Saturday, August 31, 2019

Iraq War Essay

The Iraq war is also known as the Occupation of Iraq and it started on 20th March 2003, the war was spearheaded by the United States of America which was also backed by the U. K. There were other countries that had small forces in the invasion but they did not have many troops as compared to the US and the Britain, these countries included Australia, Poland, Denmark and Spain. This invasion marked the beginning of the current Iraq war. The major reason for the invasion was to end the Saddam regime which was believed to be supporting terrorist activities, it was also aimed at disarming Iraq which was said to be in possession of weapons of mass destruction and the last reason for the invasion was to free the people of Iraq from the dictatorship of Saddam (Allen, Mike and Juliet, 2002). The trigger of the war is said to have been the failure of Iraq to disarm itself of the biological, chemical and nuclear weapons that the US and its allies said were a threat to the world peace. Some of the traditional allies of the United States opposed the war and argued that there was no evidence of weapons of mass destruction in Iraq; some of these countries were Germany, France and Canada. The invasion started with an air strike at the Presidential palace which was later followed by attacks on the southern side of Iraq. The coalition forces operated from a point near the Kuwait-Iraq border. The Iraq war is said to have caused very many protests all over the world with the largest protest in Rome where more than three million people protested against the war. The United States-Turkish relationship was greatly affected by what preceded the aftermath of the war on Iraq. For the last Fifty years there has been a very good Turkish-American partnership which can be seen in the efforts that the two countries have made in Korea, Kosovo and Bosnia. In the year 1999 when President Clinton visited Turkey after an earthquake he described their relationship as a very strategic partnership and there was a lot of support fir the partnership between the two nations. The strong partnership began to deteriorate in March 2003 when the US was almost attacking Iraq. The effect of this was felt when the Turkish parliament rejected the request by the US to allow the US troops to go through Turkey just before the war started. Most people in Turkey were against the war with 95% of the whole population being against the war and this forced the government to reject the US request although it was seen as a loss to the Turkish government as it lost a lot of grants and loans that would have come with the agreement. Although the Turkey government wants to renew the relationship with the United States there is a feeling that the instability that was caused by the war on the Turkish border with the Northern Iraq has caused a lot of damage to the Turkish tourism industry. The Iraq war caused the relationship that existed between the US and the Turkish government to be highly affected. The US sees Turkey as a very important country because it is a country with a makority of Muslims but it has exercised a successful democracy, Turkey is also a link between the Central Asia and the Europe in matters relating to energy and Turkey has also played a major part as a broker in the Middle East. The effort of the US government to encourage the Turkish government to form good relations with the Iraqis was greatly affected after the war due to the instability that exists in the Northern Iraq region. The Iraq war also led to an alarming increase in the anti-American slogans among the Turks because of the instability in Turkey that was as a result of the Iraq war. The Iraq war resulted in a lot of strain between the Turkish government and the US but this can be put on hold by the US allowing Turkey to perform a Major role in the reconstruction of Iraq. The other area that was greatly affected by the war is the education sector in Turkey, students from Turkey no longer wants to socialize with the Americans and the Europeans after the war (Council on foreign relations, 2003). The other major effect of the war in Iraq is that it created fear in the Arab countries and most of these countries no longer trust the US or the UK. Most of the Arab countries felt that Iraq was only the first country in what they referred to as the domino effect of democracy and they believe that with the successful introduction of democracy in Iraq there will be more attacks in the Middle East with the aim of installing democracy. This has caused the Arab countries to live in fear of attacks from the US and the UK and therefore they end up arming themselves and at the same time carrying out jihads. The war has also created very high sensitivity in Iran about the regional involvement of the U. S in the country and they believe that those people in the Islamic republic are surrounded by a number of countries which are allies to the U. S and this has caused a lot of fear to the people in the Arab countries. The other major effect that the war has had is that it has led to the collapse of the strong relationship that existed between the United States and the U. K and Syria. This has been attributed to the fact that it is feared that Iraq transferred its weapons of mass destruction to Syria when it was about to be attacked by the coalition forces, this has resulted to a lot of tension in Syria for the fear that the country may be attacked by the coalition forces in search of the weapons of mass destruction. The other major effect of the war on Iraq has been in Saudi Arabia, there have been fears of a military attack against Saudi Arabia and also the increased pressure from the United States of America on Saudi Arabia to collaborate in the war against terrorism. The Saudi-U. S relations have been less than ideal in the current days and this made the Saudis think that the Bush administration was using its military force in Iraq so as to influence something from the Saudis. There has been a great deal of uncertainty in the Arab countries with the people thinking that because of the success of the military action on Iraq the United States and its allies may use the same on most of the Arab countries. The other major effect of the war was that there were increased cases of terrorism activities in the U.  S and the U. K when the war against Iraq was declared, this was because the Arab countries were opposed to the war and because they could not convince the U. S and the U. K not to attack Iraq they opted for terrorist activities. The attack against Iraq was also aimed at bringing out the link between the 9/11 bombing in U. S and the Saddam regime but this was not evident and therefore most of the Iraqis felt that the attack was simply to impose a government that was created by the United States and its allies. Baghdad and Damascus are towns in Iraq that are filled with terrorists of the old days but there was no evidence to link these people to the 9/11 bombing in U. S. and this clearly indicated that those who lost their lives in Iraq during the war were not the terrorists responsible for the 9/11 attacks (Leslie, 2004). Muslims all over the world had at first opposed the attack by Al Qaeda on U. S, but this was then reversed when the U. S attacked Iraq and triggered more chaos from the Arab communities. As a result of the war on Iraq moderate Muslims began to support anyone who is out to defend the Muslim land and the values of the Islam religion against any group of people aimed at crashing the Muslims. Due to this the relationship that was there especially in Iraq and Palestine between the U. S and the U. K and the Muslims was greatly affected as the Muslims thought that the U. S and the U. K were out to bring to an end their religion. The war in Iraq has resulted in more bitterness and instability in Iraq as more young Muslims are coming up with a form of jihad that is more volatile than it used to be in the past. The American policy makers have very little appreciation on how their military actions in Iraq, Lebanon and Afghanistan is causing a lot of radicals in the Muslims opinions and also creating very many radical groups that are aimed at fighting for the sake of their faith. This has caused a very poor perception of the citizens of the Arab countries in that they are seen as terrorists just because of being an Arab. The relationship between students from Arab countries and those from the United States or the U. K has also been affected by this perception (Fawaz, 2006). The civil unrest that was experienced in Iraq had very major effects on the relation of the U. S and U. K and the neighbouring countries of Iraq. The problems that the neighbours of Iraq are facing will continue even with a steady improvement of the situation in Iraq and the situation would be worse if the situation in Iraq deteriorates. The most dangerous effect of the Iraq war would be due to sectarian and ethnic conflicts in Iraq. The sectarian hatred that may arise in Iraq will lead to civil unrest in Iraq and this would also affect the countries that are neighbouring Iraq. These countries would then in turn blame the U. S and its allies because they caused the war in Iraq. The Iraq people and its allies felt that they would not be welcomed in the United States in case they face any disasters in their countries and this also broke the relationship that was there between the Arab countries and the United States. This can be seen during the war because those Iraqis that were affected by the war were put in refugee camps and treated in a very inhuman way. The other major effect of the war on the relation of the Arab and the U. S and U. K was that there were reduced tourism activities between these nations for the fear of terrorism (Andrew, 2008). The war against Iraq also had an effect on the global terrorism and contrary to what George Bush and Tony Blair argued it is evident that the war brought about increased global terrorism. This is evident in that the number of people killed in jihad attacks has increased steadily from the time when the Iraq war started. The Iraq war is also seen to have caused an increase in the spread of the Al Qaeda activities in the Arab countries with the reason that they are out to fight for the Muslims all over the world. The increase in the Al Qaeda activities has caused a lot of insecurity in most of the Arab countries and this is attributed to the war against Iraq and therefore the Arabs find the U. S and the U. K as countries that are out to cause more problems in their countries (Kim and Patrick, 2007). When asked for the reasons for the U.  S attack against Iraq most of the citizens of the Arab nations like Egypt, United Arab Emirates and Jordan give three most common answers. Of these most of the Arabs think that the United States was out to acquire oil reserves in Iraq and protect Israel, but the most astonishing answer given by citizens in the Arab nations is that they were out to weaken the Muslim community. This has led to break down of the relationship that existed between the Arab nations and the U. S and U. K. as the Arabs see the U. S and the U.  K as people who are out to weaken them. The broad perception of the U. S military attack against the Muslim world is that there has been a collapse in the confidence that the Arab nations had on the United States and the U. K. Before the failure of the U. S backed peace talks between Israel and Palestine in 2000 that were mediated by President Clinton, around 60% of the people interviewed in Saudi said that they had confidence in the United States but this ceased with the attack by United States against Iraq in 2003. Lack of trust in the U. S and the U.  K meant that there would be no negotiations that were headed by the two countries in the Arab countries because without trust negotiation does not make any sense at all. The other factor that led to the failure of the relation between the Arab nations and the United States is because of the insistence of the Bush administration on democracy in the Arab nations. They argued that instilling democracy in the Arab nations would greatly increase security in the world, but this was not the case because after the formation of a democratic government in Iraq there have been increased attacks in Iraq by jihads (Kevin, 2005). The war against Iraq also brought about some economic and emotional effects in the Arab nations. The Arab nations felt that they had the responsibility of supporting their fellow Muslims who were suffering in Iraq and therefore they dedicated a lot of resources to the Iraqis, was it not for the war that had been sparked by the United States and the U. K the Arab nations argue that they would have used these resources for their own developments. The Arabs also feel that they were weakened by the war on Iraq in that America took control of the oil wells in Iraq indicating that the Americans were not aimed at imposing a democratic system of government in Iraq but they were out to capture the oil wells in Iraq (Bruno, 2007). In the past five years four and a half million people have left Iraq as refugees, this has therefore put a lot of pressure on the neighbouring countries in that they have to care for the refugees. The neighbouring countries to Iraq have therefore broken the strong relationship that they had with the United States and the U.  K because they term them as the major cause of the problem they are currently facing. Security in the countries around Iraq has also deteriorated due to the fact that terrorists are heading to the neighbouring countries from where they launch their attacks claiming to be fighting for the Muslim religion. The Arab nations feel that the war against Iraq has led to congestion in the Iraq hospitals due to the many casualties that have to be treated in the hospitals and at the same time the hospitals lack qualified personnel and equipments to treat all the casualties. This has made the United States and the U.  K be seen as very inhuman hence collapse of the relation between them and the Arab nations (Robert, 2005). The other major decline in the relations between Arabs and U. S and U. K can be seen in the area of trade. After the war on Iraq was declared the Arab nations reduced their trade with the two major countries that spearheaded the war. This caused a rise in the price of oil which is the major product of the Arab nations. The Arabs also felt that the war on Iraq caused an increase in the Cross border terrorism due to the large number of refugees who flew the war torn Iraq. These acts of terrorism that the neighbouring countries suffered from made them lose the trust they had on the Americans and the people of U. K. There was also the issue of trans-national crime that came with the refugees from Iraq. Tourism activities were also greatly affected in the Arab countries because people from the U. S and the U. K feared travelling to Arab countries because of the increased acts of terrorism that had hit the whole world. The Arabs also developed a very bad perception for the Americans and the people of U.  K; they viewed these people as oppressors of the Muslim community. This had a great effect in those U. S and U. K citizens that were living in Arab countries with some of them having to be forced to go back to their home countries due to fear of being attacked by jihads. The U. S and U. K relation with the Arab countries declined due to the war and this forced some of the U. S or U. K organizations that were based in the Arab countries to return back to their home countries. This shows that business ties between the Arabs and the U. S and U. K were declining.

