Monday, September 30, 2019

Develop Road Safety Culture

Transportation is one of the basic things that people use and need in their everyday lives. We use different modes of transportation like airplanes, trains, boats, cars, and motorcycles. But the most abundant and commonly used of these are the cars, buses, and motorcycles. This is the reason why there are a lot of vehicular accidents that happen every day. It may be caused by a lack of discipline of the driver, refusal to follow traffic rules, or poor infrastructure. Vehicular accidents usually lead to injuries or even death.However, there are traffic laws that may prevent these kinds of accidents to happen, but it is still up to the driver to follow these rules. Every day when we open the newspaper we read about many road accidents. Millions of people nowadays are killed of accidents. But did anybody try to analyse the reasons of this serious problem? How to avoid this much of accident every day? Who is responsible for it? How can we manage to decrease the danger & effects of these accidents? How can we develop a system where the road safety culture can easily inherit? Simply it's by understanding our road safety rule ; regulations.The only solution to avoid these kinds of problems is to develop a road safety culture in general people so that they follow the Safety rules and obey the laws of Traffics. Many people are not learning about road safety at their schools. In my opinion, I see that we must educate our children in young ages about road safety ; how to safe ourselves when we are walking in the road. Many of our children go to schools by foot when their schools are not far away from their houses. This is not only the teachers responsibility as well as their parents responsibility too.Apart of this the Government also has too look very deeply into the roads infrastructure and creates the different lines as per the category of the vehicle and Zebra crossing with the attendants who will help needy people to cross the roads. I understand that nobody want to have an accident in his life. And nobody wants anyone to accuse him. In my opinion there are two major reasons for this high number of accidents, speed ; carelessness. So we must advise drivers to drive on the limits of the local roads ; accuse them or their families when the reason of accident was because of high speed driving.Drivers must be well educated regarding road safety ; what to do what not to do. This is also not enough to control the speed, Government need to take a strict action about this to create a low that the people should fear to drive very fast or beyond the speed limit. Normally once the License if granted to one person that is valid for next 15 years, but I think it should be reduced to 5 Years and after 5 Years he has to give again the written and driving test for the renewal of the Licenses. Many people are killed, left seriously injured ; incapacitated for life. Why?Because many teenagers drive without license, drives fast ; careless regarding this issue, ta lking over phone while driving, non-maintained vehicle or drunk. All the signals at least should have CCTV cameras so that is any one breaks the signals can capture by Camera. RF IDs should be installed in every car so that by the help of speedometer the speed and the details of the car can be captured easily. Huge number of the Traffic control Cops need to be appointing so that before thinking of breaking any traffic rules any one can see the appearance of the cops also to punish.These are the least not last Road safety tricks; we just need to remember whatever we learnt and follow these rules and I think to make a Culture to follow the Road safety rules Media, campaign, Education system and the strict rules can help us to develop and a Road Safety Culture in Modern era. If we all contribute to create a society where everyone just follow the rules and also help others to follow Road safety rules then very soon I think a Culture will automatically develop and which will automaticall y inherit to our children.

Sunday, September 29, 2019

Personality and Ill Health

Among the psychological factors that impact health, personality – that is table individual differences in thinking, feeling and behaving- plays a pivotal role. For example, an individual high in a sense of coherence (SOC), therefore perceive less stress and see the world as more manageable, resulting in good health (Williams, 2010). Furthermore, the individual differences that exist In terms of the attitude the individual has towards their health and how they conceptualize their illness Is very important.Although It Is a popular notion that personality traits Influence the state of a persons physical health, It Is difficult to establish the true nature of the relationship between resonantly and health , including measurement, the distinction between subjectively reported symptoms and objective signs of illness and the direction of causation (Matthews et al. , 2003). Four ways in which health status and personality might be linked have been identified by Souls and Retouches, (1 990).Firstly is the strongest assumptions about the importance of personality traits which represent biologically based differences that may cause different illness outcomes. Second, the relationship between traits and illness might be correlation rather than casual. Third is the usability that traits lead to behaviors that In turn lead to illnesses e. G. Smoking. Finally, Illnesses may cause personality changes. Nonetheless research has tended to focus on one of these aspects at a time which may oversimplify the complete Interrelationships that are likely to exist (Friedman, 2000).The past has shown that from early times a link has almost always been made between personality and illness. Hippocrates (460-377 BC) described physical illness as being caused by the balance of bodily fluids or humors – meaning personality traits (Steelmaker and Swastika. , 1992). Personality is often conceptualized as specific behavioral styles as opposed to personality disorders or personality d omains. Type A, Type B, Type C and Type D are some examples of a collection of behavior patterns that are grouped together to form a personality type.Type A personality is one of the most studied of these. It Is a behavior pattern marked by tenseness, impatience and aggressiveness, often relating in stress related symptoms such as insomnia and Indigestion, and possibly Increasing the risk of heart disease. The term Type A' was developed by Friedman & Rosen man (1 959), by which stile, and very tense – summarized basically as a â€Å"workaholic† personality. Type A personality was developed using structured interviews, however, although reliable it was labor intensive and therefore expensive.Due to this it lead to the development of the Jenkins self report measure Nonsense et al. , 1974). There were at least four major breakthrough studies of personality and cardiac vascular disease PROVIDING CONFLICTING RESULTS. The earliest success for Type A personality came from the Western Collaborative Group Study (Roseanne et al. , 1975). This study followed 3, 154 initially healthy men geed between 39 & 59 years. The sample was followed up 8 h years later with Type A men were found to have twice as much cardiovascular disease than Type B men.Type B personalities are very laid back , patient, and take a very relaxed low-key approach to life and their Job. This would suggest that Type A personalities are more prone to cardiovascular disease than Type B personalities. However, a later follow up study showed more negative or unequivocal results. After 22 years the same group reported no effects of Type A but quiet marked effects on mortality from blood erasure, cholesterol , smoking and age (Raglans & Brand, 1988), suggesting there was more than Type A personality directly increasing risk of coronary heart disease.Similarly, a cohort study known as the Farmington study, began between 1965 & 1967 (Haynes et al. , 1978). This involved 5,127 men and women being a ssessed and found the incidence of cardiovascular disease to be significantly higher in Type A than Type B. However, in a follow up study results were less clear cut as it was found that Type A personality was predictive of cardiovascular disease only in certain occupational groups. Also, women with cardiovascular disease scored more highly on Type A behavior and suppressed more hostility, tension and anxiety than men.Adding to these conflicting results were the Honolulu Heart Program Study (Cohen & Reid, 1985) and the British Regional Heart Study Monsoon et al 1987) which found no significant association between Type A personality and cardiovascular disease. These findings have tried to be explained through a meta-analysis of the literature (Booth-Kelley & Friedman, 1987) where findings were said to be due to the differences in the ways of assessing behavior and the use of different outcome assure, in that a distinction needs to be made between objectively and subjectively measurin g these outcomes.Although, an association was made between Type A personality and cardiovascular disease, the contradictory results can mean a number of things and further investigations of pathways and mechanisms is necessary to fully understand the associations. This suggests that although Type A may have an association to C. V. D. , it does not depict a definite outcome of illness. Another facet in research is that provided by personality theorists, where the components of personality are looked at instead of the personality as a whole.Glass (1977) found three separate components made up Type A personality. These included striving competitively for achievement, sense of urgency and high levels of hostility. Compared to the more relaxed, easy going Type BBS; Type As were seen as more concerned with having control and having lower threshold for perceiving Hostility here is described as the â€Å"toxic† component. In a meta-analysis of 45 studies (Chide & Step, 2009) conclude d hostility and anger was associated with an increase(20%) risk of C.H. D. Developing in originally healthy people. Also, research such as the Western Electric Study (1983) has consistently mound a link between hostility and C. H. D. Similarly, 12 longitudinal studies examined the role of hostility on the incidence of C. H. D. , 6 longitudinal studies have examined the role of hostility on C. H. D. Mortality and 2 longitudinal studies examined the role of hostility n sub clinical C. V. D. The results from these revealed that anger/hostility was associated with C. H. D. ND cause mortality, independent of potential biologic and socio-demographic confounder (Fink, 2009). In contrast, the high scores found on the personality trait of hostility assumed a casual link to C. H. D. -in that the illogical processes associated with hostile behavior are also associated with increased C. V. D. (Square et al 2002). The evidence provided here portrays that an individual that is more hostile is mor e prone to C. H. D. Either directly or through outcomes that individuals display such as smoking or drinking alcohol because of the hostile behavior.This evidence suggests that while type A personality alone cannot consistently predict C. H. D. , its subcomponents (such as hostility as discussed above) are in fact more reliable indicators . Due to the inconsistent findings on type A personality and C. H. D. It in turn resulted on an emphasis on individual differences. Research found that depression, low levels of social support, high hostility and anger being seen as risk factors in C. H. D. (Dickens et al. , 2007).It was concluded, psychological risk factors tended to cluster together in some individuals and they were therefore more likely to experience cardiac problems when dealing with chronic stress. Again, a personality type approach was developed- Personality Type D ( Denote, 2000), which consisted of combined states of anxiety, pessimism, despair and anger. Type D is also cha racterized by high levels of negative festivity (AN) and social inhibition, with individuals especially experiencing AN more likely to experience distress, anxiety, irritability, pessimism and worry.It is the combined effects of these negative emotions that define Type D (Cupper & Denote, 2007). However, it is this inability to cope that may help explain why some individuals are more prone to C. H. D. Although, it has recently been reported that Type D is an independent predictor of increased mortality among patients with coronary heart disease(Cupper & Denote, 2007), little to no research has investigated how type d ND non type d individual cope with stress.Both negative affectively and social inhibition involve distancing oneself from the stresses using avoidance or withdrawal coping strategies causing the individual to make fewer attempts to engage directly with the problem. Also individuals with type D are predicted to actively reduce their efforts to seek out social support (De note, 2000) which has been shown to be detrimental to health and well-being. A cross- sectional study of 334 1st year undergraduate students found a small but significant moderator effect for Type D for he disengagement symptom of burnout (Pullman et al, 2009).These findings also mirrored other findings with individuals high in personality trait neurotics, which shares similarities with negative affectively (egg Denote, 2005). Therefore, reduced levels in comparisons to non-type d individuals. This includes avoidance coping strategies as well, which in turn lead to higher stress levels influencing C. H. D. It is clear from the evidence provided that a relationship between personality and health exists, therefore making some individuals who possess traits such as hostility or eroticism more prone to illness than others without these traits.Although it is favorable to depict certain personality types (e. G. Type A) and relate these to ill health, instead it would be more beneficial to assess personality traits before the onset of illness so that the brief relationship between cause and effect can be established. From the literature, it is becoming more clear that the traits identified within personality types play a major role in predicting health and to understand this role is where the importance lies.Also, the research conveys the relationship teen personality and health can be explored more extensively when using wider arrays of psychosocial measures and outcomes in longitudinal studies (rather than cross-sectional)-ideally studies that follow people from childhood onwards (Friedman, 2000) as once again cause and effect may be established. Overall, the importance of understanding why some individuals are more prone to illness than others and the personality traits involved in this, is due to the simple reason it is better for health prevention and treatment. At the end of the day†¦. Your health is your wealth!

