Friday, November 29, 2019

Medicine River By Thomas King Essays - Medicine River,

Medicine River By Thomas King In the novel, Medicine River, Thomas King creates a story of a little community to reflect the whole native nation. A simply return of Will's makes the little town seem to be more colourful. "Medicine River makes non-native readers think a little longer and harder about the lives of the first people they live among and the places they inhabit." As a non-native reader, it is extra difficult to feel and understand the book because we didn't go through all the steps. Although Will starts like a foreigner, he becomes part of the unique community eventually. Medicine River shows the past history of Canada and teaches readers to learn from the past experience in order to become better people. Will is the main character in the novel, Medicine River. The whole story starts with a native photojournalist returns to his reservation for his mother's funeral he discovers the strength of his background. Will does not live in the reserve, Medicine River, because his father is a white person. After 20 years, Will returns. After he opens the photo studio in the reserve, he feels like home again. Doing business and playing basketball makes Will become a member of the little Indian town. The people who help Will the most are Harlen, Louise and Joyce. Harlen is the one who always wants to make Will feel better. The photo studio & basketball team are Harlen's idea. Louise is the true love that Will falls for. When Joyce asks Will to be in the photo, that really impresses Will a lot. Finally, Will finds his career, love and friends in the reserve after 20 years. Harlen is Will's friend and he is a very easy going man. He is always running around helping people to solve the problems. He runs the coach position on team Medicine River Friendship Centre Warriors" after no body wants to do the job. In order to make Will feel home, Harlen forces Will to play some basketball on the team although Will is not a good player. Leadership is the main idea that Harlen is trying to pass to Will. When Louise breaks up with her ex-boyfriend and gets pregnant, Harlen purposely set Louise and Will up. He asks Will to take a good care of Louise and her unborn baby. Harlen also tries to sell Will on the idea of returning to Medicine River to open shop as the only native photographer in the quite, little, mountain town. Louise Heavyman shows the strong, independent and confident sides of a woman. She owns a finance company which is well known in the reserve. Louise is a pretty woman who never gets married. Harlen describes her as, "Good looking woman, Will. Strong hips. You know, for children. Tall, too. Always good to have a tall woman."(P.27) Harlen tries to help Louise by sending Will to have a date with her. However, Louise does not need any help from anyone else. She tells Will about her thoughts, "He was real nice, but I didn't want to get married. I think he thought when I got pregnant that I'd change my mind."(P.34) Louise also reminds Will of his mother, Rose. She raised Will and James by herself and Louise is trying to raise South Wing alone. No matter how strong, independent and confident Louise is, she realizes that she loves Will and she changes herself a lot after being with Will. Eventually, Louise decides to start her new live with Will. Even though Louise is not the main character of the novel, she plays a very important roll. The characteristic of Louise's represents the soul of a modern woman, especially of a modern native woman. In the novel, Medicine River, after a long period of twenty years, Will still goes back to where he belongs. It does not only happen in an Indian town, but pretty much everywhere else in the world. It is because of the native people are too afraid to accept the foreigners. Once the foreigners spend some time there, people will start to accept and understand the foreigners. Medicine River looks like a regular story to me, but I can feel that there is something great behind the story. Unfortunately, I just don't know how to put it in words. It is a good story. Thomas King writes down the book to reflect the whole human nature. In order to improve, we have to encourage ourselves to try and accept new things. All the Canadian should be

Monday, November 25, 2019

Definition and Examples of Sound Bites

Definition and Examples of Sound Bites A sound bite is a brief excerpt from a text or performance (usually ranging from a single word to a sentence or two) that is meant to capture the interest and attention of an audience. Also known as a grab or a clip. In recent presidential elections, said Craig Fehrman  in 2012, the average TV sound bite has dropped to a tick under eight seconds (The Boston Globe). In the 1960s, a 40-second sound bite was the norm. Examples and Observations From Other Writers From the late 1960s to the late 1980s, the place of oratory in U.S. public culture was shrinkingliterally. In 1968, the average sound bite in presidential election news coverage was more than 43 seconds long. In 1972, it dropped to 25 seconds. In 1976, it was 18 seconds; in 1980, 12 seconds; in 1984, just 10 seconds. By the time the 1988 election season rolled around, the size of the average sound bite had been reduced to less than 9 seconds. . . . By the end of the 1980s, . . . the time and space allotted to political oratory in the American mainstream media had already been incrementally eroded.(Megan Foley, Sound Bites: Rethinking the Circulation of Speech From Fragment to Fetish. Rhetoric and Public Affairs, Winter 2012)A day like today is not a day for sound bites, really. But I feel the hand of history upon our shoulders.(Prime Minister Tony Blair on arriving in Belfast, Northern Ireland, for the talks that produced the Good Friday Agreement, April 8, 1998Seeking to prod Congre ss to provide more money to help prevent layoffs from local and state governments, [President] Obama stressed how much better off private companies are doing in terms of hiring.   Ã¢â‚¬Å"The private sector is doing fine, he said, immediately giving Mitt Romney the same kind of bumper-sticker sound bite that Mr. Obama used against Mr. McCain four years ago. (Michael D. Shear, Republicans Take Aim at Obama’s ‘Doing Fine’ Comments. The New York Times, June 8, 2012) Over images of factory employees hard at work and smiling families, an announcer says, when a million jobs were on the line, every Republican candidate turned their back, even said, Let Detroit go Bankrupt.Then the commercial pivots to the president. Not him, says the announcer as a sound bite of the president plays. Don’t bet against the American auto industry, Mr. Obama is shown saying.(Jeremy W. Peters, Obama Goes After Republicans in New Michigan Ad. The New York Times, February 23, 2012)I am even told that you like your reading in short bursts now. Little chunks. Sound bites. Like that. Because you are busy. In a rush. Like to graze. Like cows. A bite here. A bite there. Too much to do. No time to spare. Under pressure. Bollocks. Lazy. Stupid. Finger out. Socks up.It was not always thus. Time was when an Englishman could happily gawp at a single sentence for an hour at a time. The ideal magazine essay took roughly as long to read as it took your umbrella to dry.(Michael B ywater, The Chronicles of Bargepole. Jonathan Cape, 1992) Sound Bites as Compressed Arguments As Peggy Noonan has explained so well, a sound bite is the culmination of good writing and a good argument. Ask not what your country can do ... or The only thing we have to fear ... represented the sharpest point of the speeches behind them. (John Dickerson, Dispatches From the Republican National Convention.Slate, August 30, 2012)The sound-bite should encapsulate the main point of the argument; the strongest opinion or reaction. Again there is a danger of distortion by over-emphasizing the already emphatic and polarizing a point of view, and this danger can only be eliminated by carefully explaining the context in which the remarks were made. (Andrew Boyd, Peter John Stewart, and Ray Alexander, Broadcast Journalism: Techniques of Radio and Television News, 6th ed. Focal Press, 2008) The Sound Bite Culture A sound bite society is one that is flooded with images and slogans, bits of information and abbreviated or symbolic messagesa culture of instant but shallow communication. It is not just a culture of gratification and consumption, but one of immediacy and superficiality, in which the very notion of news erodes in a tide of formulaic mass entertainment. It is a society anesthetized to violence, one that is cynical but uncritical, and indifferent to, if not contemptuous of, the more complex human tasks of cooperation, conceptualization, and serious discourse. . . . The sound bite culture . . . focuses on the immediate and the obvious; the near-term, and the particular; on identity between appearance and reality; and on the self rather than larger communities. Above all, it is a society that thrives on simplicity and disdains complexity.(Jeffrey Scheuer, The Sound Bite Society: How Television Helps the Right and Hurts the Left. Routledge, 2001) Television Journalism and Sound Bites In any campaign reform, it must be acknowledged that television news is an accomplice as well as a victim of the politicos. The sound bite is to television what the fang bite was to Dracula. The office seeker who has a thought that takes more than 30 seconds to express turns producers rabid. (Walter Goodman, Toward a Campaign of Substance in 92.  The New York Times, March 26, 1990)Television is the enemy of complexity. You rarely have time to express the fine points, the caveats, the context of your subject. Youre always being interrupted just as you try to make a larger point. What works best on a talk show is the snappy one-liner, the artful insult, the definitive declaration. What makes you look weak and vacillating is an acknowledgment that your case is not airtight, that the other side may have a valid point. (Howard Kurtz, Hot Air: All Talk, All The Time. Times Books, 1996)If news reporters and cameras are only there to be used by politicians as recording devices for their sc ripted soundbites, at best that is a professional discourtesy. At worst, if we are not allowed to explore and examine a politicians views, then politicians cease to be accountable in the most obvious way. (ITV news reporter Damon Green, quoted by Mark Sweney in Ed Miliband TV Interviewer Reveals Shame Over Absurd Soundbites. The Guardian, July 1, 2011) Sound-Bite Sabotage Sound-bite saboteurs on all sides of the aisle try to move the opinion of publics toward positions that are contrary to the best available data. Rather than communicating with publics to enable more informed decision making, sound-bite sabotage occurs when public and private leaders use the tools of public relations to discredit the importance of using data, engaging in scholarly inquiry, and supporting democratic deliberation.Seeing (hearing, reading, experiencing) sound-bite sabotage draws our attention to the commodification of political discourse rather than to the political spectacles constructed, to distract citizens from the communicative strategies mobilized by public and private elites. (Julie Drew, William Lyons, and Lance Svehla. Sound-Bite Saboteurs: Public Discourse, Education, and the State of Democratic Deliberation. SUNY Press, 2010) Alternate Spellings: sound-bite, soundbite

