to their hard sentencing of criminals by sending them to prison. The same case applies to prosecutors who move large number of cases to court alongside quick settlement of the cases. However, such a move can only serve the interest of the rewarded persons while neglecting the interest of others (Schmalleger, 2007). In light to this assertion, it can be argued that hard sentencing of criminals for example drug addicts would not add any value to the criminals. After completion of their jail term, drug addicts can still go back to their usual habit of addiction. In this regard, instead of judges sending such criminals to prison, it would be much better if the drug addicts are referred to drug rehabilitation centers Harr, 2008). This way, they would get necessary treatment and counseling that would see them abandon drugs and start a new life. Although not all criminals can be subjected to alternative correction centers, most of them can actually be subjected to such institutions. Some of the most effective correction institutions that could help criminals deter from committing crimes includes boot camps, which are particularly practiced in military setups, house arr ests, restitution and electronic monitoring (Hodge, 2009). If these programs are more utilised, the criminal justice systems would be seen to be meeting their goals and objectives. In some instances, additional funding for expanding jail facilities is another form of reward for those jails that are seen to be efficient in being harsh on criminals. This reward tends to pay no attention to programs like rehabilitation centers which have facilities like education and various job training which would go a long way in correcting criminals (Solhkhah & Wilens,

Realism and Romantism Essay Example | Topics and Well Written Essays - 1000 words

Realism and Romantism - Essay Example The core idea of the American Dream, would be the individual citizens ability to achieve a level of existence, that would enable them to live their live to the fullest. To not only provide for themselves but also, include the opportunity to be able to provide for their families as well. As it stood for many, the attitude towards the American Dream would be one of a wistful state. Many would desire it and hope to achieve it. On the other side of the equation, there would be those that felt the elements of the American Dream would be nothing more, than a capitalist viewpoint and the encouragement of a mentality that promoted greed through mass acquiring of products. In the earlier days of the nation, the assessment of the American Dream would take on the appearance of an innocent and romantic idea, something that would have taken such an appearance if documented by those writers of the Romanticism era of literature. As literature would enter into the more realistic era of time, those e arlier thoughts would in fact be adjusted to be more in line with the time period around them. During the period of the romantics, well known authors would have included Mark Twain, Emily Dickinson, Walt Whitman, Ralph Waldo Emerson and Edgar Allen Poe. As for motivations during this period, "American poets like Walt Whitman, Emily Dickinson, Ralph Waldo Emerson, and Edgar Allen Poe were inspired by nature, patriotism, and religion to create inspirational and experimental poetic works," (Lombardi, p.1). With such relevance placed upon the notions of being patriotic in this instance, individuals such as Whitman, Dickinson, Emerson and Poe, would have found their beliefs of the power of the American Dream, to be heavily influenced by the period which they would have been writing. To have such a level of patriotism running through their respective veins, it would have only seemed natural to assert the benefits and strength of the nation and what it would offer to anyone who lived within it. With the inherent power that lies within the written word, the ability of an author to ai de in the influence of ideas and discussion, would have been present and used by the very authors who published during the era itself. Walt Whitman, Emily Dickinson and Mark Twain, among others, would also be mentioned within the period of realism, thus bringing light to the varied level of period ability that each would have had, as it came to producing works during those points in time. As it came to literature and the element of romanticism, it would have been, "The period between the "second revolution" of the Jacksonian Era and the close of the Civil War in America saw the testings of a nation and its development by ordeal. It was an age of great westward expansion, of the increasing gravity of the slavery question, of an intensification of the spirit of embattled sectionalism in the South, and of a powerful impulse to reform in the North. Its culminating act was the trial by arms of the opposing views in a civil war, whose conclusion certified the fact of a united nation dedicated to the concepts of industry and capitalism and philosophically committed to egalitarianism," (Harmon, et. al., p.1). Heavily emphasized morals and a predominant level of

Monday, August 26, 2019

Management Styles in the Criminal Justice System Assignment

Management Styles in the Criminal Justice System - Assignment Example Introduction There are three management systems in use in the Justice System and at any given time, one component of a particular system may be more evident than another system, dependent on the circumstances, It is important to note each system and what its components are in order to see how they work together in the best infrastructure possible. When one component is lacking, then this can also cause a problem along the administrative chain. 1. There are three types of management styles in the criminal justice system: Scientific Management, Human Relations Management and Systems Management. The Scientific Management, first instituted by Frederick W. Taylor, was the first to develop and institute this efficiency process which concerned how to get the best out of workers in a manufacturing business and boost production. A formal level of administrative infrastructure is installed which relates to authority, chain of command, the span of control and division of labor (Peak 2010). The implementation of such a system, particularly when applied to the Justice administrative system through POSDCORB (planning, organizing, staffing, directing, coordinating, reporting and budgeting), rarely addressed the human component of the workers (Peak 2010; Dempsey & Forst 2013). This led to a sense of depersonalization of the job for most workers, a rather robotic method of working which was not fulfilling. For many, getting a salary was important but it was not the whole picture as to why they were in the law enforcement profession. In Human Relations Management, the worker faces a more social environment at work that relates to being part of a group. In some aspects, it could be considered the family away from home in that everyone looks out for the other person and that it is more team-orientated within a job aspect (Peak 2010). In this respect, those management employees who were centered more on their employees and morale, rather than only quotas and production, achieved mo re with the department as a whole. Workers felt they could also make suggestions for better efficiency in operations as they were on the front row of things in the field. Yet, with the lack of emphasis on production, employees tended to want more while achieving less overall. In Systems Management, which began implementation in the 1960s, components of both previous systems were incorporated into the Systems Management infrastructure, thus addressing the human component, along with achieving goals and production levels, that were necessary for measuring success (or failure) in any department. Systems Management is based on the works of four people: Douglas McGregor (theory of human motivation), Abraham Maslow (hierarchy of needs), and Robert Blake and Jane Mouton (managerial grid). The grid centered on tasking and on people within systems management. The overall concept of systems management, according to these four people, was that managers also understand the needs of other groups and people as they affected his own group and to also understand and cope with conflict and adjustments from changes (Peak 2010). 2. The most useful style of management is the Systems Management because it incorporates the best of the previous two systems. The ability to create the organized infrastructure that will produce results within an administrated work map, as well as

Sunday, August 25, 2019

Tikal Essay Example | Topics and Well Written Essays - 750 words

Tikal - Essay Example The temple pyramids were made of limestone blocks and lorded over other surrounding structures. Lattice of stone were also added in Maya roof comb to make it as a grand-looking edifice. Architects considered the Maya site in Tikal of Guatemala as the most extraordinary construction of buildings as a work of art. The site is imposed with temples of the Giant Jaguar (ca. A.D. 700), Masks (ca. A.D. 699), and the North Acropolis (Canadian Museum of Civilization, 2010a). It was believed that at the core of the Giant Jaguar temple is a high priest’s tomb with hundreds of vases and jade as offerings. A quiet sanctuary was also built intended for worshipper at the top of the nine-tiered pyramid (Canadian Museum of Civilization, 2010a; Totten, 1926). The rooms in these temples are accordingly narrow and design for ritual or ceremonial activities only. Some perceived that the design and alignment of these rooms are significant and imply a certain value to the inhabitants. Other eye-catching structures in the city are palaces in single-storey platforms with several rooms and with interior courtyards (Canadian Museum of Civilization, 2010b). The nunnery in Uxmal also looked like a palace (Canadian Museum of Civilization, 2010b). Rulers, elites and the noble families are presumed by archaeologists to have occupied these structures and those cell-like rooms in some structures were probably rooms of religious leaders in their communities e.g. priests, monks, and nuns (Ching, Jarzombek, & Prakash, 2011). They also had this structure known as Temple of the Sun at the Palenque and some sturdy edifice of a Great Gate at Labna (Ching, Jarzombek, & Prakash, 2011). This form of Architecture is considered quite expressive of sophisticated decoration of arts, carvings, and wall paintings of ancient symbols (Ching, Jarzombek, & Prakash, 2011). Those building are interconnected by roads made of stones, also known as causeways. Although experts criticized that Maya city was