Saturday, September 28, 2019

Primate Society and Human Society Essay

The present paper is intended to discuss the similarities between the social behaviors of baboons and humans according to the book â€Å"Almost Human† by Shirley Strum. The first manifestation of social behavior Shirley Strum noticed is threat signals the animals convey when a newcomer appears (Strum, 1987, p. 24). Furthermore, as the newcomer approaches, juveniles and adult females circle around him and carefully examine him. The animals introduce themselves in an interesting way: â€Å"A female â€Å"presents† to a male when she approaches and turns her bottom toward his face; then the male will generally sniff her to see if she is sexually receptive. Two males can also present to each other with no sexual intention at all, and the same greeting is frequently exchanged by females, juveniles and even babies when they can manage it. † (Strum, 1987, p. 25). In several days upon the arrival of the newcomer, he remains an outcast, yet the other tribe members keep their eyes on each movement he makes. When a female comes closely to a male, the latter narrows his eyes, shakes head and smacks his lips – this physical manifestation is quite common among baboons. However, if the male is not considered â€Å"popular† in the group of animals, the female might simply flee without introducing herself, – then male continues grimacing as described above and accompanies the grim with soft grunting. The couple play this game for quite a long time – the female approaches and then quickly distracts and escapes, whereas the male continues to exhibit his â€Å"infatuation†. Such social â€Å"games† are played between men and women in our society. For instance, when a woman presents herself to a man, she smiles and shakes hands with him. They also verbally exchange their introductory information – name, occupation, hobbies. At the same time, the man, who considers marriage or searches for a sex partner, processes the information about the woman’s appearance and . If he is attracted to the woman, he begins to make slight hints and social gestures – e. g. , he might distinguish her amongst his friends and become more sincere, invite her to a theatre, cinema or dinner, give her gifts and flowers and so forth. However, if the woman notices the man has low social position or does not meet her social requirements, she is likely to lose interest in his â€Å"candidacy†. However, if the man persists and manages to present his interest as genuine and stable, the intimate relationship might begin. Human and baboon behaviors in cross-gender relationships are quite similar. Primarily, baboons present themselves to one another in order to learn more about a stranger; similarly, humans introduce themselves both verbally and through smiling, shaking hands. This introductory stage allows gathering the basic information and determining the primary sources of threat in the â€Å"interlocutor† (e. g. , contagious disease, among humans – armor etc). Among humans, smile acts as a sign of the person’s peaceful intentions, as humans are less proficient in the use and understanding of body language. Further, as a female baboon approaches the male and gives him an opportunity to inhale her odor, she shows to him that she is sexually mature and can have intimate contact. Moreover, such close introduction allows the male to examine her appearance, or â€Å"beauty† – this factor is extremely important, given that â€Å"beauty† in primate groups is associated with physical health and fitness. The healthier the female is the stronger progeny she can bear and the fewer problems with bearing and birth she will experience. Similarly, human males assess the female during the first seconds of encounter, – in particular, they pay attention to such criteria as age, physical beauty and erudition, as they half-consciously select (not always intentionally) a potential sexual partner or spouse and subconsciously believe younger (to reasonable degree, but generally younger in comparison to the male), smarter and more gorgeous women are fitter and better prepared for life in this society. Female baboons show their bottoms when they seek to lure a male, perhaps because appropriate building of this body part serves as a proof of the female’s sexual maturity and health. Human females, who wish to look â€Å"attractive†, also demonstrate their bodies, not necessarily naked, but always underlined by stylish clothes, make-up and accessories. After evaluating the female and determining whether she fits his criteria of physical development and appearance, the male baboon himself seeks to attract the female by displaying his interest and showing his own fitness and strength. Similarly to the primate society, among humans, there is also a behavioral pattern which consists in male’s responsibility for making the first step towards a stable relationship (e. g. inviting the woman he is infatuated with to a dinner, entertaining her, paying a lot of attention to her personality). If the female baboon realizes that male is outcast, she will continue ignoring him for some time, as the fittest males, whose inheritance will be most favorable to the future progeny in terms of survival, are normally popular in the tribe and have a high degree of authority. Furthermore, popular member of the tribe is more capable of providing for his female when she is consumed by â€Å"childcare†. Like female baboons, women become quite suspicious when meeting social outcasts or men of lower social status, who are potentially less likely to meet the needs of the family after the baby appears. However, in both societies, if the male manages to prove his dependability and keeps attending to the female for a long time, the latter might change her mind and find him eligible. As one can assume, human social behavior in cross-gender relationships is driven largely by instincts exhibited by primates. The factors humans and primates consider when selecting a sexual partner are in many cases the same, as males of both groups first and foremost evaluate physical fitness, whereas females in both baboon and human societies make a more complex analysis and also look at the male’s social position envisioning the necessity of taking care of defenseless and dependent progeny (or children). Both humans and animals are greatly concerned about the physical characteristics of the next generation, which partially backs Darwin’s theory of the survival of the fittest and the inborn striving for the survival of the species.

Friday, September 27, 2019

Critique of a Postmodern Philosophy on Thomas Kuhn Essay

Critique of a Postmodern Philosophy on Thomas Kuhn - Essay Example He later taught at the University of California and it was during his tenure in the same capacity that he published his book "The Structure of Science Revolution", which soon became the jewel in his crown. More than a million copies of Thomas Kuhns book have been published in a wide variety of languages. His books are regarderded as nothing less than sacred by students of scientific history and knowledge(The Tech - Online Edition, 1996). Before we begin on the very philosophy that his books contained and later became the purpose of his life as well as his identity, it is important to note here that Kuhn was a staunch believer that the science of current day holds more potential within it than it chooses to realize. The controversy raised by Kuhn was his opinion that if the currently available knowledge is the judge of what we desire, we can hardly expect to achieve anything except for what we had in mind when we set out to achieve it. In other words, inferences can be made and new techniques can be derived from old ones, but the expectation to come across new discoveries will come to no consequence in such situations. Rather Thomas Kuhn argued that if the frame of reference is based on the currently available knowledge, the unless the thinking process is set outside of the current frame, no new advancements can be made except for the ones we already have in front of us when we set out to achieve them. In other words, man sets out to prove only what he already knows and does not add anything to his knowledge but rather continues to dwell in the frame of mind he has built for himself using the knowledge he already possesses. The Paradigm Shift Concept in Kuhn's terms The Paradigm, in the terms of Thomas Kuhn's "The Structure of Scientific Revolutions", refers to the frame of thought that the scientists of today choose to adopt and the slowly evolving process that comprises of inventions and discoveries as the need for these developments arises. This process continues until a need arises that is not satisfied by any of the present knowledge that science has accumulated, and a new school of thought has to be established altogether to replace the old one if the need has to be met. It is important to note here that before Kuhn, science was considered to be a very generally evolving process and any discoveries and inventions were considered nothing else than an addition in the reservoir of knowledge that science had accumulated to that point. Kuhn however was of the opinion that science does not simply move on but from time to time, undergoes episodic transformations. These episodic transformations do not merely add to the accumulated knowledge but serve to change the very lens through which the science of that time frame is viewed. A real life example of Kuhn's philosophy in play An example of this fact can be seen in how mans knowledge of the world within which he lives evolved over time. For a period of time, man considered the world to be flat and that the earth was the center of our solar system. After having lived for centuries with this belief, man finally realized that

Thursday, September 26, 2019

UNIT 6 Discussion Legal & Ethical Isuues Research Paper

UNIT 6 Discussion Legal & Ethical Isuues - Research Paper Example The supervisor has then consults with experts as indication of responsibility to offer high quality care for client. The two methods of supervision are involuntary supervision and consultative supervision. Involuntary supervision involves a situation where the supervisor is powerful enough to evaluate and decide on issues related to appointment, firing, endorsement, and remunerations as well as education and support. Conversely, consultative supervision involves a supervisee hiring a supervisor for guidance in clinical work. Whether involuntary or consultative, the supervisor must offer competent services to their clients through trust and shared meaning. As a consultant for a mental health center, the considerations to determining my ability to serve competently include specialized training, determine knowledge in the mental health field, and evaluate my personal abilities like empathy, honesty, respect, supportive, capability to confront, and promotion of supervisee growth and advancement (Corey, Corey, & Callanan, 2011). The consultative supervision would involve professional disclosure statement to promote discussion through informed consent. To promote mutually beneficial and satisfactory consultative relationships, I will devote time and effort to the relationship, grow the relationship through demonstration of integrity, professionalism, and proficiency, identify and approach multifaceted relationships uniquely, take time to know the client and define operational values to operate within and emphasize

The Handmaid's Tale Essay Example | Topics and Well Written Essays - 1000 words

The Handmaid's Tale - Essay Example Offred is placed to serve under the commander and Serena. The age of infertility has reduced Gilead to offer the provision of demeaning women freedom. Offred serves as the example of the limited freedom presented within the society as the chores that she has been assigned with to complete present restriction within the society. Women are restricted and offered the challenge of progressing within the society as the captives converted into Handmaids. Offred had been declined to a demeaning routine that saw the creation of limited opportunity for the progress of women in a disruptive community. However, Atwood includes a solution in the rebellion Mayday that the Handmaid Ofglen belongs to, and the organization plots to overthrow Gilead to restore freedom to the society. The events within the tale suggest the achievement of redemption in the rebellious group and the quest to seek lost love that has been within the previous regime. Through the character selection with the main character O ffred, Atwood combines bold language and reference to develop a dystopian society within Gilead. Offred, as the leading character, directs the reader to discover a changed society from the traditional U.S. that presents freedom ad free ideology. This mechanism is achieved through the application of flashback that explains the affair that she has had with her lover in Luke. The society presented had offered minimal opportunity for advances, and she failed to find the similar affection as in the previous regime. Atwood writes, â€Å"What I feel towards them is blankness. What I feel is that I must not feel. What I feel is partly relief, because none of these men is Luke. Luke wasn't a doctor. Isn't,† (Atwood 33). Offred explains that she has lost a remarkable past that promised better lifestyle and resolution to her miserable progress. The events that had led to the loss of her lover and daughter did not impair her judgment to recognize her achievement. Atwood’s vibrant reference to the moral decay within the society serves as the lesson to highlight the use of humanity as tools to impress a tyrannical regime. She explained the role created in the Handmaid that represented the immorality within Gilead. Offred had been used as the tool of the Commander, and served to sexually satisfy the family and conceive children. This is presented in her position as the Handmaid to the house, and she struggled with the lifestyle that had been established. The Republic of Gilead is depicted as the environment that harbored injustice and tolerated moral degradation in demeaning the role of the woman. Atwood recognizes this provision through bold imagery and reference to sexual situations that the Handmaids has been subjected to tolerate. Atwood explains that sex is applied as a tool to progress and has lost its meaning in the Gilead society. â€Å"I'm not talking about sex, he says. That was part of it, the sex was too easy,† (Atwood 210). The phrase is app lied to explain that sex has lost its true meaning and is used by the dictators as a means of pleasure with women serving as objects to be manipulated. The role is referred to the Handmaids that were considered servants after being enslaved. Atwood develops the role of the Handmaids who were trained under Aunt Lydia, but issues the recognition of the weakness of the male character due to love. Aunt Lydia serves as the character that shaped the recognition o