Friday, August 30, 2019

Walmart and Target a Closer Look at Strategic Interaction

Main Paper Walmart and Target: A closer look at strategic interaction Maastricht University School of Business and Economics Maastricht, 4th December 2011 Bastian Hauk, BH ID number: i6034999 Study: International Business Course Code: EBC1009 Economics & Business Group Number: 31 Economics Tutor: Khan Writing Tutor: Hetty Bennink Writing Assignment: Main Paper Table of Contents Page 1. Introduction 2. Economic Principle: Game Theory 3. Applied Economic Principles 3. 1. Theory of Game for simultaneously Decision Making 3. 2. The extended Version for consecutive Decision Making 4. Conclusion References 4 6 7 8 2 2 1 Introduction In the United States of America there are only two very well-known discount retailers: Target and Walmart. Both are currently operating all over the country which places each of them among the biggest corporations in the United States. Nearly every American has been to at least one of them because they sell almost everything and E. Basker described this service â€Å"one-stop shopping† (2007). In 2007, Walmart operated more than 3,400 stores across the USA and a survey showed that by the end of 2005 46 percent of Americans lived within 5 miles of the nearest store; within 15 miles even 88 percent (Basker, 2007).Target operated 1,750 stores in January 2011 (Target Corp. , 2011). Since their wide range of products is quite similar they are large competitors. Thus, they are constantly waging price war against each other. In addition, they make use of strategic interaction and especially of game theory which is a mathematical model describing a decisionmaking process and showing how the players make different decisions that potentially affect each other’s interests (von Stenge, & Turocy, 2001). This paper analyses strategic interaction between Walmart and Target with respect to the game theory and the extended version.In order to do so it introduces first the theoretic background of strategic interaction. Afterwards it applies g ame theory and the extended version to this case in order to show the impact of strategic interaction on both discount retailers. It concludes by stating the importance of strategic interaction to optimal decision making and its relevance for Walmart and Target. 2 Economic principles: game theory and extended version The theory of games describes certain concepts in which several players influence each other’s decisions in situations of conflict and competition (Moffatt, 2011).In order to apply game theory there must be at least two players. The three basic elements of a game are the player, the strategies he can choose from and the payoffs the players receive from each combination of strategy. The payoff matrix describes the outcomes in a certain game for each possible combination of strategies as shown in Figure 2. 1. 2 Player One Strategy 1 Strategy 1 Outcome Player 1 Strategy 2 Outcome Player 1 Outcome Player Two Strategy 2 Player 2 Outcome Player 1 Outcome Player 2 Outco me Player 1 Outcome Player 2 Figure 2. 1: Payoff matrix for a two player game Outcome Player 2If one player used a dominant strategy, his choice yields a higher payoff, regardless what the other player does and as a result he has no incentive to change his strategy. For this example, player one’s dominant strategy would be strategy one if he received a higher outcome no matter which strategy player two chooses, but only if he then receives the highest payout. There are also some particular outcomes; for example the Nash equilibrium which occurs when any combination of strategies is the best strategy with the best possible outcome for all players (McDowell, Thom, Frank, & Bernanke, 009). An outcome created by two dominant strategies which is worse than the outcome created by two dominated strategies is called prisoner’s dilemma. The prisoner’s dilemma only occurs when each player’s dominant strategy results in a smaller payoff than it would have if they ha d chosen the dominated strategy. Game theory also assumes that the decisions are made simultaneously. To illustrate a game in which the players decide interdependent, the economist uses the extended version of game theory which is displayed with a game tree (McDowell, Thom, Frank, & Bernanke, 2009). Company 1 Decision: Action A or Action B Action A Company 2 Decision: Action C or Action D Action C Outcome 1 Outcome 2 Action D Action B Company 2 Decision: Action C or Action D Action C Outcome 3 Outcome 4 Action D Figure 2. 2: Decision tree Figure 2. 2 is an example of a game tree. Company 1 first decides which action they will take, which can be either A or B. Company 2 then has the choice how they want to react and whether they take action C or D. The best outcome can only be achieved with a backward nduction as a result of evaluating the results first and afterwards predicting the other player’s strategy. For example, outcome 3 would be the best outcome for company 2 if comp any 1 chose action B and therefore company 2 chooses action C. Outcome 2 would gain the highest profit for company 2 if company 1 took action A. 3 Applied Economic Principles 3. 1 Theory of game for simultaneously decision making As stated in the introduction this two very large American retailers are competitors and have a very similar customer base.The income of Targets customer base is slightly higher but it is not relevant for strategic interaction (Neuman, 2011). Theory of game helps to understand the different prices and how the different price strategies affect consumer behavior. This example is not based on any specific data. However, it is logic for somebody willing to buy a certain good to substitute the same good with an identical one if the price is lower and there are not any additional efforts to make. By applying game theory, the three basic elements have to be clear. 4 Walmart and Target are the players.Different pricing of a certain product -a television- are the st rategies while the different profits are the results of each combination of the strategies. Both companies have two pricing strategies: either to charge a low price of â‚ ¬300 or a high price of â‚ ¬500. They have to make the decision simultaneously, for instance before they release the television to the market. It is important to know that the customers are also willing to purchase the television for the high price. Target High Price (â‚ ¬500) High Price (â‚ ¬500) Walmart Walmart earns â‚ ¬10,000 profit Low Price (â‚ ¬300) Walmart earns â‚ ¬15,000 profit Figure 3. : Payoff matrix for Walmart and Target Figure 3. 1 shows a potential payoff matrix for this strategic interaction. It shows all possible outcomes for the two pricing strategies. Walmart and Target would both make â‚ ¬10,000 profit if they charged the high price and â‚ ¬7,500 profit if they charged the low price. If Walmart chose the low pricing strategy and Target used the high pricing strategy Walmart would gain â‚ ¬15,000 compared to the â‚ ¬5,000 profit Target would make. Target also makes â‚ ¬15,000 profit using the low price if Walmart decides to charge the high price.What does that mean for both companies? Since both of them would earn a higher profit by setting the price low in this scenario, both companies would choose â€Å"Low Price† as a dominant strategy. On the contrary, â€Å"High Price† would be the dominated strategy. Nash equilibrium can be found when both companies pick the â€Å"low price† strategy because they don’t have an incentive to change their strategy. This payoff 5 Low (â‚ ¬300) Target earns â‚ ¬15,000 profit Walmart earns â‚ ¬5,000 profit Target earns â‚ ¬7,500 profit Walmart earns â‚ ¬7,500 profitTarget earns â‚ ¬10,000 profit Target earns â‚ ¬5,000 profit matrix also shows that the strategy combination of â€Å"high price† and â€Å"high price† would be the best possible outcome for both firms. But rather than applying the dominated strategy Walmart and Target use the dominant strategy. This dilemma is called prisoner’s dilemma. Those dilemmas exist quite often and there are many reasons why they exist, for instance, both companies do not want the other one to make a higher profit or even to have the chance to receive a higher profit. 3. 2.The extended version for consecutive decision making Therefore Target and Walmart react and might change the strategy they had choosen. Both competitors often change their strategies. Although Singh (2006) stated that prices at Walmart are about 15 percent lower than in traditional supermarkets, Neuman (2011) proved by comparing almost 60 items that Target’s prices were a bit lower than Walmart’s. It is hard to rely on data which are released with a 5 year time difference but it shows that both firms constantly adjust the prices to be competitive.High Price Target High Price Walmart Low Price â‚ ¬10,000 for Target â‚ ¬10,000 for Walmart â‚ ¬15,000 for Target â‚ ¬5,000 for Walmart â‚ ¬5,000 for Target â‚ ¬15,000 for Walmart â‚ ¬7,500 for Target â‚ ¬7,500 for Walmart High Price Low Price Target Low Price Figure 3. 2: Decision Tree for Walmart and Target 6 Since the decisions of both companies are not made simultaneously the reacting firm -in this case Target- has to find out what action to take in order to receive the highest profit for either move Walmart makes. Walmart moves first and selects either strategy.Target is in the position to decide and how it wants to react. Thus, Target uses backward induction. First it evaluates the best results for each action Walmart uses; â‚ ¬15,000 profit if Walmart sets a high price and â‚ ¬7,500 profit if Walmart sets a low price. Afterwards it chooses the strategy how to get to that profit. Finally Walmart moves and selects the low or the high price strategy and Target is able to react sufficiently. Assu me that Walmart chooses the high price strategy then Target sets low prices and due to that Target earns the highest possible profit. Conclusion Walmart and Target are large competitors on the American retailer market and therefore strategic interaction is very important for them. Both companies know the ways to decide how to act concerning different strategies. Both companies know that it is necessary for them to react and choose the best strategy. In the first example both companies simultaneously introduce a television to the market. Their dominant strategy is to set a low price because both of them hope that the other company chooses the high price strategy.This is one example of a free market wherein the customers always choose the low price if available. Walmart and Target would earn a larger profit if both set the high price. In the other case Walmart moves first and afterwards Target chooses the strategy which leads to the highest outcome. The reacting company’s best strategy in the extended version of game theory is always the low price strategy. On the contrary, when two companies have to decide simultaneously it is not always the best choice to choose the low price strategy although it is their dominant strategy. References Basker, E. (2007). The Causes and Consequences of Wal-Mart’s Growth. The Journal of Economic Perspectives, 21 (3), 177-198. McDowell, M. , Thom, R. , Frank, R. , & Bernanke, B. (2009). Principles of Economics, 2nd European Edition. Maidenhead, UK: McGraw-Hill Education. Moffatt, M. (2008). What are Game Theory and Bargaining Theory? Retrieved December 4, 2011, from http://economics. about. com/cs/studentresources/f/game_theory. htm Neuman, S. (2011). Target Takes Aim At Walmart, With Some Success, NPR. Retrieved December 4, 2011, from http://www. pr. org/2011/08/19/139793948/target-takes-aim-at-walmartwith-some-success Singh, V. , Hansen, K. , & Blattberg, R. (2006). A Market Entry and Consumer Behavior: An investig ation of a Wal-Mart Supercenter. Marketing Science, 25 (5), 457-476 Target Corp. (2011). Target Annual Report 2010. Minnesota, US: Target. Retrieved December 7, 2011 from http://www. sec. gov/Archives/edgar/data/27419/000104746911002032/a2201861z10k. htm#bg11101a_main_toc Turocy, T. L, von Stenge, B (2001). Game Theory. Academic Press Limited, 2 (2), 69-73. 10. 1080/07430170152379371 doi: 8