Saturday, August 24, 2019

Obama Care Essay Example | Topics and Well Written Essays - 1250 words

Obama Care - Essay Example The various benefits offered by the act includes the increase in the number of people who can access healthcare, healthcare insurance coverage for those who cannot obtain coverage on their own and various other benefits. On the other hand the law has several disadvantages such as increased financial burden on employers, conflicts with religious beliefs and other negative effects. When Obama Care Act was signed into law, there were more than 32 million individuals without insurance coverage (The White House 1). Due to lack of health insurance coverage, these individuals were being charged higher prices for healthcare services and this was leading to increase in the government’s expenditure on healthcare. As a result of Obama Care Act, these individuals will be able to obtain healthcare services at discounted prices and the government spending on healthcare will even decline. The act has made it obligatory for insurance providers to include ten essential advantages in their healthcare insurance policies and these benefits would help in furthering the wellbeing of the citizens of United States. These ten benefits are to be offered on no yearly dollar limits that are levied by insurance providers. These plans should cover for care that is to be offered to those citizens who are not admitted, care for health issues that need immediate treatment or else the se issues can even lead to death, care for females who are experiencing pregnancy and care that is to be provided to the newly born children (Obamacare Facts 1). Furthermore, these benefits include coverage for all drugs that have been prescribed by physicians, coverage for therapies that help individuals recover from physical impairments such as loss of communication skills, coverage for tests that are conducted on patients in laboratories, coverage for obtaining medical treatment to prevent development of diseases and even coverage for health issues experienced by children

Friday, August 23, 2019

Dissenting Opinions about Outsourcing Essay Example | Topics and Well Written Essays - 500 words

Dissenting Opinions about Outsourcing - Essay Example In 2009, the jobs that were lost to outsourcing may be difficult to quantify but Congressional studies last year has already quantified both the numbers of jobs and dollars lost to outsourcing abroad (Jackson 36-40). Also, his argument that more jobs were created in the technology industry due to outsourcing is flatly wrong because the financial crisis in 2010 hit the technology industry hard that many lost their jobs and along with it their homes. Of course, Andriole did not know that the financial crisis will strike but still, it does not excuse his argument that it is still wrong. Andriole’s argument that companies outsource to focus on their core competency and to save on cost may be a hypothesis when he wrote the article four years ago but it is already a given today that companies outsource not just to focus on their competency but also to save on cost and become competitive. It is a business imperative that companies will outsource â€Å"to get access to expertise at a good price† as what Andriole have mentioned and that is wherever that may be, locally or globally. This is no longer argued today because it is already a part of business reality. With regard to government’s responsiveness to technological change and the policy structure and educational system necessary to remain current and competitive is relative. I said relative because Andriole made a sweeping statement without inferring to any concrete study or figure that would correlate his statement. This is arguable because many academicians and politicians will tell that the best universities are still in the United States and we continue to fund cutting edge studies. On the other hand, many will also say that US capability is diminished and that it is no longer responsive to the demands of the workplace. Many will cite the scores in Math

Thursday, August 22, 2019

How the Majority Adapts to Major Economic Transformations Essay Example for Free

How the Majority Adapts to Major Economic Transformations Essay ALN provided a simplified plus-minus tax cut or tax increase, increased government spending or reduced expenditures analyses of the U.S. political landscape covering the pre- and post-World War period (85; 94-5) up to Bill Clinton’s term as U.S. President (109). ALN’s ‘When Legislators Get Out of Step’ or Chapter 6 of the book ‘Title’ attempted to explain the fiscal policy changes in the United States with regards to constituent preferences on fiscal policy issues; the speed or slowness of legislator actions, inactions, or stances; and constituent-legislator equilibrium or interest-and-action matching from a state of non-equilibrium (92). Meanwhile, ALN’s ‘Key Episodes in the Twentieth Century’ or Chapter 7 of the same book attempted to discuss the drawn out process of fiscal policy change initiatives (110). Chapter 6 basically explained how U.S. political representatives identify, understand, and support the majority while Chapter 7 detailed the U.S. Economy’s shift from agricultural to industrial and the corresponding increase in government spending to support denser population growth in the cities during the pre-World War U.S. economy (94-6). Chapter 7 also suggested that â€Å"voters became more conservative† and legislators â€Å"made an ‘honest mistake’† (110) during the later part of the twentieth century as the reasons behind the slow, yet ultimately, quick trend in tax cuts, and hence, reduced government spending (100-5). The thesis of this paper is that when it came to fiscal policy preferences, U.S. constituent mood swings from conservative to liberal or vice-versa actually reflected a major transformation in the U.S. economy that ALN reasonably examined in Chapter 6 (90-1) and some parts of Chapter 7 (94-7), but failed to identify or support in Chapter 7’s conclusion with regards to the later part of the twentieth century (110). First, ALN observed that U.S. government spending was increased in the early twentieth century but was cut or reduced during the last three decades (83). ALN also observed that some U.S. states followed this trend while others did not (83). ALN called those states that followed the trend as ‘initiative states’ while those states that did not follow the trend as ‘non-initiative states’ (83). Majority of ALN’s observations and analyses are focused on fiscal policies that increase or reduce spending or taxes versus those policies that retain the status quo. ALN pointed out that legislators or politicians that followed the trend are clearly the representatives of the majority while those that did not: â€Å"voted according to their conscience† believing that they know better than the majority (87). In this light, ALN asserted that: â€Å"After all, representatives who want to stay in office will try to please their constituents, and those who flagrantly ignore the wishes of the electorate will eventually be voted out of office† (87). ALN also provided numerous examples on how government spending increased during the U.S. economy’s shift from the agricultural era into the industrial age as the rural economy became weak while the urban economy became strong (94-7). Moreover, ALN cited as an example voters’ preference for increased welfare spending during a recession instead of during an economic boom (90). ALN’s examples appeared to have economic explanations, and dovetailed with Roosevelt’s New Deal and spending economics to pump prime a sluggish U.S. economy during the Great Depression, except in ALN’s discussion of the California Tax Revolt (100; 102-5), Ronald Reagan (102-3; 106; 108-9), and Bill Clinton (109). Here, initiatives for tax cuts have been simply presented and explained as constituency preferences or setting about â€Å"to implement the will of the voters† (103). Second, Chapter 6 or ‘When Legislators Get Out of Step’ provided insights on how legislators deliberately or unwittingly interpret or misinterpret voters’ preferences on certain issues that affect the speed by which fiscal policies change and vice-versa. Meaning, voters too can misinterpret the stances on fiscal policy issues of their duly elected representatives. Both ways, misinterpretations are due to a variety of reasons such as: [a] the diverse portfolio of issues that a politician supports or information overload (88); [b] the great number of politicians that need to be elected in federal, state, and local government offices (88); [c] the distinct interests of politicians compared with ordinary citizens (87); [d] limited information (89); and [e] lack of measurement tools that gauge voter preferences on selected issues (89). According to ALN, these reasons determine the speed or slowness of a politician to adapt to a fiscal policy change that the majority of constituents prefer. Ultimately, the politician catches up with the preference of the voting majority. Otherwise, politicians get voted out of office. Meanwhile, Chapter 7 or ‘Key Episodes in the Twentieth Century’ provided an insight into how a visionary initiates the process of fiscal policy change (102), how the initiative slowly gains momentum (102), and how the initiative affects the majority of the voters eventually resulting in a fiscal policy change (103-5). However, ALN’s discussion of the slow fiscal policy change did not refer to any economic explanations even though the time period graphically shown in Figure 7.3 illustrating the growth of support for tax cuts from 1968 to 1979 in California (104) can be dovetailed with major economic events that occurred during this time such as the oil crisis of the 1970s; the emerging trend in Japanese car imports; or the beginnings of offshore manufacturing plants. Essentially, the slow gain in momentum of the California tax cut that was initiated by Philip Watson could also be attributed to lack of information, both from the point of view of politicians and the voting constituency of California State. This is for the simple reason that: Watson may have had been ahead of his time. For the purpose of this paper, it can be conjectured that Watson may have had seen, evaluated, or assessed economic events that were unfolding during his time that eventually resulted in the trend of tax cuts and reduced government spending. For instance, U.S. consumer preference for more fuel-efficient and cheaper Japanese cars could have had a positive externality that politicians would initially favor for the sake of the bigger majority of consumers. However, the same situation has a negative externality in the sense that U.S. car manufacturing jobs will be greatly affected when demand for Japanese cars rise while those for US-made cars plunge. Due to the multiplier effects of the US automotive industry on the US economy, tax cuts would essentially counter the side effects of cheaper, Japanese automotive goods such as: [a] lost jobs from direct and indirect automotive industry businesses; [b] lesser US worker and business income due to international competition; and [c] lesser demand for other US goods due to reduced purchasing power of US workers and businesses. On the contrary, since tax cuts would basically reduce government spending due to lesser government funds, major US businesses and US workers could be negatively affected by these tax cuts. Cause and effect-wise, politicians initially favoring the preference of the majority of consumers could eventually be doing a disfavor to the majority of constituents who have had lost jobs and reduced income. In this sense, ALN appeared to have had ignored the cause and effects brought about by the economic externalities on the US political landscape. Third, ALN tried to tie-up several theories on voter preferences and the will of the majority in Chapter 6 with the California Tax Revolt story (100; 102-5) in Chapter 7 to illustrate how ‘voters became more conservative’ (86) and how politicians make ‘honest mistakes’ (87). ALN basically explained in Chapter 6 how US politicians identify their supporters and voters to win an election; how they understand voter preferences; and how they support the majority of their constituents. In Chapter 7, ALN explained how the voting majority of the early twentieth century changed from rural into urban citing the change in economy as the main reason behind such change in fiscal policy. ALN noted the mass migration of the rural population into the cities albeit political structures initially favored the rural population that eventually became the minority (94). In time, city dwellers gained stronger political influence and hence had greater say in US government. One point that appears to have been left out in ALN’s discussion is the nature of initiative states and non-initiative states. It can be postulated that initiative states appear to be states with highly urbanized majorities while non-initiative states appear to have highly rural majorities. This is an area that has not been thoroughly explored to explain the fiscal policy gaps between initiative states and non-initiative states. This crucial point could explain why fiscal policy change in non-initiative states are slower or appear to favor the status quo. A conjecture is that the dominant economy of a particular non-initiative state may be less affected by major economic transformations compared with initiative or highly urbanized states, or those with highly developed economies. In another light, ALN seemed to have succeeded in recognizing the following: [a] â€Å"a change in the aggregate economic environment can alter the electorate’s views about the desirability of government programs;† and [b] â€Å"preferences also change as people learn about the consequences of policies;† (90). However, even though economic transformations and externalities have been recognized in the latter, ALN did not offer any economic explanations as to why ‘voters became more conservative’ in the later part of the twentieth century, specifically in favoring and voting for a tax cut. It would have been more reasonable if ALN explored the tie up of voter preferences with economic transformations and externalities rather than simply stating that voters became more conservative in the later part of the twentieth century. The said statement appears to imply that fiscal policy can change on the mere whim of the majority, or a visionary, when in fact policy changes start due to changes in the economy as ALN reasonably observed but insufficiently supported for the tax cut and reduced government spending. On the contrary, ALN successfully tied up the same premise for increased government spending in the early part of the twentieth century. The idea that changes in fiscal policy reflect the changing nature of voter preferences could be more in line with the argument that voter preferences change with a corresponding change in the general economic condition. Economic changes are basically brought about by improvements or innovations in technology that affect how people make or earn their living as ALN correctly observed. It is also noteworthy that policy changes trigger a corresponding effect that could either be positive or negative. Initially, the political intention or cause might be for favoring the majority but due to some unexpected effect, the welfare of the majority becomes compromised. This could explain why some politicians appear to be slow in immediately discerning the preferences of the majority. The arguments here have already shown that favoring the preferences of the majority could in fact have unintended side effects that could eventually disfavor the majority. When the capacity of constituents to make a living becomes threatened or is at risk, it becomes relatively easy to recognize that: when it came to fiscal policy preferences, U.S. constituent mood swings from conservative to liberal or vice-versa actually reflected a major transformation in the U.S. economy. Work Cited Author’s Last Name, Author’s First Name, Author’s Middle Name Initial. â€Å"Key Episodes in the Twentieth Century.† Title of Book. Year of Publication. . â€Å"When Legislators Get Out of Step.† Title of Book. Year of Publication.