Friday, November 22, 2019

Rape, a Love Story by Joyce Carol Oates Assignment

Rape, a Love Story by Joyce Carol Oates - Assignment Example The brutal rape of Teena by gang of men implicates two men namely Lloyd Pick, Marvyn Pick, and Fritz Haaber. This shocking incident occurs in the presence of Bethie, the main character’s daughter resulting to anguish and despair in the story. However, it is the timely intervention of Droomor that eventually saves the situation. In the ensuing scenario, Droomor kills the two suspects in Teena’s case and there is ample evidence to support the claim. First, by the courts failing to convict Marvyn and Lloyd, the justice system predisposed the police officer to a revenge fantasy of protecting Teena. It is apparent in the angst expressed by Droomor when he converses with the victim after the trial (Oates 112). Second, the desperation and struggle of Bethie accounts for the officer’s murderous actions. According to the text, Droomor feels sorry for the hopelessness that characterizes the young girl’s life and decides to end the lives of Teena’s rapists. Ov erall, in Oates’s context, the involvement of Droomor in the murders of Fritz Haaber and the Pick brothers is a cathartic process that frees the central character from her pain. Another interesting angle of Droomor’s guilt involves its similarity to the plot define The Story of an Hour by Kate Chopin. It revolves around the fate of Louise Mallard who believes her husband is dead while the case is not true. With the comfort of her sister, she receives counseling and finally begins rejoicing only for her husband to reappear. Alternatively, while all evidence links Droomor to the killings of Teena’s rapists, the truth remains hidden. Consequently, a sense of ambiguity emerges that contradicts the real killers of the Pick brothers and Fritz. Likewise, the eventual death of Mrs. Mallard after the sudden appearance of her husband in Chopin’s story parallels the uncertainties that define the suspected murder in Oates’s story. As a detective I believe Droomor is the murderer of the three men based on his

Wednesday, November 20, 2019

MGMT 3000 Essay Example | Topics and Well Written Essays - 500 words

MGMT 3000 - Essay Example Some of the products and services in different business industries that are going to adopt share ownership strategies during the coming decade include transportation, food, finance, recreation, shelter, and entertainment (Gansky). In 2012 these new Mesh companies will form a global network called Grupo Mesh. The Grupo Mesh is expected to recruit nearly 80,000 members by the year 2020 (Gansky). The fact that nearly 20% of the business population will belong to Grupo Mesh means the initiatives of the association will greatly impact business trends in the near future. Rapidly growing cities particularly those located in India, Brazil, and Eastern Europe are prime targets for Mesh activity. Many governments worldwide are outsourcing their transportation agencies to the private industry. Green energy will allow communities to share resources in order get away from the petroleum dependency. After reading this article I became aware that there are many companies marketing products based on shared resources. In the food industry I have been the beneficiary of shared food resources in open food bar restaurants. Eating in all you eat buffets is a tremendous and exciting activity in which everyone in the restaurant shares the same food bar. Another example of an industry that has historically enable consumers to use a product without ownership is the auto industry. Leasing cars is a very profitable way to gain profits from a vehicle. The article mentions that green energy is going to help consumers reduce their electricity bills. An opportunity that is going to present itself for electric and hybrid cars is leasing replacement batteries to car owners. The entire discussion of Gansky’s article was very interesting and educational. I did not know of the existence of these Mesh companies. The mesh concept was invented a long time ago, but now it seems that more companies are attempting to exploit the marketplace with new innovative

Monday, November 18, 2019

Case Studies of Organizational Learning in Terrorist Groups Essay

Case Studies of Organizational Learning in Terrorist Groups - Essay Example For example, the terrorist group Al-Qaeda based in the Middle East uses Islam to support their jihad or Holy War, which targets non-Muslims. These terrorist factions use brainwashing tactics to recruit members. Religious extremists are easier to recruit because they already possess fanatic ideas pertaining to religion. Presently, sub-groups emerge in different areas of the world with affiliations to a bigger group. The Al-Shabaab based in Somalia is affiliated to the terror group Al-Qaeda. The function of the herald group is to supply money and ammunitions to the smaller groups, which are crucial for engaging in terrorist activities. This emerging trend makes combating terrorism a harder task for intelligence agencies. Plenty of monetary and human resources are deployed to monitor the different groups. In conclusion, intelligence agencies across the globe face difficulties in trying to mitigate terrorism molded from stringent religious ideologies. This is because it is impossible to reason with religious extremists who believe their actions are sanctified by a