Wednesday, September 25, 2019

Access Health Care in the UK Research Paper Example | Topics and Well Written Essays - 1750 words

Access Health Care in the UK - Research Paper Example In this paper, the current health care policy of UK will be analyzed critically along with mentioning of key suggestions and recommendations in encouraging further improvement. In UK healthcare is mainly facilitated by a publicly financed service called National Health Service (NHS), which is funded by general taxation and national insurances. Most of the mainstream primary and secondary health services (such as Hospital services, preventive services, prescribed Hospital drugs and physician services) are provided free of cost to all permanent UK residents. (Siciliani & Borowitz et al., 2013) However, treatments for infectious diseases like AIDS/HIV and emergency visits are free for visitors or illegal residents. Restricted co-payments are taken for dental care, mental healthcare, palliative care and vision care. Senior citizens, children, pregnant women and lower-income families are kept devoid of these payments. General practitioners are used for provision of primary healthcare and necessary future referrals in NHS. Specialist outpatient care including primary dental care, mental care and eye services are based on private sector contracts. Long-term care such as residential care and continued services are quite restricted in NHS. (Harrison, 2014) In UK, NHS is provided under National Health Service Act 1946.It covered England and Wales while Scotland and Northern Ireland were provided with separate legislations. According to this Act, NHS was to be availed freely by all citizens irrespective of race, gender, marital status, age or disability. However, reforms in the initial policies led to the invention of Health and Social Care Act, 2012. It focuses more on health care improvement and quality of services provided. Maternity and Childcare policy: Pregnant women are provided with best available health services and maternity care at NHS hospitals. Provision of a midwife for labor, birth, pre-and-post-delivery care is ensured. In case of miscarriages and

Tuesday, September 24, 2019

Introduction and conclusion section for report Essay

Introduction and conclusion section for report - Essay Example Simple to launch its products successfully in the South African market. The primary goal or objectives of the company are to increase its revenue generation through opening up of different retail garment stores in various feasible locations of South Africa. Various market entry modes that can be employed in case of entering the South African market and how it can be beneficial for the company have been discussed in this study. Identification of the target market in South Africa is also important and has been included in this study. The marketing mix strategy involving the appropriate products, places, prices and promotional strategies to be employed by the company has also been discussed in this study. The primary competitors of Mr. Simple Company have also been identified and the corresponding competitor analysis has been performed in this study. Mr. Simple Company has been successfully running its business in Australia, New Zealand and Vietnam. Its decision to expand its business in the South African market does not promise to be a good prospect for the company to help it increase its international presence and enhance its profitability in a significant manner. The primary objectives of the company are to increase brand awareness amongst the South Africans, increase its revenue and open up three retail garment stores in different parts of South Africa. The target customers have been identified to be males in the age group of 15 to 35 years. Fashionable and casual garment products would be offered to the targeted customers in South Africa. The market trend analysis performed in this study indicates that the youths in South Africa are attracted towards various clothing brands and with proper brand awareness the company can be successful in increasing its brand loyalty amongst the youth generation of the country. Various strat egies that are needed

Monday, September 23, 2019

Genetic Modification Research Paper Example | Topics and Well Written Essays - 1250 words

Genetic Modification - Research Paper Example However, genetic modification is most common in plants than in animals. Genetically modified foods are developed for various reasons. For example, to improve the quality of some foods and to some other foods, it is done to prevent the chances of allergies after consumption. Some of the genetically modified foods include; soybean, tomatoes and corn plants as will be discussed in this paper, among others. Although the technology gives a lot of promises for consumption of these foods, there are however some risks associated with the technology just like any other new technologies (Buzzle.com, 2012). Soybeans The genetically modified soybeans are fast growing and resistant to pests and herbicides. This leads to increased production hence food security to the ever-growing population as compared to the traditionally grown crop. The fact that this crop is tolerant to herbicides implies that it cannot be affected by the herbicides once sprayed to the weeds. Therefore, the farmers end up usin g strong herbicides, which are sprayed only once in order to destroy the weeds. This does not require a lot of herbicides because the herbicide once used totally destroys the weeds resulting to reduced environmental pollution. Genetically modified soybeans are drought resistant and can be grown in places with poor soils. This means that the crop can withstand harsh climatic conditions as well as be grown in places with infertile soils where agricultural production is poor with the normal crops. By growing the genetically modified soybeans in such places utilizes the unproductive lands, earning the residents income. Moreover, this food has high nutrient content with more vitamins and minerals, and tastes much better as compared to the traditionally grown crops. This, makes them more preferable to most people than the traditionally grown ones (Anslow, 2008 & Buzzle.com, 2012). Despite the advantages associated with genetically modified soybeans, recent research studies has shown that the growing of genetically modified soybeans may lead to the transfer of herbicide resistant genes to non-target species like the weeds through cross-breeding. This will make the weeds become herbicide tolerant as well. Moreover, chances of cross-pollination to the unmodified crops are also high in such a situation. In many countries where genetically modified soybeans are grown, the genetically modified soybean product is not labeled, as manufactures fear losing customers, which may ultimately interfere with their overall business. This denies the consumers the opportunity of making their own choice on whether to consume these foods or not since the products are not labeled in the market (Buzzle.com, 2012). Apparently, as Anslow (2008) points out, genetically modified soybeans can thrive under any climatic condition giving high production with high nutrients and requires less labor since one does not have to use tillage in order to remove weeds especially in big acreage of land, bu t can just use a strong herbicide instead, to destroy the weeds. Despite these, the negative effects should not be overlooked. For instance, in the long run the weeds also turn to be tolerant to herbicides hence becoming ineffective. Moreover, the consumers end up consuming genetically engineered products unknowingly, because the labels are not included and this may lead to long-term health problems, which is not their fault. Therefore,

Sunday, September 22, 2019

IM Not Scared Essay Example for Free

IM Not Scared Essay In comparison to his peers Michele reveals a level of maturity that his friends do not have. He defends Barbara before Skull can obscenely exploit her. Barbara is constantly harassed for being the only girl in the ‘gang’. Not even Michele could comprehend ‘how she put up’ with them, assuming it was the ‘fear of being left alone’. Barbara as well as Michele, is too innocent to distinguish the best for their own wellbeing. Michele has morals and instinctively knew that ‘there was something dirty’ with Barbara’s punishment. Unlike Michele, Skull has no remorse. Skull has the audacity to abuse people as he desires. Michele does not engage is exploiting others, in fact he obtains the rational reasoning of an educated adult. The most imperative case in which Michele expresses maturity is when he discovers Filippo. Initially Michele acts childish proclaiming Filippo as his, evidently influenced by Skull’s flawed and selfish logic-‘finders keepers’. Michele also behaves in that manner due to the lack of exposure of such situations. This is the only way he knows how to handle the ‘secret discovery’. Michele observes the discovery of a boy in a hole as a mysterious adventure that he must solve. But the height of Michele’s developing maturity is exposed through the continual visits to Filippo. Michele takes responsibility for Filippo’s wellbeing by ‘bathing his eyes’. The flaws of the adults force Michele to lose his rightful youth and take on the problems of adulthood. The adults in the novel have no redeeming justifications as to why they kidnapped and caused Filippo to become a ‘tormented soul’. Maturity may result in betraying promises in order to do the right thing. Despite Michele being obligated to his father, he recognises the wrong his parents have committed. Michele’s ‘oath was crumbling away’. He combats his fears and is ‘not scared of anything’ in attempt to save Filippo from his ominous death. Michele is punished for trying to do the moral thing. Michele is a character who demonstrations a significant transition from naivety to maturity. While Michele is obtaining maturity the adults are losing it by betraying their duty of parenthood and morality. Innocence no longer exists in Michele’s world because he has been exposed to the heinous realities of the world. Michele is able to distinguish the difference between reality and imagination and realises ‘it’s men you should be afraid of, not monsters’.