Wednesday, August 21, 2019

Operations Research Essay Example for Free

Operations Research Essay Operations are directly affected by changes in the factors of production and by other circumstantial changes which directly affect the costs of these factors. One of these changes is the demand changes that occur within the market. Operations are directly affected by production since the level of production coincides with the supply and demand levels of market. Demand has a direct effect in this case since a lower rate of demand necessarily means that production has to be reduced in response to the decreasing demand and thus operations are affected as well. Another factor to consider is the implementation of new pollution control laws which drives up the costs of production and operating expenses due to the taxes that may be imposed and compliance regulations that will be enforced. Carbon trading, which is an example of a pollution control law, requires industries to purchase carbon credits which in the end affect the price of the goods and operating expenses. Other items such as the fluctuation in the value of the dollar and price changes are also critical because they determine the end cost of not only the factor inputs required for operations and by doing so affect the expenditures of companies but also determine the willingness of the market to consume the item or service that is being sold. A stronger dollar for example will mean that exports are affected because it will necessarily drive up the cost of a commodity vis-a-vis the exchange rate. Price changes are also important to consider because they affect the willingness of the customer to purchase a certain commodity and principles such as substitution and competition now take effect.

Tuesday, August 20, 2019

Wheat Gluten Protein Analysis

Wheat Gluten Protein Analysis Wheat is one of the most important cereal crops and its end-products like breads, noodles, pasta and other baked products are consumed globally and have become staple diet. The viscoelastic properties of wheat dough are primarily dependent upon the interaction of gluten proteins. Gluten proteins consist of gliadins, which provide viscous property to wheat dough, and glutenins, which contribute towards elasticity of the dough (Ciaffi et al., 1996). Storage protein deposition is affected by environmental conditions during the grain development period (Randall Moss, 1990; Lukow McVetty, 1991). For controlling the variation in wheat flour, it is imperative that the regulatory factors responsible for formation, folding and polymerization of gluten proteins should be studied. In nature, folding of proteins is mediated by an array of proteins that act as molecular chaperones or foldases (Fischer and Schmid, 1999). The wheat gluten proteins are proline rich (10-30%) (Van-Dijk et al., 1997) and about 6% of all Xaa-Pro (Xaa: other bulky amino groups preceding proline) peptide bonds show the cis conformation. Peptidyl prolyl cis-trans isomerases (PPIases) are the only enzymes known to catalyse cis-trans isomerisation of peptidyl prolyl bonds which is a rate-limiting step in protein folding (Fischer et al., 1989). Understanding the role of PPIases in gluten protein deposition in wheat could help in developing strategies for manipulating the storage proteins desired for different food products by breeding and/or genetic engineering strategies. Peptidyl-prolyl cis-trans isomerases comprise of three distinct classes of proteins- cyclophilins, which bind to the immunosuppressive drug cyclosporin A (CsA) (Handshumacher et al., 1984); FK506-binding proteins (FKBPs), which bind the macrolide drugs FK506 and rapamycin (Harding et al., 1989); and the parvulin family (Dolonski and Heitman, 1997). Due to their drug binding activities, cyclophilins and FKBPs are also known as immunophilins. The FKBPs are conserved in all organisms from prokaryotes to higher plants and mammals (Gasser et al., 1990). Rice genome is reported to contain largest number of FKBP members (Ahn et al., 2010). FKBPs, beside folding of proteins, are also involved in many other cellular processes such as cell signalling (Luan et al., 1998), protein complex formation (Pratt and Toft, 1997; Reynold et al., 1999), regulation of plant growth and development (Geisler et al., 2004), stress response (Kurek et al., 1999; Yu et al., 2012) and in redox control of photosynt hesis (Gupta et al., 2002; Gopalan et al., 2004). Two multidomain FKBPs, FKBP73 and FKBP77, were cloned earlier from wheat (Avezier et al., 1998). These proteins were also demonstrated to play role in signal transduction through their interaction with mammalian p23 and plant HSP90 (Owens-Grillo et al., 1996; Reddy et al., 1998). Recently, genes encoding three single-domain wheat FKBPs, TaFKBP13, TaFKBP16-1 and TaFKBP16-3 were cloned and characterized by Gollan et al. (2011). TaFKBP13 was the first active lumenal FKBP reported in cereals, whereas, TaFKBP16-1 and TaFKBP16-3 did not show any PPIase activity (Gollan et al., 2011). These FKBPs were also implicated in assembly of photosytem complexes and thylakoid membrane complexes (Gollan et al., 2011). It is evident that information on FKBPs which have been cloned and characterized from wheat is limited (Aviezer et al., 1998; Bhave et al., 2011). Further, their role in gluten protein deposition has also not been explored as yet. Theref ore, the present study was carried out with the following objectives. To analyze differences in deposition of gluten storage protein in grains at different stages of development in Indian wheat cultivars having varied protein content. Developmental changes in total PPIase activity and its correlation with storage protein deposition. To study the contribution of cyclophilins and FKBPs towards total PPIase activity in developing grains by inhibition assays employing cyclosporin A and FK506 as specific inhibitors, respectively. Cloning and characterization of FKBP genes and their expression analysis. Salient findings of the study Different hexaploid wheat (Triticum aestivum) cultivars (GLUPRO, LOKI, HPW89), which varied in their protein content, were selected for this study. The grains were harvested at different stages of development viz. 8, 12, 16, 20, 25 days post anthesis (DPA) and maturation. The isolation and separation of different storage protein fractions from the wheat grains pose a challenge due to their cross contamination. Therefore, different methods, which were reported earlier by Osborne (1924) and Fu and Saperstein (1996) were tried. These methods did not result in isolation of pure fractions of gliadins and glutenins from the grains of cultivars used in this study. However, the method reported by DuPont (2005) resulted in highest recovery of different protein fractions with minimal cross-contamination. The reducing SDS-PAGE analysis demonstrated that the accumulation of gliadins in the cultivars of wheat included in this study was affected by the developmental stage of the grain. Present stu dy also demonstrated that accumulation of high molecular weight subunits of glutenins (HMW-GSs) was also cultivar- and stage dependent. The profile of high molecular weight subunits of glutenins (LMW-GSs) was not altered significantly after 16 DPA in any of the three cultivars. Contrary to gliadins and glutenins, the albumins in the present study did not show any significant inter-cultivar variability. Further, the accumulation of albumins in all the three cultivars started after 12 DPA and increased up to maturation. The