Saturday, November 16, 2019

Construction (Design and Management) Regulations | Analysis

Construction (Design and Management) Regulations | Analysis CDM 2007 – An Analysis Abstract This paper discusses the CDM 2007 regulations promulgated by the UK government that came into effect in April 2007. The new regulations made several changes to the CDM regulations of 1994, however it can still be debated if these will be able to bring about a radical change to the health and safety condition in the UK construction industry, and this is specifically the question under discussion in this paper. Keywords: Construction, CDM, UK 1.  Introduction The construction industry in United Kingdom employs about 7% of the country’s total workforce, but accounts for over 25% of fatal injuries and 16% of the major accidents (Bennett and Gilbertson, 2007). This makes improvements in health and safety conditions at the work place a priority for the government and the industry both. Health and safety requirements at construction sites are specified by the Council Directive 1992/57/EEC. Its management requirements were enforced in the UK through the Construction (Design and Management) Regulations 1994 (CDM 94) and its practical health, safety and welfare measures mainly by the Construction (Health, Safety and Welfare) Regulations 1996 (CHSW). Despite the enforcement of CDM 1994, there have been concerns that the regulations were only promoting wasteful bureaucracy and red-tape that put unnecessary burden on businesses and were actually failing to deliver on ensuring effective health and safety management. Several non-legislative rem edies such as informal guidance from the Chief Inspector of Construction (through Nattrass Letter, 1995) and revision of CDM 94’s supporting approved code of practice in 2001 by the HSE (Health and Safety Executive) were used to rectify the situation but did not proved very useful (Anderson, 2007). In 2002, the industry’s attitude to the health and safety regime was gauged through a major consultative exercise. The feedback from the industry showed support for the principles of CDM 94 but revealed wide-spread dissatisfaction with their implementation procedures in the regulations which were perceived as difficult to understand and inflexible (Mann, 2007). The consultation identified the need of making the duties of clients more proportionate to their level of influence and argued that the role of Planning Supervisor has been ineffective in ensuring health and safety at the construction sites. It was acknowledged that the health and safety record of the industry was nei ther morally acceptable nor economically viable. The consultation stressed on taking the ownership and providing leadership along with setting ambitious targets from improvement. HSE promised to play its role by re-examining the legislation and its approach towards enforcing regulation to make sure that they reflected the objectives (Murphy, 2007). The following conclusions were drawn from the industry’s response on these issues: Earlier initiatives had not achieved the desired change in the industry’s approach; The CDM principles were generally supported, but the paperwork burden needed to be reduced as a lot of compliance effort was being wasted; and There was a desire for a set of clear, simple, unambiguous and practical legislation (and supporting guidance) for the industry, which should remain focused on the underlying objective of saving life, avoiding injuries and maintaining health (Bennett and Gilbertson, 2007). In the light of these findings, proposals were developed to improve the CDM 94 regulations over a period of 3 years by HSE and an industry-working group established under the Health and Safety Commission’s (HSC) Construction Industry Advisory Committee (CONIAC). Widespread consultations were made and over 300 responses were taken into consideration to the formal discussion document issues in 2002 along with the HSE’s experience with the existing Regulations. 400 responses were also considered during the public consultation that occurred over 4 months during summer 2005 (Murphy, 2007). Following public consultation, the revised proposals were finally approved by CONIAC and by the HSC. These bodies represent all stakeholders including employer, employee and other interests (Anderson, 2007). Relevant Government Departments for example Prime Minister’s Panel on Regulatory Accountability were also consulted throughout and their agreement to the proposals was obtained by early 2005. New CDM regulations were therefore drafted together with the supporting Approved Code of Practice (ACoP), developed in line with Better Regulation principles. These aim to reduce construction accidents and ill health by: Being flexible and accommodating the wide range of contractual arrangements to be found in the construction industry; Emphasising the need to plan and manage work rather than the bureaucracy associated with it; Emphasising the communication and co-ordination advantages of duty holders working in integrated teams; and Simplifying the way duty holders assess competence (Murphy, 2007). The new CDM regulations, known as CDM 2007 were enforced on April 6, 2007. The following section discusses they changes they brought to the CDM 94. It will be followed by the evaluation of their costs and benefits while the last section will conclude the paper. 2.  CDM 2007 In April 2007, the Construction (Design and Management) Regulations 2007 (also known as the CDM Regulations 2007) replaced CDM Regulation 1994. The new regulations were applied to all construction and property contracts/projects held after 6th April 2007 and started impacting the major health and safety issues and rules in construction (Manion, 2007). Some of the major insinuations for companies in property and construction business include: For ongoing projects few transitional provisions will be introduced. All the construction clients will be required to do such arrangements which insure health and safety. For all projects starting after 6th April 2007 clients’ agent will not be allowed. Clients will make a declaration the Health and Safety Executive (HSE) of how long contractors will be given to plan and prepare for construction work; â€Å"CDM co-ordinators will replace planning supervisors The Client will be known as the principal contractor or CDM co-ordinator for time in which appointments have not been made of another person. Clients and duty holders will have more responsibilities (Manion, 2007). Here we discuss the key constituents of the CDM 2007 regulations and the changes these have brought to the Health and Safety and the role and responsibilities it assigns to different stakeholders. 2.1  Notifiable or non-Notifiable projects The differentiation between â€Å"notifiable and non- notifiable construction projects still exist in CDM Regulations 2007. For all Notifiable projects HSE should receive a notice of the project. In new regulation there is slight change in criteria for notification of a project.According to the Construction (Design and Management) Regulations 2007 a modifiable project is one which is involve more than 30 days and 500 person days of construction work. The current change is applicable on projects that will involve this amount of work however more marginal/smaller construction projects are subject to the full range of duties (Bennett and Gilbertson, 2007). Another important point is that if a construction project has already been notified to HSE under the Construction (Design and Management) Regulations 1994, there is no need to give another notice under 2007 Regulations. The 2007 CDM Regulations also list the duties that apply to all projects, and additional duties that only apply to Notifiable projects. 2.2  Duty holders In the new CDM 2007 Regulations the duty holders will remain the same. The stakeholders will be: Contractors or sub-contractors for construction projects. Clients, this includes commercial purchasers of constriction, people involved in engineering works and other construction services. Designers, the people who prepare and modify the construction designs. Principal Contractors, normally the main contractors of construction project. CDM co-ordinators, previously known as planning supervisors (formerly planning supervisors) (Manion, 2007). In some construction and building projects, it is possible that one duty holder performs more than one role e.g. design and build contractor can be the principal contractor, or a designer, or a CDM co-ordinator, or a commercial purchases. 2.3  General Duties Each stakeholder in a construction project require to follow a specific duty however the core duty of every party is to co-operate and co-ordinate with each other. Generally in relation to health and safety issues, every person involved in a particular project will co-operate with other duty holders involved in construction work on same or adjacent sites. In 2007 CDM Regulations the requirements of co-operating with duty holders working on adjoining sites are new and some time can be difficult to achieve. However the results expected are very good, therefore these should be follow (Anderson, 2007). According to CDM 2007 each duty holder involved in a construction project is required to co-ordinate their activates from a health and safety perspective. At all duty sites, duty holders will be required to take into consideration the general principal of prevention. These principles include evaluating and battling risks at source, avoiding risks, adapting technical progress and giving collective protective measures priority over individual measures (Manion, 2007). The general duties of each duty holder at construction site are: 2.3.1  The Clients Duties New CDM Regulation 2007 has increased the emphasis on the client to ensure health and safety compliance. In many construction projects clients will use experience professional to help them perform their duties. Under the CDM Regulations 1994, clients were allowed to hand over their duties to an agent, however they will not be able to use the services any such agents for all new projects after 6th April 2007. However if there is a construction site where a client is using agent to perform these services, under the transitional provisions/period, agents will still be allowed to continue in that role for existing projects until 5 April 2012 if the agent agrees to assume the duties of a client under the CDM Regulations 2007.However it is important that clients check all arrangements with their agents (Anderson, 2007). Many developers have many subsidiary companies or do joint ventures with their partners or funders. In such cases there can be more than one duty holder fitting the description of client. According to new CDM 2007 Regulations one client should be nominated to fulfil the client duties and the nominee must meet the new requirements. These duties include: In-place the project management arrangements for health and safety. Check that for workers enough welfare facilities are in-place. Ensure that adequate time is given to the principal contractor to plan and prepare for work. Provide all the information related to health and safety in its possession. Ensure that the health and safety files and any information that should be kept under the asbestos regulation are revised regularly. To ensure that before the work starts the CDM Regulations complies with principal contractor construction phase plan. This replaces the health and safety plan (Topping, 2007). According to new CDM 2007 regulations, whenever a building is sold client must provide health and safety file to the purchaser and ensure that purchases knows the nature of the purpose of the file. The health and safety files can relate to more than one project, site or structure, and is subject to the condition that the information relevant to each part project, site or structure can be easily identified (Manion, 2007). 2.3.2  The Client Appointments As soon as client knows sufficient about project to select a suitable person, and a feasible initial design or other preparation work has been commenced, the key responsibility of Client now is to appoint a CDM co-ordinator. This appointment should be in-writing and until the time these appointments are made the client is believed to fulfil this role. At many construction sites the planning supervisors are appointed much earlier than CDM co-ordinators. Clients also have responsibility to take reasonable steps to ensure that parties they appoint are competent enough to comply with the relevant duties (HOL, 2007). There are detailed guidance in ACOP for assessing competence. No party it ought to accept an appointment unless it is competent to handle it. In existing construction projects the planning supervisor will automatically become the CDM co-ordinator and the principal contractor remain in place unless different appointments are made. To comply with Construction (Design and Manage ment) Regulations 2007 clients got time till 5th April 2008 to check the capability of CDM co-ordinator and principal contractor and CDM co-ordinators and principal contractors also got the same time to ensure and improve their own competence in this field (Topping, 2007). 