Saturday, September 21, 2019

Strategies to Improve Biodiversity Crisis

Strategies to Improve Biodiversity Crisis Shannon Stubbs Biodiversity Crisis Ireland, though famous for its greenery and beautiful scenery, has a culture of natural resource exploitation. Activities such as deforestation, agriculture and removal of peatlands/ bogs have harmed the countrys natural resources. Ireland has an extensive history of deforestation, spanning hundreds of years. Around 1390, significant deforestation due to land clearing for agriculture took place and continued until there was just 12 percent forest cover by 1600 (OHanlon, 2012). By the end of the 1800s, forest cover increased due to grants and the decline in population due to the famine (OHanlon, 2012). In 2012, there was only 10 percent forest cover in Ireland and over half of that is the non-native Sitka spruce (OHanlon, 2012). The demand for higher levels of productivity and an advance in farming methodologies/tools have led to an agricultural intensification in recent decades (Hutton Giller, 2003). Around 70% of Irelands total land area is used for agriculture (Hutton Giller, 2003). Clearing of land for agriculture has led to mass habitat loss and a subsequent extinction of species such as Crex crex (the corncrake), who lost their grassland habitats(Hutton Giller, 2003). Furthermore, studies such as Rushton et al. (1989) have illustrated that beetle and spider species decline in number and diversity when upland areas are agriculturally improved (Hutton Giller, 2003). Recently, the issue of invasive species has come to the forefront. Invasive species are a priority issue under the Convention on Biological Diversity and follow closely behind habitat destruction as one of the leading threats to global biodiversity (Caffrey et al., 2014; Caffrey et al., 2011). Invasive species can cost the Irish economy up to  £261,517,445 (Kelly et al., 2013). An example of a problematic invasive species is the Asian clam, Corbicula fluminea, which was first found in the River Barrow in 2010 (Caffrey et al., 2014). It quickly colonised SACs containing protected species such as sea lampreys and Atlantic salmon (Caffrey et al., 2014).      Ã‚   Since 2002, Ireland has produced two National Biodiversity Plan, with the most recent being published in 2011. The plan lays out 102 actions under 7 objectives that are largely based on Convention of Biological Diversity. These 7 objectives include incorporating conservation issues into political decisions, better management of protected habitats and their species and promotion of appreciation of biodiversity and ecosystem services (DAHG, 2011). However, this plan has a lacks a legislative basis, with much of Irelands conservation action coming because of the EU Habitats Directive. In January 2015, an interim review by the National Biodiversity Working Group (2015) of the plan found that only 24 of the 102 actions are currently implemented (Figure 2). A further 67 are in the process of being implemented and the remainder have not yet been adequately dealt with (Figure 2). Figure 2. Qualitative assessment of progress on implementation of the Actions of The Biodiversity Plan 2011-2016 (NBWG, 2015). Biodiversity provides us with essential ecosystem services such as provisions (e.g. fresh water, wood), environmental regulation (e.g. pollination, pest control, climate regulation), supporting services (e.g. soil formation) and cultural services (e.g. recreation, tourism) (Bullock et al., 2008). These services encompass every part of our lives and are critical to maintaining our standards of living and our basic well-being. Despite this, the public perception of conservation is often negative; it is perceived as a hindrance to the development of property, infrastructure, industry and economic progress (OConnor, 2016). Citizen science is a wonderful way to get the Irish public interested in conservation (Donnelly et al., 2013). A total of 20 citizen science projects run in Ireland (Donnelly et al., 2013); most of which are led by BirdWatch Ireland (Donnelly et al., 2013). Education of the next generation is key to conserving Irelands biodiversity. The role of conservation in the Primary School Curriculum needs to be further emphasized. School children tend to express more concern towards exotic, flagship species over the biodiversity that lies just outside their door (Ballouard et al., 2011) and Ireland appears to be no exception. It is our younger generations that will dictate the future of our biodiversity and therefore it is essential that we promote a deep appreciation of nature from an early age. Word count (excl. in-text citations, figure legends, references): 594 References Ballouard, J.M., Brischoux, F., Bonnet, X. (2011) Children Prioritize Virtual Exotic Biodiversity over Local Biodiversity. PLOS ONE 6(8). Bullock, C., Kretch, C. Candon, E. (2008) The Economic and Social Aspects of Biodiversity: Benefits and Costs of Biodiversity in Ireland. In: Department of the Environment Heritage and Local Government (ed.). Dublin: Government of Ireland. Caffrey, J.M., Evers, S., Millane, M., Moran, H. (2011) Current status of Irelands newest invasive species the Asian clam Corbicula fluminea (Mueller, 1774). Aquatic Invasions 6(3): 291-299 Caffrey, J.M., Baars, J.R., Barbour, J.H., Boets, P., Boon, P., Davenport, K., Dick, J.T.A, Early, J. et al. (2014) Tackling invasive alien species in Europe: the top 20 issues. Management of Biological Invasions 5(1). DAHG (2011) Actions for Biodiversity 2011-2016. Irelands National Biodiversity Plan. Department of Arts Heritage and the Gaeltacht, Ireland. Donnelly, A., Crowe, O., Regan, E., Begley, S., Caffarra, A. (2013) The role of citizen science in monitoring biodiversity in Ireland. Int J Biometeorol 58(6). Hutton, S. A. Giller, P. S. (2003) The effects of the intensification of agriculture on northern temperate dung beetle communities. Journal of Applied Ecology 40(6). Kelly, J., Tosh, D., Dale, K., Jackson, A. (2013) The economic cost of invasive and non-native species in Ireland and Northern Ireland. Report prepared for the Northern Ireland Environment Agency and the National Parks and Wildlife Service as part of Invasive Species Ireland, pp. 86. NBWG (2015) Interim Review of the Implementation of the Actions for Biodiversity 2011-2016. Draft for Consultation. OConnor, à . (2016) Incorporating nature conservation objectives and measures into the Water Framework Directive. Biology and Environment: Proceedings of the Royal Irish Academy 116B(3). OHanlon, R. (2012) Forestry in Ireland: the reforestation of a deforested country. Forestry Source 17 6(7). Rushton, S.P., Luff, M.L. Eyre, M.D. (1989) Effects of pasture improvement and management on the ground beetle and spider communities of upland grasslands. Journal of Applied Ecology 26(2).

Friday, September 20, 2019

Effects of Bank Mergers in the UK: Analysis

Effects of Bank Mergers in the UK: Analysis Introduction This paper takes a look at effects of Bank Mergers in the UK. It also shows how banks are affected by mergers and their effects on retail interest rates and customers. It also takes a look at how bank mergers help bring about improvement which is passed on to the customers. The main aim of the paper is to analyze the effects of Bank Mergers. It also takes a look at the environmental factors which lead to the mergers taking place. Aims and Objectives The aim of this paper is to analyse who the beneficiaries of a bank merger are and the cost analysis of the merger. It analyses the costs which are involved with the merger and its effects on the customer. The paper also deduces whether the retail interest rates are not influenced by the effects of mergers. Furthermore it also looks at how different banking products can be affected by mergers. The objectives of this work are: To review the extant conceptual frameworks and models associated with Bank Mergers To identify how mergers affect the relationship between banks and their customers To analyse the cost analysis associated with the mergers of Banks To understand the external factors which lead to mergers taking place between banks Literature Review Bank Mergers are usually subjected to anti competition or antitrust laws if they are found to be limiting the field for competition. The key to a bank merger is that it should bring about benefits to the sector instead of restricting it. There should be synergy between banks instead of tightening the noose and making it tough for everyone. If there are no savings being passed on to the customers then there is no use of a bank merger. There have been scenarios where bank mergers were not permitted by the Competition Commission as the customers would not benefit from the merger. (Competition Commission 2001). The regulatory bodies have to ensure that all gains from the merger do not benefit the merged bank but are passed on to the customers. There is a lot of scrutiny when it comes to bank mergers and identifies the relationship between efficiency and price changes after a merger has taken place. According to Farrell and Shapiro (1990) prices and retail interest rates can fall only if there were lower marginal costs before the merger of the two banks. Mergers are known to have failed if they dont bring about any savings or benefit to the customers. Mergers are not beneficial to the customer if the interest rates for customers are higher. The efficiency of merging banks influences the competition in the market. Bank mergers lead to bad conditions for the consumer if the merger does not promise efficiency. If a bank records efficiency gains after a merger then it brings about price improvements. Bank mergers tend to affect certain banking products in different ways. Research Setting The research is based upon the UK retail banking market. It examines the large and small banks and takes a deep look at the mergers which took place over the last few years and the mergers which failed to take place. Both building societies and UK retail banks are analyzed as they all offer different retail banking services. The research only includes banks that are in the UK retail banking market. The research also takes a look at the mergers which occurred between the small building societies as it is easier to gather data for that. The research has limited adding the mergers between bigger banks. RESEARCH QUESTIONS In order to make sure that the research is conducted properly we have to set a number of key questions so that the research will be able to answer them. To identify how mergers affect the relationship between banks and their customers To analyse the cost analysis associated with the mergers of Banks To analyse the external forces which lead to mergers between banks RESEARCH METHODOLOGY This particular assignment follows the traditional research methodology which allows the research to be conducted in various layers one after the other. The first one is the philosophy of Positivism where a researcher adopts the stance of a scientist who has to evaluate everything in a philosophical manner and understands the evolutionary process of how things are done. The interpretivism philosophy is where things are created due to the interaction between individuals. The research looks at all the issues associated with mergers within the banking retail market. the data is gathered through proper research. There is the need to gather quantitative as well as qualitative data in order to prove the theories and conclusions. RESEARCH APPROACH The research is conducted by examining all the data in a systematic format. Most of the data is present in documentary format along with information available in various journals and papers. All the data needs to be interpreted in a proper organized manner and needs to be separated in order to get the gist of the research. RESEARCH STRATEGY This research paper takes an in-depth look at the effect of mergers between banks and how it affects the banking products in the UK. It also examines how it can affect the interest rates in the banking sector. The paper also takes a look at the external factors which push the market in favour of mergers. It examines factors such as bear market which leads to share prices falling, dire economic situation which lead to problems, bad balance sheets which lead to a drain of capital, mergers which take place mainly due to help two troubled banks i.e. Lloyds TSB and Halifax, losses suffered by the investment arm of banks, collapse of big corporations which lead to a domino effect, hedge funds making losses and lastly due to the insurance divisions which do not do well. It also examines how the retail interest rate is affected if a merger does not go well. ETHICAL CONSIDERATIONS It is essential for me to follow a proper code of conduct before going ahead with my research process. There is a fine line between ethical and unethical research. The information gathered will be done with the consent of everyone and no laws shall be broken to obtain the data. I shall ask all the people interviewed to sign waiver forms and to give me indemnity from any potential problems. A point to bear in mind is not to intimidate any of the subjects or to harass them in handing over vital information. DATA COLLECTION The plan is to contact all of the various building societies and a few of the big banks which merged in the not so recent past. I need to visit them all and collect information on the types of products they have. It would help to visit someone from the corporate headquarters as retail banks would not have the competent staff which would allow me to gather the information I need. Higher ranked officials at the various banks can only give me information about how their bank products were affected and how mergers in the retail banking sector leads to different interest rates. Data will be collated through both qualitative and quantitative questionnaires, series of interviews, documentary analysis. I would also need to do a walkthrough with people from the various banks and building societies so that I can get the right idea. The questionnaires will be quite straight forward and will only comprise of a few limited questions which are closed ended. The interview process will not take long and will only be a one on one session which is also close ended. The only problem is to schedule everything within a particular timeline. There are a lot of people to interview and that is one reason why it is crucial for me to limit the time I spend on all my interviews so that I can get everything done really fast. It is also interesting to know that both questionnaires and interviews will generate different answers so special attention will have to be paid to both. Document samples are a must to be collected from the various banks in the area. The data collected will be from both primary and secondary resources. Primary Data I will gather all the primary data by simply gathering all the information via personal visits to the various banks and building societies which have been created as a result of a merger between two banks. It will be useful to find out how the banks were able to change their policies and how the merger affected their interest rates. The cost analysis will also be done after taking a look at the before and after status of the merged entities. Bank personnel will be giving me their valuable time so it would help me save time by only sticking to close ended interviews for the session. This will make it easier for both parties. The banks should hopefully provide me with documents I need to support my work and allow me to create my quantitative data. Secondary data Secondary data will be gathered with the help of external sources. It is essential to check out proper databases which deal with the type of historical data required for my analysis of the retail banking sector. The best idea for me is to base my work conducted by a researcher on the same topic. It also helps to do a bit of reading up on the topic so that I would know what this research entails. It is obvious that I wont be able to get all my data from people so I would need to gather information from journals, databases, white papers, etc. some of the data can be cited from text found in the documents supplied by the banks. DATA ANALYSIS The data needs to be examined one by one so that mistakes are not made. There are plenty of key points which can be examined only by going through it with a fine tooth comb. Data can be analysed in the form of charts, tables etc. CONCLUSION AND RECOMMENDATION Finally the research can be summarised as the sort who will allow me to understand why mergers take place between banks and how the retail banking sector is affected. I will be able to make my conclusions after I have gone over everything at the end of the study. TIME FRAME OF RESEARCH The research program needs to be conducted within a specific timeline. Due to limitation of time and the amount of legwork to be conducted I need to finish my research within 22 weeks. This gives me plenty of time for discovery and to jot all my information down on paper. If I do not finish my research on time it will delay everything and create various problems.