different albumins may consist of proteins involved in important cellular functions like protein folding, plant defence mechanism, stress response, etc. (Merlino et al., 2009) and, therefore, must be conserved in nature, which explains the lack of intercultivar variation in the three cultivars analysed in this study. Developmental regulation of PPIases in wheat grains has been reported for cyclophilin (Grimwade et al., 1996) and FKBP73 (Aviezer et al., 1998) at transcript and protein level, respectively. Expression studies of PPIases at activity level are however lacking also important because the transcript levels may not always culminate in higher levels of protein or activity due to post-transcriptional regulation (Arnholdt-Schmitt, 2004). Therefore, to elucidate the role of PPIase genes in accumulation of storage proteins in wheat grain, PPIase assays were performed by using crude protein extract of developing grains, and activity was estimated by a coupled enzyme assay method using chymotrypsin for cleaving the test peptide N-succinyl-ala-ala-pro-phe-p-nitroanilidine (Fischer et al., 1984). Principal Component Analysis (PCA) revealed that PPIase activity in cvs. HPW 89 and GLUPRO was related to the accumulation of gliadins. The presence of PPIase activity at different stages of grain develop ment in all the cultivars and its close association with storage proteins indicated that these enzyme(s) may be playing an important role in deposition of storage proteins in wheat. PPIase activity of FKBPs and cyclophilins is inhibited by immunosuppressant drugs FK506 and CsA, respectively (Harding et al., 1989). Since no cross inhibition by the two drugs is reported (Harding et al., 1989), we, therefore, employed CsA and FK506 as specific inhibitors to determine the contribution of these two classes of proteins to total grain PPIase activity. Except at 25 DPA in LOK I, the PPIase activity at all stages of grain development in the three cultivars was almost totally inhibited by CsA. These observations, thus, suggest that PPIase activity in the grains, except at 25 DPA in LOK-1, was primarily due to cyclophilins. Since FK506-inhibitable activity in the crude protein extracts of the three cultivars was negligible, therefore, to further investigate the reason for this observation, cloning of FKBP genes, which are expressed in the developing grains, was attempted. Sequence of an active FKBP type-1 domain of wFKBP73 (accession number X86903.1) comprising of 95 (50-1 45) amino acid (a.a.) residues (Blecher et al., 1996) was used as a query, which resulted in identification of hundreds of different putative FKBP sequences in T. aestivum. These sequences were retrieved from NCBI and subjected to TBLASTn using TIGR Plant Transcript Assemblies database (TADB; http://plantta.jcvi.org/) for wheat. Of the several retrieved sequences from TIGR, three different cDNAs, TaFKBP15-1, TaFKBP16-1 and TaFKBP20-1, which showed longest open reading frame (ORFs), were selected for cloning using the RNA isolated from the developing grains harvested at 16 DPA. The study successfully resulted in cloning of three FKBP genes from Indian wheat. Bioinformatics analysis of the cloned cDNAs revealed that TaFKBP16-1 consists of an ORF of 408 bp encoding a protein of 135 a.a. residues with molecular weight (M.W.) and pI of 15.26 kDa and 5.75, respectively. The 561 bp and 477 bp ORFs of TaFKBP20-1 and TaFKBP15-1, respectively, were predicted to encode proteins of 186 and 157 a.a. residues, respectively, with M.W. and pI of 19.95 kDa and 6.77, and 16.61 kDa and 8.96, respectively. In silico analysis of a.a. sequences of the cloned TaFKBP20-1, TaFKBP16-1 and TaFKBP15-1 revealed that the FKBP domains architecture, though conserved in these proteins, also show variability observed in their secondary structures. Further, analysis of signal peptide using different online tools predicted localization of TaFKBP20-1, TaFKBP16-1 and TaFKBP15-1 to nucleus, possibly cytosol and ER, respectively. Compared to human homologue, hFKBP12, both TaFKBP15-1 and TaFKBP20-1 showed presence of all the essential residues (Y26, F36, F46, W59, Y82 and F99) required for PPIase activity, as compared to only three (Y26, Y82 and F99) in TaFKBP16-1. TaFKBP15-1 is 40% and 38% similar to TaFKBP16-1 and TaFKBP20-1, respectively, whereas, TaFKBP20-1 is 30% similar to TaFKBP16-1. The variability observed in these FKBPs in wheat suggests that these proteins may be playing specific roles in the cells, which need to be investigated further. The recombinant TaFKBP20-1, TaFKBP16-1 and TaFKBP15-1 proteins were expressed in E. coli BL21-CodonPlus(DE3)pLysS and purified by Ni-NTA affinity chromatography. The recombinant nature of the purified proteins was validated by immunoblotting studies using anti-His antibody, which resulted in detection of the specific bands corresponding to the respective purified FKBP proteins. For biochemical characterization of three proteins, PPIase assays were performed. None of the three purified FKBP proteins showed any detectable PPIase activity since the first order rate constant (0.013 s-1) in presence of up to 2 Â µg of each of the three purified proteins was similar to the first order rate constant (0.0135 s-1) observed for the uncatalysed control (in the absence of protein). To determine the reasons for lack of PPIase activity, despite the presence of conserved a.a. residues, TaFKBP20-1 and TaFKBP16-1 were subjected to chymotrypsin susceptibility assay, which is used for determining the PPIase activity. The assays revealed that both the proteins were cleaved by chymotrypsin which could be one of the reasons for the absence of PPIase activity in the two proteins. Lack of detectable activity inTaFKBP15-1, however, could be because of improper refolding due to the use of urea which was employed for solubilization of this protein during purification. FKBPs in plants have been implicated in various stress responses (Kurek et al., 1999; Sharma and Singh, 2003; Magiri et al., 2006). Ca2+ is one of the most important secondary messengers in eukaryotes, which plays an important role in different signal transduction pathways under stress conditions (Reddy, 2001). A number of multi-domain FKBPs viz., MzFKBP66, AtFKBP62, AtFKBP65, wFKBP73 and wFKBP77 have been reported to interact with CaM in plants (Vucich and Gasser 1996; Hueros et al., 1998; Kurek et al., 2002; Aviezer-Hagai et al. 2007). We, therefore, also analysed the CaM-binding property of the cloned FKBPs. CaM gel-overlay assay demonstrated that of the three proteins, only the purified TaFKBP15-1 interacted with CaM, which was dependent on the presence of Ca2+. Real-time PCR analysis of TaFKBP20-1 and TaFKBP15-1 in developing grains of wheat revealed that expression of these genes is regulated developmentally- and is cultivar-dependent. The lack of PPIase activity observed for TaFKBP16-1, TaFKBP20-1 and TaFKBP15-1 indicates that ability to catalyse cis-trans isomerisation of peptidyl prolyl bond may not be a conserved feature of plant FKBPs, since other plant orthologues viz., TaFKBP16-1, TaFKBP16-3, AtFKBP20-2, AtFKBP42were also found to be inactive (Gollan et al., 2011; Lima et al., 2006, Edvardsson et al., 2007; Kamphausen et al., 2002). However, despite lack of PPIase activity, these FKBPs may be involved in other cellular functions such as cell signalling, stress response, photosynthesis and plant development, as reported for other orthologues (Sigal and Dumnot, 1992; Geisler et al., 2003; Gollan et al., 2011; Lima et al., 2006).

