Wednesday, July 31, 2019

Compare and Contrast: Hunger Games

Dystopian literature is when the world is focused on making the perfect world. They often have a small percent of people making the perfect race or often known as the â€Å"favorites†, and the rest of the population, often a majority of people, are left to survive by themselves, on the bottom of the barrel.In The Hunger Games by Suzanne Collins and the movie Gattaca are both dystopian media. In tough times both the rich and poor come together to fight through what the government set out to say wouldn’t happen, in both medias. In both dystopian medias Hunger Games and Gattaca want a perfect world. They are both similar; both types of governments want to disclude the non-perfect race.People from Panam and Gattaca are nice, for example Cinna in Hunger Games and The Doctor in Gattaca; therefore, The Hunger Games and Gattaca are similar dystopian medias. In both the Hunger Games and Gattaca in tough times the rich and poor come together to help each other.In the Hunger Games Katniss made friends with Cinna from the capitol. This happened because she seen the shape that Katniss was in when she got to the training center. I think Cinna really did care and didn’t want to just boost Katniss’s confidence. I think Katniss seen how rough it was in district twelve and thought she could help Katniss.Cinna over passed the fact that she was from the capitol, to go out of her way to make sure Katniss was to the best of her health entering the games. I think Cinna helped to comfort Katniss by doing â€Å"GIRLY† things to her by doing her hair hanging out, to help Katniss take her mind off dying or back home.This was similar to Gattaca because when Vince had the lifelong goal to get to space. The Doctor help him pass him fake I.D. Then Jerome who got injured out of the country let him take his I.D. to help him get there even though his heart wasn’t capable of going to Gattaca. Therefore, I Think the Doctor and Jerome seen that Vince could go but had to get passed the government who wouldn’t let the non-perfect people through.This is why in tough times know matter where you come from, rich or poor, people come together to help one another. In The Hunger Games and Gattaca the governments are to make the perfect world. The governments are out to disclude people. The government in Gattaca doesn’t treat everyone equal. If you have any little disease or personality that differs you from the rest of the population. Like Jerome he has a heart defect he has to change his identity to accomplish, his lifelong goal, of going to space. The Doctor help Jerome get through the government to get  into space.The Doctor does this because; he himself has a child with a defect as well. In the Hunger Games the government chooses two tributes to compete in the Hunger Games. They pick two from every district and never any from the capitol.The people in the capitol are rich. And some districts are better off than other distr icts. Like for example district 12 is very poor and they starve to supply the capitol with coal. And the capitol that are rich, fed, heat, and are healthy do nothing. The people in the capitol are usually born perfect and get to live there. But the people in the districts get treated like dirt by the capitol. They fend for their life with no food and little heat and electricity.Therefore this is why both dystopian literatures are very similar. Another similarity is that in both dystopian stories people in the capitol or Gattaca come together with people in poorer areas. Like districts in Hunger Games and the defected births in Gattaca.They see that even though they are different they can still accomplish what the perfect people can. Like in Gattaca when Vince gets help from the guy that got injured but no one knows where he went so Jerome helped Vince to take his identity. He did this because he seen that Vince was just as intelligent as him. And he was already over the limit of whe n he was going to die. After he got his identity changed from a â€Å"defect† to a perfect person he got Jeromes DNA.Then he went through to Gattaca and a The Dcotor let him through. The doctor let Vince whom was now disguised as Jerome through. He did this because the Doctor also had a child with a heart defect. And the Doctor wanted to use this as an example that you can do anything in life even if you are different. In the Hunger Games it is the same too when Cinna from the capitol makes friends with Katniss and gives her a sense of comfort. Cinna does this to take katniss’s mind of the games and from being away from home.Cinna comforts Katniss by doing girly things like doing her hair and hanging out. This is another example in how the understanding nice people come together even though people are different. This is another example on how the people come together when they see even if they are different, they can do what anyone can.

Identifying Major Depressive Disorder

We, as human beings at some point would feel low, unstable and sometimes would not know how to exactly describe what we feel bout certain things. Most often it is unknown to us that we are maybe suffering from mood disorders, we become unaware of ourselves. Mood disorders are portrayed by having wide swing of emotions; it ranges from deep depression to extreme excitement, exhilaration or euphoria and agitation. There are actually two forms of mood disorder; the first one is depression and the other is bipolar respectively. Mania is characterized by intense and or unrealistic feelings of excitement and euphoria, and depression involves feelings of extraordinary sadness and dejection. In some cases wherein mania and depression comes together it is known to be bipolar, in which a person with this disorder would have to feel extreme excitement and deep sadness simultaneously. When depression exists for the longest time it is called dysthymia. It is known to be similar with major depression but it is a long term disorder, it is mild and not an acute (Dinsmoor., December, 2002). Symptoms of depression The symptoms of depression can be manifested easily in a person. These symptoms are actually various and it can be easily recognized. A person with a depression would have the symptoms of having difficulty in sleeping; they do not get their sleep easily because their minds are restless and due to this they would feel stressed or fatigued. It can also be the other way around; people with depression can also be recognized if they sleep excessively. They would also loose their appetite and would usually loose weight or they would do excessive eating and gain weight. It can also manifest in their activities; people with depression would loose their attraction in their activities that they do find pleasurable. Major depression disorder can also come with the loosing the appetite for sex or having sexual problems; it can also be accompanied by headaches. There is also the feeling of guilt, hopelessness, helplessness, worthlessness and one of the hardest manifestations is that they find concentrating on certain things too difficult (Association, 2000). Is Katherine suffering from major depressive disorder? Katherine has been experiencing the symptoms engaged in the mood disorder which is called major depressive disorder, in which she often wishes she were dead, she feels sad all day long and cries several times a day, she experiences disturbed sleep and, as a result, she feels fatigued all day long, she has absolutely no interest in sex or even spending time with friends, she finds it extremely difficult to concentrate at work and just does not want to be around people. If these feelings and wide variety of undeniable changes are not induced by alcohol or any drink that would make her feel down, if they are caused by a difficulty in her functions in her work or at home and if they were not caused by great sorrow I can make a systematic statement that Katherine is really suffering from major depressive disorder. And since Katherine has more than five of the symptoms attached with major depressive disorder I can say that she is really suffering from it. Katherine needs to be treated while she is still in the early stage of her depression or while she still can handle her situation. If she would not be immediately treated she might at some point make an attempt to kill herself or commit suicide. Treatments for major depressive disorder There are several treatments for a patient who has a major depressive disorder. There is psychotherapy or counseling for people who have depression disorder and there are various medications or drugs used in treating people who are afflicted with this disorder. Numbers of medicines are used in the cure of major depressive disorder, these actually falls into the category of anti-depressants and are further categorized into a more particular drug or medicine. Among the anti-depressants are Tricyclic anti-depressants or TCA’s which can actually relief depression by increasing the neurotransmitters’ concentration in the central nervous system. Another one is the Monoamine oxidase inhibitors or MAOI’s acts as an agent in helping break down a particular neurotransmitter which would help regulate the mood of a person to become stable or normal. The third kind of anti-depressant is the Lithium carbonate which helps in reducing the activities of the nerves in the brain; it alters the chemical balance within a particular nerve in the brain. And the last kind is the serotonin which helps in transmitting messages without interrupting the brain chemistry. Treatment for Katherine In the case of Katherine she can be treated by using both psychotherapy and medication. I would use the interpersonal and or behavioral therapy on her for me to know what triggered her depression. I need to have a background of her present relationships; her relationship with her family, her relationship with her current boyfriend, her relationship with her friends, her relationship with her officemates and her other relationships. And after having analyzed her relationship patterns I would focus on her current behaviors. I would be able to know what triggered her present behaviors also by her past behaviors or the things that had actually happened to her that might have contributed to her behavior now. Aside from these two psychotherapy some activities might help in diverting Katherine’s emotions by encouraging her to try to involve her self in activities that would be pleasurable to her, like talking to a friend to release some of her emotions or going out with someone who is sensible and nice so that she can enjoy and forget about her depression. In her medication I would just give her an anti-depressant that would suit her because it might cause further complications if I would give her inappropriate medicine. Psychotherapy and the use of medicine would result to a more improved and satisfying results rather than using therapy or counseling alone and or just by giving medications. It is really hard to know if someone is suffering from a major depression because one might not notice the symptoms right away. The most important thing is to give ones self a chance to know his or her self more. References Association, A. P. (2000). Diagnostic and Statistical Manual of Mental Disorders- Fourth Edition American Psychiatric Publishing, Inc. Dinsmoor., R. S. (Ed.) (December, 2002) Gale Encyclopedia of Medicine. Gale Group. [Electronic Version] Retrieved March 05, 2008 from http://www.healthatoz.com/healthatoz/Atoz/common/standard/transform.jsp?requestURI=/healthatoz/Atoz/ency/mood_disorders.jsp         