2.3.3  The CDM co-ordinator The CDM 2007 places the CDM Co-ordinator at the heart of the project to help to ensure co-operation and co-ordination and that all duty holders share the information required by the CDM Regulations. It is also responsible to advice and assist the client to discharge the clients duties (e.g. advice on assessing competence and on the project management arrangements to be put in place). The CDM co-ordinator is responsible for preparing (if not done), reviewing and updating the health and safety file and submitting notices of the project to the HSE. It will be interesting to watch the interactions between the project manager and the CDM co-ordinator in terms of how each role is carried out in practice as the role of CDM co-ordinator is introduced only recently in the CDM 2007 regulations (Webb, 2008). 2.3.4  Designers The CDM 2007 does not radically change the scope of duties of the designers but expresses them in clearer terms.The role of designers is emphasised by HSE because they are involved in the project from early to final stages and their initial decision affect the health and safety during the construction phase and for end use of the structure. The main duty assigned to designer is to ensure avoidance of foreseeable risks to health and safety of any person carrying out construction work or using the structure/building post completion. If designers appointed on a British project are foreign residents, the person commissioning the design is responsible for ensuring compliance with designers duties. Careful consideration should be given as to how to manage this risk when appointing a foreign designer or off-shoring design work (Dunne, 2007). 2.3. 5 Principal contractors and contractors As far as the contractors are concerned, the feedback obtained at the consultation sessions suggested that the principal contractor and contractor provisions worked well under the CDM regulations 1994, therefore HSE did not seek to radically depart from them.The regulations make principal contractor responsible for the health and safety during the construction phase of the project.This requires the principal contractor to co-operate and co-ordinate with others, provide welfare facilities, direct its contractors and to check that suitable site inductions, information and training is given to workers. The principal contractor is also obliged to inform its contractors of the minimum time which will be given for planning and preparation for construction work. The contractors duties largely complement those of the principal contractor so that health and safety requirements are observed throughout the contractual chain. The provisions requiring worker engagement in relation to health and s afety matters are also increased in scope (Coulter, 2007). The changes in the roles and responsibilities of all concerned have been discussed above, however the main focus in the CDM 2007 is to make those with the greatest control and influence over a project, namely the project team and the client, responsible for health and safety. The regulations also introduce a new role of co-ordinator in place of the planning supervisor who will be appointed by the client. The co-ordinator will be required to identify and extract all information required to secure the health and safety of anyone engaged in construction work. The other big change is that ultimate responsibility and consequently, liability for health and safety rests with the client for all construction projects. While the client can delegate the duties under the regulations, for example to the co-ordinator, it nonetheless retains liability for complying with the regulations (Anderson, 2008). 3. Discussion The costs and benefits of enforcing new regulations need to be seen in the context of their social and economic effect on the society. In a Regulatory Impact Assessment done by HAS, the costs and benefits of CDM 2007 were discussed by examining the previous 10 years of accident data. The accident records of the industry are the basic unit used to benchmark the cost and benefits (Topping, 2007). Table 1: Number of fatal injuries to workers and members of the public 1996/97 to 2004/05 (Topping, 2007) Table 2: Number of major injuries to workers and non-fatal injuries to members of the  public 1996/97 to 2004/05 (Topping, 2007) The construction industry in UK is highly fragmented, has no entry threshold, itinerant and casualised. As mentioned before, the industry employs 7% of the working population and accounts for 8% of UK GDP, but accounts for 25% of fatal injuries and 16% of the major accidents. Construction work is inherently hazardous and the risks associated with these hazards are difficult to manage due to the constantly changing nature of the working environment. Tables 1 and 2 provide the number of fatal and non-fatal but major injuries in the industry from 1996 to 2005. The data is broken up by employees, self-employed and members of public affected by the incidents. The total present value cost of injuries and ill-health, including minor and non-injury accidents in the construction sector is estimated at  £13.8 billion to  £17.7 billion over the 10 year appraisal period (Topping, 2007). This means that any reduction in the number of incidents has direct impact on not only human but also on e conomic cost. Strict economic cost benefit analysis would however consider the savings gained through implementing CDM 2007 (by reducing the accidents) minus the costs incurred on enforcing/implementing CDM 2007 regulations. Here we therefore look into the costs associated with implementing CDM 2007 and the overall savings due to reduction in accidents (Webb, 2008). The compliance with changed duties essentially requires two sets of costs to be incurred. Firstly, there will be a cost associated with familiarisation with the changed duties. Secondly, there will be costs associated with the carrying out of the changed duties (Thame, 2007). There are four main groups that will be required to familiarise themselves with the proposed Regulations: contractors, designers, co-ordinators and clients. However the whole exercise is intended to reduce the chances for accidents. The data gathered from various pilot projects where CDM 2007 was implemented demonstrated the pilot projects were: More predictable in terms of cost and time; More productive than the industry average; Safer; Had less impact on the environment; and Achieved higher customer satisfaction (Dunne, 2007). If the whole construction industry (including non-notifiable projects) achieves the same results as the pilot projects then project costs could potentially fall by 6%. Improved client leadership, respect for people, measurement and monitoring of performance and greater supply chain integration are all key themes of the revised CDM 2007 package, and it is therefore likely that some of the productivity gains shown on the demonstration projects would be expected to accrue from the proposed changes in the Regulations. There is not an exact match between the changes in the Regulations and those trialled at the demonstration projects, and therefore it is not appropriate to assume that the full 6% productivity gains would flow from the changes. If it is assumed that implementation of the proposed Regulations leads to a 3% reduction in project costs for projects where there is currently insufficient attention by clients, designers and contractors to planning, managing and monitoring then th e present value cost saving from reduced project costs for all projects over the 10 year appraisal period is between  £1.0 billion and  £2.9 billion over the 10 year appraisal period. It is therefore quite clear that even by the measure of strict economic parameters, the benefits of CDM 2007 far out weigh its costs (Topping, 2007). Therefore the CDM 2007 regulations have been well received by most stakeholders. The industry professional bodies, employees unions, employers, concerned government departments and general public (Brindley, 2007). Industry experts see it as a major change in health and safety regulations since 1994, as John Malins, associate at law firm Davies Arnold Cooper puts it: †¦ (They are) the most radical change to construction health and safety legislation since 1994, the year when the existing CDM regulations came into effect, he further adds: Contractors, employers and designers would be wise to review their obligations now, warns Malins. Any projects straddling the April 2007 effective date will be subject to the new regulations, which apply to all construction projects lasting more than 30 days or involving more than 500 person days of construction work. Another expert in construction law, Ken Salmon of Mace Jones also suggests that new regulations have radically changed the way Health and Safety Executive decides who is responsible for the safe procurement and management of building projects and for accidents. The new regulations thus aim to reduce the number of accidents on building sites from around 4,700 currently per year. The biggest impact of the Construction Design and Management Regulations 2007 is on companies or individuals (the clients) who commission new buildings, even if they have no direct role in the work. Before CDM 2007, if an accident happened, such as a crane toppling over on a building site, it was considered contractors, designers or managers responsibility, however with the new regulations, those who pay for the building works will also be in the frame (Anderson, 2008). Many companies may mistakenly believe there is not much new in these revised regulations but they would be wrong. Everything is different the definition of construction, for instance, will change to include demolition and dismantling†¦. and most importantly, a client will not be able to hide behind its agent if something goes wrong. If he knows or should have known of deficiencies in the procurement, design, management or construction process, he will have a duty to do something about it and be at risk if he fails. Failing to comply or breaches of Health Safety Welfare law is punishable following a conviction in the Crown Court with unlimited fine and up to two years imprisonment (Brindley, 2007). Deansgate Law firm Pannone’s partner in the construction team, Sean McCay highlighted the costs of complying with CDM 2007, however he also believes that new regulations make it much more dangerous for the project team to start work without ensuring compliance with health and safety regulations and it therefore is a welcome change from the situation in the past: Such enhanced regulation, and presumably scrutiny, is highly likely to come at a price leading to increased project costs as a consequence of, for example, the necessary legal and other professional support required to ensure the correct application and implementation of the Regulations. Under the new regulations the end-user client has many more responsibilities which cannot be delegated, and the practice of starting work prior to full planning, resourcing and documentation could become legally as well as physically dangerous for all concerned. (Dunne, 2007) However, despite its intended benefits, there has been some criticism on CDM 2007 as well as the whole approach of the government and society towards the health and safety at construction sites. It is argued that despite providing very comprehensive health and safety systems and referring to good codes of practice, CDM regulations have â€Å"sucked† the feeling of responsibility away from individuals. The responsibility for ensuring health and safety should not be something imposed by the government, rather it should be something that all members of the society support and share as they all want to be able to about all aspects of their lives safely and productively. It therefore should even be important when no body is around to monitor. The Health and Safety Executive therefore should work more on creating awareness among the stakeholders and in general public and try to change the culture rather than producing plethora of documents on the issue. This point of view therefore emphasises on the change in culture where health and safety is not only seen as complying a code of conduct but is actually taken as a personal responsibility and of great human benefit (Coulter, 2007). Another criticism is that the new regulations with enhanced responsibilities on client may take the focus away from the contractors. According to this argument the safety in construction begins and ends on site, and it is entirely the responsibility of the contractors’ management, therefore the designers should not be restrained by petty regulations.The kind of issues involved in safety on site such as falls from heights, adequate means of access, safe working platforms, tidiness, traffic and machine management, falling objects and so on, need not to be compromised by another impenetrable layer of bureaucracy and mountain of paper. The site safety adviser should spend 95% of his or her time on site, not form filling (Brindley, 2007; Coulter, 2007). There are also some question marks on the actual implementation of regulations. The effective enforcement of the legislation on construction health and safety issues is as important as the law itself. It is perfectly obvious that it is of little worth having laws that no one knows about and that no one enforces. It might be a little less obvious that if the law is too complex, difficult to understand or even incomprehensible in layman’s terms then it might be, in effect, ignored. In occupational health and safety terms the one and only objective of any health and safety legislation is the prevention of accidents and cases of ill health within the work environment, and to that end there has to be good law backed up with effective, sensible and accountable enforcement (Anderson, 2008). The critics therefore suggest that despite changes in the law itself and to the process of its implementation, no changes have been made in the way it will be enforced and therefore some attention must also be given on ensuring that it is enforced across the board literally and in spirit. 