Becel Margarine Case Analysis Essay -- Business Marketing Case Becel E

Becel Margarine Case Analysis I. Executive Summary Becel needs to adjust their promotional efforts to address both a heart healthy and great tasting product, while expanding their target market to the twenty-five and above demographic. Becel’s current customers are largely empty nester households where the customers tend to be affluent with high incomes and over sixty-five years of age. By adjusting their promotional efforts to address both a heart healthy and great tasting product, Becel will be able to meet the needs of the twenty-five and above demographic. Becel’s strengths include a strong reputation as a leader in heart health and nutrition education, being the premium priced margarine, and the highest consumer loyalty of any margarine category. Among some of the weaknesses of Becel are lack of a strong presence in Western Canada, not positioned as great tasting, and a low advertising awareness. Opportunities include the consideration of health and taste when selecting margarine, selling in bulk quantity to large family households, and increased awareness of health issues. Canola Harvest positioning their margarine as the healthiest and best tasting and offering it at a lower price, competitors gaining market share at a faster rate than Becel, and regulations on the margarine category are among the threats facing Becel. Three alternatives were developed to help solve Becel’s problem. â€Å"Run Canada, Run† portrays Becel as the margarine that is geared towards a heart-healthy lifestyle. â€Å"Body by Becel† conveys how Becel can help you lose weight and stay healthy. â€Å"Now We’re Cooking with Becel† demonstrates how Becel can be used in a variety of healthy, day-to-day recipes. Innovative Solutions’ educated recommendation is â€Å"Now We’re Cooking With Becel†. This will allow Becel to expand their target market, while promoting their product as heart healthy and great tasting. By implementing this recommendation, Becel will have the opportunity to create a competitive advantage and gain market share. II. Introduction Unilever was formed in 1930 when British soap maker Lever Brothers merged with the Dutch company Margarine Unie. This merger â€Å"allowed both companies to benefit from many raw materials and resources that they had in common† (Kerin and Robertson 600). Unilever Canada is a division of the international Unilever group, headed by two paren... ... BUDGET â€Å"Now We’re Cooking With Becel.† Cos Cost of production $2000 X 2 Commercials $4,000.00 Commercial Placement Costs Food Network (11months, 14 spots/wk at $232.13 each) $142,992.08 CBC Quebec, (10 months, 10 spots/wk $200) $80,000.00 CBC Western (10 months, 10 spots/week $170 ) $68,000.00 Sponsorship of Cooking Thin television show (negotiable) $1,000,000.00 Total $1,294,992.08 Works Cited Canadian Broadcasting Corporation   Ã‚  Ã‚  Ã‚  Ã‚  www.cbc.ca Chum Limited Media  Ã‚  Ã‚  Ã‚  Ã‚  www.chumlimited.com Nielsen’s Canada  Ã‚  Ã‚  Ã‚  Ã‚   http://64.233.161.104/search?q=cache:5qd-mM60xAUJ:www.digital-adventure.com/pdf/TVLNielsens_4thQtr_BCAdult.pdf+food+network+canada+rank&hl=en Weight Watchers Canada  Ã‚  Ã‚  Ã‚  Ã‚  www.walmar.com Food Network Canada  Ã‚  Ã‚  Ã‚  Ã‚  www.foodtv.ca The world Fact book http://www.cia.gov/cia/publications/factbook/geos/ca.html#Geo Information from these sources as well: http://www.hackcanada.com/canadian/other/adbusters.html  Ã‚  Ã‚  Ã‚  Ã‚     Ã‚  Ã‚  Ã‚  Ã‚  http://www.dietfacts.com/html/items/17014.htm   Ã‚  Ã‚  Ã‚  Ã‚   http://thesoydailyclub.com/Food/becel01072003.asp http://www.corporatewatch.org.uk/profiles/food_supermarkets/unilever/Unilever-profile.rtf

Monday, August 19, 2019

ALI :: essays research papers

American boxer, one of the greatest fighters in the history of the sport. Colorful, talented, and sometimes controversial, Ali entertained fans and intimidated opponents. His boxing style involved graceful footwork and powerful jabs. He also became famous for bragging about himself. For example, he once described his skills by saying that he could "float like a butterfly, sting like a bee," In 1978 Ali became the first boxer to win the world heavyweight championship title three different times. Ali was born in Louisville, Kentucky. His original name was Cassius Marcellus Clay, Jr. He began boxing at the age of 12, after his bicycle was stolen and a police officer suggested that the young Clay should learn how to box. By age 18 Clay had amassed a record of 108 wins and 8 losses in amateur competition. This included six Kentucky Golden Gloves titles, the 1959 International Golden Gloves heavyweight title, and a gold medal as the light heavyweight champion at the 1960 Olympic Games in Rome, Italy. After returning from the Olympics, Clay turned professional. He fought his first professional bout on October 29, 1960, and defeated Tunney Hunsaker. As Clay continued to win over the next few years, he became more vocal about his successes, and he was given the nicknames "Louisville Lip" and "Mighty Mouth." By 1964 Clay had recorded 19 professional wins and had earned a chance to challenge heavyweight champion Sonny Liston. At 22 years of age, he was considered a serious underdog. Nonetheless, he predicted that he would knock out Liston in the eighth round. Clay needed even less time to make good on his claim. His jab-and-dance technique tired Liston, who failed to come out of his corner at the start of the seventh round. Clay was crowned the new world heavyweight champion and proclaimed himself "The Greatest." In 1964 Clay converted to Islam, joined the Nation of Islam (see Black Muslims), and assumed the name Muhammad Ali. In 1965 he defended his title in a rematch against Liston. The bout lasted only 2 minutes 12 seconds. During the first round Ali caught Liston with a hard blow, so quick that it was dubbed the "phantom punch" because few fans saw it.