Tuesday, July 30, 2019

Company Law

BT20403/Company Law Business Entities: Company Law Topics covered: Types of Company Formation of a company; †¢ Promoters Pre-Incorporation Contract †¢ Memorandum and Articles of Association Inconsistency between the object and the company’s activities Upon incorporation: †¢ Company is an artificial legal person †¢ Separate legal entity Lifting the corporate veil scs&ismk/company law CONT. 2 The Effect of Incorporation †¢ Memorandum of Association & Articles of Directors’ duties and liabilities association †¢ Common law & statutory †¢ Termination †¢ Limited Liability Winding up Doctrine of Ultra Vires Pre-Incorporation Contract Directors’ duties and liabilities scs&ismk/company law 3 In Malaysia, the law relating to companies are governed by the Companies Act 1965 (CA 1965). scs&ismk/company law 4 The word company or corporation is defined under s. 4(1) CA: Besides the CA 1965, other relevant legislations are the Capital Markets Act 2007, the Securities Commission Act 1993 and the Companies Commission of Malaysia Act 2001. â€Å"company† means a company incorporated pursuant to this Act or pursuant to any corresponding previous enactment; Although company law in Malaysia is based mainly on CA 1965, there are key areas of company law hich are based on judicial precedents. â€Å"corporation† means any body corporate formed or incorporated or existing within Malaysia or outside Malaysia. A company or corporation is a legal association of people who combine to finance a business. scs&ismk/company law 5 scs&ismk/company law 6 1 BT20403/Company Law A company with share capital is a private co mpany if its M&A provides: s. 15(1) S. 14(2) S. 14(2) CA 1965 provides the classification of companies: †¢ restricts the right to transfer shares; †¢ Limits the number of members to not more than 50; †¢ Prohibits any invitation to public to subscribe any of Type of companies he company’s shares or debentures; †¢ Prohibits any invitation to public to deposit money Limited by shares Limited by guarantee with the company Unlimited liability A public company is a company other than a private company refer s. 4(1) for definition Limited by both shares and guarantee scs&ismk/company law †¦cont 7 Obtain approval for the proposed name; Lodge certain documents with SSM (Suruhanjaya Syarikat Malaysia/ Companies Commission Malaysia (CCM) ) including: – Defines the essential company’s structure †¢ †¢ †¢ †¢ Memorandum and Articles of Association; Statutory declaration by promoters and directors; Particulars of directors and registered office; Declaration of compliance; Statement of the allotment of shares of the Name of the company Company’s equity Company’s liability Object of the company scs&ismk/company law 9 10 Each company must have its object. Alteration of the general provisions of the Memorandum of Association to the extent and manner provided by the CA – s. 21. The objects are stated in the Memorandum of Association. The company may, by special resolution, alter the memorandum by altering or by deleting, the provision, unless the memorandum itself prohibits the alteration or deletion of that rovision – s. 21A. scs&ismk/company law components 8 3rd party who deals with the company may refer to the company’s M&A which is deposited with CCM. Pay the registration fees scs&ismk/company law scs&ismk/company law The purpose: †¢ To define and limit the activities of the company. †¢ If there is discrepancy between the object and i ts activities, thus such transaction is ultra vires and void. 11 scs&ismk/company law 12 2 BT20403/Company Law By virtue of s. 28(1) CA, the company may alter the provision of its memorandum with respect to the objects of the company. If company’s activities inconsistent with the object, Refer to Ashbury Railway Carriage & Iron Ltd v Riche (1875) Common law position – such ultra activities are ultra vires hence void and unenforceable. It cannot be ratified. Alteration can only be done by special resolution at the General Meeting. Statutory provision s. 20 Companies Act 1965 – such transactions are valid. scs&ismk/company law 13 scs&ismk/company law 14 Alteration of the general provisions of the Articles of Association by special resolution s. 31 CA A set of regulations for internal management of the company. Option: The company may: – adopts Table A, Fourth Schedule of the CA 1965 – (s. 30); excludes Table A, Fourth Schedule of the CA 1965;  œ creates its own AA, yet does not exclude the application of Table A, Fourth Schedule of the CA 1965, thus Table A will be applicable in the event of any lacunae. scs&ismk/company law 15 scs&ismk/company law It is a binding contract between the company and its members; – Hickman v Kent Sheep Breeders Assoc (1876) – Eley v Positive Government Security Life Assurance Co (1875) Before a company can be formed, there must be some persons who have an intention to form a company and who take the necessary steps to carry that intention into operation. (Setting up the company) It is also a contract between individual members in their capacity as members. – Wong Kim Fatt v Leong & Co Sdn Bhd (1976) – Rayfield v Hands (1958) 16 Per Cockburn, C. J in Twycross v Grant (1877), a promoter is described as â€Å"one who undertakes to form a company with reference to a given project and to set it going, and who takes the necessary steps to accomplish that purpose. † scs&ismk/company law 17 scs&ismk/company law 18 3 BT20403/Company Law Promoter owes fiduciary duties towards the company: Promoters owe fiduciary duties towards the company, not to the individual members of the company. †¢ To act in good faith To ensure that there is no conflict of interest If the promoter is in breach of his fiduciary duties, it is the company who may take legal action against the promoter. Refer to cases: – Erlanger v New Sombrero Phosphate Co (1878) – Gluckstein v Barnes (1900) scs&ismk/company law 19 scs&ismk/company law 20 Failure to disclose , company has options: A promoter has to disclose any transaction entered, either by, †¢ Company may rescind the contract (Erlanger v †¢ disclosing in M&A; †¢ by communicating to an independent Board of New Sombrero Phosphate), and Directors; †¢ By communicating to the existing and intended embers of the company. †¢ in certain circumstances, company may be able to claim the secret profit obtained by the promoter (Gluckstein v Barnes), †¢ Company may file suit for damages for the breach of fiduciary duties (Re Leeds & Hanley Theater), scs&ismk/company law 21 If the company elects to affirm the contract, company may have a cause of action against promoters for: 22 At times, promoters will have to enter a contract with a third party though the company has yet to be registered. We have to analyse above situation from both position i. e. Common Law and Statutory †¢ deceit, †¢ fraud †¢ negligent misrepresentation cs&ismk/company law scs&ismk/co mpany law 23 scs&ismk/company law 24 4 BT20403/Company Law Pre-incorporation contract is a contract entered by any person on behalf of a company prior to its incorporation: Once such contract is ratified by the company then it will be of retrospective effect, s. 35(1). †¢ Common law: Failure to ratify will render the person who enters the contract to be personally bound by the contract, unless there is an express agreement to the contrary, s. 35(2). Company is not bound by a pre-incorporation contract as the principles of agency cannot be invoked (Kelner v Baxter, Newborne v Sensolid, Phonogram, Rover Industrial etc). †¢ Statute: If company ratifies the pre-incorporation contract, the company will be bound by and entitled to the benefit of the contract as if it had been in existence at the date of the contract, s. 35 CA 1965 (Cosmic Insurance Corporation Ltd v Khoo Chiang Poh (1981) scs&ismk/company law Common Law the pre-incorporation contract is unenforceable on the grounds that: the company is not in existence yet, thus law of agency is inapplicable. the company cannot ratify such transaction as there is no principal-agent relationship involves. 25 Statutory 26 Company XYZ was set up on 1 March 2011; Ms Kyra (promoter), on behalf of Co. XYZ, entered a transaction with ABC on 15 Feb 2011; Co XYZ’s first meeting was on 10 March 2011, whereby Ms Kyra disclosed the pre-incorporation contract to Co. XYZ. s. 35(1) of CA 1965 allows the company to ratify such transaction, it will bind the company with retrospective effect Cosmic Insurance Corporation Ltd v Khoo Chiang Poh †¢ If XYZ has agreed to ratify the contract, thus XYZ is bound by the transaction with ABC with retrospective effect from the date of transaction (i. e. 15 Feb 2011). †¢ If XYZ refuses to affirm, promoter will be personally liable, s. 35(2). (1981) Newborne v Sensolid GB) Ltd (1945), Kelner v Baxter, Phonogram, Rover Industrial etc). scs&ismk/company law scs&ismk/company law 27 scs&ismk/company law 28 Upon incorporation, a company is considered as an artificial legal person, i. e a person created by statute. S. 16(5) CA 1965 provides that â€Å" on and from the date of incorporation specified in the c ertificate of incorporation but subject to the Act the subscribers to the memorandum together with such other persons as may from time to time become members of the company shall be a body corporate by the name contained in the memorandum capable forthwith of exercising all the functions of an ncorporated company and suing and being sued and having perpetual succession and a common seal with a power to hold land but with such liability on the part of the members to S. 16(5): As a ‘body corporate’, 1. a company’s obligations and liabilities are its own, and not those of its participants; 2. a company can sue and be sued in its own name; 3. a company has perpetual succession; 4. a company’s property is not the property of its participants; 5. a company can contract with its controlling participants contribute to the assets of the company in the event of its being wound up as is provided by this Act. † cs&ismk/company law 29 scs&ismk/company law 30 5 BT 20403/Company Law a. k. a corporate veil The company is a legal person separate from its participants. The law treats a company as being a separate person from its members and those who manage its operation. In the event of winding up, members are liable up to their unpaid shares only. They are not liable to contribute if they have had paid up their shares. This means that: Case Salomon v Salomon & Co Significance of the case †¢ its obligations and property are its own and not †¢ ‘Separate legal entity between members and those of its participants; and company’. its existence continues unchanged even if the identity of the participants changes scs&ismk/company law cash, debenture Pty Ltd company 20,001 shares Family 32 Facts: The company was put into liquidation; The assets were realised to pay off the secured creditors: †¢ Salomon was the debenture holder for Salomon & Co, hence was given priority The unsecured creditors were left empty handed Liquidator sued Salomon shoe business Salomon scs&ismk/company law 31 6 shares scs&ismk/company law 34 Lee v Lee’s Air Farming (1961) AC 12 Court of Appeal: †¢ Salomon was liable to indemnify the company against the losses. Abdul Aziz bin Atan & 87 others v Ladang Rengo Malay Estate Sdn. Bhd. [1985] 2 MLJ 165: House of Lords: †¢ Reversing the Court of Appeal’s decision. †¢ Salomon and the company were separate persons. scs&ismk/company law scs&ismk/company law 33 35 scs&ismk/company law 36 6 BT20403/Company Law In the Application for Re Yee Yut Ee (1978) 2 MLJ 142 – In a company limited by shares, a member’s liability to contribute to meet the debts of the company is limited to the amount (if any) remaining unpaid on their shares – s. 18(1)(d). The High court held that a director is not liable for the company’s debts. Allows investors to quarantine the risk of a particular venture from their other assets. In practice, creditors may negotiate personal guarantees from controllers. scs&ismk/company law 38 Once a person has sold or given his property to the company he no longer has any right over it. The property belongs to the company, and the member no longer has any right or interest. S. 19 mentions that a company has the ‘power to hold land’. This can be taken to mean that a company can own other types of property too. The property of a company is its own, and not that of its members. Macaura v Northern Assurance Co. Ltd. (1925)AC619 . Even if a member holds almost all the shares of a company, he does not have any proprietary interest in the company’s property. scs&ismk/company law scs&ismk/company law 37 39 scs&ismk/company law 40 The corporate veil will be lifted in these situations derived from †¢ Common law †¢ Statutory There are certain circumstances whereby the Court are asked to lift the corporate veil and ignore the separate legal entity of the company If the court lift up the corporate veil thus it will be able to discover the identity of the participants of the company and impose liability upon them. Thus, the separation between the company and its participants (members and officers) does not exist anymore. scs&ismk/company law 41 scs&ismk/company law 42 7 BT20403/Company Law Common Law In the event of evasion of contractual obligations – Gilford Motor Co v Horne -Jones v Lipman Sham purposes: Re FG Films Fraudulent: Re Darby The company is an agent or partner of the controller Taxation and nationality rules: Daimler Co Ltd v Continental Tyre & Rubber; scs&ismk/company law †¦common law(cont) Public interests (when it is just and equittable) – Aspatra Sdn Bhd & 21 Ors v Bank Bumiputera Malaysia Bhd & Anor †¦. statutory (cont) †¦common law (cont) holding – subsidiary: s. 5(1) Holding – Subsidiary †¢ S. 169 financial Companies: statement – Tiu Shiu Kian v Red †¢ Where the company is in Rose Restaurant Sdn the relationship of holding Bhd; and subsidiary, SLE is – Hotel Jaya Puri Bhd v inapplicable as the Act National Union of requires a consolidated Hotel, Bar and profit and loss account for Restaurant Workers holding and subsidiary company, s. 169 Statutory S. 36- member less than 2; S. 121(1) &(2) – misdescription (unless company is willing to ratify) providing share assistance to purchase own shares, . 67(5) Taxation purposes †¢ S. 140 Income Tax Act 1967 Payment of dividend from other sources, not from profit †¢ S. 365(2) DHN Food Distributors Ltd v Tower Hamlets London Borough Council †¦statutory (cont) issuance of prospectus which is pending approval †¢ s. 44(2) †¢ s. 48(4) incapable of payin g the company’s debt †¢ S. 303(3) – no reasonable or probable expectation fraudulent trading – s. 304(1) scs&ismk/company law scs&ismk/company law 43 44 Definition †¢ S. 4(1): A director is a person occupying the position of director by whatever name called. †¢ Includes a ‘shadow director': not an ‘official' irector, but someone whose directions board ‘accustomed to act’ in accordance with. A director must be a natural person and of full age: s122 (2). The general powers of management rest with the board of directors – Article 73 Table A. 45 scs&ismk/company law 46 Disqualification of Directors †¢ S. 11 CA – makes it a criminal offence for an undischarged bankrupt to act as a director or shadow director without judicial consent. †¢. Company Secretary †¢ Every company must have a company secretary. The secretary may be a director of the company, unless there is only one director, in which case t he ecretary must be the second individual. scs&ismk/company law 47 scs&ismk/company law 48 48 8 BT20403/Company Law Common Law Fiduciary duties †¢ Bona fide †¢ To act diligently †¢ To ensure that there is no conflict of interest Duty of care and skills †¢ Expectation of a reasonable man †¢ Delegation of authority Retirement Statutory To disclose any interest s. 131 To act in good faith – s. 132 Misuse of the company’s confidentiality- insider trading- s. 132A & s. 132B Unauthorised transactions that might jeopardise the company – s. 132C Interest in another company- s. 134 Secret profit- s. 135 scs&ismk/company law As agreed Resignation †¢ Tender notice as prescribed by the Articles of Association; Dismissal/Removal †¢ Without waiting for expiry of the term- could lead to another legal suit taken by the director against the company 49 scs&ismk/company law 50 Registrar’s power under s. 308: †¢ Defunct companies In ap proving the scheme of arrangement, the court may order immediately for dissolution of a company – s. 178. Voluntary winding up – s. 254 †¢ The members of the company may pass a resolution to wind up or through winding up by creditors Court’s Order – s. 217 †¢ The grounds as specified in s. 218(1) scs/company law 51 9