4.  Conclusion The paper reviewed the changes to the CDM regulations with specific focus on changes to the Health and Safety regulations. It can be learnt from the above discussion that the changes in the policy include: simplified trigger for formal appointments and preparation of plans; clarification of designer duties; Remittances for Developing Countries | Research Proposal Remittances for Developing Countries | Research Proposal Background Remittance is a major source of external funding for developing nations. It has been an important source of migrant workers in countries suffering from labour shortage, and it also helps these countries in building up their foreign exchange reserve that help them to meet the balance of payments and help stabilize the value of the local currency against the US dollar. It is almost inflow from developed to developing countries have received great attention among academician and policymakers, because that transfers in form of remittances undertaken by migrant workers to their countries of origin increased substantially in the last decades. The data had reported by World Bank in 2012, remittances flows to developing countries have more than quadrupled since 2000. Global remittances, including those to high-income countries, are estimated to have reached $529 billion in 2012, compared to $132 billion in 2000. Developing countries is the largest share of remittances receiving. In year 2012 , developing countries to receive it over 400 billion US dollar, an increase of 5.3% over the previous year and are expected to increase at an annual average rate of 8.8 percent in the next three years. They are also forecast to reach $468 billion in 2014 and $515 billion in 2015 of all flow to developing countries. Remittances generally reduce the level and severity of poverty, typically leading to: higher human capital accumulation; greater health and education expenditures; better access to information and communication technologies; improved access to formal financial sector services; enhanced  small business  investment; more entrepreneurship; better preparedness for adverse shocks such as droughts, flooding, earthquakes and cyclones; and essentially reduced child labor. International labor organization had estimated that remittances sent home by migrants to developing countries are equivalent to more than three times the size of official development assistance and can have profound implications for development and human welfare. Remittances can contribute to lowering poverty and building human and financial capital for the poor. However the enormous amount of matter, amount of money that migrant workers sent home is only 13% of the income of such workers receive. This means that the in come of the remaining 87% of migrant workers to remain in the host country. It is approximately 1 trillion, so that migrant workers have greatly helped boost the economy of the destination country. Asian countries is the most important source of migrant workers, because most of countries are in the rank of top remittance recipients countries in the world (by the top recipients of officially recorded remittances in 2012) show that: India has become the largest recipient of global remittances, received $70 billion, and then China $66 billion, the Philippines $24 billion, Pakistan $14 billion, Bangladesh $14 billion, Vietnam $10 billion, and Lebanon $7 billion. However, as a share of GDP, remittances were larger in smaller and lower income countries; top recipients relative to GDP in Asian countries were Tajikistan (47%), Kyrgyz Republic (29%) and Nepal (22%). Research problem During the last three decades, remittances have become an important source of economic growth in many developing countries, especially in Asian countries. However, there are lots of literatures on how remittances impact to economic growth of receiving countries, but the result of them studies are conflicting. For instance, some academicians believe that workers’ remittances have positive effect on economic growth of recipient countries (de Haas. 2005; Pradhan, et al. 2008; Fayissa Nsiah. 2010; 2011; Khan, et al. 2012). Adding more scholars to explain that why remittances have positive effect on economic growth. There are lots of studies to explain that remittances help households move out ofpoverty (Adams,2003), lower mortalityrates (Kanaiaupuni,1998)and increase educationaland housing spending (Adams, 2005). Moreover, empirical studies show that remittances can stimulate economic activity and motivate entrepreneurial communities (Durand et al, 1996 and Woodruff and Zenteno, 2007). According to Buch et al (2002), remittances can influence economic growth directly orindirectly. However, the degree of the latter channel strongly depends on supporting governmental policies and a supporting economic environment for investment activities. There are some recent empirical studies that have analyzed the relation between workers’ remittances and growth. Giuliano and Ruiz-Arranz (2005) find a positive effect of remittances on growth, specifically for countries with lowerfinancial development. Ziesemer (2007) proposes a savings channel that relates remittances with growth. He finds that remittances have a positive impact on growth, due to the ability to increase saving rates in countries with a per capita income of less than US $1200. On the other hand, other scholars highlight that workers’ remittances have also negative impact on economic growth of origin countries (Jongwanich, 2007; Karagoz, 2009; Barajas, et al. 2009; Ahmed, 2010; Edwards, 2010; Rao Hassan, 2011). For these scholars, there is no causal relationship between remittances and economic growth of developing economies. The reason why those workers’ remittances have no a positive effect on economic growth, these finding may lie in the difficulty of disentangling the complicated links between remittances and economic growth. According to a study covers up to 113 countries over the period 1970-1998. This empirical had studied by Chami et al (2005) found that international remittances actually have a negative and significant effect on economic growth. Because of remittances do not serve as capital for economic development, but rather as a type of compensation for countries with poor economic outcome. However, in a similar study covering up to 101 countries for the period 1970-2003 had studied by Spatafara (2005). The author found that cautions that identifying the impact of remittances on these and other outcomes may be complicated by the problem of reverse causation, that is, remittances may both influence and be influenced themselves by economic growth, investment and education. In the literature it is sometimes argued that international remittances may harm economic growth by leading to real currency appreciation and a loss of competitiveness in tradable goods. This empirical had studied b Lopez et al (2007), the result show that’s large scale remittances do lead to significant real exchange rate appreciation, which means that a 1% increase in the remittances to GDP ratio would lead to a real effective exchange rate appreciation of between 18 and 24 percent. As discussed above, previous studies have propounded different results based upon different theoretical and empirical setups. However, in the same empirical study there is also different in the result, even though using the same theories. Like the empirical evidence from Bangladesh, India and Sri Lanka had studied by Siddque et al (2010), they found that growth in remittances does lead to economic growth in Bangladesh; In India, there seems to be no causal relationship between growth in remittances and economic growth; but in Sri Lanka the result show that economic growth influences growth in remittances and likewise. So, it is difficult for one to conclude on the growth effects of remittances, especially in a region like Asian countries. This paper focuses on the impact of remittances on economic growth in Asian countries. There is a need to examine the growth effect of remittances and answer the research question that follows: â€Å"How do remittances impact to economic growth of some selected sending countries in Asia?† Hypothesis of the study To investigate that how remittances impact to economic growth of recipient countries in Asia? I determine some of hypothesis to guide in this study follows: Remittances have a positive impact on economic growth while a positive and statistically significant coefficient of remittances. This means that an increase in the amounts of remittances will result in increased to economic growth. Remittances have a negative impact on economic growth while the statistical value has a negative and significant coefficient of remittances. This means that an increase in remittances will result in lower economic growth. A statistically insignificant coefficient of remittances indicates that remittances do not have significant direct growth effect. Otherwise, each the positive or negative impact of remittances on economic growth will be depressed. Significant of the research According to the previous studies of remittances, there are many scholars have been studied on the relationship between remittances and economic growth in developing countries in general, especially in Asian countries, has not been enough studied. Because most of researchers have not been only studied in Asian countries, there are some mix together between Asian countries and the other countries. Fayissa Nsiah (2011) estimated the macroeconomic impact of remittances and some control variables such as openness of the economy, capital/labor ratio, and economic freedom on the economic growth of African, Asian, and Latin American-Caribbean countries. Although Abdullaev (2011) investigated the potential impact of workers’ remittances on long-term economic growth of recipient countries in selected Asian and Former Soviet Union countries. Some of empirical had studied specific only one country in Asia. For instance, Khan et al. (2012) investigated the impact of worker remittance on economic growth of Pakistan while Cooray (2012) examined the impact of migrant remittances on economic growth in south Asia. Very little has been done in the empirical studies analyze the workers’ remittances in Asian countries, but the goal of them studies on relationship between remittances are different. The reason that is, Asia is a region that is characteristic in its. There are different on migration and remittances inflow patterns. Some of the available literatures on remittance in Asian countries is not fully focused on the growth effect of remittances. Jongwanich (2007) analyzed the impact of workers’ remittances on poverty in developing Asia and the pacific countries while Katsushi et al (2011) analyzed of remittances, growth and poverty evidence from Asian countries. Vargas Silva et al (2009) examined the potential of remittances for promoting economic growth and reducing poverty in Asian countries. Limited research has been undertaken from with this in consideration hence, previous literature has developed some theoretical and empirical understanding in this regards by considering the individual link between remittances and growth respectively. This paper intends to combine these two channels in a single framework and try to examine the relationship between remittances and economic growth in Asian countries by employing panel data estimation tools and methodology distinguish it from prior studies that had challenges in handling endogeneity between remittances and economic growth of period from 1990-2011 in 12 countries namely Bangladesh, China, India, Indonesia, Jordan, Malaysia, Pakistan, Philippines, Sri Lanka, Syrian Arab Republic, Thailand and Yemen Republic. Because these countries have remained an important source of expatriate worker and the number of expatriate has increased significantly over the years. Thus, these 12 countries offer a unique opportunity to examine the linkages between remittances and economic growth. Structure of the research The organization of the paper is as follows. Chapter 2 provides a review of selected literature on the growth effect and remittances; Chapter 3 describes a background for the countries of interested; Chapter 4 specifies of the research methodology, data and model specification while Chapter 5 presents empirical analysis for both the fixed and random effects regression accounting for both the country and time effects and some of diagnostic test results; and the final Chapter conclusion of research finding.