Sunday, August 18, 2019

Police Corruption :: Law Enforcement Corruption

Police corruption is a complex phenomenon, which does not readily submit to simple analysis. It is a problem that has and will continue to affect us all, whether we are civilians or law enforcement officers. Since its beginnings, may aspects of policing have changed; however, one aspect that has remained relatively unchanged is the existence of corruption. An examination of a local newspaper or any police-related publication on any given day will have an article about a police officer that got busted committing some kind of corrupt act. Police corruption has increased dramatically with the illegal cocaine trade, with officers acting alone or in-groups to steal money from dealers or distribute cocaine themselves. Large groups of corrupt police have been caught in New York, New Orleans, Washington, DC, and Los Angeles. Methodology: Corruption within police departments falls into 2 basic categories, which are external corruption and internal corruption. In this report I will concentrate only on external corruption because it has been the larger center of attention recently. I have decided to include the fairly recent accounts of corruption from a few major cities, mainly New York, because that is where I have lived for the past 22 years. I compiled my information from numerous articles written in the New York Times over the last 5 years. My definitional information and background data came from various books cited that have been written on the issue of police corruption. Those books helped me create a basis of just what the different types of corruption and deviancies are, as well as how and why corruption happens. The books were filled with useful insight but were not update enough, so I relied on the newspaper articles to provide me with the current, and regional information that was needed to complete this report. In simple terms, corruption in policing is usually viewed as the misuse of authority by a police officer acting officially to fulfill personal needs or wants. For a corrupt act to occur, three distinct elements of police corruption must be present simultaneously: 1) misuse of authority, 2) misuse of official capacity, and 3) misuse of personal attainment. (Dantzker, 1995: p 157) It can be said that power inevitably tends to corrupt, and it is yet to be recognized that, while there is no reason to suppose that policemen as individuals are any less fallible than other members of society, people are often shocked and outraged when policemen are exposed violating the law. The reason is simple. There deviance elicits a special feeling of betrayal. "Most studies support

Saturday, August 17, 2019

The Hispanic Community

Based on the United States (U. S. ) Census Bureau in 2011, there were roughly 52 million Hispanics living in the nation, which represented about 16. 7% of the total population (Zepeda, 2011). People of Hispanic origin are the nation's largest ethnic minority group (Zepeda, 2011). Arizona's Hispanic population grew faster than other groups over the past decade (Zepeda, 2011). Arizona had nearly 1. 9 million Hispanic residents as of April 2010, an increase of 46% over the previous decade (Zepeda, 2011). By tradition, the Hispanic family is dependent on one another and possesses the most important social unit (Zepeda, 2011).In the Hispanic culture, it is customary to be morally responsible for other family members and help them in their time of need when they are experiencing financial problems, unemployment, poor health conditions, and other life issues (Zedpeda, 2011). Respect for the elderly and authority is a major point of teaching as well as preserving the Spanish language within the family (Zepeda, 2011). The Hispanic population have low rates of educational attainment, family income, insurance coverage, and a higher rate of poverty compared to non-Hispanic Whites (â€Å"Summary health statistics†, 2012).Value/Belief Pattern The Hispanic community is predominately Catholic (â€Å"Transcultural nursing†, n. d. ). Hispanics consider health to be â€Å"a gift from God and should not be taken for granted† (â€Å"Transcultural nursing†, n. d. , para. 1). Illness prevention is practiced through prayer, wearing religious medals or amulets, and by keeping certain home artifacts (â€Å"Transcultural nursing†, n. d. ). They are present-oriented and thus may fail to seek preventive care (â€Å"Transcultural nursing†, n. d. ). They may arrive late or not go to appointments (â€Å"Transcultural nursing†, n. d. ).Their culture emphasizes family interdependence over independence (â€Å"Transcultural nursing†, n. d. ) . In times of illness, they depend on family and friends for assistance as opposed to social workers. (â€Å"Transcultural nursing†, n. d). Health Perception/Management Pattern The Hispanic culture emphasizes wellness rather than illness and holistic ideologies pertaining to health (Young, 2001). Decisions to seek medical assistance and treatment are often based upon cost, which frequently results in utilizing a licensed physician as a last resort (Young, 2001). They mostly rely on home treatments and community healers (Young, 2001).Many barriers exist for Hispanics to obtain high quality healthcare, including lack of insurance, socioeconomic status, language, and communication challenges. The most frequent minority health issues in Tucson, Arizona are heart disease, diabetes, obesity, hypertension, and HIV/AIDS. The top three leading causes of Hispanic deaths in Arizona are from cardiovascular disease, heart disease, and cancer (ADHS, 2009). Nutrition/Metabolic Pattern The H ispanic population has a low intake of vitamins A, D, E, B2, B6, folic acid, and minerals (Ortega, Lopez, & Serra, 2004).According to a 2009 report on emergency food distribution in the U. S. , Hispanic children had a higher rate of food assistance (29%) compared to Whites (11%) (Feeding America, 2010). The obesity rate among Hispanics in Arizona (33. 1%) is disproportionately high and exceeds the national Hispanic obesity average of 30. 6%. The three sources of water supply in Tucson are groundwater, Colorado River water, and recycled water . Specific foods and drinks like beverages, caffeine/energy drinks, carbonated beverages, whole fat milk, sport drinks, fried food and fruit/vegetable drinks are prohibited in school campuses.Elimination Pattern (Environmental Health Concerns) Hispanics are environmentally friendly. According to research, Latino Americans (Hispanics) â€Å"are the greenest population in the U. S. † (Arsian, 2011, para. 1) as they tend to look for greener products for their daily use. Many environmental issues affect Hispanics. Research shows that Hispanic children of low-income families are â€Å"more likely to live in unsafe areas with poor street environments† (Zhu & Lee, 2008, p. 282). In 2009, Hispanics had the second highest percentage of those residing in inadequate housing (CDC, 2011).In 2006, about 25% of Hispanics resided in counties that exceeded fine particulate matter standards for air – representing the highest percentage of any ethnic group (CDC, 2011). Activity/Exercise Pattern Hispanics have a low physical activity level which has contributed to their elevated obesity rate (Lee & Laffrey, 2008). In a survey, over 67% of Hispanics did not exercise at least 150 minutes per week as national guidelines recommend (Bautista, Reininger, Gay, Barroso, & McCormick, 2011). More men than women and more single individuals than married individuals exercise (Lee & Laffrey, 2008).The three most preferred methods of ex ercise are walking/running, stretching and resistance activities, and aerobics (Lee & Laffrey, 2008). Sleep/Rest Pattern Research shows that Hispanics are at greater risk for reduced sleep hours and sleep disorders like apnea (Loredo et al. , 2010). Tucson’s Children’s Assessment of Sleep Apnea Study compared Hispanic and Caucasian children residing in Tucson, Arizona. Hispanics were found to have a 3% increase of sleep disorders compared to Caucasians of the same age group residing within the same geopolitical area (Quan, Goodwin, Babar, Kaemingk, & Morgan, 2003).A hypothesis for differences is unclear; it is possible that socioeconomic variables with the ability to speak limited English may have had a reflection on this study (Quan, Goodwin, Babar, Kaemingk, & Morgan, 2003). Cognitive/Perceptual Pattern Disparity exists among the Hispanic population in Tucson, which is growing into a majority status while lagging in educational attainment (Tucson Hispanic Chamber of Commerce, n. d. ). Low educational attainment is linked to low earning power and poverty.Educational and social deficits in perception/cognition may be based on the inability for many Hispanic residents to effectively assimilate to Western society. This is a border community in which many residents continue to reside in Mexico while maintaining a home in Tucson. This appears to decrease acculturation, education, and communication by minimizing the use of English as a second language. Self-Perception/Self-Concept Pattern Hispanics usually place a great importance on their look and appearance as it is viewed as a sense of honor, dignity, and pride (Zepeda, 2011).They prefer to dress formally for church attendance, parties, and other social gatherings, but recently jeans and tennis shoes are becoming more popular among the women (Zepeda, 2011). Another cultural habit is that they are flexible about time when attending social events – they tend to be less punctual than other popu lations in the nation (Zepeda, 2011). Lastly, Hispanics are shy about public speaking because of their heavy accent (Zepeda, 2011). Role/Relationship Pattern The Hispanic family usually lives as an extended family, playing an important role in the life of each family member (â€Å"Understanding the Hispanic/Latino†, n.  d. ).They place family needs ahead of their own (â€Å"Understanding the Hispanic/Latino†, n. d. ). Children are taught to be respectful of authority, the elderly, and of members of the extended family (â€Å"Understanding the Hispanic/Latino†, n. d. ). Most often the father is the head of the family and the mother has responsibilities for the home (Zepeda, 2011). They also believe in order to succeed and advance in life, a child or individual needs the whole family’s support (â€Å"Understanding the Hispanic/Latino†, n. d).Sexuality/Reproductive Pattern Hispanics have one of the highest birth rates in the United States – y et they face prenatal health care disparities that predispose them to pregnancy related complications (Jarvis, 2012). Hispanic women are not as likely to receive family planning services (Martinez, Chandra, Febo-Vazquez, & Mosher, 2013). In Southern Arizona, they have the highest birth, teen pregnancy, abortion, and birth to unwed mother rates (â€Å"Abortions†, 2013; AZDHS, 2011). They were also the highest user of the state’s Medicaid program to pay for births (AZDHS, 2011).Coping/Stress Pattern Violent crime is up 16. 6% compared to 2011 and crime over all is up 15. 6% compared to the previous year. Tucson’s poverty rates remained among the nation’s highest last year, with 1 in 5 living below the poverty threshold. Between October 1, 2012 and March 31, 2013 there were 22,161 incoming communications to the Child Abuse Hotline that met the criteria for a report of abuse or neglect. Compared to one year ago there has been an 8. 3 % increase in reports rec eived by the CPS Hotline.Statistics have shown that there are approximately 25,043 marijuana users, 10,967 prescription drug and 4,103 cocaine addicts, 1,862 abusing hallucinogens, 1,046 people that use inhalants, and 232 heroin addicts. About 145 people will die from alcohol and 29 lives will be lost to illicit drug use. Conclusion The Hispanic population of Southwestern Arizona has increased exponentially in the last decade. Hispanics in the Tucson area take great pride in their cultural heritage. They are family and spiritually oriented.They take pride in their appearance and honor family by caring for one another in time of need. Several factors facilitating unhealthy lifestyle habits were identified for this community. One hypothesis is relative to the geographical area of Tucson, Arizona. Being a border community could cause resistance to acculturation and assimilation of mainstream society. â€Å"Hispanics residing in U. S border communities tend to be less acculturated and have higher poverty rates† (Ghaddar, Brown, Paggan, & Diaz, 2010, p. 191). Poverty rates in the Tucson area remained among the highest in the nation for 2012.Socioeconomic disparities, lack of educational attainment, and communication challenges compounded by lack of access to affordable health care have left this community with many opportunities for community intervention and health care promotion. Specific areas of concern are unplanned pregnancies, nutritional deficiencies with a disproportionately high rate of obesity, diabetes, and heart disease. Additional health care preventative programs assimilated to the unique needs of this population will assist to provide improved health outcomes for a community in need.