Thursday, August 29, 2019

Pestle Factors Essay

PESTEL analysis stands for â€Å"Political, Economic, Social, and Technological, Environmental and Legal analysis†. It is a part of the external analysis when conducting a strategic analysis or doing market research and gives a certain overview of the different macro-environmental factors that the company has to take into consideration. Political factors or how and to what degree a government intervenes in the economy. Specifically, political factors include areas such as tax policy, labor law, environmental law, trade restrictions, tariffs, and political stability. Political factors may also include goods and services which the government wants to provide or be provided and those that the government does not want to be provided. Furthermore, governments have great influence on the health, education, and infrastructure of a nation. Economic factors – Businesses need to make money to continue to exist. They do this by listening to customers to ensure they keep their customers and attract new ones with good services that customers want and need. It is extremely important for businesses to respond to changes in demand from customers. They include economic growth, interest rates, exchange rates and the inflation rate. These factors have major impacts on how businesses operate and make decisions. For example, interest rates affect a firm’s cost of capital and therefore to what extent a business grows and expands. Exchange rates affect the costs of exporting goods and the supply and price of imported goods in an economy. Social factors – Society’s habits and tastes are changing. People are more aware of the importance of the environment and becoming ‘green consumers’. Green consumers prefer goods and services that are ‘environmentally-friendly’ and which have less impact on the environment. They include the cultural aspects and include health consciousness, population growth rate, age distribution, career attitudes and emphasis on safety. Trends in social factors affect the demand for a company’s products and how that company operates. For example, an ageing population may imply a smaller and less-willing workforce (thus increasing the cost of labor). Furthermore, companies may change various management strategies to adapt to these social trends (such as recruiting older workers). Technological factors – Businesses are continually developing new technologies to provide the best solutions for the market place. Intelligent companies find out what the most appropriate technologies are for their businesses and use them. They include ecological and environmental aspects, such as R&D activity, automation, technology incentives and the rate of technological change. They can determine barriers to entry, minimum efficient production level and influence outsourcing decisions. Furthermore, technological shifts can affect costs, quality, and lead to innovation. Environmental factors – include weather, climate, and climate change, which may especially affect industries such as tourism, farming, and insurance. Furthermore, growing awareness to climate change is affecting how companies operate and the products they offer-it is both creating new markets and diminishing or destroying existing ones. Legal factors – Legal changes that affect business are closely tied up with political ones. Many changes in the law stem from government policy. They include discrimination law, consumer law, antitrust law, employment law, and health and safety law. These factors can affect how a company operates, its costs, and the demand for its products.

Wednesday, August 28, 2019

Should local and state police have the authority to check on Research Paper - 1

Should local and state police have the authority to check on immigration status - Research Paper Example he ability of the terrorists to manipulate the weak points of immigration laws was not surprising, as enforcing these laws has proved to be an uphill task. It is suggested that the number of illegal aliens living in the United States is close to 7-10 million with a handful of 2000 enforcement agents to deal with them. This hence increased the urgency of reform in the immigration system (Kobach 179 Â ´). On reading the letter sent to him by the United States attorney general suggesting the involvement of the local police in enforcing the federal immigration law, Mayor Peterson was of the contrary opinion. On his reply to the attorney general, Mayor Peterson indicated that the local police were not the right personnel equipped for this task. He went on to elaborate that local police lacked the necessary expertise and training that is crucial in ascertaining on whom is illegally in the country. In addition to this, by placing the responsibility of enforcing the immigration laws on the local police, United States will be diverting these law enforcement agents from their neighborhood responsibilities that have existed since time in memorial. The hard-earned trust that existed between the new residents and the police could be jeopardized thanks to the new responsibilities regarding enforcement of immigration laws. In addition to this, the long founded legacy that existed in the city of service delivery to all despite ones immigration status could be destroyed. This legacy was viewed as the key to promoting public safety as discrimination is avoided (Indianapolis Monthly 2006, 225). D’Appollonia and Reich also indicate that by delegating the immigration status alone cannot amount to involvement of the local and state police in immigration enforcement. They go on to indicate that this is tantamount to transformation of the state police to personal destruction. The delegation of responsibilities regarding immigration enforcement to the local police by the federal

Tuesday, August 27, 2019

The Role of the Hydrocarbons Regulatory Agency in Norway Coursework

The Role of the Hydrocarbons Regulatory Agency in Norway - Coursework Example This undertaken initiative also includes the structuring of appropriate strategies meant to increasing the effectiveness of oil and natural gas extraction operations within the Arctic regions1. The authoritative body that regulates the hydrocarbon production and distribution within Norway is the Storting (Parliament). This governmental institution has also been provided with the responsibility of structuring appropriate policies that are meant to ensure appropriate environmental safeguard. This governmental infrastructure found its existence during the period of 1814 and since then, it has been majorly involved in the formulation of effective regulations through, which the hydrocarbon resources of this nation can be utilized in a much effective manner. Apart from the Storting (Parliament), multiple other governmental entities also subsist within the nation, which regulates every functional aspect of the hydrocarbon sector of Norway2. Instances in this context can be provided by taking reference of the activities performed by the Ministry of Petroleum and Energy (MPE) and the Petroleum Safety Authority Norway (PSA) in context to utilizing the hydrocarbon resources of this n ation in an effective manner. Thus, this discussion will majorly focus towards understanding the roles and objectives of the hydrocarbon regulatory agencies of Norway. The objective of this discussion will also include summarised facts regarding the techniques through which, the governmental structure of Norway planned to utilize its resource base with the intention of accomplishing the future growth perspectives of the nation’s economy3. Specific comparisons will also be carried out between the roles and responsibilities of the hydrocarbon regulatory agencies of Norway to that of the regulatory agencies of other specific nations. Considering the above facts, a simple

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

Staphylococcus - Research Paper Example The different species prove to be dangerous because they show resistance towards methicillin and other potent antibiotics (Acton, 2012, pg.38). Incidence of a disease is defined as risk of contracting a disease. Hence various studies have been conducted to assess the incidence of methicillin resistant staphylococcus aureus. There was a dramatic increase in the number of methicillin resistant staphylococcus aureus cases in the late 1990s in America. The strain was seen to cause infections in children who were not at risk. The children had not had recent hospitalization, surgery, injection infusion nor had they resided in a medical facility for a long time. Four fatal pediatric cases also emerged between 1996 and 1999. This raised questions. The methicillin resistant staphylococcus aureus could be acquired in the community, and this also suggested that a new strain of the bacterium was present which differed from the already present strain in hospital settings (Song et al, 2013, pg. 69). The epidemiology of methicillin resistant staphylococcus aureus is continuously changing due to its capability to resist. This trait makes it hard to treat these infections. Hence regular surveillance studies are held to assess the status of disease. Surveillance studies from 1990s indicated an increase in the incidence of MRSA infections. The role of surveillance studies is to lower morbidity, mortality and incidence of disease (Meija et al, 2015, pg. 79). Methicillin resistance is a universal problem but is more prevalent in countries where use of antibiotics is high. American and China have the highest rate of antibiotic consumption and hence face the most cases of methicillin resistance (Tisserand, 2015, pg. 20). The normal bacterial flora of humans includes S. aureus often. Studies indicate that the organism is present in the nasal colonization of the adult population. Staphylococcus aureus