Thursday, September 19, 2019

Electronic Resources for Nineteenth Century Studies :: Electronics Education Essays

Electronic Resources for Nineteenth Century Studies Electronic resources in nineteenth century studies (and the humanities generally) might best be described at the moment in terms of promise and peril. I say "at the moment" because, as we all know, any statement about electronic texts that is true today may be false tomorrow. I say "promise' because, as we also know, electronic media are promising wonders that could only have been dreamed of five years ago: searchable databases of an almost inexhaustible size and variety, immediate access to colleagues and scholars around the world; webs of content, context, and hyper linked materials that connect to an almost dizzying array of information; multimedia wonders of text, image, and audio files for classroom and scholarly use. I say "peril," because as we are increasingly coming to understand, these technological wonders arrive only with several crucial caveats: Internet addresses can be here today and gone tomorrow, CD ROMs and complex Web sites are astonishingly time consuming and cost ly to produce, proprietary interests are starting to use finance as a means of controlling access to information, and hardware is developing so quickly that the septium or octium chip can only be a matter of months in the future (unless all of our desktops are replaced by Java driven hollow boxes). We have reached an important moment in scholarly and pedagogical history when these developments should neither be embraced uncritically nor ignored. I would like to take this opportunity to review a number of current electronic resources in the humanities, with nods toward other hypertexts, as a means of assessing not only the ways that these new technologies may alter our work in the coming years but also the way they may already be altering our understanding of what information is, where it comes from, and how it is transmitted. While students and scholars can currently say, "look, I have instant access to material that would have taken me months to gather in the past," they are also forced to ask two important related questions: "how accurate is this information?" and "who are the authors of this material if it was gathered or drafted by a committee, edited by other individuals, coded and linked by still others, published by a complex consortia of interests, and then subject to ongoing and immediate modifications (in the case of Web resources at least)?" Academic research and teaching will undoubtedly alter in unimaginable way s as a result of emerging technologies.

Wednesday, September 18, 2019

U.S. Marshall Matt Dillon as the Ideal American :: American Culture Essays

U.S. Marshall Matt Dillon as the Ideal American The old-west lawman is an American hero and represents the ideals of American society. He is immediately thought of when one contemplates strength of character and other fine qualities. As an irreplaceable part of American tradition, his characteristics are looked upon as a model to all other Americans. Much of what is known about the old-west lawman comes from stories of fiction one of these being the radio program Gunsmoke. Matt Dillon, a U.S. Marshall, plays the lead role in this favorite American radio series. In each episode he beats the odds as he protects his home of Dodge City. Demonstrating the qualities of the old-west lawman, Matt Dillon, of Gunsmoke, is trusting, respectful, and courageous. Even with all that is bad in the world, Dillon is still quick to trust. Unlike so many others, who automatically believe the worst about people, Dillon easily trusts a persons word. In the episode Potato Road Dillon gives Budge the benefit of the doubt even though he seems a little fishy. In the episode Robber Bride Groom, Dillon allows Jack and Laura, both of whom he had arrested, to leave town, because he trusted that they would do what is right. To support Dillons judgment, the listener is given no reason to consider that Jack and Laura wont live up to Dillons expectations. Even when others arent willing to trust people, Dillon is there to defend. For example, in The Liar from Blackhawk Dillon justifies his trust in the gunman traveling through town by saying: Hes a paid gunman, but Ive never known him to lie. In Dillons eyes everyone is innocent until proven guilty. This trust allows others to trust Dillon - if he has trust in you, why shouldnt you have trust in him. Respect if something you must first give before one can receive it, and U.S. Marshal Matt Dillon lives by this principle. In Potato Road when Dillons sidekick, Chester, helps him save themselves and the town, Dillon is quick to give credit to Chester. Dillon himself is humble as he thanks Chester for his quick thinking and hard work. It could be considered easy to respect people who have just saved your life, however it shows trust strength of character to be respectful when someone is insulting you. Dillon displays this strength in Robber Bride Groom when Mr. Reeves demeans Dillon and his position as U.

Tuesday, September 17, 2019

Executive and Managerial Planning for Bosch-Kazakhstan

Bosch Group is a global manufacturer of automotive and industrial technology, consumer goods and building technology (337). The Bosch Group’s HR philosophy is ‘†¦ to promote the moral, physical and intellectual development of the people (337). ‘ The Bosch Group believes in higher within the company rather than new hires from outside, therefore a lot of time is spent developing the talent Bosch already has. Bosch-Kazakhstan has four production sites in different rural locations (gasoline, Bosch-Rexroth, security systems and diesel motors). The board of management is requesting an EMP (Executive and Managerial Planning) for Bosch-Kazakhstan. Staffing is crucial with Bosch-Kazakhstan as the diesel motor production is fast growing compared to the other three sites. Problems Bosch-Kazakhstan faces a number of staffing problems. The labor market is very small. Possible local candidates lack national and international experiences and current qualified Bosch employees find the Kazakhstan sites unattractive due to a small domestic labor market for qualified managers and specialist. The main language spoken in Kazakhstan is Russian and it only has 2. 4 percent of Germans. All of the upper managers are expatriates (an employee working away from his or her home country). Solutions With staffing problems, I think Bosch should have a placement of an additional expatriates by recruiting potential individuals in the MDP (Manager Development Plan) and the JUMP (Junior Management Program) in Germany that are well aware of the Kazakhstan culture and values and he or she is required to address both short-term and long-term staffing needs. Another solution could be the placement of Kazakhstan workers in both the MDP and JUMP programs for a shorter period of time and to provide a 6 to 12 months stay in Bosch Germany facility in order to acquire greater experience. Training courses should be implemented to further gain background knowledge and experience. Maybe having a Kazakhstan worker with a HR background or a native born worker who is capable of responding to the upper and middle managerial level positions enroll in the JUMP and MDP programs or get hired in the company to further help Bosch find potential local candidates. Also having a pay for performance plan like additional bonus and incentives is another key factor of motivating employees to be more willing to take positions in Kazakhstan. Bosch should also seek its upper and middle managerial employees who at least have an outstanding background excelling in learning the language and be more willingly to accept different cultures. Outcomes Bosch-Kazakhstan will fill higher management positions with qualified employees who are accustomed to the local culture and who will carry-on the Bosch Group mission. Local candidates will be trained for entry-level positions with the hopes of someday becoming a manager after extensive training. The Bosch Group will be true to their HR philosophy if these changes are implemented quickly.

Monday, September 16, 2019

Biblical Worldview Essay Essay

The Apostle Paul wrote to the Roman church to prepare them for his visit to Rome prior to leaving for Spain. He explained to the church how Christians, Jews and Gentiles alike, should view the natural world, our identity, our relationships, and our culture due to our relationship with Christ. He explains the necessity for righteousness because without Christ we are dead in our sin. But God, through his goodness and grace has provided a way to righteousness through Jesus Christ. The Natural World According to Genesis, God created the heavens and earth (our natural world) and everything in them. In Romans 1:20 Paul states, â€Å"For since the creation of the world God’s invisible qualities-his eternal power and divine nature-have been clearly seen, being understood from what has been made, so that men are without excuse.† God created the world, his power and authority is evident in this creation and in this way man was supposed to know Him. However they turned their backs on him and according to verse 22 â€Å"exchanged the glory of the immortal God for images made to look like mortal man and birds and animals and reptiles.† Because of Adam and Eve’s disobedience in the Garden of Eden, sin came into our natural world which started the demise of spiritual man as well as God’s intended order. Human Identity â€Å"God created man in his own image,† (Gen 1:27). Our identity is firmly established by knowing God, more specifically, knowing God through Jesus Christ. We are created with a â€Å"God shaped void† in our spirit man. If we do not fill that void with a relationship with God, we will seek to fill it with anything else that gives us temporary pleasure. Paul says in Romans chapter 1, that men turned away from God and turned to idol worship. Three times in this chapter Paul states that God â€Å"gave them over† to their sinful desires (v.24), their shameful lusts (v. 26), and their depraved minds. (v28). In and of ourselves, we are destined to die, not only physically but spiritually. God however, has made a way. Paul eloquently shares the path to salvation, righteousness, and sanctification through Jesus Christ.

Sunday, September 15, 2019

Is money a motivator Essay

Question 1 In the business environment people are constantly motivated to perform tasks to get to a desired outcome. When we look at the motivational theory of Maslow we can clearly establish that our needs depend on what we already have. His hierarchy show the most basic needs of individuals to the self-actualisation witch lies at the top being the best you can be. The most basic needs on the needs hierarchy had to be satisfied before the next level of needs emerge. Hertzberg theory lays out the difference between the motivational factors for example achievement and responsibility to the hygiene factors at the work place. The hygiene factors only play a role when they are not present in the working environment. If for example you have bad interpersonal relationships with your fellow employees or a bad salary, if the organisation provides these factors there will not be any dissatisfaction but they don’t contribute to an employee motivation. But what really motivates us to perform these tasks. We are not as endlessly manipulative and predictable as we think. In general when you reward something you will get more of the behaviour you want and when you punish something you will get less of the desired behaviour. Almost everyone when they were little would perform a simple task if their parents would give them a monetary reward, for example if you wash the car we will give you ten rand. In this case money acts as the motivator to complete the basic task. This is an example of the expectancy theory if you do the task you get the reward. This theory will always apply to basic mechanical task. When the task is more difficult or a rudimental cognitive skill is needed to complete a task money seems to fail as a motivator according to a study done at Massachusetts Institute of Technology (MIT). When creative thinking and high level of skill and knowledge is required to complete difficult tasks money will fail over and over again as a motivator. As a fact the higher the rewards or incentives lead to poor performance. This is actually quite the opposite of what we expected. Money is a motivator at work that is a fact  but it does not add value to the job. In conclusion, we strongly believe that money is indeed the biggest motivator  in the workplace. Based on the points and statements above, we can clearly see that money is indeed the important factor that motivates people at the workplace. Money is regarded as a very high reward for the individuals that have worked hard for it. It is also regarded as the highest form of reward for employees. The higher the pay grade, the higher the recognition they receive from their employers as well as from the working mates. Finally, we conclude that money is indeed the most important factor that motivates individuals at the work place. http://www.forbes.com/2010/04/06/money-motivation-pay-leadership-managing-employees.html http://writefix.com/?page_id=1799 http://www.custom-essays.org/samples/Is_money_an_effective_motivator_at_work.html http://www.ukessays.com/essays/commerce/money-is-the-biggest-motivator-commerce-essay.php http://www.exampleessays.com/viewpaper/15346.html http://www.studymode.com/essays/Money-Motivation-1574966.html