Friday, August 16, 2019

How Common Factors Found in the Synergetic Model Essay

Abstract This paper will discuss how the communication process can be affected by individual forces, societal forces, culture, context, and ethics. It will discuss the importance of understanding how communication is affected by these forces. It is important to understand the way they affect communication so that proper and effective communication can occur. How Common Factors Found in the Synergetic Model Affect the Communication Process Communication is a transactional process that involves more than one person. When an interaction between two or more people occurs, various factors come into play because of the difference in each individual person. Communication can be influenced by different factors and it is important to understand these factors and how they contribute to the effectiveness of said communication. Communication can be influenced by individual forces, societal forces, and by context. It is important to understand how communication is affected by these forces, so that we can properly and effectively communicated in the world today. Communication mainly focuses on the individual. Identity plays an important role in the communication process. A person’s identity is composed of many different individual forces or characteristics. â€Å"The factors that contribute to one’s identity can be demographic characteristics such as age, race, ethnicity, nationality, gender, sexual orientation, regional identity, and socioeconomic class. In addition, individual forces include your field of experience, such as your education and experiences.† (Alberts 2012) It is important to understand not only, your identity but also the identity of the person or people you are communicating with. Since each person is unique,  they communicate in their own distinctive ways. Everyone is aware of the change in behavior when we interact with others in different settings. Our communication with other people changes along with our behavior. Our individual experiences and backgrounds influence the ethical competence in communication. We are responsible for how ethical we are in day to day communication. Although we are individuals, our individualism is limited by the society that we live in. A society is made up of different people, which means societal forces and individual forces play a role with each other. Communication is influenced by societal forces. These forces refer to the social structures of a society based on politics, history, and economics. The individual forces that affect communication can also be influenced by societal forces. Behaviors can be perceived differently when dealing with communication between multiple persons of different societies. Nonverbal communication is greatly affected by differences in societies. Many gestures and nonverbal messages vary greatly in meaning when expressed in different societies. â€Å"Participants bring their beliefs, values, norms, and attitudes to each interaction and the cultures they belong to shape each of these factors.† (Alberts 2012) Context plays an important role in the communication process. Context refers to the setting of the interaction as well as the individual participants. Being aware of the setting and situation allows us to choose the proper way in which to communicate. â€Å"When communicating with others we need to consider the way in which we are workings, sometimes we need to adapt to the way we communicate in different situations for example the way we conduct ourselves in a meeting would me a more formal way of communication and different to the way we are when working normally.† Setting plays a strong role in the way we communicate. Typically, if someone is in a public setting, their behavior is more rational than when they are in a private setting. We engage in human communication every day and it is important to understand how different factors affect the communication process. We need to understand them so that our messages are sent and received with a clear understanding. As humans in an age of such technological advancement, we are  faced with the task of communicating with people from different backgrounds and understand this phenomenon is the only way that we can effectively communicate with people and allow for progress to occur in our daily interactions. Works Cited Books Alberts, J., Nakayama, T., & Martin, J. (2012). Introduction to Human Communication. In Human Communication in Society (3rd ed., pp. 17-25). Pearson Education. Internet Kinsey Goman, C. (2011, January 1). How Culture Controls Communication. Retrieved January 1, 2014, from http://www.forbes.com/sites/carolkinseygoman/2011/11/28/how-culture-controls-communication/ Shanahan, P., Elliott, D., & Australian Government Department of Education, E. (2009). Effective Communication with Young People. Australian Government Department Of Education, Employment And Workplace Relations. (2012, 07). Explain How Different Social, Professional and Cultural Contexts May Affect Relationships and the Way People Communicate.. StudyMode.com. Retrieved 07, 2012, from http://www.studymode.com/essays/Explain-How-Different-Social-Professional-And-1057616.html McKeon, R. (1957). Communication, Truth, and Society. Ethics, 67(2), 88-99. Retrieved January 1, 2014, from http://www.jstor.org/discover/10.2307/2378718?uid=3739256&uid=2&uid=4&sid=21105057152463