Monday, August 26, 2019

Earthquake Research Paper Example | Topics and Well Written Essays - 2000 words

Earthquake - Research Paper Example Importance of the research topic Earthquake is one of the most significant risks to the safety of structures as well as of the occupants. Every year, millions of people around the world lose their lives and property in the earthquakes. Considering the gravity of the problem, there is dire need to make the structures resistant against earthquakes as well as to have an effective disaster management system in place to counter the effects of earthquakes. Contents of the paper This paper does a detailed analysis of the research topic i.e. earthquake and explores its various aspects. The aspects discussed in the paper include but are not limited to discussion of the engineering problem, its importance, its relation with geology and engineering, impacts of the engineering problem on the society, challenges associated with it, geological analysis of the problem, and strategies that may be employed to deal with this engineering problem. In addition to that, a case study is discussed in detail . The case study is about a real life earthquake incident that occurred within the last ten years, and that had huge implications on the society. The paper discusses ways in which effects of the earthquake were dealt with, and the potential strategies to avoid the effects of such incidents in the future. Relation between earthquakes and geology Earthquakes are fundamentally related to geology because they happen as a result of movement of the tectonic plates. There are four layers of earth, that include the inner core, the outer core, the mantle and the crust when arranged in an inside out fashion. Although the crust and the mantle constitute a thin layer on the earth’s surface, that is fragmented into different pieces that may slide past each other. An earthquake occurs when two blocks of earth slip across each other. The surface across which the slip happens is known as the fault plane. Earthquake starts at the hypocenter that is directly below the surface of earth where ea rthquake happens, known as the epicenter. Relation between earthquakes and engineering Earthquakes are related to engineering because their occurrence imparts the need to engineer the structures in such a way that they can resist the effects of earthquakes. Every structure has a different foundation design that is engineered in such a way that it can effectively transfer the load of the structure to the earth and can help the building withstand all external shocks and risk factors including heavy winds and earthquakes. Foundation designs of buildings if modified appropriately, make the buildings earthquake-resistant. Impacts of earthquake on the society There are numerous impacts of earthquake on the society that include but are not limited to disrupted normal life, loss of life, loss of property, loss of housing, breakdown of the social order, damaged infrastructure, loss of business, disrupted communication channels, loss of the industrial output, and disrupted marketing systems. â€Å"The effects of an earthquake can also cause dangerous landslides, fires, gas line and electric explosions, and floodwaters from collapsing dams† (Pollard). Earthquakes have numerous short term and long term effects. Many children get kidnapped during the earthquakes. Long term effects of earthquakes include decline in the socioeconomic system of the country. â€Å"Evidence points to elevated rates of posttraumatic stress disorder (PTSD), depression, and earthquake-related fears in children

Sunday, August 25, 2019

Comparison between Hitler and Martin Luther King's Ideologies Essay

Comparison between Hitler and Martin Luther King's Ideologies - Essay Example One common similarity between them is their rise from humble backgrounds to lead high profile nationalistic campaigns in their different backyards. Hitler rising to lead the Germans while King rising to lead a campaign against racial inequality in the United States of America. They espoused different ideologies; Marin Luther King espoused nonviolent activism while Adolf Hitler strongly believed in the Nazi ideology. These were two contradicting ideologies, Adolf Hitler’s believed in the superiority of the Aryan race while the Martin Luther King believed in Black Nationalism. The two ideologies on other hand seemed to have similarities, not taking into account the fact that Martin Luther King was from the United States and Adolf Hitler was from Germany. Martin Luther’s king and Hitler’s ideological background There are varying definitions of the term ideology; however, it usually refers to the manner of thinking and belief common to an individual, class or the who le society. Ideologies are sets of ideas, which are based on the messages that do not emanate from the ideas on their own, but from the unconscious mind of an individual or the collective masses. Martin Luther King Junior was famously known for his significant role in the African-American Civil Rights Movement, and he lead a non-violent activism movement in the United States campaigning for equal footing for the black Americans with the white Americans. This ideology seemed similar to the one espoused by Mohandas Gandhi when he led a nonviolent activism against the British colonialist, occupying India, he claims to have been heavily inspired by this Leader and in addition, Leo Tolstoy Before King. The philosophy espoused in this ideology entailed Christian doctrine and that of liberating African Americans from the yoke of slavery. He had great speech delivery; he captured the society with very famous phrases and quotes that have held together societies for generations and generation s. The election of the current United States of America President Barrack Obama, who is an African American, is indirectly linked to the great work and campaign of Martin Luther King Junior. This feat was unlikely and unthinkable in the eras that Martin Luther king Junior lived; this was a legacy that he left on the annals of the United States of America. Adolf Hitler was great a German Reich, who left a great print on the society because the Second World War was directly attributable to him. This was after he felt that Germany was exposed and shortchanged at the treaty of Versailles, he thought that Germany’s pride had diminished at the treaty. This war was blamed for the millions of lives lost across the world from America, Europe, Africa and even Asia. Besides the world war, his ideological beliefs lead to widespread torture, violence, and terror of millions of Semites, blacks and the gypsies. His ideology captured millions of people especially in white dominated areas in Europe, Americas and the Australasia regions, and even to this date, there are people who still profess this ideology, despite the fact that it is predominantly unpopular all over the world. His ideology entailed the claim that the Aryan race in Germany and Austria were the most superior races off all beings this lead to orchestrate one of the dark events known in the history of humankind, the holocaust. He held the view

Saturday, August 24, 2019

A Rose for Emily by William Faulkner Essay Example | Topics and Well Written Essays - 1000 words

A Rose for Emily by William Faulkner - Essay Example "When one lives his/her life in the public eye it is often difficult to live up to everyone's expectations. These repressions often lead these people to use radical methods to fulfill their own needs." (Critical Essay). Thus, the short story by Faulkner portrays the idea that society's view on a 'celebrity' cannot only be powerful but also destructive and urges the readers not to depend too much on the public perspectives on personal lives as well as not to live according to the expectations of others. In the short story "A Rose for Emily", Miss Emily Grierson is presented as the socialite of her town and she naturally has an important social status or reputation she has to withhold. One of the main themes of the story is the effect of society on one's personal life and the story of Emily Grierson illustrates how people are made to use radical methods to fulfill their own needs in a society which expects its members to live according to a particular way. Emily in the story represents her family name as well as the people of her town and she was greatly a dominant figure in the society. ... uty, and a care; a sort of hereditary obligation upon the town, dating from that day in 1894 when Colonel Sartoris, the mayor--he who fathered the edict that no Negro woman should appear on the streets without an apron--remitted her taxes, the dispensation dating from the death of her father on into perpetuity." (Faulkner, 2003, p. 392). Therefore, the society expects the main character to live according to a particular way which has been set by the tradition and the main reason for her mental torment has been her adjustment to the norms of social life. It is most fundamental, in a close reading of "A Rose for Emily", to realize that Faulkner describes a mental illness in the protagonist, i.e. necrophilia, which may be comprehended as an abnormal and excessive love for a dead human body. Psychologists explain that it is caused by a cumulative lack of love from one's family or community. "One of Faulkner's greatest stories, "A Rose for Emily" is a brilliantly wrought, emotionally charged, haunting portrait of the Southern psyche - a psyche tormented by conflicting feelings, impulses, and needs. It is the first story to deal with the village of Jefferson and its community." (Volpe, 2004, p. 98). In the story, Emily, the main character, murders Humor, the only man whom she had ever loved. In fact, the story deals mainly with the psyche of the main character who is conflicted by conflicting feelings, impulses, and needs, and the author is concerned with the relationship between individuals and community. ""A Rose for Emily" has two majo r characters: Emily Grierson and the community. They are complementary rather than antagonistic characters; Emily's personal history mirrors the community's collective history Faulkner portrays Emily with sufficient psychological realism to

Friday, August 23, 2019

Cultural Impacts of Sino-Japanese War Essay Example | Topics and Well Written Essays - 2250 words

Cultural Impacts of Sino-Japanese War - Essay Example At the same time as both - China and Japan - had benefited from a mostly symbiotic, i"big brother-little brother" rapport in prehistoric times, and the twist of the 20th century marked the commencement of their disturbed rapport up to now. Japan's imperialist triumph over China in the earliest Sino-Japanese War (1894-1985) upturned China's preceding supremacy within the bond and lay down the tenor for Japan's domination over China for the century ahead. China's consequential bearing of Achilles' heel and persecution was worsened by enforced lenience to Japan at the "Versailles Peace Conference post-World War I"ii, which sparkled crowded anti-Japanese lobbies terminating in the 'May Fourth Movement of 1919' and a countrywide imposed sanctions of Japanese merchandise that pursued (Shih 1986). Later on, Japanese carnage in the following Sino-Japanese War (1937-1945) also seeded crowded anti-Japanese movements and cemented China's hatred of Japan, eventually fueling the anti-Japanese con stituents of Chinese jingoism. Till 2005, 'the Rape of Nanjing of December 1937'iii - the most horrible single event of Japanese bloodbath in China, where 300,000 Chinese nationals were cruelly assassinated throughout six weeks - persisted to exist on in Chinese reminiscences as a mark of Japanese brutality and a stimulation for continuous anti-Japanese ways of thinking in China these days (Backman 2005). The intensifying Sino-Japanese conflict is driven both by larger historical factors and by East Asia's changing strategic balance. World War II and the Cold War left the Sino-Japanese rivalry unresolved (Backman 2005). Japan's surrender in 1945 did not result in regional reconciliation or integration in East Asia, or a common acceptance within Japan of the ravages perpetrated by the imperialistic regime. Although most Japanese supported the U.S.-created peace establishment and vowed never again to engage in warfare, the values, perceptions, and leaders of the period of imperial expansion were not categorically washed their hands of, as their fascist equivalents had been in Europe. This was partly the result of U.S. decisions to retain the emperor and permit politicians and bureaucrats associated with the imperial wartime regime to regain positions and organize political parties in the "new" postwar Japan (McCluskey 1999). More broadly, postwar Japanese society did not entirely jettis on its distorted self-image of Japan as a struggling Asian nation beset by Western imperialists and eventually forced into a defensive war. Many Japanese also prefer to see themselves as victims of the war and not as aggressors, largely as a result of the nuclear bombing of Hiroshima and Nagasaki. Moreover, the Communist victory in China in 1949iv created lasting geopolitical divisions between the two Asian powers that made reconciliation even more difficult. In order to strengthen their own nationalist credentials, the leaders of the Chinese Communist Party (CCP) deliberately sought to sustain and strengthen a public image of Japan as a potentially aggressive, militaristic nation. During the Cold War, the U.S.-Soviet strategic conflict in East Asia not only overshadowed but effectively