Wednesday, November 13, 2019

I Serve No Master; I Am Chaos :: Personal Narrative Writing

I Serve No Master; I Am Chaos Works Cited Missing Let's be blunt; you, Professor, want to know who is the person writing my papers. To be more clear, you want to know what is the difference between Bill, the person who writes the papers for your class, and the other Bill, who is a son, friend, brother, cohort in crime, and what other title is given to me. It is you who wants to know the voice behind this black ink and white paper, or the electrons if you read this off a computer screen. You have suggested that I, as well as the rest of the class, begin with our first paper. I would rather start with the second paper. Do you remember my second paper? It's the one about writing beyond the theme. Oh, wait, -- roughly twenty other students wrote similar papers. I'll be more specific; I wrote a narrative story about a Dungeons and Dragons game. In it, I wrote about a third person incident in which the protagonist is slowly replaced by a fictional character he plays in a role-playing game. I was trying to show how it was impossible to escape what professors want out of student papers. The game master, Chris, was my metaphor for the professor. As the G.M., he expects that I, as a player, suppress anything else going on in my life and do what is required of me as a game player. In a similar sense, that is exactly what teachers want in one of my paper; to write exactly what is required of me in order to match their expectations. This was the original point to my paper. However, I became a victim to what I was attempting to overcome. I turned in my paper and the teacher (that means you, Mike) didn't like it. I had to re-write it in a week's time or I would not receive credit for the assignment. With the gun loaded and pointed to my head, I re-wrote the paper. I edited my original point out of the paper, changed the format, and added a new point about bending the rules of writing. I received a B+. Even in the attempt to escape normal expectations, I failed. So who's voice was writing that paper? It was mine first time around, but it was not mine second time. The first paper was me. It was based on a true event.