Thursday, August 15, 2019

Philosophical outlooks and polemics between herbert marcuse

INTRODUCTIONThe middle of XX century marked new era in the western philosophy: shaping of modern mass culture, aftersounds of the second World War, growing opposition between socialistic and capitalistic regimes caused emergence of a so-called â€Å"second crisis† in a western social philosophy. The brightest representatives of that time philosophical paradigm were German American philosopher Herbert Marcuse, an offspring of a well-known â€Å"Frankfurt school† and native American philosopher Norman Oliver Brown.They represented two different approaches in social philosophy. Being a witness of German people’s struggles during Nazi regime Marcuse formed his outlook as a leftist philosopher and sociologist becoming a partisan of a â€Å"Freudian-Marxist† philosophy. Pessimistic perspectives of Norman Brown on the contrary determined his â€Å"apocalyptical mystical† outlooks. These philosophical approaches of two brightest scientists of the last centu ry need to be compared and contrasted.MAIN DISCUSSIONDuring the 1960s the philosophical debates between H. Marcuse and N. Brown concerning interpretation of Freudian ideas made a serious impact on the development of social philosophy. As J. Chytry (Chytry, 1989) believes, Norman Brown's and Herbert Marcuse's interpretations of Freud â€Å"seemed to point to meaningful, and opposed, orientations for the New Left [a new paradigm in social sciences during middle XX century]. During this period of time Freud, as many scientists believe, appeared as the successor to a ‘superannuated’, but not yet surpassed, Marxist project (Zaretsky, 2002). This discussion of Freudian ideas also influenced interpretations of aesthetics, culture and politics.In the middle of XX century both Marcuse and Brown developed own vision of Freudian ideas in a general philosophical and cultural context Two books of two philosophers written in the 1950's are captivating explorations of Freud's outlook s and the implications of psychoanalytical ideas of sexuality on human freedom. Herbert Marcuse’s â€Å"Eros and Civilization†, published first focused on the role of sexuality in forming of modern civilization and humans.The second is â€Å"Life Against Death† by Norman O. Brown who developed Freudian idea of suppression and applied it to the general civilization’s context. Generalizing the main ideas of two examinations it’s necessary to mention that both authors focused on remedial therapeutic strategies able to cure diseased society of XX century infected by revolutionary ideas, aggression, intolerance etc. Orthodox psychoanalysis as both Brown and Marcuse believed suggests society a principle of reality and ethics of survival. The logics of this survival they, however, see in different manners. In a word, they stood on different psychological positions according to which society exists.The polemics between Marcuse and Brown wasn’t liter ally a virtual one. Being close friends they often criticized philosophical outlooks of one another afterwards. Nevertheless that both philosophers were troubled with the same idea to help pinched society the visions of such help were different. Marcuse believed in the primacy of progress and technique that is to replace out of time relationships between people. Brown on the contrary believed in palliative imaginative escape from the problems. With this one should define the main doctrines of two philosophers: Marcuse stood on the ideas of rationality while Brown, in his turn, looked for imaginative escape from the reality.Norman Brown believed that repressed sexuality of people appears the primary reason for their aggression. To avoid aggressiveness of people Brown suggests his idea of â€Å"polymorphous perversity† believing that each person and every part of the body are to be used in all-round sexual play (Myers, 2004). Brown fully supports Freud’s idea of unconsci ousness and develops it quite logically. He believed that psychoanalytical mechanism of suppression serves negative function for people provoking their intolerance and aggression. Instead, Brown voted for transformation of subliminal ideas to rational ones.As far as Eros is the primary subliminal drive of people Brown suggests to â€Å"construct an erotic sense of reality† that means to realize people’s implicit sexual desires. A primary goal of society, observing Brown is to establish chaos or anarchy where all people are free from anger and realize their sexual ambitions. Marcuse, however, believed that freedom could be achieved through transformation of technology writing that: â€Å"Freedom indeed depends largely on technical progress, on the advancement of science†.To achieve this freedom Marcuse votes for the necessity of technological changes in accordance with the new sensible demands of the life instincts. â€Å"Then, according to Marcuse, one could sp eak of a technology of liberation, product of a scientific imagination free to project and design the forms of a human universe without exploitation and toil† (Marcuse, 1966, p. 19).The Freudian Marxist Herbert Marcuse also inspired by Freudian symbolism believed in its crucial role in social and political contexts. He believed that revolutions, anger, freedom etc. are nothing more than symbolic ideas, objectives and events that have their roots in repressed people’s sexual energy. Nevertheless, on the contrast to Brown Marcuse saw final goal of the society in establishing of Marxist society where all people will finally be socially equal.These ideas are closely interrelated with further Marcuse’s ideas of â€Å"One-dimensional men†. Marcuse, along with Marxists blames free market and private property for all man's economic and social ills. He believes that these ills can be cured only by the abolition of private property. Brown in his turn believed that h armony means love and devotedness being, hence, more close in his ideas to Christian and Buddhist theologies.While Brown called for establishment of a new chaotic society Marcuse developed own vision of changes. He called for the alteration of the very fundamentals of society that would be modified by the elimination of class society.Suggesting himself more rational approach to Freudian interpretation Marcuse believed that Brown’s ideas completely contrast with practice: he   recognized Brown's mad monism to be powerless to bring about political and social improvement. Marcuse did not believe it possible to replace technology with some sort of mystical unity of man and nature. He, besides, considered that Freudian ideas fail in helping of people’s adjustment to society. With this Marcuse was closer to Freud himself who was also pessimistic about achieving long-term benefits for society in general through psychoanalysis.Brown, in his turn, was looking for different ps ychoanalytically based solutions for people’s harmony. He believed that to reduce man to â€Å"nothingness† (a chaos) is to find a best â€Å"solution† to society’s and people’s deepest problem, i.e. social existence. Brown believed that to achieve long-lasting social harmony people are to forget of their superiority over other creature that, according to Freud, leads to serious mental neuroses. According to Brown, when the idea of power and domination first emerged it appeared a reason for all problems. Marcuse, in his turn also supported this idea of people’s drive to the power as a strong reason for social problems and aggressions between people and nations.Marcuse, voting for rationality in society’s development strongly objected Brown’s belief in schizophrenia as a normal state of a person. He considered the idea that schizophrenia should be in any sense a model for normal human behavior to be ludicrous. Contrasting Brownà ¢â‚¬â„¢s ideas of social escapism Marcuse believed that people could achieve social progress and harmony through reality and clear definition of existing problems. Escape from the reality, observing Marcuse, is not a solution at all; instead, it will lead to furthermore social and political problems.Critically speaking, Brown’s ideas don’t look so Utopian. Voting for living without repressions Brown shows society a possible solution to achieve harmonic development. This solution lies in self-denial and abnegation of people necessary to make them more tolerable and loyal to the others. Marcuse instead believed that self-denial is not a solution at all.The only working remedy that could cure ill society and make it indeed multi-dimensional (where all people will finally achieve their individuality and will not identify themselves with the state) is revolution. The only force that could make this revolution is lumpen proletarians. Illustrating these philosophic ideas in a more free manner one could say that Brown anticipated Hippy’s movement with their motto â€Å"All you need is love† while Marcuse on the contrary was a partisan of â€Å"International† and â€Å"Marseillaise†.Marcuse criticized Brown’s ideas of self-expression saying that there’s no sense to to try to turn the assembly line into a scene of self-expression, or to broadcast propaganda for culture and free thought. To achieve final self-expression of people it’s necessary, observing Marcuse, to change technological rationality itself, make it more â€Å"people-centered† and friendly.Critically observing Freudian ideas of â€Å"Id†, â€Å"Ego† and â€Å"Superego† Marcuse came to the conclusion that the only way to conciliate people and nations is to conciliate people’s rationality and irrationality. When rationality contrasts Eros, Marcuse believed, people establish the culture that is adverse to human nature and represses people permanently. A perfect illustrations of the struggle between rationality and repressed Eros, according to Marcuse are World Wars that were the results of people’s aggression.Being a partisan of technological progress Marcuse at the same time appealed to the aesthetic experience as a new locus of technological values. With this, he believed, people could finally become close with the nature and achieve peace, freedom, and fulfillment into the construction of technological rationality.CONCLUSIONSIn the middle of XX century philosophy focused on reinterpretation of Freudian psychoanalytical ideas. Herbert Marcuse and Norman Brown each developed personal vision of the issue. Reconsidering Freud’s ideas of unconsciousness and focusing in the problem of repression they, nevertheless, pointed out different solutions necessary to make society more harmonic and free. While Marcuse concentrated on technological breakthrough in accordance with peopleâ €™s deep demands, Brown believed in complete abolishment of technology and called for anarchy in people’s relationships.REFERENCES Brown, Norman O. (1985) Life Against Death. Middleton. CN: Weslayan University Press. Second Edition. 1985.Chytry, Josef (1989). The Aesthetic State: A Quest in Modern German Thought Berkeley: University of California Press.Marcuse, Herbert. (1966). Eros and Civilization: A Philosophical Inquiry into Freud. Beacon Press.Myers, Ellen (2004). Forerunner of New Age Madness: A Critique of Norman O. Brown On-line article retrieved July, 23 from http://www.creationism.org/csshs/v13n1p07.htmZaretsky, Eli. (2003) â€Å"Norman O. Brown, 1913-2003† Radical Philosophy, Issue 118.