Thursday, August 22, 2019

Comparing and contrasting Achilles and other warriors Essay Example for Free

Comparing and contrasting Achilles and other warriors Essay Comparing and contrasting Achilles and other warriors Introduction   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Achilles is one of the main characters in Homer’s Iliad. Iliad is a legendary epic covering the formative years of Roman and Greek mythology. Iliad pursue glory, heroism, and love within the authority and influence of supernatural powers. Achilles possessed heroic strength and also had close contact with the gods. Achilles had all the qualities of a grand warrior and he proved to be the most dominant man among the Achaean army. However his deeply rooted character barred his capacity to act with integrity and nobility. The rationale of this paper is to analyze the character of Achilles and examine how he was similar of differed from other heroic warriors.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Achilles could not manage his pride or the fury that came about when his pride was injured. These attributes greatly affected Achilles life since he abandoned his fellow warriors because he had been insulted before Agamemnon, his commander. Achilles even wished his fellow warriors to be killed by Trojan warriors. He was driven by thirst for glory and was willing to sacrifice anything for his reputation. Achilles had extreme temper; for example, though the demise of Patroclus provoked him to reconcile with Agamemnon, this did not alleviate his fury but he directed his anger to Hector (Homer, 1990, p. 32). Achilles forfeited twelve Trojan men at the funeral of Patroclus, he also killed his opponents mercilessly and shamefully vandalized the corpse of Hector. These events reveal Achilles great anger because he was mourning the death of Patroclus. Achilles pride, bloodlust and wrath affected him adversely (Virgil, 2006, p. 42).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Achilles is recognized as the greatest warrior in Achaian army and no other warrior could match him as a fighter. Achilles has a great sense of social order because he decided to act during the plague that was consuming the soldiers at Achaian camp. Agamemnon, Achille’s kind did not act so Achilles decided to find out the cause of the plague by calling for a congregation of the entire army. Achilles is argumentative and petulant because he argues that though Agamemnon gets the best prizes from war, he never worked for them. In the course of argument, Achilles almost killed Agamemnon, though he was saved from carrying out the heinous act by goddess Athena. Achilles believed that the quarrel between him and the king was righteous and same as the war against Trojan army. Achilles major characteristic was excessive pride because he remained angry even after Agamemnon promise to return Briseis alongside other gifts (Vigil, 2006, p. 47).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Gilgamesh is a warrior who fears death throughout George XIII epic. Achilles on the other hand is also very keen with his metaphoric wickedness that can only take place after the death of his earthly life. Gilgamesh and Achilles have a lot of similarities, which include dynamic attitude on death and life centered. They have similar attitudes especially when their heroic comrades died. The death of Patroclus touched Achilles very much whereas the death of Enkidu also caused much distress to Gilgamesh. Achilles and Gilgamesh are two semi-divine heroes who have various matching characteristics and life-events, and they focused a lot with their mortal lives, but not relatively in the same approach. Achilles and Gilgamesh share fundamental similarities in their mortal lives. Each of them is a child of a goddess and a mortal man who happens to be a king. Achilles is a son of Thetis and has an exceptional rapport which enables him to speak with t he gods with the help of Thetis (Homer, 1990, p 27). Gilgamesh on the other hand is regarded as one third human and two third god, which makes him to stand out as an exceptional character that exists in relationships with both the mortal world and divine world. Iliad relates the preeminence of Achilles and Gilgamesh in battle where they reveal themselves as headstrong warriors.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   Neither Achilles nor Gilgamesh is concerned with romantic and family relationships. The major relationship these epic heroes have is with their mothers, where they seek protection and guidance. Through this rapport, they are able to gain development and wisdom. Achilles can also be compared to other heroes such as Aenes since their lives is determined by supernatural powers. In the book Iliad and Aeneid, Achilles and Aenes are characters who reveal their chivalry and bravely. In the books, Aenes and Achilles are chosen by gods and favored in various periods of their lives (Homer, 1990, p.26). These characters have predestined death and fate, they are sons of gods and they have specific accomplishment and mission in their lives. The major difference between Achilles and Gilgamesh is on anger management. Even after the death of his friend Enkidu, Gilgamesh remains cool and does not translate his fury to anyone, but Achilles anger could not b e controlled after the death of Patroclus. Gilgamesh mourns the death of his friend by ritually pulling his clothes and hair, but Achilles mourns the death of Patroclaus by killing several Trojan warriors.   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   An in depth analysis of the epics of the era reveal contrasting features of the heroes. The circumstance, the physical features and situation might be similar, but the discrepancy is mainly due to mental and intellect framework of the heroes. Aenes fought major battles just like Achilles, but their fate was different. Achilles was predestined to die in the battle, while Aenes was predestined to be an architect of a huge town in the planet. Achilles was more of a cruel enemy and fierce warrior and his task was to wrestle and triumph over bloody wars. On the other hand, Aenes was more civilized and constructive in comparison to arrogant Achilles. Achilles is violent, stubborn, ruthless and hostile and had a capacity to kill Trojan warriors ruthlessly in the battlefield. Achilles battle and attack intended huge massacre. On contrary, Aenes is more placid and sober. Aenes as a warrior had adorable features of restraint, chastity, discipline an d love. He was a true leader who never left his comrades. Aenes led the warriors to pursue new home and new culture. He was a fighter, but not even once did he display emotions and power in arbitrary and cruel manner (Vigil, 2006, p. 74).   Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   In conclusion, Achilles was a great warrior, but he was a merciless fighter who killed many Trojan warriors. Achilles shared similar features with other heroes in the epics. These heroes fate was usually predestined and they were mostly sons of gods. They sought advice from their mothers which helped them to develop and gain wisdom. However, an in depth analysis on the character of these heroes depict that there are some differences. Achilles was a violent warrior as compared to most heroes who were able to manage their fury. In addition, Achilles, Aenes and Gilgamesh were heroes of their times. References Homer, Robert Fagles, and Bernard Knox. The Iliad. New York: Viking,  1990. Print. Hope Nash Wolff. Gilgamesh, Enkidu, and the Heroic Life. Journal of the American Oriental Society 89.2  (1969): 392-398. Web. Virgil, R. Fagles, B. Knox, and S. Callow. The Aeneid. New York: Penguin Audio,  2006. Print. Source document

Wednesday, August 21, 2019

Metaphysics and Nominalism Essay Example for Free

Metaphysics and Nominalism Essay Metaphysics shares a breadth of problems concerning ‘universals’. One view that addresses these problems is nominalism. Nominalism is the position that universals do not exist outside the mind. There are different sects of nominalism that expresses various stances about the problem at hand. Austere nominalism, metalinguistic nominalism, and trope theory are the various types of nominalism that refute the claim of realism. Each of these types of nominalism contain their own respective views towards universals and have their own strengths and weaknesses. Austere nominalism, metalinguistic nominalism, and trope theory have many similarities and differences as well as strong points that support the nominalist perspective. Austere nominalism takes the stance that the only things that exist are concrete particulars. These concrete particulars are a category of individuals like individual persons, individual objects, individual animals, or various other individual materials. â€Å"What the austere nominalist wants to claim is that an ontology of concrete particulars provides the resources for dealing with all the phenomena the metaphysical realist claims presuppose an ontology of multiply exemplifiable entities† (Loux 53). The austere nominalist refutes the realist claim that universals are necessary and serve as handling the phenomena of attribute agreement. Rather the austere nominalist’ claim is that the issue needn’t be explained at all. Nominalists believe that realism does not contain more explanatory power than nominalism. Thus, it is much wiser to adopt nominalism because it is much simpler without universals. The leading issue with austere nominalism is that the proponent of universals and attribute agreement are to be ignored without much explanation. The notion that they are unnecessary complications may not seem like a sufficient enough explanation to combat the ideals of realists. However, the benefit to the austere nominalist theory offers a very simplistic approach towards the ideas of attributes and predication. Overall, austere nominalism offers an ontologically simpler metaphysical explantion, but realism may be explanatorily simpler. Metalinguistic nominalism takes into consideration the usage of language when addressing the issue of universals. Metalinguistics nominalists see universals as references about language and not objects. They want universality to be understood linguistically using predicativity for example, when referencing ‘humanity’ the reference is towards human individuals. It is in this view that abstract referencing takes on a different form. It disguises itself as an object language sentence, but is actually a claim about a linguistic expression. This beholds the idea that abstract references like ‘triangular’ is a shape predicate. Metalinguistic nominalism presents a couple problems in its ideology. The fact that the linguistic expressions are talked about in the terms of ‘types’, this notion would make them universals as well. This is unfortunate since the metalinguistic nominalist is trying to eliminate universals altogether. In addition to this problem, another issue arises with the subjectivity of language. The theory does not take into account the possibility of other languages. When an English speaker is talking, they are referring to an English word. Two words of equivalent meaning would not be referenced in the same way according to metalinguistic nominalism. Rather they would both be considered two different words. However, in light of metalinguistic nominalism it does offer a workaround to address the issues of multiple languages. Sellars devised a punctuation that would focus on the equivalent meaning of the word to be addressed rather than the word itself. The punctuation came in the form of a single dot placed on both sides of the word being addressed. Metalinguistic nominalism also offers a bit of clarity in the issue of referring to multiple individuals through the use of distributive singular terms. In the issue of addressing multiple concrete particulars it utilizes a singular term to take possession for all individuals being referenced. For example, ‘American citizen’ in â€Å"The American citizen has freedom of speech† is the distributive singular term. Trope theory is unlike austere and metalinguistic nominalism in the essence that trope theory allows for the use of attributes in its ontology. However, this is not like the belief realist hold which also possesses that attributes are multiply exemplifiable. Trope theorists believe in the opposite. They believe that attributes are not only not multiply exemplifiable, but that they are also particulars. It is believed in trope theory that it is impossible for anything else to possess the same attribute as another. A concerning attribute of trope theory is the fact that it may not sufficiently address the similarity between two different attributes. Trope theorists will argue that two different tropes may be similar and may be the reason why two concrete particulars may appear similar. This doesn’t however, bridge a connection between commonalities between two similar objects. However, tropes offer an elegant approach to the issue of properties. While lacking zero properties themselves, they help define an object without the ontology of particulars and universals. This makes tropes a possibly powerful tool for a nominalist. In contrast to each other, austere nominalism, metalinguistic nominalism, and trope theory are differing forms of nominalism that contain various differences. Whilst all combatting the problems and complexities of universals, they each have ways in which they combat it. Austere nominalists are able to address the issue of universals by denying the existence of them and the notion that they have to be dealt with altogether. This is a very simplistic approach and avoids the need to addressing the phenomena of addressing attribute agreement. Metalinguistic nominalism is able to do the same by changing the phrase of universals into a linguistic reference. This viewpoint also avoids addressing the existence of universals and states that they are just disguised as linguistic expressions. Syntactical and grammatical tools allow for predicativity on several different objects to be used as universality. Lastly, trope theory takes a unique position against universals. Tropes almost seem to take on the appearance of universals in their ability to describe and object, but stray away in the notion that they are particulars themselves. While still being able to provide the descriptive nature of universals, tropes are still very different and add to the nominalist box of tools. Most intriguing of the forms of nominalism is metalinguistic nominalism. While eliminating the problem with universals, it seems to combat the issue in the least aggressive way. Terms that would be considered to be ‘universals’ still have their place in metalinguistic nominalism since they mostly come to be predicates. In addition to the problems that metalinguistic nominalism brings about with the issue of multiple languages, it combats it with a useful punctuation created by Sellars. Each of the forms of nominalism all focus around the problem of universals and realist theory. They combat them through the usage of very different means. Altogether they bring an alternate view aside from realism in three different perspectives. In address to the realist view Alan Watts stated, â€Å"The menu is not the meal†.