Monday, November 11, 2019

Assessing Your Company for Noble Cause Essay

In the past few years, dramatic change has been observed in the ways that are being used for completing a job, as it is not difficult to find and keep great employees in the company. An overall shift in workplace values has been raised, which is a fact, and which, has changed the ways that were used to perform and complete the work by the employees. In this regard, it is very important to understand the abovementioned shift, in order to build a strong company, while saving on the payroll. Some other factors have played a vital role in changing the attitude of these employees, as well as, their values in the company. The trend of global market is one of the factors, by which, the position of potency of the employees have been strapped securely. In addition, worker empowerment and change in demographics have also played a crucial role in thrusting so-called knowledge workers in the front seats of the company. The need of a better work and life balance has also tends the career to be sacrificed by the employees in this determination. Traditionally, turnover has been stemming by the offering of incentives, such as, promotions, raises, etc. by the companies. However, a more organic crop of incentives has been turned by the human resource directors forcefully. Some of the reasons of this change have been the global competition and wages, which have rise significantly in the past years. In addition, hierarchies have collapsed and the promotion pool has shrunk in these years. â€Å"Wise companies will not let any short-term downturn alter their efforts to become one of the most desirable places to work† as suggested by a West Coast-based retention strategist and speaker, John B. Izzo. (Withers, 2001) Demographics cannot be changed by the human resource directors. However, the employer-employee power dynamic, which is being affected by the fourth factor, can be responded by the companies today. Lines are now being drawn in the sand, as an increment has been observed in the risk of burnout tenfold by the working of longer hours and less leisure time of the employees. In this regard, a pace of change unprecedented in history is being faced by the workers in companies. It has been observed that self-identity is being tied up with the work identity by today’s workers, as shown in different studies. Instead, work and leisure is being tried to balance with the help of different ways that are being explored by these workers. In this regard, shifting of the values of these workers has been observed discernibly. The ways are intensifying, which are being implemented by the workers, in order to achieve their personal goals. In this regard, great staff is being found, kept, and engaged with the help of following strategies: Practical situations and offers should be made to the employees with the regard to the improvement and enhancement of their work and life balance. A sense of a deeper cause should be promoted for the employees. Different opportunities related to the professional development and growth of the employees should be offered. Employees should be treat like partners rather than treating them as servants. A community should be created in the workplace, in order to help workers in their office work, as well as, their homework. Trust should be rebuilt with the workers in every way. Suggestions for Companies An initial assessment has been designed from the following statements regarding the way an organization and its departments are doing in response to the procedures of search for employees with perspective of a noble cause. Thinking will be guided from this assessment, however, no definitive quantitative appraisal will be provided by it. A scale has also been provided to asses the statement regarding your work environment. The deeper meaning of the product or a service has been described by a statement of the company. For instance, human life has been improved and preserved, people are made happy at home, etc. (It ‘Yes’ is the answer, but, it is rare, then 1 point should be assigned. If the statement is real and applied often, then 3 points should be tallied). Company provides opportunities regarding the different volunteerism and community services to the employees. (If the opportunities have been provided by the company, then 1 point should be given. If training and encouragement is given to the employees, then 2 points should be given. If payment is given to the employees who participate in these activities, then give 3 points) . The people are inspired by higher ethics, in order to perform the right thing with the help of a set of values in the company. (If a set of values is in the organization, but it is rarely applied, then give 1 point. If these values have been employed, and ensuring methods have been implemented, then 3 points should be given. If such a statement is in the company, but the values are not observed by the company, and it has become a joke for the employees, then subtract 2 points) . In the community, a reputation regarding the commitment has been gained by the company with regard to the larger community. (one point) . Profits are not considered the only way of presenting the results of the company. However, the people who have been impact by the services of the company are often presented during large company meetings. (If these habits are performed by the company, then 1 point should be given. If services are given stronger preference over profits, then 3 points should be given) .

Saturday, November 9, 2019

National drug control treatment strategy critical analysis

Drug abuse is a serious health problem causing illnesses or injuries affecting every community in every major social problem of crime, violence, and child abuse. Both pharmacological and environmental factors play a vital role in the treatment of drug abuse and correlated disorders focusing on the structure and dynamics of the total personality. Focus on the three areas of health care, criminology, and education were recently emphasized on the policy created by the President’s National Drug Control Strategy based on the core principles of: stopping drug abuse before it starts, healing America’s drug users, and disrupting the market. (ONCDP 2007). The programs efficiency on the first two principles most likely will lessen the population with little injections on enhancements of culture change. Is there a relationship with the drug abuse and American culture? Looking on their idea of disrupting the market, I fear it will disrupt not the market but the modesty and integrity of the marginal police workforce involved in the trade. Trade means money. Operations cannot account to the last centavo. Trading means gain from deal. It could set precedence for corruption. Can Americans endure both drug trafficking, corruption and terrorism at the same time? How does one label the three wars now? The ongoing intelligence collection and interagency review of counterdrug-intelligence missions determined how federal, state, and local drug control efforts were misled on the third principle. This does not stop newcomers becoming drug traffickers where intercepted illegal substances appraised drug’s black market value. Raising the prices generates higher income for drug traffickers and for the network of accomplices created for the disruption. (Riley 1996). This will ultimately result to corruption in terms of network integrity that may hold contempt to the existing policy in particular. Trust is very unmanageable if one works with the other side. It is between good and evil now. Human personality is usually disrupted by the evil one’s surroundings bring. It will eat you like a disease. Although the population of drug abusers will lessen temporarily due to the inflation, they will see to work with the alternative of prostitution and other forms of choice of slavery to get what they wanted. It will give rise to two criminal acts: prostitution and government corruption. The leadership and direction to state and local governments must not be limited to the relationship between drugs and cost. It must be focused on the reduction of the availability of illegal drugs by prohibition of its entrance and manufacture within the country itself. Maybe there should be a review on the policy dedicated to this type of arrest. War on drugs does not mean alliance and allegiance on the ones whom you wage war. Integrity is very important. Stop the entrance and the manufacture, you will lessen the abuse. The government shall not hide their inability to find resolution to the entrance and manufacture by legally trading with the illegal traffickers. It does not make sense pulling your state to damnation. The first two principles are correlated: the beginning and the end of drug abuse. Heal the abuser when it starts, a rosebud, and heal the ones considered as hard core, a full bloom rose. Observed what becomes of a full bloom rose, it withers and dies! Drug treatment being integrated with the national health care program is a very good move indeed. It expands access to abuse treatment, its choices, and awareness through massive education. The approach raises drug addiction as a public health issue by the availability of abuse prevention and treatment services before reaching the criminal justice system. The cornerstone of the policy does not implicate any change in the culture system of the Americans including programs for a new climate of belongingness and lesser independence. If you want to control your family, don’t make policies and acts that will make the stand of the youth stronger. Independence is very personal. It contains a lot of meaning and a lot of action. Why can’t the government take a look on their policies for families? What are the basic psychological reasons of adapting drugs? Is it not support and belongingness? If they can’t find that relationship within the scope and context of their respective family then they will continue to seek external factors that can satisfy what they need no matter how comprehensive the treatment and the programs of the government for drug abuse. (Brannen & O’Brien 1996).For me the plan is not that realistic. The President has to consider listening to the voice of the American people like when he led them to war in the Middle East for conducts of terrorism. We are not just talking about functions, economy, and egos here. We are talking about lives: Lives of the American people. Violence can never be a cure for peace. Revenge will always be there. We have to find a way to resolve these wars without producing more body bags. The goals are simply not achievable. He got to listen to the voice of the American people and the voice of his inner conscience. References Brannen, J. & O’Brien, M. (1996). Children in families: Research and Policy. Routledge. p. 117. ONCDP. (2007). The President’s national drug control strategy February 2007. Retrieved April 13, 2007. Riley, K.J. (1996). Snow job?: The war against international cocaine trafficking. Transaction Publishing. pp. 40. Â  