Saturday, September 14, 2019

Purpose of Laws in Society Essay

Laws have been around for thousands of years and serve many different purposes. Laws set boundaries. Without law, how do you know what is right or wrong? Laws make it clear for all who are under them. Their purpose is supposed to be for the protection of society. Laws are for sure needed in society to ensure the safety of the people and to ensure functions properly and efficiently. One of the Major things that laws do is that they promote the goals of society and keep people civil and try to maintain peace among the people and keep the crime right to a minimal. Laws reflect the values and beliefs in a society and promote people to do the right thing and follow the law, because it holds people accountable for their choices. One of the goals of society to create equality among the people and law make that possible giving everyone the same chances as other everyone and the power of freedom is also created through law. Laws also promote the goals of society because they protect people rights. An example of this would be when people are trying to find a job the laws protect them from being discriminated against because of there race, they can’t just get turned down for the job because of there culture or race. Laws continue to promote the goals of society and continue to help keep the people in the country under control and to keep from anarchy. Another thing that laws do very well is that help settle disputes. They accomplish this from having civil courts for example. Civil court is for civil problems and cases and settling disputes among people. An example of this could be when someone is selling something online via ebay or craigslist’s and or a similar website and then rips the person off who is buying the service or product the customers could then settle the dispute in a civil court hearing. They also help settle disputes because it gives people the chance to fight for what is true fully there’s and or what is right. For example if someone takes something from them and wont give it back they could settle the problem in a civil court. The theme of law is not to punish people but rather have them stay away from crime. As a active member of society we are expected to follow the rules and laws of our country. Law is created to keep people safe from crime and give justice. When a person breaks the law they must accept he punishment according to severity of the crime. Therefore when a person thinks about breaking the law, the law makers hope he will think twice. Laws protect people through punishment because it holds people accountable for there actions. Before you commit a crime you already know what the punishment may be for doing so. Therefore if the law makes someone think twice about what they are doing and stop that person from actually committing the crime then it has served its purposed. Laws Provide order among the society as well and this is massively important because its keeps people from going completely savage and keeps people civilized as well as keeping complete anarchy from arising. Laws provide order among the people because knowing what the laws are also means you should be aware of what happens to those who chose to not follow the law. This keeps people in tact and keeps order because most people do not wish to serve the punishment of breaking a law and therefore will most likely chose to be a law abiding citizen. Truth be told, laws are definitely needed in today’s society, they keep the people civilized and for the most part keep our society running smoothly. People need to have guidelines and rules and laws the need to be followed or else everyone would just do what they wanted and complete chaos would happen. Laws are good and serve a great purpose in our contemporary society.

Friday, September 13, 2019

Literature of the african diaspora Essay Example | Topics and Well Written Essays - 750 words

Literature of the african diaspora - Essay Example The story is narrated in the form of dialogues between the husband Ocol and his wife Lawino. The poem is categorized in different sections. Each section offers details of the social problem faced by the husband and wife, in the marriage hood along with their values and differences. Whereas the novel God’s Bits Of Woods by the author offers a strong description of the railway strike. That happened in the year of 1947-1948 in the region of French West Africa. It includes disputes of emotional, political and moral nature. Eventually, this novel by Sembene is one of entitlement. It fetches to illumination the anxiety between Africa community and colonial officials. It also shows the struggle of railway men and the efforts of the African community to set themselves free from the power of colonial authority. The God’s Bit of Woods of Ousmane brings to light the scenario in which these adversities advance the workers with their families till the strike is eventually resolute. Debatably the most momentous conversion that takes place is in the function of women inside these societies. There are problems in all the families of the world. These problems cannot be controlled by an individual. These problems may be related to the issues of health, death, job instability. The place of living or the some closer person can contribute to these problems. In the novel Brother, I’m Dying, which is written by the author Edwidge Danticat all these issues are highlighted. Throughout the novel, the factual time story of Edwidge Danticat is narrated and provides an insight at the efforts done by her family. In this the author has successfully his own experiences of life. The sufferings of her family and their efforts to overcome the issues of being. Beside these issues the family also suffered from the multiple deaths in their home, the major illness of the guardian and uncle. In this story Edwidge is shown struggling in the absence of her parents

Thursday, September 12, 2019

MPH599 - Culminating Project Mod 2 SLP Essay Example | Topics and Well Written Essays - 750 words

MPH599 - Culminating Project Mod 2 SLP - Essay Example Childhood obesity: prevention practices of nurse practitioners, is a study conducted in 2006 by Larson, Mandy Ecole, and Ann Williams. The purpose of the study was to describe the prevention practices of nurse practitioners regarding childhood obesity. He compared the practices of nurse practitioners to those of prevention guidelines. It identified relationships between prevention practices and demographic variables. A convenience sample was used of the patients of 199 family nurse practitioners. These nurse practitioners were from the intermountain area. Participants in the study completed a questionnaire based on guidelines and risk factors for childhood obesity as well as childhood diabetes. The conclusion was that family nurse practitioners in family practice or general practice were not consistently using the BMI for age index to increase the screening for childhood for diabetes. However it was found that they were teaching parents and promoting health food choices and physical activity in these families. The other conclusion that was found was that there are major barriers to him implementing childhood obesity prevention strategies which include parental attitudes, the American lifestyle, and the lack of resources for both the nurse practitioner in the family the results of this study have large implications of children developing child type II diabetes. Many of the practices today are family practices today are run by family nurse practitioners and they must be up to the ability to know what the latest and greatest is in preventing diabetes in children Is there a need for screening for type II diabetes in seventh grade? This is a study done by Whitaker, Davis, and Bower,(2004). The purpose was to determine if screening for type II diabetes in the seventh grade population is unwarranted practice. A diabetes questionnaire was sent home to each participants parent or guardian, the

Wednesday, September 11, 2019

Office furniture ksf Research Paper Example | Topics and Well Written Essays - 500 words

Office furniture ksf - Research Paper Example One of the concepts that can enhance flexibility in the production of office furniture is the adaptation of the flexibility manufacturing systems that further enhance flexibility. However, such systems require high capital investments to install as well as operate such systems therefore; most of the small as well as medium companies may not be able to install such systems (Dima, 2013). Some of the benefits of the Flexible production processes include maximization of production and hence more profits. Keeping in mind flexible production processes such as the utilization of the FMS enhance the quality of the goods been manufactured. Consequently, such systems reduce the labor cost since fewer workers will be required to run the systems. This is because the production process in such cases involves the use of machines rather than the use of the conventional methods that necessitate more workers. Moreover, such systems increase the speed of production. New Product development is very important in the manufacturing of office furniture. This is due to the high competition in the market. This process may entail the innovation of new products or the development of the existing products. New products are very essential for survival especially in a competitive market. However, the innovation of new product must be followed by marketing strategies that push the products into the market (Dima, 2013). Moreover, furniture manufacturers need are forced to innovate new products due to the change in consumer wants, therefore increasing completion as well advances in technology. Moreover, a furniture manufacturer can engage in the production of new product in order to capitalize on new opportunities. For the manufacturer to capitalize on new opportunities they must understand thoroughly the customer wants; as well as develop new products that

Political Science Discussion Article Example | Topics and Well Written Essays - 250 words

Political Science Discussion - Article Example Moreover, the article highlights on the diplomacy role of Obama administration in addressing the situation. The spat in public by Mr. Kerry is seen as affecting negotiations that have been there between United States and Russia in resolving the crisis in Syria (Gordon, Sanger and Schmitt 1). Moreover, the article addresses the reluctance of Obama administration in engaging directly in the political situation, in the country. The inaction is seen as the administration pulled back the threat of cruise missile strike (Gordon, Sanger and Schmitt 1). The only move the administration has taken is trying to provide support to opposition forces and handling of humanitarian crisis. In addition, the article talks of some meeting of different countries intelligence chiefs. The meeting came with a plan to provide rebels with most sophisticated weapon as a solution to Syria civil war (Gordon, Sanger and Schmitt 1). The idea was out of realization that diplomatic attempts of addressing the crisis has failed. The article helps in highlighting the challenges and failures in addressing the situation, in Syria (Gordon, Sanger and Schmitt 1). Moreover, it helps in showing response by leading players in the world politics on situation. It has also helped in showing why diplomacy has failed. However, in my opinion, the situation in the country can only be addressed in the warring parties are disarmed instead of arming both sides. Gordon, Michael, Sanger, David and Schmitt, Eric. â€Å"Middle East.† Nytimes.com. Web 20 February 2014.

Tuesday, September 10, 2019

Requirements and specifications Literature review

Requirements and specifications - Literature review Example ng the combo of MySQL and ASP.net is to make sure that the web interface is robust, data retrieval is quick and robust, and standards can be upgraded easily (Patton, 2005). In order to provide users a perfect match, different search algorithms were taken into consideration. The best one of all the considered algorithms is Classification Tree that would match matches on the basis of their common characteristics. The algorithm is not very complex yet reliable. Users would be able to extract accurate search results just by entering keywords, which would ensure satisfaction of the users and will save their precious time. Apart from this, the problem of users being overlapped by other users in the search results will be solved by implementing the idea of creating sub profiles. Every user will be able to maintain different profiles under different categories (this feature is also available on many other websites to avoid the overlapping issue in search results). The idea of this project is to build a secure and anonymous database for the experimental social science lab at Essex. It is required to set up a whole new database, develop a web portal and an interface for the paid participants that are taking part in the social science experiments in the Essex Laboratory. Database will be filled up by the researchers themselves, as they will upload the information about the subjects whom they want to recruit. Once the database is live, those subjects who meet a certain criteria, set up by the researchers, will be notified automatically. Those subjects who are notified via auto generated emails would be able to line up their visit at the experimental lab according to the system generated schedule. The recommended database for this project is MySQL and web interface would be developed on ASP, harnessing the power of .Net framework 4.0. Upon the entrance of the subjects in the laboratory, their identity will be checked automatically from the database. They will be able to go

Monday, September 9, 2019

The E-Trade Baby Essay Example | Topics and Well Written Essays - 500 words

The E-Trade Baby - Essay Example In order to identify the rhetorical strengths and weaknesses of the E-Trade Baby commercials, their ethos, logos, and pathos should be examined. Ethos implies the personality and trustworthiness of the speaker associated with the argument. Ethos raises issues of ethics and confidence between the speaker and the audience. In terms of ethos, the E-Trade Baby ads are quite effective in drawing out the interest of the audience by using an ‘infantile’ personality that normally appeals to the emotion of audiences. In terms of integrity, the ads are also successful since the babies’ ‘voices’ are from trusted people in the finance and investment industry. The E-Trade Baby simply used the attractive and adorable personalities of the babies to convey its reliable messages about financing and investing. The ads successfully identified with their audiences and their argument. They also appeal to the sense of necessity of the audiences by building a whole new real m of investing, or also referred to as electronic trading. Logos denotes the application of numbers, statistics, reason, and logic. Quite frequently, logos appears concrete and material, far more tangible and ‘real’ compared to other rhetorical techniques that it does not appear an advertisement approach at all. In terms of logos, the E-Trade Baby ads are quite illogical since it is commonsensical knowledge that babies cannot talk in the way they are portrayed in the ads making the entire endeavor weak within the domain of logos. But in terms of the presentation of statistics and facts, the ads have been concise and straight to the point. Pathos appeals to the emotions of audiences. The E-Trade Baby ads try to appeal to the emotions of love, compassion, affection, sympathy, and happiness. They successfully used an emotional appeal by identifying with the sense of their audience. The ads did not abuse any ethical or emotional appeal since