Monday, July 29, 2019

Regional and Economic International Organizations Essay

Regional and Economic International Organizations - Essay Example Many people lived lives of total despair. However, there were a number of brave men and women who decided to look at this crisis as an opportunity and to fashion something new out of the mess. The most important change to make involved the world economic system. And so the Bretton Woods regime was founded on July 1944, in Bretton Woods, New Hampshire, United States, by the delegations of the 44 Allied nations with the intent of creating a new financial and economic order, due to the shift of power occurred as a result of the Second World War. The Bretton Woods regime was a result of the events which affected the world economy and political system, starting from the great Depression to the rise of Nationalist dictatorships and finally the Second World War; its declared objective was to ensure prosperity to all nations, so conflict would never occur again, and can best be understood by this quotation: "The nations should consult and agree on international monetary changes which affect each other. They should outlaw practices which are agreed to be harmful to world prosperity, and they should assist each other to overcome short-term exchange difficulties." The lesson learned by the horrors of the war were that increased economic integration would stand a good chance of reducing the opportunities and incentives to go to war. If war cost the same amount to everyone there would be few advantages for any one country to start one. Economic integration and some standardization would be key to this. The policy of open markets first seriously pushed at this conference would have a major influence on the world economy to this day. This policy however did not come out of the blue. There were a number of significant individuals who came up with the theories and principles that underlay and who worked hard to guide the process forward. Without a doubt one of the most important of these figures was the economist John Maynard Keynes, one

Sunday, July 28, 2019

Hormonal Influences on Breast Tissue during the Normal Menstrual Cycle Assignment

Hormonal Influences on Breast Tissue during the Normal Menstrual Cycle - Assignment Example This paper illustrates that according to Suri, the hormonal imbalance in female patient affects MRI accuracy. Menstrual occurs during cycles of between twenty-three and thirty-five days. In the book, Suri, explains that after the first half of the menstrual cycle is the best time to perform a breast MRI in women who experience a normal menstrual cycle. It is very difficult to figure out the best time to perform an MRI on women with an irregular menstrual cycle. Studies have shown that it is essential for doctors to measure progesterone levels before performing a breast MRI in women with irregular menstrual cycles. This helps in improving accuracy hence reducing the possibility of repeat tests. An MRI uses magnetic and radio waves to create a three-dimension image of the breast. A gadolinium which is a contrast resolution is injected into the body during an MRI. It collects in areas which have cancer growth thus helping doctors to see cancer. When progesterone levels are high more blo od flows in the breast. When this is the case, the contrast solution collects through ought the entire breast. This makes distinguishing regular tissues and irregular tissues hard, hence a possibility of repetition. According to Michell, today measuring of progesterone level should be done before a breast MRI is done routinely especially for women who have irregular menstrual cycles. However menstrual cycle whether regular or irregular should be put into consideration before an MRI is done. Disappointingly, most radiologists do not assess progesterone level or even put the women’s menstrual cycle into consideration. This turns out to be very expensive due to the repeat test which cost a tone of money. If a woman is about to have a breast MRI scan, she should talk to her radiologist about timing the MRI with respect to their menstrual cycle. If possible, Michell suggests that women should avoid going for a breast MRI during the second half of their menstrual cycle. This is bec ause progesterone levels are high during this period hence affecting the accuracy of the MRI resulting to repeat tests which are very expensive.

Saturday, July 27, 2019

Physical Education Assignment Example | Topics and Well Written Essays - 2250 words

Physical Education - Assignment Example Time allocation is an issue that is generally complicated by localized control of curricula and practices of offering subject options or electives, which provide less opportunities and interest for additional engagement in physical education and/or school sport activity (Hardman, 2009). There are various survey findings which reveal variations in expected time allocated to physical education. Curriculum time allocated to other subjects deteriorates the situation where recent educational reforms have resulted in physical education teaching time reductions as observed in Taiwan (Hardman, 2009). †¢ Taiwan-Integrating PE with health education has led to the reduction in the teaching time of physical activities and the time allocated to PE is again affected by an increase in the teaching time of English and other subjects e.g. Mathematics, computer and dialects which are assigned more weight into the curriculum (Hardman, 2009). Physical education is also faced with the consequences o f the global financial and economic crisis. This is evidenced by the words of Gov. Arnold Schwarzenegger who proposed trimming state money for physical education classes leaving athletic programs at the two-year schools in doubt (Krupnick, 2009). Another contentious issue is the actual status of physical education and its teachers. Data indicate that equal subject legal status is claimed in 69% of countries. Africa, where only 15% of countries indicate equal legal status of subjects, represents a marked contrast with Europe’s 88%. This is an indication that across all regions except Europe, in practice physical education is considered to have lower status than other subjects (Hardman, 2009). Other... The research highlights physical education influences and reflects the values of society, and the kind of society we desire to have. It is vital, therefore, to accept and recognize a set of common values and purposes in the school curriculum that is broad and balanced. This leads to a holistic development which has various orientations including individual, cultural and social orientations. As the papaper stresses pervasive factors contributing to varied notions on physical education in schools are depicted in the development of curriculum, the time allocation and priority assigned to other subjects. Inadequate resources, deficiencies in numbers of qualified physical education and poor attitudes of significant individuals such as head teachers, also contribute to the diverse perceptions. Time allocation is an issue that is generally complicated by localized control of curricula and practices of offering subject options or electives, which provide less opportunities and interest for additional engagement in physical education and/or school sport activity. Physical education is faced with the consequences of the global financial and economic crisis. This is evidenced by the words of Gov. Arnold Schwarzenegger who proposed trimming state money for physical education classes leaving athletic programs at the two-year schools in doubt. The attitude of secondary school teacher s towards physical education depends on their experience in the field.