Wednesday, November 6, 2019

Free Essays on The Speluncean Explorers

The Speluncean Explorers Legal Realism Judgment This case is about five members of the Speluncean Society (the â€Å"Members†), an organization of amateurs interested in the exploration of caves. One of the members Roger Whetmore (â€Å"Whetmore†) was murdered, and the other four members (the â€Å"Defendants†) were convicted and sentenced to be hanged by the Court of general Instances of the County of Stowfield. One of the key facts in this matter is that the Members went exploring a cave and were entrapped. It was known by rescuers that there was no animal or vegetable matter within the cave, and it was felt that they might meet death by starvation before access to them could be obtained by the rescuers. Another fact is that on the twentieth day, the Members learned that they had a portable wireless machine capable of sending and receiving messages and then sent messages of entrapment to the rescue team outside of the cave. They asked how long a time would be required to release them. The engineers in charge answered that it would be at least ten days even if no new landslides occurred. The Members described their condition and the rations they had taken with them, and asked for a medical opinion whether they would be likely to live without food for ten days longer. The physician said â€Å"that there was little possibility of this†. Another important fact is that it was questioned by Whetmore on behalf of the Members when communication was re-established eight hours later, whether they could survive for ten days longer if they ate one of the Members. The physician said yes. Whetmore than asked the physician if it would be advisable to cast lots to determine who should be eaten. The physician didn't answer. We come to another key factor is that Whetmore asked if any judge, official, minister, or priest was present none of the rescuers said they were. The fact that they asked this particular question shows mens r... Free Essays on The Speluncean Explorers Free Essays on The Speluncean Explorers The Speluncean Explorers Legal Realism Judgment This case is about five members of the Speluncean Society (the â€Å"Members†), an organization of amateurs interested in the exploration of caves. One of the members Roger Whetmore (â€Å"Whetmore†) was murdered, and the other four members (the â€Å"Defendants†) were convicted and sentenced to be hanged by the Court of general Instances of the County of Stowfield. One of the key facts in this matter is that the Members went exploring a cave and were entrapped. It was known by rescuers that there was no animal or vegetable matter within the cave, and it was felt that they might meet death by starvation before access to them could be obtained by the rescuers. Another fact is that on the twentieth day, the Members learned that they had a portable wireless machine capable of sending and receiving messages and then sent messages of entrapment to the rescue team outside of the cave. They asked how long a time would be required to release them. The engineers in charge answered that it would be at least ten days even if no new landslides occurred. The Members described their condition and the rations they had taken with them, and asked for a medical opinion whether they would be likely to live without food for ten days longer. The physician said â€Å"that there was little possibility of this†. Another important fact is that it was questioned by Whetmore on behalf of the Members when communication was re-established eight hours later, whether they could survive for ten days longer if they ate one of the Members. The physician said yes. Whetmore than asked the physician if it would be advisable to cast lots to determine who should be eaten. The physician didn't answer. We come to another key factor is that Whetmore asked if any judge, official, minister, or priest was present none of the rescuers said they were. The fact that they asked this particular question shows mens r...

Monday, November 4, 2019

Incorporating Kohlbergs Stages of Moral Development into the Justice Assignment

Incorporating Kohlbergs Stages of Moral Development into the Justice System - Assignment Example This enables people to live in peace and harmony. Criminal justice refers to the system of government institutions and practices that have been entrusted to maintain social control; deter crime and punish the individuals who deviate from the accepted principles of social justice. Law enforcement officers are part of the criminal justice. This means that they should uphold justice by following the accepted concepts and principles of fairness and moral uprightness (Dawson, 2002). Law enforcement officers are responsible for providing fair punishment and rehabilitation of individuals who violate the societal laws. This assists in deterring various forms of crime and maintaining peace within the society. They should ensure that there is justice by applying a level platform in all their practices, thus ensure equality and fairness. This prevents biases and restricts some individuals from deviating from the accepted principles. In today’s society, few people have confidence in the criminal justice due to the inequality applied by the law enforcement officers when performing their duties. Law enforcement officers should perform their mandates effectively by protecting individual rights and rendering equal treatment to every individual in the society irrespective of their education, wealth, social status, race or income among other factors. Law enforcement officers should render justice by following the rule of the law. Corruption and other social ills stem from the fact that some law enforcement officers do not follow the rule of the law. They protect the criminal, therefore, promoting oppression among the innocent victims. Lastly, the law enforcement officers should ensure that they deliver services with compassion. This is in reference to the treatment of the people who have broken the law. They should be rehabilitated and punished accordingly, therefore, making them useful members of the society.

Saturday, November 2, 2019

Research Methods Assignment Example | Topics and Well Written Essays - 2000 words

Research Methods - Assignment Example There are no responses for the choice not to reveal one’s gender category. Table 2: Age Profile Age Total Percentage 18-21 41 52.6% 22-25 27 34.6% 26-29 5 6.4% 30+ 5 6.4% Statistics Age N Valid 78 Missing 0 Mean 1.67 Std. Deviation .863 Skewness 1.332 Std. Error of Skewness .272 Age Frequency Percent Valid Percent Cumulative Percent Valid 18-21 41 52.6 52.6 52.6 22-25 27 34.6 34.6 87.2 26-29 5 6.4 6.4 93.6 30+ 5 6.4 6.4 100.0 Total 78 100.0 100.0 As to age, there are four age ranges represented, beginning from 18 onwards. The greatest percentage proportion of respondents was that corresponding to 18-21 years of age, comprising slightly higher than 52%. The second-highest number represented was that corresponding to the group between the ages 22-25 years, representing almost 35% of the survey sample. Together, the two groups comprise nearly 90% of the respondents, indicating that the sample respondent group is dominated by the young adults who are still in the process of comple ting their degrees, and/or still have minimal working exposure. Table 3: Ethnicity Profile Ethnicity Total Percentage White 31 39.7% Mixed 1 1.3% Asian 19 24.4% Black 12 15.4% Chinese 8 10.3% MidEast 7 9.0% Statistics Ethnicity N Valid 78 Missing 0 Mean 2.82 Std. Deviation 1.726 Skewness .363 Std. ... ackground) 12 15.4 15.4 80.8 Chinese 8 10.3 10.3 91.0 Middle East or Other Arab State 7 9.0 9.0 100.0 Total 78 100.0 100.0 There are six ethnicities represented in the respondent sample, the largest proportion of which is are White comprised of the British, Irish, or other Caucasian nationals, who comprise nearly 40% of the respondents. Second highest ethnic groups are those of Asian background, and together Whites and Asians represent almost two-thirds of the sample group. The remaining one-third are composed of Blacks with 15%, Chinese with 10%, and Middle-Eastern and Arabs with 9%. There is one respondent who answered that he/she was of mixed ethnicity. Table 4: Skills Self-assessment    Mean SD COV Interpret Maths 2.987 1.533 0.513 NAD Logical 2.962 1.284 0.433 NAD Social 3.321 1.410 0.424 NAD Disputes 3.256 1.372 0.421 NAD Issues 3.128 1.231 0.394 NAD Teamwork 3.141 1.412 0.449 NAD Individual 3.436 1.364 0.409 NAD Alone 3.256 1.333 0.409 NAD Leading 3.372 1.424 0.422 NAD Membe r 3.051 1.422 0.466 NAD Part_Team 3.256 1.472 0.452 NAD SD = standard deviation, COV = coefficient of variation The respondents were asked to agree or disagree with statements which represented their self-assessment of their entrepreneurial skills. Table 4 above provides the summation of all the self-assessed skills, their standard deviation to show the dispersion of the responses given, and the coefficient of variation to give a more stringent description of spread. The interpretation of mean scores is also provided, according to the legend below the table. All the mean scores fall within the range â€Å"Neither Agree nor Disagree† (NAD), although this is not so much due to consensus as much as it is due to the wide variation among the answers (ranging from 1 to 5). The extreme scores