Sunday, September 8, 2019

The Surrealist movement Research Paper Example | Topics and Well Written Essays - 750 words

The Surrealist movement - Research Paper Example The essay "The Surrealist movement" analyzes surrealism. Unlike the romantics, the surrealists believed that they could find revelations on the street and in daily life. The ideas of the Surrealist with regard to the subconscious mind, their interests in primitivism and myth shaped the concepts adopted by the Abstract Expressionists. Salvador Dali, a surrealist painter, was born in Figueras, Catalonia-Spain in 1904. He studied art in different parts of Spain and mastered the effortless adaptation of various styles into his repertoire. As a teenager, he became fascinated with the concepts and ideals of psychologist Sigmund Freud. He liked how the subconscious mind and artistic works linked. This caused him to focus greatly heavily on his art content. He was also influenced by the works of the Paris Surrealists who painted from the subconscious mind with no definitive purpose in mind of how the outcome of the work should be. The Persistence of Memory is arguably one of the most famous works of Dali which he painted in 1931 while a relatively young man. The painting depicts a number of pocket watches that are detached from their chains, slowly melting on a tree branch and on rocks. It is quite deceptive to the eye because the scene is a fantasy that is placed in a lifelike setting of the ocean. The main aspect portrayed by the painting is that objects known to be hard become inexplicably limp in the dreamscape. This has been interpreted to mean that things that appear strong and purposeful always reach a point.

Saturday, September 7, 2019

Value configuration of argos Research Paper Example | Topics and Well Written Essays - 500 words

Value configuration of argos - Research Paper Example shopping very accessible to their clients with the accessibility of sets for surfing earlier to visiting the stores ,the collections are accessible as hard copies for example, the low price DVDs and CDs.This suitability of shopping with the Argos lengthens to the establishment of home distribution for mobile orders and online acquisitions at lowered prices. The clients who are registered to Argos website benefits from 5% discounts on the complete Argos variety and some monies to use in Argos and site stores obtainable on their loyalty cards. Argos deals in merchandises care to the client such as breakdown care, equipment care and replacement produce care. For easy admittance of the company’s features and produces, Argos has established beta Widget which delivers a quicker and easier access to the main features of Argos.co.uk which comprised the pursuit of their up-to-date offers, costs and the wide merchandise range. To advance rates of exchange, drive produces sales and progress their enactments, Argos linked with the Zoocha to cultivate the customer proficient design. Argos has capitalized meaningfully in digital contribution and establish new ways to influence its vast store collection in a retail atmosphere, this is due to the just launched five-year revolution plan which marks Argos as a digital front-runner in the corporate market. This has led to the improvement of Argos products purchase since clients could visit the Argos website through mobile devices and surf for products and conducts purchase .It appeals to the clients because of the endowment of 16% discount of the general purchases directed through the phones. , Argos announces a digital version of its Christmas gift guide that exploits new expertise and rich content to deliver collaborating ways of spending for its customers (www.argos.co.uk ,2014). In addition, the catalogue type of the gift controller is using augmented reality to lift arrangement stages further.Interms of expertise Argos