Friday, July 26, 2019

The selection process Essay Example | Topics and Well Written Essays - 1250 words

The selection process - Essay Example This is the list of requirements an employer should have at least in order to qualify for the job. This is an overview of the abilities and characteristics one must possess to adequately perform the job. Similarly, a job description list is also prepared to explain what the job is all about, including the specific duties and responsibilities for that particular position.[2] In this case, a marketing project manager supervises projects based on quality, time-schedule and budget. Please refer to Appendix A and B for a complete list of job descriptions and specifications. To hire employees, organizations have different methods of recruitment or attracting probable employees. This is time and cost-consuming and should be therefore done efficiently and effectively.[1] Job advertisements must be put somewhere where they are noticed and easily accessed. According to the 2009 Recruitment, retention and turnover survey report in United Kingdom, The top three most used methods of attracting ap plicants are through the organization’s own corporate website (78%), recruitment agencies (76%) and local newspaper advertisements. However, other means of reaching the target group include specialist journals/trade press, employee referral scheme, links with schools/colleges/universities, search consultant, commercial job boards, physical posters/billboards/vehicle, radio or TV advertisement, and social networking sites (such as Linkedln). [3] The proposed design of the job advertisement for the position of Marketing Project Manager (Figure 1 and 2) can be placed or uploaded to the company’s own website via the internet. Since the people of today rely most, if not all of their activities in the internet, it will be best to post it there. Also, if the position is not only open to the natives of the country, citizens of other nations can access it readily since internet caters to everyone else around the globe. Every organization is challenged to keep pace through the f ast changing technology and environment of today. These multifaceted features of the internet should be seen as an opportunity for better communication and utilized for the benefit of the organization. Another applicable way is to publish the job advertisement in local newspapers. It is indeed less costly to buy a newspaper than secure an internet connection most especially if an employee comes from low-income groups. There in the classified ads section of the newspaper list hundreds of job ads open for hiring. There’s a big chance that people scan or read through these pages. After the different recruitment methods are employed, decisions on the selection process is next to be made. When it comes to applicant selection, competency-based interviews are the most common selection method (69%). Ranked second and third are the more traditional methods of interviews – following the contents of a CV/application form and structured interviews (panel). Others include tests for specific skills, general ability tests, literacy and/or numeracy tests, telephone interviews, personality/aptitude questionnaires, assessment centres, group exercises (for example role-playing), pre-interview referencing, and online tests selection.[3] Normally, the selection process involves some or all of the above-mentioned activities. For the example given on the Marketing Project Manager position, it is recommended that aspiring employees undergo three stages. First is the filling of the

Thursday, July 25, 2019

Deontological Ethics Essay Example | Topics and Well Written Essays - 1750 words

Deontological Ethics - Essay Example The deontological moral systems define the reasons why certain actions are performed. Additionally, the systems do not approve following the correct moral rules as sufficient. It demands the people to follow the moral rules with the correct motivation. Furthermore, only the correct motivation could not justify the action in a deontological moral system. Nevertheless, a correct motivation cannot describe if an action is morally correct and cannot determine the correct duty to follow. There are key questions in deontological ethical systems. The key questions include â€Å"what is my moral duty?† â€Å"What are my moral obligations?† And â€Å"how do I weigh one moral duty against another?† Examples of deontological ethical theories include divine command, duty and rights theories, monistic deontology and contractarianism,. Divine command set their moral obligations from a god. For examples, the Muslims believe an action is morally correct whenever it goes hand in hand with the rules established by Allah. Duty theories define their action as morally correct if it abides by some list of duties and obligations. Duty based theories are the most successful and the strongest. Rights theories define an action to be morally correct if it respects the human rights. Contractarianism defines an action to be morally right if it abides by the rules that rational moral agents would observe when entering a social relationship. Monistic deontology defines an action is morally right it abides by some single deontological principle that guides the other subsidiary principles (Richard & Yvonne 150-300). There are many factors that make duty theories the most successful. The theory demands an action to abide by some list of duties and obligations if it wants to be morally right. Immanuel Kant was the philosopher behind Kantian duty based ethics. According to Kant, it would be possible to use

Breast Cancer Research Paper Example | Topics and Well Written Essays - 1000 words - 1

Breast Cancer - Research Paper Example The first reference to breast cancer appeared more than 3,500 years ago in ancient Greece (Aronowitz, 2007). The condition was described accurately as a bulging tumor of the breast of which no cure was known. Between 460 B.C. and 200 A.D., physicians from Hippocrates to Galen made efforts to understand the structure of a cancer tumor, noting especially the black fluid that is released when a tumor bursts. Since there were no methods to slow the progress of breast cancer, it became a disease that affected the entire body, making treatment options like surgery not a viable possibility. More breakthroughs were made during the 17th and 18th centuries, during which theories were debunked and others were formed to gain a better understanding of what causes breast cancer. French physicians Francois de la Boe Sylvius and Claude-Deshais Gendron were among the first to find connections between the transformation of lymphatic fluids and glandular tissue and the occurrence of breast cancer (Lacr oix, 2011). Friedrich Hoffman also hypothesized that lymphatic blockage caused breast cancer but as a result of too much or not enough sex. Though the causes of breast cancer were continuously debated, it was in 1757 when French physician Henri Le Dran determined that removing the tumor and infected lymph nodes could treat breast cancer, thus creating the modern mastectomy. The 19th and 20th centuries brought with them more treatment options for breast cancer. William Halstead, a New York surgeon, introduced other methods of breast removal, from the entire breast to just the cancerous sections. It was also discovered, by Scottish surgeon George Beatson, that the removal of ovaries decreased the size of tumors as the estrogen from ovaries help tumors to grow. Then, in 1955, physicians George Crile and Bernard Fisher confirmed what physicians from centuries past assumed: cancer was not localized but was capable of spreading if left untreated. This is where our current knowledge of bre ast cancer ends. Causes Breast cancer is among many other forms of cancer in which there are no definite causes of the condition. It is known that â€Å"breast cancer develops when some cells within the breasts grow abnormally (Pasqualini, 2008)†. Unlike healthier cells, these mutated cells divide more rapidly and then gather together until they create a mass or lump, which is the point of cancer. These cancerous cells then have the ability to spread through the breast and to other parts of the body. However, while the formation of the mutated cells is almost entirely understood, it is not yet clear what prompts these cells to grow the way that they do, thus causing breast cancer. Despite not knowing the precise causes of breast cancer, doctors and scientists have discovered factors that can increase one’s risk of developing this condition. One such risk factor is gender with women being more prone to developing breast cancer than men, though men are not immune to this condition. Genetics are another risk factor as some cases of breast cancer are believed to be hereditary, which would involve an individual with breast cancer passing on the mutated genes to their children. Similarly, individuals who have a family history of breast cancer are at risk for developing the condition. Lifestyle factors can also pose a risk, including

Wednesday, July 24, 2019

Comparative Cybercrime Laws Research Paper Example | Topics and Well Written Essays - 3750 words

Comparative Cybercrime Laws - Research Paper Example To start with, the "global village" or the increased globalization of world trade, involving the need to engage in commerce with nations with unfamiliar legal systems. For another thing, the codification of multilateral associations like the European Union, the African Union, or the Arab League has demanded harmonization of laws of their member states. Moreover, there are publications and Internet resources that assemble legal materials from several jurisdictions, without necessarily undertaking comparisons, but they can be seen as "tools of the trade" for comparative lawyers (Norman 2006). Over the last 100 years, comparative law has emancipated into several distinct branches such as comparative criminal law, comparative tax laws, comparative civil law, comparative administrative law, comparative trade laws, comparative commercial law, comparative cyber laws, Comparative Intellectual Property Law, comparative constitutional law, and comparative constitutional law. According to the prevalent view, Montesquieu is regarded as the 'father' of comparative law. His comparative approach is obvious in the following excerpt from Chapter III of Book I of his masterpiece, De l'esprit des lois: They should be in relation to the climate of each country, to the quality of its soil, to its situation and extent, to the principal occupation of the natives, whether husbandmen, huntsmen, or shepherds: they should have relation to the degree of liberty which the constitution will bear; to the religion of the inhabitants, to their inclinations, riches, numbers, commerce, manners, and customs." Also, in Chapter XI (entitled 'How to compare two different Systems of Laws') of Book XXIX, he advises that 'to determine which of those systems [i.e. the French and English systems for the punishment of false witnesses] is most agreeable to reason, we must take them each as a whole and compare them in their entirety.' Yet another excerpt where Montesquieu's comparative approach is evident is the following one from Chapter XIII of Book XXIX: 'As the civil laws depend on the political institutions, because they are made for the same society, whenever there is a design of adopting the civil law of another nation, it would be proper to examine beforehand whether they have both the same institutions and the same political law.' Applicability of the Comparative Concepts The applicability of comparative concepts is still an open question posed to the discipline of comparative law. Comparative concepts are concepts that are applied in micro-comparative research. They provide with criteria on the basis of which the rules of different legal systems may be compared.