Tuesday, August 20, 2019

Global System for Mobile (GSM) Communication Overview

Global System for Mobile (GSM) Communication Overview Tara Rushdi Haydar Sinar Selahaddin Merdan Rojgar Mewlud Murad Contents (Jump to) Introduction What is GSM? GSM Network Architecture What is Roaming? What is GRAN? Requirement need for building GSM Generation of GSM Conclusion References Introduction GSM is a connection between two people − a caller and the called person – is the basic service of all telephone networks. To apply this service, the network must has ability to set up and maintain a call, which includes some tasks: identifying the called person, determining the location, routing the call, and ensuring that the connection is continued until conversation lasts. After the transaction, the connection is terminated. In a fixed telephone network, providing and managing connections is an easy process, because telephones are connected by wires to the network and their location is permanent from the networks’ point of view. Whereas, in a mobile network, the establishment of a call is more complex task, because it doesn’t have wire and permanent location. It enables the users to move by wireless (radio) connection. What is GSM? GSM stands for Global System for Mobile Communication and is an open, digital cellular technology transmits mobile voice and data services. It is a  digital  mobile telephony system that is widely used technology in the world. The GSM market has more than 70 percent of the worlds digital cellular subscribers. The GSM makes use of narrowband  Time Division Multiple Access (TDMA)  technique for transmitting signals. The GSM was developed by using digital technology. It has an ability to carry 64 kbps to 120 Mbps of data rates. GSM operates at either the 900  MHz  or 1800 MHz frequency band. In Europe, operates in the 900MHz and 1.8GHz bands and in US, operates 1.9GHz and 850MHz bands. The GSM is a circuit-switched system that divides each 200 kHz channel into eight 25 kHz time-slots. Cell phones use GSM network by searching for cell phone towers in the nearby area. GSM carriers have roaming contacts with other GSM carriers and typically cover rural areas more completely. GSM also has the advantage of using SIM (SubscriberIdentityModule) cards. The SIM card, which acts as your digital identity, is tied to your cell phone service carrier’s network rather than to the handset itself. This allows for easy exchange from one phone to another without new cell phone service activation. Today, more than 690 mobile networks provide GSM services across 213 countries and GSM represents 82.4% of all global mobile connections. According to GSM World, there are now more than 2 billion GSM  mobile phone users worldwide. GSM World references China as the largest single GSM market, with more than 370 million users, followed by Russia with 145 million, India with 83 million and the USA with 78 million users. GSM network architecture The GSM network is divided into three major systems: The operation and support system (OSS) The switching system (SS) The base station system (BSS)     Ã‚   GSM network architecture The Operation and Support System (OSS) The OSS stands for operation and support system. The function of OSS is that monitors and controls the system. The aim of OSS is that customer cost-effective support for centralized, regional, and local operational and maintenance activities that are needed for a GSM network. An important task of OSS is to ensure a network overview and support the maintenance activities of different operation and maintenance organizations. The Switching System The switching system (SS) is responsible for performing call processing and  Subscriber-related functions. The switching system (SS) includes some functional units: Home location register (HLR)—The HLR is a database used for storage and management of subscriptions. The HLR stores permanent data about subscribers, including a subscribers service profile, location information, and activity status. When a person buys a subscription, he/she is registered in the HLR of that operator. Mobile services switching center (MSC)—The MSC performs the telephony switching functions of the system. It controls calls to and from other telephone and data systems. Also, it performs toll ticketing, network interfacing, common channel signaling, and others functions. Visitor location register (VLR)—The VLR is a database that contains temporary information about subscribers that is needed by the MSC in order to service visiting subscribers. The VLR is always integrated with the MSC. When a mobile station roams into a new MSC area, the VLR connected to that MSC will request data about the mobile station from the HLR. Later, if the mobile station makes a call, the VLR will have the information needed for call setup without having to interrogate the HLR each time. Authentication center (AUC)—A unit called the AUC provides authentication and encryption parameters that verify the users identity and ensure the confidentiality of each call. The AUC protects network operators from different types of fraud found in todays cellular world. Equipment identity register (EIR)—The EIR is a database that includes information about the identity of mobile equipment that intercepts calls from stolen, unauthorized, or defective mobile stations. The Base Station System (BSS) All radio-related functions are performed in the BSS, which consists of base station controllers (BSCs) and the base transceiver stations (BTSs). BSC—The BSC provides all the control functions and physical links between the MSC and BTS. It is a high-capacity switch that provides functions such as handover, cell configuration data, and control of radio frequency (RF) power levels in base transceiver stations. BTS—The BTS handles the radio interface to the mobile station. The BTS is the radio equipment (transceivers and antennas) needed to Service each cell in the network. BSC controls a group of BTSs. MS MS stands for Mobile Station. It is a combination of terminal equipment and subscriber data. The terminal equipment is called ME (Mobile Equipment) and the subscribers data is stored in a separate module called SIM (Subscriber Identity Module). Therefore, ME + SIM = MS. The SIM card contains an identification number of the user and list of available networks. What is Roaming? Roaming allows a mobile subscriber to automatically make and receive voice calls, send and receive data, or access other services when travelling outside the geographical coverage area of their home network, by means of using a visited network. Roaming is technically supported by mobility management, authentication and billing procedures. Establishing roaming between network operators is based on – and the commercial terms are contained in – dedicated roaming agreements. If the visited network is in the same country as the home network, this is known as national roaming. If the visited network is outside the home country, this is known as international roaming. If the visited network operates on a different technical standard than the home network, this is known as inter-standard roaming. GSM Roaming, which involves roaming between GSM networks, offers the mobile subscriber the convenience of being able to use a single number, a single bill and a single phone. The convenience of GSM Roaming has been a key driver behind the global success of the GSM Platform. The GSMA’s  GSM Coverage Maps  are a unique resource containing information supplied and approved by the members of the Association. The network, services and roaming information are continually updated to reflect the evolving situation worldwide. Interactive coverage maps, updated quarterly, allow you to navigate to see where exactly you can use your phone. What is GRAN? GRANis an abbreviation of  GSMRadio Access Network. It consists of  Base Transceiver Stations  (BTS) and  Base Station Controllers  (BSC). Its purpose is to manage the radio link between  mobile phones  and a  telecommunicationcore network. This access network provides access to both  Circuit switched  (CS) and  Packet switched  (PS) core networks. Aradio access network(RAN) is part of a mobile  telecommunication  system. It implements a  radio access technology. Conceptually, it resides between devices like a mobile phone, a computer, or any remotely controlled machine and provides connection with its  core network  (CN). Depending on the standard, mobile phones and other wireless connected devices are varyingly known as user equipment (UE), terminal equipment, mobile station (MS), etc. RAN functionality is typically provided by a silicon chip residing in both the core network as well as the user equipment. Network Management Subsystem (NMS) The Network Management Subsystem (NMS) is the third subsystem of the GSM network in addition to the Network Switching Subsystem (NSS) and Base Station Subsystem (BSS). The purpose of the NMS is to monitor various functions and elements of the network. The operator workstations are connected to the database and communication servers via a Local Area Network (LAN). The database server stores the management information about the network. The communications server takes care of the data communications between the NMS and the equipment in the GSM network known as â€Å"network elements†. These communications are carried over a Data Communications Network (DCN), which connects to the NMS via a router. The functions of the NMS can be divided into three categories: Fault management Configuration management Performance management These functions cover the whole of the GSM network elements from the level of individual BTSs, up to MSCs and HLRs. Fault management The aim of fault management to detect different type of problems then solve them rapidly. Fault management provides the network operator with information about the current status of alarm events and maintains a history database of alarms. The alarms are stored in the NMS database and this database can be searched according to criteria specified by the network operator. Configuration management The purpose of configuration management is to maintain up-to-date information about the operation and configuration status of network elements. Specific configuration functions include the management of the radio network, software and hardware management of the network elements, time synchronization, and security operations. Performance management In performance management, the NMS collects measurement data from individual network elements and stores it in a database. On the basis of these data, the network operator is able to compare the actual performance of the network with the planned performance and detect both good and bad performance areas within the network. Requirement need for building GSM Hardware and software A typical GSM base station, can’t do anything without a suite of components that maintain databases, perform call- ­switching functions, and so forth. This infrastructure is expensive (typically around $250,000) and complicated to configure, and it needs to be stored in an air-conditioned room. Obviously, that’s impractical in the kinds of places  ­OpenBTS is designed for. As a result, the system replaces much of the physical infrastructure of the core network with VoIP software–in this case, an open-source program called Asterisk that can be installed on any off-the-shelf PC. IP Connection Cell-phone users on an OpenBTS network can reach each other even if the system isn’t connected to the Internet, but reaching someone outside the network requires an Internet connection. On Niue, the group used five-gigahertz IP radios to link the BTS unit to Telecom Niue’s wired Internet infrastructure, four kilometers away. Burgess says that response time can get a bit sluggish if the Internet connection isn’t very good, but it doesn’t take much bandwidth to make the system functional. Power supply The system deployed on Niue draws about 60 watts of power, supplied by three marine batteries of the type that many locals use on their boats. Because the system’s power requirements are so low, Burgess says, a base station could also run on solar or wind power. GSM  handset OpenBTS re-creates the technology behind GSM (the global system for mobile communications), which is used by the majority of mobile phones in the world. Any GSM phone will â€Å"see† an OpenBTS network as a standard cell network and interact with it normally. Antenna Like any cell network, an OpenBTS system requires an antenna to facilitate signaling. Different types of antennas can be used, according to the range the operator wants the network to have. Generation of GSM First generation technology(1G) First-generation mobile systemsused analog transmission for speech services. It offered handover and roaming capabilities, but it was unable to interoperate between countries. So, this is disadvantage of first-generation. Second generation technology(2G) Second generation mobile system used digital transmission. It able to use handover and roaming capabilities. It uses FDMA, TDMA, and CDMA. Third generation technology(3G) Third generation technology has fast data transfer rate. It enables to add services like mobile television, GPS, and video conferencing. Services include a wide area wireless voice telephony, video call, and broadband wireless data, all in mobile environment. Fourth generation technology(4G) Fourth generation technologyhas more bandwidth and services than 3G. The expectation for the 4G technology is the high quality audio/video streaming overend to end Internet Protocol, and work at 100 Mbps for mobile users and upto 1 Gbps over fixed stations. The word â€Å"MAGIC† also refers to 4G wireless technology which stands for Mobile multimedia, Any-where, Global mobility solutions over, integrated wireless and Customized services. Fifth generation technology (5G) Fifth generation technology has changed the means to use cell phones within very high bandwidth, high connectivity, and has extraordinary data capabilities. User never experienced ever before such a high value technology. The 5G technologies include alltype of advanced features which makes5G technology most powerful and in huge demand in near future. 5G technology including camera, MP3 recording, video player, largephone memory ,dialing speed, audio player and much more you never imagine. 5G technology going to be a new mobile revolution in mobile market, so may be incoming days 5G technology takes over the world market. Conclusion Year by year, the GSM system improves and its subscribers increases around the world. It divides into three main parts that are OSS, SS, and BSS. These parts include some important department that manages the system, stores information of users, and another tasks. GSM has ability to roam worldwide and has roaming agreements in place with foreign operators globally. So, users can easily use their same SIM in another cities or countries. GSM network facilitate easier access to cellular and satellite platforms across international lines. Using digital technology, it employs both speech and data channels in its system. In addition, GSM has network management subsystem that detects problems and solves them, maintains information up to date, and detects good and bad performance of a network. References http://searchmobilecomputing.techtarget.com/definition/GSM http://en.wikipedia.org/wiki/GSM_radio_access_network http://en.wikipedia.org/wiki/Radio_access_network http://www.gsma.com/aboutus/gsm-technology/roaming https://www.eff.org/files/filenode/global_system_for_mobile_communication_technology.pdf http://www.tutorialspoint.com/gsm/gsm_overview.htm http://cellphones.about.com/od/phoneglossary/g/gsm.htm http://www.academia.edu/3099956/Generations_of_Wireless_Communication._From_0G_to_5G_Abhi http://www.technologyreview.com/hack/418552/build-your-own-cellular-network/