Friday, September 6, 2019

The End of the Cold War and the United Nations Essay Example for Free

The End of the Cold War and the United Nations Essay Abstract The end of the Cold War ushered in many significant changes in the international system. Many of these changes are seen to provide an impetus for the reestablishment of multilateralism and the collective security approach to the maintenance of international peace and security, under the aegis of the United Nations. The multilateral movement gathered momentum over the first few years of the post-Cold War era and saw a number of peacekeeping missions mandated by the United Nations across the World. However, a careful inspection of these missions, and other instances when any action failed to materialize, reveals that much of the impetus gained from the end of the Cold War conflict was lost due. Several factors contributed to this outcome, not least a lack of political will on the part of the United Nations and the Member States. The essay concludes by looking at the present situation and arguing that a similar opportunity as the one in 1991 has presented itself, leaving the United Nations in particular, and multilateralism in general, with a chance to redeem itself. Introduction: The UN during the Cold War   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The end of the Second World War and the institution of the United Nations in 1945 were landmark events in the history of the world. While the conclusion of the War marked the demise of European imperialism (though the decolonisation process would continue till 1966), it also signalled a change in the norms of international society. Based on the principles of collective security, as elaborated in the Charter of the United Nations, these emergent norms sanctified (international) territorial boundaries, promising to usher in a new era of international history. However, the optimism and confidence which surrounded the formation of the United Nations – as a forward-looking model of international cooperation – was soon disturbed by the Soviet Union’s entry into the nuclear club in 1949. This was the beginning of the Cold War between the USA and the USSR, which mired international politics, as well as the UN, in an ideological conflict for the next four and a half decades.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Though the specifics of how the Cold War was fought fall outside the ambit of this paper, it is important to note its effects on the functioning of the UN. The composition of the UN Security Council – the organ charged with the maintenance of international peace and security – becomes salient here: as permanent members, both the United States and Soviet Union exercised the power of the veto (a single veto from any permanent being enough to sink a Security Council resolution), according to their geopolitical interests (see UN General Assembly, 2004, p. 13-19). This crippled the development of the UN, while consequently stunting the evolution of multilateralism. Changes at the End of the Cold War: Impetus to UN Multilateralism   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The end of the Cold War, in 1991, brought with it a renewed optimism and injected fresh vigour into the UN; finally rid of the ideological divide of the previous decades, the new situation led some scholars to say that: The end of the Cold War lifts a central obstacle to the strengthening of multilateral peacekeeping and the extension of multilateral operations beyond traditional peacekeeping tasks. A revived United Nations Security Council and energetic Secretary-General are the global [centre] of this rapidly evolving effort†¦ (Roper, Nishihara, Otunnu and Schoettle, 1993, p. 1). Concomitant to this belief, the number of peacekeeping operation of the UN increased, along with the establishment of the UN Protective Force (UNPROFOR) – made famous by its engagements in Bosnia – in the years following the fall of the Berlin Wall. However, to truly understand the impact of the end of the Cold War on the UN, and its efforts to strengthen multilateralism, we must be appreciative of what actually changed at the â€Å"end of history† (Fukuyama, 1993).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   An era of post-internationalism, defined by a complex system of relations between nation-states and non-state actors, was thought to be the most probable outcome of the end of the Cold War (Rosenau, 1990). In reality, the most important changes occurring in the international system were: The emergence of a unipolar world – with the United States as the lone superpower – though there was a brief debate over the possibility of a return to (a somewhat Westphalian) multipolarity. The structural and ideological impediments to the UN’s operations disappeared, resulting in an environment (apparently) conducive to international cooperation. The emergence of â€Å"New Wars,† which were intra-state affairs, and fuelled by ethno-religious and cultural divides (Kaldor, 1999). The intensification of the process of globalization, rapidly intertwining the national economies of the world into the world economy and with each other, meaning that conflicts would produce more stakeholders interested in their resolution. These changes made for an opportunity for the UN to capitalise on the changing dimensions of international politics and drive home the advantage for the renewed consensus for multilateralism.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The American preponderance in the immediate aftermath of the end of the Cold War meant that the future of multilateralism would depend, to a great extent, on the willingness of the United States to support and participate in the operations of the UN. This dependence was only natural: the US was the most economically and militarily dominant power at the time, and for any successful venture on the part of the UN, US assistance (or at the very least, support) was essential. Because of the US’ political importance, Security Council resolutions backed by the country were more persuasive and influential than earlier, thus accelerating the strengthening of the UN’s multilateral foundations. Initially, the United States readily participated in UN-backed interventions and peacekeeping missions – in Iraq/Kuwait (1990) and Somalia (1992) – which coincided with its policy of â€Å"aggressive involvement† in response to international peace and security at the time (Art, 2003, p. 2-3). Thus, American primacy at the end of the Cold War provided a great impetus to UN-led multilateralism.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The fall of the East/West divide provided an opportunity to expand the realm of the UN’s multilateral operations beyond that of traditional peacekeeping, to include such areas of peace-building as providing humanitarian assistance, transitions to democratic governments and helping with national reconstruction in post-conflict scenarios. This expanding perspective was explained by the UN Secretary-General Boutros Boutros-Ghali to have occurred as a direct consequence of the demise of Cold War animosities amongst the permanent members of the Security Council (1992). The proliferation of UN missions in the early 1990s – to Somalia, Cambodia, Namibia, Western Sahara, Angola, Bosnia, Croatia, El Salvador and Mozambique – goes to show how much of an impetus the removal of structural impediments gave to the UN at the end of the Cold War.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The emergence of New Wars called for a change in the understanding of intra-state violence, along with a wider interpretation of the provisions of Chapter VII of the UN Charter (UN, 1945). During the Cold War, the principles of state sovereignty and non-intervention were paramount; according to Article 2(7) of the Charter, Nothing contained in the present Charter shall authorize the United Nations to intervene in matters which are essentially within the domestic jurisdiction of any state or shall require the Members to submit such matters to settlement under the present Charter†¦ (1945.) However, in the post-Cold War era, there has been a considerable shift towards embracing the principles of internal justice (i.e. within states) and individual rights, which require the maintenance of certain universally accepted standards (Taylor and Curtis, 2003, p. 415). This movement towards a semblance of global governance also resulted from the impetus gained from the end of the Cold War. For example, the intervention in Kosovo (late-1990s) was purely on humanitarian grounds, and explicitly breached the (now contested) sovereignty of the Republic of Serbia. On the other hand, the intervention in Somalia was carried out at the state’s request, while that in Iraq (in 1990) depended on Memorandums of Understanding between the UN and Saddam Hussein. In all of these cases, however, the increasing tendency of multilateral involvement in the domestic affairs of states cannot be overlooked.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Due to the political and economic structural adjustment policies (enforced by the IMF against the supply of loans) experienced in many parts of the world during the 1980s, the end of the Cold War came at a time when the process of globalization had already taken shape to a certain degree. This process meant the expansion of markets, along with goods and services, across the world, making countries increasingly interdependent. Thus conflict, in any part of the world, now has the potential to disrupt more than a handful of national economies. Hence, there are more takers for multilateral action to resolve conflicts, especially after the (formal) removal of ideological differences within the UN after 1991. For example, in the case of the peacekeeping mission in Bosnia, countries as diverse as Nepal, Fiji, Argentina, Senegal and Iceland, among many others, contributed personnel and supplies to the UN. This was another impetus received by the UN at the end of the Cold War, strengthening its role in multilateral ventures.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Indeed, the renewed energy exhibited by the Member States of the UN to multilaterally solve international conflicts is evidenced by the fact that peacekeeping operations undertaken after the Cold War easily outnumber those mandated during 1945 to 1990 (UN Peacekeeping, 2008). There has also been an improved dynamism in the Security Council and the General Assembly since 1990, shown by the rise in the number of resolutions proposed and adopted, as against the oftentimes deadlocked scenario of the Cold War (UN Documentation Centre, 2008). These facts show the momentum gained by multilateralism, under the aegis of the UN, in the post-Cold War era. An Evaluation of Post-Cold War Multilateralism   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   It is important, however, to make a crucial qualification at this point: greater involvement through the multilateral framework does not tantamount to success in resolving or preventing international conflicts. If we are to make an analytical examination of how far the end of the Cold war proved to be an impetus for the reestablishment of the UN as the focal point for multilateral projects, we must judge the same in terms of what they achieved. The possibilities that the termination of the East/West conflict held for the UN have already been discussed; now, we shall attempt to provide a critical analysis of how multilateralism has fared to obtain the true nature of the impetus in question.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Throughout the UN’s existence, the question of intervention to stop genocide (or for genocide prevention) has been a thorn in its side. The history of the UN is replete with cases of genocide – Uganda (1970s), Paraguay (1974), Democratic Kampuchea (1975-78), Bangladesh (1970-71) and Burundi (1972-73) – where it did not take any concrete steps to stop the conflict (Kuper 1982). Regardless of the changes found in the post-Cold War era, the â€Å"right to intervene† (jus ad bellum, or humanitarian intervention), has only been enforced in Kosovo (Taylor and Curtis, 2003, p. 415). The UN, however, failed to act on time in the cases of Rwanda (1994) and Bosnia (1992-93), resulting in close to a million deaths. In Rwanda alone, the death toll reached more than 800,000, and led Secretary-General Kofi Annan to remark: â€Å"The world failed Rwanda at that time of evil. The international community and the United Nations could not muster the political will to confront it† (quoted in Glazer, 2004, p. 167). Similarly, the Security Council has been sitting on the fence with regard to Darfur, western Sudan, where Arab militias known as the Janjaweed, with help from the central authority in Khartoum, have been systematically killing (and raping and displacing) black Africans since 2003. Due to the reluctance of the UN to label the conflict in Darfur as genocide, hundreds of thousands continue to die, while more are forced to migrate across the western border into Chad (HRW, 2006).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Part of the blame lies with the Genocide Convention (concluded in 1948), which obliges Member Parties to â€Å"prevent and punish† any act of genocide. But, what this clause means in terms of policy directives remains unclear; many Parties are content to push for institutional solutions in these cases, while refraining to term a given situation as genocide, so that they are not dragged into a commitment of conflict resolution. However, at the end of the Cold War, with the consensus for international cooperation and multilateral action on a high, the UN had a golden opportunity to include or append policy recommendations to the Genocide Convention. It was essential to recognise that the history of the UN’s failure to prevent genocide was a function of reluctant nation-states wary of being drawn into a long-term commitment, rather than plainly understanding it as another aspect of the East/West conflict. By oversimplifying the causes of previous failures, the UN also lost that bit of impetus which the end of the Cold War had generated.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In addition, the multilateral movement suffered another jolt when, given the losses it incurred in Somalia (1992), the American policy slowly started shifting from aggressive involvement to selective engagement: the US, by many accounts, was only interested in taking part in such conflicts which served its national interests (Power 2002). It was the intransigence on the part of the US which, in large measure, contributed to the debacle in Rwanda. Indeed, the fact that the US was actively involved in the Bosnian peace process was not lost on many, leading to speculation that the country was atoning for it inaction in Rwanda, while spawning more radical critiques claiming that the US was more sympathetic to conflicts in Europe and North America (Cooper, 2003). In any event, the reliance on the US for multilateral action proved shaky – a reality further reinforced by its unilateral decision to engage in a preventive war in Iraq (in 2003) – and only retarded the impetus gained in 1991.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   The UN, Kaldor argues, also suffers from weak conceptual and theoretical comprehension of â€Å"new wars† (1999). She maintains that it was not the unwillingness to provide resources, a lack of cohesion among peacekeepers or the general tendency of making policies offering short-term solutions which protracted the conflict in Bosnia. Instead, the international community failed to grasp the nature of the â€Å"new nationalism† that had steered the country into the abyss of an ethno-religious war (Kaldor, 1999, p. 53). This failure also led to the underestimation of how the war would progress; the UN peacekeeping force that reached Bosnia had neither the resources, nor the specific mandate, for conflict prevention. Hence, there was no peace to ‘keep’.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   This brings us to the issues of deployment and mandates. The UN Assistance Mission in Rwanda, which was put in place to see through the transition to democracy – as part of the Arusha Accords of 1993 – employed 2,500 peacekeepers. At the outbreak of genocide in 1994, the Security Council decided to withdraw all but a tenth of the force, leaving those still remaining in Rwanda to stand by and watch the week-long massacres. In Bosnia, the situation was hardly any better; though the total UNPROFOR contingent totalled 23,000, the requisition to the Security Council asked for 30,000 troops for the safe havens – in Srebrenica, Zepa, Tuzla, Sarajevo, Gorazde, and Bihac – alone. In the end, 7,500 troops were provided for these areas, and resources for only 3,500 could be managed (Kaldor, p. 65). Again, in Darfur, the Security Council sanctioned a peacekeeping force of 25,000 to work alongside the African Union’s 7,000-strong peacekeeping mission; however, the mission is yet to be completely deployed, owing to organisational problems.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Most importantly, though, it is crucial to understand that whatever be the deployment, if the same is not supplied with an aggressive mandate, history shows that it is deemed to fail. An aggressive mandate would entail peace enforcement, in turn requiring a wider reading of the provisions of Chapter VII of the UN Charter. Sending lightly armed peacekeepers into zones of conflict only risks their lives and achieves very little in terms of conflict prevention. In recent years, the UN has found it preferable to mandate individual countries to enforce peace in smaller-scale incidents of violent conflict, like Australia (East Timor 1999), France (Congo, 2003) and the USA (Liberia, 2003). Whether such decisions indicate the complications of an aggressive multilateral approach is difficult to say, but these cases do suggest that unilateral solutions are sometimes simpler. The problems of troop deployment and mandates, therefore, seem to have eroded much of the impetus gained by the UN’s multilateral framework at the beginning of the post-Cold War era. Conclusion: Opportunity Lost, Perspective Gained   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   There are two important conclusions that readily derive from the above discussion. Firstly, the changes in the international system at the end of the Cold War produced a scenario where the UN remained the only organisation capable of maintaining peace. This provided a thrust to the multilateral framework which had suffered till then under the shadow of the East/West bipolarity. Without doubt, the end of the Cold War had supplied the UN with a vital impetus to re-establish multilateralism as the definitive path to peace. Secondly, however, an evaluation of post-Cold War multilateralism reveals that this chance was squandered, leading many to call this phase of the UN’s history as â€Å"opportunity lost† (Johnson, 1999). Indeed, the breakdown of the consensus over the war in Iraq (2003) led Annan to declare that â€Å"[t]he past year has shaken the foundations of collective security and undermined confidence in the possibility of collective responses to our common problems and challenges† (quoted in UN Press Release, 2003).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Looking forward, however, we have to contend that it is precisely the US debacle in Iraq has cast grave doubts over unilateral actions, and has prepared the ground once more for the endorsement of multilateralism. Following its initial failures in peacekeeping, the UN maintained that its role in international peace and security remained â€Å"essential† (Crossette, 1994); the reverses early on in the post-Cold War era now serve as key points of reference from which to learn and devise more viable policies. The lessons of the past, thus, must provide the paths to the present (and the future). The opportunity given to the UN and multilateralism by the fall of the Soviet Union was spurned over the subsequent decade. The international system has again generated a similar impetus which should, this time, be treated with the utmost care and responsibility. References Art, R. J. (2003). A Grand Strategy for America. Ithaca, NY: Cornell University Press. Boutros-Ghali, B. (1992). An Agenda for Peace: Preventive Diplomacy, Peacemaking and Peace-keeping. A/47/277. Retrieved June 4, 2008, from http://www.un.org/docs/SG/agpeace.html Cooper, M. H. (February 23, 2003). Future of NATO. CQ Researcher, 13, 8, pp. 177-200. Crossette, B. (December 5, 1994). UN Falters in Post-Cold War Peacekeeping, but Sees Role as Essential. The New York Times. Retrieved June 4, 2008, from http://query.nytimes.com/gst/fullpage.html?res=9C07E3DC1739F936A35751C1A962958260 Fukuyama, F. (1993). The End of History and the Last Man. New York: Harper Perennial. Glazer, S. (August 27, 2004). Stopping Genocide. CQ Researcher, 14, 29, pp. 165-187. Human Rights Watch. (December 2006). Darfur Bleeds: Militia Attacks on Civilians in Chad. Retrieved June 4, 2008, from http://www.hrw.org/ Johnson, R. (January 1999). Post-Cold War Security: The Lost Opportunities. The Disarmament Forum, 1, 5-11. Kaldor, M. (1999). New and Old Wars: Organized Violence in a Global Era. Stanford, CA: Stanford University Press. Kuper, L. (1982). Genocide: Its Political Use in the Twentieth Century. New Haven, CT: Yale University Press. Power, S. (2002). A Problem from Hell: America and the Age of Genocide. New York: Harper Perennial. Roper, J., Nishihara, M., Otunnu, O. A., Schoettle, E. C. B. (1993). Keeping the Peace in the Post-Cold War Era: Strengthening Multilateral Peacekeeping – A Report to the Trilateral Commission. New York: The Trilateral Commission. Rosenau, J. N. (1990). Turbulence in World Politics: A theory of Change and Continuity. Princeton, NJ: Princeton University Press. Taylor, P. and Curtis, D. (2003). The United Nations. In Baylis, J. and Smith, S. The Globalization of World Politics: An Introduction to International Relations. Oxford: Oxford University Press, pp. 405-424. United Nations Documentation Centre. (2008). General Assembly Resolutions | Security Council Resolutions. Retrieved June 4, 2008, from http://www.un.org/documents/index.html United Nations General Assembly. (2004). Report of the Open-ended Working Group on the Question of Equitable Representation on and Increase in the Membership of the Security Council and Other matters related to the Security Council. A/58/47. New York: United Nations. United Nations Peacekeeping. (2008). List of Operations: 1948-2008. Retrieved June 4, 2008, from http://www.un.org/Depts/dpko/list/list.pdf United Nations Press Release. (November 2003). Secretary-General Names High-level Panel to Study Global Security Threats, and Recommend Necessary Changes. SG/A/857. Retrieved June 4, 2008, from http://www.un.org/News/dh/hlpanel/press-release-041103.pdf United Nations. (1945). Charter of the United Nations. Retrieved June 4, 2008, from http://www.un.org/aboutun/charter/