Tuesday, July 23, 2019

English Essay Example | Topics and Well Written Essays - 500 words - 20

English - Essay Example It was made out of two sports,  soccer  (association football) and  rugby football, each of which remains a separate sport with its own specific set of rules. The international body governing it is FIFA Federation International de Football Association and it organized the world cup which is very popular in the world. FIFA governs all levels of soccer, including professional games internationally, Olympic competitions and youth leagues. FIFA world cup is the sport’s premier event, it held after every four years pitting national teams from 32 countries against one another. The most popular and major professional league in the world is the National Football League (NFL). However, over the years, several other leagues have been formed in North America and Europe. While soccer league known as MLS (Major League Soccer) have many teams which have fans worldwide and some of the most famous teams are A.C. Milan of Italy, Ajax Amsterdam of The Netherlands, Manchester United of England, Real Madrid of Spain, Boca Juniors of Argentina, Sà £o Paulo of Brazil, and Colo Colo of Chile etc. The common thing between the two games are that it is a game played between two teams, in which players try to score a goal by hitting in opponents goal, by using any part of the body except the hands. So, players have to use their skills of using feet and heads as they kick, dribble, or pass the ball toward the goal or to another player. While the table shows compare and contrast both the

Monday, July 22, 2019

Impact of Financial Crisis on International Trade Essay Example for Free

Impact of Financial Crisis on International Trade Essay The work described in this paper was substantially supported by a grant from the Research Grant Council of the Hong Kong Special Administrative Region, China (Project no. HKUST6212/00H). 253 254 Zihui Ma and Leonard K. Cheng Forbes (2001) went further to construct some statistics measuring the importance of trade linkages in transmitting crises. Because most economists agree that international trade is one of the important factors in explaining ? nancial crises, it seems natural and logical to ask the reverse question: what are the e? ects of ? nancial crises on international trade? Surprisingly, little research on this subject has been done. Perhaps the reason is that the answer appears to be obvious. Conventional wisdom would predict that a ? nancial crisis, by bringing about a recession in the macroeconomy, would lead to a drop in imports. Exports, however, may rise because of both a decline in domestic demand and a devaluation of the domestic currency. A weakening or collapse of the ? nancial system, in particular the banking system, however, might weaken the country’s export capability. So the aggregate e? ects of a ? nancial crisis on the macroeconomy are unclear. This paper tries to ascertain whether the ambiguity can be resolved empirically. We divide all the past ? nancial crises into two types: banking crises and currency crises. These two di? erent types of crises had di? erent attributes and di? erent e? ects on international trade. This paper begins by analyzing theoretically the e? ects of banking and currency crises on international trade. Then it uses bilateral trade data, macroeconomic data, and geographic data to test the theoretical predictions. Overall, the empirical results provide support for the theoretical predictions. This paper contributes to the literature in two ways. First, it provides a theoretical framework for understanding the impact of ? nancial crises on international trade and the channels of crises transmission through trade. Second, it estimates the e? ects of banking crises and currency crises on imports and exports. The estimated results can be used to predict the impact of ? nancial crises on trade, thus providing useful information for risk management to policymakers. The remainder of the paper is organized as follows. Section 8. 2 reviews previous works on the relationship between international trade and ? ancial crisis. Sections 8. 3 and 8. 4 analyze the e? ects of banking crises and of currency crises on trade, respectively. Section 8. 5 describes the data and methods used to estimate the e? ects of these crises. Section 8. 6 reports the results of empirical estimation and statistical testing. Section 8. 7 concludes. 8. 2 Literature Review: Trade and Financial Crises Economists pay attention to the role played by trade in ? nancial crises for two reasons. First, trade imbalance has been shown to be one of the important factors that trigger ? nancial crises. Current de? cits may decrease foreign reserves. As Krugman (1979) pointed out, a currency crisis is more likely to happen in an economy that does not have enough foreign reserves. The E? ects of Financial Crises on International Trade 255 Second, ? nancial crises may be transmitted through trade linkages from an a? ected country to others despite the latter’s relatively good fundamentals. In explaining such contagion e? ects, economists have tried to identify the channels through which contagion was spread. As trade is the most obvious economic linkage between countries, much research has been devoted to this connection. While the importance of trade imbalance in triggering crises is widely accepted, there is no agreement on the importance of trade in transmitting ? nancial crises. Eichengreen and Rose (1999) used a binary-probit model to test whether bilateral trade linkages transmitted crises between industrial countries between 1959 and 1993. They found that the probability of a ? nancial crisis occurring in a country increased signi? cantly if the country had high bilateral trade linkages with countries in crises. They concluded that trade was an important factor. Glick and Rose (1999) conducted a similar analysis with more countries between 1971 and 1997 and obtained a similar result. Forbes (2000) used a company’s stock market data to study the importance of trade in ? nancial crises transmission, and his result also showed that trade played an important role. However, other papers have provided di? erent answers to the problem. For instance, Baig and Goldfajn (1998) thought that trade linkage was unimportant in the East Asian Crisis because the direct bilateral trade volumes between these economies were very small. Masson (1998), analyzing the Mexican crisis and the Asian crisis, obtained similar results. All the papers that analyzed the relationship between trade and ? nancial crises ignored the reverse question: how did ? nancial crises a? ect international trade? We argue that the e? ects of ? nancial crises on trade are a precondition for discussing whether trade transmits crises. If ? nancial crises do not a? ect countries’ imports and exports at all, how can ? nancial crises be transmitted through the trade channel? So before we analyze the importance of trade in transmitting ? ancial crises, we need to clarify the e? ects of ? nancial crises on international trade. As pointed out previously, little work has been done on this topic to date. It seems there is a belief that ? nancial crises only a? ect countries’ imports and exports through changes in the exchange rates. Because the e? ects of exchange rates have already been thoroughly analyzed before, it may seem that there is no need to study the question. However, this view may not be correct. A devaluation of a national currency will increase the volume of exports and reduce the volume of imports. Classic international trade theory shows that a devaluation improves the trade balance if the Marshall-Lerner condition is satis? ed. Because in a ? nancial crisis a country usually experienced a devaluation of its national currency, the same analysis would apply, that is, the a? ected countries’ imports will decrease, but their exports will increase after the crises. Furthermore, ? nancial crises (including currency crises, banking crises, 256 Zihui Ma and Leonard K. Cheng or both) could also a? ect trade through channels besides the exchange rate. Calvo and Reinhart (1999) pointed out that ? nancial crises usually caused capital account reversal (sudden stop) and triggered an economic recession. Mendoza (2001) showed that in an economy with imperfect credit markets these sudden stops could be an equilibrium outcome. The economic recession reduces not only domestic demand but also total output and export capability, whereas capital out? ow forces the country to increase export. Thus, whether exports increase or decrease after ? nancial crises is unclear without further analysis. Before we analyze how ? nancial crises a? ct the crisis countries’ imports and exports, let us ? rst de? ne ? nancial crises. Eichengreen and Bordo (2002) have provided de? nitions of currency crises and banking crises: For an episode to qualify as a currency crisis, we must observe a forced change in parity, abandonment of a pegged exchange rate, or an international rescue. For an episode to qualify as a banking crisis, we must observe either ba nk runs, widespread bank failures and suspension of convertibility of deposits into currency such that the latter circulates at a premium relative to deposits (a banking panic), or signi? ant banking sector problems (including but not limited to bank failures) resulting in the erosion of most or all of banking system collateral that are resolved by a ? scally-underwritten bank restructuring. (15–16) The above de? nitions are adopted in this paper. In the next two sections, we analyze the e? ects of banking crises and currency crises on the macroeconomy and trade. 8. 3 Impact of Banking Crises A classical framework of bank runs was developed by Diamond and Dybvig (1983). Let us recapitulate the key elements of their model. Agents are endowed with goods that can be invested in a long-term project or stored without costs. The long-term project is pro? table but illiquid, that is, if investors do not liquidate the project before it matures, its return is greater than the initial investment; however, if the project is liquidated before it matures, the ? re-sale return is less than the initial investment. Each agent can be impatient or patient with ? xed probabilities, but there is no aggregate uncertainty, that is, the total number of impatient agents is ? xed and known by all agents. At the beginning, agents do not know their own types but must decide if they will invest in the project. After they have invested (or have decided not to invest), but before the project matures, each agent realizes his or her own type. Impatient agents must consume immediately, whereas patient agents do not consume anything until the project matures. Agents’ types are private information, so even if each agent knows his or her own type, other people do not know. The E? ects of Financial Crises on International Trade 257 On the one hand, if an agent does not invest in the project but turns out to be patient, then the agent has missed a pro? table investment opportunity.