Commentary on Telephone Conversation by Wole Soyinka Essay examples --

Commentary on Telephone Conversation by Wole Soyinka Wole Soyinka recollects vividly in Ake Mrs. Huti talking about white racism. He was thus mentally prepared to cope with the racism before he left for England. The race problem which has been treated with levity in the immigrant poems is treated from the poet’s personal experience in â€Å"Telephone Conversation.† â€Å"Telephone Conversation† involves an exchange between the black speaker and a white landlady. This poem more than any other is enriched by Soyinka’s experience of drama. It appears that the speaker is so fluent in the landlady’s language that she is unable to make out that he is black and a foreigner. But he, knowing the society for its racial prejudice, deems it necessary to declare his racial identity rather than be rejected later when she discovers that he is black. When he tells her that he is African, she seems stunned and there is â€Å"Silenced transmission of/Pressurized good-breeding.† When she speaks, her voice is Lipstick coated, long gold-rolled Cigarette-holder pipped. These details are evide...

Monday, August 19, 2019

The Representation of Masculinity and Violence in Henry V and The Rover

The Representation of Masculinity and Violence in Henry V and The Rover Representing violence as an essential tool to gaining control, Henry V is dominated by masculine power, in this case, with the control of France. The cast is mainly male, containing just four female characters, namely Mistress Quickly, Isabel Queen of France, Katherine her daughter and Alice, the attendant. The chorus sets the scene of war in the prologue, with ‘Then should the warlike Harry’ and ‘That did affright the air at Agincourt’. This image is further represented when the Archbishop of Canterbury is conferring with the Bishop of Ely about the King, ‘List his last discourse of war, and you shall hear / A fearful battle rendered you in music. (I.1. 43/44), and further on ‘His hours filled up with riots’, (I.1. 56). Henry lays responsibilities on others for his actions, justifying these actions by appealing to the church for answers, a Christian King, putting all his trust in God. In his speech to the Archbishop of Canterbury, Henry threatens the violence of war, as he appeals to him with ‘For God doth know how many now in health / Shall drop their blood in approbation / Of what your reverence shall incite us to. / Therefore take heed how you impawn our person, / How you awake our sleeping sword of war.’ (I.2.18-22), placing responsibility on Canterbury for the violence that will ensue from him usurping the French Sovereignty. Canterbury confirms Henry’s entitlement to France with his ancestors having held it, also stating that the Salic law is not upheld in France, this being that ‘No woman shall succeed in Salic land’ (I.2. 39). He states ‘T... ... horror at this sight, that tells thee, / Thou hast not long to boast thy shameful conquest?’ (P.235 The Rover). In conclusion, Henry V seems to maintain gender boundaries, with masculinity being active alongside violence. Whereas The Rover stands between the acceptance of masculine power and female dominance. Bibliography OWENS, W.R. and GOODMAN, Lizbeth, Ed. Shakespeare, Aphra Behn and the Canon (London: Routledge in association with the Open University, 1996). BEHN, Aphra. Oroonoko, The Rover and other works (London: Penguin, 1992). SHAKESPEARE, William. Henry v (London: Penguin, 1968, 1996). Audio / Visual TV 3: The Authentick & Ironicall Historie of Henry V VC 1: A210 Approaching Literature: The Rover Audio Cassette 6: Henry V AC2125 Audio Cassette 7: Henry V AC2126

Sunday, August 18, 2019

Revolution Girl-style Now! Essay -- essays research papers fc

Revolution Girl-Style Now! Riot Grrrls were originally born out of the â€Å"Punk† scene where rebellion was expressed in attitude, appearance, style, and music. Defining Riot Grrrl is much like defining Punk. There is no central organization, no authoritive definition, just an attitude concerned with pointing out social hypocrisy and empowering people to â€Å"do it yourself†, creating a culture of their own when they see that the mainstream media does not reflect their concerns or provide outlets for their efforts. Riot Grrrl is a supportive environment for girls and young women which is concerned with feminist issues such as rape, abortion rights, bulimia/anorexia, sexism, sexuality, double standards, self-defense, fat oppression, classism, and racism. Riot Grrrl is a network of fanzines that are produced by the angry â€Å"girl revolutionaries† who identify with the music that is associated with Riot Grrrl. The fanzines, self-designed and self-written, uncensored and uninhibited photocopied publications, are often intensely personal. That personal outlet is translated to larger political action when the fanzines are available to the public, bringing people together for conventions and other consciousness-raising activities. The ethos is about supporting each other and empowering each other. In actuality, Riot Grrrl is a frame of mind. It's a way for them to come together in a common cause: â€Å"Revolution Girl-Style Now!†. Since no specific person or people claim they created it, Riot Grrrl has meant many things to many people. Most girls do not attempt to define it anymore. â€Å"EVERY GRRRL IS A RIOT GRRRL. All you need is a healthy dose of pissed-of-ness at the treatment of womyn in our society. We are NOT all punk, all white, all lesbians, all musicians, all fanzine editors, all vegetarians, all victims of abuse, all straight edge. There is no ‘stereotypical' Riot Grrrl.† (Knight 9) The early Riot Grrrl scene was a â€Å"loose-knit† affiliation of feminist Punks, formed circa 1991 in Olympia, Washington and Washington D.C. The philosophy of â€Å" do it yourself† and â€Å"you can do anything† seemed to apply mostly to boys, who were the ones making the music and dictating the styles. By the early ‘90s, more and more girl bands started springing up, but ironically they found themselves battling sexism and discrimination within a movement originally based in a consciousness about youth ... ...ther in a common cause: â€Å"Revolution Girl-Style Now!†. Bibliography Carlip, Hillary. Girl Power: Young women speak out. New York: Warner Books, Inc., 1995 "Grrrls kick ass!". Online. Available HTTP: http://www. Micoks.net:80/~ tiffani/girl.html Hanok, Emily. The Girl Within. New York:Fawcett Books, 1989 Knight, Zain. Luster fanzine. San Fransisco. Madhu.. "Riot Grrrl". Online. Available HTTP: http://www.angelfire.com/nj/alienshe/grrrl.html Orviro, Rachel. "I Am a Girl". Online. Available HTTP: http://www. voiceofwomen.com/sac/girl.html. Pipher, Mary, Ph.D. Reviving Ophelia: Saving the Selves of Adolescent Girls. New York: Ballantine Books, 1995 "REVOLUTION GIRL STYLE NOW!". Online. Available HTTP: http://www. Smu.edu/~hnovales/girl.html Sam. "I AM XL & PROUD". Kingfish fanzine. SanDiego. Spirit. "What is a Riot Grrrl anyway?". Online. Available HTTP: http://www. columbia.edu:80/~ril 3/music-html/bikini kill/girl.html "So What the heck is Riot Grrrl?". Online. Available HTTP: http://www. indieweb.com/riotgrrrl/rg-perplexed.html Wilson, Jodi. Crisco fanzine. San Fransisco.