Sunday, July 21, 2019

Durkheim: Types of suicide in society

Durkheim: Types of suicide in society Once he discovered that certain types of suicide could be accounted for by anomie, he could then use anomic suicide as an index for the otherwise unmeasurable degree of social integration. This was not circular reasoning, as could be argued, but a further application of his method of analysis. He reasoned as follows: There are no societies in which suicide does not occur, and many societies show roughly the same rates of suicide over long periods of time. This indicates that suicides may be considered a normal, that is, a regular, occurrence. However, sudden spurts in the suicide rates of certain groups or total societies are abnormal and point to some perturbations not previously present. Hence. abnormally high rates in specific groups or social categories, or in total societies, can be taken as an index of disintegrating forces at work in a social structure. Durkheim distinguished between types of suicide according to the relation of the actor to his society. When men become detached from society, when they are thrown upon their own devices and loosen the bonds that previously had tied them to their fellow, they are prone to egoistic, or individualistic, suicide. When the normative regulations surrounding individual conduct are relaxed and hence fail to curb and guide human propensities, men are susceptible to succumbing to anomic suicide. To put the matter differently, when the restraints of structural integration, as exemplified in the operation of organic solidarity, fail to operate, men become prone to egoistic suicide; when the collective conscience weakens, men fall victim to anomic suicide. In addition to egoistic and anomic types of suicide, Durkheim refers to altruistic and fatalistic suicide. The latter is touched upon only briefly in his work, but the former is of great importance for an understanding of Durkheims general approach. Altruistic suicide refers to cases in which suicide can be accounted for by overly strong regulation of individuals, as opposed to lack of regulation. Durkheim argues in effect that the relation of suicide rates to social regulation is curvilinearhigh rates being associated with both excessive individuation and excessive regulation. In the case of excessive regulation, the demands of society are so great that suicide varies directly rather than inversely with the degree of integration. For example, in the instance of the Hindu normative requirement that widows commit ritual suicide upon the funeral pyre of their husbands, or in the case of harikiri, the individual is so strongly attuned to the demands of his society that he is willing to take his own life when the norms so demand. Arguing from statistical data, Durkheim shows that in modern societies the high rates of suicide among the military cannot be explained by the deprivations of military life suffered by the lower ranks, since the suicide rate happens to be higher for officers than for enlisted men. Rather, the high rate for officers can be accounted for by a military code of honor that enjoins a passive habit of obedience leading officers to undervalue their own lives. In such cases, Durkheim is led to refer to too feeble degrees of individuation and to counterpose these to the excesses of individuation or de-regulation, which account, in his view, for the other major forms of suicide. Durkheims discussion of altruistic suicide allows privileged access to some of the intricacies of his approach. He has often been accused of having an overly anti-individualistic philosophy, one that is mainly concerned with the taming of individual impulse and the harnessing of the energies of individuals for the purposes of society. Although it cannot be denied that there are such tendencies in his work, Durkheims treatment of altruistic suicide indicates that he was trying to establish a balance between the claims of individuals and those of society, rather than to suppress individual strivings. Acutely aware of the dangers of the breakdown of social order, he also realized that total control of component social actors by society would be as detrimental as anomie and de-regulation. Throughout his life he attempted to establish a balance between societal and individual claims. From Coser, 1977:132-136. At the end of the 19th century a French sociologist, Emile Durkheim, recorded an apparent link between high suicide rates and a breakdown in social structure and organisation. He coined the term anomie for this state. This link has since been recorded many times in places outside France and appears to be real. However, its true significance has only recently begun to be understood with the development and exploration of the concept of social capital and its link, not just with suicide, but with health generally. (Stronger Communities One of 28) He wanted to demonstrate and establish sociologys scientific status by providing a sociological explanation of that seemingly most individual of acts-suicide. In order to do this he had to define suicide as a social fact that would require explanation in terms of other social facts (social structures and forces as conceptualized in his multi-layered model). The social fact to be explained was not the individual act of suicide, which might be better accounted for by a case study method where, in favourable instances, there might be enough evidence to make inferences about the victims mental state-motives and intentions. It was suicide rates, as disclosed by statistics, that constituted the social fact to be explained as an effect of an imbalance of social structural forces. Consequently, he proceeded to define suicide with the least possible reference to mental elements, excluding any reference to intentions but allowing for the need to distinguish between accidental death and suicide : the term suicide is applied to all cases of death resulting directly or indirectly from a positive or negative act of the victim himself, which he knows will produce this result. Comparative statistics for countries and categories of people within each country showed that suicide rates were relatively constant; therefore, it must be a social fact that a collective tendency towards suicide existed. These collective tendencies could be related to sets of causes to produce a classification of types of suicide. The sets of causes were theoretically postulated on the basis of Durkheims conception of possible imbalances between centrifugal forces (too much individualism) and centripetal forces (too much social pressure). Two pairs of imbalances of forces are defined; one pair refers to the degree of integration or interaction in a group (egoism and altruism), the other pair refers to the degree of moral regulation (anomie and fatalism). The two continua of integration and regulation, and the four types of suicide, can be illustrated in Fig. 3.2 and summary: The first type of suicide, at the low extreme of the integration continuum, was egoistic suicide. Here rates of interaction in egoistic groups were low, and so values, beliefs, traditions, and sentiments were not held in common by all members. The result was that they weakened each other whenever they came into conflict. The collective life was diminished and individual interests were asserted. The individual lost the beneficial effects of group membership, such as support and revitalization, and consequently found little meaning in group life. Thus suicide rates were higher for Protestants than Catholics, both in comparisons between predominantly Protestant countries and Catholic countries, and between Protestants and Catholics in the same society. It was not the case that one religions beliefs condemned suicide and the other did not, as suicide was severely condemned by both Protestantism and Catholicism. The difference was that Protestanism encouraged individual free inquiry and, unlike Catholicism, it did not offer priestly and sacramental supports. Where a Protestant church did offer more of those supports, as in the Church of England, which had kept some of the Catholic emphasis on priesthood and sacraments (and had more clergyman per head of population than Protestant countries) the suicide rate was mid-way between that of the Catholic and Protestant countries. A further example of egoistic suicide was the higher rate to be found among adults who were unmarried compared with married people of the same age. And the larger the family, the lower was the chance of suicide occurring. Finally egoistic suicide varied inversely with the degree of political integration, the rate fell in wars and political crises. Altruistic suicide was the result of too much integration. The individual absorbed and controlled by the group had an under-developed and so under-valued sense of individuality. Such a person could not resist the pressure to sacrifice the self for the groups interests, even if it me ant committing suicide. Durkheim pointed out the similarity of the modern army and primitive society in this respect; in both there was a lack of individuality and a strong pressure towards self-sacrifice. Examples of suicides in primitive societies included suicides of the old or very ill, suicides of women on their husbands death, and suicides of followers or servants on the death of their chiefs. The much higher rate of military suicides compared with civilians in modern suicide was explained by Durkheim in terms of military morality being a survival of primitive morality, predisposing the soldier to kill himself at the least disappointment, for the most futile reasons, for a refusal of leave, a reprim and, an unjust punishment, a delay in promotion, a question of honour, a flush of momentary jealousy, or even simply because other suicides have occurred before his eyes or to his knowledge [1] p. 239. The next type of suicide, at the low extreme of the regulation continuum, was anomic suicide. Anomie was the consequence of social change resulting in a diminution of social regulation. He discussed two forms of economic anomie-acute and chronic, and then chronic domestic anomie. They were all cases of an imbalance between means and needs-states of disequilibrium, where means were inadequate to fulfil needs. Durkheim did not believe that needs were given in mans biological, psychological, or individual nature. Indeed, that was one of his main criticisms of the economic, psychological, and utilitarian theories of his time, because they ignored the socially-derived and variable nature of human needs. Passions, desires, appetites, ends, and goals could all become needs, and if such wants were not restrained they would bring unhappiness. The individuals wants were boundless unless a limit was set on them by an external moral authority. Acute economic anomie occurred in booms and slumps. In both circumstances old rules relating means to ends were inapplicable, and individuals were freed from social restraint, creating disequilibrium, unhappiness, and leading to an increase in suicides. Chronic economic anomie was a product of a longer term diminution of social regulation of the relation between means and ends. For over a century there had been an erosion of the influence of agencies that had exercised moral restraint over economic relations, particularly religious and occupational groups, and instead of being regarded as a means, industry had become an end in itself. Not surprisingly, suicide rates were higher in manufacturing and commercial occupations than they were in agriculture, because the latter still had traditions and customs that exercised constraint. (Not that Durkheim wanted to revert to older forms of organization, although he believed new occupational associations should be formed that would have some of the same functions as the old guilds.) Constant economic striving after limitless goals could not bring happiness, as was shown by the fact that the higher socio-economic strata had higher rates of suicide than the poor. Acute domestic anomie was exemplified by widowhood, which represented a crisis for the surviving husband or wife, who would not be adapted to the new situation and so offered less resistance to suicide. Chronic domestic anomie was discussed by Durkheim in terms of the way in which marital regulation affects the means-needs balance in men and women. He defined marriage as: A regulation of sexual relations, including not merely the physical instincts which this intercourse involves but the feelings of every sort gradually engrafted by civilization on the foundation of physical desire [1] , p. 270. Civilization had produced a multiplicity of triggers of mans passions, and only marriage could channel those needs within attainable bounds; bachelors, however, experience limitless horizons, which lead to unrestrained passions that create a disjunction between means and ends, and a state of chronic anomie. Consequently, bachelors had a higher suicide rate than married men. Ease of divorce had a similar effect on married men, producing higher suicide rates. Women, who had long been more restricted within the domestic sphere, had not had their sexual aspirations raised to the same level, and so they required less regulation. Marriage served to over-regulate them, particularly if it was difficult to secure a divorce (they had a lower rate of suicide in societies where divorce was easier than in those where it was difficult). As distinct from family life with children, marriage itself offered no protection against suicidal pressures so far as women were concerned. The interests of the two sexes were in conflict: Speaking generally, we now have the cause of that antagonism of the sexes which prevents marriage favouring them equally: their interests are contrary; one needs restraint and the other libertyà ¢Ã¢â€š ¬Ã‚ ¦. Women can suffer more from marriage if it is unfavourable to her than she can benefit by it if it conforms to her interest. This is because she has less need of it [1] , p. 274-275. Fatalistic suicide was at the high extreme of the regulation continuum. He only discussed this condition of excessive regulation once, and that was restricted to an eight-sentence footnote. Examples were the situation of childless married women (presumably where divorce was difficult), young husbands, and slaves. He described it as the suicide of persons with futures pitilessly blockedà ¢Ã¢â€š ¬Ã‚ ¦or all suicides attributable to excessive physical or moral despotism. For some reason, not specified, he decided that it has so little contemporary importance, and examples are so hard to find aside from the cases just mentioned, that it seems useless to dwell upon it [1] , p. 276, footnote 25. Although Durkheim used the categories of egoism, altruism, and anomie (not so much fatalism) to distinguish suicidogenic currents, and collective tendencies, he admitted that in practice it was very difficult to separate the currents of egoism and anomie as they flowed from a single source-the loss of mechanical solidarity and the failure to develop a genuine organic solidarity. A moderate amount of egoism and anomie was necessary for progress. A certain amount of individualism was necessary for the growth of the division of labour; it was excessive egoistic tendencies that produced a pathological level of egoistic suicides. Similarly, with anomie, among peoples where progress is and should be rapid, rules restraining individuals must be sufficiently pliable and malleable; if they preserved all the rigidity they possess in primitive societies, evolution thus impeded could not take place promptly enough [1] , p.364. The language of forces and currents in states of disequilibrium was symptomatic of Durkheims effort to demonstrate that a sociological explanation of suicide could reveal hidden causes-in this case social forces that were as real as physical forces. Although his references to suicidogenic currents sound like an over-drawn analogy with electrical currents, in fact they refer to phenomena specified in his multi-layered model.

Mistreatment Of Mentally Ill Patients Social Work Essay

Mistreatment Of Mentally Ill Patients Social Work Essay People suffering from mental illness are often looked differently and do not have equal access to all the opportunities in life. Though, patients family and the health care providers can play a fundamental role in the lives of these mentally ill people. Through offering a proficient care with warmth attitude they can certainly bring an optimistic change in them. But, imagine what if these caregivers are the reason of mistreatment with mental patients? This is an ethical issue which I recently came across during my clinicals and therefore decided to explore it in depth. Thus, the following paper is an attempt to analyze this issue by integrating an ethical model, highlight its significance and to discuss the causes, effects on mental health and practical strategies to overcome this immoral issue of mistreatment with mental patients. On my clinical to psychiatric ward civil hospital I encountered a 60 years old female, married and diagnosed with obsessive-compulsive disorder (OCD). The chief complaints of patient were severe headache and aggressive behavior. Since 20 years patient had history of recurrent depressive illness characterized by weeping spells and low energy. On asking about the support system patient became gloomy and said I am alone and nobody likes to be with me and care for me. Further she said that due to her habit of cleaning things again and again her family becomes angry and speaks harshly to her. On spending some time with patient I came to know that how much she loved them but nobody came to meet her since she had got admitted. After taking history of patient that day I also observed that when my patient called the nurse to inquire about the medication timings, nurse replied rudely that how many times you will ask the same thing again and again. You are mentally ill but please let us remain in good health and then that staff nurse after making vicious gesture got out of that ward. This incident made patient further depressed. It is an issue which is ethically wrong, as caregivers who should help the patient when they are in true need are abusing them. As the professional code of ethics explains the significance of this ethical issue, which is the base of social morality that first of all, do no harm. It also emphasizes that the purpose of nonmaleficence includes not only definite harm but also the risk of harm (Clinical Ethics, 2004). Therefore, an ethical person must be constantly careful about the possible negative consequences of his words and actions with the mental patients. Furthermore, according to the world health organization, In Pakistan we come across upsetting stories about the mistreatment of mentally ill people due to societal hostilities daily (Gadit, 2008). Though, it is difficult to understand why such people are maltreated in Pakistan, an Islamic coun try where religious teachings are followed. Therefore, to discover the reasons behind this immoral deed, to identify actions to lessen this in society and also to make the caregivers inculcate this thought to support these people in their difficult times, I consider this issue as significant and therefore decided to highlight it in my paper. As defined by SAVE project of social services that mistreatment is a breach of persons human and civil rights causing despair. And, this violation can appear once or constantly (SAVE Project, 1995). Mistreatment of elderly person may include physical, psychological or financial exploitation and it can be intended or unintended. Intentional mistreatment involves a purposeful effort to inflict harm such as physical abuse or mauling. On the other hand, unintentional abuse takes place when an unplanned action results in damage, such as ignorance or a lack of desire of the care providers to offer proper care (Jones, Holestege, Holstege, 1997). As verbalized by my client that at home she was beaten harshly and was always ignored by the caregivers. Moreover, nurse also verbally mistreated the patient and showed lack of desire to care. However, the empirically generated model, which is an ethical model, provided by Fulmer Malley (1987) gives in depth details of causes and risk factors lead ing to mistreatment in mental patients. They divided the causal factors of mistreatment into four major categories including physical and mental impairment of the patients, increased strain on caregivers, family history of domestic violence and the societal attitudes. This model elucidates that domestic violence such as abuse and neglect are the behaviors which are learned at home and are passed from one generation to the next. Thus, elder abuse may be a continual phenomenon learned in childhood. Secondly, the stress on caregivers can also lead to mistreatment. Facing behaviors by the elderly mental persons like drug abuse, recurrent falls, incontinence or aggressive behaviors, the caregivers become exhausted and can lash out their resentment on these innocent beings. As happened with my client that due to her habit of cleaning things repeatedly, caregivers always offended and taunted her. Other external stressors such as loss of job, personal illness or low income can also place ov erwhelming demands on care providers which results in violent behaviors. Furthermore, this model suggests that the ill health of elderly persons in itself is a reason for abuse. Functional impairments lead to dependency on a caregiver for the activities of daily living. As these needs raises, the stress level of caregivers further increases. As faced by my patient, who was always reliant upon her family and husband for daily routine work. This created frustration for the family and at last they left her at psychiatric hospital. Lastly, there are several societal attitudes that contribute to mental persons maltreatment. Among these attitudes, Stigma is the most common in psychiatric settings. There are many reports affirming that such patients are teased in communities by unkind names (Gadit, 2008). Moreover, according to the World Health Report (2001), stigma and prejudice are the main hindrance faced by the mentally ill today, these abstain them from seeking appropriate care (Ramee la, 2004). Besides this, patients are also mistreated in the ward settings by the staffs, as occurred with my client. This is because, persons in institutional care are dependant, extremely fragile or chronically ill. In addition, problems such as low salaries, staff shortages and poor working environment increase the chances of mistreatment. (Lucas Stevenson, 2006). As the fundamental duty of all care providers is to perform efforts to improve the quality of life of patients. However, if these caregivers would show such an abusive behavior to the mental patients this will affect their psychological as well as physiological health. As shown in my client who along with psychological symptoms also suffered from insomnia and decreased appetite due to worries of being alone. Besides, as mentioned in literature that, negative behaviors and biases towards those having mental illness is the greatest hurdle to recovery (Chambers et al., 2010). Like, it was observed in my patient who lost all the hopes of being in normal condition as before. This was shown in her verbal comments that everyone thinks that I am mad and therefore behaves with me in harsh manner and I am sure I will never be fine again. This shows that how important role the caregivers and their attitude play in the development of mental patients. As very rightly said that Support has been kn own to help influence and motivate a behavior change in a positive way (Clark et al., 2005, p.20). Thus, if there would be lack of support system for these people it would lower their self esteem, intrinsic motivation and leads to decrease self concept (Lowder, 2007). If these mentally un well people are discriminated, this would hinder their ability to assimilate into society and this can lead to social isolation. Also, according to labeling theory, that once public label these people as mentally ill, their presence becomes undesirable in community hence leading them to social seclusion (Lowder, 2007). As happened with my client that when she asked her husband once to meet their relatives, he had beaten her scarcely with wooden stick just because he felt ashamed to take her in family gatherings. This affected her personality immensely and from that onwards she herself remained lonely and isolated. By reflecting upon this we can imagine that how a single dishonest action or altitude of caregivers can massively effect patients life. In addition, the interpersonal model of violence in mental health by Chappell and De Martino (2003) also agrees to the point that if patients needs and wishes are blocked till great extent, it would intensely affect patients mental health hence leading to disturbing effects such as ineffective adherence to treatment schedule and destruction of self (See appendices). Like, my patient tried several times to commit suicide in order to decrease her loneliness and suppress her aggression towards others. This show that it is very significant for caregivers to strengthen the mental health of these people rather than making them more vulnerable to harmful health consequences as conferred above. After thorough literature search I found out some practical interventions to promote the ways of reducing mistreatment with mental patients. It would be on individual, family, community and government level. At individual level, patients should be granted liberty to take decisions regarding their life and should not be tortured or harmed. This is supported by Human Rights Act (1998) that states no one shall be subjected to torture or to inhuman or degrading treatment or punishment (Clinical ethics, 2004, p.24). In addition, the stair case model illuminates intervention strategies concerning abuse prevention in 3 steps which are reluctance, recognition and rebuilding. This includes interventions such as breaking through denial, decreasing social loneliness, sorrow and self blame, providing teaching and advocacy (Loughlin Duggan, 1998). Health care professionals can integrate these interventions in their care framework. I also attempted to apply this model in my patients care. I tried to make my client verbalize her feelings by providing her concrete objects like blank paper and colors. This helped her in verbalizing her internal feelings which were not shared with others since long time. Moreover, throughout my clinical weeks I remained engaged in care through non judgmental speech and body language. As supported by literature that your speech and nature should convey respect and a non-judgmental attitude (Loughlin Duggan,1998). To lessen social isolation, I involved my client in group occupational therapy and also focused on her hobbies that were, drawing and coloring the religious names. In this way I was able to socialize her to some extent. As supported by literature that, Support groups provide a channel for people with OCD to get emotional support while learning how to manage their condition. Also, this helps victims to lessen the barriers that the memories of abuse place in the way of normal life (Davis, 2008; Child abuse, CPS facts). In addition, abuse creates sense of hopelessness and low self esteem in patients as discussed earlier therefore caregivers should be taught to encourage and praise clients on their little efforts to boost their self concept. On family level, a good communication and involvement in patient care can be a best defense against mistreatment. Moreover, providing psycho education can also enable family members to remain involved in the care. As, the stress level of caregivers can also be reduced by providing tips of care giving to them and involving in family therapy (Davis, 2008). At community level, social and health workers including community leaders should have responsibility for identifying cases of mistreatment and then organizing interventions to lessen the risk of any future abuse (Loughlin Duggan, 1998). Moreover, I recommend that the psychological counseling services as well as social gathering area for mental patients should be established in the community, where these people can socialize themselves. On government level, various laws and punishments for the abusers and extensive awareness campaigns on care and destigmatization of mental illness should be arranged (Raj, 2009). Besides, government s hould also set up monitoring system to ensure that human rights are being followed in all psychiatric facilities (Gadit, 2008). Lastly, I recommend that with the help of mass media cases of abuse with mental patients should be reported so that the strategies should be planned on local and national level to minimize the risk of any future abuse. It was a good learning experience for me to write a scholarly paper. I have learnt the importance of promoting mental health without abusive and negative attitude. Moreover, faculty facilitation and literature review helped me to learn and integrate all concepts related to the issue which will help me in my future clinical settings. In conclusion, the above provided evidences are overwhelming that the mistreatment with mental patients is the disobedience of human rights as strongly proved by human rights declaration that All human beings are born free and equal in dignity and rights. (UDHR, 2006, p.2). In addition, the paper also discussed the causes and consequences of this immoral issue of mistreatment with mental patients. Now, its the duty of caregivers to adhere to the strategies provided above, in order to offer a competent care with encouraging attitude and bring a positive change in the lives of these people.