Saturday, August 17, 2019

Grand Theories Essay

Early nursing theorists were drawing from a different experience than we do today, but today’s nursing would probably not be what it is if it were not for the early Grand theorists. Florence Nightingale, Henderson, Peplau, and King all had strong influences on nursing in their own time and continue to influence nursing and nursing theory today. This paper will discuss that influence. Florence Nightingale, though seen as Grand theorists did not really have a theory; she really had a broad philosophy. Her basic tenet was healing and the philosophy consisted of healing, leadership, and global action (McEwen & Wills, 2007). Everything was focused on the needs of the patient. Nightingale felt that the physician was the one to write orders and it was the responsibility of the nurse to carry those orders out. She felt that anticipating and meeting the needs of the patient fell in the realm of the nurse. Though Florence Nightingales work is not well organized in its thought, it has to be remembered that she was in the process of theorizing when women were still handmaidens (Kikuchi, 2008). Virginia Henderson was an educator and author who is known as the mother of nursing because of her influence throughout the world of nursing. She created with some of her colleagues, the basic curriculum of nursing which was centered around patient centered care which was done with nursing problems and separate from a medical diagnosis (Jasorsky, 2010). Henderson felt that here theories of nursing grew throughout her career as a nurse and evolved from patient care. She sees the patient as a sum of parts such as biopsychosocial needs. She feels the patient is not a consumer or a client. Her major assumption of care is that nurses care for patients until patients can care for themselves. Her opinion is that patients have a desire to return to health and that nurses are willing to serve and will devote themselves to patients day and night. She lists 14 activities which are used for patient assistance. These include breathing normally, eating and drinking, eliminating, moving, sleeping, dressing, maintaining body temperature, avoiding dangers in the environment, communicating, worshiping, working, playing and learning. She felt that the nurse conceptually should assist the patient in those things that lead to recovery or in a peaceful death. Peplau who contributed much to the development of others theories was really rather limited in the scope in which she worked. Though she was famous for her work, she was generally a psyche nurse and approached the needs of patients and nursing from that venue (Clark, 1978). Jean Orlando who is one of many built her framework and theory upon the theories of Peplau. These theories are somewhat abstract and though they are used to guide some of nursing practice, probably less so than many. Imogene King on the other hand had a very complicated theory in which the assumptions pertain to individuals, nurse-client interactions and nursing as a whole. In the nurse-client relationship, she believes that the perceptions that each comes to the relationship with, affect that relationship. That relationship is also affected by the influence of goals, needs and values of both the client and the nurse, individuals have the right to participate in decisions and that both the client and the nurse have the right to affect their lives (Crow, 1992). She believed that nursing was the care of human beings and that meant that the nurse must, perceive, think, related, sometimes judge, and act on the behalf of the patients. The goal of nursing is to help patients restore health. Primary Elements King believed that the nurse and patient are purposeful interacting systems, and that the interaction between a nurse and a client are influenced by perceptions that have been previously developed. Peplau determined that the need of the patient was determined by the nurse and then the nurse must find a response to the patients need. She also felt that patients respond to nursing when there is a need and it is not always simple to discern what that need is. Henderson believed that nurses care for patients and they are willing to do that no matter what and that nursing diagnosis was separate from medical diagnosis. Florence Nightingale also felt that the job of the nurse was to care for the patient; she however felt that physicians determined what the patient needed and the nurse carried out his order ( Henderson, 2008). In some ways, these theorists all believe the same thing. The patient is the center of the care needed and only the patient can tell you what is needed. They also believe that nursing care and physician care are separate entities which lead to different diagnosis and different methods of treatment. In relating these theories to labor and delivery and women’s services, King’s theory comes to thought first. She believes that patients come to nursing care with preconceived ideas. Where else could this be truer than in labor and delivery where the expectation is a healthy baby. Sometimes though Peplau’s theories may need to be used because not everyone has a healthy baby and when that happens there are psychosocial issues that must be solved and only the patient can tell you how she feels. Henderson believed that nurses will work day and night to solve a patient’s issues and more than once in my career I have seen this happen as a nurse stays with a high risk patient for delivery and of course Florence Nightingale who believes that the patient is the center of all which there is no question about in the L& D. In conclusion, the nursing Grand Theories have influenced nursing for quite some time. Each of the theories talked about here have been built upon until today’s nursing has emerged. There is still much to do and only now are we learning how to use these theories in such a way as to define nursing in a way that will continue to give the profession forward momentum in the desire to care for patients in a quality way and in the desire to be independent and accountable in our own profession. Resources Clark, J. (1982). Development of models and theories on the concept of nursing. Journal of Advanced Nursing. 7(2). 129-134. Clark, J. (1988). 30th anniversary commentary on Henderson. The concept of nursing. 3. 113-130. Crow, R. (2982). Frontiers of nursing in the twenty first century: development of models and theories on the concept of nursing. Journal of Advanced Nursing 7(2). Fawcett, J. (2005). Evaluation of theory. Nursing Science Quarterly. 18(2). Henderson, S. , Happell, B. (2008). Impact of theory & clinical placement on undergraduate students mental health nursing, knowledge, skills, and attitudes. International Journal of Mental Health Nursing 16(5). 116-125. Jasorsky, D. , Morrow, M. , Clementi, P. (2010). Theories in action and how nursing practice changed. Nursing Science Quarterly. 23(1). 29-30. Kikuchi, J. (2008). Cultural theories of nursing responsive to human needs and values. Journal of Nursing Scholarship. 37(4). McEwen, M. , & Wills, E. (2007). Theoretical Basis for Nursing. 2nd ed. Lippincott: Boston.

Friday, August 16, 2019

Maggie and Dee; Two Sisters, Two Worlds

February 24, 2010 Maggie and Dee; Two Sisters, Two Worlds The genuine appreciation of heritage and family is the focus of Alice Walker’s â€Å"Everyday Use†. Dee and Maggie’s characters are the vessels that Walker uses to demonstrate the difference between appreciating possessions for their usefulness as well as their personal significance and their contrasting value as a trendy, materialistic connection. There is a palpable difference between Maggie and Dee, both in physical appearance as well as in personality traits and their treatment of the personal artifacts that come into play within the story is very telling of this. Maggie, who is self-conscious of her appearance, and will â€Å"stand hopelessly in corners, homely and ashamed of the burn scars down her arms and legs, eying her sister with a mixture of envy and awe† (140) is conscious of the practical uses of the artifacts. From the onset of the story we are made aware of the tenderness that their mother feels towards Maggie. Even in narrating her description of Dee, her thoughts wander back to the memory of their house burning and â€Å"Maggie’s arms sticking to me, her hair smoking, and her dress falling off her in little papery flakes† (141). In addition to her physical flaws, Maggie is described as not being very intelligent. â€Å"Like good looks and money, quickness passed her by† (142). Yet despite what could be considered as unfortunate traits, Maggie is blessed with a kinder, gentler, more likeable persona. Imagine having suffered a tragic, deforming, childhood accident. Then picture a sibling counterpart who is, by all counts, blessed with good-looks and intelligence, and who â€Å"Even her feet were always neat-looking, as if God himself had shaped them with a certain style† (143). It would be understandable to have taken that bad stroke of life’s luck and become a bitter, angry individual. However, Maggie, despite her mousy demeanor, inherits her mother’s rooted nature and appreciation for their heritage. There is no room for pretentiousness in Maggie’s life; it is one of basics; â€Å"She will marry John Thomas (who has mossy teeth in an earnest face)† (142). Maggie who knows how to quilt and chewed checkerberry snuff, already knows what her life has to offer. Her knowledge of her future is derived from her knowledge of her ancestry. There appears to be no rancor in her acceptance of this. When the climactic scene occurs and Dee asks â€Å"Can I have these quilts? † (145), Maggie’s first implied reaction is one of surprise and anger; â€Å"I heard something fall in the kitchen, and a minute later the kitchen door slammed† (145). But as someone â€Å"never used to winning anything, or having anything reserved for her† (146), Maggie succumbs and offers to let Dee have them. Although â€Å"Maggie knows how to quilt† (146), she is able to comprehend the deeper personal value of the quilts, and states that she â€Å"can ‘member Grandma Dee without the quilts†(146). Despite their value as an item of everyday use, the quilts are meaningful to Maggie, much in the way they are to her mother who remembers having quilted them with Big Dee. The scraps, the bits and pieces and â€Å"one teeny faded blue piece, about the size of a penny matchbox, that was from Great Grandpa Ezra’s uniform that he wore in the Civil War. † (145) hold deep significance to Maggie. Dee, on the other hand, is portrayed in a very different light by Walker. Commencing with her physical appearance; â€Å"Dee is lighter than Maggie, with nicer hair and a fuller figure† (141). However, their differences do not end there. Dee is intelligent, ambitious and confident. Even â€Å"At sixteen she had a style of her own and knew what style was† (142). Rather than embracing her family, there is a sense of shame for her impoverished past. â€Å"She wrote me once that no matter where we â€Å"choose† to live, she will come see us. But she will never bring her friends† (143). One can sense that despite Dee’s accomplishments and natural gifts, she is at a loss for identity and is grasping at something to hold on to by attaching herself to the relics that she wants to take away. Part of the reason that her desire to bond to her heritage via the artifacts is questionable is the fact that in the past she shunned her mother’s offer of â€Å"a quilt when she went away to college. Then she had told me they were old-fashioned, out of style† (146). Her integration into a world away from where she grew up has made her conscious of the value of her heritage, but it can be concluded that it is not for the sentimental value that her heritage holds but for the ability to flaunt that heritage to her new social circle. Dee believes that she can appreciate the value of the quilts more than Maggie, who will â€Å"be backward enough to put them to everyday use† (144). Dee wants the quilts for more materialistic reasons. She considers the quilts â€Å"priceless† (144). While both the girls came from the same upbringing and both have a desire to bond to their heritage, the reasoning behind that desire, and the difference in their motives, is indicative of their personalities. Maggie, being the one who suffered at childhood, who wasn’t blessed with beauty and intelligence, has a deeper understanding of where she came from. It was Grandma Dee and Big Dee who taught her how to quilt herself† (146). When Dee was packing up the dasher, wondering who made it, it was Maggie who responded â€Å"Aunt Dee’s first husband whittled the dash†, â€Å"His name was Henry, but they called him Stash† (145). She had a vivid recollection and genuine appreciation of her past. Dee, on the other hand, has until this point been unsuccessful at combining her good graces with a heartfelt recognition of her ancestry and her family ties. She will â€Å"use the churn top as a centerpiece in the alcove table† (145) and when asked what she would do with the quilts she responds, â€Å"Hang them† (146). One can only wonder what would happen to those pieces when the next stylish fad comes along considering her favoring of appearances over substance. Indeed, Maggie and Dee are two truly different and unique individuals with very contrasting personalities. Works Cited Walker, Alice. â€Å"Everyday Use† Literature and the Writing Process. Ed. Elizabeth McMahan, Susan X Day, and Robert Funk. 8th ed. Upper Saddle River; Prentice, 2007. 140 – 146.