Saturday, July 20, 2019

Empathic, Virtual, Real-Time Methodologies :: essays research papers

Empathic, Virtual, Real-Time Methodologies Symbiotic technology and thin clients have garnered improbable interest from both analysts and cyberinformaticians in the last several years. After years of typical research into superblocks, we disprove the synthesis of the UNIVAC computer, which embodies the intuitive principles of cryptography [18,16]. In order to overcome this grand challenge, we use empathic methodologies to disprove that e-business and linked lists can interfere to realize this goal. Table of Contents 1) Introduction 2) Related Work 3) Model 4) Implementation 5) Results 5.1) Hardware and Software Configuration 5.2) Experimental Results 6) Conclusion 1 Introduction The understanding of sensor networks is a confusing quandary. The notion that futurists agree with virtual technology is often well-received. Continuing with this rationale, given the current status of knowledge-based archetypes, analysts obviously desire the refinement of multi-processors, which embodies the compelling principles of steganography. Therefore, the UNIVAC computer and extreme programming are regularly at odds with the visualization of 802.11 mesh networks. Unfortunately, this solution is fraught with difficulty, largely due to interposable algorithms. Although conventional wisdom states that this question is regularly fixed by the study of lambda calculus, we believe that a different method is necessary. We view theory as following a cycle of four phases: storage, creation, prevention, and synthesis. Even though existing solutions to this obstacle are satisfactory, none have taken the robust approach we propose in this position paper. To our knowledge, our work in this work marks the first framework evaluated specifically for electronic information. We emphasize that JUBA enables 64 bit architectures. We view computationally disjoint machine learning as following a cycle of four phases: provision, construction, allowance, and study. Existing mobile and atomic algorithms use event-driven information to deploy object-oriented languages [16]. Therefore, we see no reason not to use client-server archetypes to measure RPCs. In our research we verify that virtual machines and public-private key pairs are entirely incompatible. Similarly, the flaw of this type of approach, however, is that scatter/gather I/O and massive multiplayer online role-playing games are generally incompatible. For example, many applications refine concurrent technology. As a result, JUBA creates interactive technology. The roadmap of the paper is as follows. First, we motivate the need for object-oriented languages. Next, we confirm the study of XML. to solve this issue, we introduce a replicated tool for constructing link-level acknowledgements (JUBA), arguing that Markov models and scatter/gather I/O can cooperate to accomplish this mission. Ultimately, we conclude. 2 Related Work Our solution is related to research into the exploration of DNS, symbiotic methodologies, and the improvement of web browsers.

Friday, July 19, 2019

The Nazi Party Essay -- History HIstorical Germany Nazis Essays

The Nazi Party During the 1930s, the Nazi Regime attempted to construct what it believed to be a utopian society. The Nazis’ rise to power can be viewed as a modern revolution, in which their objective to create an ideal Nazi Volksgemeinschaft (community of people) was achieved by highly regulating all areas of German life. From the arts and literature to sexual activity and race relations, the Nazi Party implemented legislation that restricted what the German public could see, hear, read, do and even think! The Nazis were able to maintain control over the masses through propaganda, codified and unwritten values, and destructive actions (Night of Broken Glass) that actually determined the conditions under which individuals had to live. The Nazi Party ensured its own strength and continuance not only through legal measures (such as eliminating other parties) but also by shaping a society that excluded certain groups from having political influence, particularly women and Jews. Adolf H itler, chancellor of the Third Reich, gives two speeches that exemplify the Nazis’ efforts to separate and even remove women and Jews from public life and discourage them from participating politically. In the first speech, given on 8 September 1934, Hitler addresses the National Socialist Women’s section and expresses the Nazi opinion that a woman’s most fundamental role is a domestic one and her proper place is in her home. On 30 January 1937, Hitler gives a speech in Berlin concerning the importance of racial purity and ultimately the omission of Jews from German life. Although these two speeches are in many ways explicitly different, they share a number of intriguing similarities. I will argue that these similarities are not merely coinc... ...gitimacy of separation based on racial disparities. Hence, gender goes from a term signaling the two sexes, male and female, to a complex standard indicating that a line must be drawn between groups of individuals if one of these groups is perceived as different and potentially disruptive. After years of oppression and racial cleansing, Nazism was eventually destroyed by forces perhaps not determined by nature but certainly governed by humanity. Works Cited â€Å"Hitler’s Speech to the National Socialist Women’s Section† in Laws and Orders: Humanities and the Regulation of Society. Boston, Massachusetts: Pearson Custom Publishing, 2002. p. 276-277. â€Å"Racial Purity: Hitler Reverts to the Dominant Theme of the National Socialist Program† in Laws and Orders: Humanities and the Regulation of Society. Boston, Massachusetts: Pearson Custom Publishing, 2002. p. 274-275.

Thursday, July 18, 2019

Pupil School :: Papers

Pupil School The whole building seemed to moan in pain as the merciless wind battered it's crumbling walls. The Hayes boarding school had just called lights out. Mr Branston, the head teacher, doddered down the corridor at a snails pace rattling his cane across every radiator he walked past in an attempt to intimidate the students. He was making sure the dormitories were locked down and secure, but he was too drunk to check any locks properly. So he stumbled blindly back to his office to finish off the whiskey. As the rattling faded and finally ceased small lights could be seen through the dusty cobwebbed windows of the dormitories and the murmuring of whispered speech could be heard through the thin walls. Word had gone round school through word of mouth and notes passed in class that Norris had organised a meeting in the gym that very night. So as the school fell silent the children crept to the gym where Norris, or Gregory Norris as he was known to the teachers, stood waiting on the stage. He was hugely respected by the students and despised by the teachers. He held the record for the most detentions in a row after getting one hundred and thirty five for setting Mr Branstons wig alight during a chemistry class in year eight. He had dark messy hair and light brown eyes, which seemed to stare right through you as he spoke. He stood tall on the stage watching over the students as they entered the hall. First to arrive were the year seven and eight pupils looking warily around to make sure that the meeting wasn't an ambush by the older students, then quickly scuttling into a corner near the stage. Next came the year ten and eleven pupils who were used to sneaking round at night and had stopped off at the kitchens for a midnight snack. Finally came the year nines who shuffled grumpily in and sat on the tables at the back complaining about how they need to sleep. Pupil School :: Papers Pupil School The whole building seemed to moan in pain as the merciless wind battered it's crumbling walls. The Hayes boarding school had just called lights out. Mr Branston, the head teacher, doddered down the corridor at a snails pace rattling his cane across every radiator he walked past in an attempt to intimidate the students. He was making sure the dormitories were locked down and secure, but he was too drunk to check any locks properly. So he stumbled blindly back to his office to finish off the whiskey. As the rattling faded and finally ceased small lights could be seen through the dusty cobwebbed windows of the dormitories and the murmuring of whispered speech could be heard through the thin walls. Word had gone round school through word of mouth and notes passed in class that Norris had organised a meeting in the gym that very night. So as the school fell silent the children crept to the gym where Norris, or Gregory Norris as he was known to the teachers, stood waiting on the stage. He was hugely respected by the students and despised by the teachers. He held the record for the most detentions in a row after getting one hundred and thirty five for setting Mr Branstons wig alight during a chemistry class in year eight. He had dark messy hair and light brown eyes, which seemed to stare right through you as he spoke. He stood tall on the stage watching over the students as they entered the hall. First to arrive were the year seven and eight pupils looking warily around to make sure that the meeting wasn't an ambush by the older students, then quickly scuttling into a corner near the stage. Next came the year ten and eleven pupils who were used to sneaking round at night and had stopped off at the kitchens for a midnight snack. Finally came the year nines who shuffled grumpily in and sat on the tables at the back complaining about how they need to sleep.

French and Indian War Essay

The French and Indian war has altered the relationship between Britain and its American colonies in many ways. The three main ways their relationship had been altered were politically, ideologically and economically. After the French and Indian War the British passed a series of laws and taxes that the colonist didn’t agree with. As a result of these laws and taxes being passed the colonist began to rebel against British rule. This rebellion would eventually lead to the Revolutionary War which would allow Americans to gain independence. Ideology is the combination of ideas that affects goals, actions or expectations. After the French and Indian war American ideology greatly changed. Before and during the war Britain had a lot of support from the American colonies. This is shown through document B as George Washington a typical colonist at the time was willing to support Britain in the war. As the war continued the ideals that the colonist lived by began to change. The colonist started to feel that Britain wasn’t doing enough to help them out. This is seen in document D, where colonist began to feel that they were â€Å"debarred [denied] English liberties† even though they were English citizens. This causes the British to begin to lose the support of the American colonist. Economics is the effects of money on a country. At this point in time the colonies were still under control of British rule and their money went mostly to the British government. During the war Britain went into debt and expected the colonist to repay the debt. Britain would make the colonist pay through taxes like the stamp act. The colonist strongly voiced their opinion on the stamp act even though they remained loyal to the British government, as seen in documents G and H. Although the colonists were against the taxes forced on them the British government continued to find different ways to raise taxes against them, as shown in document F. The French and Indian war was greatly influenced by political involvement. All of the groups involved felt they had rights to North American land. The first of these groups that felt that they should control the land were the Native Americans this is shown through document B as a native chief argued  the natives rights to the land. After the war the British had overwhelming control over North America as shown in document A. Even though the war was over there were still conflicts west of the Appalachian Mountains that led to the proclamation of 1763 which banned the colonist to settle on the land west of the Appalachian Mountains. The colonist did not support this they felt they deserved it after they helped defeat the French and Indians in the French and Indian war. This is shown in document E. During and after the French and Indian war ideological, political and economic views between the colonist and the British would greatly change. This change would eventually cause the colonist to rebel against British laws and taxes. The British would try to take control of the colonist and to make sure the colonist listened Britain passed the intolerable acts. This brought more anger among the colonist and would eventually lead to the revolutionary war only 12 years after the French and Indian war ended.